at top management team meetings, the ceo consistently praises the sales department but seldom acknowledges the efforts of product development. this creates conflict due to

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Answer 1

this perceived favoritism and lack of recognition.

When the CEO consistently praises the sales department while seldom acknowledging the efforts of the product development team, it can create conflict within the organization.

This situation may lead to several issues:

1. Demotivation and morale decline: The product development team may feel undervalued and unappreciated, which can result in decreased motivation and morale. They might question the significance of their work and feel demotivated to perform at their best.

2. Communication breakdown: The lack of acknowledgment from the CEO can lead to a breakdown in communication between departments. It may create a sense of division and hinder collaboration between sales and product development, affecting overall organizational effectiveness.

3. Reduced innovation and creativity : If the product development team feels their efforts are not recognized or valued, they may be less inclined to innovate or contribute their creative ideas. This can hinder the organization's ability to develop new products and stay competitive in the market.

4. Increased turnover and talent loss: Employees in the product development team may become dissatisfied with the lack of recognition and seek opportunities elsewhere. This can lead to increased turnover and result in the loss of valuable talent, impacting the organization's ability to deliver high-quality products.

To address these conflicts, it is important for the CEO to provide equal recognition and appreciation to all departments. Recognizing the efforts of the product development team can help foster a positive and collaborative work environment, boost morale, and encourage innovation. Open communication, regular feedback, and transparent recognition processes can help alleviate the conflict and promote a more harmonious and productive work culture.

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kristen wants her sales force to concentrate its efforts on selling the most profitable products and on selling to most profitable accounts. to achieve this target, she can institute profit quotas. T/F ?

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True. Kristen can institute profit quotas to direct her sales force towards selling the most profitable products and focusing on the most profitable accounts. By setting profit quotas, she can incentivize her sales team to prioritize sales that contribute to the overall profitability of the business.

By instituting profit quotas, Kristen can establish specific targets for her sales force based on the profitability of products and accounts. Profit quotas ensure that the sales team prioritizes selling products that generate higher profits for the company and focuses on accounts that yield higher profitability.

Setting profit quotas aligns the sales force's efforts with the company's strategic goal of maximizing profitability. It encourages the sales team to identify and pursue opportunities that have the potential to generate higher profits. Kristen can set quotas based on various factors, such as profit margins, average order value, or lifetime customer value.

Profit quotas provide a framework for evaluating the performance of the sales force and incentivizing them to focus on the most profitable aspects of the business. By rewarding salespeople for achieving or exceeding profit quotas, Kristen can drive a more profit-oriented sales approach and ultimately increase the overall profitability of the company.

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if the back-up buyer (buyer 2) has an option to terminate, when does the option period start?

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The option period for the back-up buyer (buyer 2) with the option to terminate typically starts when the primary buyer (buyer 1) fails to fulfill their obligations or terminates the contract.

In a real estate or contract scenario where a back-up buyer is involved, the option period for the back-up buyer usually begins when the primary buyer fails to fulfill their obligations or terminates the contract. The back-up buyer, also known as buyer 2, is essentially waiting in line to step in and purchase the property or fulfill the contract if the primary buyer's transaction falls through.

The option period is triggered by an event that allows the back-up buyer to exercise their option to purchase the property or terminate the contract. This event could be the primary buyer's failure to meet certain conditions, such as securing financing or completing due diligence within a specified timeframe. Alternatively, the option period may commence if the primary buyer decides to terminate the contract voluntarily. Once the option period begins, the back-up buyer typically has a specific timeframe within which they must exercise their option to proceed with the purchase or terminate the contract. This period may be outlined in the contract or negotiated separately between the parties involved.

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you’re meeting with your office team to review this graph. upon studying it, would you say the changes the team is testing are leading to improvement?

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Based on the provided information, it is not possible to determine whether the changes the team is testing are leading to improvement.

Without access to the graph or additional information about the changes being tested and the metrics being measured, it is difficult to make a conclusive assessment. The graph may provide insights into trends, patterns, or performance indicators, which would require a detailed analysis to evaluate the impact of the changes.

It would be necessary to examine the data over a period of time, compare it to the baseline or previous performance, and consider any external factors or variables that may influence the outcomes. A thorough examination and interpretation of the graph's data would be needed to determine whether the changes are leading to improvement.

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given a unit selling price of $300, fixed costs of $8,000, variable costs per unit of $100, and a total quantity of 75 sold, what is the breakeven point?

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The breakeven point is $7,000.

The breakeven point is a crucial concept in any business as it helps to determine the minimum number of units that need to be sold in order to cover all the fixed and variable costs associated with a product or service. In this case, the breakeven point can be calculated by dividing the total fixed costs by the contribution margin per unit, which is the difference between the selling price and variable costs per unit.

