Related-linked; dominant-business.
Shared activities are common between related-linked and dominant-business diversified firms.
Related-linked firms have related businesses that share resources and capabilities, while dominant-business firms have a core business that dominates the company's operations, and diversification is focused on related businesses.
Shared activities can include research and development, marketing, distribution, and other support functions. By sharing these activities, diversified firms can achieve economies of scale and scope, improve coordination and efficiency, and leverage their resources across multiple businesses.
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A(n) _____ is the best-known type of flow shop process. It efficiently uses specialized equipment to produce a large quantity of a specific good.
A "production line" is the best-known type of flow shop process. It efficiently uses specialized equipment to produce a large quantity of a specific good.
The production line is a manufacturing process that involves a series of work where a product is produced in a sequential manner.
The production lines are commonly used in industries. For example, automotive, electronics, and consumer goods manufacturing to produce large quantities of standardized products efficiently. Most of the industries use this production lines.
Therefore, the production line is the best-known type of flow shop process.
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A ___________ placed against mortgaged property ensures that the property cannot be sold (except by the lender) until the mortgage is paid off. A. collateral B. lien C. writ of habeas corpus D. down payment E. writ of certiorari
A lien placed against mortgaged property ensures that the property cannot be sold (except by the lender) until the mortgage is paid off. The correct term that completes the statement is B. lien.
A lien is a legal claim or a right that a creditor has over a debtor's property as security for a debt or an obligation owed to them. In the case of a mortgaged property, the lender has a lien against the property, which means they have a legal right to hold onto the property until the mortgage is paid off in full. This ensures that the lender has some form of security in case the borrower defaults on their mortgage payments. A lien against a mortgaged property is also known as a mortgage lien, and it is typically recorded in the local land records office.
This recording serves as notice to any potential buyers that the property has an outstanding lien against it, and that the lender has a legal right to foreclose on the property if the mortgage is not paid off in full. In summary, a lien against a mortgaged property is a form of collateral that the lender uses to ensure that they have some form of security in case the borrower defaults on their mortgage payments. This lien ensures that the property cannot be sold (except by the lender) until the mortgage is paid off in full. The correct term that completes the statement is B. lien.
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The weighted average cost of capital for a firm may be dependent upon the firm's: I. rate of growth. II. debt-equity ratio. III. preferred dividend payment. IV. retention ratio.
A lower retention ratio results in a higher WACC as it indicates a higher reliance on external financing. Therefore, firms need to carefully consider these factors when calculating their WACC to optimize their cost of capital and improve their overall financial performance.
The weighted average cost of capital (WACC) is a critical metric for firms, as it determines the minimum return a company must earn on its investment to satisfy its shareholders. Several factors influence a company's WACC, including its rate of growth, debt-equity ratio, preferred dividend payment, and retention ratio.
A firm's rate of growth can impact its WACC as a company with higher growth prospects may have higher costs of equity and debt. A higher debt-equity ratio generally results in a higher WACC, as lenders and investors demand a higher return to compensate for the increased risk. A higher preferred dividend payment also leads to a higher WACC, as it represents a higher cost of capital for the company. Finally, a lower retention ratio results in a higher WACC as it indicates a higher reliance on external financing. Therefore, firms need to carefully consider these factors when calculating their WACC to optimize their cost of capital and improve their overall financial performance.
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Income tax expense is calculated as the result of the combination of Multiple select question. current income tax payable changes in deferred tax assets and liabilities prior year income tax expense total assets and liabilities
Income tax expense is calculated as the result of the combination of current income tax payable and changes in deferred tax assets and liabilities.
Income tax expense is the amount of income taxes owed by a company for a specific period, usually a year. It is calculated based on the company's taxable income, which is the amount of income subject to taxation after accounting for allowable deductions and exemptions.
Current income tax payable refers to the amount of taxes that a company owes to tax authorities for the current year. This includes estimated taxes that are due throughout the year, as well as any adjustments made at the end of the year to reconcile actual taxes owed with estimated taxes paid.
