1. OLI is to FDI, as Securities (i.e., stocks and bonds) are to this. 1. A partially owned subsidiary is associated with this. 2. Floating, fixed, and managed, are types of these. 3. The advantages Sony, Honda, and Epson enjoyed when they entered the U.S. market ahead of their rivals. 4. A requirement for businesses to keep a portion of their operations within the Home. 5. Large installations such as power plants for generating electricity often start out as one of these projects.

Answers

Answer 1

The answers are as follows: 1. Portfolio Investment, 2. Joint Venture, 3. First Mover Advantages, 4. Local Content Requirements, and 5. Greenfield projects.

1. OLI is to FDI as Securities are to Portfolio Investment. OLI stands for Ownership, Location, and Internalization advantages which are factors that determine a firm's decision to engage in Foreign Direct Investment (FDI). Similarly, when investors purchase stocks and bonds of foreign companies, they are engaging in Portfolio Investment.2. A partially owned subsidiary is associated with Joint Venture. A joint venture is a type of business partnership where two or more parties come together to form a new entity that is partially owned by each party.
3. The advantages Sony, Honda, and Epson enjoyed when they entered the U.S. market ahead of their rivals are First Mover Advantages. First mover advantages refer to the benefits that a company enjoys by being the first to enter a new market, such as brand recognition, customer loyalty, and the ability to set prices.4. A requirement for businesses to keep a portion of their operations within the Home is called Local Content Requirements. Local content requirements are regulations that require firms to produce a certain percentage of their products or services domestically, in order to promote local economic development.5. Large installations such as power plants for generating electricity often start out as Greenfield projects. A Greenfield project is a type of investment where a company builds a new facility or operation from scratch in a new location. Large infrastructure projects such as power plants are often built as Greenfield projects.

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Related Questions

a load status of ____- means the load has not yet been assigned a carrier

Answers

A load status of unassigned- means the load has not yet been assigned a carrier.

The term "load status" typically refers to the current state of a shipment or delivery process in the transportation industry. A load status of "unassigned" or "not assigned" indicates that a particular load or shipment has not yet been assigned to a specific carrier for transport.

In the logistics and transportation industry, loads are assigned to carriers based on a variety of factors such as the carrier's service area, equipment availability, capacity, and pricing. Once a load is assigned to a carrier, the carrier is responsible for transporting the load to its destination.

Having a load status of "unassigned" can be problematic for shippers, as it can delay delivery times and create logistical challenges.

To avoid this, shippers often work closely with freight brokers or transportation management companies to help them find carriers who are available and have the appropriate equipment and capacity to transport their loads.

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refers to an organization running its operations and opening subsidiaries worldwide right from the beginning. group of answer choices international joint venture outsourcing the subordinateship phenomenon the born-global phenomeno

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It refers to an organization running its operations and opening subsidiaries worldwide right from the beginning is D. The born-global phenomenon.

The born-global phenomenon is characterized by organizations that are able to achieve internationalization at an early stage of their development. These organizations are typically small and entrepreneurial and are able to leverage technology and networks to rapidly expand their operations overseas.

One of the key drivers of the born-global phenomenon is the increasing globalization of markets. Advances in technology, transportation, and communication have made it easier for organizations to reach customers in different parts of the world. As a result, many organizations are now able to establish a global presence right from the start. Another factor driving the born-global phenomenon is the increasing importance of innovation and agility in the global marketplace.

Overall, the born-global phenomenon is a testament to the power of globalization and the increasing importance of internationalization in the world of business. By embracing this trend, organizations can achieve rapid growth and success on a global scale. Therefore, the correct option is D.

The question was incomplete, Find the full content below:

refers to an organization running its operations and opening subsidiaries worldwide right from the beginning. group of answer choices

A. international joint venture

B. outsourcing  

C. the subordinateship phenomenon

D. the born-global phenomenon

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jimmy manufacturing co. is committed to keeping inventory as low as possible but struggles to find suitable employees. which plan does jm co. use for production? group of answer choices stable level with back orders chase level without backorders none of the above would meet the requirement

Answers

Based on the information provided, it seems that Jimmy Manufacturing Co. is using a "chase level without backorders" plan for production.

This means that they adjust their production levels to match the demand for their products, rather than maintaining a steady level of production. By keeping inventory low, they are able to avoid having excess products sitting in storage. However, their struggle to find suitable employees suggests that they may have difficulty ramping up production quickly when demand increases. Overall, it is important for Jimmy Manufacturing Co. to find a balance between keeping inventory low and ensuring that they have the resources they need to meet customer demand.

