what are reasons why a well-managed company sometimes attempts to reduce its current ratio? (choose every correct answer.)

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Answer 1

current ratio = current assets / current liabilities

Analysts analyse a company's current assets to its current liabilities to determine the ratio.

Cash, accounts receivable, inventory, and other current assets (OCA) that are anticipated to be liquidated or converted into cash in less than a year are all examples of current assets that are included on a company's balance sheet.

Accounts payable, wages, taxes due, short-term loans, and the current portion of long-term debt are all examples of current liabilities.

A liquidity ratio called the current ratio assesses a company's capacity to settle short-term debts or those that are due within a year. It explains to investors and analysts how a business can use its present assets to the fullest extent possible to pay down its current liabilities and other payables.

In general, an appropriate current ratio is one that is comparable to the industry norm or just a little bit higher. The likelihood of distress or default may be increased by a current ratio that is lower than the industry average. In a similar vein, if a company's current ratio is significantly higher than that of its peer group, it suggests that management might not be making the most use of its resources.

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a portfolio's value increases by 17% during a financial boom and by 6% during normal times. it decreases by 10% during a recession. what is the expected return on this portfolio if each scenario is equally likely?

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The expected return on a portfolio can be calculated as a weighted average of the returns in each scenario, where the weight is the probability of that scenario occurring.

In this case, if each scenario is equally likely, then each scenario has a probability of 1/3. In the context of this portfolio, the expected return can be calculated by considering the three different scenarios: financial boom, normal times, and recession. In a financial boom, the portfolio value increases by 17%, so the return in this scenario is 0.17. The probability of this scenario occurring is 1/3, so the weighted return is (1/3 * 0.17) = 0.06.

In normal times, the portfolio value increases by 6%, so the return in this scenario is 0.06. The probability of this scenario occurring is 1/3, so the weighted return is (1/3 * 0.06) = 0.02.

During a recession, the portfolio value decreases by 10%, so the return in this scenario is -0.10. The probability of this scenario occurring is 1/3, so the weighted return is (1/3 * -0.10) = -0.03.

So, the expected return is calculated as follows:

(0.06) + (0.02) + (-0.03) = 0.05

So the expected return on this portfolio is 5%.

It is important to note that expected return is just that, an estimate, and the actual return on the portfolio can vary greatly from this estimate. The market is inherently unpredictable, and many factors can influence the performance of a portfolio. For example, a sudden economic downturn or geopolitical event can lead to a decrease in portfolio value, regardless of whether the market is in a boom, normal, or recessionary phase.

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macroeconomic equilibrium: question 12 options: a) is impossible to attain in the short run. b) occurs at less than full employment in the long run. c) eliminates inflation in the long run. d) produces an equilibrium aggregate price level in the short run.

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Option a is correct. Macroeconomic equilibrium cannot be achieved in the short term.

Macroeconomic equilibrium occurs when the amount of real GDP demanded at the intersection of the AD and AS curves equals the amount of real GDP supplied. When the amount of real GDP supplied exceeds the amount demanded, inventories accumulate and firms reduce production and prices. When real demand exceeds supply, inventories are depleted and firms increase production and prices.

When real GDP falls below potential GDP, a recession gap (or below full employment equilibrium) occurs, which leads to lower price levels. A recession gap occurs when the SRAS and AD curves intersect on the left side of the potential GDP line. When the nominal wage rate falls, the SRAS curve shifts to the right, the price level falls, Real GDP will rise. Nominal wage rates fall until real GDP equals potential GDP. 

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which of the following is a disadvantage of external recruiting? group of answer choices it can decrease the motivation of existing employees. it can stifle new ideas and perspectives. it fosters stagnation in an organization. it causes a ripple effect in an organization.

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A disadvantage of external recruiting: Option. It can decrease the motivation of existing employees.

External recruiting can lower the morale of current employees, making them feel less valued and appreciated.

External recruiting can be a great way to bring in fresh talent, but it can also have a negative impact on existing employees. When an organization is recruiting externally, it can send a message to current employees that they are not good enough, leading to a decrease in motivation and engagement. This can cause employees to feel less valued, and may even create a competitive environment where they are constantly trying to prove their worth.

