By standardizing international operations as much as possible yet being adaptable to the needs of local markets, a firm is utilizing a transnational strategy of globalization. TRUE OR FALSE

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Answer 1

TRUE. A transnational strategy of globalization involves a combination of centralization and decentralization to achieve both global efficiency and local responsiveness.

This is typically achieved by standardizing certain aspects of the business that are essential for efficiency, while also allowing for customization and adaptation to meet local market needs.

A transnational strategy seeks to balance the advantages of global standardization with those of local adaptation. It is characterized by a high degree of coordination and integration among different parts of the organization, as well as a focus on knowledge sharing and innovation.

In order to implement a transnational strategy, a firm may need to invest in advanced information systems and communication technologies to ensure that information can be shared and coordinated effectively across different countries and regions. The firm may also need to develop a strong corporate culture and a set of shared values and norms that can help guide decision-making and facilitate coordination across different parts of the organization.

Overall, a transnational strategy can be an effective way for firms to compete in global markets by leveraging their scale and scope advantages while also being adaptable to the needs of local markets. However, implementing such a strategy can be complex and challenging, requiring significant investments in technology, organizational structure, and human resources.

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Related Questions

Forensic Accounting does not greatly differ from traditional accounting. Group of answer choices True False

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False.Forensic Accounting does not greatly differ from traditional accounting.

Forensic accounting is a specialized area of accounting that involves the use of accounting, auditing, and investigative skills to detect and investigate financial fraud and other financial irregularities. While forensic accounting uses many of the same skills and techniques as traditional accounting, such as financial analysis, record-keeping, and report writing, there are some important differences between the two.

One key difference is that forensic accounting often involves working with legal professionals and law enforcement agencies to investigate and resolve financial crimes. Forensic accountants may be called upon to provide expert testimony in court or to assist with legal proceedings related to financial crimes.

Additionally, forensic accountants may use specialized tools and techniques to uncover financial fraud and other irregularities, such as data analytics, computer forensics, and interviewing techniques.

Overall, while forensic accounting shares some similarities with traditional accounting, it is a distinct and specialized area of the accounting profession that requires specific training, expertise, and knowledge.

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You want to start a new construction company. You think that your FCF will be $100,000 in the first year and grow at 4% per year. With 0 debt, you estimate that your cost of equity (unlevered cost of capital) will be 13%. What is the enterprise value of your company

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The enterprise value of your new construction company is $1,050,000.

To calculate the enterprise value of your new construction company, we need to first determine the present value of your future free cash flows. Using the formula for perpetuity growth, we can calculate the present value of your free cash flows as follows:

PV = FCF / (r - g)

Where FCF is your expected free cash flow of $100,000 in year 1, r is your cost of equity (13%), and g is your expected growth rate (4%).

PV = 100,000 / (0.13 - 0.04) = $1,000,000

This means that the present value of your future free cash flows is $1,000,000. To calculate the enterprise value, we need to add any cash or cash equivalents on your balance sheet, subtract any debt or other liabilities, and multiply by any outstanding shares of stock.

Since you have 0 debt, we can simply add any cash or cash equivalents to the present value of your future free cash flows. Let's assume you have $50,000 in cash on your balance sheet.

Enterprise Value = PV of FCF + Cash

Enterprise Value = $1,000,000 + $50,000 = $1,050,000

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If a firm's sales estimate used in its base-case analysis is 1,000 units per year and they anticipate the upper and lower bounds to be ± 15 percent, What is the "best case" for units sold per year?

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The "best case" for units sold per year is 1,150 units.

The base-case sales estimate is the projected or expected level of sales volume, revenue or units for a business or company under normal operating conditions, assuming no significant changes in external factors such as competition, economic conditions or changes in consumer demand.

If the base-case sales estimate for a firm is 1,000 units per year and they anticipate the upper and lower bounds to be ± 15 percent, we can calculate the "best case" for units sold per year as follows;

Upper bound for sales estimate = Base-case sales estimate + 15% of base-case sales estimate

= 1,000 + 0.15 x 1,000

= 1,150

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The difference between a firm's current assets and its current liabilities is known as the ______.Multiple choice question.long-term capitalcapital structurenet opportunity capitalnet working capital

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The difference between a firm's current assets and its current liabilities is known as the D. net working capital

What are current assets ?

Current assets encompass those which can be metamorphosed into money with a period of up to twelve months, such as currency, amounts owed to the business, supplies and brief investments.

