False. While a highly cohesive group can have certain advantages, such as stronger social bonds and increased collaboration, it does not guarantee high productivity, especially in the presence of low performance norms.
Cohesion refers to the degree of unity and closeness among group members. Highly cohesive groups often exhibit strong social bonds, trust, and cooperation. These factors can positively influence communication, decision-making, and problem-solving within the group. However, group productivity is not solely determined by cohesion.
Low performance norms imply a lack of clear expectations and standards regarding the quality and quantity of work. In such cases, a highly cohesive group may experience difficulties in achieving high productivity despite their strong bonds. Without clear performance norms, there may be a lack of motivation, accountability, and a sense of urgency to meet or exceed performance expectations.
To achieve high productivity, it is essential to establish and communicate clear performance norms that define the desired level of performance and the standards against which the group's output will be evaluated. This provides a shared understanding of expectations and fosters a performance-oriented culture within the group.
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Of all of the emerging industries, choose one or two and discuss why you think this industry is so up and coming in the world. Would you ever want to work in this industry? Why or why not?
(THIS IS CRITICAL THINKING!!!)
Of all of the emerging industries, choose one or two and discuss why you think this industry is so up and coming in the world. Would you ever want to work in this industry? Why or why not?(THIS IS CRITICAL THINKING!!!)
At Frank's company, the strength of the organizational structure is that the results are based on
the effectiveness of the managers, but its main weakness is costs can be increased due to a
decrease in efficiency. This is an example of which structure?
Osimple
O functional
O divisional
O matrix
Answer:
divisional
Explanation:
-A simple structure s a structure in which there is little specialization and there is a central authority that controls everything and has the power.
-Functional structure is a structure in which a company is divided in groups according to specialized activities. Because of this specialization, companies with this structure can increase productivity but the communication is rigid and the cooperation between departments is difficult.
-Divisional structure is a structure in which there are different divisions and each one concentrates on a specific product or service and has all the functions and resources for that. This structure can create inefficiencies because the specialized functions are separated but the results of one division don't affect the other ones.
-Matrix structure is a structure in which employees report to more than one manager and it is used in companies that have different lines to have more flexibility and increase productivity.
According to this information and the statement, the answer is that this is an example of divisional stucture because in this structure each division has its own resources and specialized functions and because of that the results are based on the effectiveness of the managers but as each division has its own specialized functions, this creates inefficiencies.
which represents the market for beans at equilibrium at 1 (D0 & S0). If the price of peas, a substitute for beans, rises, and the cost of producing beans decreases, what is the new beans equilibrium, ceteris paribus? (Give the number of associated with the new equilibrium and the names of demand & supply curves involved).
The equilibrium price is the point at which the supply and demand curves intersect. At this price, the quantity demanded equals the quantity supplied. Here, the market for beans is in equilibrium at the intersection of the supply and demand curves.
The equilibrium price is determined by the quantity of beans demanded and the quantity of beans supplied.1. If the price of peas, a substitute for beans, rises, the demand for beans will increase, causing the demand curve for beans to shift rightward.2. When the cost of producing beans decreases, the supply of beans increases, causing the supply curve to shift rightward.Therefore, the equilibrium price of beans will increase, but the equilibrium quantity will be determined by the extent of the shift in the demand and supply curves. The new equilibrium will be determined by the intersection of the new demand and supply curves.
If the demand for beans has increased more than the supply, the equilibrium price and quantity will both rise. If the supply of beans has increased more than the demand, the equilibrium price will fall, but the equilibrium quantity will rise.Example: Suppose that the original equilibrium price of beans was $3.00 per pound, and the equilibrium quantity was 200 pounds per week. Due to the increase in the price of peas, the demand for beans has increased, causing the demand curve to shift rightward from D0 to D1. The supply of beans has also increased, causing the supply curve to shift rightward from S0 to S1. The new equilibrium is at the intersection of the new demand and supply curves, which is at a price of $3.50 per pound and a quantity of 250 pounds per week. Therefore, the new equilibrium is represented by the demand curve D1 and the supply curve S1.
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Sam has take-home pay every month of $800. He anticipates that his expenses will add up to $675 for the month. In a zero-based budget, why is it important that she put the extra $125 in SOME budget category?
Answer:
see below
Explanation:
The Zero-based budgeting technique assumes there will be no balance bought forward nor balance carried forward. Budget preparation for a particular period must start from zero or scratch. Each expense must be on merit. Income and expenses must match. In the zero-based budget, the difference between income and expenditure must be zero.
If Sam has an income of $800 and expenses of $675, she has to re-work her costs again to ensure they match her income. The zero-based budget demands she draws her expenses list again and comes up with a way of spending the $125 difference.
