Both tariffs and subsidies have the same goal, which is to disfavor imports.
How do governments make the most of subsidies and tariffs?In this situation, a government may decide between levying a tariff on rival imports or actively subsidizing the industry in question. A tariff would increase import prices domestically and would permit the production price of the protected industry to increase to the same amount.
How do subsidies compare to taxes?A tax drives a wedge that raises the price consumers must pay and lowers the price producers get paid, whereas a subsidy does the exact reverse. A government benefit known as a subsidy is one that is granted to organizations or people, typically in the form of money or a tax break.
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Answer:
D. Both allow domestic goods to compete against foreign goods.
Explanation:
Took the test on EDGE 2023 100%
The managers at a research company interview members of an underperforming team. They determine the team's office is too distracting, so they decide to build a dedicated lab environment to enable the team to meet its deadlines. This is an example of
The case illustrated regarding the managers is an example of initiating correlative action.
What is a correlative action?A correlative action simply means the process of communicating with the employees in order to improve performance.
In this case, the method that can be utilized include training, coaching, etc. This is necessary to achieve organizational goals.
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does doja cat deserve her fame? what do you think?
investors with a ______ risk tolerance may have a long time horizon and are usually looking to maximize their returns in the stock market.
investors with a high risk tolerance may have a long time horizon and are usually looking to maximize their returns in the stock market.
In economic and business, An investor generally can be defined as an individual that puts money into an entity for a financial return such as a business. Investors can be divided into several types, such as investors with high risk tolerance, investors with moderate risk tolerance, and investors with small risk tolerance. Investors with high risk tolerance usually have a lot of free time, so they can freely monitor stock movements on the market and earn big profits.
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Crystal Critters, Inc., a U.S. GAAP reporter, has the deferred tax assets and liabilities presented below:
Item Classification on the Balance Sheet of Related Account Deferred Tax Associated
with Item
Excess of warranty expense over warranty deductions - Current - $ 68, 000 Asset
Accelerated depreciation for tax purposes - Noncurrent - $ 78, 000 Liability
Installment sales receivable - Current - $ 38, 000 Liability
Contingent liability - Current - $ 28, 000 Asset
Assuming it meets the conditions to net assets and liabilities, how will the company report deferred taxes on the balance sheet?
Deferred taxes report on the balance sheet Crystal Critters Inc. is a US GAAP reporter. The company has presented the deferred tax assets and liabilities in the balance sheet.
These are the details of the items, the classification on the balance sheet of the related account, and the deferred tax associated with the item: Item Classification on the Balance Sheet of Related Account Deferred Tax Associated with Item Excess of warranty expense over warranty deductions Current $68,000 Asset Accelerated depreciation for tax purposes .
If the company meets the conditions to net assets and liabilities, it will report the deferred taxes on the balance sheet in the following ways: Net non-current deferred tax liability of $10,000 ($78,000 deferred tax liability less $68,000 deferred tax asset)Current deferred tax asset of $10,000 ($38,000 deferred tax liability less $28,000 deferred tax asset) .
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dentify the fixed expenses that would be classified as common fixed expenses when preparing a segmented income statement based on product divisions.
- Interest expense on corporate bonds
- The president's salary
- Division advertising
- Division manager's salary
- Building depreciation expense
Common fixed expenses are costs that cannot be directly traced to a specific segment or product division. In your list, the fixed expenses classified as common fixed expenses are:
1. Interest expense on corporate bonds
2. The president's salary
3. Building depreciation expense
These expenses are considered common fixed expenses because they do not vary depending on a specific division's performance or operations. They are shared across the entire organization and affect all product divisions equally. Interest expense on corporate bonds, the president's salary, and building depreciation expense are all expenses that would be incurred by the company regardless of its segmented operations. On the other hand, division advertising and division manager's salary are directly related to specific product divisions, so they would not be classified as common fixed expenses.
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When the dollar strengthens the reported consolidated earnings of us based mncs are affected by translation exposure when:_____.
When the dollar strengthens the reported consolidated earnings of us based MNCs are affected by translation exposure when unfavorably, or favorably affected.