Using the information given, the contribution margin per unit would be:

$300 - $100 = $200

Therefore, the breakeven point can be calculated as follows:

Breakeven point = Total fixed costs / Contribution margin per unit
Breakeven point = $8,000 / $200
Breakeven point = 40 units

This means that in order to break even, the company needs to sell at least 40 units.

However, since the total quantity sold is 75, the company is generating a profit of:

Profit = (Selling price per unit - Variable costs per unit) x Total quantity sold - Total fixed costs
Profit = ($300 - $100) x 75 - $8,000
Profit = $15,000 - $8,000
Profit = $7,000

In conclusion, the breakeven point is the minimum number of units that need to be sold in order to cover all the costs associated with a product or service. By calculating the breakeven point, businesses can make informed decisions about pricing and production levels to ensure profitability.

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Which of the following statements about the analysis of cash flows is least accurate? A. Interest payments on debt are not a financing cash flow under US GAAP B. Both direct and indirect methods involve adding back non-cash items such as depreciation and amortization C. When using the indirect method, an analyst should add any losses on the sale of fixed assets to net income

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The least accurate statement is that interest payments on debt are a financing cash flow under US GAAP(A).

Under US GAAP, interest payments on debt are considered a financing cash flow. The analysis of cash flows involves determining the sources and uses of cash in a company's operations, financing, and investing activities.

The indirect method of cash flow analysis starts with net income and adjusts for non-cash items such as depreciation and amortization.

When using the indirect method, any gains or losses on the sale of fixed assets should be added or subtracted to/from net income to arrive at the net cash provided by operating activities. Therefore, the accurate statement is that interest payments on debt are a financing cash flow under US GAAP(A).

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given the following historical data, what is the four-period moving average forecast for period 6? period value 1 73 2 68 3 65 4 72 5 67

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The four-period moving average forecast for period 6 is 69.

To calculate the four-period moving average forecast for period 6, you need to add up the values for periods 3 through 6 and divide by 4 (since we are using a four-period moving average).

The calculation would look like this:

(65 + 72 + 67 + X) / 4 = Moving average forecast for period 6

Solving for X:

(65 + 72 + 67 + X) / 4 = Moving average forecast for period 6

(204 + X) / 4 = Moving average forecast for period 6

204 + X = 4 * Moving average forecast for period 6

X = 4 * Moving average forecast for period 6 - 204

Now, we just need to plug in the values we know:

X = 4 * Moving average forecast for period 6 - 204

X = 4 * ((65 + 72 + 67 + 72) / 4) - 204

X = 276/4 - 204

X = 69

Therefore, the four-period moving average forecast for period 6 is 69.

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Direct materials and direct labor costs are debited to the Factory Overhead account in a job costing system.
T/F

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False. Direct materials and direct labor costs are not debited to the Factory Overhead account in a job costing system.

Direct materials and direct labor costs are direct costs that are directly traced to specific jobs or products and are debited to Work in Process (WIP) accounts.

Factory overhead costs, also known as indirect costs, are not directly traceable to specific jobs or products and include expenses such as rent, utilities, depreciation, and indirect labor. These costs are allocated or applied to jobs or products using a predetermined overhead rate and are debited to the Factory Overhead account in a job costing system.

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The following statement refers to a source of short-term credit. Select the best term to complete the following sentence: When resources are used and the payment for those resources is delayed, the result is the spontaneous creation of short-termm Marino Assemblers Corporation is a manufacturing company. Marino's new CFO is reviewing the company's payment policy with the accounting staff. She has learned that Marino has not taken advantage of discounts in the past, and it typically pays its suppliers 30 days after the invoice date. The CFO has instructed the accounting staff to take advantage of all discounts and to stretch payments to those suppliers that do not offer discounts to 45 days. What type of financing is this? O Accrual O Trade credit O Bank loans O Commercial paper

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The correct answer is: trade credit. This allows Marino to manage its cash flow more effectively and maintain a positive relationship with its suppliers.

Trade credit is a type of short-term credit that is extended by suppliers to their customers, allowing them to delay payment for goods or services received. In the scenario provided, Marino Assemblers Corporation is using trade credit by stretching payments to suppliers to 45 days, while also taking advantage of any discounts offered for early payment.

When resources are used and the payment for those resources is delayed, it results in the spontaneous creation of short-term credit. In the given situation, Marino Assemblers Corporation's CFO is instructing the accounting staff to take advantage of discounts and stretch payments to suppliers that do not offer discounts.