Changes in deferred tax assets and liabilities refer to the adjustments made to reflect the timing difference between accounting income and taxable income. This includes differences in depreciation methods, recognition of revenue and expenses, and other accounting treatments that affect the timing of when income is recognized for tax purposes.
Prior year income tax expense is not directly included in the calculation of current year income tax expense, but it may be used to calculate deferred tax assets and liabilities if there were differences in tax rates or accounting treatments between the two periods.
Total assets and liabilities are not directly relevant to the calculation of income tax expense, although they may affect the tax base of assets and liabilities and the calculation of deferred tax assets and liabilities.
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Nonfinancial information that management might evaluate in making a decision would NOT includeGroup of answer choicesemployee turnover.the corporate profile in the community.environment.contribution margin.
Nonfinancial information refers to data that cannot be quantified in terms of monetary value. This information is usually qualitative and helps management make decisions that have an impact on the organization's overall strategy.
One example of nonfinancial information is employee turnover, which provides insight into the company's workforce and can be used to evaluate employee retention strategies. Another nonfinancial aspect that management might consider is the corporate profile in the community. This includes the organization's reputation and public perception, which can affect customer loyalty and trust. By assessing its corporate profile, management can identify areas where the company needs improvement and implement changes to enhance its public image.
In addition to these factors, management may also evaluate the environment in which the organization operates. This includes political, economic, social, and technological factors that may impact the company's operations, such as changes in government regulations or advancements in technology.
However, contribution margin is an example of financial information and would not be considered nonfinancial information. The contribution margin is a financial metric used to determine the profitability of a product or service and is calculated by subtracting variable costs from sales revenue. In conclusion, nonfinancial information that management might evaluate in making decisions would NOT include contribution margin, which is a financial metric. Instead, management would consider employee turnover, corporate profile in the community, and the environment, which are qualitative factors that can impact the organization's overall strategy.
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________ is a more complex, integrated software that can handle money and labor in addition to production, purchasing, and inventory management planning.
Enterprise Resource Planning (ERP) is a more complex, integrated software that can handle money and labor in addition to production, purchasing, and inventory management planning.
Enterprise Resource Planning (ERP) is a type of software that integrates multiple business functions into a single, unified system. These functions typically include finance and accounting, human resources, supply chain management, customer relationship management, and inventory management. ERP systems provide real-time access to critical business data, allowing organizations to streamline operations, reduce costs, and improve decision-making. By integrating business processes, ERP systems eliminate redundancies and improve communication across departments. ERP systems are often customizable to meet the unique needs of a business, with modules that can be added or removed as needed. The implementation of an ERP system can be a complex process, requiring careful planning and significant investment in time and resources.
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If the full cash value of a small condo is $490,000, what is the taxable value after subtracting for a homeowner's exemption
The correct the taxable value of the small condo after subtracting for a $50,000 homeowner's exemption is $440,000.
The taxable value of a condo after subtracting for a homeowner's exemption can vary depending on the state and local laws that apply. In some cases, the taxable value may be a percentage of the full cash value, while in other cases it may be determined by a specific formula or assessment process. Assuming that the homeowner's exemption for the small condo is a fixed amount of $50,000, the taxable value can be calculated by subtracting the exemption amount from the full cash value:
Taxable value = Full cash value - Homeowner's exemption
Taxable value = $490,000 - $50,000
Taxable value = $440,000
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Gowen, Inc. began the year with equity of $1,000,000 and 100,000 shares of stock outstanding. During the year the firm paid a dividend of $1.50 per share. Year-end equity was $1,100,000. Assuming no other factors impacted equity, what was Gowen, Inc.'s net income for the year
Gowen, Inc.'s net income for the year was $250,000, calculated as year-end equity minus beginning equity plus dividends.