Borrow in foreign currency and convert to local currency before revaluation. Economic risk is a type of foreign exchange risk caused by the impact of unexpected currency fluctuations on a company's future cash flows, foreign investments, and earnings.
Since when the dollar is powerful the current of foreign purchased few of U. S dollar and in the case when the dollar is weak the condition is opposite
Therefore at the time of a powerful dollar, the consolidated earning MNC is unfavorably affected and at the time of weakens, it is favorably affected
As the dollar rises (the exchange rate rises), the relative prices of domestic goods and services rise and the relative prices of foreign goods and services fall. 1. Changes in relative prices cause US exports to fall and US imports to rise.
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profit is the only
Organizational objectives of the business.Do you agree
Explanation:
I agree because without profit what's the use of the business
Which of the following statements are correct?
Select the correct option(s) and click submit.
Agile and Design Thinking are same
Design Thinking is about Product Development. Agile Manifesto is about Software Development
Design Thinking is finding the right things and Agile is about building the right things
Design Thinking is building the right things and Agile is about finding the right things
Submit
Product Development is the focus of Design Thinking. The Agile Manifesto is concerned with software development.
Design Thinking is about discovering the right things, while Agile Manifesto is about creating the right things. Hence, option b) is correct.
Design thinking is a problem-finding methodology, whereas agile is a problem-solving methodology. It requires a high level of end-user empathy and comprehension, as well as an iterative process of developing new ideas, debunking assumptions, and redefinition of problems.
Agile Manifesto and Design thinking fosters a user-centric environment that emphasizes rapid iterations to achieve the best results. Use agile development to collaboratively build solutions to problems identified through design thinking.
Design thinking prioritizes the needs of the user, and Agile is an excellent method for delivering solutions gradually. The user's needs are considered throughout the design and development process.
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A decrease in stock prices alters the consumption function by:
A decrease in stock prices can alter the consumption function in several ways, depending on the specific economic conditions and individual behavior.
The consumption function represents the relationship between disposable income and the level of consumer spending in an economy. Here are some ways a decrease in stock prices can impact the consumption function:
1. Wealth Effect: A decrease in stock prices can lead to a decrease in the overall wealth of shareholders. As a result, individuals may feel less wealthy and reduce their consumption levels. This is known as the wealth effect. When people perceive themselves to be less financially secure due to declining stock values, they may cut back on discretionary spending, leading to a decrease in consumer spending.
2. Consumer Confidence: Stock market performance is often considered a barometer of the overall health of the economy. A significant drop in stock prices can erode consumer confidence, leading to reduced optimism about future economic prospects. Lower confidence levels can result in cautious spending behavior, as people may become more hesitant to make major purchases.
3. Portfolio Effects: Investors who hold significant portions of their wealth in stocks may experience portfolio effects due to stock market declines. As their investment values decline, they may adjust their consumption patterns to compensate for potential losses or reduced income from dividends.
4. Impact on High-Income Consumers: A decrease in stock prices might disproportionately affect high-income individuals who have a more significant portion of their wealth tied up in financial assets like stocks. If these higher-income individuals experience reduced wealth due to the stock market decline, their consumption may decrease, affecting overall consumer spending patterns.
5. Business Investment: A decline in stock prices can also affect businesses' investment decisions. If companies' stock prices decrease significantly, they may have reduced access to capital markets or face higher costs of capital. This could lead to a decrease in business investment and potentially impact economic growth and employment, which, in turn, may affect consumer spending.
It's important to note that the actual impact of stock market fluctuations on the consumption function can vary based on factors such as the magnitude and duration of the stock price decrease, the overall economic environment, and the psychological response of consumers and investors. Economic conditions and the behavior of individuals and businesses are complex, and multiple factors interact to shape consumption patterns in response to changes in stock prices.
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explain advertisement
Answer: Advertisement is a marketing communication. It is used to promote businesses and their products. Used to promote more effectiveness in a businesses profit and their sales. May be seen in the form of commercials or billboard announcements in everyday life.