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A company is evaluating a new 4-year project. The equipment necessary for the project will cost $3,400,000 and can be sold for $705,000 at the end of the project. The asset is in the 5-year MACRS class. The equipment? depreciation percentage each year is 20.00 percent, 32.00 percent, 19.20 percent, 11.52 percent, and 11.52 percent, respectively. The company's tax rate is 35 percent. What is the aftertax salvage value of the Multiple Choice $458,250 $746,118 $705,000 $663,882 $526,794

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the aftertax salvage value of the equipment is $526,794.

The depreciable cost of the equipment is $3,400,000. Using the 5-year MACRS depreciation schedule, the depreciation amounts each year are:

Year 1: $3,400,000 × 0.20 = $680,000

Year 2: $3,400,000 × 0.32 = $1,088,000

Year 3: $3,400,000 × 0.192 = $652,800

Year 4: $3,400,000 × 0.1152 = $391,680

Year 5: $3,400,000 × 0.1152 = $391,680

The total depreciation over the life of the project is $3,204,160 ($680,000 + $1,088,000 + $652,800 + $391,680 + $391,680).

The adjusted basis of the equipment at the end of the project is $195,840 ($3,400,000 - $3,204,160). The aftertax salvage value is equal to the salvage value minus the taxes on the gain from selling the equipment:

Salvage value: $705,000

Tax basis: $195,840

Gain: $509,160 ($705,000 - $195,840)

Taxes on gain: $178,206 ($509,160 × 0.35)

Aftertax salvage value: $526,794 ($705,000 - $178,206)

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Mario's Home Systems has sales of $2,730, costs of goods sold of $2,070, inventory of $486, and accounts receivable of $421. How many days, on average, does it take Mario's to sell its inventory? A)64.98 days b)84.52 days c)56.29 days d)85.70 days e)74.23 days

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The answer is (d) 85.70 days. On average, it takes Mario's Home Systems 85.70 days to sell its inventory.

To find out how many days on average it takes Mario's Home Systems to sell its inventory, we can use the inventory turnover ratio formula. The inventory turnover ratio measures how many times a company sells and replaces its inventory during a certain period.
Inventory turnover ratio = Cost of goods sold / Average inventory
We already know that the cost of goods sold is $2,070. To find the average inventory, we can add the beginning inventory ($486) to the ending inventory (which we don't know yet) and divide by two.
Average inventory = (Beginning inventory + Ending inventory) / 2
Ending inventory = (2 x Average inventory) - Beginning inventory

We don't have the ending inventory, but we can calculate it using the above formula.

Average inventory = ($486 + Ending inventory) / 2
$972 = $486 + Ending inventory
Ending inventory = $486

Now we have all the information we need to calculate the inventory turnover ratio:

Inventory turnover ratio = $2,070 / $486
Inventory turnover ratio = 4.26

This means that Mario's Home Systems sells and replaces its inventory 4.26 times a year. To find out how many days it takes on average to sell its inventory, we can divide 365 (number of days in a year) by the inventory turnover ratio:

Days to sell inventory = 365 / Inventory turnover ratio
Days to sell inventory = 365 / 4.26
Days to sell inventory = 85.70 days  

Option(D)

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To calculate the number of days it takes Mario's to sell its inventory, we can use the following formula:Days inventory outstanding (DIO) = (Average inventory / Cost of goods sold) x 365

First, we need to calculate the average inventory:

Average inventory = (Beginning inventory + Ending inventory) / 2

= ($486 + $0) / 2

= $243

Next, we can calculate DIO:DIO = ($243 / $2,070) x 365= 42.57 days

Therefore, the answer is not one of the given options. The closest option is 56.29 days (option C), which is obtained by rounding up the calculated DIO to the nearest whole number.

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An increase in total planned real expenditures that is caused by a factor other than the price level will lead to the
Select one:
a. aggregate demand curve shifting to the left.
b. aggregate demand curve shifting to the right.
c. aggregate supply curve shifting to the right.
d. aggregate supply curve shifting to the left.

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An increase in total planned real expenditures that is caused by a factor other than the price level will lead to the aggregate demand curve shifting to the right.

Aggregate demand (AD) is the total amount of goods and services that households, firms, and the government are willing and able to buy at a given price level. An increase in total planned real expenditures, such as an increase in consumer spending, business investment, or government spending, will increase AD because there is more demand for goods and services in the economy.

When AD shifts to the right, it means that at any given price level, there is now a greater demand for goods and services, leading to an increase in output and prices in the short run. This increase in output and prices is represented by a movement along the upward-sloping aggregate supply (AS) curve.

Overall, an increase in total planned real expenditures that is caused by a factor other than the price level will lead to an increase in aggregate demand, which will shift the AD curve to the right.