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the process of defining a more general entity type from a set of more specialized entity types is called:

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The process of defining more general entity type from set of more specialized entity types is called generalization.

What is generalization?

A generalization is a broad statement or idea that describes a group of specific individuals, objects, or situations. It is a type of inference that is made by extrapolating from a sample of data to the entire population. For example, if someone says "all dogs are friendly", it is a generalization about dogs. However, this statement may not be entirely accurate, as some dogs may not be friendly. Generalizations can be useful for making quick decisions or providing general information, but they can also lead to assumptions or stereotypes. To avoid this, it is important to be cautious when making generalizations, to consider the context and to seek additional information to support the statement.

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problem b) the government raises taxes by $100 billion. if the marginal propensity to consume is 0.6, what happens to the following? do they rise or fall? by what amounts? 1. public saving 2. private saving 3. national saving

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public saving would fall by $100 billion, private saving would fall by $60 billion and national saving would fall by $160 billion  if the marginal propensity to consume is 0.6.

Public saving: Falls. Public saving is equal to government revenue minus government spending, and an increase in government revenue from a tax hike would lead to an increase in public saving. However, in this case, as taxes have risen by $100 billion, public saving would fall by $100 billion.

Private saving: Falls. The marginal propensity to consume (MPC) is the fraction of a change in income that is spent, so if MPC is 0.6, this means that 60% of the increase in taxes would be spent. As a result, private saving would fall by $60 billion.

National saving: Falls. National saving is equal to private saving plus public saving. As both private saving and public saving have fallen, national saving would fall by $160 billion.

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What is a government subsidy?

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A government subsidy is a direct or indirect payment, economic concession, or privilege granted to private firms, households, or other governmental units in order to promote a public goal.

Because of the variety of subsidy instruments, the multiplicity of the objectives they are designed to serve, and the complexity of their effects, identifying a subsidy is frequently complicated. Transportation, housing, agriculture, mining, and other businesses have received subsidies on the basis that their maintenance or expansion, even at the expense of the general public, is in the public interest. Subsidies to the arts, sciences, humanities, and religion have also been instituted in many countries due to the private economy's inability to support these functions at a consistent level. A government subsidy is a financial assistance provided by the government to certain individuals, businesses, or organizations in order to support specific activities, industries, or projects. The purpose of a subsidy is to encourage economic growth and development, improve the competitiveness of certain industries, or support the needs of disadvantaged groups. Examples of government subsidies include tax breaks, low-interest loans, grants, and direct financial payments. Some industries that commonly receive subsidies include agriculture, renewable energy, and research and development. The criteria for receiving a subsidy and the specific terms and conditions of the subsidy vary depending on the government and the program. It's important to note that government subsidies can have both positive and negative effects on the economy. On one hand, they can provide necessary support for industries and individuals that would otherwise struggle. On the other hand, subsidies can distort market forces, create unequal competition, and lead to inefficiencies.

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hulsey outdoor had a return on assets of 15 percent and a return on equity of 15 percent. given this information, the firm:

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Hulsey out-of-door had a return on means of 15 percent and a return on equity of 15 percent. given this information, the establishment has an equity multiplier of 1.0.

The equity multiplier is a rate that measures a company's financial influence, which is the amount of capitalist the company has espoused to finance the purchase of means. This is the formula for calculating a company's equity multiplier Equity multiplier = Total means Total stockholder's equity.

A advanced asset to equity rate shows that the current shareholders enjoy lower means than the current creditors. A lower multiplier is considered more favorable because analogous companies are less dependent on debt backing and do not need to use fresh cash overflows to service debts like largely abused enterprises do.

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which school of management thought would be most useful to a restaurant with pizza delivery that wanted to determine the most efficient routes for each of its drivers to follow? group of answer choices administrative management management science organizational behavior systems management scientific management

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management science. The study of decision-making and problem-solving in organizations is known as management science.

It can be compared to the scientific method being applied to management, giving managers the ability to decide on matters that would affect an organization's performance.

For instance, management science can be used by healthcare facilities to decide which information systems they require, and by airlines to arrange employees and aircraft.

Management science is crucial because it aids organizations in identifying problems they must resolve, streamlining management processes, making better use of resources, and creating strategies for achieving objectives.