You're given a monthly budget of $400 for social media advertising. You want to set a daily budget for February to insure you don't overspend for the month. What is your daily budget? (It is not a leap year.)
Answer:
$14.28
Explanation:
you will have a couple of cents left over at the end because you cant evenly divide 400 by 28
what is a description of the trading strategy where an investor sells a 3-month call option and buys a one-year call option, where both options have a strike price of $100 and the underlying stock price is $75?
The trading strategy is known as a long-term diagonal call spread, where an investor buys a longer-term call option and sells a shorter-term call option with the same strike price but different expiration dates.
In this scenario, the investor is selling a 3-month call option with a strike price of $100 and buying a 1-year call option with the same strike price. The underlying stock price is currently at $75.
By selling the shorter-term call option, the investor is able to generate immediate income from the option premium. However, this also creates an obligation to potentially sell the underlying stock at the strike price of $100 if the option is exercised.
By purchasing the longer-term call option, the investor is able to maintain their exposure to potential price increases in the underlying stock beyond the 3-month timeframe. The investor is essentially betting that the stock price will increase over the longer-term, but not necessarily within the next 3 months.
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Please read the case "Internal Consistency at Customers First" and discuss the following questions:
1. Do you think that job analysis and job evaluation will benefit "Customers First"? If you think so, how will the job analysis and job evaluation benefit the company?
2. What is your opinion on Joan’s view on job analysis and job evaluation?
3. What do you recommend "Customers First" do? Why? (
Use the readings and resources provided in our online lecture, book, library and reputable sources found on the Internet to support your viewpoints. Be sure to use your own voice in your answers. Simple copy and pastes will not be accepted. Be sure to site all sources.
Yes, I believe that job analysis and job evaluation will benefit "Customers First". Job analysis can provide a comprehensive understanding of the duties and responsibilities of each job role in the organization.
This will enable the company to develop accurate job descriptions, which can help in identifying the necessary qualifications, skills, and experience required for each job role. Additionally, job evaluation can be used to determine the relative value of each job in the organization. This can help the company establish a fair and equitable compensation system that aligns with the job's level of responsibility, qualifications, and skills required. By establishing a fair and equitable compensation system, the company can attract and retain the best talent, and employees are more likely to be motivated and engaged in their work.
Joan's view on job analysis and job evaluation is that it is a tedious and time-consuming process that adds little value to the company. She believes that it is more important to focus on the company's immediate needs, such as recruiting new staff and meeting the demands of clients. While I understand Joan's concerns, I believe that job analysis and job evaluation are essential to the long-term success of the company. By investing time and resources into job analysis and job evaluation, the company can create a more structured and efficient workforce, reduce turnover, and improve employee morale.
I recommend that "Customers First" conduct a thorough job analysis and job evaluation of all positions in the organization. This will enable the company to develop accurate job descriptions and establish a fair and equitable compensation system that aligns with the job's level of responsibility, qualifications, and skills required. I also recommend that the company provide training to all employees to help them understand their roles and responsibilities within the organization. This will help to increase employee engagement and job satisfaction, leading to improved productivity and reduced turnover. Finally, I recommend that the company adopt a proactive approach to employee engagement and retention by regularly reviewing its compensation system and implementing measures to improve employee morale and motivation.
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If there is a shortage in gasoline then,
a) the price of gasoline will tend to rise.
b) the purchase plan of buyers are not being fully achieved.
c) buyers will tend to compete amongst themselves for more gasoline.
d) all of the above are true.
e) none of the above is true
Answer:
all of the above are true.
Explanation:
They will rise because people may want the gas to last longer and people might be wanting to buy it more and that will help the owners to earn more.
The purchase plan of buyers an not achieved because they may not be able to buy when they needed it to be bought (If that is what was meant there)
The buyers will compete because if people don't have it they won't be able to drive anywhere which people more often drive to get to places such as stores and work.
Hope this Helps
comparing early triassic and late jurassic paleogeography, shows that have moved much farther north than arabia during this interval.
Comparing Early Triassic and Late Jurassic paleogeography, shows that North and South China have moved much farther north than Arabia during this interval.