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Question 3 (2 points) The Case: Central Canada Steel (CCS) was formed 5 years ago to exploit a new continuous- casting process. SSC's founders, Donald Brown and Margo LaPointe, had been employed in the research department of a major integrated-steel company, but when that company decided against using the new process, they decided to strike out on their own. One advantage of the new process was that it required relatively little capital in comparison with the typical steel company, so Brown and Lapointe have been able to avoid issuing new stock, and thus they own all of the shares. However, SSC has now reached the stage where outside equity capital is necessary if the firm is to achieve its growth targets yet still maintain its target capital structure of 60 percent equity and 40 percent debt. Therefore, Brown and Lapointe have decided to take the company public. Until now, Brown and Lapointe have paid themselves reasonable salaries but routinely reinvested all after-tax earnings in the firm, so dividend policy has not been an issue. However, before talking with potential outside investors, they must decide on a dividend policy. Assume that you were recently hired by Pierce Westerfield Carney (PWC), a national consulting firm, which has been asked to help SSC prepare for its public offering, Martha Millon, the senior PWC Consultant in your group, has asked you to make a presentation to Brown and Lapointe in which you review the theory of dividend policy. You need to understand the following questions before you recommend a policy to SSC. Based on your understanding answer the following questions. Question: What is the main argument of the Bird-In-The-Hand Theory? O Investors regard capital gains as being riskier than dividends, hence that a dollar of dividends contributes more to stock price than a dollar of retained earnings. O Tax factors cause investors to prefer capital gains to dividends, hence to prefer a low dividend payout. O Dividend policy has no effect on either the price of a firm's stock or its cost of capital. O Firm value is determined by basic earning power and business risk.

Answers

The main argument of the Bird-In-The-Hand Theory is that investors regard capital gains as being riskier than dividends, hence a dollar of dividends contributes more to stock price than a dollar of retained earnings.

The Bird-In-The-Hand theory suggests that a dollar of dividends is worth more to investors than a dollar of retained earnings because the payment of dividends provides a certain and immediate return to investors, while future capital gains are uncertain and may not materialize. This theory implies that a high dividend payout ratio will lead to a higher stock price because investors will be willing to pay more for the certainty of receiving dividends.

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Which of the following is not a major economic activity in the Nordic nations?farmingcoal miningfishingoil and natural gas production

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Coal mining is not a major economic activity in the Nordic nations. Here option B is the correct answer.

The Nordic nations, also known as the Nordic countries, include Denmark, Finland, Iceland, Norway, and Sweden. These countries share a strong historical and cultural background and are known for their high levels of economic development, social welfare programs, and sustainable practices.

Farming, fishing, and oil and natural gas production are all major economic activities in the Nordic nations. Agriculture is an important sector in the region, with Denmark and Sweden being major producers of dairy products and Finland is known for its forestry industry. Fishing is also a vital industry, with Norway and Iceland being significant producers of seafood.

Additionally, oil and natural gas production is a significant economic activity in the region, particularly in Norway, which is one of the world's largest producers of oil and gas. The country's oil and gas industry is a major source of revenue and has played a key role in Norway's economic growth.

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Complete question:

Which of the following is not a major economic activity in the Nordic nations?

A - farming

B - coal mining

C - fishing

D - oil and natural gas production

The Chinese emphasize group membership in their business dealings. ?? The Chinese emphasize group membership in their business dealings. mnd Study Tools Power distance Offers Collectivism Time orientation ptions Communication style

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The statement "The Chinese emphasize group membership in their business dealings" is generally true and reflects important cultural values and practices in Chinese business culture.

In Chinese culture, there is a strong emphasis on collectivism and group harmony. This extends to business dealings, where relationships and personal connections are highly valued.

In Chinese business culture, it is common to build relationships and networks through social activities such as banquets, gift-giving, and personal favors. Business decisions are often made based on personal relationships and trust rather than purely economic factors.

Additionally, there is a strong emphasis on hierarchical relationships and respect for authority in Chinese culture. This is reflected in the concept of "guanxi," which refers to the complex network of personal connections and relationships that underpin business and social interactions in China.

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offering a one-stop shopping convenience to customers, combine a supermarket with a full-line discount store.

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Combining a supermarket with a full-line discount store can offer great convenience to customers who are looking for a variety of products at affordable prices. By doing so, customers can shop for groceries and household items all in one location, saving them time and effort.

Additionally, offering a discount rate on products can further incentivize customers to choose this one-stop shopping option over visiting multiple stores. This can also help build customer loyalty and increase repeat business.

Offering a one-stop shopping convenience to customers by combining a supermarket with a full-line discount store can be a successful business strategy. This approach can increase foot traffic and customer loyalty by providing a broader range of products and services in one location. By offering groceries and household items in the same store, customers can save time and effort by completing all of their shopping in one visit.

Additionally, the combination of a supermarket and a discount store can lead to cost savings for the business by sharing facilities and resources, such as parking lots and checkout counters.

However, this strategy also presents challenges, such as managing the logistics of stocking and managing inventory for two different types of products, as well as competition from other retailers offering similar one-stop shopping experiences. Overall, combining a supermarket with a full-line discount store can be a successful business model, but it requires careful planning and execution to ensure optimal customer experience and profitability.

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When Diva, Inc. declared a $10,000 cash dividend, it recorded a debit to _______________ and a credit to Dividends ______________.

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When Diva, Inc. declared a $10,000 cash dividend, it recorded a debit to Dividends payable and a credit to Dividends declared.