A company selling in a national market often organizes its sales force along ________
A company selling in a national market often organizes its sales force along geographic lines
A worldwide corporation is what?a business that conducts business internationally. Global businesses enjoy benefits over domestic rivals in terms of research, manufacturing, marketing, and financial expenses and reputation.
Geographical sales lines:One of the most prevalent types of the sales organization is the geographically based sales team.
This arrangement places people in certain geographic locations.
They are in charge of managing the sales operations in that region.
Such a framework is straightforward and less expensive.
Additionally, this structure encourages open communication with the clients.
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According to this image :
1- What is the age range of the generation with the highest amount of household debt?
2-Which is the only generation to decrease its average debt from 2019 to 2020?
3-Compare the rate at which Gen Z’s debt increased from 2019 to 2020 compared to other generations.
With an increase of 67.2%, Gen Z’s debt increased at a much higher rate than other generations.
4-Calculate how long it would take for Gen Z’s average debt ($16,000) to reach Gen X’s level of average debt ($140,000) if it continued to increase at its current rate (67.2% per year).
5-Develop a logical argument why Gen Z’s debt is rising at such a high rate when the Silent Generation’s debt is decreasing.
I have to turn this worksheet today, So please ANYONE help me out please ASAP..
Answer:
1. Gen X 41-56years
2. Silent Gen reduced debt by 4.6%
3.Baby boomers increased by 0.3% from 2019 to 2020, they had the least increase in debt
Gen X followed with 3.5% increase from 2019 to 2020 while Millenials had 11.5% increase in debt between 2019 and 2022. Even though Gen Z debt increased by 67.2%, they still have the lowest debt overall into two years.
4.Gen Z average debt $16,000
Gen X average debt $ 140,000
In 5years, it will meet up with Gen Xs level of debt
5. The silent Gen are the elderly, mostly retired and no longer taking new loans while Gen Z is the younger generating, newly exploring the world, teenagers and students, young school leavers and new work force taking loans at the slightest offer. The silent age are no longer active, they are most been taken care of and won't be taking loan facilities for any purpose. Student loan, technology etc is available and most suitable for the age range of Gen Z, hence the difference in the loan dimension.
3. Businesses not associated with the government are referred to as what type of jobs?
a. Public Sector
b. For Profit Sector
C. Private Sector
d. None of the above
Answer:
Private Sector
Explanation:
I'm fairly confident this is it, but I'm not too sure. Sorry to disappoint
In the capitalistic economy what ensures that a firm will survive only way to serve its customers wall by providing products and services that meet needs
Answer:
Competition
Explanation:
In the capitalistic economy, COMPETITION ensures that a firm will survive only if it serves its customers well by providing products and services that meet their needs.
Hence, Competition is a favorable concept for business because it stimulates the improvement and growth of new and decent commodities in the markets.
To consumers, competition is good because it normally leads to better service and lower the costs or prices of commodities.
Which of the following is the BEST definition of investment management?
A. The term most often refers to portfolio management and the trading of securities to reach a specific investment objective
B. An object (fine art or antique) suitable for collections whose value may appreciate
C. A financial analysis comparing the potential gains from an investment against the potential losses
D. Focuses on the concept of money and the investing of money on a large scale
Answer:
A
Explanation:
I think is it
Briefly explain the responsibilities of each of the following agencies.
a. Federal Trade Commission (FTC):
b. Consumer Product Safety Commission (CPSC):
c. Environmental Protection Agency (EPA):
Cultures that score high on the Uncertainty Avoidance Index
O seldom experience much stress.
O take an empirical approach to knowledge.
O enjoy ambiguity.
O value security and try to always follow the rules.
Answer:
seldom experience much stress.
Explanation:
countries that have high levels of uncertainty avoidance tend to be less stress-prone and more likely to take an empirical approach to knowledge. They also generally enjoy ambiguity and value security.
It is difficult to say definitively what the effects of scoring high on the Uncertainty Avoidance Index are, as every culture is different. However, in general, it seems that cultures that score higher on this index tend to experience more stress, take an empirical approach to knowledge, and value security more. They may also try to always follow the rules, which can lead to a feeling of rigidity.
Match each job example with its career cluster.
Israel is a Cashier
Science, Technology, Engineering, and
Mathematics
Rakhee is an Aircraft Structure
Assembler
Manufacturing
Arie is a Chemist
Information Technology
Jake is a Flight Attendant.
Transportation and Logistics
Deb is a Video Game Designer.
Marketing, Sales, and Service
Answer:
Israel is a Cashier ⇒ Marketing, Sales, and ServiceAs a cashier, Israel is involved in the sales industry.
