A protective put strategy is often used when an investor owns the underlying stock and buys a put option on the underlying stock to ensure against extreme losses (i.e., like insurance). True False

Answers

Answer 1

True. A protective put strategy involves owning the underlying stock and buying a put option on that stock.

The put option gives the investor the right, but not the obligation, to sell the stock at a predetermined price (the strike price) within a specified period (until the expiration date).

By purchasing a put option, the investor is protecting themselves against extreme losses in the stock's price. If the stock price falls below the strike price, the put option can be exercised, allowing the investor to sell the stock at the higher strike price and limit their losses. The put option acts as a form of insurance, providing downside protection.

Therefore, the statement is true: A protective put strategy is often used when an investor owns the underlying stock and buys a put option on the underlying stock to ensure against extreme losses.

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Related Questions

a promissory note is best described as? select one: a. a pledge of property. b. an earnest money deposit. c. written evidence of debt. d. a form of unilateral contract.

Answers

a promissory note is best described as c. written evidence of debt. A promissory note is a binding legal instrument that acts as a record of a loan or debt. It provides a summary of the loan's terms and conditions, including the principle sum, interest rate, repayment schedule, and any other

pertinent clauses. The borrower promises in the promissory note to pay back the lender in accordance with the set terms. It is a crucial legal tool used in a variety of financial transactions, including mortgages, business loans, and personal loans.

A legally binding document that serves as a written commitment to pay back a loan or debt is known as a promissory note. It is a piece of financial documentation that spells out the loan's terms and conditions, including the principle sum, interest rate, repayment schedule, and any other pertinent clauses.

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Purchases Transactions

Xanadu Company purchased merchandise on account from Springhill Company for $5,400, terms 2/10, n/30. Xanadu returned merchandise with an invoice amount of $1,000 and received full credit.

a. If Xanadu Company pays the invoice within the discount period, what is the amount of cash required for the payment? If required, round the answer to the nearest dollar. $fill in the blank 1 4,294

b. What account is debited by Xanadu Company to record the return?

Answers

The cash required for payment of the invoice, taking into account the applicable discount, would amount to $5,292.

a. The cash required for the payment will be $5,292.
If Xanadu Company pays the invoice amount within the discount period, the amount of cash required for the payment can be calculated as follows:
Invoice amount - Discount = Cash required for payment
The invoice amount is $5,400 and the discount is 2% of the invoice amount. So, the discount is 0.02 * $5,400 = $108.
Therefore, the cash required for the payment is $5,400 - $108 = $5,292.

b. Xanadu Company debits the accounts payable account to record the return of merchandise. This is done to reduce the amount owed to Springhill Company for the returned merchandise. This entry reduces the amount owed to Springhill Company for the returned merchandise. The debit to the accounts payable account reflects the decrease in the company's liability to Springhill Company.

Therefore, the payable account is debited by Xanadu Company to record the return.

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the emeritus physics professor taught at the university for forty years and had built quite a following in the community and an enviable linkedin network of alumni donors. the university was loath to ask him to retire, so they set up a lab where he could pursue his two passions, a perpetual motion machine and cold fusion, either of which would solve the world's energy problems. as the years passed, the budget was held constant and suffered due to the rise in prices for perpetual motion machine parts. cold fusion material certainly wasn't getting any cheaper either, and it was evident to all the other physicists that the project was subjected to termination by:

Answers

It was evident to all the other physicists that the project was subjected to termination by Starvation.

When a project is ended by extinction because of its success or failure, it is called "termination by extinction." The following scenarios could result in the extinction of a project: The scope of the project has been met, and the client or end user has accepted the results. The statement "the termination of a project is a project" is a common one regarding project closure and termination.

This is due to the fact that numerous other tasks are still being completed during the project termination phase. After the implementation phase, during which the client receives the project deliverables, comes the project termination stage.

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Suppose you $10,000,000 in the lottery. You will put some of your winnings into a savings account that earns 3.69% simple interest per year and the rest rest into a bond that earns 6.91% simple interrest per year. How much do you put in the savings account and bond such that after 1 year you have earned a total interest of $500,000 ? Round 2 decimals

Answers

You should put approximately $5,932,919.25 into the savings account and $4,067,080.75 into the bond to earn a total interest of $500,000 after one year.

Let's assume the amount of money you put in the savings account is "x" and the amount you put in the bond is "y."

According to the given information, the savings account earns 3.69% interest per year, and the bond earns 6.91% interest per year.

The interest earned from the savings account after one year would be (x * 0.0369), and the interest earned from the bond after one year would be (y * 0.0691).

To determine the amounts to be invested, we can set up the following equations:

x * 0.0369 + y * 0.0691 = $500,000 (equation 1)

x + y = $10,000,000 (equation 2)

We can solve this system of equations to find the values of x and y.

From equation 2, we can express x in terms of y as x = $10,000,000 - y.

Substituting this value into equation 1, we have:

($10,000,000 - y) * 0.0369 + y * 0.0691 = $500,000

Expanding and simplifying the equation:

$369,000,000 - 0.0369y + 0.0691y = $500,000

0.0322y = $500,000 - $369,000,000

0.0322y = $131,000,000

Dividing both sides by 0.0322:

y = $131,000,000 / 0.0322

y ≈ $4,067,080.75

Substituting this value back into equation 2, we can find x:

x + $4,067,080.75 = $10,000,000

x ≈ $5,932,919.25

Therefore, you should put approximately $5,932,919.25 into the savings account and $4,067,080.75 into the bond to earn a total interest of $500,000 after one year.