Contrarily, current liabilities refer to any obligations that must be discharged within one year, comprised of receivables from customers, short-term loans, and unpresented payments.

Net working capital (NWC) is a gauge for an entity's cashflow liquidity, denoting the disparity between its quick possessions and short-term liabilities.

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You have $17,600 to invest and would like to create a portfolio with an expected return of 11.1 percent. You can invest in Stock K with an expected return of 10.1 percent and Stock L with an expected return of 13.7 percent. How much will you invest in Stock K

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You should invest $12,666.67 in Stock K to achieve an expected portfolio return of 11.1 percent. The remaining $4,933.33 should be invested in Stock L.

To determine how much to invest in Stock K, we need to use the formula for weighted average return:
weighted average return = (amount invested in Stock K / total amount invested) x expected return of Stock K + (amount invested in Stock L / total amount invested) x expected return of Stock L
We know that the total amount to invest is $17,600 and the expected return of the portfolio should be 11.1 percent. Let's plug in the values we have:
11.1% = (amount invested in Stock K / $17,600) x 10.1% + (amount invested in Stock L / $17,600) x 13.7%
Simplifying this equation, we get:
0.111 = (amount invested in Stock K / $17,600) x 0.101 + (amount invested in Stock L / $17,600) x 0.137
To solve for the amount invested in Stock K, we need to isolate that variable on one side of the equation. Let's start by multiplying both sides by $17,600:
$1,953.60 = amount invested in Stock K x 0.101 + (17,600 - amount invested in Stock K) x 0.137
Simplifying this equation, we get:
$1,953.60 = 0.101 amount invested in Stock K + $2,409.60 - 0.137 amount invested in Stock K
Now we can isolate the variable by subtracting $2,409.60 from both sides and combining like terms:
-$456 = -0.036 amount invested in Stock K
Finally, we can solve for the amount invested in Stock K by dividing both sides by -0.036:
amount invested in Stock K = $12,666.67
Therefore, the remaining $4,933.33 should be invested in Stock L.

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An investment promises to pay $100 one year from today, $200 two years from today, and $300 three years from today. If the required rate of return is 14%, the value of the investment today is closest to:

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The value of the investment today is closest to $402.94. To calculate the present value of this investment, we need to discount each future cash flow to its present value using the required rate of return of 14%.


The present value of $100 one year from today is calculated as follows:
PV = $100 / (1 + 0.14)^1 = $87.72


The present  value of $200 two years from today is calculated as follows:
PV = $200 / (1 + 0.14)^2 = $138.18


The present value of $300 three years from today is calculated as follows:
PV = $300 / (1 + 0.14)^3 = $176.04


Therefore, the total present value of the investment today is the sum of the present values of each cash flow:
PV = $87.72 + $138.18 + $176.04 = $402.94 Thus, the value of the investment today is closest to $402.94.

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Determine the total noncontrolling interest that will be reported on the consolidated balance sheet on December 31, 2014. How does the noncontrolling interest differ between the cost method and the equity method

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In general, noncontrolling interest refers to the portion of a subsidiary's equity that is held by minority shareholders.

The amount reported on the consolidated financial statements will depend on the method of accounting used by the parent company. Under the cost method, noncontrolling interest is reported at its historical cost, while under the equity method, noncontrolling interest is reported at its proportionate share of the subsidiary's net assets.

The expected noncontrolling interest may differ between the two methods due to differences in the valuation and treatment of the subsidiary's assets and liabilities.

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One striking aspect of the Lowell factories was: Group of answer choices their employment of young single women. their minimal impact on natural surroundings. the happiness of their workers. the superior quality of their products. that they paid workers in stocks.

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One striking aspect of the Lowell factories was A. their employment of young single women.

The Lowell factories, part of the Industrial Revolution in the United States, were established in Lowell, Massachusetts, during the early 19th century. These textile mills were unique at the time, as they specifically targeted young, unmarried women from rural areas as their primary labor force. This strategy was known as the "Lowell System."

The employment of young single women at the Lowell factories provided them with an opportunity for financial independence and personal growth, which was uncommon for women during that period. These women, often referred to as "Lowell Mill Girls," lived in supervised boarding houses and were subjected to strict moral codes and rules. Their wages were relatively competitive, allowing them to support themselves and their families.