Management science, which sprang from operations research, is interdisciplinary, involving two or more academic or professional disciplines. Engineering, game theory, psychology, project management, data science, and supply chain management are among the fields where management science interacts.

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15. assume that economists expect the inflation rate to be 5% so you negotiate a 5% increase in your nominal wage. if the actual inflation rate is 3%, will your real wage increase, decrease, or stay the same? explain.

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If the expected inflation rate is 5% and your nominal wage is negotiated to increase by 5%, then your nominal wage will increase by 5%. However, if the actual inflation rate is only 3%,  your real wage will A: increase, as the purchasing power of your nominal wage increase will be greater than what was expected.

The real wage is the nominal wage adjusted for inflation, so it represents the amount of goods and services that can be purchased with the nominal wage. A decrease in the inflation rate means that the purchasing power of a given nominal wage has increased, so the real wage has increased as well.

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joshua, inc. has taxable income of $1,000,000 in the current year. using the corporate tax tables, joshua inc.'s federal tax liability is

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Joshua's federal tax liability is $210,000

Tax liability is the sum of money a person owes to the government in the form of taxes. It represents the entire amount of tax they owe the government. One must pay taxes on whatever income one receive from a service or business, interest income from different investment vehicles, stock capital gains, income from other sources like winning the lottery or a horse race, house rent, and more.

As per law, Corporations are taxed at a flat rate of 21%.

Therefore,

Calculating the taxable income of Joshua -

= 1,000,000 x 21%

= 1,000,000 x 21/100

= 210,000

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customarily, a trial balance is prepared at the end of each day. after each journal entry is posted. at the end of an accounting period. only at the inception of the business.

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At the conclusion of an accounting period, a trial balance is typically prepared at the end of each day.

A trial balance is an accounting worksheet where the balances of all ledgers are totaled into equal amounts in the columns for the debit and credit accounts.

A trial balance is regularly produced by an organization, commonly at the end of every review cycle.

To check that the entries in a company's bookkeeping system are mathematically correct, a trial balance is generally produced.

A trial balance is not a complete audit of the accounts; Instead, it puts one of the novels under scrutiny.

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a company has available-for-sale debt securities in its portfolio that have increased in value at year-end. how should the unrealized gain on the available-for-sale securities be reported on the statement of shareholders' equity? (assume the fair value option is not elected.)

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Option 3 is correct. The company should report the unrealized gains on its portfolio of marketable securities in the statement of stockholders' equity as - A correct journal entry to report unrealized gains would be an increase to the investment and an increase to other comprehensive income.

The term unrealized gain alludes to an expansion in the worth of a resource, for example, a stock position or a ware like gold, that presently can't seem to be sold for cash. Accordingly, a hidden addition is one that happens on paper, as it presently can't seem to be understood. An undiscovered increase becomes acknowledged once the position is sold for a benefit. It is workable for an undiscovered addition to be deleted on the off chance that the resource's worth dips under the cost at which it was purchased.

An  unrealized gain happens when the ongoing cost of a security is higher than the cost the financial backer at first paid for the security, incorporating any charges related with the buy. Numerous financial backers compute the ongoing worth of their speculation portfolios in view of hidden values. As a general rule, capital increases are burdened just when they are sold and become understood.

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Correct Question -
A company has a portfolio of marketable securities classified as available-for-sale securities. At the end of the year, the fair values of the securities exceeded their costs. How should A company report the unrealized gains on its portfolio of marketable securities in the statement of stockholders' equity?

I. Only the cumulative amount of net gains are reported in the statement of stockholders' equity.

II. Only current period changes in the value of the investment are reported in the statement of stockholders' equity.

III. A correct journal entry to report unrealized gains would be an increase to the investment and an increase to other comprehensive income.

discuss how doing case analysis will help you develop skills needed to prepare recommendations for consideration in a strategic plan. what is a business model and how can it disrupt a company, industry, and/or both? provide at least two examples.

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Case analysis is an important tool for strategists as it forces one to consider all the facts and evidence surrounding a particular issue, situation, or problem and develop a solution that is both practical and actionable.