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What is the most important stage of the marketing research process? a. research design b. problem identification c. data collection d. data analysis

Answers

The most important stage of the marketing research process is the problem identification stage. option (B) is correct.

Problem identification is one of the most critical steps in the marketing research process. This stage defines the purpose of the research and helps to determine the data to be collected and how to collect it, data analysis, and the interpretation of the data into useful insights and actions.

A good problem statement will clearly define the purpose of the research, the target audience, and the type of data to be collected.

Problem identification is essential because it ensures that the research project will achieve the intended results. Without proper identification of the problem, there can be a mismatch between the data collected and the actual research objectives. As a result, this stage helps to ensure that resources are appropriately allocated, and the study is cost-effective.

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Explain why when preparing a statement of cash flows using the direct method, the amortization of goodwill is not reported in the statement of cash flows.

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When preparing a statement of cash flows using the direct method, the amortization of goodwill is not reported in the statement of cash flows.

The direct method of preparing the statement of cash flows presents the actual cash inflows and outflows from operating activities. It reports major categories of cash receipts and payments, such as cash received from customers and cash paid to suppliers. The purpose of the direct method is to provide more transparency and detail regarding the cash flows generated by operating activities.

Goodwill represents the excess of the purchase price over the fair value of the identifiable net assets acquired in a business combination. Amortization of goodwill, which is the systematic allocation of the goodwill amount over its useful life, is an accounting expense but does not involve an actual cash outflow. It is a non-cash item.

Since the direct method focuses on reporting actual cash flows, non-cash items such as the amortization of goodwill are excluded. Only cash transactions are directly reported in the statement of cash flows prepared using the direct method. The indirect method, on the other hand, does reconcile net income to net cash flow from operating activities and can include the amortization of goodwill as an adjustment.

Therefore, when using the direct method to prepare a statement of cash flows, the amortization of goodwill is not reported because it does not involve a cash flow.

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Asset 1 has a standard deviation of returns of 0.15 while Asset 2 has a standard deviation of returns of 0.20. The correlation coefficient between the returns of the two assets is 0.34. Which of the following is closest to the covariance of the returns of the two assets if they are combined into an equally weighted portfolio?

Group of answer choices

0.0129

0.0207

0.0102

0.1440

Answers

The closest value to the covariance of the returns of the two assets if they are combined into an equally weighted portfolio is 0.0102.

To calculate the covariance of the returns for two assets combined into an equally weighted portfolio, we can use the following formula:

Covariance = Correlation coefficient * Standard deviation of Asset 1 * Standard deviation of Asset 2

Given that the standard deviation of Asset 1 is 0.15, the standard deviation of Asset 2 is 0.20, and the correlation coefficient between the returns of the two assets is 0.34, we can substitute these values into the formula:

Covariance = 0.34 * 0.15 * 0.20 = 0.0102

Therefore, the closest value to the covariance of the returns of the two assets if they are combined into an equally weighted portfolio is 0.0102.

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Chuck purchased a van for 24,000 to use it for his business. He sold it one months later in the same year for 18,000. What is the amount of gain or loss and where on form 4797 dose report the sales

Answers

In this case, there is a loss of $6,000 on the sale of the van. calculate the difference between the selling price and the purchase price.

The amount of loss can be calculated as follows:

Loss = Purchase Price - Selling Price

Loss = $24,000 - $18,000

Loss = $6,000

In this case, there is a loss of $6,000 on the sale of the van.

As for reporting the sale on Form 4797, this form is used to report the sale of business property, including vehicles used for business purposes. The specific section of Form 4797 where the sale should be reported depends on the type of asset and the circumstances of the sale. It is recommended to consult with a tax professional or refer to the instructions provided with Form 4797 to accurately report the sale of the van and determine the appropriate section to report the loss.

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The following has a "trick" component. Please read the text thoroughly, don't just "use the formula" Suppose that the Supply and Demand of maple syrup are given by Q=100−P
Q=34+4P

If the government sets a binding price floor at P=$62.36, what will be the value of Consumer Surplus? Round your answer to two (2) decimal places if necessary

Answers

To find the consumer surplus, we first need to determine the equilibrium price and quantity. Equilibrium occurs when the quantity demanded (Qd) equals the quantity supplied (Qs). In this case, the equations for supply and demand are:

Qd = 100 - P
Qs = 34 + 4P

Setting Qd equal to Qs:

100 - P = 34 + 4P

Simplifying the equation:

5P = 66
P = 13.2

The equilibrium price is $13.2.

Now, let's calculate the consumer surplus. Consumer surplus is the area above the equilibrium price and below the demand curve. To find this, we need to calculate the area of the triangle formed by the equilibrium price, the quantity demanded at that price, and the quantity demanded at the price floor.

First, calculate the quantity demanded at the equilibrium price:

Qd = 100 - P
Qd = 100 - 13.2
Qd = 86.8

Next, calculate the quantity demanded at the price floor:

Qd_floor = 100 - 62.36
Qd_floor = 37.64

Now, calculate the consumer surplus:

Consumer Surplus = (1/2) * (Qd_floor - Qd) * (P - P_floor)
Consumer Surplus = (1/2) * (37.64 - 86.8) * (13.2 - 62.36)
Consumer Surplus = (1/2) * (-49.16) * (-49.16)
Consumer Surplus = 1,205.57

The value of the consumer surplus is $1,205.57.

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Topic: The workplace relationship between trust and human behaviour

Explore the critical nature of relationships between people in an organisation especially with
regard to leaders and followers

Answers

The relationship between trust and human behavior is crucial in the workplace, particularly between leaders and followers.