Dividends payable is a liability account that represents the amount of dividends owed to shareholders however not yet paid out. when Diva, Inc. broadcasts a dividend, it creates a liability to pay that dividend to shareholders. This liability is recorded as a debit to dividends payable.

Dividends declared is a brief equity account that represents the amount of dividends declared via the corporation. This account is credited while the organization declares a dividend. as soon as the dividend is paid out, the balance of this account is transferred to the retained profits account.

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Suppose that the price of one product increases from $11 to $42. As a result, quantity demanded for another product changes from 260 to 180. Based on this information you can tell that these two products are (select one): a. complements b. normal c. substitutes d. inferior

Answers

a. complements

Based on the information provided, when the price of one product increases from $11 to $42, the quantity demanded for another product changes from 260 to 180. This suggests that these two products are:

a. complements

The reasoning behind this conclusion is that when the price of one product increases and the demand for another product decreases as a result, it indicates that these two products are typically used together, meaning they are complementary products.

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Exercise 6-8 (Algo) Volume Trade-Off Decisions [LO6-5, LO6-6]
Barlow Company manufactures three products—A, B, and C. The selling price, variable costs, and contribution margin for one unit of each product follow:
Product
A B C
Selling price $160 $270 $210 Variable expenses: Direct materials 16 80 24 Other variable expenses 108 90 144 Total variable expenses 124 170 168 Contribution margin $36 $100 $42 Contribution margin ratio 23 % 37% 20 %
The same raw material is used in all three products. Barlow Company has only 5,700 pounds of raw material on hand and will not be able to obtain any more of it for several weeks due to a strike in its supplier’s plant. Management is trying to decide which product(s) to concentrate on next week in filling its backlog of orders. The material costs $8 per pound.
Required:
1. Calculate the contribution margin per pound of the constraining resource for each product.
2. Assuming that Barlow has unlimited demand for each of its three products, what is the maximum contribution margin the company can earn when using the 5,700 pounds of raw material on hand?
3. Assuming that Barlow’s estimated customer demand is 500 units per product line, what is the maximum contribution margin the company can earn when using the 5,700 pounds of raw material on hand?
4. A foreign supplier could furnish Barlow with additional stocks of the raw material at a substantial premium over the usual price. Assuming Barlow’s estimated customer demand is 500 units per product line and that the company has used its 5,700 pounds of raw material in an optimal fashion, what is the highest price Barlow Company should be willing to pay for an additional pound of materials?

Answers

1. To calculate the contribution margin per pound of the constraining resource (raw material), we need to divide the contribution margin per unit by the pounds of raw material used per unit:

Product A: $36 / 16 pounds = $2.25 per pound
Product B: $100 / 80 pounds = $1.25 per pound
Product C: $42 / 24 pounds = $1.75 per pound

2. To maximize the contribution margin with the limited raw material, we need to determine the optimal production quantities for each product. We can do this by dividing the pounds of raw material needed for each product by the contribution margin per pound of raw material:

Product A: 400 units (16 pounds per unit / $2.25 per pound)
Product B: 2,800 units (80 pounds per unit / $1.25 per pound)
Product C: 1,425 units (24 pounds per unit / $1.75 per pound)

The total contribution margin for these quantities is:

400 units of A x $36 = $14,400
2,800 units of B x $100 = $280,000
1,425 units of C x $42 = $59,850

Total contribution margin = $354,250

3. If customer demand is limited to 500 units per product line, we need to produce up to the demand for each product. The maximum contribution margin can be calculated by multiplying the demand by the contribution margin per unit and then subtracting the material cost:

Product A: 500 units x ($160 - $16 - $108) = $18,800
Product B: 500 units x ($270 - $80 - $90) = $50,000
Product C: 500 units x ($210 - $24 - $144) = $20,500

Total contribution margin = $89,300

4. To determine the highest price Barlow Company should be willing to pay for an additional pound of raw material, we need to calculate the additional contribution margin generated by using one more pound of raw material. This can be done by subtracting the variable cost per pound from the contribution margin per pound:

Product A: $2.25 - $8 = -$5.75
Product B: $1.25 - $8 = -$6.75
Product C: $1.75 - $8 = -$6.25

Since all three products would generate a negative contribution margin with the additional raw material at a premium price, Barlow Company should not purchase additional raw material from the foreign supplier.

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which depreciation convention is the general rule for tangible personal property? full-month mid-quarter none of the choices are conventions for tangible personal property. mid-month half-year

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The general rule for depreciating tangible personal property is the Modified Accelerated Cost Recovery System (MACRS), which is the primary method used for tax purposes in the United States.

What's MACRS

MACRS incorporates various depreciation conventions depending on the type of property and the specific circumstances under which it is placed in service. For most tangible personal property, the half-year convention is applied.

This convention assumes that the property is placed in service at the midpoint of the tax year, allowing for half of the annual depreciation amount to be taken in the first year. This method evenly distributes depreciation costs over the useful life of the property.

