imax, the entertainment firm, enters into a joint venture with wanda cinema line, a chinese theater chain. what is imax primarily seeking by forming this arrangement? obtaining a growing, niche chinese market acquiring technology from the chinese firm reducing economies of scale in china easing entry into the chinese market

Answers

Answer 1

IMAX is primarily seeking to ease entry into the Chinese market by forming a joint venture with Wanda Cinema Line, a Chinese theater chain. Option d is answer.

China has a vast and rapidly growing market for entertainment, including movies. However, entering the Chinese market can be difficult for foreign companies due to a variety of factors, including regulatory hurdles and competition from domestic firms. By forming a joint venture with Wanda Cinema Line, Imax is able to leverage the Chinese firm's expertise and connections to navigate the market more easily.

This partnership also allows Imax to tap into a niche market, as Wanda Cinema Line has a large presence in China's smaller, lower-tier cities. By combining Imax's advanced technology with Wanda's local knowledge and reach, the joint venture can potentially dominate the high-end cinema market in China.

IMAX's joint venture with Wanda Cinema Line primarily aims to ease entry into the Chinese market and tap into a growing, niche market by leveraging Wanda's local knowledge and connections. This move is part of Imax's strategy to expand globally and establish a dominant presence in the entertainment industry.

Option d is answer.

You can learn more about joint venture at

https://brainly.com/question/9389546

#SPJ11


Related Questions

An expansionary fiscal policy can increase the level of aggregate demand by all of the following EXCEPT
decreasing government purchases.
cutting tax rates to increase disposable income and spending.
government policies to facilitate US exports to other nations.
reducing corporate tax rates to increase investment spending.

Answers

An expansionary fiscal policy can increase the level of aggregate demand by all of the following EXCEPT decreasing government purchases. The correct answer is option A.

An expansionary fiscal policy is a macroeconomic strategy used by governments to stimulate economic growth and increase aggregate demand. It typically involves increasing government spending or cutting taxes to increase disposable income and encourage consumer and business spending.

Decreasing government purchases is a contractionary fiscal policy, which involves reducing government spending and can lead to a decrease in aggregate demand, as there is less money flowing into the economy.

On the other hand, the other options listed - cutting tax rates to increase disposable income and spending, government policies to facilitate US exports to other nations, and reducing corporate tax rates to increase investment spending - can all potentially increase the level of aggregate demand, as they would lead to more money flowing into the economy through increased consumer or business spending.

The correct answer is option A.

To know more about fiscal policy refer to-

https://brainly.com/question/27250647

#SPJ11

jojoy, inc. developed a new horse transport device and incurred research and development costs of $350,000. rather than continue with its own research, jojoy decided to purchase a patent for a similar design from vail, inc. for $450,000. what are the total assets and expenses for these developments? a. assets $800,000; expenses $0. b. assets $450,000; expenses $350,000. c. assets $0; expenses $800,000. d. assets $350,000; expenses $450,000.

Answers

The total assets and expenses for these developments is b. assets $450,000; expenses $350,000.

Determining the value of assets and expenses

The $350,000 incurred by Jojoy for their own research and development costs is considered an expense on their income statement.

The $450,000 spent on purchasing the patent from Vail, Inc. is considered an asset on their balance sheet.

Therefore, the total assets would be $450,000 (the value of the patent) and the total expenses would be $350,000 (the cost of their own research and development).

Learn more about total expenses at

https://brainly.com/question/13347013

#SPJ11

alamos co. exchanged equipment and $18,000 cash for similar equipment. the book value and the fair value of the old equipment were $80,000 and $91,200, respectively. assuming that the exchange has commercial substance, alamos would record a gain/(loss) of: multiple choice $0. $29,200. $(11,200). $11,200.

Answers

The old equipment had a market value of $91,200 and a book value of $80,000. Alamos would report a gain/(loss) of $29,200 if the exchange has commercial substance. Here option B is the correct answer.

The gain or loss recognized in an exchange of similar assets with commercial substance is determined by comparing the book value of the old asset with the fair value of the new asset.

In this case, Alamos Co. exchanged old equipment with a book value of $80,000 and a fair value of $91,200, for similar equipment and $18,000 cash. We need to determine the fair value of the new equipment to calculate the gain or loss. Since the exchange has commercial substance, we can assume that the fair value of the new equipment is equal to the fair value of the old equipment, which is $91,200.

Therefore, the total fair value of the new equipment and cash received is $91,200 + $18,000 = $109,200. To calculate the gain or loss, we need to compare the book value of the old equipment ($80,000) with the total fair value of the new equipment and the cash received ($109,200).

Gain/(Loss) = Total fair value of new equipment and cash - Book value of old equipment

= $109,200 - $80,000

= $29,200

To learn more about market value

https://brainly.com/question/31593341

#SPJ4

Complete question:

Alamo's co. exchanged equipment and $18,000 cash for similar equipment. the book value and the fair value of the old equipment were $80,000 and $91,200, respectively. assuming that the exchange has commercial substance, alamos would record a gain/(loss) of: multiple choice

A - $0.

B - $29,200.

C - $(11,200).

D - $11,200.

Which of the following audit tests or procedures is performed during year-end field work?a)Examination of employee authorizations for medical insurance withholdings.b)Count of petty cash.c)Comparison of data on purchase orders and payment vouchers.d)Analysis of cutoff bank statement.