Trust fosters collaboration, engagement, and innovation, while a lack of trust can lead to negative behaviors and a toxic work environment. Building and maintaining trust should be a priority for organizations to create a positive and productive workplace culture.

In an organization, the relationship between trust and human behavior is critical, particularly between leaders and followers. Trust is the foundation of a healthy workplace dynamic. When leaders and followers trust each other, it creates a positive work environment, fosters collaboration, and enhances productivity.
Trust in a leader is essential for employees to feel safe and supported. When employees trust their leaders, they are more likely to be engaged, committed, and motivated in their work. Trust allows employees to feel comfortable sharing their ideas, concerns, and challenges, which can lead to innovative solutions and problem-solving. Furthermore, trust between leaders and followers influences human behavior. When leaders are trusted, employees are more likely to be loyal, respect their decisions, and follow their guidance. This relationship creates a sense of psychological safety, where employees feel comfortable taking risks, being creative, and expressing their opinions openly.

On the other hand, a lack of trust can have detrimental effects on human behavior and the overall workplace atmosphere. Without trust, employees may become disengaged, resistant to change, and reluctant to collaborate. This can result in a toxic work environment, decreased productivity, and high turnover rates.

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Hubbard, Garnett, Lewis \& O'Brien (2022), Essentials of Economics, 5
th
edition. The price elasticity of demand for most agricultural products is quite low. What impact is this likely to have on how much the prices of these products change from year to year? Illustrate your answer with a supply and demand diagram.

Answers

The price elasticity of demand measures how sensitive the quantity demanded of a product is to changes in its price. When the price elasticity of demand for agricultural products is low, it means that the quantity demanded is not very responsive to price changes.

This suggests that even if there are fluctuations in the prices of agricultural products from year to year, the quantity demanded is likely to remain relatively stable.In a supply and demand diagram, a low price elasticity of demand for agricultural products would be represented by a steep demand curve. This indicates that changes in price have a relatively small impact on the quantity demanded.

On the other hand, the supply curve represents how much producers are willing to supply at different prices. If the price elasticity of demand is low, the supply curve for agricultural products is likely to be relatively elastic, meaning that producers can adjust their supply more easily in response to price changes.
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How much would you pay for a perpetual bond that pays an annual coupon of $200 per year and yields on competing instruments are 20%? You would pay $. (Round your response to the nearest penny.) If competing yields are expected to change to 8%, what is the current yield on this same bond assuming that you paid $1,000? The current yield is %. (Round your response to the nearest integer.) If you sell this bond in exactly one year having paid $1,000, and received exactly one coupon payment, what is your total return if competing yields are 8%? Your total return is %. (Round your response to two decimal places.)

Answers

The  total return would be 20% if competing yields are 8%. Competing yields refer to the returns or yields offered by different investment options that are considered as alternatives to each other. When comparing investment opportunities, investors often evaluate the competing yields to determine which option provides the most attractive return on their investment.

To determine how much you would pay for a perpetual bond with an annual coupon of $200 per year, we need to calculate the present value of the cash flows. Assuming that competing instruments yield 20%, we can use the formula for the present value of a perpetuity:

Present Value = Coupon Payment / Yield

In this case, the coupon payment is $200 and the yield is 20% (or 0.20). Plugging these values into the formula:

Present Value = $200 / 0.20 = $1,000

Therefore, you would pay $1,000 for the perpetual bond.

Next, if competing yields are expected to change to 8%, we can calculate the current yield on the bond assuming you paid $1,000. The current yield is defined as the annual coupon payment divided by the bond price:

Current Yield = Coupon Payment / Bond Price

Current Yield = $200 / $1,000 = 0.20 or 20%

Therefore, the current yield on this bond is 20%.

Finally, if you sell the bond in one year, having paid $1,000 and received one coupon payment, your total return would consist of the coupon payment plus any capital gain or loss due to changes in bond prices. Assuming competing yields are 8%, the coupon payment remains $200. Since the bond price remains at $1,000, there is no capital gain or loss.

Total Return = Coupon Payment + (Sale Price - Purchase Price) / Purchase Price

Total Return = $200 + ($1,000 - $1,000) / $1,000 = $200 / $1,000 = 0.20 or 20%

Therefore, your total return would be 20% if competing yields are 8%.

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ABC Corporation’s cash conversion cycle was 60 days in 2022. ABC’s days in sales outstanding was 30 days and days in inventory was 60 days in 2022. What was ABC’s days in payable in 2022?

60 days

30 days

90 days

15 days

Answers

Based on the given information, we can calculate ABC Corporation's days in payable in 2022. The cash conversion cycle is calculated as the sum of days in sales outstanding (D S O) and days in inventory (D I O), minus days in payable (D P O).

Given that the cash conversion cycle was 60 days and DSO was 30 days, we can substitute these values into the formula:
60 = 30 + D I O - D P O
To find D P O, we rearrange the equation:
D P O = D I O - (60 - 30)
D P O = D I O - 30

Since the days in inventory was given as 60 days, we can substitute this value into the equation:
D P O = 60 - 30
D P O = 30 days
ABC Corporation's days in payable in 2022 was 30 days.

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How Richemont leveraged internationally and domestically and what techniques that Richemont had bren used to manage brand value over time

Answers

Richemont leveraged internationally by expanding its presence in key global markets through strategic acquisitions and partnerships. Domestically, Richemont focused on strengthening its brand value by maintaining a strong product portfolio, investing in marketing campaigns, and delivering exceptional customer service.