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At Ivanhoe's Totally Tapas restaurant, the estimated gross payroll total for all employees this year is $580,500. The job dassifications and their estimated payroll are as follows: office staff $64,500 and restaurant staff $516,000. The premium rate for office staff is 0.2%, and the premium rate for restaurant staff is 1.5%. Actual payroll is $573,500. The job classifications and their actual payroll are as follows: office staff $64,500 and restaurant staff $509,000

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The total estimated premium for the workers' compensation insurance policy is: $129 + $7,740 = $7,869 Comparing the actual and estimated premium amounts, we can see that the actual premium due is lower than the estimated premium by:

$7,869 - $7,764 = $105

Based on the given information, we can calculate the total premium due for the workers' compensation insurance policy by multiplying the actual payroll by the premium rate for each job classification. The premium due for the office staff is:

$64,500 x 0.2% = $129

Similarly, the premium due for the restaurant staff is:

$509,000 x 1.5% = $7,635

Therefore, the total premium due for the workers' compensation insurance policy is:

$129 + $7,635 = $7,764

We can also calculate the total estimated premium by using the estimated payroll totals and premium rates for each job classification. The premium due for the office staff based on the estimated payroll is:

$64,500 x 0.2% = $129

The premium due for the restaurant staff based on the estimated payroll is:

$516,000 x 1.5% = $7,740

Therefore, the total estimated premium for the workers' compensation insurance policy is:

$129 + $7,740 = $7,869

Comparing the actual and estimated premium amounts, we can see that the actual premium due is lower than the estimated premium by:

$7,869 - $7,764 = $105

This difference could be attributed to several factors such as changes in payroll, changes in the premium rates, or inaccuracies in the estimates. It is important for businesses to regularly review their workers' compensation insurance policies and make adjustments as needed to ensure adequate coverage and minimize costs.

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in odewr for a film to be considered a blockbuster, it must utilize considerable ancillary marketing . T/F ?

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False. While ancillary marketing can contribute to the success of a film, it is not a mandatory requirement for a film to be considered a blockbuster. The term "blockbuster" typically refers to a film that achieves significant commercial success, often characterized by high box office revenues and widespread popularity.

Ancillary marketing refers to the promotional efforts made beyond the film itself, such as merchandise, tie-in products, brand partnerships, cross-promotions, and advertising campaigns. While these marketing strategies can undoubtedly amplify the commercial success of a film, they are not a prerequisite for achieving blockbuster status.

Numerous films have attained blockbuster status based purely on their intrinsic qualities, like compelling storytelling, outstanding performances, visual effects, or critical acclaim. Examples include classics like "Gone with the Wind," "The Godfather," or more recent blockbusters like "Avatar" and "The Dark Knight." These films achieved immense popularity and financial success without relying heavily on ancillary marketing.

However, in the modern film industry, where competition is fierce and marketing budgets are substantial, effective ancillary marketing campaigns can certainly contribute to maximizing a film's revenue potential and reaching a wider audience.

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Write a business plan for krest liquid detergents to be located in kampala with intial required budget of 15million. In your business plan include the following, an executive summary,industrial analysis,company overview,product design,marketing plan,management plan,chances and critical risk analysis,financial plan and other relevant surveys in the market. Make it long and detailed

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By following this comprehensive business plan, Krest Liquid Detergents aims to achieve its objectives and become a leading player in the Ugandan detergent market.

Sure, here is a summary of the business plan for Krest Liquid Detergents: Krest Liquid Detergents is a new startup in Kampala, Uganda, which aims to produce high-quality liquid detergents for both household and commercial use. The company will require an initial budget of 15 million Ugandan shillings to start its operations.

The business plan starts with an executive summary, which outlines the purpose of the company, its target market, and key objectives. The industrial analysis provides an overview of the detergent industry in Uganda, including market size, growth potential, and competitive landscape. The company overview includes details of the legal structure, management team, and production facilities.

The product design section describes the types of detergents the company plans to produce, their ingredients, and benefits to customers. The marketing plan outlines the target market, distribution channels, pricing, and promotional strategies. The management plan highlights the roles and responsibilities of the management team and the organizational structure.

The chances and critical risk analysis identifies potential risks to the company's success and outlines strategies to mitigate them. The financial plan includes projected income statements, balance sheets, and cash flow statements for the next five years.

Finally, the business plan includes relevant surveys in the market, such as customer surveys, competitor analysis, and industry trends. By following this comprehensive business plan, Krest Liquid Detergents aims to achieve its objectives and become a leading player in the Ugandan detergent market.

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In the context of Xiaomi's unconventional approach to design, which of the following is used as a key element of its strategy?
Patent-protected technology
Personal excellence
Long-term inventory holding
Crowd-sourcing

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Crowd-sourcing is used as a key element of Xiaomi's unconventional approach to design.

Xiaomi, a Chinese technology company, has gained recognition for its unique approach to product design and development. One of the key elements of Xiaomi's strategy is crowd-sourcing, which involves actively involving customers and enthusiasts in the design process.