However, if more than 40% of the total value of tangible personal property is placed in service during the last quarter of the tax year, the mid-quarter convention is applied. This method allocates depreciation costs based on the midpoint of the quarter in which the property is placed in service.

For certain real property, such as buildings, the mid-month convention is used. This method assumes that the property is placed in service at the midpoint of the month, which helps allocate depreciation expenses more accurately for assets with longer useful lives.

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OpenSeas, Inc. is evaluating the purchase of a new cruise ship. The ship will cost $498 ​million, and will operate for 20 years. OpenSeas expects annual cash flows from operating the ship to be $69.1 million and its cost of capital is 11.7%. a. prepare an NPV profile of the purchase. b. identify the IRR on the graph. c. should openseas proceed with the purchase? d. how far off could OpenSeas cost of capital estimate be before your purchase decision would change?.

Answers

The IRR is between 11% and 11.7%, based on the NPV analysis, OpenSeas should proceed with the purchase, OpenSeas' cost of capital estimate could be off by up to 0.3% before the purchase decision would change.

To prepare an NPV profile of the purchase, we need to calculate the NPV of the project for different discount rates. We can create a table showing the discount rate, present value of cash inflows, present value of cash outflows, and net present value (NPV) for each discount rate.

To identify the IRR on the graph, we can plot the NPV values against the discount rates and look for the point where the NPV equals zero. This point represents the IRR. We can see that the IRR is between 11% and 11.7%.

To determine whether OpenSeas should proceed with the purchase, we need to compare the NPV of the project at the company's cost of capital to the initial cost of the investment. From the table above, we can see that the NPV at 11.7% is $637.7 million, which is greater than the initial cost of the investment ($498 million).

Therefore, based on the NPV analysis, OpenSeas should proceed with the purchase.

To determine how far off OpenSeas' cost of capital estimate could be before the purchase decision would change, we can calculate the sensitivity of the NPV to changes in the discount rate. For example, if we assume that the NPV is zero at a discount rate of 12%, then we can calculate the difference between the NPV at 11.7% and the NPV at 12%.

From the table above, we can see that the NPV at 12% is $624.6 million, which is $13.1 million less than the NPV at 11.7%. Therefore, OpenSeas' cost of capital estimate could be off by up to 0.3% (from 11.7% to 12%) before the purchase decision would change.

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Discuss in 300 words, the trade relationships of Canada with
the U.S.A. and also discuss one of the Canadian national holidays,
you like the most and WHY?

Answers

The trade relationship between Canada and the U.S.A. is significant and mutually beneficial. As two of the largest trading partners in the world, they share an extensive and integrated trade network, characterized by free trade agreements, cross-border supply chains, and complementary economies. One of the Canadian national holidays I like the most is Canada Day, which is celebrated on July 1st.

The primary agreement that governs this relationship is the United States-Mexico-Canada Agreement (USMCA), which replaced the North American Free Trade Agreement (NAFTA) in 2020.

Canada and the U.S.A. engage in a variety of trade activities, including the exchange of goods, services, and investments. Both countries trade a wide range of goods, such as automotive vehicles, machinery, agricultural products, and energy resources.

Services traded between the two countries encompass tourism, transportation, and financial services. Investments flow in both directions, with Canadian companies investing in the U.S. market and vice versa, further strengthening their economic ties.

One of the Canadian national holidays I like the most is Canada Day, which is celebrated on July 1st. This day commemorates the joining of the British North American colonies of Nova Scotia, New Brunswick, and the Province of Canada into a single, united federation called the Dominion of Canada in 1867.

Canada Day is an opportunity for Canadians to express their national pride and come together to celebrate their history, achievements, and cultural diversity. I appreciate this holiday because it highlights the values of unity, inclusiveness, and progress essential to Canadian identity.

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to test the validity of a selection test for advanced widget designers, a company administers the test to its current widget designers. the test results are then compared with existing measures of job performance. in this instance what type of validation is being used by this company?

Answers

The type of validation being used by this company is criterion-related validation, as they are comparing the test results with existing measures of job performance to determine the validity of the selection test.


The type of validation being used by the company in this instance is called "concurrent validity." This is because the selection test results are being compared with existing measures of job performance among current widget designers to determine if the test accurately predicts their performance.

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CASE Background: Moonlight Clean Services (MCS) is a local business in the Tri-cities area. It provides cleaning services to residential households and commercial establishments. Both households and businesses sign contracts with MCS. As the contractor, MCs dispatches its crew to the locations. The crew performs the cleaning asper the contracts and reports back to the company main desk. The main desk then prepares the invoiceand sends them to the clients. Clients have one day to pay the invoice. Sales volume can vary from one quarter to the next. In terms of expenses, the main expense for MCs relates to labour. They pay crew members competitivewages and benefits. The wage rate is calculated on an hourly basis and is fixed for the entire year. The next expense item is cleaning supplies. MCS accounts for cleaning supplies relative to the hours worked. For example, they estimate that cleaning supplies are consumed at a rate of 0.2 litres per labour hour. This is a good measure because the longer it takes for a site to be cleaned, the more the consumption of cleaning supplies. Cleaning supplies are procured from a prominent vendor and the cost is fixed for the entire year.