Answers

The primary purpose of Audit testing is to test and confirm the effectiveness of a company's controls in recording its fiscal deals. This is option D.

The analysis of Cut-off  bank statement is a check or procedure performed during time- end fieldwork

An audit test  is a sample taken from a larger population to test the sample for certain characteristics, which are also decided to the entire population.

The primary purpose of the inspection test is to corroborate and confirm the effectiveness of a company's controls over the recording of its fiscal deals. Review fiscal accounts and identify typographical crimes, deletions or inaccuracies are all duties of audit testing.

To know more about Audit tests,

brainly.com/question/29523832

#SPJ4

Billboards are a tradition form of ________, and the online equivalent would be the placement in search engine results and portal ads.
Select one:
a. product placement
b. OOH ad placements
c. sales promotion
d. referral promotions

Answers

Billboards are a traditional form of OOH ad placements, and the online equivalent would be the placement of search engine results and portal ads, which are also types of OOH ad placements.

Billboards are a conventional form of Out-Of-Home (OOH) advertising and marketing, and the net equal would be the placement of seek engine results and portal advertisements, which are also sorts of ooh advert placements.

OOH, advertising, and marketing refer to any sort of advertising that objectives consumers even as they're outdoors in their homes. Billboards, transit commercials, and street furnishings advertisements are all examples of ooh advertising.

The aim of ooh marketing is to attain purchasers where they live, paint, and play, and to seize their interest while they may be outside in their houses. The online equivalent of OOH ad placements is the placement of seek engine results and portal commercials.

Both conventional billboards and online advertisements are essential gear for businesses to promote their services or products. With the aid of strategically placing commercials where clients are likely to peer them, businesses can boom emblem attention, power visitors to their internet site or bodily vicinity, and ultimately increase sales.

Learn more about ad placements at

brainly.com/question/29511151

#SPJ4

you have final sales data from 2020 that you would like to display in rows on the same table as your 2019 sales data. how will you do this?

Answers

To display the final sales data from 2020 on the same table as the 2019 sales data, you can add a new column to the existing table for the year 2020. You can then enter the sales data for each product or category for the year 2020 in the corresponding cells under the new column.

To display your final sales data from 2020 in rows on the same table as your 2019 sales data, follow these steps:

1. Open the spreadsheet containing the 2019 and 2020 sales data.
2. Identify the columns in which your 2019 and 2020 sales data are stored.
3. Create a new table, ensuring it has the same columns as the existing tables for 2019 and 2020 sales data.
4. Copy the 2019 sales data rows from the original table and paste them into the new table.
5. Next, copy the 2020 sales data rows from the original table and paste them below the 2019 sales data rows in the new table.
6. Now you should have both 2019 and 2020 sales data displayed in rows on the same table.

By following these steps, you will successfully combine your 2019 and 2020 sales data in one table, allowing for easy comparison and analysis.

Learn more about Spreadsheet: https://brainly.com/question/26919847

#SPJ11

Explain the PQRST approach to layout planning.

Answers

The PQRST approach to layout planning refers to a systematic method that helps in organizing and planning the layout of a facility, such as a factory, office, or warehouse.

The PQRST approach is a systematic method for layout planning that involves five stages: Preparation, Questioning, Refining, Selecting, and Testing.  The acronym PQRST in PQRST approach to layout planning stands for:

1. Purpose: Determine the main objectives of the layout planning. Consider factors such as maximizing space utilization, improving workflow, increasing efficiency, and ensuring safety.

2. Quantitative analysis: Gather data on various elements, such as the number of employees, machinery, inventory, and workstations. Analyze this data to make informed decisions on the layout design.

3. Relationship analysis: Identify the relationships between different departments, workstations, and machinery. Prioritize these relationships based on factors such as material flow, communication, and shared resources. This helps to place related elements close to each other, which can improve efficiency and minimize wasted movement.

4. Space requirements: Calculate the space needed for various elements, such as workstations, machinery, storage areas, and aisles. This will help ensure that the layout is designed to accommodate all necessary components.

5. Testing and evaluation: Evaluate the proposed layout by using tools such as simulation, visualization, or even physical mock-ups. Test the layout against the identified objectives to ensure that it meets the desired goals. Make any necessary adjustments based on feedback and re-evaluate the layout to ensure its effectiveness.

In summary, the PQRST approach to layout planning involves determining the purpose, conducting quantitative and relationship analysis, calculating space requirements, and testing and evaluating the proposed layout to create an efficient and well-organized facility.

Read more about "Layout planning"; https://brainly.com/question/25198331

#SPJ11

Determine the rotations of the material. Semiannual use: 8236 Security Inventory 1000 units Economic Order Quantity 547 1. Determine current equipment utilization with the following information per shift. speed 120pc/min
Downtime 20% Waste 5% Time 400 min/shift
Lawsuit 38632 Result to 2 decimal places

Answers

The material rotates 8.24 times per six months, and the current equipment utilization is 91.2 pieces produced per shift.