Richemont leveraged internationally by acquiring luxury brands that had a strong global presence, such as Cartier and Montblanc. This allowed Richemont to tap into existing customer bases and expand its reach in international markets. Additionally, the company formed partnerships with established retailers and distributors in various countries to further enhance its global presence. To manage brand value over time, Richemont utilized several techniques. Firstly, the company maintained a diverse and prestigious product portfolio, offering a range of luxury brands across different categories such as watches, jewelry, and accessories. This helped Richemont cater to a wide range of customer preferences and maintain its position as a leader in the luxury industry.

Secondly, Richemont invested significantly in marketing campaigns to build brand awareness and promote its products. The company utilized various marketing channels, including print, digital, and social media, to reach its target audience and communicate the unique value propositions of its brands. Lastly, Richemont prioritized delivering exceptional customer service to enhance brand value. The company focused on providing personalized experiences, offering after-sales services, and fostering long-term customer relationships. By ensuring customer satisfaction, Richemont was able to build loyalty and strengthen its brand reputation over time.

In conclusion, Richemont leveraged internationally through acquisitions and partnerships, while domestically, the company managed brand value through a strong product portfolio, marketing campaigns, and exceptional customer service. These techniques have helped Richemont maintain its position as a leading luxury goods conglomerate.

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You are considering a car loan with a stated APR of 6% based on monthly compounding. What is the effective annual rate or his oan? The effective annual rate is»96 (Round to two decimal places)

Answers

The effective annual rate (EAR) for the car loan with a stated APR of 6% based on monthly compounding is approximately 6.17%.

To calculate the effective annual rate (EAR) of a loan with a stated APR of 6% based on monthly compounding, we can use the following formula:

EAR = (1 + r/n)^n - 1

Where:

r = stated APR (annual percentage rate) = 6%

n = number of compounding periods per year = 12 (since it's monthly compounding)

Plugging in the values:

EAR = (1 + 0.06/12)^12 - 1

EAR = (1.005)^12 - 1

EAR = 1.061678 - 1

EAR ≈ 0.061678

Converting the decimal to a percentage:

EAR ≈ 0.061678 * 100 ≈ 6.17%

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A lifestyle investment company has the following two options: The first investment option, which costs $65,000, is a perpetuity and pays $10,000 a year (in perpetuity) from year 3 onwards. The second investment costs $60,000 and pays the following cash flows in years 2 to 7: Yr 2: $15,000, Yr 3: $16,000, Yr 4: $17,000, Yr 5: $18,000, Yr 6: $19,000 and Yr 7: $20,000. Identify, for your client, which of these investments are good investments, assuming that the rate of return on investment is 13% p.a. for your client.

Answers

Option 1 has a present value of approximately $76,923.08.
Option 2 has a present value of approximately $61,388.92.
Option 1 is the better investment choice for the client given the 13% rate of return.


To determine which investment is more favorable, we need to calculate the present value of cash flows for each option using a discount rate of 13% per annum.

Option 1: Perpetuity paying $10,000 per year from year 3 onwards.

Since the perpetuity starts from year 3, we need to calculate the present value of the cash flows starting from year 3.

PV = Cash Flow / Discount Rate

PV = $10,000 / 0.13

PV = $76,923.08

Option 1 has a present value of approximately $76,923.08.

Option 2: Cash flows in years 2 to 7.

We will calculate the present value of each cash flow and then sum them up.

PV = CF2 / (1 + r)^2 + CF3 / (1 + r)^3 + ... + CF7 / (1 + r)^7

PV = $15,000 / (1 + 0.13)^2 + $16,000 / (1 + 0.13)^3 + $17,000 / (1 + 0.13)^4 + $18,000 / (1 + 0.13)^5 + $19,000 / (1 + 0.13)^6 + $20,000 / (1 + 0.13)^7

PV ≈ $15,000 / 1.1691 + $16,000 / 1.3647 + $17,000 / 1.5921 + $18,000 / 1.8573 + $19,000 / 2.1674 + $20,000 / 2.5316

PV ≈ $12,829.52 + $11,723.92 + $10,671.67 + $9,668.19 + $8,708.15 + $7,786.47

PV ≈ $61,388.92

Option 2 has a present value of approximately $61,388.92.

Comparing the present values, we find that Option 1 with a present value of $76,923.08 is the more favorable investment compared to Option 2 with a present value of $61,388.92. Therefore, Option 1 is the better investment choice for the client given the 13% rate of return.


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for a company that produces desktop computers, would memory chips be considered a direct or indirect material cost of each computer produced?

Answers

Memory chips would be considered a direct material cost of each computer produced in a company that produces desktop computers.

Memory chips are an essential component of a desktop computer, directly contributing to its functionality and performance. They are specifically purchased and incorporated into each unit during the manufacturing process. As such, the cost of memory chips is directly tied to the production of desktop computers and can be directly allocated to each unit. Indirect material costs.On the other hand, are expenses that are not directly traceable to a specific product but are still necessary for the overall production process. Examples of indirect material costs in computer manufacturing could include items like cleaning supplies, lubricants, or protective packaging materials that are not directly incorporated into the final product. Considering memory chips' direct relevance and incorporation into each desktop computer, they are appropriately classified as direct material costs.

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Which of the following events have created an international demand and a need for capital worldwide?

A. Rise of capitalism

B. Global privatizations

C. Reduced telecommunication costs

D. Increased international trade

E. All of the listed answers are correct.

Q. When interest rates are expected to rise, financial managers try to lock in long-term financing at a low cost and balance the company's debt structure with more long-term debit and less short-term debt.

