Decisions based on utility calculations should Group of answer choices make us vulnerable to external manipulations. be immune to framing effects. lead to self-contradictions. be most likely to be made in situations involving questions of morality.

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Answer 1

Decisions based on utility calculations should be immune to framing effects, as framing effects can bias our decision-making by manipulating how we perceive the options available to us.

These decisions should also be made in situations involving questions of morality, as they require a careful consideration of the costs and benefits to different stakeholders. However, it is important to note that utility calculations can sometimes lead to self-contradictions, as our preferences and values may change over time or in different contexts. Therefore, it is important to continually re-evaluate our decision-making processes and be open to feedback and criticism from others. Ultimately, the goal of utility calculations is to make rational, well-informed decisions that maximize overall welfare and minimize harm to all parties involved.

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Related Questions

While browsing Sara's Web page, Steve noticed a widget linked to a site selling stylish backpacks. Sara explained to him that she loves the brand and is actively promoting it. Moreover, Sara receives a commission on each client that clicks on the widget. Sara is engaged in:

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Sara is engaged in affiliate marketing, a popular online marketing strategy where individuals promote a company's products or services and receive a commission based on the sales or actions generated from their referrals. In this case, Sara is an affiliate marketer for the stylish backpack brand.

The widget on Sara's web page serves as an affiliate link, directing her visitors to the brand's online store. When her visitors click on the widget and make a purchase, Sara earns a commission for her referral. This commission-based structure incentivizes Sara to actively promote the brand and its products to her audience, as she benefits from the generated sales.

Affiliate marketing is a win-win situation for both the affiliate (Sara) and the company (the backpack brand). The company gets increased visibility and sales from Sara's promotion, while Sara earns a passive income for her efforts. This type of marketing is cost-effective for companies, as they only pay commissions for actual sales or specific actions completed by their customers, reducing their advertising expenses.

In summary, Sara's engagement in affiliate marketing allows her to monetize her web page and passion for stylish backpacks while providing her audience with valuable product recommendations.

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Why has noninterest income been growing as a source of bank operating income?

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Noninterest income has become an increasingly important source of revenue for banks as they seek to remain competitive and profitable in a changing market.

Noninterest income has been growing as a source of bank operating income for several reasons:

Increased competition: Banks face increasing competition in the market, which puts pressure on them to find new sources of revenue. Noninterest income is one way to do this.

Technological advancements: Technology has made it easier for banks to offer a wider range of products and services, which can generate noninterest income. For example, many banks now offer mobile banking services, which generate fees for transactions and other services.

Regulation: Regulatory changes have made it more difficult for banks to generate income from traditional banking activities, such as lending. Noninterest income can help banks offset the impact of these changes.

Diversification: Noninterest income allows banks to diversify their revenue streams, reducing their dependence on interest income. This can help banks manage risk and become more resilient to economic downturns.

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Capital Budgeting Problems. What are some of the difficulties that might come up in actual applications of the various criteria we discussed in this course. Which one would be the easiest to implement in actual applications? The most difficult?

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Capital budgets involves making long-term investment decisions that involve substantial amounts of money.

There are several difficulties that might come up in actual applications of the various criteria for capital budgeting. Here are some of the challenges:

Estimating cash flows: The accuracy of the investment appraisal process depends on the accuracy of cash flow estimates. It is difficult to predict future cash flows accurately because of various uncertainties such as changes in market conditions, technological advancements, and regulatory changes.

Choosing the appropriate discount rate: The discount rate used to calculate the present value of future cash flows is critical in the investment appraisal process. Choosing the appropriate discount rate can be challenging because it depends on several factors such as the cost of capital, risk profile of the investment, and the time horizon of the investment.

Incorporating risk: The investment appraisal process assumes that future cash flows are certain. However, there is always a degree of uncertainty associated with future cash flows. Incorporating risk into the investment appraisal process can be challenging because it requires subjective judgment.