What is paleogeography?The study of historical geography, primarily physical landscapes, is known as paleogeography. The study of human or cultural contexts can be a part of paleogeography. Paleogeomorphology is occasionally used alternatively when the emphasis is solely on landforms.
The study of ancient geography, primarily physical landscapes, is known as palaeogeography. The study of human or cultural contexts can be a part of paleogeography. Paleogeomorphology is occasionally used alternatively when the emphasis is solely on landforms.
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complete question;
Comparing Early Triassic and Late Jurassic paleogeography, shows that __________ have moved much farther north than Arabia during this interval.
a). Suppose you decide to withdraw $100 in cash from your chequing account. Draw a Taccount showing the effects of this transaction on your bank's balance sheet, assuming that the reserve ratio is 5%. ( 3 points) b). How does an increase in interest rates affect aggregate demand? Briefly discuss how each component of aggregate demand is affected. (Hint: there are 4 components in aggregate demand). (5 points) c). Suppose that real GDP is currently $1.31 trillion, potential GDP is $1.35 trillion, the government purchases multiplier is 2 . Holding other factors constant and assume that there is no crowding out effect, by how much will government purchases need to be increased to bring the economy to equilibrium at potential GDP? If there is crowding out effect, will the government need to increase more or less than the amount you calculated? Explain. (4 points) d). Assume that banks does not hold excess reserves. The banking system has $60 million in reserves and has a reserve requirement of 10%. The public holds $20 million in currency. Then the public decides to withdraw \$6 million in currency from the banking system. If the Bank of Canada wants to keep the money supply stable by changing the reserve requirement, what will be the new reserve requirement? Show your calculation. (4 points)
An increase in interest rates affects aggregate demand in the following ways:
Consumption (C): Higher interest rates increase the cost of borrowing, such as mortgage rates and credit card interest rates. This reduces the disposable income of individuals and makes borrowing more expensive, leading to a decrease in consumer spending. As a result, consumption decreases, leading to a decrease in aggregate demand. Investment (I): Higher interest rates make borrowing more expensive for businesses, reducing their incentive to invest in new projects or expand operations. This leads to a decrease in investment spending and a decrease in aggregate demand. Government Spending (G): Higher interest rates can affect government spending in two ways. Firstly, it can increase the cost of borrowing for the government, making it more expensive to finance projects through debt. Secondly, higher interest rates can also impact the cost of servicing existing government debt. These factors may lead to a decrease in government spending, resulting in a decrease in aggregate demand.
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The Ministry of Health has a state-owned subsidiary in the Singapore. The investment utilizes the government's sovereign fund in USD but is converted to SGD for the investment. The balance sheet is as follow:
Balance sheet
Assets jun-22
Cash 100,00,00
Accounts receivable 195,000,000
Inventory 140,000,000
Net plant & equipment 265,000,000
700,000,000
Liabilities & Net Worth
Current liabilities 75,000,000
Long-term debt 125,000,000
Capital stock 355,000,000
Retained earnings 145,000,000
700,000,000
Given that the spot exchange rate is SGD 1,38/USD and the weighted average rate for "inventory" is SGD1,35/USD; and "Net plant and equipment" is SGD1,30/USD, callculate the net exposure [all assets - (current liabilities + long term debt)] of the Ministry of Health using the temporal method (round off to the nearest dollar).
The net exposure of the Ministry of Health using the temporal method is SGD 702,300,000.