Despite facing long working hours and challenging conditions, the Lowell Mill Girls made significant contributions to the American labor movement. They formed the first union of working women in the United States, advocating for better working conditions, wages, and educational opportunities.

In summary, the Lowell factories were notable for their employment of young single women as part of their innovative labor system. This approach offered a rare chance for financial independence and personal development for women in the early 19th century while also playing a crucial role in the broader labor movement. Therefore, the correct option is A.

The question was incomplete, Find the full content below:

One striking aspect of the Lowell factories was: Group of answer choices

A. their employment of young single women.

B. their minimal impact on natural surroundings.

C. the happiness of their workers.

D. the superior quality of their products.

E. that they paid workers in stocks.

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Narchie sells a single product for $60. Variable costs are 70% of the selling price, and the company has fixed costs that amount to $437,400. Current sales total 23,000 units. If Narchie sells 28,000 units, its safety margin will be:

Answers

If Narchie sells 28,000 units, its safety margin will be 3,700 units or $66,600 in contribution margin.

Explanation:-


To calculate the safety margin, we first need to determine the contribution margin per unit, break-even point, and sales at the new level.

STEP 1. Calculate the variable cost per unit:

Variable costs are 70% of the selling price, so the variable cost per unit is 0.7 * $60 = $42.

STEP 2. Calculate the contribution margin per unit:

The contribution margin per unit is the selling price minus the variable cost per unit: $60 - $42 = $18.

STEP 3. Calculate the break-even point in units:

Break-even point in units = Fixed costs / Contribution margin per unit

                                          = $437,400 / $18

                                          ≈ 24,300 units.

STEP 4. Calculate the sales at the new level (28,000 units):

New sales = 28,000 units * $60  

                 = $1,680,000.

STEP 5. Calculate the contribution margin at the new level:

New contribution margin = (28,000 units * $18)

                                          = $504,600.

STEP 6. Calculate the safety margin in units and dollars:

Safety margin in units = Actual sales units - Break-even point in units

                                    = 28,000 units - 24,300 units

                                    = 3,700 units.

Safety margin in contribution margin = Actual contribution margin - Break-even contribution margin

                                                             = $504,600 - $437,400

                                                             = $66,600.

So, if Narchie sells 28,000 units, its safety margin will be 3,700 units or $66,600 in contribution margin.

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Discuss the pros and cons of global standardization strategy. Please include your suggestions on the managerial considerations (e.g., organizational structure, controls, incentives, management practices) in implementing the global standardization strategy.

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"Global standardization strategy refers to a business approach in which a company offers standardized products or services to consumers worldwide. This strategy has its own advantages and disadvantages, which are discussed below:

Pros of the Global Standardization Strategy: 1. Cost Savings: Standardizing products and services worldwide can reduce production and distribution costs. Companies can benefit from economies of scale as they can produce in large quantities andreduce unit costs. 2. Consistent Brand Image: Standardization can ensure a consistent brand image across all markets, enhancing brand recognition and customer loyalty. 3. Easy Implementation: Implementing a global standardization strategy is easier than adapting products and services to local markets. This can help companies save time and resources. 4. Knowledge Transfer: Standardization allows companies to transfer knowledge and best practices across markets, improving the quality of products and services.

Cons of the Global Standardization Strategy: 1. Cultural Differences: Standardized products and services may not be suitable for all markets, especially those with different cultural backgrounds. This can lead to poor sales and customer dissatisfaction. 2. Legal Barriers: Standardized products and services may not comply with local laws and regulations. This can lead to legal problems and fines. 3. Lack of Adaptation: Companies may fail to adapt their products and services to local markets, missing opportunities for growth and innovation. 4. Competitive Pressure: Competitors may offer products and services that are better adapted to local markets, putting companies at a disadvantage.

Managerial Considerations for Implementing the Global Standardization Strategy: 1. Organizational Structure: Companies must establish a centralized organizational structure to ensure consistent implementation of the global standardization strategy. 2. Controls: Companies must develop controls to monitor compliance with standardized processes and procedures. 3. Incentives: Companies must provide incentives for employees to support the global standardization strategy. 4. Management Practices: Companies must adopt management practices that encourage communication, collaboration, and knowledge sharing across markets.

In conclusion, global standardization strategy has its own advantages and disadvantages. However, companies can benefit from this strategy by carefully considering managerial considerations when implementing it. This can help companies achieve cost savings, a consistent brand image, and knowledge transfer while avoiding cultural differences, legal barriers, and a lack of adaptation.