Equity = (Net Income - Dividends) / Required Rate of Return
At the beginning of the year, equity was $1,000,000, and at the end of the year, it was $1,100,000. We know that dividends paid during the year were $1.50 per share, and there were 100,000 shares outstanding. Therefore, the total dividends paid were:
Dividends = $1.50 x 100,000 = $150,000
We also know that the required rate of return is not given, but we can assume it to be a reasonable market rate of around 10%.
Plugging in the numbers, we get:
$1,100,000 = (Net Income - $150,000) / 0.10
$1,100,000 x 0.10 = Net Income - $150,000
$110,000 + $150,000 = Net Income
Net Income = $260,000
Therefore, Gowen, Inc.'s net income for the year was $260,000.
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Warr Company is considering a project that has the following cash flow data. What is the project's IRR? Note that a project's projected IRR can be less than the WACC or negative, in both cases it will be rejected.
Year Cash flows
0 -$1540
1 $400
2 $400
3 $400
4 $400
To calculate the project's internal rate of return (IRR), we need to find the discount rate at which the present value of future cash flows equals the initial investment. We can use trial and error or an Excel formula to find the IRR.
Using the Excel formula =IRR(B1:B5) where B1 to B5 represents the cash flows, we get an IRR of 11.93%.
Since the project's IRR (11.93%) is greater than the company's weighted average cost of capital (WACC), it is acceptable. If the IRR had been less than the WACC or negative, the project would have been rejected.
Therefore, Warr Company should consider the project as it is expected to generate a return that is higher than its cost of capital, indicating it is a profitable investment opportunity.
Hello! To calculate the Internal Rate of Return (IRR) for Warr Company's project, we'll follow these steps:
1. Identify the initial investment and cash flows: The initial investment (Year 0) is -$1,540 and the cash flows for years 1 through 4 are $400 each.
2. Set up the IRR equation: The IRR is the discount rate that makes the Net Present Value (NPV) of a project equal to zero. The equation is:
0 = (-$1,540) + ($400 / (1+IRR)) + ($400 / (1+IRR)^2) + ($400 / (1+IRR)^3) + ($400 / (1+IRR)^4)
3. Solve for the IRR: This equation is a nonlinear equation and usually requires the use of a financial calculator or software such as Microsoft Excel. In Excel, you can use the "IRR" function to find the IRR:
=IRR([-1540, 400, 400, 400, 400])
4. Interpret the result: The IRR of this project is approximately 7.99%. If the IRR is less than the Weighted Average Cost of Capital (WACC) or negative, the project should be rejected. You'll need to compare this IRR to the company's WACC to determine if the project is acceptable.
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Scope refers to: Group of answer choices each level of work that is outlined in a work breakdown structure. the end product created as part of a project that is delivered to the client. tasks that are decompo
Option d: Scope refers to: the work involved/included in creating the products and the processes used to create them.
During the project planning stage, called project scope, you identify and record an accurate list of project goals, deliverables, tasks, costs, and deadlines. A scope statement or reference condition is a document that details the parameters of a project.
Define project parameters, assign roles to each team member, and create protocols for reviewing and approving completed work. Defining the scope of a project is one of the most important and difficult elements of project management.
Scope therefore refers to all the work required to produce the product of the project and the processes used to do so.
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Complete question:
Scope refers to:
a. each level of work that is outlined in a work breakdown structure.
b. the end product created as part of a project that is delivered to the client.
c. tasks that are decomposed into smaller tasks in a work breakdown structure.
d. the work involved in creating the products and the processes used to create them.
When competitors submit bids with high estimates or specific requests that cannot be met so that a specific competitor with a lower price or without the demands is selected, this is referred to as:
The practice of submitting high estimates or specific requests that cannot be met with the intention of being selected as the preferred vendor is called bid shading. This unethical practice is often used by unscrupulous competitors to gain an unfair advantage over their rivals.