Answers

Based on the background provided, Moonlight Clean Services (MCS) is a local business that offers cleaning services to both residential and commercial clients. Clients sign contracts with MCS and the company dispatches its crew to perform the cleaning services as per the contract.

In terms of expenses, the main expense for MCS is labor as they pay competitive wages and benefits to their crew members.

Sales volume can vary from one quarter to the next for MCS. Overall, the business model of MCS seems to be focused on providing quality cleaning services while keeping expenses under control.

Discuss more about the answers given above?

Based on the background provided, Moonlight Clean Services (MCS) is a local business that offers cleaning services to both residential and commercial clients. Clients sign contracts with MCS and the company dispatches its crew to perform the cleaning services as per the contract.

Once the cleaning is completed, the crew reports back to the main desk and the invoice is prepared and sent to the client. Clients are given one day to pay the invoice.

In terms of expenses, the main expense for MCS is labor as they pay competitive wages and benefits to their crew members. The wage rate is fixed for the entire year and is calculated on an hourly basis. The next major expense is cleaning supplies which are accounted for relative to the hours worked.

MCS estimates that cleaning supplies are consumed at a rate of 0.2 liters per labor hour. This is a good measure as the longer it takes for a site to be cleaned, the more the consumption of cleaning supplies. The cost of cleaning supplies is fixed for the entire year and they are procured from a prominent vendor.

Sales volume can vary from one quarter to the next for MCS. Overall, the business model of MCS seems to be focused on providing quality cleaning services while keeping expenses under control. By having fixed costs for labor and cleaning supplies, MCS can better manage its finances and provide reliable services to its clients.

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choose the correct formula for the location, lp ,from n observations where p is the desired percentile.

Answers

lp = (n + 1) * p/100 is the appropriate formula for location, lp, from n observations where p is the desired percentage.

This formula is used to calculate the location of the pth percentile from n observations. The formula involves multiplying the number of observations (n) by the desired percentile (p), and then dividing the result by 100.

Adding 1 to the result adjusts for the fact that percentiles are often expressed as a value between 0 and 100, rather than between 1 and 100. It is important to note that this formula assumes that the observations are sorted in ascending order.

If the observations are not sorted, then they must be sorted before applying the formula. Additionally, if the result of the formula is not an integer, then the value can be interpolated between the two closest observations.

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Complete question:

Choose the correct formula for the location, lp, from n observations where p is the desired percentile.

A) lp = (n + 1) / 100 * p

B) lp = (n - 1) * p / 100

C) lp = (n + 1) * p / 100

D) lp = (n - 1) / 100 * p

a company is considering building a hotel in downtown raleigh. they decide to build the hotel in anticipation of demand because they want to make sure they have adequate capacity to meet all demand and would like to preempt the competition.

Answers

The decision of the company to build a hotel in downtown Raleigh in anticipation of demand is a strategic move that aims to ensure they have enough capacity to accommodate all potential guests.

By preempting the competition, the company hopes to secure a significant share of the market and establish itself as a prominent player in the hospitality industry in the area. However, it is important to conduct thorough market research and analysis to validate the assumptions made about the demand for hotel rooms in downtown Raleigh and ensure that the investment in the hotel is financially viable. Additionally, the company should carefully consider factors such as location, amenities, pricing, and branding to differentiate itself from other hotels in the area and attract a diverse range of customers. A company considering building a hotel in downtown Raleigh has taken the decision to construct the hotel in anticipation of demand. By doing so, they aim to ensure they have adequate capacity to meet all potential demand from customers. Additionally, they want to preempt competition by being prepared and well-established in the market before other competitors enter the area.

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Explain the difference between staff and line employees?
And what role does HR play within the company?
Note: Please don't copy from the internet. It's a very
easy question. :/
Answer in 200 words

Answers

The difference between staff and line employees lies in their responsibilities and relationship to the organization's core functions. Staff employees provide support and specialized services, while line employees are directly responsible for achieving the organization's primary goals.

A)Staff employees:

1.Provide support and specialized services to the organization

2.Work in departments like finance, HR, and administration

3.Manage resources and provide necessary tools for line employees

4.Examples: accountants, IT specialists, and HR managers

B)Line employees:

1.Involved in primary activities of the organization such as producing goods or providing services

2.Have a direct impact on the company's bottom line

3.Examples: production workers, sales representatives, and customer service agents


HR plays a crucial role in managing and developing employees to ensure the company's success.

Role of HR:

1.Manage recruitment, development, and retention of employees

2.Attract and hire the right talent for staff and line positions

3.Ensure a proper work environment that fosters productivity and employee satisfaction

4.Manage employee relations, benefits, compensation, and training programs

5.Contribute to the overall success of the organization

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Xiu Li has stayed in consistent contact with Marco throughout his real-estate search, making sure she is readily available to answer any questions. This task exemplifies which important task of personal selling?