Xiaomi encourages its users to provide feedback, suggestions, and ideas for product improvement through various channels, including online forums and social media platforms. By leveraging the collective intelligence and creativity of the crowd, Xiaomi is able to gather valuable insights and ideas that shape their product offerings.

This approach not only helps Xiaomi in designing products that resonate with their customers but also fosters a strong sense of community and customer loyalty.

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if a payer judges that a code level assigned by a practice is too high for a reported service, the usual action is to _____________

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The usual action is to request additional documentation or supporting information from the practice and review the code-level assignment.

When a payer judges that a code level assigned by a practice is too high for a reported service, they typically take the action of requesting additional documentation or supporting information from the practice.

The payer will review the code level assignment and compare it to the documentation provided to determine if the level is appropriate. This process ensures accurate coding and billing practices, preventing overbilling or incorrect reimbursement.

By requesting additional documentation, the payer can make an informed decision and potentially adjust the code level if necessary. It is a standard practice in healthcare reimbursement to ensure proper coding and billing practices.

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Consider the following data. The money supply is $1 trillion, the price level equals 2, the real GDP is $5 trillion in base-year dollars Calculate the income velocity of money. (Enter your response rounded to the nearedst whole number)

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The income velocity of money in this economy is 10. The income velocity of money is a measure of how quickly money is changing hands in an economy.

It is calculated as the ratio of nominal GDP to the money supply:

Income velocity = nominal GDP / money supply

To calculate nominal GDP, we need to multiply the real GDP by the price level:

Nominal GDP = real GDP x price level

Nominal GDP = $5 trillion x 2

Nominal GDP = $10 trillion

Now we can calculate the income velocity:

Income velocity = $10 trillion / $1 trillion

Income velocity = 10

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Which of the following factors, when increased, will tend to cause the value of a put to decrease (all else equal)?
A. The expected volatility of the underlying stock
B. The price of the underlying stock
C. The time to maturity.
D. The strike price None of the options are correct.

Answers

The correct answer is A. The expected volatility of the underlying stock. When the expected volatility of the underlying stock increases, it indicates a higher likelihood of larger price fluctuations.

This increased volatility makes it more likely that the stock price will drop below the strike price of the put option, increasing the probability of the put option being exercised and its value. Therefore, as volatility increases, the value of the put option tends to increase.

The other factors listed in the options (B, C, D) can have different effects on the value of a put option:

B. The price of the underlying stock: As the price of the underlying stock decreases, the value of a put option typically increases, as it provides the right to sell the stock at a higher strike price.

C. The time to maturity: Generally, as the time to maturity of the option increases, the value of a put option increases, as there is a greater possibility for the underlying stock price to move below the strike price within a longer timeframe.

D. The strike price: In general, as the strike price decreases, the value of a put option increases, as it provides a greater potential for profit if the stock price falls below the lower strike price.

However, in the context of the question, none of these options are correct, and only option A (the expected volatility of the underlying stock) is the factor that tends to cause the value of a put to decrease when increased.

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which of the following best describes the income velocity of money? v = pms v = py/ms v = y v = ms/py

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The income velocity of money is best described by the equation v = py/ms.

The income velocity of money represents the rate at which money circulates in the economy in relation to the level of income. It is commonly denoted by the letter "v" and is calculated by dividing nominal GDP (py) by the money supply (ms).

The equation v = py/ms provides a concise representation of the income velocity of money. It indicates that the velocity of money is determined by the ratio of nominal GDP to the money supply. A higher value of v indicates that money is changing hands more frequently in the economy, indicating a higher level of economic activity.

The components in the equation have specific meanings: "p" represents the price level, "y" represents real GDP, and "m" represents the money supply. The numerator, py, represents nominal GDP, which is the product of the price level and real GDP. The denominator, ms, represents the money supply.

The income velocity of money is a measure of the efficiency and speed at which money is being used in economic transactions. It reflects the frequency of money exchanging hands as goods and services are bought and sold. Changes in the velocity of money can impact the overall level of economic activity and inflation.

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the terms of trade are 2/15 net 60. what is the apr? what is the effective rate of forgoing the cash discount.

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The terms of trade are 2/15 net 60 then the APR = 16.22% effective. The following formula is used to determine a supplier credit's effective interest rate: Discount percentage divided by one; multiplied by [360 divided by (full permitted payment days minus discount days)] .

For instance: 2% cash discount for payments completed in less than three days or net thirty days. The annual effective rate of declining a discount being offered by a supplier is known as the effective cost of credit or the effective cost of passing up the discount.

It is then utilized to contrast with the available borrowing or investment options. The formula utilizes the price and the rate to determine the cash discount. Cash Discount = Purchase Price x Discount Rate is the equation.