1. Rotations of the material: To calculate rotations, we'll use the formula:
Rotations = Semiannual use / Security Inventory
Rotations = 8236 units / 1000 units
Rotations = 8.24 times per six months
2. Equipment utilization: We can calculate this using the given information:
Effective working time = Time per shift × (1 - Downtime) × (1 - Waste)
Effective working time = 400 min/shift × (1 - 0.20) × (1 - 0.05)
Effective working time = 400 min/shift × 0.80 × 0.95
Effective working time = 304 min/shift
Current equipment utilization = (Effective working time × Speed) / Time per shift
Current equipment utilization = (304 min/shift × 120 pc/min) / 400 min/shift
Current equipment utilization = 91.2 pc/shift (rounded to one decimal place)
In conclusion, the material rotates 8.24 times per six months, and the current equipment utilization is 91.2 pieces produced per shift.

To know more about material rotates visit:

brainly.com/question/29512903

#SPJ11

______ occurs when members of the team combine their knowledge, skills, abilities, and other resources through a coordinated series of actions to produce an outcome

Answers

Team synergy occurs when members of the team combine their knowledge, skills, abilities, and other resources through a coordinated series of actions to produce an outcome.

Team synergy is the idea that when individuals work together in a coordinated manner, they are capable of achieving more than they could have achieved individually.

This is because each member brings unique knowledge, skills, and abilities to the table that complement those of their teammates, allowing them to work together more effectively and efficiently.

Team synergy is a critical component of teamwork, and it is often associated with higher levels of productivity, creativity, and innovation. Teams that exhibit strong synergy can accomplish goals that might have seemed impossible if they were working alone.

To achieve team synergy, it is essential to foster an environment that promotes collaboration, communication, and trust among team members. Effective leadership, clear goals and objectives, and effective communication are all critical to achieving team synergy.

To learn more about team click on,

https://brainly.com/question/29741168

#SPJ4

An equity-based joint venture exemplifies which type of entry strategy? a. strategic alliance b. licensing c. exporting d. wholly owned subsidiary

Answers

An equity-based joint venture is an entry strategy that exemplifies a a) strategic alliance.

A strategic alliance is a partnership formed between two or more companies for the purpose of achieving a specific business goal. In the case of an equity-based joint venture, two or more companies come together and contribute resources, such as capital, expertise, and technology, to create a new business entity. The ownership of the new entity is shared between the partners in proportion to their contributions.

This type of entry strategy is popular because it allows companies to leverage each other's strengths and resources to achieve a common goal, such as entering a new market, developing a new product, or reducing costs. It also allows companies to share risks and costs associated with the venture, while still maintaining some degree of control over the new entity.

Overall, an equity-based joint venture is a flexible and effective entry strategy that can help companies expand their global reach and competitiveness in a collaborative way.

Therefore, the correct answer is a) strategic alliance.

Learn more about strategic alliance here: https://brainly.com/question/28287869

#SPJ11

sasha's personal budget contains two broad categories for her expenses. she should put her mortgage, her car insurance payment, and her utilities in the __________ expenses category. deca

Answers

Sasha should put her mortgage, car insurance payment, and utilities in the fixed expenses category of her personal budget.

Fixed expenses are expenses that do not vary with changes in the level of consumption or sales volume, such as rent, mortgage payments, insurance premiums, and utilities. These expenses are typically recurring and must be paid on a regular basis, regardless of whether the individual's income or spending patterns change.

By contrast, variable expenses, such as groceries, dining out, and entertainment, are more flexible and can be adjusted based on changes in income or spending priorities.

DECA is an international business organization for high school and college students that aims to prepare emerging leaders and entrepreneurs for careers in marketing, finance, hospitality, and management.

To know more about Fixed expenses here

https://brainly.com/question/18520563

#SPJ4

Apples bonds trade for 128 per cent, they have a 13.5 per cent annual coupon rate, pay coupons semi-annually, and mature in 15 years. This bond can be called in 5 years at 5 per cent premium. What is Apples bonds yield to call?

Answers

The yield to call on Apple's bonds is 2.58%.

What is Apples bonds yield to call?

To calculate the yield to call on Apple's bonds, we need to use the following formula:

Yield to call = (Annual coupon payment + ((Call price - Market price) / Years to call)) / ((Call price + Market price) / 2)

First, we need to calculate the annual coupon payment:

Coupon payment = Coupon rate * Face value

Coupon payment = 0.135 * $1000

Coupon payment = $135

Since the coupons are paid semi-annually, the semi-annual coupon payment is $67.5.

Next, we need to calculate the market price of the bond:

Market price = Bond price as a percentage of face value * Face value Market price = 1.28 * $1000

Market price = $1280

Now we can calculate the yield to call:

Yield to call = ($67.5 + (($1050 - $1280) / 5)) / (($1050 + $1280) / 2)

Yield to call = ($67.5 - $46) / ($1665 / 2)

Yield to call = $21.5 / $832.5

Yield to call = 0.0258 or 2.58%

Learn more about annual coupon payment at

https://brainly.com/question/24169723

#SPJ11

7. a manager wants to conduct a needs assessment. which method will the manager use to identify individuals needs and readiness for training?

Answers

The method the manager uses to identify individuals needs and readiness for training is Focus groups.

What are the methods used in needs assessment?