A. True

B. False

Q. Which of the following are sources of internally generated funds for a corporation?

A. Retained Earnings

B. Cash flow added back from depreciation

C. All of the listed answers are sources of internally generated funds for a corporation

Q. In a three-sector economy, which includes business, government and households, the major supplier of funds for investment is the government sector.

A. True

B. False

Answers

The correct answers are: E. All of the listed answers are correct. (All listed events have created international demand & a need for capital worldwide.)

A. True (When interest rates are expected to rise, financial managers try to lock in long-term financing at a low cost and balance the company's debt structure with more long-term debt and less short-term debt.)

C. All of the listed answers are sources of internally generated funds for a corporation. (Both retained earnings and cash flow added back from depreciation are sources of internally generated funds.)

B. False (In a three-sector economy, the major supplier of funds for investment is not the government sector.)

Demand refers to the desire or need for a product or service by consumers or businesses. It represents the quantity of a particular good or service that buyers are willing and able to purchase at a given price and within a specific time period. Demand is influenced by various factors such as price, income levels, consumer preferences, advertising, and market conditions. Understanding demand is crucial for businesses to determine pricing strategies, forecast sales, and make informed decisions regarding production and marketing efforts.

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Look at the Chart below. It is a bar chart for the S&P 500. Briefly explain why the graph may look bullish, i.e., prices will rise or bearish, prices will fall. Your answer should only cite chart attributes to justify your opinion. Be specific.

Hint: You are not being asked to predict the future.

Answers

In technical analysis, analysts often look at various chart patterns and indicators to assess whether the market sentiment is bullish (indicating prices will rise) or bearish (indicating prices will fall).

Some of the chart attributes that can provide insights into market sentiment include:

Trend: Analysts look for an upward trend characterized by higher highs and higher lows to indicate a bullish market sentiment. Conversely, a downward trend with lower highs and lower lows suggests a bearish sentiment.

Support and Resistance Levels: The presence of strong support levels, where prices have historically bounced back, can suggest a bullish sentiment. Conversely, if prices consistently encounter resistance levels and fail to break through, it may indicate a bearish sentiment.

Volume: Higher trading volumes during price increases can indicate bullishness, as it suggests increased market participation and buying pressure. Lower volumes during price declines may suggest a bearish sentiment.

Chart Patterns: Specific patterns, such as ascending triangles, bullish flags, or head and shoulders formations, can provide insights into market sentiment. Bullish patterns suggest price increases, while bearish patterns suggest price declines.

Moving Averages: The positioning of moving averages, such as the 50-day or 200-day moving averages, can be used to assess the overall market sentiment. Prices trading above the moving averages may indicate a bullish sentiment, while prices trading below may suggest a bearish sentiment.

It's important to note that these chart attributes should be used in conjunction with other forms of analysis, such as fundamental analysis and market news, to make informed investment decisions. Additionally, market sentiment can change rapidly, and it's crucial to consider multiple factors when assessing the direction of prices.

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FruitCo is a fruit grower and processor located in a rural area of the western United States. It several agricultural fields as well as three fruit processing facilities where produce is sorted, cleaned, packaged, and shipped to customers. It operates with 40 year-round staff, 10 of these conducting mechanical duties related to the upkeep of physical fruit production areas and equipment, and 30 complete office jobs, including budgeting, business strategy, human resources, and marketing. In addition to permanent staff, 300 seasonal staff are employed on average for 4-6 months of the year from late spring and into the late summer to harvest the fields and process the fruit. The company operates with a flat structure where all employees, except the owner, work at the same status/level. Seasonal employees have the same status as permanent employees in that each person is equally responsible to complete their job and move the goals of the enterprise forward. To further eliminate status, employees are not given job titles and people are only referred to by their given name or described according to the general job they complete. "Differences between human beings are a natural and necessary aspect of life, especially in the pursuit of excellence. Differences may vary from how to answer the phone, to what type of oil to use in a gearbox, to what equipment to purchase to improve operations, to whether one is following our principles or advancing our mission, to how a person combs their hair," says the owner. Conflicts are categorized as process if they exemplify issues related to work scheduling (e.g., breaks during work, shift designation, overtime, compensation, equipment allocation), relationship if the conflict surrounded employees not 'liking' each other, and task if the conflict was about a job being completed incorrectly or inefficiently. FruitCo policy indicates that self-managed conflict resolution should be collaborative in that solution should yield 'mutual satisfaction.' Despite annual training, there was evidence that it is a matter of working at FruitCo for long periods that helps employees become more comfortable with self-managed conflict resolution procedures

Answers

FruitCo is a fruit grower and processor in a rural area of the western United States. It has several agricultural fields and three fruit processing facilities. The company has 40 year-round staff, with 10 of them responsible for mechanical duties related to fruit production and 30 in office roles such as budgeting, strategy, HR, and marketing.

Additionally, 300 seasonal staff are employed for 4-6 months to harvest and process the fruit. FruitCo operates with a flat structure, where all employees (except the owner) work at the same level. There are no job titles, and everyone is referred to by their given name or general job description. The owner believes that differences among employees are natural and necessary for excellence. Conflicts are categorized as process, relationship, or task-related. FruitCo policy emphasizes collaborative, self-managed conflict resolution for mutual satisfaction. Employees become more comfortable with these procedures over time.

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List and discuss the two (2) main instruments of fiscal policy. List and discuss two (2) reasons for the downward sloping shape of the aggregate demand curve.

Answers

In conclusion, fiscal policy can be influenced by government spending and taxation, while the downward sloping shape of the aggregate demand curve is a result of the wealth effect and the interest rate effect.

The two main instruments of fiscal policy are government spending and taxation.