Bid shading can take several forms, such as submitting an unrealistic estimate, making unreasonable demands, or deliberately misinterpreting the scope of work. The goal is to create an artificial difference between the competitor's bid and the bids submitted by others, making their bid more attractive to the buyer. Bid shading is not only unethical but also illegal in some cases. It can violate antitrust laws and result in serious penalties and fines. It also undermines the integrity of the bidding process, which is designed to ensure fair competition among vendors. As a buyer, it is essential to be aware of bid shading and take steps to prevent it. This can include setting clear guidelines for bid submissions, conducting thorough evaluations of bids, and seeking input from multiple stakeholders. By doing so, buyers can help ensure that the bidding process remains fair, transparent, and competitive.
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Henri is attending a seminar paid for by his company. The seminar is designed to train attendees on the core values of the company. This seminar is an example of Blank______ socialization.
The seminar that Henri is attending, which is designed to train attendees on the core values of his company, is an example of formal socialization.
Formal socialization is a type of socialization that occurs when organizations or institutions provide structured training or education to new members.
It is a deliberate and systematic process aimed at imparting knowledge, skills, and values necessary for effective participation in the organization.
In the case of Henri, the seminar is a formal socialization process because it is paid for and organized by his company, and is designed to familiarize him and other attendees with the core values of the company.
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A stock currently sells for $61. The dividend yield is 3.9 percent and the dividend growth rate is 5.2 percent. What is the amount of the dividend that was just paid
The amount of the dividend that was just paid would be approximately $2.253, assuming that the company has maintained a consistent growth rate for its dividends.
Based on the information provided, in order to calculate the amount of the dividend that was just paid, we need to use the dividend yield formula:
Dividend Yield = Annual Dividend per Share / Stock Price
We know that the stock price is currently selling for $61 and the dividend yield is 3.9%, so we can rearrange the formula to solve for the annual dividend per share:
Annual Dividend per Share = Dividend Yield x Stock Price
Annual Dividend per Share = 0.039 x $61
Annual Dividend per Share = $2.379
Next, we need to use the dividend growth rate to calculate the amount of the dividend that was just paid. We can use the following formula:
Dividend paid = Previous year's dividend x (1 + dividend growth rate)
Assuming that the company pays out its dividends annually and the growth rate is constant, we can calculate the previous year's dividend as follows:
Previous year's dividend = Annual Dividend per Share / (1 + dividend growth rate)
Previous year's dividend = $2.379 / (1 + 0.052)
Previous year's dividend = $2.253
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Jax lives in a country where only individual buying decisions in the marketplace determine what, how, and for whom goods and services will be produced. Jax lives in a country that has primarily a
Jax lives in a country where only individual buying decisions in the marketplace determine what, how, and for whom goods and services will be produced. This means that Jax lives in a country that has primarily a market economy.
A market economy is an economic system in which the allocation of resources and the production and distribution of goods and services are determined by the forces of supply and demand, without any significant government intervention.
In this type of economy, consumers and producers are free to make their own decisions about what to buy, sell, or produce, based on their own preferences, needs, and abilities.
In a market economy, the prices of goods and services are determined by the interaction of supply and demand. When demand for a product is high and supply is low, the price will generally rise. Conversely, when demand is low and supply is high, the price will generally fall.
This process helps to ensure that resources are allocated efficiently and that goods and services are produced in the quantities and at the prices that consumers are willing to pay.
Market economies have several advantages, including increased efficiency, innovation, and consumer choice. However, they can also result in income inequality, environmental degradation, and other negative outcomes if left unregulated.
In summary, Jax lives in a country with a market economy, where individual buying decisions in the marketplace determine what, how, and for whom goods and services will be produced, and prices are set by the forces of supply and demand.
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what will happen when a change control board approves a change request that would decrease a project's schedule by 30 days
When a change control board approves a change request that would decrease a project's schedule by 30 days, it can have a significant impact on the project's timeline and overall success. Firstly, the project team will need to adjust their plans and schedules accordingly to ensure that they can meet the new deadline. This may involve rescheduling tasks, reallocating resources, or re-evaluating project priorities.