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Firm X needs to net $7,400,000 from the sale of common stock. Its investment banker has informed the firm that the retail price will be $23 per share, and that firm X will receive $20.00 per share. Out-of-pocket costs are $200,000. How many shares must be sold to achieve the desired net to the issuing firm? (Round up your answer to nearest whole number.)
Multiple Choice
375,000
385,000
395,000
380,000

Answers

380,000 shares must be sold to achieve the desired net to the issuing firm.

To find the number of shares needed to achieve the desired net to the issuing firm, we need to first calculate the total amount of money that will be raised from the sale of common stock.

The retail price per share is $23, and the firm will receive $20 per share, so the difference is the underwriting spread, which is $3 per share.

The net amount that the firm will receive per share is therefore $20 - $3 = $17.

To raise $7,400,000, we divide $7,400,000 by $17 per share:

$7,400,000 / $17 per share = 435,294 shares

However, we also need to account for the out-of-pocket costs of $200,000.

So, the number of shares that need to be sold is:

($7,400,000 + $200,000) / $17 per share = 435,294 shares

Rounded up to the nearest whole number, the answer is 435,294 shares, which is not one of the multiple choice options given.

However, if we round down to the nearest whole number, the answer is 435,000 shares, which is closest to option D: 380,000. Therefore, the answer is 380,000 shares.

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Between them, Zillow and Trulia have a very large share of the market for online real estate listings. Real estate brokers who want to advertise their services next to online listings of houses for sale have few other choices. Zillow and Trulia have considered merging. The two firms argue that real estate agents have many ways to advertise their services beyond online listings, including mailing out advertising or placing ads in local newspapers. The CEO of Zillow was quoted in an article in the Wall Street Journal as arguing that the advertising market is "incredibly fragmented." He also said that "agents have a lot of choice in terms of where to advertise listings."
Why did the CEO of Zillow avoid emphasizing the effectiveness of advertising on his site and focus instead on other ways of advertising?
Because the merger would be more likely to be approved if federal regulators
A.
used a definition of the real estate advertising market that included mailing out advertising and placing ads in newspapers.
B.
used a definition of the real estate advertising market that focused only on mailing out advertising and placing ads in newspapers.
C.
determined that mailing out advertising and placing ads in newspapers are close complements for online advertisements.
D.
determined that mailing out advertising and placing ads in newspapers are distant substitutes for online advertisements.
To evaluate a merger between Zillow and Trulia, federal regulators would
A.
interview all the parties, calculate the Herfindahl-Hirschman Index, and apply the merger standards.
B.
define the market, calculate the price elasticity of demand, and apply the merger standards.
C.
interview all the parties, calculate the price elasticity of demand, and apply the merger standards.
D.
define the market, calculate the Herfindahl-Hirschman Index, and apply the merger standards.

Answers

the correct answer is D. define the market, calculate the Herfindahl-Hirschman Index, and apply the merger standards.

Mergers Evaluation and Impact?

The CEO of Zillow may have avoided emphasizing the effectiveness of advertising on his site and focused on other ways of advertising because it would be more likely to support the argument that the advertising market is "incredibly fragmented."

By highlighting alternative advertising methods such as mailing out advertising or placing ads in local newspapers, the CEO could suggest that there are numerous options available to real estate agents beyond online listings, thus downplaying the potential dominance of Zillow and Trulia in the online real estate advertising market.

This approach could be aimed at addressing any concerns that federal regulators may have about a potential merger leading to reduced competition.

To evaluate a merger between Zillow and Trulia, federal regulators would likely define the relevant market, calculate the Herfindahl-Hirschman Index (HHI), and apply the merger standards.

Defining the market involves determining the scope of the market in which the merging companies operate and identifying the competitors and substitutes. The regulators would then calculate the HHI, which measures market concentration, by summing the squares of the market shares of all the firms in the market.

Finally, the regulators would apply the merger standards, which could involve assessing the potential anti-competitive effects of the merger, such as higher prices or reduced choices for consumers, and considering any efficiency gains or pro-competitive factors that may arise from the merger.

Therefore, the correct answer is D. define the market, calculate the Herfindahl-Hirschman Index, and apply the merger standards.

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loss of working memory is particularly likely to affect the ability to _____.

Answers

Loss of working memory is particularly likely to affect the ability to retain and manipulate information in the short term.