Rakhee is an Aircraft Structure Assembler ⇒ ManufacturingAssembling the structure of an airplane is a process in airplane manufacturing so this falls under manufacturing.
Arie is a Chemist ⇒ Science, Technology, Engineering, and Mathematics.Arie is a chemist which is a science related field as it involves chemistry and biology.
Jake is a Flight Attendant ⇒ Transportation and LogisticsJake as a flight attendant is in the transportation and logistics industry because planes transport people and goods.
Deb is a Video Game Designer ⇒ Information TechnologyDeb as a video game designer is in the IT industry which deals with software and computer related ventures.
Isaiah has the opportunity to participate in a work-study program at college. If he participates, how might this benefit him?
He can earn college credit for each hour that he works.
He will get the chance to meet with experts who work in his chosen career field.
He will have the ability to study while at his job on campus.
He will work a part-time job on campus to help pay for his tuition.
Answer :He can earn college credit for each hour that he works.
Explanation:
It would help him because he wouldn't have to pay for the credits
find the principal if $245 in interest is due after 10 months at
7%.
The principal amount is $350. The principal is the first amount of cash on which premium or returns are determined. With regards to back and speculations, the principal alludes to the underlying measure of cash that is contributed, acquired, or advanced. It is the first amount of cash on which premium or returns are determined.
For instance, in the event that you store $1,000 into an investment account, the $1,000 is the principal amount. While computing revenue acquired on this record, the loan fee is applied to the head.
To find the head, we can utilize the basic interest recipe:
Premium = Head × Rate × Time
Where:
Interest = $245
Rate = 7% or 0.07 (decimal structure)
Time = 10 months
We should substitute these qualities into the recipe and address regards for the head:245 = Head × 0.07 × 10 In the first place, we can work on the situation:245 = Head × 0.7
Then, partition the two sides of the situation by 0.7: 245/0.7 = Head
Working on the division, we get: 350 = Head
In this manner, the principal amount is $350.
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Ogier Incorporated currently has $780 million in sales, which are projected to grow by 10% in Year 1 and by 6% in Year 2. Its operating profitability (OP) is 7%, and its capital requirement (CR) is 80%. Do not round intermediate calculations. Enter your answers in millions. For example, an answer of $1 million should be entered as 1, not 1,000,000. Round your answers to two decimal places.
a. What are the projected sales in Years 1 and 2?
Sales in Year 1: ___________$million
Sales in Year 2: ____________$million
b. What are the projected amounts of net operating profit after taxes (NOPAT) for Years 1 and 2?
NOPAT for Year 1:________ $million
NOPAT for Year 2: ________ $million
c. What are the projected amounts of total net operating capital (OpCap) for Years 1 and 2?
OpCap for Year 1: ________ $million
OpCap for Year 2: ________ $million
d. What is the projected FCF for Year 27 $________ million
a. The projected sales in Year 1 can be calculated by multiplying the current sales by the growth rate of 10%:
Sales in Year 1 = $780 million * 1.10 = $858 million
The projected sales in Year 2 can be calculated by multiplying the Year 1 sales by the growth rate of 6%:
Sales in Year 2 = $858 million * 1.06 = $909.48 million (rounded to $909 million)
b. The net operating profit after taxes (NOPAT) can be calculated by multiplying the sales by the operating profitability (OP) and subtracting the taxes. Since the tax rate is not given in the question, we cannot calculate the exact NOPAT. Therefore, this question cannot be answered.
c. The total net operating capital (OpCap) can be calculated by multiplying the sales by the capital requirement (CR):
OpCap for Year 1 = $858 million * 0.80 = $686.40 million (rounded to $686 million)
OpCap for Year 2 = $909 million * 0.80 = $727.20 million (rounded to $727 million)
d. The projected free cash flow (FCF) for Year 27 is not provided in the given information, so we cannot calculate it. Therefore, this question cannot be answered.
In summary, based on the given information, we can calculate the projected sales in Years 1 and 2 and the projected amounts of total net operating capital for Years 1 and 2. However, the calculation of net operating profit after taxes (NOPAT) requires the tax rate, which is not provided in the question. The projected free cash flow for Year 27 is also not provided, so it cannot be calculated.
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Banks do not hold a lot of their assets in the form of cash mainly because of:
a. regulation.
b. the fear of being robbed.
c. the opportunity cost of holding cash, cash does not earn interest.
d. it can encourage employee theft.
Banks do not hold a lot of their assets in the form of cash mainly because of the opportunity cost of holding cash, cash does not earn interest. The correct option is C.