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What is the dollar price of a zero coupon bond with 13 years to maturity, semiannual compounding, and a par value of $1,000, if the YTM is

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If the yield to maturity (YTM) is 6%, the price in dollars of a zero coupon bond with 13 years till maturity, semiannual compounding, and a par value of $1,000 is $447.87.

To calculate the dollar price of a zero coupon bond, we need to use the formula:

P = F / (1 + r/n)^(n*t)

where P is the dollar price, F is the par value, r is the annual yield, n is the number of compounding periods per year, and t is the time to maturity in years.

In this case, F = $1,000, r = 6% (or 0.06), n = 2 (semiannual compounding), and t = 13.

These values are put into the formula, and the result is:

P = $1,000 / (1 + 0.06/2)^(2*13)

P = $447.87

It seems the Yield to Maturity (YTM) is missing in your question. Please provide the YTM so I can help you calculate the dollar price of the zero-coupon bond.

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"What is the first step in the decision-making process?
Choices:
A. Develop alternatives.
B. Evaluate the decision.
C. Define the problem."

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The first step in the decision-making process is C. Define the problem.

This involves identifying the issue or situation that needs to be addressed, gathering information and data related to it, and clarifying the goals and objectives that need to be achieved. Without a clear understanding of the problem, it is difficult to develop alternatives or evaluate the decision effectively. Defining the problem also helps to ensure that the decision-making process remains focused on the most important issues and avoids wasting time and resources on irrelevant factors. Once the problem has been defined, the next step is to develop alternatives, which involves generating different options or courses of action that could potentially address the problem. After the alternatives have been developed, the decision maker can then evaluate each option based on a set of criteria and choose the best solution. Overall, the decision-making process is an iterative and dynamic process that requires careful consideration of all relevant factors and the ability to adapt and modify the approach as new information or insights emerge.

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private property, profits, independent business decisions, and choice are rights associated with

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Private property is the right of individuals to own and control their possessions. These rights are associated with individual liberty, as they allow individuals to exercise their autonomy and pursue their own goals and interests.

This means that individuals have the freedom to acquire, use, and dispose of their property as they see fit. Profits are the earnings that are generated through private enterprises. When individuals engage in business activities, they have the potential to make profits, which provides them with financial rewards for their efforts.

Independent business decisions refer to the freedom of entrepreneurs to make choices regarding their business operations without interference from external forces such as the government. This allows entrepreneurs to respond to market demands and make decisions that are best for their businesses.

Choice is the right of individuals to make decisions about their lives and to pursue their own interests. This includes the ability to choose where to live, where to work, and what products or services to purchase.

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Martha Blossom Ito began the Blossom Company by investing $74700 of cash in the business. The company recorded revenues of $554600, expenses of $414000, and had owner drawings of $29700. What was Blossom's net income for the year?
A) $140600.
B) $185600.
C) $170300.
D) $110900.

Answers

The net income for the year is $170300. Therefore, option C is correct.

To calculate the net income, we need to subtract the expenses and owner drawings from the revenues. So, the net income for Blossom Company would be:

Net income = Revenues - Expenses - Owner Drawings

Net income = $554600 - $414000 - $29700

Net income = $170300

Therefore, the net income for the year is $170300. This means that the company earned a profit of $170300 after deducting all its expenses and owner withdrawals.

It's important to calculate net income to assess the financial performance of a business, as it helps to determine how profitable the company is and whether it's able to cover its expenses and generate a return for its owners.

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The custodian of a $450 petty cash fund discovers that the fund has $62 in coins and currency plus $383 in receipts at the end of the month. The entry to replenish the petty cash fund will include:

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The entry to replenish the petty cash fund will include a debit to various expense accounts and a credit to the petty cash account for the amount spent from the fund during the month, and a credit to cash for the amount needed to bring the fund back up to its original balance of $450.