There are several methods a manager can use to conduct a needs assessment to identify individuals' needs and readiness for training:

Surveys: The manager can distribute surveys to individuals to assess their current skills, knowledge, and job tasks.Focus groups: The manager can conduct focus groups to gather feedback and opinions from individuals about their training needs.Job analysis: The manager can analyze job tasks and identify skill gaps that need to be addressed through training.Performance reviews: The manager can review individual performance evaluations to identify areas where training is needed.Observation: The manager can observe individuals performing their job tasks and identify areas where training could improve performance.

Read more about needs assessment at: https://brainly.com/question/14618376

#SPJ1

1. If you have a Products table and you want to increase the Price by 15% for all products that have a price greater than $15.00, write the update statement. (ProductID, Price)2. For the same Products table write a query that will count all the products with a Price greater than $15, and the count is greater than 3.Please answer both separately and clearly please

Answers

This statement will increase the Price of all products that have a Price greater than $15.00 by 15% and count all the products that have a Price greater than $15.00, and the count is greater than 3.

To update the Prices of all products in the Products table that have a Price greater than $15.00, we can use the following SQL statement:

UPDATE Products
SET Price = Price * 1.15
WHERE Price > 15.00;

This statement updates the Price column in the Products table by multiplying the existing price by 1.15 (i.e., adding a 15% increase) for all rows where the Price value is greater than $15.00.

To count all the products in the Products table with a Price greater than $15.00, and the count is greater than 3, we can use the following SQL statement:

SELECT COUNT(*)
FROM Products
WHERE Price > 15.00
HAVING COUNT(*) > 3;

This statement selects the count of all rows in the Products table where the Price value is greater than $15.00, and then filters the results by only including rows where the count of matching rows is greater than 3. The result is a single row with a column named "count_of_products" that contains the final count.

Learn more about Price: https://brainly.com/question/1153322

#SPJ11

a new project has an initial cost of $275,000. the equipment will be depreciated on a straight-line basis to a zero book value over the five-year life of the project. the projected net income each year is $13,500, $18,500, $20,840, $15,400, and $12,400, respectively. what is the average accounting return?

Answers

The Average Accounting Return for the project is approximately 11.74%.

The average accounting return is calculated by taking the average net income over the life of the project, divided by the initial investment.

Average net income = ($13,500 + $18,500 + $20,840 + $15,400 + $12,400) / 5 = $16,328

Initial investment = $275,000

Average accounting return = ($16,328 / $275,000) x 100% = 5.93%

Therefore, the average accounting return for this project is 5.93%.
Hi! To calculate the Average Accounting Return (AAR), we first need to determine the average net income and the average book value of the investment. Given the initial cost of $275,000 and a five-year life with straight-line depreciation to zero book value, we can calculate the depreciation expense and average book value.

Depreciation Expense = (Initial Cost - Final Book Value) / Life of Project
Depreciation Expense = ($275,000 - $0) / 5
Depreciation Expense = $55,000 per year

Next, calculate the average net income:

Average Net Income = (Sum of Net Incomes) / 5
Average Net Income = ($13,500 + $18,500 + $20,840 + $15,400 + $12,400) / 5
Average Net Income = $80,640 / 5
Average Net Income = $16,128 per year

Now, calculate the average book value:

Average Book Value = (Initial Cost + Final Book Value) / 2
Average Book Value = ($275,000 + $0) / 2
Average Book Value = $137,500

Finally, calculate the Average Accounting Return (AAR):

AAR = (Average Net Income) / (Average Book Value)
AAR = $16,128 / $137,500
AAR ≈ 0.1174 or 11.74%

Learn More about Accounting here :-

https://brainly.com/question/22917325

#SPJ11

A TRUE statement about Erik Erikson's generativity-versus stagnation stage of psychosocial development is that Multiple Choicea. successful resolution of the crises of this stage results in the possibility of forming intimate relationships on a physical, intellectual and emotional level b. success in this stage results in people feeling positive and optimistic about the continuity of life and their contribution to humanity c. people in this stage ask themselves if they have lived a meaningful life. d. it marks a pivotal point in psychosocial development, paving the way for continued growth and the future development of personal relationships Do you want to switch to tablet mode

Answers

The possibility of forming intimate relationships on a physical, intellectual, and emotional level depends on the Multiple Choice successful resolution of the crises that arise in Erik Erikson's generativity-versus-stagnation stage of psychosocial development.

What is generativity versus according to Erik Erikson?

According to Erik Erikson, the seventh stage of psychological development is a contest between generativeness and stagnation. Adults in this stage frequently parent, give back to the community, or effect other beneficial changes in an effort to create or nourish things.

As one advances in life, eight crises are unavoidable and must be overcome. Explained: According to Erik Erikson's theory of psychological development, every person must pass through eight unavoidable phases or crises as they go through life.

Making a significant difference through generosity or volunteering is another illustration. Those who experience difficulties with generativity, however, could experience a sense of stagnation, as if they are no longer developing or moving forward in their life. They could experience unhappiness and a lack of direction.

Learn more about Erik Erikson:

https://brainly.com/question/7446700

#SPJ1

consider the following: farmer smith bought seed and fertilizer for $100. he grew wheat that he sold to the wander bread company for $200. wander bread produced and sold bread to the wilseyville grocery store for $250. consumers bought the bread from the grocery for $350. how much was added to the gdp? group of answer choices $600 $350 $700 $900 $800

Answers

The amount added to the GDP would be $350. This is because GDP measures the final value of goods and services produced, and the final value in this case is the price paid by consumers for the bread. Option B.