Opportunity costs are the possible advantages that a person, investor, or company forgoes while deciding between two options. It is necessary to weigh the advantages and disadvantages of each choice offered in order to correctly assess opportunity costs.
The interest that could have been made if the cash had been used to buy bonds instead is the opportunity cost of keeping any money balance.
Therefore, due to the opportunity cost of holding cash and cash does not earn interest banks does nor prefer to hold a lot of their assets in the form of cash .
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1. Why is career education so important for teens?
Preparing as much as possible for your first day of work can help workers to ________. a. remember important tasks they have forgotten b. let employers see how hard working they are c. use up stores of nervous energy they have d. feel unprepared for their new challenges Please select the best answer from the choices provided A B C D
Answer:
Use up stores of nervous energy they have.Explanation:
hopes this helps:)
Answer:
C
Explanation:
Use up stores of nervous energy they have. hope its right got you guys
hich pricing strategy involves setting a high price for an exclusive, high-end product?
Ralph purchased 4 tires for his van for $539.16. What is the price per tire?
Answer:
134.79 per tire
Explanation:
divide the total by how many
A/an ____ appraisal is conducted as part of the day-to-day working relationship between a manager and an employee.spontaneousinformal
An informal appraisal is conducted as part of the day-to-day working relationship between a manager and an employee. This type of appraisal is typically less structured and less formal than a traditional appraisal. The purpose of an informal appraisal is to provide feedback to the employee on their performance, highlight areas where they are excelling, and identify areas where they may need improvement.
In an informal appraisal, the manager may provide feedback on the employee's performance during regular meetings or check-ins. This could include discussing specific projects or tasks that the employee has worked on and providing feedback on their performance. The manager may also ask for the employee's input and feedback on their own performance, and work together to identify areas where improvements could be made.
Informal appraisals are a valuable tool for managers to provide ongoing feedback and support to their employees. They help to create a culture of open communication and collaboration, where employees feel valued and supported. However, it is important to note that informal appraisals should not replace formal performance reviews. Formal appraisals provide a more structured and comprehensive evaluation of an employee's performance, and should be conducted at least once a year.
In conclusion, an informal appraisal is an important part of the day-to-day working relationship between a manager and an employee. It provides an opportunity for ongoing feedback and support, and helps to create a culture of open communication and collaboration. However, it should be used in conjunction with formal appraisals to provide a comprehensive evaluation of an employee's performance.
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As a producer, you are willing to supply the most goods at the highest price. This is because the highest
price earns you the
most demand
highest costs
most profits
Answer: most profits
Explanation:
11. The current situation of XZ company is as follows: Variable costs are 84% of sales and fixed costs are $40000. a) A suggestion is made to improve the profit by increasing the contribution margin. If the contribution margin can be improved by 6% of sales by increasing fixed costs by $10000, will the break even point be lower? b) If sales are currently $300000, will the profit be better, assuming no increase in sales? Variable costs have gone up by 7% and fixed expenses have increased by $8000. The contribution margin is currently 24%. If selling prices can be increased by 7%, what increase in sales volume will be required to maintain the same profit as now? Sales now are $200000.
So the increase in sales volume will be (4.17 − 1) × 100% = 317.67%, or approximately 35.71%.
a) A suggestion is made to improve the profit by increasing the contribution margin. If the contribution margin can be improved by 6% of sales by increasing fixed costs by $10000, the break-even point will not be lower.
The break-even point will be the same because the increase in the contribution margin (6%) is equal to the increase in the fixed costs ($10,000).
b) If sales are currently $300,000, assuming no increase in sales, the profit will be lower. Variable costs have gone up by 7%, and fixed expenses have increased by $8,000. The contribution margin is currently 24%.
The contribution margin after the increase in the variable costs will be 24% − 7% = 17%.
The contribution margin ratio after the increase in variable costs will be 17% ÷ 100% = 0.17.
The new contribution margin will be
0.17($300,000) = $51,000.
After increasing the fixed expenses by $8,000, the new net income will be
$51,000 − $40,000 − $8,000 = $3,000.
Therefore, the profit will be lower. If selling prices can be increased by 7%, the increase in sales volume required to maintain the same profit as now is 35.71%.
Sales now are $200,000.
An increase in selling price by 7% will result in a new selling price of
107%($200,000) = $214,000.
The contribution margin will be
24% of $214,000 = $51,360.
After increasing the variable costs by 7%, the new variable costs will be
84% of $214,000 = $180,360.
The new contribution margin will be $51,360.
The new fixed expenses will be
$40,000 + $8,000 = $48,000.
The net income will be
$51,360 − $48,000 = $3,360.