In this case, the custodian has $62 in coins and currency and $383 in receipts, for a total of $445 spent during the month. To bring the fund back up to its original balance of $450, the entry would include a credit to cash for $450 and a debit to various expense accounts for the $445 spent.Assuming that the petty cash fund was initially established with a check for $450, the entry to replenish the fund would be:

Debit - Various Expense Accounts $445

Credit - Petty Cash Account $445

Credit - Cash Account $450

This entry records the expenses paid from the petty cash fund during the month and brings the fund back up to its original balance of $450.

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which of the following should a person not do when facing an ethical dilemma?
a.Review the company’s code of ethics
b.Study laws and regulations of an industry
c.Make a choice based on company’s profits
d.Consider stakeholders' interests

Answers

A person should not make a choice based solely on the company's profits when facing an ethical dilemma. Instead, they should review the company's code of ethics, study laws and regulations of the industry, and consider stakeholders' interests. Making decisions based solely on profits can lead to unethical behavior and harm the company's reputation. It is important to prioritize ethical values and principles in decision-making to ensure long-term success and sustainability.

When facing an ethical dilemma, it is important to consider various factors such as the company's code of ethics, laws and regulations of the industry, and the interests of stakeholders. However, making a decision based solely on the company's profits can lead to unethical behavior and potentially harm the company's reputation and relationships with stakeholders. It is important to consider the long-term consequences of any decision and ensure that it aligns with ethical principles and values.

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what are the steps in developing a budgeted variable overhead cost-allocation rate?

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Developing a budgeted variable overhead cost-allocation rate involves several steps. The first step is to identify all variable overhead costs that are directly associated with the production process. These costs can include items such as raw materials, labor, and utilities.

Once all variable overhead costs are identified, they are then totaled and divided by the total number of production units expected to be produced during the budgeted period. This gives the budgeted variable overhead cost per unit. The next step is to determine the cost driver that will be used to allocate the budgeted variable overhead costs to individual products or services. The cost driver should be a measure that accurately reflects the usage of the variable overhead costs.

For example, if the variable overhead costs are primarily related to machine usage, then machine hours could be used as the cost driver.Once the cost driver is selected, the budgeted variable overhead cost per unit is multiplied by the expected usage of the cost driver for each product or service. This calculation results in the budgeted variable overhead cost allocation rate for each product or service.

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when foreign firms build production facilities in the united states, they are engaging in a) Outsourcing b) Offshoring c) Insourcing d) Inshoring

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When foreign firms build production facilities in the United States, they are engaging in C) Insourcing.

Insourcing refers to a company bringing operations or services previously performed by other businesses, usually from overseas, into its own facilities, thus creating jobs and investments in the local economy.

Insourcing refers to the practice of foreign companies setting up production facilities within the United States to produce goods and services instead of outsourcing to vendors or overseas. By establishing manufacturing bases in the US, foreign firms are able to produce goods locally, bringing down production, shipping, and other costs and leading to job creation within the American market.

Insourcing promotes economic growth by enabling foreign companies to tap into local resources, including labor, while also providing a boost to the economy of the United States.

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what is one advantage to designing networks in building block fashion for large companies?failure isolationincreased network access timemobilityredundancy

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One advantage of designing networks in a building block fashion for large companies is failure isolation. Option A is correct.

Designing networks in a building block fashion for large companies has the advantage of failure isolation. This means that the network is broken down into smaller functional components, each of which can be individually tested and maintained. In the event of a failure or issue, it can be identified and resolved in a smaller and more localized area, minimizing the impact on the overall network and improving system reliability.

This approach allows for easier identification and resolution of issues, minimizing the impact on the overall network and improving system reliability. Failure isolation also allows for easier scalability and maintenance as new components can be added or replaced without disrupting the entire network.

Option A holds true.

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5.Calculate the yearly labor cost for FY21 thru FY23; Assume total FTE at the end FY20 was 5, and yearly headcount growth of 50%, and inflation of 4%.

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The yearly labor costs for FY21 thru FY23 would be $390,000, $634,200, and $1,056,771.20, respectively.

To calculate the yearly labor cost for FY21 thru FY23, we need to consider the FTE (full-time equivalent) headcount growth and inflation.