By doing a case analysis, you can develop skills such as critical thinking and problem solving, which are essential for developing successful strategic plans.A business model is the underlying structure of a company's operations, including how it makes money and how it serves its customers. A business model can be used to disrupt a company, industry, and/or both, by changing the way that a company or industry operates. For example, Airbnb used a business model to disrupt the hotel industry by providing a platform for people to rent out their homes or other properties to travelers. Another example is Amazon, which disrupted the retail industry by introducing an online marketplace for customers to purchase goods directly from vendors.

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what is defined as the development of an employment position that matches your skills with the needs of an organization? this is found in the discussion of identifying job opportunitie

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The development of an employment position that matches your skills with the needs of an organization is often referred to as "job fit." Job fit refers to the degree to which a person's skills, interests, and values align with the requirements and culture of a particular job or organization.

Identifying job opportunities that are a good fit can be important in helping individuals find work that they are well-suited for and that they find fulfilling. This can lead to increased job satisfaction, improved job performance, and reduced turnover. In order to identify job opportunities that are a good fit, individuals can research the duties, requirements, and culture of different organizations and compare these to their own skills, interests, and values. They can also seek out the advice of career counselors, recruiters, and other professionals who specialize in helping individuals find employment that is a good fit.

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in deciding how many guitars to buy for his shop before the christmas season, miguel is making a(n) decision.

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Mark is making a microeconomic decision by choosing how many guitars to buy. Because he is purchasing small amount of a good, which amounts to a fraction of the larger economy, but still represents an economic transaction on his part, and is significant to him and his employees.

Microeconomics is concerned with the role of consumers and businesses in the economy, with particular emphasis on how these two groups make decisions. These decisions include when and how much a consumer purchases a good, as well as how a business determines the price it will charge for its product.
As the prefix suggests, microeconomics is concerned with the economy on a small scale, such as the economic decisions of individual actors. Here are some microeconomic examples: How a local business decides to spend its money. The manner in which a city decides to spend a government surplus.
Microeconomic factors such as supply and demand, taxes and regulations, and macroeconomic factors such as GDP growth, inflation, and interest rates all have a significant impact on various markets.

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mela, based in new jersey, is opening an online storefront that sells a wide variety of goods. in order to save money and time on website design, pamela has contracted with some individuals in argentina to create her website. this is an example of

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In order to save money and time on website design, Pamela has contracted with some individuals in Argentina to create her website. This is an example of outsourcing.

What is outsourcing?

Outsourcing is an agreement in which one company hires another company to be responsible for a planned or existing activity which otherwise is or could be carried out internally, i.e. in-house, and sometimes involves transferring employees and assets from one firm to another.

The term outsourcing, which came from the phrase outside resourcing, originated no later than 1981. The concept, often involves the contracting of a business process (e.g., payroll processing, claims processing), operational, and/or non-core functions, such as manufacturing, facility management, call center/call center support.

Therefore, outsourcing is the correct answer.

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The medium-run equilibrium is characterized by four conditions: • output is equal to potential output y = yn. • the unemployment rate is equal to the natural rate u = un. • the real policy interest rate is equal to the natural rate of interest rn where aggregate demand equals yn. • the expected rate of inflation πe is equal to the actual rate of inflation π

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Four conditions define the medium-run equilibrium, where the economy is operating at its potential output with stable prices, full employment, and interest rates consistent with that level of output and inflation.

Yes, that is correct. These four requirements define the medium-run equilibrium:

Output is equal to potential output (y = yn): The economy is running at full capacity under this scenario, which means that all available resources are being utilized and that there is no idle potential or slack in the sector.

The unemployment rate is equal to the natural rate (u = un): The natural rate of unemployment is the level of unemployment that exists even when the economy is operating at its potential output. It includes frictional unemployment (due to people transitioning between jobs), structural unemployment (due to mismatches between the skills of workers and the skills required for available jobs), and cyclical unemployment (due to fluctuations in the business cycle). In the medium-run equilibrium, the actual unemployment rate is equal to the natural rate, meaning that there is no cyclical unemployment.

The real policy interest rate is equal to the natural rate of interest (rn) where aggregate demand equals potential output (yn): In this condition, the interest rate is set at the level that is consistent with the economy operating at its potential output.