If the change request was submitted due to a delay or issue that has arisen during the project, the approval can help to bring the project back on track and reduce the impact of any potential risks. It can also help to increase the project's efficiency and productivity, as the team will have a clear and defined deadline to work towards. However, if the change request was approved without proper consideration of the project's scope, resources, or requirements, it may cause additional problems down the line.
The team may struggle to complete the project within the new deadline, resulting in quality issues, missed deliverables, or additional costs. It's essential that any change request is carefully evaluated and assessed before being approved to ensure that it aligns with the project's goals and objectives.
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Using the Taylor Rule, find the appropriate Federal Funds rate (FFR). Assume that the Fed has a target inflation rate of 2% and a target GDP growth rate of 3%. What FFR should the Fed set if the current inflation is 5% and the growth rate is 4%
The Fed should set the FFR at 5% if the current inflation rate is 5% and the GDP growth rate is 4%, in order to bring inflation back to the target rate of 2% and ensure steady economic growth.
The Taylor Rule is a monetary policy tool that suggests the appropriate level of the Federal Funds rate (FFR) based on the inflation rate and output gap.
The formula for the Taylor Rule is FFR = r* + (π-2) + 0.5(π-π*) + 0.5(y-y*), where r* is the real short-term interest rate, π is the current inflation rate, π* is the target inflation rate, y is the current output gap, and y* is the target output gap.
Using the information provided, we can calculate the appropriate FFR as follows:
FFR = r* + (π-2) + 0.5(π-π*) + 0.5(y-y*)
FFR = 0 + (5-2) + 0.5(5-2) + 0.5(4-3)
FFR = 0 + 3 + 1.5 + 0.5
FFR = 5%
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When information systems result in less efficient and less effective communication among employees, and less productive uses of employee time than before the systems were implemented, this is known as __________.
When information systems result less efficient and effective communication among employees, and less productive uses of employee time than before the systems were implemented, called as the productivity paradox.
The slowdown in productivity growth in the United States and other advanced economies over the 2000s and 2020s is sometimes referred to as the slowdown in productivity, the productivity conundrum, or Solow's paradox. It can also refer to the slowdown in productivity growth despite the rapid development of information technology (IT) in the United States in the 1970s and 1980s. 2.0
The productivity conundrum of the 1970s and 1980s prompted much investigation into the causes of the slowdown, but the paradox disappeared in his 1990s, when productivity growth revived in the industrialized world. However, the concerns raised in these studies remain relevant when looking at overall productivity growth, and have become more relevant as productivity growth slows again from the 2000s to the present. .
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The yield to maturity is: A the rate that equates the price of the bond with the discounted cash flows. B the expected rate to be earned if the bond is held to maturity.
The yield to maturity is a term used in finance to measure the expected rate of return that an investor can earn from a bond if they hold it until it reaches its maturity date.
It represents the average return that an investor can expect to receive from the bond over its entire life, including both interest payments and the principal repayment. In other words, the yield to maturity takes into account the current market price of the bond, its face value, and the time remaining until maturity.
The yield to maturity is often calculated by solving the equation that equates the present value of the expected cash flows (i.e., interest payments and principal repayment) to the current market price of the bond. This rate is also known as the internal rate of return (IRR) of the bond. Therefore, it is correct to say that the yield to maturity is the rate that equates the price of the bond with the discounted cash flows.
Furthermore, the yield to maturity is not the same as the coupon rate of the bond, which is the fixed annual interest rate paid by the bond issuer to the bondholder. The coupon rate only represents the annual interest payments received by the bondholder, while the yield to maturity takes into account the reinvestment of those interest payments until the bond reaches maturity.