To calculate the net exposure of the Ministry of Health using the temporal method, we need to convert the USD amounts into SGD using the given exchange rates. Here's the calculation:
1. Convert the USD amounts to SGD using the spot exchange rate:
Cash: SGD 100,000,000 (no conversion needed as it's already in SGD)
Accounts receivable: USD 195,000,000 * SGD 1.38/USD = SGD 268,800,000
Inventory: USD 140,000,000 * SGD 1.35/USD = SGD 189,000,000
Net plant & equipment: USD 265,000,000 * SGD 1.30/USD = SGD 344,500,000
2. Calculate the net exposure:
Assets:
Cash: SGD 100,000,000
Accounts receivable: SGD 268,800,000
Inventory: SGD 189,000,000
Net plant & equipment: SGD 344,500,000
Total assets: SGD 902,300,000
Liabilities & Net Worth:
Current liabilities: SGD 75,000,000
Long-term debt: SGD 125,000,000
Total liabilities: SGD 200,000,000
Net exposure = Total assets - Total liabilities
Net exposure = SGD 902,300,000 - SGD 200,000,000
Net exposure = SGD 702,300,000
Therefore, the net exposure of the Ministry of Health using the temporal method is SGD 702,300,000 (rounded off to the nearest dollar).
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Can someone please help me with this!!!!
Answer:
Eh easy aall you have to do is pay 4,305 dolllars
Explanation:
The following cash flows are for two mutually exclusive investment options. Use them to answer questions #1-5. Time: 0 1 2 3 4 5 Project A -500 50 250 450 100 -200 Project B -500 140 140 140 140 140 a) Assuming WACC is 7%, calculate Project A’s net present value. b) Assuming WACC is 7%, calculate Project B’s net present value. c) Calculate each project's internal rate of return; which project is superior according to IRR? d) Calculate the crossover rate where the two projects’ net present values are equal.
At a discount rate of 8.47%, the net present values of both projects will be equal.
To calculate the net present value (NPV), we need to discount each cash flow at the weighted average cost of capital (WACC) of 7%. The NPV formula is:
NPV = Σ(CF / (1 + r)^t) - Initial Investment
where CF represents cash flow, r is the discount rate, t is the time period, and the Σ symbol indicates the sum of all cash flows.
a) Calculating Project A's NPV:
NPV_A = (-500 / (1 + 0.07)⁰) + (50 / (1 + 0.07)¹) + (250 / (1 + 0.07)²) + (450 / (1 + 0.07)³) + (100 / (1 + 0.07)⁴) + (-200 / (1 + 0.07)⁵) - (-500)
NPV_A = -500 + 46.73 + 216.62 + 361.41 + 75.29 - 119.71 = $80.34
Therefore, Project A's net present value is $80.34.
b) Calculating Project B's NPV:
NPV_B = (-500 / (1 + 0.07)⁰) + (140 / (1 + 0.07)¹) + (140 / (1 + 0.07)²) + (140 / (1 + 0.07)³) + (140 / (1 + 0.07)⁴) + (140 / (1 + 0.07)⁵) - (-500)
NPV_B = -500 + 130.84 + 122.15 + 113.97 + 106.31 + 99.14 = $72.41
Therefore, Project B's net present value is $72.41.
c) Calculating the internal rate of return (IRR):
To find the IRR, we set the NPV equation equal to zero and solve for the discount rate that makes it zero. Using a financial calculator or spreadsheet software, we find:
IRR_A = 10.28%
IRR_B = 14.99%
Project B has a higher internal rate of return (IRR) of 14.99% compared to Project A's IRR of 10.28%. Therefore, according to the IRR criterion, Project B is superior.
d) Calculating the crossover rate:
The crossover rate is the discount rate at which the NPVs of the two projects are equal. We set the NPV equations for both projects equal to each other and solve for the discount rate. Using a financial calculator or spreadsheet software, we find:
NPV_A = NPV_B
(-500 / (1 + r)⁰) + (50 / (1 + r)¹) + (250 / (1 + r)²) + (450 / (1 + r)³) + (100 / (1 + r)⁴) + (-200 / (1 + r)⁵) = (-500 / (1 + r)⁰) + (140 / (1 + r)¹) + (140 / (1 + r)²) + (140 / (1 + r)³) + (140 / (1 + r)⁴) + (140 / (1 + r)⁵)
Solving this equation, we find the crossover rate to be approximately 8.47%.
Therefore, at a discount rate of 8.47%, the net present values of both projects will be equal.
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Open market operations refer to which action by a central bank?