1. Government spending: This refers to the amount of money the government allocates to various sectors such as infrastructure, education, healthcare, and defense. Increasing government spending can stimulate the economy by creating jobs and boosting consumer demand. Conversely, decreasing government spending can help control inflation by reducing overall demand.

2. Taxation: This involves the imposition of taxes on individuals and businesses. Increasing taxes can reduce disposable income, leading to lower consumer spending and investment. This is known as contractionary fiscal policy. On the other hand, reducing taxes can increase disposable income and encourage spending and investment, known as expansionary fiscal policy.

The downward sloping shape of the aggregate demand curve is influenced by two main factors:

1. Wealth effect: As prices decrease, the real value of assets held by consumers increases, leading to an increase in consumer spending. This positive relationship between price level and consumer spending results in a downward sloping aggregate demand curve.

2. Interest rate effect: A decrease in price level leads to lower interest rates, as people tend to save less and spend more. This reduction in interest rates encourages borrowing and investment, thereby increasing aggregate demand.

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"Given the financial statements for Jones Corporation and Smith Corporation: ""Use net flxed assets in computing fixed asset turnover. tincludes \( \$ 15,500 \) in lease payments.
""Use net fixed assets"

Answers

When using net fixed assets to compute the fixed asset turnover ratio, it is important to exclude any lease payments included in the net fixed assets.

In this case, the lease payments of $15,500 should be deducted from the net fixed assets before calculating the ratio. This adjustment ensures that the fixed asset turnover ratio reflects the company's operational efficiency in utilizing its owned fixed assets.

To compute the fixed asset turnover ratio using net fixed assets, the formula is:

Fixed Asset Turnover Ratio = Net Sales / Net Fixed Assets

However, since the information provided only mentions the inclusion of lease payments in the net fixed assets, we would need additional information such as net sales figures for both Jones Corporation and Smith Corporation to calculate the fixed asset turnover ratio accurately.

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Mr. Wright is a clothing salesman, lie is paid $500. but his employer requires him to spend at least $100 of his income on clothing. Show that his utility level is lower than it would be if he could freely allocate his income between clothing and all other goods. Assume that Mr. Wright would choose to spend less than $ 100 on clothing if his employer did not impose the requirement. What must be true about Mr. Wright's marginal rate of substitution between clothing and other goods at his "restricted" consumption bundle. What implications does this problem have for determining whether or not cash or in-kind (e.g.. food stamps, public housing, free medical care) transfers are preferable as a means to improve the well-being of lower income persons?

Answers

This problem suggests that cash transfers may be preferable over in-kind transfers, as they allow individuals to make choices based on their own preferences and maximize their well-being.

The given scenario presents a situation where Mr. Wright is restricted by his employer to spend at least $100 of his $500 income on clothing. To show that his utility level is lower than it would be with freedom of allocation, we need to consider his preference for clothing.
If Mr. Wright would choose to spend less than $100 on clothing in the absence of the requirement, it implies that he values other goods more than clothing. This suggests a higher marginal rate of substitution (MRS) between clothing and other goods.
The MRS measures the rate at which a person is willing to give up one good to obtain more of another while maintaining the same level of utility. In this case, since Mr. Wright values other goods more than clothing, his MRS between clothing and other goods is higher.

The implications of this problem for determining whether cash or in-kind transfers are preferable for improving the well-being of lower-income persons are as follows:

1. Cash transfers allow individuals to have freedom in allocating their income between different goods, potentially maximizing their utility.
2. In-kind transfers, such as food stamps or public housing, restrict the allocation of resources, potentially limiting an individual's utility.
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If a firm’s production function can be represented as f (L | K, A, M) that firm is operating

A. In the long run

B. In the short run

C. With no fixed inputs

D. In the immediate run

Answers

According to the question The correct option is C. With no fixed inputs.

If a firm's production function can be represented as f(L | K, A, M), it indicates that the firm is operating with no fixed inputs. In the production function, L represents labor, K represents capital, A represents technology or productivity level, and M represents any other variable inputs.

The presence of only variable inputs implies that all inputs in the production process can be adjusted or varied in the short run, indicating that the firm is not constrained by fixed resources.

In the long run, all inputs can be adjusted, including fixed inputs, but in this case, the production function specifically refers to a situation where there are no fixed inputs.

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example strategies that are similar and then different between manufacturing and service industries when it comes to TBL implementation.

Answers

When it comes to Triple Bottom Line (TBL) implementation, there are strategies that are similar and different between the manufacturing and service industries.

1. Both manufacturing and service industries can focus on improving energy efficiency by implementing energy-saving technologies and practices.

2. Waste Management: Both industries can adopt strategies to reduce waste generation, such as implementing recycling programs or finding ways to reuse materials.

Different strategies:

1. Product Design: In manufacturing industries, there is a greater emphasis on product design for sustainability, such as using eco-friendly materials or creating products with a longer lifespan.

2.  Manufacturing industries may implement strategies to ensure sustainable sourcing of raw materials and reduce transportation emissions.

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In implementing the Triple Bottom Line (TBL), there are similarities and differences between the strategies used in the manufacturing and service industries.

Similar strategies:
1. Stakeholder engagement: Both industries need to involve various stakeholders such as employees, customers, and local communities in decision-making processes and sustainability initiatives.
2. Environmental impact assessment: Both industries should assess and reduce their environmental footprint, for example, by implementing energy-efficient technologies or recycling programs.
3. Social responsibility: Both industries should focus on promoting social well-being, such as ensuring safe working conditions and fair wages for employees.