Starting with FY20, we know that the total FTE was 5.

If we assume a yearly headcount growth of 50%, we can calculate the FTE for each subsequent year as follows:
- FY21: 5 x 1.5 = 7.5 FTE
- FY22: 7.5 x 1.5 = 11.25 FTE
- FY23: 11.25 x 1.5 = 16.88 FTE (rounded to the nearest whole number)

Now, to calculate the yearly labor cost, we need to factor in the inflation rate of 4%.

Let's assume that the average annual salary per FTE is $50,000.

For FY21, the labor cost would be:
- 7.5 FTE x $50,000 x 1.04 = $390,000

For FY22, the labor cost would be:
- 11.25 FTE x $50,000 x 1.04^2 = $634,200

For FY23, the labor cost would be:
- 16.88 FTE x $50,000 x 1.04^3 = $1,056,771.20 (rounded to the nearest cent)

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Which of the following is TRUE about a Target Date Fund (TDF)?
It is an actively managed fund that usually charges a 1-2% management
fee. A TDF will automatically adjust your assets for you over time as you get
closer to retirement.
You can only sign up for the TDF that aligns with your projected retirement year.
A TDF only invests in stocks and will adjust your money between different industries over time.

Answers

The following statement is true about a Target Date Fund (TDF):

A TDF will automatically adjust your assets for you over time as you get closer to retirement.

The other statements are not entirely accurate. While TDFs are often actively managed, the management fee can vary and may not be in the 1-2% range. Also, while many TDFs are designed to align with a projected retirement year, investors may have options to select a fund with a different target date. Additionally, TDFs can include a mix of asset classes beyond just stocks, such as bonds and cash equivalents, and they will adjust the allocation of assets over time based on the target date.

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Obtaining money from venture capitalists to start a new business venture is an example of: a) Equity financing b) Debt financing c) Angel investing d) Crowdfunding

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Obtaining money from venture capitalists to start a new business venture is an example of equity financing. The correct option is a.

Venture capitalists are investors who provide capital to startup companies that they believe have high growth potential. In exchange for their investment, venture capitalists typically receive an ownership stake in the company, which allows them to share in its potential profits. Equity financing is a form of financing in which a company raises capital by selling shares of ownership to investors, such as venture capitalists.

The practice of obtaining money through the selling of shares is known as equity financing. Companies raise money because they can have an immediate need to pay bills or a long-term initiative that would help them expand that needs funding. A company that sells shares effectively transfers control of the business in exchange for money.

An illustration of equity financing is getting funding from venture capitalists to launch a new business endeavor. The correct option is a.

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When a company determines a competency's competitive advantage, Barney refers to this issue asA. Resource-based view B. Resource-based theory C. Resource dependency theory D. Resource scarcity theory

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When a company evaluates its resources and capabilities to identify which ones can provide a competitive advantage, it is using the resource-based view, as proposed by Jay Barney. The correct answer is option a.

This theory emphasizes that a firm's resources and capabilities are the primary determinants of its performance and competitive advantage. Barney argues that resources must meet several criteria to qualify as a source of sustained competitive advantage: they must be valuable, rare, difficult to imitate, and non-substitutable.

The resource-based view suggests that a company's internal resources and capabilities are more important than external factors such as market conditions and industry structure. It highlights the importance of identifying and leveraging unique resources that can differentiate a company from its competitors.

Therefore, the correct answer to the question is A. Resource-based view.

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Why is it difficult to know whether a document retrieved four months ago is still valid law? Which tool in Checkpoint might help a researcher confirm the current status of a case or ruling?

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It can be difficult to know whether a document retrieved four months ago is still valid law because laws and regulations are constantly changing. Courts can overturn previous rulings, and lawmakers can create new laws or amend existing ones.