The expected rate of inflation (πe) is equal to the actual rate of inflation (π): In this condition, the expectations of market participants and the actual rate of inflation are in line with each other. This means that there are no unanticipated changes in the rate of inflation that would cause economic imbalances.

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many employees are highly satisfied at wegmans because they want to learn more about gourmet cooking and foods, and the company provides that to them, illustrating what job satisfaction theory?

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The job satisfaction theory illustrated here is the Value-percept theory

The value-percept hypothesis states that a comparison among what workers want and what their employer delivers forms the basis of work contentment. Employees frequently base their desired pay on a thorough examination of their job duties and the wages of comparable employees. The value-percept theory of job satisfaction is illustrated in the given sentence

According to this theory, employees are content when their work allows them to engage in activities and values that are meaningful to them. As a result of the company giving them the chance to learn more about gourmet cuisine and food, which they respect highly, the employees in this example are very happy with their jobs at Wegmans.

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true or false: small and medium-sized companies do not typically benefit from the globalization of markets.

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False. Small and medium-sized companies can benefit from globalization by accessing new markets, sourcing inputs from low-cost countries, and potentially lowering costs through economies of scale.

Small and medium-sized businesses must contend with issues including heightened competitiveness and the need to adjust to changing market demands as a result of globalisation. However, small and medium-sized businesses may effectively compete in the global market and benefit from globalisation with the right strategy and execution.

The capacity to create and/or sell products and/or services in open competition with others on global marketplaces is referred to as globalisation. In open competition, only the fittest will prevail. With regard to practically every commodity in the globe, there is extensive international rivalry. Globalization often lowers the cost of production. In turn, businesses are able to charge customers less for their products. A important factor in rising standards of living is the average cost of commodities.

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given that player salaries are almost entirely a fixed cost to a team, what should happen to the supply curve for tickets when there is an increase in payroll due to the team re-signing its own players?

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An increase in payroll due tore- signing its own players. It  results in advanced fixed costs for a  team, which affects the force wind for tickets.

The rise in fixed costs leads to a rise in the cost of producing a ticket, causing the force wind to shift rightward. This indicates that the  team will be willing to  sell  lower tickets at each price point and the overall volume supplied of tickets will drop.

Consequently, with a given position of demand, ticket prices will increase, generating  farther profit for the  team.  thus, it's likely that when a  team's payroll increases due tore-  subscribing its players, the  team's ticket prices will also rise to cover the added cost.

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creating incentive programs that reward employee productivity and structuring pay and benefits in ways that promote a sense of fairness are tasks most often associated with i-o psychologists working in the area of

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Scientist-practitioners having experience in the design, execution, and analysis of psychological research, I/O psychologists are.

They utilise their results to help solve human and organisational issues in the context of structured labour. The main goal of organisational behaviour psychology is to examine both individual and social behaviour as well as workplace routines (I/O psychologists ). This specialization's proposed design comprises of assessment and evaluation in order to improve employee job satisfaction, leadership capabilities, worker selection practises, and problem-solving abilities. The study of human behaviour is known as I-O psychology, or procedure psychology. It falls within the umbrella of applied psychology. I-O psychology may also be referred to as occupational psychology in the UK, depending on the region or country.

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A small town with one hospital has two ambulances to supply ambulance service. Requests for ambulances during non-holiday weekends average 0. 45 per hour and tend to be Poissondistributed. Travel and assistance time averages two hours per call and follows an exponential distribution:A. Find system utilization. B. Find the average number of customers waiting. C. Find the average time customers wait for an ambulance. D. If there are 2 ambulances, find the probability that all ambulances will be busy when a call comes in

Answers

1: System Utilisation= 0.45

2. Average Number of customers waiting for an ambulance.= 0.229

3. An Average number of hours customers wait for an ambulance.=0.508.

4. Probability of waiting= 0.2793

Given that,

[tex]\small \lambda=0.45/hour\small \mu=0.5/hour\small k=2[/tex]

Hence, using these values and the above formulae, we have,

[tex]\small P_{0}=0.3793\small L=1.1285\ Calls[/tex] r the questions,

1: System Utilisation:

[tex]\small \rho=\frac{\lambda}{k\mu}=\frac{0.45}{2*0.5}=0.45[/tex]

2: Average Number of customers waiting for an ambulance.