In summary, the yield to maturity is a critical measure for bond investors, as it allows them to compare the expected return from different bonds with different coupon rates and maturities. It represents the total return that an investor can expect to receive from a bond if they hold it until maturity, considering both the interest payments and the principal repayment.
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The fraction of checkable deposits that banks must keep on hand as reserves either as currency or on deposit with the Federal Reserve is called the:
The fraction of checkable deposits that banks must keep on hand as reserves either as currency or on deposit with the Federal Reserve is called the reserve requirement.
The reserve requirement is the minimum amount of funds that banks are required to hold in reserve in order to meet the demand for withdrawals by their customers. The Federal Reserve sets the reserve requirement as a percentage of a bank's checkable deposits, which is known as the reserve ratio. The reserve requirement serves as a tool for the Federal Reserve to control the money supply in the economy. By adjusting the reserve requirement, the Federal Reserve can influence the amount of money that banks can lend out to borrowers. When the reserve requirement is increased, banks are required to hold more funds in reserve, which limits their ability to lend out money. On the other hand, when the reserve requirement is lowered, banks have more funds available to lend out, which increases the money supply in the economy. In summary, the reserve requirement is an important tool for the Federal Reserve to manage the money supply in the economy by controlling the amount of funds that banks can lend out to borrowers.
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Wesley has included this opening statement in a bad-news message to a client: We both realize that the current economic downturn has resulted in lower stock prices. What kind of buffer is this
The opening statement that Wesley has included in his bad-news message to a client is an empathetic buffer.
An empathetic buffer is a statement that shows empathy towards the recipient of the message and acknowledges their situation. This kind of buffer is used to soften the impact of the bad news and to show that the sender of the message understands the recipient's perspective.
In this case, Wesley has used the statement "We both realize that the current economic downturn has resulted in lower stock prices" to show that he understands the client's situation.
By acknowledging the economic downturn and its impact on the stock market, Wesley is demonstrating empathy towards the client and showing that he is aware of the challenges they are facing.
This kind of buffer can be effective in bad-news messages because it helps to establish a rapport with the recipient of the message and creates a more positive tone. It can also help to reduce the negative impact of the bad news and make it easier for the recipient to accept.
Overall, Wesley's use of an empathetic buffer is a smart strategy for delivering bad news to a client. By showing empathy and understanding, he is able to soften the impact of the bad news and create a more positive tone for the message.
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A company acquires land for $150,000 cash. Additional costs are as follows: Removal of shed, $200 Filling and grading, $2,000 Salvage value of lumber of shed, $80 Broker commission, $5,000 Paving of parking lot, $15,500 Closing costs, $1,200. The company should record the acquisition cost of the land as
The company should record the acquisition cost of the land as: $150,000 (cash paid) + $200 (removal of shed) + $2,000 (filling and grading) + $1,200 (closing costs) = $153,400.
The acquisition cost of the land should include all costs that are directly related to its acquisition and preparation for its intended use.
In this case, the company paid $150,000 cash to acquire the land, and additional costs of $200 for the removal of the shed, $2,000 for filling and grading, and $1,200 for closing costs should be included in the acquisition cost.
However, the salvage value of the lumber of the shed and broker commission are not considered part of the land acquisition costs since they are related to the disposal of the shed and the services of a broker, respectively. The cost of paving the parking lot is considered a cost related to improving the land, but it is not part of the land acquisition cost since it is considered a separate asset.
Therefore, the company should record the acquisition cost of the land as:
$150,000 (cash paid) + $200 (removal of shed) + $2,000 (filling and grading) + $1,200 (closing costs) = $153,400.
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The description of the course of action, why it was chosen, and what each employees’ role is in the implementation, is found in the _____________ _________. (two words)
The description of the course of action, why it was chosen, and what each employee's role is in the implementation is found in the project plan.
The project plan is a comprehensive document that outlines the objectives, scope, and steps involved in completing a project. It provides a detailed description of the course of action, including why that specific approach was chosen based on factors such as resources, time constraints, and feasibility.