A. Regulating the amount of money banks hold in reserve
O B. Changing the price banks pay to borrow money
O C. Buying and selling treasury securities
O D. Adjusting interest rates on stock markets
Answer:
B so it said 20 characters tooblong and dont copy th rokffkmf
Answer:
C: Buying and selling treasury securities
Explanation:
Apex, hope it helps ;)
Which is the highest need of a human as perceived by Maslow’s hierarchy of needs?
A. belongingness
B. self-actualization
C. safety
D. basic needs
According to Maslow's hierarchy of needs, the highest need of a human is self-actualization.
Self-actualization is the need to reach one's full potential and to become the best version of oneself. It is the need to be creative, to understand oneself, and to understand the world around us. It is the need for self-fulfillment and self-expression.
Self-actualization is the highest level of Maslow's hierarchy of needs because it is only when all the lower-level needs, such as basic needs, safety, belongingness, and esteem, have been met that an individual can truly focus on self-actualization. Without these lower-level needs being met, an individual will not have the resources or emotional stability to focus on self-actualization.
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. A company plans to borrow $10 million for 90 days, 180 days from today. The type of FRA and the position that the company should take on this FRA to hedge its interest rate risk is most likely: FRA Position A. 3 x 6 long B. 6 x 9 long C. 6 x 3 short
An FRA is a Forward Rate Agreement that is used to lock in an interest rate for a future period. An FRA is a forward contract with a floating rate.
The forward price is the fixed rate agreed upon today for delivery or payment of a particular underlying security in the future. It is an agreement between two parties to exchange an interest rate, which is based on a notional amount and a specified period.
The most likely FRA type and position that a company should take on this FRA to hedge its interest rate risk is 6 x 3 short.
This means that a company agrees to pay a fixed interest rate of 6% in 90 days on $10 million worth of borrowings. This position allows the company to protect itself from an increase in interest rates because the company will pay the fixed rate if the interest rates increase.
Hence, if interest rates rise, the company will save money on interest costs.
Forward Rate Agreement : A FRA is an understanding between the Bank and a Client to pay or get the distinction (called repayment cash) between a concurred fixed rate (FRA rate) and the financing cost persuading specified future date (the fixing date) in light of a notional sum for a concurred period (the agreement time frame).
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Question 3 of 10
Kristen has been working in a factory for 12 years and no longer wears a
helmet while working. She is experiencing one of the attitudes that commonly
lead people to have workplace accidents. What is she most likely feeling?
A. Anger
B. Overconfidence
C. Distraction
D. Exhaustion
Answer:
Letter B
Explanation:
Overconfidence
Overconfidence is she most likely feeling. As She is experiencing one of the attitudes that commonly lead people to have workplace accidents. Hence, option B is correct.
What is Overconfidence?a cognitive bias that is characterized by an overestimation of one's genuine capacity for performance, by the belief that one does better than others, or by an excessive amount of faith in the truth of one's views. Contrast lack confidence.
Two overconfident actions that someone who thinks their sense of direction is much better than it actually is could display are going on a long trip without a map and refusing to ask for directions if they get lost along the way. Overconfident people think they are far smarter than they actually are.
Arrogance is the quality of being overconfident in one's abilities or prospects of success. Planning ahead can occasionally lead to overconfidence.
Thus, option B is correct.
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There are two types of handwarmers available in the market - a. Disposable hand warmer b. Re-usable hand warmer EXPLAIN the differences between these two hand warmers (ingredients; function; cost; effectiveness; durability....etc)
Disposable hand warmers: One-time use, chemical reaction, limited lifespan. Reusable hand warmers: Multiple uses, phase-change materials, longer-lasting.
What are the differences between disposable and reusable hand warmers?Disposable hand warmers are inexpensive and generate heat through a chemical reaction when exposed to air, providing instant warmth for a limited time.
They cannot be reused or turned off once activated. On the other hand, reusable hand warmers are initially more expensive but offer longer-lasting heat, can be reheated or cooled multiple times, and are more durable.
They use phase-change materials or gels to release or absorb heat as needed.
The choice between the two depends on budget, desired duration of warmth, and the need for reusability.
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When is a mission statement valuable to an organization?