[tex]\small L_{q}=L-\frac{\lambda}{\mu}=1.1285-\frac{0.45}{0.5}=0.229\ calls[/tex]

3: Average number of hours customers wait for an ambulance.

[tex]\small W_{q}=\frac{L_{q}}{\lambda}=\frac{0.2285}{0.45}=0.508\ hours[/tex]

4: Probability of waiting

The probability that both ambulances will be busy is equal to the probability  of waiting which is calculated as shown below,

[tex]\small P_{w}=1-[P_{0}+P_{1}]=1-[0.3793+0.3414][/tex]

[tex]\small P_{w}=0.2793[/tex]

usage is the percentage of time that an issue is clearly occupied, as compared with the full time that the component is available to be used. for example, if a CPU methods transactions for a complete forty seconds throughout an unmarried minute, its utilization for the duration of that c programming language is sixty-seven percent.

The fundamental system is quite easy: it is the variety of billable hours divided by using the entire number of available hours (x 100). The supply chain has modified dramatically over the past 10 years in such a lot of methods that it is able to be difficult for some to keep up with. increases in freight and transportation have made those expenses better than distribution center labor in many companies. The fee and best of labor at some stage in your supply chain may be hard. One manner to get beforehand of this continuously changing landscape is the use of sturdy Warehouse management systems (WMS).

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ryanne is a tenant in a single-family home owned by dominick. what type of interest does ryanne have in the property?

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Ryanne has a leasehold type of stake in the building.

Is Peter a tenant in a Cheyenne-owned single-family home?

Cheyenne's single-family home has Peter as a tenant. What kind of stake does Cheyenne own in the land? Freehold: Owners of the property have a freehold stake in it.

Tenancy in common refers to what kind of ownership?

Tenancy in common occurs when each co-tenant has the right to possess the entirety and has an undivided yet individual ownership part. Every co-interest tenant's is inter vivos inheritable, devisable, and alienable. When in doubt, courts always favor tenancy in common under common law.

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over the past year, productivity grew 1%, capital grew 2%, and labor grew 2%. if the elasticities of output with respect to capital and labor are 0.3745 and 0.6255, respectively, how much did output grow (approximately)?

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When capital and labor are 0.3745 and 0.6255, respectively, and productivity increased by 1%, capital increased by 2%, and labor increased by 2%, the production rate of increase is 3%.

The balanced growth calculation should be used as follows.

ΔA% = ΔY% - αΔK% - βΔL%

where A equals a 1% change in productivity

2% income growth equals K.

L = 2% increase in labor

E = 0.3745 for the capital elasticity

Labor's Elasticity is equal to 0.6255.

"Y" equals the output's change.

Adding values to the formula

1% = ΔY% - ( 0.3745 x 1% ) – ( 0.6255 x 1% )

1% = ΔY% - 2%

ΔY% = 1% + 2%

ΔY% = 3%

As a result, the growth rate of output is 3%.

The terms investment and fresh investment both refer to capital input. Not as debts or debt repayments, but rather as capital engaged in management, additional money might be put inside the company.

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which of the following is an advantage of project teams? group of answer choices they give full autonomy to team members. they offer permanent membership. they allow employees to work remotely. they reduce communication barriers.

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Option 4 is Correct. Project teams benefit from the fact that they lower communication obstacles. The autonomy of traditional work groups is the lowest, whereas the autonomy of self-designing teams is the highest.

Employees develop ties that can develop into trust and camaraderie when they work as a team and achieve. It is in our nature. Additionally, it's advantageous for your business because colleagues who get along well with one another are more likely to: Communicate effectively. high initial turnover.

They manage and oversee all significant activities directly involved in the creation of a good or service without first obtaining management approval. A company's financial team has a meeting to determine whether putting its funds in the local stock market is worthwhile.

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Correct Question:

which of the following is an advantage of project teams? group of answer choices

1. they give full autonomy to team members.

2. they offer permanent membership.

3. they allow employees to work remotely.

4. they reduce communication barriers.

company a is a management consulting firm and they own 87% of company b which is a pet food producer. this relationship is an example of .