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Kellogg Co. (K) recently earned a profit of $2.52 earnings per share and has a P/E ratio of 13.5. The dividend has been growing at a 5 percent rate over the past few years. If this growth rate continues, what would be the stock price in five years if the P/E ratio remained unchanged

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If Kellogg Co. continues to grow its dividend at a 5% rate and the P/E ratio remains constant, the stock price in five years would be approximately $48.17 per share.

To calculate the future stock price, we need to use the dividend discount model, which is given by:

P = D / (r - g)

where P is the stock price, D is the dividend per share, r is the required rate of return, and g is the growth rate of the dividend.

First, we need to find the current dividend per share. We can do this by multiplying the earnings per share by the dividend payout ratio. Let's assume a payout ratio of 50%, which means that half of the earnings are paid out as dividends. Then, the current dividend per share is:

D0 = 2.52 x 0.5 = $1.26

Next, we need to find the required rate of return. We can use the capital asset pricing model (CAPM) to estimate the required rate of return, which is given by:

r = rf + beta x (rm - rf)

where rf is the risk-free rate, beta is the stock's beta, and rm is the market return. Let's assume a risk-free rate of 2.5%, a beta of 0.8, and a market return of 10%. Then, the required rate of return is:

r = 2.5% + 0.8 x (10% - 2.5%) = 8.5%

Finally, we can use the dividend growth rate and the P/E ratio to estimate the future stock price. We are given that the dividend is growing at a 5% rate, so in five years, the dividend per share will be:

D5 = $1.26 x [tex](1 + 5%)^5[/tex] = $1.63

Assuming that the P/E ratio remains constant at 13.5, we can calculate the future stock price as:

P5 = $1.63 / (8.5% - 5%) x 13.5 = $48.17

Therefore, if Kellogg Co. continues to grow its dividend at a 5% rate and the P/E ratio remains constant, the stock price in five years would be approximately $48.17 per share.

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A fourth-grade class is having a fundraiser for a field trip. They decide to sell fruit smoothies as a fundraiser. On the first day of the sale, they sold out in 20 minutes. Based on the laws of supply and demand, what should the students do on day two to most maximize their profit?

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Based on the laws of supply and demand, if the fourth-grade class sold out of their fruit smoothies on the first day of the sale, they should increase the price of the smoothies on the second day in order to most maximize their profit.

When a product is in high demand and there is limited supply, as was the case with the fruit smoothies, sellers can increase the price of the product without losing customers. This is because customers are willing to pay more to get the product they want.

Therefore, the students should increase the price of the fruit smoothies on day two to maximize their profit. However, they should also be mindful of not raising the price too high that it becomes unaffordable for their customers. They can consider small increases in price, such as 25 cents or 50 cents, to see how the demand changes and adjust accordingly.

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A Convertible Term Life insurance policy may be converted _____ time(s) for a permanent life policy based on the original or attained age.

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A Convertible Term Life insurance policy may be converted one or more time(s) for a permanent life policy based on the original or attained age.

The number of times the policy can be converted will vary depending on the insurance company and the specific policy. Convertible Term Life insurance policies offer policyholders the option to convert their term life insurance policy to a permanent life insurance policy, such as whole life or universal life insurance, without undergoing a medical examination. This option can be valuable for individuals who may have developed health issues that could make it difficult for them to obtain a new life insurance policy.

Additionally, converting to a permanent life policy can provide policyholders with a lifetime of coverage and potentially even accumulate cash value over time. It's important to review the terms and conditions of a Convertible Term Life insurance policy carefully to understand the specific details of the conversion option.

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Joe recently quit his job at the steel mill because he is looking for a job that is a better fit with his skills. Joe is: Group of answer choices Frictionally unemployed Structurally unemployed A discouraged worker and is part of the unemployment statistic Not part of the labor force and does not contribute to the unemployment rate

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Joe's situation can be described as frictionally unemployed. Frictional unemployment occurs when a worker is in between jobs or voluntarily leaves their current job to search for a better opportunity that aligns with their skills and interests. So the answer is frictionally unemployed.

This type of unemployment is generally considered to be a natural part of the labor market as individuals may change jobs for various reasons, such as career advancement or personal preferences.

Structural unemployment, on the other hand, occurs when there is a mismatch between the skills and experience of job seekers and the requirements of available jobs. A discouraged worker is someone who has given up looking for work due to the lack of suitable job opportunities. Joe does not fall under these categories as he actively seeks a job that better suits his skills.