A. When it clearly conveys organizational goals to customers
B. When it allows for tracking the progress of departments' plans
C. When employees use it to guide decisions and actions
D. When it outlines compensation and benefits for employees
When it clearly conveys organizational goals to customers is a mission statement valuable to an organization. Thus option A is correct.
What is the organization?A firm, institution, group, or another type of body made up of one or more people and serving a specific function is referred to as an organization or organization.
The mission statement shows how the function of the organization will go and will follow the plan. It is right to the rules and regulations of the company that will be present. It would have the stockholder and the investor to progress in the year.
Therefore, option A is the correct option.
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if the government imposes a price of $16 in this market, it would be an example of a a. non-binding price floor that does not change the market b. binding price ceiling that creates a surplus c. binding price floor that creates a shortage d. non-binding price ceiling that does not change the market
It would be an example of binding price ceiling that creates a surplus .
What is surplus?An item or resource that has more than is currently being used is said to have a surplus. A surplus can relate to a wide range of things, including money, goods, capital, and profits. A surplus in the context of inventories refers to items that are still on store shelves but have not yet been purchased. A surplus in a fiscal sense happens when income is greater than outlays. Governments may also experience a budget surplus if there are any tax revenues left over after all expenditures for government programs have been paid in full.Consumer surplus and producer surplus are the two different categories of economic surplus. Consumer excess and production surplus typically don't coexist since what's excellent for one is typically terrible for the other.Hence ,It would be an example of binding price ceiling that creates a surplus .
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In AHP procedure, can you explain the reason why we need to check the consistency and briefly explain the method of consistency checking?
In AHP Procedure, the reason why we need to check the consistency is:
To make sure that the pairwise comparison results are accurateThe brief explanation of the method of consistency checking is:
The weights of the individual elements are are calculated using pairwise comparison so that there would be a comparison of two advantagesThe AHP which means Analytical Hierarchy Process has to do with the organization of the various processes that is responsible for the analysis of complex decisions making use of mathematics and psychology.
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In Latuna, it takes 10 resources to produce 1 ton of coffee and 13.5 resources to produce 1 ton of wheat. In South Narnia, it takes 40 resources to produce 1 ton of coffee and 12 resources to produce 1 ton of wheat. Latuna has a comparative advantage over South Narnia in:__________.
A. wheat
B. neither coffee nor wheat.
C. both coffee and wheat.
D. coffee
E. both coffee and wheat if combined.
Answer:
A
Explanation:
a person has comparative advantage in production if he / she produces at a lower opportunity cost when compared to other countries.
for latuna,
opportunity cost of producing 1 ton of coffee = 13.5 / 10 = 1.35
opportunity cost of producing 1 ton of wheat = 10 / 13.5 = 0.741
for South Narnia,
opportunity cost of producing 1 ton of coffee = 12 / 40 =0.3
opportunity cost of producing 1 ton of wheat = 3.3
south narnia has a comparative advantage in the production of coffee and latuna has a comparative advantage in the production of wheat
What is the term used for when one company enters markets before its competitors?
O Early entry
O late O Last Entry
O First mover
The term used for when one company enters markets before its competitors is "First Mover". This refers to a company that is the first to introduce a product or service in a particular market.
The first mover has the advantage of establishing a brand identity and customer loyalty before its competitors even enter the market. This can lead to a dominant market position and higher profits in the long run. However, being a first mover can also be risky as there is no guarantee of success and competitors may be able to learn from the first mover's mistakes and improve upon their offering. Ultimately, the decision to be a first mover or not depends on various factors such as the industry, product, competition, and resources available. Despite these risks, many companies aim to be first movers in order to capitalize on the benefits associated with early market entry.
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Although Zappos has around 900,000 unique products in its warehouse, company executives think there is room for more. Zappos is utilizing ______ for this promotion.
Answer: email marketing
Explanation:
Email marketing is the act of promoting a business, a product or anything worth promoting or an exchange of mail. This emails are sent to existing and prospective customers either telling them of this new product or promoting existing goods and services. Zappos utilizes email marketing for this promotion.