The costs incurred by the farmer and the intermediate stages of production (such as Wander Bread's production and sale to the grocery store) are already included in the final price paid by consumers.
To calculate the total addition to the GDP, we need to consider the value added at each stage of production. Here's the breakdown:
1. Farmer Smith sold wheat to Wander Bread Company for $200. The value added at this stage is $200 - $100 (cost of seed and fertilizer) = $100.
2. Wander Bread Company sold bread to Wilseyville Grocery Store for $250. The value added at this stage is $250 - $200 (cost of wheat) = $50.
3. Wilseyville Grocery Store sold bread to consumers for $350. The value added at this stage is $350 - $250 (cost of bread) = $100.
Now, we can sum up the value added at each stage to calculate the total addition to the GDP: $100 (farmer) + $50 (Wander Bread Company) + $100 (Wilseyville Grocery Store) = $250. Option B.

For more such questions on GDP

https://brainly.com/question/31199521

#SPJ11

Question 1 of 6 а How much would a business have to invest in a high-growth fund to receive $18,000 every month for 7 years, receiving the first payment 3 years from now? The investment earns interest at 5.50% compounded monthly. $ $1,059,141.80 X Round to the nearest cent

Answers

To find out how much a business would have to invest in a high-growth fund to receive $18,000 every month for 7 years, starting 3 years from now, at an interest rate of 5.50% compounded monthly, the following steps are to be followed:

1. Calculating the effective interest rate: (1 + 0.055/12)^12 - 1 ≈ 0.056823
2. Finding the present value of the annuity: $18,000 x [(1 - (1 + 0.056823)^(-7 * 12)) / 0.056823] ≈ $1,237,889.83
3. Finding the present value of the annuity 3 years from now, using the formula PV = FV / (1 + i)^n = $1,237,889.83 / (1 + 0.056823)^3 ≈ $1,059,141.80

So, the business would have to invest approximately $1,059,141.80 in the high-growth fund to receive $18,000 every month for 7 years, starting 3 years from now.

Learn more: https://brainly.com/question/25792915

#SPJ11

You are the CFO of SlimBody, Inc., a retailer of the exercise machine Slimbody6 and related accessories. Your firm is considering opening up a new store in Tempe. The store will have a life of 20 years. It will generate annual sales of 5,000 exercise machines, and the price of each machine is $2,500. The annual sales of accessories will be $600,000, and the operating expenses of running the store, including labor and rent, will amount to 50 percent of the revenues from the exercise machines. The initial investment in the store will equal $30,000,000 and will be fully depreciated on a straight-line basis over the 20-year life of the store. Your firm will need to invest $2,000,000 in additional working capital immediately, and recover it at the end of the investment. Your firm?s marginal tax rate is 30 percent. The cost of capital is 10 percent. What is the NPV for the new store opening?

Answers

The NPV for the new store opening is $6,955,698. This suggests that the project is profitable and would add value to the firm

To calculate the NPV for the new store opening, we need to estimate the cash flows associated with the project and discount them back to their present value using the cost of capital.

First, let's calculate the annual revenue generated from the sale of exercise machines and accessories:

Annual revenue from exercise machines = 5,000 x $2,500 = $12,500,000

Annual revenue from accessories = $600,000

Total annual revenue = $13,100,000

Next, let's calculate the annual operating expenses:

Operating expenses = 50% x $12,500,000 = $6,250,000

Now, let's calculate the annual cash flow generated from the store:

Annual cash flow = Total annual revenue - Operating expenses = $13,100,000 - $6,250,000 = $6,850,000

We can now use this annual cash flow to calculate the NPV of the project. Since the initial investment of $30,000,000 is fully depreciated over the 20-year life of the store, it has no impact on the annual cash flow.

Using the formula for the NPV of a project:

NPV = -Initial investment + (Cash flow / (1 + Cost of capital)^n)

where n is the number of years

We can calculate the NPV for the new store opening as follows:

NPV = -$30,000,000 + ($6,850,000 / (1 + 0.1)^1) + ($6,850,000 / (1 + 0.1)^2) + ... + ($6,850,000 / (1 + 0.1)^20) - $2,000,000

NPV = -$30,000,000 + $6,227,272 + $5,661,156 + ... + $1,158,236 - $2,000,000

NPV = $6,955,698

Therefore, the NPV for the new store opening is $6,955,698. This suggests that the project is profitable and would add value to the firm.

Learn more about NPV: brainly.com/question/18848923

#SPJ11

a major reason why growth-oriented mnes establish operations abroad is to diversify and minimize risk so that overall corporate cash flows and earnings will be relatively stable. a. true b. false

Answers

The statement "a major reason why growth-oriented MNEs establish operations abroad is to diversify and minimize risk so that overall corporate cash flows and earnings will be relatively stable" is true.

When multinational enterprises expand their operations globally, they are exposed to various economic, political, and cultural risks.

By diversifying their operations across different countries, they can reduce their overall risk exposure and ensure that their cash flows and earnings are relatively stable.

This is because different countries have different economic cycles, and when one country is experiencing a downturn, the other country may be in an upswing, thereby balancing the overall performance of the MNE.

Moreover, having operations in multiple countries also enables MNEs to tap into different markets, access resources that may not be available in their home country, and take advantage of different tax regimes.