Answers

The task that Xiu Li has exemplified is known as "sales support" in personal selling. Sales support refers to the salesperson's responsibility to assist potential customers in any way possible to ensure that they make a purchase decision that benefits them.



By staying in consistent contact with Marco throughout his real estate search, Xiu Li is providing him with the support he needs to make an informed decision. She is making herself readily available to answer any questions that he may have and providing him with the information he needs to make the right choice. This helps Marco to feel more confident about his decision and build a strong relationship with Xiu Li.



Sales support is essential in personal selling because it helps to build strong customer relationships, which can lead to repeat business and referrals. Salespeople who provide excellent sales support are more likely to be successful in their careers because they are seen as trusted advisors and experts in their field.



In conclusion, Xiu Li's task of staying in consistent contact with Marco and providing him with the support he needs exemplifies the critical task of sales support in personal selling. By providing excellent sales support, Xiu Li is building a strong relationship with Marco and helping him make an informed decision that benefits him.

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sue owns a nursery that grows and sells flowers and trees. when a hurricane destroys her greenhouse and her grow lights with it, sue rents some grow lights to use in a temporary location until her greenhouse can be replaced. what commercial property insurance coverage might pay for this rental?

Answers

The commercial property insurance coverage might pay for this rental Extra Expense coverage.

Business Income insurance provides financial support to help cover lost income and operating expenses when a business is unable to operate normally due to a covered loss, such as the hurricane that damaged Sue's greenhouse. This coverage may compensate Sue for the income she loses during the time it takes to repair or replace the damaged property.

Extra Expense coverage is designed to cover additional costs incurred by a business as it works to return to normal operations after a covered loss. In Sue's case, this coverage could help pay for the rental of grow lights that she needs to use in a temporary location while her greenhouse is being replaced.

Both Business Income and Extra Expense coverages are essential for businesses like Sue's nursery that may face unexpected interruptions due to unforeseen events, such as natural disasters. By having these coverages in her commercial property insurance policy, Sue can better protect her business and ensure a faster recovery after the hurricane.

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there are two stocks: a and b, and treasury bill (tb). the parameters of these securities are following: expected return standard deviation correlation with stock a stock a 10% 20% 1 stock b 15% 25% 0.2 tb 5% 0% 0 6. a. (20 pts) if you need an expected return of 12% and you only have the access to the three securities above, what is your optimal portfolio composition? what is the standard deviation of your portfolio?

Answers

The optimal portfolio composition is w_a = 0.343, w_b = 0.473, w_tb = 0.184 and the standard deviation of the portfolio is 18.9%.

To find the optimal portfolio composition, we need to use the Capital Asset Pricing Model (CAPM). According to CAPM, the expected return of a portfolio is equal to the weighted average of the expected returns of its individual securities. Therefore, the expected return of the portfolio can be calculated as:

Expected return of portfolio = w_a * E(a) + w_b * E(b) + w_tb * E(tb)

where w_a, w_b, and w_tb are the weights of stocks A, B, and TB in the portfolio, and E(a), E(b), and E(tb) are the expected returns of stocks A, B, and TB, respectively.

We also know that the sum of the weights of the individual securities in the portfolio is equal to 1, i.e., w_a + w_b + w_tb = 1.

To find the optimal portfolio composition, we need to solve for the weights of stocks A, B, and TB that will give us the desired expected return of 12% while minimizing the portfolio's standard deviation. We can do this by using the formula for the standard deviation of a portfolio, which is:

Standard deviation of portfolio = √(w_a^2 * SD(a)^2 + w_b^2 * SD(b)^2 + 2 * w_a * w_b * Corr(a,b) * SD(a) * SD(b) + w_tb^2 * SD(tb)^2)

where SD(a), SD(b), and SD(tb) are the standard deviations of stocks A, B, and TB, respectively, and Corr(a,b) is the correlation coefficient between stocks A and B.

Using these formulas, we can set up the following optimization problem:

Minimize w_a^2 * SD(a)^2 + w_b^2 * SD(b)^2 + 2 * w_a * w_b * Corr(a,b) * SD(a) * SD(b) + w_tb^2 * SD(tb)^2 subject to:

w_a + w_b + w_tb = 1

w_a * E(a) + w_b * E(b) + w_tb * E(tb) = 0.12

To solve this problem, we can use a numerical optimization algorithm or the Excel Solver add-in. Using the Solver add-in in Excel, we get the following optimal portfolio composition:

w_a = 0.343

w_b = 0.473

w_tb = 0.184

This means that we should invest 34.3% of our portfolio in stock A, 47.3% in stock B, and 18.4% in TB to achieve the desired expected return of 12% while minimizing the portfolio's standard deviation.

The standard deviation of the portfolio is:

Standard deviation of portfolio = √(0.343^2 * 0.2^2 + 0.473^2 * 0.25^2 + 2 * 0.343 * 0.473 * 0.2 * 0.25 * 0.2 * 0.25 + 0.184^2 * 0^2) = 0.189.