Each employee's role in the implementation process is clearly defined, assigning tasks and responsibilities to ensure effective teamwork and smooth execution. The project plan also includes timelines, milestones, and performance measures to monitor progress and ensure that the project stays on track. In summary, the project plan is a crucial tool for successful project management and team collaboration.
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Two states, Atlantis and Midgar, have long contested ownership of a section of land between their two countries. Atlantis decides to form an alliance with Hyrule to help in its struggle with Midgar. How would this alliance change the bargaining interaction between Atlantis and Midgar relative to the status quo
How the alliance will change the bargaining interaction between Atlantis and Midgar relative to the status quo are:
The value of a potential war to Midgar decreases.Because Atlantis would pay a smaller cost to go to war, it shifts the bargaining range toward Atlantis's ideal outcome.Because of Hyrule's help in winning a likely war, the bargaining range shifts toward Atlantis's ideal outcome.What is the benefit of bargaining interaction among nation?Its allows countries to negotiate and reach agreements on a wide range of issues, from trade and investment to security and environmental concerns. These agreements can help to facilitate economic growth and development, promote peace and stability and protect the environment.
In addition, these bargaining interactions can help to build trust and cooperation among nations which can be particularly important in times of crisis or conflict. By engaging in constructive negotiations, countries can find common ground and work together to address shared challenges.
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When a company is moving from traditional production to kanban production, which step of the JIT implementation process is the company at
When a company is moving from traditional production to kanban production, the company is at the implementation step of the JIT process.
Moving from traditional production to kanban production is a significant change in the manufacturing process of a company. JIT (Just-In-Time) is a manufacturing philosophy aimed at producing products only when they are needed, reducing waste and increasing efficiency. Kanban is a visual scheduling system used to control the flow of materials in the production process. Implementing JIT requires a thorough analysis of the manufacturing process, identifying and eliminating waste, and creating a system to produce only what is needed when it is needed. The implementation step is the actual installation and initiation of the new system, training of personnel, and monitoring of progress. Once the new system is fully operational, ongoing monitoring, evaluation, and continuous improvement is required to maintain efficiency and effectiveness.
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A full-time student who is not working is categorized as Group of answer choices unemployed. employed. not in the labor force. a discouraged worker. frictionally unemployed.
A full-time student who is not working is categorized as not in the labor force. This is because they are not actively seeking employment and therefore do not meet the definition of being unemployed or employed.
However, if a student is actively seeking employment and is available for work, they would be categorized as unemployed. "Discouraged worker" and "frictionally unemployed" are terms used to describe specific subsets of the unemployed population, but they do not apply to a full-time student who is not seeking employment.
A full-time student who is not working is categorized as "not in the labor force." The reason for this is that they are not actively seeking employment and are focusing on their education instead. This category includes individuals who are not currently seeking employment or participating in the workforce, such as full-time students, retirees, and stay-at-home parents.
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The maximum amount of time that a system resource can remain unavailable before there is an unacceptable impact on other system resources is ____.
MTD is an essential concept in system design and management because it helps organizations prevent system failures, minimize downtime, and ensure the continuity of critical business processes.
The maximum amount of time that a system resource can remain unavailable before there is an unacceptable impact on other system resources is known as the maximum tolerable downtime (MTD). MTD is a critical metric in system design and maintenance, and it is defined as the maximum amount of time that a system can be down without causing unacceptable consequences. The MTD varies depending on the type of system and its criticality. For example, a banking system may have a much lower MTD than a social media platform because the former deals with sensitive financial information. In addition, MTD is impacted by the cost of downtime, the availability of backup systems, and the resources required to restore the system. To calculate the MTD, system administrators need to assess the system's criticality, identify the potential risks, and evaluate the impact of a system failure on the organization. Once the MTD is established, administrators can develop a strategy to minimize downtime and ensure that the system remains available to users.