Overall, establishing operations abroad is a strategic move for growth-oriented MNEs to achieve stability and profitability in the long run.

To know more about  MNEs refer here:

https://brainly.com/question/15995887#
#SPJ11

when executives bend the rules or turn a blind eye to bad behavior, the policies ________ value and executives ________ the respect of employees.

Answers

When executives bend the rules or turn a blind eye to bad behavior, the policies lose value and executives lose the respect of employees.

When executives engage in unethical or illegal behavior or ignore bad behavior within their organization, it sends a message to employees that the policies and values of the company are not important. This can cause employees to lose respect for the executives and the company as a whole, which can lead to decreased motivation, poor performance, and increased turnover.

When policies are not enforced, it can also create a culture of distrust and unfairness, causing employees to question the integrity of the company. Therefore, it is important for executives to lead by example, enforce policies consistently, and promote a culture of ethical behavior and respect for all employees.

To know more about executives, here

brainly.com/question/15181363

#SPJ4

identifying the key internal processes that influence ctqs and measure the defects currently generated relative to those processes is conducted in which phase of the dmaic cycle? group of answer choices define phase measure phase analyze phase improve phase control phase

Answers

The key internal processes that influence Critical to Quality (CTQ) characteristics and the measurement of defects currently generated relative to those processes are conducted in the B. Measure phase of the DMAIC cycle.

The DMAIC cycle, which stands for Define, Measure, Analyze, Improve, and Control, is a systematic approach for problem-solving and process improvement in Six Sigma methodology.

In the Measure phase, data is collected to establish a baseline for the current process performance. This helps to quantify the problem and identify the gaps between the current process and the desired performance levels. The focus during this phase is on identifying key process inputs and outputs, establishing process maps, and determining process capability. This phase also involves selecting appropriate metrics to assess the performance of Critical to Quality (CTQ) and measuring the defects generated within the process.

By measuring defects, process performance, and variability, the Measure phase provides a foundation for the subsequent Analyze phase, where the root causes of the problems are identified. Following the Analyze phase, the Improve and Control phases involve implementing solutions to address the identified root causes and ensuring that the improvements are sustained over time, respectively.

In summary, the Measure phase of the DMAIC cycle plays a crucial role in identifying key internal processes influencing CTQs and measuring defects, allowing for data-driven decision-making and process improvement. Therefore, the correct option is B.

The question was incomplete, Find the full content below:

identifying the key internal processes that influence ctqs and measure the defects currently generated relative to those processes is conducted in which phase of the dmaic cycle? group of answer choices

A. define phase

B. measure phase

C. analyze phase

D. improve phase

E. control phase

Know more about Six Sigma methodology here:

https://brainly.com/question/31275174

#SPJ11

regardless of the stage of internationalization, a firm's structural choices always involve two opposing forces: globalization and localization. group of answer choices true false

Answers

The given statement regardless of the stage of internationalization, a firm's structural choices always involve two opposing forces: globalization and localization is true because regardless of the stage of internationalization, firms will always face the decision of whether to adopt a global or local approach to their organizational structure.

Globalization involves standardizing processes and procedures across different markets to achieve economies of scale and reduce costs, while localization involves tailoring operations to suit the specific needs and preferences of each market. Firms must find a balance between these two opposing forces in order to be successful in their internationalization efforts.

The tension between globalization and localization requires a balancing act, as firms must find a way to standardize their operations while also adapting to local market conditions. The balance between these forces can shift as a firm's international operations evolve and as market conditions change.

Learn more about the stage of internationalization https://brainly.com/question/14921432

#SPJ11

hall, a divorced person, and custodian of her 12-year old child filed her federal income tax return as head of a household. hall earned a salary of $25,000. hall was not covered by any type of retirement plan but contributed $4,000 to an ira in 20x1. halls contribution to an ira should be treated as

Answers

Hall's contribution of $4,000 to an IRA in 20x1 is fully deductible from her taxable income as she was not covered by any retirement plan. This deduction can help reduce her tax liability for the year.

Assuming that Hall does meet the eligibility requirements for an IRA deduction, she can deduct the full amount of her contribution of $4,000 from her taxable income, resulting in an adjusted gross income (AGI) of $21,000 ($25,000 - $4,000). This deduction will help reduce her tax liability for the year.

Since Hall is not covered by any type of retirement plan, she can fully deduct her IRA contribution from her taxable income, as long as she meets the eligibility requirements for an IRA deduction. This deduction can help lower her taxable income and reduce her overall tax liability for the year.

Learn more about taxable income :

https://brainly.com/question/8653999

#SPJ4

Jill sells her business to Kyle and, as part of the agreement, promises not to engage in a business of the same kind within three miles for one year. This promise is generally
Answer
an unreasonable restraint of trade.
unreasonable in terms of geographic area and time.
unreasonable in terms of Kyle's "goodwill" and "reputation."
valid and enforceable.

Answers

Jill sells her business to Kyle and, as part of the agreement, promises not to engage in a business of the same kind within three miles for one year. This promise is generally an unreasonable restraint of trade. (option a).

In the case of Jill and Kyle's business agreement, Jill promises not to engage in a similar business within three miles for one year. Such a promise can be considered an unreasonable restraint of trade. This means that the agreement restricts Jill's ability to conduct business in a way that is unreasonable or against public policy.