Since Joe is actively searching for a new job, he is part of the labor force and contributes to the unemployment rate. The labor force includes individuals who are employed and those who are actively seeking employment. It is important to note that frictional unemployment is temporary and typically lasts for a short period as workers transition between jobs.

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Osprey Cycles, Inc. projected sales of 50,097 bicycles for the year. The estimated January 1 inventory is 6,210 units, and the desired December 31 inventory is 6,540 units. What is the budgeted production (in units) for the year?

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The sales forecast and the anticipated amount of finished goods inventory to be on hand are combined to create the production budget, which determines the number of products that must be made. To determine the budgeted production for the year, we need to consider the projected sales, beginning inventory and desired to-end inventory.

Projected sales = 50,097 bicycles
Beginning inventory = 6,210 units

Desired ending inventory = 6,540 units

To calculate the budgeted production, we need to use the following formula:

Budgeted production = Projected sales + Desired ending inventory - Beginning inventory

Substituting the values we have:

Budgeted production = 50,097 + 6,540 - 6,210
Budgeted production = 50,427 units

Therefore, the budgeted production for the year is 50,427 units.

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You are considering an investment in nickel mines in Russia. Your expectations are that you will take losses eventually, but once infrastructure is built, the project will become more profitable very quickly. You have estimated that the initial revenues will be $100 million per year and grow at a rate of 45% per year for four years. Due to political risk, you decide to use only a four-year horizon for planning purposes. Variable costs are expected to be 70% of sales; fixed costs are projected to be $10 million per year.

Answers

Investing in nickel mines in Russia can be a lucrative opportunity for investors, but it also comes with certain risks. The political risk associated with investing in a foreign country can create uncertainties and fluctuations in the market, which can impact the profitability of the investment.

In this scenario, the investor expects to incur losses initially, but believes that the investment will become more profitable quickly once infrastructure is established.

To estimate the potential returns, the investor has projected an initial revenue of $100 million per year, which is expected to grow at a rate of 45% per year for four years. The variable costs are estimated to be 70% of the sales, while the fixed costs are projected at $10 million per year.

Considering the four-year horizon, the investor needs to assess whether the potential returns are worth the risks associated with the investment. If the initial projections are accurate, the investment can be profitable, but the political risk must be taken into account while assessing the investment. Therefore, it is important to conduct a thorough risk analysis and evaluate the potential returns before making any investment decisions.

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All else equal, a nation that has a high rate of _____ will have a high rate of _____ and therefore a high growth rate of _____ capital.

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All else equal, a nation that has a high rate of savings will have a high rate of investment and therefore a high growth rate of physical capital.

Investment refers to the act of allocating money or resources with the expectation of generating some sort of return or profit in the future. Investment can be done in various forms such as stocks, bonds, real estate, commodities, mutual funds, or even starting a business.

The main objective of the investment is to increase one's wealth over time. This can be achieved through capital gains or income generated from the investment. Capital gains occur when the value of an asset increases over time and the investor sells it for a higher price than they bought it for. Income can be generated through dividends, rental income, or interest payments.

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Van Zandt Partnership distributes money and property other than money to its partners. This distribution ______ be an operating distribution. Multiple choice question. can cannot

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The distribution can be an operating distribution.

Van Zandt Partnership has the authority to distribute money and property other than money to its partners, and this distribution can be classified as either an operating distribution or a liquidating distribution. An operating distribution is a payment made to partners from the partnership's current income or assets, whereas a liquidating distribution is made from the partnership's capital account upon dissolution. Since the question does not provide any information about the partnership's status or intention to dissolve, it is possible that the distribution in question is an operating distribution. Therefore, the main answer is that the distribution can be an operating distribution.

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When common stock has no par or stated value and is issued for cash, ________ is debited and ________ is credited. common stock; retained earnings cash; a revenue account cash; common stock common stock; cash

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When common stock has no par or stated value and is issued for cash, cash is debited and common stock is credited.

This means that the company is receiving cash from investors in exchange for ownership shares in the company, which increases the company's cash balance and also increases the amount of equity in the company represented by the common stock. The transaction does not affect retained earnings or revenue accounts, as those are separate accounts that track profits and losses from business operations. It is important for companies to accurately record stock issuances and related transactions in their financial statements to provide transparency and accountability to investors and stakeholders.