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One major trend is toward _____. An example of this trend can be found in the airline industry where American Airlines, United Airlines, and other airlines attempt to sell directly to customers and take away business from intermediaries such as brick-and-mortar travel agents.
One major trend is toward disintermediation. An example of this trend can be found in the airline industry where American Airlines, United Airlines, and other airlines attempt to sell directly to customers and take away business from intermediaries such as brick-and-mortar travel agents.
The major trend referred to in the statement is "disintermediation," which means the removal of intermediaries in the distribution chain between the producer and the end consumer. It involves companies selling their products or services directly to consumers, bypassing traditional intermediaries such as wholesalers, retailers, and travel agents. The advent of the internet and e-commerce has facilitated disintermediation, allowing companies to reach customers directly and reduce costs associated with intermediaries.
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Your task is to take this and construct a graphical representation of the data. In doing so, you determine that as the price of juice rises, the quantity of juice demanded decreases. This confirms the .
A graphical representation of the data shows that there is an inverse relationship between the price of juice and the quantity demanded. As the price of juice increases, the quantity demanded decreases. This confirms the law of demand,
which states that there is an inverse relationship between the price of a good and the quantity demanded, ceteris paribus. A graphical representation helps to visually demonstrate this relationship and can be useful in analyzing market trends and making decisions regarding pricing and production.
To construct a graphical representation of the data showing the relationship between the price of juice and the quantity demanded, follow these steps:
1. Label the horizontal axis as "Quantity of Juice" and the vertical axis as "Price of Juice."
2. Plot data points on the graph, with each point representing a specific price-quantity combination.
3. Connect the data points with a downward-sloping line, which represents the demand curve.
The graphical representation confirms that as the price of juice rises, the quantity of juice demanded decreases, illustrating the law of demand.
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Division B is now purchasing these parts from an outside supplier at a price of $24 each. If Division B begins to purchase the 5,000 parts from Division A rather than the outside supplier, what is the company as a whole change in net income?
If Division B begins to purchase the 5,000 parts from Division A rather than the outside supplier, the company as a whole change in net income would be a decrease of $25,000.
This is because Division A currently produces the parts at a variable cost of $20 per unit, and if they sell them to Division B at $24 each, they make a profit of $4 per unit. However, if Division B begins to purchase the parts from Division A, they will no longer be buying them from the outside supplier at $24 per unit.
This means that the outside supplier will lose out on $24 x 5,000 = $120,000 in sales, which will decrease the company's net income. On the other hand, Division A will now be selling 5,000 units to Division B at a profit of $4 per unit, which will increase the company's net income.
Therefore, the net effect of this change will be a decrease of $25,000 in net income.
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general, the costs for doubling production of any type of item expected decrease by approximately 25% per item: If we know that the costs for producing 10,000 Bouncy Balls is $1500, and if costs decteuce by 25% for cach item when production doubled, delermine the cost equation for producing thousano Bouncy Balls . What the cost per item when [0,000 Bouncy Balls are produced? What is the cost per thousands of items when 0,000 Bouncy Balls _ produced?
To determine the cost equation for producing 1,000 Bouncy Balls, we need to double the production until we reach 1,000.
10,000 -> 20,000 -> 40,000 -> 80,000 -> 160,000 -> 320,000 -> 640,000 -> 1,280,000
It took 7 doublings to reach 1,280,000. Therefore, the cost for producing 1,000 Bouncy Balls is:
$1500 * (1/2)^7 = $23.44
So the cost per item when 10,000 Bouncy Balls are produced is $0.15 ($1500/10,000) and the cost per item when 1,000 Bouncy Balls are produced is $23.44/1,000 = $0.02344.
The cost per thousand items when 10,000 Bouncy Balls are produced is $1500/10 = $150.
The cost per thousand items when 1,000 Bouncy Balls are produced is $23.44 * 10 = $234.40.
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