The reason why such a promise is considered unreasonable is because the geographic area and time limit are too broad. A three-mile radius can encompass a significant area, making it difficult for Jill to find other business opportunities.

Furthermore, Kyle's goodwill and reputation may not necessarily be affected by Jill's business activities. A non-compete agreement should only be used to protect trade secrets or confidential information that would harm the business if it were to be shared with a competitor.

So, the correct option is (a).

To know more about agreement here

https://brainly.com/question/29770529

#SPJ4

the primary inducement for new firms to enter an industry is multiple choice low capital costs. availability of labor. presence of economic profits. increased technology.

Answers

The presence of economic profits is the most significant factor that motivates new firms to enter an industry. However, other factors such as low capital costs, availability of labor, and increased technology can also play an important role in attracting new entrants to an industry. Option C is correct.

The primary inducement for new firms to enter an industry can vary depending on various factors. However, the presence of economic profits is generally considered to be the most significant factor that motivates new firms to enter an industry. Economic profits refer to the difference between the total revenue earned and the total cost of production, including both explicit and implicit costs. When existing firms in an industry are earning economic profits, it creates an incentive for new firms to enter the industry and capture a share of those profits.
In addition to economic profits, other factors such as low capital costs, availability of labor, and increased technology can also play a role in motivating new firms to enter an industry. Low capital costs can make it easier for new firms to enter an industry and compete with existing firms. Availability of labor can also be an important factor, as it can allow new firms to hire skilled workers at a lower cost than existing firms. Finally, increased technology can make it easier for new firms to enter an industry by reducing the barriers to entry and improving their competitiveness. Option C is correct.
For more such questions on industry

https://brainly.com/question/28192861

#SPJ11

focus groups for proposed customer service program initiatives tend to be composed of? question 3 options: a) customers b) suppliers c) company employees d) auditors

Answers

Focus groups for proposed customer service program initiatives tend to be composed of option A) customers.

This is because customers are the primary users of the service and their feedback is crucial in understanding their needs, preferences, and expectations. Including customers in focus groups ensures that the proposed initiatives are designed to effectively address their concerns, enhance their experience, and build long-lasting relationships.

While suppliers, company employees, and auditors may provide valuable insights from their respective perspectives, it is the customers' opinions that carry the most weight in shaping customer service programs. By involving customers in the decision-making process, businesses can tailor their customer service initiatives to meet the demands of their target audience and improve overall satisfaction.

Therefore, the correct answer is a) customers.

Learn more about customer here: https://brainly.com/question/15096946

#SPJ11

If a check correctly written and paid by the bank for $246 is incorrectly recorded in the companys books for $264, how should this error be treated on the bank reconcliation?Mutiple Choice A. Subtract S18 from the bank's balance and add $45 to the book's balanceB. Add $18 to the bank's belance C. Subtract $18 from the bank's balance. D. Add $18 to the book balance Add $18 to the book balance

Answers

Errors with incorrect records in the company books should be treated on the bank reconciliation by C. Subtracting $18 from the bank's balance.

The bank's balance is correct at $246, but the company's books show $18 more than it should be. Therefore, the $18 needs to be subtracted from the bank's balance to match the company's books.

It is important to note that the error was made in recording the transaction in the company's books and not in the bank's record. Therefore, the adjustment needs to be made in the company's books.

This is a common error in accounting and can easily be rectified by adjusting the bank reconciliation. It is crucial to maintain accurate records to ensure that the financial statements are correct and the business can make informed decisions based on accurate financial data. In conclusion, the error should be treated by subtracting $18 from the bank's balance in the bank reconciliation.

Learn more about bank reconciliation here: https://brainly.com/question/30075643

#SPJ11

What is the name of the theory that reminds us that rule making and rule breaking is related to power? a. Structural functionalism b. Labeling Theory c. Class-dominant theory d. Subcultural theory

Answers

The theory that reminds us that rule making and rule breaking is related to power is the Class-dominant theory. Option C

What is The Class-dominant theory about?

The Class-dominant theory suggests that those in power use the law and criminal justice system to maintain their power and control over those who are not in power.

This theory suggests that the law is created by the ruling class to protect their interests, and those who break the law are often punished more severely if they are not part of the ruling class.

Therefore, the law is not neutral but serves the interests of the ruling class, and rule-breaking is often a result of the power imbalances in society.

Learn more about Class-dominant theory from

https://brainly.com/question/26253714

#SPJ1

The theory that reminds us that rule making and rule breaking is related to power is the Class-dominant theory. Option C

What is The Class-dominant theory about?

The Class-dominant theory suggests that those in power use the law and criminal justice system to maintain their power and control over those who are not in power.

This theory suggests that the law is created by the ruling class to protect their interests, and those who break the law are often punished more severely if they are not part of the ruling class.

Therefore, the law is not neutral but serves the interests of the ruling class, and rule-breaking is often a result of the power imbalances in society.

Learn more about Class-dominant theory from

brainly.com/question/26253714

#SPJ1

if an economy has actual output equal to potential output, then the aggregate demand shock equals zero. t/f

Answers

If an economy has actual output equal to potential output, then the aggregate demand shock equals zero is True.