The new contribution margin ratio will be
$51,360 ÷ $214,000 = 0.24,
which means that the sales volume has to increase by a factor of 1 ÷ 0.24 = 4.17.
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8. What is social fractionalization and how does "greater socialfractionalization" affect economic development in developed anddeveloping countries?
Social fractionalization refers to the degree of diversity or heterogeneity within a society based on various factors such as ethnicity, religion, language, and cultural practices. Greater social fractionalization in a society can have both positive and negative effects on economic development in developed and developing countries.
On the positive side, diversity can lead to creativity and innovation, which can drive economic growth through the development of new ideas, technologies, and products. It can also promote the exchange of knowledge and skills, leading to a more productive and dynamic workforce.However, on the negative side, social fractionalization can also lead to social and political conflict, which can disrupt economic activity, reduce foreign investment, and create uncertainty. It can also result in discrimination, which can limit access to opportunities and resources, leading to economic inequality.
In developed countries, where social institutions and legal frameworks are generally stronger, social fractionalization is less likely to lead to negative effects on economic development. However, in developing countries, where social institutions and legal frameworks may be weaker, social fractionalization can have a more significant impact on economic development.Therefore, it is essential to manage social fractionalization effectively by promoting social cohesion, tolerance, and inclusion through policies and programs that encourage dialogue, understanding, and cooperation among diverse groups.
This can help to mitigate the negative effects of social fractionalization and harness its positive effects for economic development.
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Your mentor asked you to deliver something in 30 minutes, but you have something else due in too. what do you do?
Your mentor asked you to deliver something in 30 minutes, but you have something else due in too. what do you do?
who death was sadder itachi or minato or Jiraiya
Answer:
i would say Jiraiya
Explanation:
he was alone when ijt happen and was weak
You decide to change careers and have assessed your values, interests, and skills. What should you do next?
Apply for jobs that look interesting.
Enroll in a certification program.
Make a list of potential jobs and research them.
Reach out to a friend to see if their company is hiring.
Answer:
Make a list of potential jobs and research them
Explanation:
Answer:
Make a list of potential jobs and research them.
Explanation:
which of the following actions would be likely to shorten the cash conversion cycle? a. begin to take cash discounts on inventory purchases; the terms are 2/10 net 30. b. adopt a new manufacturing process that saves some labor costs but slows down the conversion of raw materials to finished goods from 10 days to 20 days.
The option a. Taking cash discounts on inventory purchases (2/10 net 30) would be likely to shorten the cash conversion cycle.
The cash conversion cycle (CCC) measures the length of time it takes for a company to convert its investments in inventory and other resources into cash. A shorter CCC is generally desirable because it means that a company is able to generate cash more quickly and efficiently.
Taking cash discounts on inventory purchases (2/10 net 30) can shorten the CCC by allowing the company to pay its suppliers more quickly and receive payment from its customers more slowly.
The terms 2/10 net 30 mean that the company will receive a 2% discount if it pays its bills within 10 days, otherwise it must pay the full amount within 30 days. By taking advantage of the discount, the company can reduce the amount of time it takes to pay its suppliers and thus reduce its CCC.
Hence , correct option is A.Taking cash discounts on inventory purchases (2/10 net 30)
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Tom is a junk remover who occasionally finds rare antiques to sell. He uses an online auction site to sell each antique at the highest possible price customers are willing to pay. Tom is engaging in _____, which leads to _____ consumer surplus.
Tom is a junk remover who occasionally finds rare antiques to sell. He uses an online auction site to sell each antique for the highest possible price customers are willing to pay. Tom is engaging in perfect price discrimination and this leads to zero consumer surplus.
What three ways does pricing discrimination come in?The first degree of price discrimination is known as personalized pricing, the second degree is known as product versioning or menu pricing, and the third degree is known as group pricing.
Which four pricing types are there?Although there are many various pricing tactics, small business owners typically employ Competitive Pricing, Cost-plus Pricing, Markup Pricing, and Demand Pricing.
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A company can use the lifo inventory method for income tax purposes and the fifo inventory method for financial reporting purposes during a given year. True or false?.
A company can use the LIFO inventory method for income tax purposes and the FIFO inventory method for financial reporting purposes during a given year, is the true statement.
What is LIFO inventory?The inventory accounting method known as latest in, first out (LIFO) is applied. In accordance with LIFO, expenses are subtracted beginning with those for the most recent purchases of items (or produced). The only place LIFO is used is in the United States, and it is governed by generally accepted accounting principles.
First in, first out (FIFO) inventory management seeks to value inventory in an effort to lessen the possibility that the business would incur losses when items go bad or become obsolete.
Thus, it is a true statement.
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