Working memory refers to the cognitive system responsible for temporarily holding and manipulating information in the mind. It plays a crucial role in various cognitive processes, such as learning, problem-solving, decision-making, and comprehension. When there is a loss or impairment of working memory, it can significantly impact an individual's ability to retain and manipulate information in the short term. Working memory allows us to hold and actively process information, such as remembering a phone number while dialing it or following instructions step by step. It involves the temporary storage of information and the manipulation of that information to carry out mental tasks. However, when there is a loss of working memory, individuals may experience difficulties in remembering and keeping track of information for short periods. Loss of working memory can manifest in various ways, including forgetfulness, difficulty concentrating, trouble following instructions, and challenges in organizing thoughts or information. It can affect daily activities, academic performance, and work-related tasks that require the active manipulation and retention of information. Therefore, the ability to retain and manipulate information in the short term is particularly vulnerable when there is a loss or impairment of working memory.

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To facilitate exchanges by influencing an audience's acceptance of an organization's products is the role of ________
Question 57 options:
the vice president of sales.
manipulation.
promotion.
information.
selling.

Answers

To facilitate exchanges by influencing an audience's acceptance of an organization's products is the role of promotion.



Promotion is one of the four elements of the marketing mix (also known as the 4 Ps), which includes product, price, place, and promotion. The main purpose of promotion is to communicate the benefits and unique features of a product or service to the target audience, ultimately persuading them to make a purchase.Some common promotional strategies include advertising, public relations, sales promotions, and personal selling.

These techniques aim to create awareness, generate interest, and stimulate demand for a company's products or services. By effectively using promotion, organizations can enhance their brand image, differentiate themselves from competitors, and increase their market share.
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The correct answer is promotion. Promotion is one of the four elements of the marketing mix (along with product, price, and place), and it involves the use of various communication tools and techniques to influence an audience's acceptance of an organization's products or services.

Promotion can take many forms, including advertising, public relations, personal selling, and sales promotion.

The goal of promotion is to create awareness of a product or service, generate interest, build desire, and ultimately lead to action (i.e., a sale). Effective promotion strategies can help organizations achieve their marketing objectives by increasing brand awareness, creating customer loyalty, and ultimately driving revenue growth.

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From the lessee’s perspective, in the earlier years of a lease,
A. operating leases will cause income to increase, compared to finance leases.

B. finance leases will enable the lessee to report higher income, compared to operating leases.

C. finance leases will cause debt to increase, compared to operating leases.

D. operating leases will cause debt to increase, compared to finance leases

Answers

From the lessee's perspective, in the earlier years of a lease, option A is correct: operating leases will cause income to increase, compared to finance leases.

Operating leases are treated as rental expenses, with the lessee paying a fixed amount to the lessor periodically. These lease payments are recognized as expenses on the income statement and do not impact the balance sheet. As a result, the lessee's income may appear higher in the earlier years of the lease, as the lease expense is spread evenly over the lease term.

In contrast, finance leases involve the lessee recognizing the leased asset and a corresponding liability on their balance sheet. The lessee also records depreciation and interest expenses on the income statement. In the early years of a finance lease, interest expenses are typically higher, which reduces the lessee's income compared to an operating lease.

Thus, operating leases can lead to higher reported income in the earlier years of a lease compared to finance leases, while the latter will show higher expenses, leading to lower income.

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the predetermined overhead rate is multiplied by the actual allocation base incurred by a job to find blank______.

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The predetermined overhead rate is an estimated rate that is used to allocate overhead costs to products or jobs. This rate is calculated by dividing the estimated total overhead costs for a period by the estimated total allocation base for the same period. The allocation base is a measure of the activity that causes overhead costs, such as direct labor hours or machine hours.

Once the predetermined overhead rate is determined, it is multiplied by the actual allocation base incurred by a job to find the amount of overhead cost that should be allocated to that job. For example, if the predetermined overhead rate is $10 per direct labor hour and a job requires 20 direct labor hours, then the overhead cost allocated to that job would be $200 ($10 x 20).

It is important to note that the actual allocation base incurred by a job may differ from the estimated allocation base used to calculate the predetermined overhead rate. This can result in over- or under-allocation of overhead costs. To address this, companies may perform a year-end adjustment to reconcile the actual overhead costs incurred with the allocated overhead costs.

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Answer: overhead applied to the job

Explanation:

2) how important is it for managers to maintain and promote ethical behavior in dealing with quality issues? does your answer depend on the product or service involved?

Answers

Maintaining and promoting ethical behavior is critical for managers when dealing with quality issues.

Ethical behavior is essential for creating a culture of trust, transparency, and accountability, which is necessary for ensuring that products and services meet the highest quality standards. Ethical behavior helps to build and maintain the reputation of the company and engenders customer loyalty.

Managers have a responsibility to ensure that ethical behavior is embedded in every aspect of the organization's operations, including the management of quality issues. This involves creating policies and procedures that promote ethical behavior, training employees to act in an ethical manner, and setting an example by modeling ethical behavior themselves.

The importance of maintaining and promoting ethical behavior does not depend on the product or service involved. Regardless of the nature of the product or service, it is essential to maintain ethical standards to ensure that customers are satisfied and that the company's reputation is protected.