In this scenario, the company receives cash in exchange for issuing shares of its common stock. The journal entry to record this transaction would involve debiting the cash account, which increases the company's cash balance, and crediting the common stock account, which increases the equity balance in the company's financial statements. This reflects the inflow of cash and the issuance of new shares to the shareholders.

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An increase in government spending causes the equilibrium level of aggregate output to ________ at any given interest rate and shifts the ________ curve to the ________, everything

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An increase in government spending causes the equilibrium level of aggregate output to increase at any given interest rate and shifts the aggregate demand curve to the right, everything else held constant. This is due to the fact that an increase in government spending increases the demand for goods and services, which in turn increases the demand for labor and capital.

Additionally, an increase in government spending can also lead to an increase in the money supply if the government finances its spending through borrowing from the central bank. This can lead to lower interest rates, which further stimulates investment and consumption, resulting in an even larger increase in aggregate output.

However, it is important to note that the increase in government spending can also lead to an increase in inflation, especially if the economy is operating at or near full capacity. This is because the increase in demand for goods and services may outstrip the economy's ability to supply them, leading to higher prices. Therefore, policymakers must carefully weigh the benefits and costs of increasing government spending before making any decisions.

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Imagine you are head of brewing for Thistle Brothers Brewing Company. Then answer the question that follows. The number one priority at Thistle Brothers Brewing Company is to make high-quality, great-tasting beer. If you were the head of brewing, your focus should be on using control to The following table presents several situations you might face as the head brewer for Thistle Brothers Brewing Company. Identity which type of control is relevant to each situation Form of Operational Control You examine whether shipments to retailers were completed accurately. Preliminary Control Screening Control Postaction Control You check the cleanliness of the bottles in which beer will be stored You review complaints from bars about beer quality To help investors judge whether their investment in Thistle Brothers is likely to produce consistent dividends, you'd want them to evaluate your and the results of your analysis of Imagine you are head of brewing for Thistle Brothers Brewing Company. Then answer the qu The number one priority at Thistle Brothers Brewing Company is to make high-quality, great-t should be on using control to cope with organizational complexity The following table presents s minimize costs is relevant to each situation. head brewer for Thistle Br limit the accumulation of error Form of Operational Cont You examine whether shipm adapt to environmental change Preliminary Contr Jately. You check the cleanliness of the bottles in which beer will be stored. You review complaints from bars about beer quality. To help investors judge whether their investment in Thistle Brothers is likely to produce consistent and the results of your analysis of C The number one priority at Thistle Brothers Brewing Company is to make high-qua should be on using control to The following table presents several situations you might face as the head brewer fe is relevant to each situation. Form of Operational Control Prelimi income statement nts to retailers were completed accurately. he bottles in which beer will be stored. space budget capital expenditures budget ars about beer quality. labor budget their investment in Thistle Brothers is likely to produce and the results of your analysis of es ng for Thistle Brothers Brewing Company. Then answer the question that follows. mistle Brothers Brewing Company is to make high-quality, great-tasting beer. If you were the several situations you might face as the head brewer for Thistle Brothers Brewing Company. 7. control Preliminary Control Screening Control mipments to retailers were completed accurately. ess of the bottles in which beer will be stored. from bars about beer quality. return ratios e whether their investment in Thistle Brothers is li and the results of your analysis of liquidity ratios onsistent dividends, you'd want the

Answers

As the head of brewing at Thistle Brothers Brewing Company, focusing on control is essential to maintain high-quality beer production while minimizing costs and ensuring organizational efficiency. In the given situations, different forms of operational control are relevant.

1. Examining whether shipments to retailers were completed accurately relates to Postaction Control. This type of control involves reviewing and evaluating the outcome of a process or activity to identify any errors and rectify them to improve future performance.

2. Checking the cleanliness of the bottles in which beer will be stored is an example of Preliminary Control. This control focuses on maintaining quality standards before starting a process, in this case, ensuring that the bottles meet cleanliness requirements before beer storage.

3. Reviewing complaints from bars about beer quality is associated with Screening Control. This type of control monitors ongoing activities or processes to detect potential issues and implement corrective actions promptly to maintain the desired quality standards.

To help investors evaluate the potential for consistent dividends from their investment in Thistle Brothers, they should analyze the company's financial ratios, including liquidity ratios, return ratios, and other relevant financial metrics. These ratios provide insights into the company's financial health, operational efficiency, and profitability, ultimately indicating the likelihood of generating consistent returns for investors.