Answers

Option 3 is Correct. The management consultancy company Company A owns 87% of the pet food manufacturer Company B. An illustration of a parent-subsidiary relationship is this one.

The phrase "parent-subsidiary relationship" means "a relationship that exists when one corporation directly or indirectly owns shares holding more than 50% of the voting power of another firm." View the State among all the Local Government about the main type of Conflict in the Interests of the VA Act.

Identification, among the attraction,  and as well as in interviews, selection, for an employment, and during onboarding of people are all parts of the recruitment process. Locating potential employees and enticing them to apply for open positions within the organization are both parts of the recruitment process.

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Correct Question:

Company A is a management consulting firm and they own 87% of Company B which is a pet food producer. This relationship is an example of _______________________.

1. A brother-sister relationship

2. A parent-child relationship

3. A parent-subsidiary relationship

the firm uses the perpetual inventory system and there are 240 units of the item on hand at the end of the year. what is the total cost of ending inve

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The total cost of 240 ending perpetual inventory system cannot be determined

The total cost can not be determined from the information provided. In a perpetual inventory system, the cost of inventory is constantly updated based on each purchase and sale transaction. The total cost of ending inventory at the end of the year would depend on the cost of the units on hand, which can be different for each unit. To calculate the total cost of ending inventory, the cost of each unit would need to be multiplied by the quantity on hand. This information would typically be recorded in a company's accounting records and can be used to determine the total cost of ending inventory.

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______ The given question is incomplete. the complete question is given below:

The firm uses the perpetual inventory system and there are 240 units of the item on hand at the end of the year. what is the total cost of ending inventory.

when putting individual components together for a structure chart you will need to identify the kinds of processes in a process model. what are those basic kinds of processes?

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The concept is the Business Process model. It is the graphical representation of every process occurring in the business.

The three basic process types in the process model are :

sensational (input), centralized (main processing), and efferent (random). Discovery processes are processes that provide inputs to a system.

Basic processes perform critical functions for the functioning of the system. Efferent processes are related to the work of the system.

A business process model is a model of one or more business processes and specifies how operations can be performed to convey the intended goals of the association. This model remains an abstraction and depends on the intended use of the model.

Business Process Modeling provides associations with an easy way to understand and optimize workflows by creating data-driven visual representations of key business processes.

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suzette is the ceo of a company who forces her male assistant to perform sexual favors in exchange for increasing his salary. this is an example of multiple choice reverse discrimination. bona fide occupational qualification. quid pro quo harassment. affirmative action. labor nondiscrimination.

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Suzette is the CEO of a company who forces her male assistant to perform sexual favors in exchange for increasing his salary. This is an example of c)  quid pro quo harassment.

A boss asking sexual favors as a condition for employment, promotion, development, or opportunities is an example of quid pro quo sexual harassment.

A superior/higher-ranking individual wielding authority over a subordinate/lower-ranking individual by threatening to dismiss, transfer, demote, or otherwise negatively impact an employee's work life if sexual favors are not supplied or continued.

These complaints have been noticed to be often raised during appraisals and (reviews?). This specific act of sexual harassment may create thoughts of promotion as a result of satisfying their supervisor/s in ways other than worthy.

This may also instill guilt in subordinates for not pleasing their superiors or supervisors rather than making complaints about such favors or conditions, which may be inappropriate or have sexual undertones.

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Correct question:

Suzette is the CEO of a company who forces her male assistant to perform sexual favors in exchange for increasing his salary. this is an example of

a)  reverse discrimination.

b) bona fide occupational qualification.

c) quid pro quo harassment.

d) affirmative action.

e) labor nondiscrimination.

a country grows quickly by selling more goods and services abroad than it buys from abroad, also achieving a net inflow of capital from abroad. this describes:

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If domestic customers utilise foreign currencies and the country sells more goods and services to foreigners than it does to them.

It is incorrect because if a country sells more products and services to foreigners than it buys, there will be more foreign money available on the local market for domestic consumers to utilise. The foreign exchange market, often known as Forex or FX, is an international exchange where one nation's currency may be exchanged for another.

With daily transactions totaling trillions of dollars, the currency market is the largest and most liquid in the whole world. It is not centralised and is not overseen by any government agency.

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