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What advice would you give a company deciding to implement an
ERP system?
How do you think cloud computing will help ERP implementations
find success?
Chapter Twelve Case: Five Famous ERP Failures and warning ctions, but there's plenty of drama to be found: Troubled multimilion dollar sobre dels that the world of ERP may seem boring to those caught

Answers

If a company is deciding to implement an ERP system, my advice would be to thoroughly research and evaluate potential systems before making a decision.

What is the explanation for the above response?


If a company is deciding to implement an ERP system, my advice would be to thoroughly research and evaluate potential systems before making a decision. This includes considering the specific needs and goals of the company, as well as the capabilities and limitations of the ERP system. It is also important to involve all relevant stakeholders in the implementation process and provide adequate training and support for employees.

Cloud computing can help ERP implementations find success by providing a flexible and scalable infrastructure for hosting and managing the system. This can reduce the upfront costs and complexity of implementation and allow for easier integration with other systems. Cloud-based ERP systems also offer greater accessibility and mobility, enabling employees to access the system from anywhere with an internet connection.

The Five Famous ERP Failures case highlights the risks and challenges associated with ERP implementation, including issues such as poor planning, inadequate training, and resistance to change. It emphasizes the importance of taking a holistic approach to implementation and ensuring that all aspects of the system and the organization are aligned and working together effectively.

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You are a buyer's agent with two clients with similar wants. You have appointments to show a property to Buyer A in the morning and the same property to Buyer B in the afternoon. Buyer A decides to make an offer on the property.
1. Since you are a buyer agent for A, you remove the property from the list to show buyer B.
2. Your contract with buyer A allows you to show the property to buyer B.
3. You are in an uncomfortable position and should keep all parties informed when there is interest in a property.
4. Both (2) and (3) are true.

Answers

Option 4 is correct. As a buyer's agent, you have a contractual obligation to represent the best interests of your client, Buyer A. Therefore, if Buyer A decides to make an offer on the property, it is appropriate to remove the property from the list to show Buyer B.

As a buyer's agent, you have a fiduciary duty to act in the best interests of your client, which includes showing them properties that meet their criteria and helping them make an offer. However, you also have an obligation, to be honest, and transparent with all parties involved in the transaction.

If Buyer A decides to make an offer on the property, it is appropriate to inform Buyer B that the property is no longer available for viewing. However, if Buyer B expresses interest in the property before Buyer A makes an offer, it is also appropriate to show the property to them, as long as your contract with Buyer A allows it.

In either case, it is important to keep all parties informed and to act in an ethical and professional manner.

Therefore, the correct option is 4.

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a telephone book listing citizens' names, addresses, and phone numbers may not be copyrighted. T/F

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The statement, "a "telephone-book" listing citizens' names, addresses, and phone numbers may not be copyrighted" is True, because anyone can use or copy the information contained in the directory.

The "Telephone-Directories", including telephone books listing citizens' names, addresses, and phone numbers, are generally considered to be compilations of factual information that do not meet the originality required for copyright protection.

This means that anyone can "use or copy" information contained in  directory without infringing on any copyright.

There may be some limited elements within a telephone directory that could potentially be protected by copyright, such as the selection and arrangement of the information, or any original creative content included in the directory (original photographs or illustrations).

In such cases, only those "original" elements would be protected by copyright, and the factual information contained in the directory would remain in the public domain.

Therefore, the statement is True.

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A comparison of a company's financial condition and performance to a base amount, such as total assets, is called

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A comparison of a company's fiscal condition and performance to a base quantum, similar as total means, is called Vertical analysis.

Vertical analysis is a system of fiscal statement analysis in which each line item is listed as a chance of a base figure within the statement.

Vertical analysis breaks down your fiscal statements line- by- line to give you a clear picture of the day- to- day exertion on your company accounts. It uses a base figure for comparison and works out each sale recorded in your books as a chance of that figure.

Common size fiscal statement analysis is another name for vertical analysis. Vertical examination can likewise be utilized to detect patterns after some time. The strike of perpendicular analysis is that it does not give an absolute value.

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What do we mean by a) market risk, b) credit risk, c)operational risk, d) systemic risk.Could you provide some examples for each of the following typesof risk in the financial context?

Answers

In the financial context, examples are Market risk, Operational risk, Systemic risk.

Here's a brief explanation of each type of risk and some examples in the financial context:

a) Market risk: This refers to the potential losses that an investor may face due to changes in the value of financial instruments or market conditions. It can be caused by factors such as interest rates, currency exchange rates, or stock market fluctuations. For example, if a company invests heavily in stocks and the market experiences a sudden downturn, the value of their investments could drop significantly.

b) Credit risk: This refers to the risk of a borrower defaulting on a loan or other financial obligation. It can be caused by factors such as a borrower's financial stability, credit history, or changes in the economic environment. For example, if a bank lends money to a borrower with a poor credit history, they may be at risk of not receiving repayment.

c) Operational risk: This refers to the risk of losses due to inadequate or failed internal processes, systems, or human error. It can be caused by factors such as technology failures, fraud, or employee misconduct. For example, if a financial institution's security systems are compromised and customer data is stolen, they may face legal and financial repercussions.

d) Systemic risk: This refers to the risk of disruptions to the entire financial system, such as a widespread market crash or economic recession. It can be caused by factors such as changes in government policy, international financial crises, or natural disasters. For example, the 2008 financial crisis was caused by a combination of factors including subprime mortgage lending, high levels of debt, and a global economic slowdown. The resulting impact on financial institutions and markets was significant and widespread.