Different strategies:
1. Resource management: Manufacturing industries may focus more on optimizing resource use in production processes, such as reducing waste and improving supply chain efficiency. Service industries, on the other hand, may prioritize resource management in terms of office operations or digital infrastructure.
2. Product/service design: Manufacturing industries may aim to develop sustainable products through eco-design and responsible sourcing of raw materials. In contrast, service industries may emphasize sustainable service delivery, such as using virtual platforms to reduce transportation-related emissions.
3. Performance measurement: Manufacturing industries may measure TBL performance using metrics like carbon emissions and waste reduction. Service industries might focus more on customer satisfaction and social impact indicators, such as community involvement or employee well-being.

Overall, while both manufacturing and service industries aim to implement the TBL, their strategies may vary based on their specific operational priorities and stakeholder demands.

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Suppose the yield on a one year bond is currently 2.5%. Further assume that the expected yield on a one-year bond over the next four years are, respectively: 2.4%,2.3%,2.2%, and 2.1%. Additionally, the term premium on the one-, two-, three-, four-, and five-year bonds are given in the table below: Given the information above, the yield currently on the five-year bond will equal percent. a. 2.50 b. 2.38 c. 2.46 d. 2.34 e. 2.42

Answers

The yield curve in this scenario is upward sloping, and the correct answer is option e. (upward sloping).

To determine the shape of the yield curve based on the given information, we need to compare the yields of bonds with different maturities.

The yield curve represents the relationship between the yield (interest rate) and the maturity length of bonds. Generally, if shorter-term bonds have higher yields compared to longer-term bonds, the yield curve is upward sloping. Conversely, if shorter-term bonds have lower yields compared to longer-term bonds, the yield curve is downward sloping. If the yields are relatively consistent across different maturities, the yield curve is flat.

In this case, we have the following information:

Current yield on a one-year bond: 2.5%

Expected yields on one-year bonds over the next four years: 2.4%, 2.3%, 2.2%, and 2.1%

Term premiums: 0.00% (one-year), 0.05% (two-year), 0.10% (three-year), 0.15% (four-year), and 0.20% (five-year)

Based on this information, we can see that the yields on longer-term bonds (two-year, three-year, four-year, and five-year) are higher than the yield on the one-year bond. Additionally, the term premiums increase with longer maturities.

Therefore, the yield curve in this scenario is upward sloping, and the correct answer is option e. (upward sloping).

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Suppose the yield on a one year bond is currently 2.5%. Further assume that the expected yield on a one-year bond over the next four years are, respectively: 2.4%, 2.3%, 2.2%, and 2.1%. Additionally, the term premium on the one-, two-, three-, four-, and five-year bonds are given in the table below:

Term Premium on Different Maturity Length Bonds

Maturity Length Term Premium

one-year 0.00%

two-year 0.05%

three-year 0.10%

four-year 0.15%

five-year 0.20%

Given the information above, if the yield curve of these five bonds were graphed, it would be _____.

a.

downward sloping

b.

flat

c.

flat then upward sloping

d.

upward sloping then downward sloping

e.

upward sloping

In this Legal Aspects of Business class, you are getting an introduction to law and how it relates to
business. Chapter 2 discusses our court system and jurisdiction in-depth. The activities for this exercise
are meant to help you become familiar with some of the general California legal information already at
your fingertips.
Answer the following 4 questions. You can save this Word doc and use it, copy/paste it into your own
file (both of which you can upload into Canvas) or paste your response directly into the exercise
assignment.
1. Find the website for the Orange County Superior Court
-How many court locations are there?
-Copy/paste the link here:
2. What are the hours for the Lamoreaux Justice Center Family Law court?
-Hours:
-Copy/paste the link here:
3. Mission Statement: What is the mission of the Superior Court in Orange County? Copy and paste the
Mission Statement here:
4. Find the link for the Court Divisions and then look for Collaborative Courts.
-Briefly describe what the Veterans court does:
-Copy/paste the link here:

Answers

1. The website for the Orange County Superior Court can be found by searching "Orange County Superior Court" on any search engine or by visiting www.occourts.org.

There are currently 11 court locations. The link to the website is www.occourts.org.2. The hours for the Lamoreaux Justice Center Family Law court are from 8:00 am to 4:00 pm, Monday through Friday. The link to the page with this information is: http://www.occourts.org/directory/fl/flhours.html.3. The mission of the Superior Court in Orange County is as follows: “To serve the public by administering justice and resolving disputes under the law, thereby protecting the rights and liberties guaranteed by the Constitutions of California and the United States.

”4. Collaborative Courts is one of the court divisions, which can be found at the following link: http://www.occourts.org/directory/courtdivisions/cc/.The Veterans Court offers eligible veterans a specialized program that includes regular court appearances, probation, counseling, treatment, and other services aimed at helping veterans rehabilitate and avoid further criminal activity. The link to the page for the Collaborative Courts division is http://www.occourts.org/directory/courtdivisions/cc/.

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Requirements: Carry out all analyses in an Excel file Clearly label the base-case, worst-case, and best-case scenarios. Suppose you believe that the accounting department's initial cost and salvage value projections are accurate only to within +/−15 percent; the marketing department's price estimate is accurate only to within +/−10 percent; and the engineering department's net working capital estimate is accurate only to within +/−5 percent. b) What is your worst-case scenario for this project? The NPV? Your best-case scenario? The NPV? Do you still want to pursue this project?

Answers

To calculate the worst-case and best-case scenarios for the project's net present value (NPV), we need the relevant data and assumptions.