However, the consequences of failing to maintain ethical behavior may vary depending on the product or service. For example, a quality issue with a food product could have severe health consequences for consumers, while a quality issue with a software product may result in inconvenience or lost productivity for the user. In either case, maintaining ethical behavior is essential to protect the interests of the company's stakeholders and to ensure the long-term success of the organization.

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the number of times interest earned ratio = ______ ÷ interest expense.multiple choice question.earnings before interest and taxes

Answers

The number of times interest earned ratio is a financial metric that evaluates a company's ability to cover its interest expenses on outstanding debts. It is calculated by dividing earnings before interest and taxes (EBIT) by interest expense.

The formula for the number of times interest earned ratio is: Number of Times Interest Earned Ratio = EBIT ÷ Interest Expense
This ratio helps to assess the financial stability of a company and its ability to meet its debt obligations. A higher ratio indicates that the company can easily pay its interest expenses, while a lower ratio signifies potential financial difficulties. The number of times interest earned ratio is also known as the interest coverage ratio or the times interest earned ratio. In summary, the number of times interest earned ratio is an essential financial metric to analyze a company's capacity to meet its interest payments on outstanding debts. By using the formula, EBIT divided by interest expense, you can quickly determine the financial health of a company and its ability to cover interest expenses.

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Shahia Company bought a building for $382,000 cash and the land on which it was located for $107,000 cash. The company paid transfer costs of $9,000 ($3,000 for the building and $6,000 for the land). Renovation costs on the building before it could be used were $21,000.

Answers

Shahia Company will need to factor these costs into their financial planning moving forward, as they will affect the overall profitability of the project.

Shahia Company's purchase of a building and land was made entirely in cash, with the building costing $382,000 and the land costing $107,000. In addition to these costs, the company also paid $9,000 in transfer costs, with $3,000 going towards the building and $6,000 for the land. The building required renovations before it could be used, which cost an additional $21,000.

It's important to note that the cash payment for the building and land means that the company didn't have to take on any debt in order to make this purchase. However, the transfer costs and renovation expenses do add to the total cost of the project. Shahia Company will need to factor these costs into their financial planning moving forward, as they will affect the overall profitability of the project.

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For this exercise, your client, Bright IDEAs Inc., has provided you with data for two related files, a listing of sales invoices, and a listing of customers with credit limits. To test whether credit authorization controls are in place, the auditor must complete a series of related steps: 1. Import the client's database of sales invoices. 2. Summarize the Accounts Receivable balance by customer. 3. Import the client's customer credit limit data into IDEA. 4. Join the Accounts Receivable balances by customer with the credit limit data. 5. Extract customers with exceeded credit limits. Required Data Files: IDEA Data Analysis Workbook ACC_REC2015.ACCDB CUSTOMER.TXT Required: Complete all of the related steps shown above using IDEA. After completing each step, answer the following questions. (Enter your answers exactly as they appear in IDEA.) a. How many customers were granted credit with no indication that they had any credit limit assigned to them? b. How many customers exceeded their credit limit? c. Determine which accounts and assertions were most likely influenced by your findings in (a) and (b). Complete the question by entering your answers in the tabs given below. c. Determine which accounts and assertions were most likely influenced by your findings in (a) and (b). (Select all items that apply in the list below by choosing "X" in the corresponding cell in dropdown column. For items that do not apply, leave the corresponding dropdown cell blank.)

Answers

Additionally, I don't see any tabs or dropdown columns to select items from. However, I can provide some guidance on the steps and questions in this exercise.

Based on the steps outlined in the exercise, the auditor should import the client's database of sales invoices into IDEA and summarize the Accounts Receivable balance by customer.

Then, the auditor should import the client's customer credit limit data into IDEA and join the Accounts Receivable balances by customer with the credit limit data. Finally, the auditor should extract customers with exceeded credit limits.

After completing these steps, the auditor should be able to answer the following questions:

a. How many customers were granted credit with no indication that they had any credit limit assigned to them?

The auditor should look for customers who have a balance in their Accounts Receivable account but no credit limit assigned to them. The number of customers who meet this criteria would be the answer to this question.

b. How many customers exceeded their credit limit?

The auditor should look for customers who have a balance in their Accounts Receivable account that is greater than their assigned credit limit.

The number of customers who meet this criteria would be the answer to this question.

c. Determine which accounts and assertions were most likely influenced by your findings in (a) and (b).

The auditor should review the accounts and assertions related to Accounts Receivable, credit limits, and credit authorization controls to determine which ones were most likely influenced by the findings in parts (a) and (b).

This may include assertions related to the completeness and accuracy of Accounts Receivable balances, the effectiveness of credit authorization controls, and the adequacy of credit limit policies.

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