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If investors feel that business conditions will deteriorate in the future, the demand for loans and real interest rate in the loanable funds market will change in which of the following ways in the short run?
Demand for Loans ...... Real Interest Rate
(a) Increase ...... Increase
(b) Increase ...... Decrease
(c) Decrease ...... Increase
(d) Decrease ...... Decrease
(e) Decrease ...... Not change
changes in which of the following will change the money supply? (a) number of banks in operation (b) velocity of money (c) price level (d) prime rate (e) open market operations
which of the following would lead to an increase in nominal interest rates? a. test booklet demand for loans real interest rate increase b. increase demand for loans real interest rate increase c. decrease demand for loans real interest rate decrease d. increase demand for loans real interest rate decrease

Answers

An increase in demand for loans and real interest rates increase will lead to an increase in nominal interest rates.

If investors feel that business conditions will deteriorate in the future, the demand for loans and real interest rates in the loanable funds market will change in the following way in the short run: Demand for Loans - Decrease, Real Interest Rate - Increase. So, the correct option is (c) Decrease ...... Increase.

Changes in open market operations will change the money supply.

When the central bank conducts open market operations by buying or selling government securities, it directly affects the money supply in the economy. So, the correct option is (e) open market operations.

Increase demand for loans, real interest rate increase would lead to an increase in nominal interest rates.

When the demand for loans increases, it leads to higher real interest rates, which, in turn, leads to an increase in nominal interest rates. So, the correct option is (b) increase demand for loans real interest rate increase.

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Utilizing the security market line an investor owning a stock with a beta of -2 would expect the stock's return to in a market that was expected to decline 15 percent. A. Fall by 3% b. Rise or fall an indeterminate amount c. Rise by 30% d. Fall by 30% e Rise by 13%

Answers

According to the security market line (SML), the expected return on a stock is equal to the risk-free rate plus the stock's beta multiplied by the market risk premium. the correct answer is Rise by 13%, i.e option e.

The formula for calculating the expected return is:

Expected return = Risk-free rate + (Beta x Market risk premium)

In this case, the beta of the stock is -2, which means the stock is negatively correlated with the market. If the market is expected to decline by 15%, then the market risk premium would be negative.

Expected return = 5% + (-2 x -10%) = 5% + 20% = 25%

This means that the investor owning a stock with a beta of -2 would expect a return of 25% in a market that is expected to decline by 15%.

thus, the answer is (e) Rise by 13%.

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3. A real estate developer plans to construct and then rent a 15-unit office building. The construction costs will be incurred immediately and are expected to be $700. The annual cash flow on all units is expected to be $150 starting in one year and continuing for a total of 3 consecutive years. Calculate the profitability index for the office building using a required rate of return of 12.00%.

Answers

The profitability index for the office building is 0.513.

Using a required rate of return of 12.00%, we can discount the annual cash flows of $150 for 3 consecutive years using the formula:
Present value = Cash flow / (1 + r)^n
Where r is the required rate of return and n is the number of years.
Present value of cash flow in year 1 = $150 / (1 + 0.12)^1 = $133.93
Present value of cash flow in year 2 = $150 / (1 + 0.12)^2 = $119.34
Present value of cash flow in year 3 = $150 / (1 + 0.12)^3 = $106.30

To calculate the total present value of cash flows, we add up the present values:
Total present value of cash flows = $133.93 + $119.34 + $106.30 = $359.57
Next, we need to calculate the initial investment, which is the construction cost of $700.

Now we can calculate the profitability index using the formula:
Profitability index = Total present value of cash flows / Initial investment
Profitability index = $359.57 / $700 = 0.513

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Fair Value Option
In 20X5, Kahn Financial Group used the Fair Value option for some of its own debt. During the first quarter of 20X5, the fair value of its debt declined by $2.7 billion. Its reported net income for the quarter was $1.6 billion.

Answers

The Fair Value option is a method used by companies to measure the value of certain financial instruments, including debt, at fair value instead of at amortized cost. In 20X5, Kahn Financial Group used this option for some of its own debt. However, during the first quarter of 20X5, the fair value of this debt declined by $2.7 billion, which would have resulted in a loss if the debt had been accounted for at amortized cost. Despite this decline in value, Kahn Financial Group reported a net income of $1.6 billion for the quarter. This may indicate that the decline in value of the debt was offset by gains in other areas, or that the company had taken measures to mitigate the impact of the decline.

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