However, I can guide you through the process of determining the worst-case and best-case scenarios based on the given information. Here's how you can approach it:

1. Identify the base-case assumptions:   - Start with the initial cost, salvage value, price estimate, and net working capital estimate provided by each department.

2. Determine the worst-case scenario:

  - For each assumption, reduce the value by the specified percentage:     - Accounting department's initial cost and salvage value: Decrease by 15%.

    - Marketing department's price estimate: Decrease by 10%.     - Engineering department's net working capital estimate: Decrease by 5%.

  - Use these adjusted values to calculate the NPV in Excel, considering all other relevant cash flows, discount rate, and project timeline.

3. Determine the best-case scenario:   - For each assumption, increase the value by the specified percentage:

    - Accounting department's initial cost and salvage value: Increase by 15%.     - Marketing department's price estimate: Increase by 10%.

    - Engineering department's net working capital estimate: Increase by 5%.   - Use these adjusted values to calculate the NPV in Excel, considering all other relevant cash flows, discount rate, and project timeline.

4. Evaluate the NPV:

  - Compare the NPV calculated in the worst-case scenario to the base-case and assess the impact of the adjustments. If the NPV is significantly negative or below the minimum acceptable threshold, it may indicate a potential risk or unattractive investment.   - Compare the NPV calculated in the best-case scenario to the base-case and assess the potential upside and attractiveness of the project. If the NPV is significantly positive or exceeds the minimum acceptable threshold, it may indicate a favorable investment opportunity.

Based on the results of the worst-case and best-case scenarios, along with other relevant considerations such as the project's strategic alignment, risk tolerance, and financial resources, you can make an informed decision on whether to pursue the project.

Please note that without specific data and assumptions, I cannot provide exact calculations or an Excel file. It's important to populate the Excel file with all relevant information, including cash flows, discount rate, and project timeline, to obtain accurate NPV results for each scenario.

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Suppose that the production function for the corporate sector is well represented by the Cobb-Douglas production function: Y=K 0.3L 0.7
a) With the production function above: (i) What is the Marginal product of labor? (ii) What is marginal product of capital? b) Suppose that the capital stock of the firm is Kˉ=10. Show that the demand for labor is given by PW=1.4L −0.3
c) Find the amount of labor demanded for PW=0.1, PW=0.3, PW=0.5, PW=0.7, and PW=0.9. Plot the combinations of labor demand and the real wages ( PW) on a diagram in which labor is on the horizontal axis and PW on the vertical axis.

Answers

(a) The marginal product of labor can be calculated as 0.7 times the ratio of capital (K) to labor (L), while the marginal product of capital is 0.3 times the ratio of labor (L) to capital (K).

(b) Given a capital stock of Kˉ=10, the demand for labor (L) can be expressed as PW=1.4L−0.3, where PW represents the real wage.

(c) Solving the labor demand equation for real wages yields labor demand values, generating plots illustrating the relationship.

(a) The marginal product of labor is given by 0.7 times (K/L), indicating that it is proportional to the ratio of capital to labor. The marginal product of capital is 0.3 times (L/K), suggesting that it is proportional to the ratio of labor to capital.

(b) With a fixed capital stock of Kˉ=10, the demand for labor can be determined by substituting this value into the labor demand equation PW=1.4L−0.3. This equation represents the relationship between the real wage (PW) and the quantity of labor demanded (L).

(c) To find the amount of labor demanded with different values of real wages, substitute the given values of PW into the labor demand equation PW=1.4L−0.3. By solving for L, the quantity of labor demanded can be obtained.

Plotting the combinations of labor demand and real wages on a diagram will illustrate the relationship between the two variables, with labor on the horizontal axis and PW on the vertical axis.

In summary, the marginal product of labor and capital can be calculated using the Cobb-Douglas production function.

The demand for labor can be determined based on the real wage and the capital stock.

By substituting different values of the real wage into the labor demand equation, the quantity of labor demanded can be obtained and represented graphically.

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Respond to the following in a minimum of 175 words: Discuss the various types of business-type funds used in governmental units and provide an example of when each is appropriate. Include how monitoring and reporting of business-type funds is similar and how it differs from the same functions in a corporation.

Answers

There are several types of business-type funds used in governmental units. The answer to this question lies in the classification of these funds, which are typically divided into enterprise funds and internal service funds.

Enterprise funds are used for government activities that are similar to those conducted by private businesses. These activities are financed and operated in a manner that allows the government to recover costs through fees or charges to customers. For example, a water utility operated by a local government would be classified as an enterprise fund. It generates revenue through the fees it charges customers for water usage.

Internal service funds, on the other hand, are used to account for activities that provide services to other departments or agencies within the same government entity. These funds are similar to enterprise funds in that they also charge fees for their services, but the difference lies in the fact that the customers of internal service funds are other government departments. An example of an internal service fund is a central printing department that provides printing services to other departments within the government.

Monitoring and reporting of business-type funds in governmental units is similar to that in corporations in that both require financial statements to be prepared in accordance with generally accepted accounting principles (GAAP). Both entities need to track and report revenues, expenses, assets, and liabilities. However, there are some differences as well. Governmental units may have additional reporting requirements, such as compliance with legal restrictions on the use of funds and budgetary constraints. Additionally, governments may have different accounting standards and reporting requirements specific to the public sector.

In summary, business-type funds used in governmental units include enterprise funds and internal service funds. Enterprise funds are used for activities similar to those conducted by private businesses and are financed through customer fees. Internal service funds provide services to other government departments and also charge fees. Monitoring and reporting of business-type funds in governmental units is similar to corporations but may have additional requirements specific to the public sector.

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