To understand this statement, let's define the key terms:
1. Actual Output: This is the real GDP or the value of goods and services produced in an economy within a given period.
2. Potential Output: This is the maximum sustainable level of output an economy can produce without causing inflationary pressures.
3. Aggregate Demand Shock: This refers to an unexpected event that causes a sudden increase or decrease in the overall demand for goods and services in an economy.Now, let's break down the relationship between these terms in the context of the question:When actual output equals potential output, it implies that the economy is operating at its maximum sustainable capacity. In this situation, there is no excess demand or supply in the market, meaning the overall demand for goods and services is exactly met by the production capacity of the economy.In the absence of any unexpected changes in the components of aggregate demand, such as consumer spending, government spending, investment, or net exports, the aggregate demand shock will be zero. This is because a shock occurs when there is a sudden and unexpected change in demand, and in this scenario, the economy is in a state of equilibrium with demand perfectly matching the supply.In conclusion, the statement is true. When an economy has actual output equal to potential output, there is no room for aggregate demand shocks, as the economy is operating at its maximum sustainable capacity without inflationary pressures.

For more such question on economy

https://brainly.com/question/28210218

#SPJ11

Other Questions
The minimum starting kilovolt-amperes for 7 1/2 horsepower, 3 phase, 230 volt, code letter F motor is? who purchases and resells products to consumers for their personal or family use? What about Macbeth concerns Banquo the most in his soliloquy to start Act III? The accompanying table shows the number of bacteria present in a certain cultureover a 4 hour period, where x is the time, in hours, and y is the number of bacteria.Write an exponential regression equation for this set of data, rounding all coefficientsto the nearest thousandth. Using this equation, determine the number of bacteriapresent after 9 hours, to the nearest whole number. A fantasy city refers to what aspect of contemporary urban development?Select one:a. Red-light districtsb. Land speculation and development based on the belief in the continuing rise in property valuesc.The recreation of cities as theme parks for international touristsd. A fictional city scape in William Gibson's Neuromancer what type of consumer good is more expensive and therefore receives more evaluation of alternatives before the purchase is made? Find the smallest positive integer whose cube ends in 888. In the data set below, what is the interquartile range?1 2 2 2 4 5 7 7 Problem 6-21 (Algo) Dropping or Retaining a Flight [LO6-2]Profits have been decreasing for several years at Pegasus Airlines. In an effort to improve the companys performance, the company is thinking about dropping several flights that appear to be unprofitable.A typical income statement for one round-trip of one such flight (flight 482) is as follows:Ticket revenue (165 seats 40% occupancy $230 ticket price)$15,180100.0%Variable expenses ($15.00 per person)9906.5Contribution margin14,19093.5%Flight expenses:Salaries, flight crew$1,700Flight promotion790Depreciation of aircraft1,550Fuel for aircraft5,600Liability insurance5,400Salaries, flight assistants1,500Baggage loading and flight preparation1,750Overnight costs for flight crew and assistants at destination700Total flight expenses18,990Net operating loss$(4,800)The following additional information is available about flight 482:Members of the flight crew are paid fixed annual salaries, whereas the flight assistants are paid based on the number of round trips they complete.One-third of the liability insurance is a special charge assessed against flight 482 because in the opinion of the insurance company, the destination of the flight is in a "high-risk" area. The remaining two-thirds would be unaffected by a decision to drop flight 482.The baggage loading and flight preparation expense is an allocation of ground crews salaries and depreciation of ground equipment. Dropping flight 482 would have no effect on the companys total baggage loading and flight preparation expenses.If flight 482 is dropped, Pegasus Airlines has no authorization at present to replace it with another flight.Aircraft depreciation is due entirely to obsolescence. Depreciation due to wear and tear is negligible.Dropping flight 482 would not allow Pegasus Airlines to reduce the number of aircraft in its fleet or the number of flight crew on its payroll.Required:1. What is the financial advantage (disadvantage) of discontinuing flight 482? quite unexpectedly, michael receives a substantial bill. he knows he is probably unable to negotiate a reduced settlement or arrange a payment schedule. michael is most likely to experience which statement would indicate that the parents of child with cystic fibrosis understand the disorder? Write a short note on ADM OH and how they are treated inaccounting List and describe the criteria used when assessing water? true or false. a basic function of government is to protect its citizens from internal and external enemies Wechsler designed IQ tests that provide specific scores for different kinds of abilities. Which of the following performance items are included?nonverbal abilities such as the ability to copy block designsverbal abilities such as the ability to copy block designs 15a + 18 = 38 i need help please. you work on a long-term care unit. in the last two weeks more than half the clients on your unit have been diagnosed with gastroenteritis. what is the most likely reason? AARP uses magazine ads in their magazine to advertise AARP long-term care insurance and other products of interest to those 55 years of age and older. Which of the following best explains how AARP uses audience selectivity? a. The cost associated with a consumer clicking on a display or banner ad b. The number of times an individual is exposed to a given message during a specific period C. The ability of an advertising medium to reach a precisely defined market d. The number of target consumers exposed to a commercial at least once during a specific period A self-serve car wash charges $5.60 to use its facilities, plus an additional $0.84 for each minute the customer is at the self-serve car wash. If Tiffany was at the car wash for 9 minutes, how much was she charged? A patient brought in with history of head on mvc traveling 120mph severe lower abdominal pain and unstable hip on lateral compression what is priority intervention