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Assume that ASB has the original $1 million in new funds available and that the planning committee has agreed to relax the requirement that at least 40% of the new funds must be allocated to home loans by 1%. How much would the annual return change

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To accurately determine the change in the annual return resulting from relaxing the requirement for home loan allocation.

more information is needed. Specifically, the current allocation percentages and the expected return for each category of investment are necessary.

Without this information, it is not possible to calculate the precise change in the annual return. The change in the annual return would depend on how the funds are reallocated and the expected returns associated with each investment option.

If you can provide additional details about the current allocation percentages and the expected returns for different investment categories, I would be able to assist you in calculating the change in the annual return.

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When comparing credit cards, a person who pays his total outstanding balance off monthly would want a card with

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When comparing credit cards, a person who pays his total outstanding balance off monthly would want a card with a low or no annual fee, a rewards program that matches their spending habits, a grace period for interest charges, and a low APR (annual percentage rate) in case they do carry a balance from month to month.

They may also want to consider any additional benefits, such as travel insurance or purchase protection. Ultimately, the best card for them would depend on their individual needs and preferences.

Credit cards are financial products that allow users to borrow money up to a certain limit and pay it back later with interest. They are typically issued by banks and other financial institutions and come with various benefits and fees.

To use a credit card, the user must first apply and be approved for a card. Once approved, they can make purchases up to the credit limit, which is determined by their creditworthiness and income. The user is then required to make at least the minimum monthly payment on the outstanding balance, which includes the principal amount borrowed and any interest accrued.

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The stock of MTY Golf World currently sells for $90 per share. The firm has a constant dividend growth rate of 6% and just paid a dividend of $5.09. If the required rate of return is 12%, what will the stock sell for one year from now

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Expected stock price for MTY Golf World is $90.17 in one year.

What is MTY Golf World's expected stock price?

To calculate the stock price one year from now, we can use the dividend discount model:

P1 = D1 / (r - g)

where P1 is the price one year from now, D1 is the dividend one year from now, r is the required rate of return, and g is the constant dividend growth rate.

First, we need to calculate the dividend one year from now. We can use the constant dividend growth rate to calculate this:

[tex]D1 = D0 x (1 + g)[/tex]

where D0 is the current dividend. We are given that the current dividend is $5.09 and the dividend growth rate is 6%, so:

[tex]D1 = $5.09 x (1 + 0.06) = $5.41[/tex]

Now we can use the dividend discount model to calculate the stock price one year from now:

[tex]P1 = $5.41 / (0.12 - 0.06) = $90.17[/tex]

Therefore, the stock of MTY Golf World is expected to sell for $90.17 one year from now, assuming the constant dividend growth rate and required rate of return remain the same.

Calculate the dividend one year from now using the constant dividend growth rate: [tex]D1 = D0 x (1 + g)[/tex]Substitute the values into the dividend discount model equation: P1 [tex]= D1 / (r - g)[/tex]Solve for P1 to get the stock price one year from now.

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quuizlet the effective interest rate method of amortization provides for a ____ rate of interest over the life of the bonds

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The effective interest rate method of amortization provides for a constant rate of interest over the life of the bonds.

This method calculates interest expense based on the book value of the bond liability and the effective interest rate, which is the rate required to discount the bond's future cash flows to their present value. By using a constant effective interest rate, the interest expense is spread evenly over the life of the bonds, resulting in a constant rate of interest.

As interest payments are made, the carrying value of the bond is reduced, and the interest expense is adjusted to reflect the lower carrying value. By using a constant effective interest rate, the interest expense is spread evenly over the life of the bond, resulting in a constant rate of interest.

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5. Order the following companies in advisability of using high financial leverage, from most suitable to least suitable: A. Electric company, telecom provider, automobile manufacturer. B. Auto manufacturer, electric company, telecom provider. C. Telecom provider, auto manufacturer, electric company.

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Order the following companies in advisability of using high financial leverage, from most suitable to least suitable telecom provider, auto manufacturer, electric company. The correct option is C.

Telecom providers usually have stable cash flows and predictable revenue streams, which makes it easier for them to service debt. In contrast, automobile manufacturers face higher financial risk due to cyclical demand and intense competition. Electric companies have relatively stable cash flows, but they require significant capital investments, which can make them vulnerable to financial leverage.

Option B ranks the automobile manufacturer first, which is not advisable due to their higher financial risk. Although electric companies are ranked second, they still face some financial risk, which makes it less advisable to use high financial leverage. Telecom providers are ranked last, which is not accurate as they are the most suitable for using high financial leverage among the given companies.

Overall, companies with stable cash flows and predictable revenue streams are more suitable for using high financial leverage. However, it is important to consider the specific industry risks and financial position of each company before making any leverage decisions. The correct option is c) telecom provider, auto manufacturer, electric company.

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The responsibility of the IT organization is to: a. Manage core business functions like selling, accounting and manufacturing. b. Partner with business managers to insure the right IS exists to support the business strategy. c. Have sole responsibility for building information systems for the organization. d. Design business processes.

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The responsibility of the IT organization is to partner with business managers to ensure the right IS exists to support the business strategy.

The IT organization plays a critical role in supporting business operations by providing the necessary technology and systems to support core business functions. However, their primary responsibility is to collaborate with business managers to identify the technology needs that will enable the organization to achieve its strategic goals. This involves working closely with other departments to understand their requirements, conducting research on available technologies, and making recommendations on the most effective solutions. While the IT organization may be involved in designing business processes, this is typically done in partnership with other stakeholders across the organization. Ultimately, the goal of the IT organization is to leverage technology to drive business success, and this requires a collaborative approach that involves input and guidance from across the organization.

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Question Content Area A business issued a 30-day, 7% note for $42,000 to a creditor on account. The company uses a 360-day year for interest calculations. Journalize the entries to record (a) the issuance of the note and (b) the payment of the note at maturity, including interest. If an amount box does not require an entry, leave it blank or enter 0. When required, round your answers to the nearest dollar.

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The total amount due at maturity is $42,245. The journal entry to record the payment of the note would be:      

  Notes Payable $42,000
  Interest Expense $245
  Cash $42,245

(a) To record the issuance of the note, we need to create a note payable liability and recognize the cash received from the creditor. The entry would be:

Notes Payable $42,000
  Cash $42,000

We don't need to record any interest expense yet, as the note is not yet due.

(b) At maturity, the company needs to pay back the $42,000 principal amount plus 30 days' worth of interest at a rate of 7% per annum (annual interest rate). To calculate the interest, we need to use the following formula:

Interest = Principal x Annual Interest Rate x Time
Time = Number of days / Number of days in a year

Plugging in the values we have, we get:

Interest = $42,000 x 7% x (30/360)
Interest = $245

So, the total amount due at maturity is $42,245. The journal entry to record the payment of the note would be:

Notes Payable $42,000
  Interest Expense $245
  Cash $42,245

We record the interest expense separately from the principal amount paid back, and the total cash paid is the sum of the principal and interest.

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The phrase​ ________ is sadly appropriate for the actions of some​ people, as they perceive that investment success rests in making frequent transactions.

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The phrase​ overtrading is sadly appropriate for the actions of some​ people, as they perceive that investment success rests in making frequent transactions.

The Pitfalls of Overtrading in Investment:

Overtrading is tragically apt for the actions of some investors, who believe that making frequent transactions is the key to investment success. When an investor trades too frequently or retains too many positions, it results in higher transaction costs and lower returns.

The term "churning" is frequently used to describe this activity. Overtrading can result in rash investing decisions that end in losses.

Overtrading is frequently motivated by the desire to make quick profits or the fear of missing out on chances. However, it is critical to understand that successful investing necessitates patience, discipline, and a long-term outlook.

Overtrading causes investors to make emotional, rather than sensible, investing decisions, which can lead to bad financial outcomes.

To summarise, overtrading is a common mistake made by inexperienced investors who feel that frequent trading will result in better financial success.

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If the yield to maturity on a bond is greater than the coupon rate, you can assume Multiple Choice interest rates have decreased. the sales price is below par. the sales price is above par. risk premiums have decreased.

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If the yield to maturity on a bond is greater than the coupon rate, you can assume that the sales price is below par. The correct option is (B).

The coupon rate represents the actual amount of interest earned by the bondholder annually, while the yield-to-maturity is the estimated total rate of return of a bond, assuming that it is held until maturity.

The sales price is below par because investors will only be willing to buy the bond if it is sold at a discount to compensate for the lower coupon rate. This could also indicate that interest rates have increased, making the bond less attractive, and that risk premiums have increased due to greater uncertainty in the market. Therefore, the correct option is (B).

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