Therefore, it is important for researchers to stay up-to-date with any changes that may affect the validity of their sources. One tool in Checkpoint that can help researchers confirm the current status of a case or ruling is the "Alerts" feature. This feature allows users to set up alerts for specific keywords, cases, or regulations. When there is a change or update to the selected item, users will receive an email notification with the relevant information. This can help researchers stay on top of any changes and ensure that their sources are still valid laws. Additionally, Checkpoint offers a "What's New" feature that provides updates on recent legal developments, further helping researchers stay informed.

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In an exploration of the idea for Rent the Runway, which offers rentals of designer dresses, what part of the basic storyboarding framework highlights the fact that most women cannot afford designer clothes

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The part of the basic storyboarding framework that highlights the fact that most women cannot afford designer clothes is the "Identify the Need" stage.

This is where the problem or need is identified, which in this case is the fact that most women cannot afford to purchase expensive designer dresses for special occasions. This stage sets the foundation for the rest of the framework, including the development of the solution, which in this case is the rental of designer dresses through Rent the Runway. By recognizing the need, the founders of Rent the Runway were able to create a unique business model that provides an affordable solution for women to wear designer dresses without having to make a large financial investment.

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This approach debits bad debt expense and credits accounts receivable at the time the uncollectibility of a specific account is established
a. true
b. false

Answers

The answer is A. True. This approach is known as the direct write-off method.

The approach you described is called the direct write-off method, which records bad debt expense when an account is determined to be uncollectible.

Bad debt refers to a debt that is unlikely to be repaid by a borrower. This can happen when a borrower defaults on a loan, fails to make payments on time, or becomes insolvent.

In accounting, bad debt is recorded as an expense, and it can have a significant impact on a company's financial statements. When a company sells a product or service on credit, it recognizes the revenue on its income statement but also creates an accounts receivable on its balance sheet, which represents the amount owed by the customer.

If the customer fails to pay the amount owed, the company may have to write off the debt as bad debt, which reduces the amount of revenue recognized and increases the amount of the expense. This can lead to lower profits and can also affect the company's cash flow.

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Cortez Associates purchased a debt investment that meets the characteristics of a simple debt instrument. Cortez intends to hold the debt for purposes of maximizing its return on investment. How should Cortez account for the investment?

Answers

It's important to note that the "held-to-maturity" classification is irrevocable and cannot be changed unless the entity sells the investment or its intent to hold the investment changes.

Why will be should Cortez account for the investment?

Cortez should account for the debt investment as "held-to-maturity" under the accounting standard of Financial Accounting Standards Board [tex](FASB) ASC 320[/tex].

According to [tex]ASC 320[/tex], "held-to-maturity" investments are debt securities that an entity has the positive intent and ability to hold to maturity. Such investments are reported at amortized cost, which means the cost of the investment is adjusted over time to reflect the actual interest earned and any principal repayments received.

In the scenario given, since Cortez intends to hold the debt investment for the purpose of maximizing its return on investment, it meets the criteria for "held-to-maturity" classification. Therefore, Cortez should initially record the debt investment at its cost and subsequently adjust the investment's value based on the effective interest rate method to recognize interest income over the life of the investment.

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If you include an attention line in a business letter, you should place it:a) Above the inside addressb) Below the salutationc) Below the subject lined) Above the date

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If you include an attention line in a business letter, you should place it above the inside address. The correct option is a.

This is to ensure that the intended recipient's attention is immediately drawn to the letter and that it is clear who the letter is addressed to.

This line is flush with the left margin and starts with Attention of, Attention, or Attn. and finishes with a colon. When a letter is addressed to the company or the intended recipient's superior, it identifies the intended recipient inside the company.

Attention line or salutation: Begin by addressing the reader by name, followed by a colon. Use an attention line when writing to a boss or department whose name you do not know. (For instance, "Attention Claims Manager." Ditch the formal "Dear Sir" or "Dear Madam" greetings.

A business letter's attention line should be positioned above the inside address. The correct option is a.

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Which best describes the Rottenberg invariance principle?

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The Rottenberg invariance principle is a concept in economics that states that the distribution of income in a society is unaffected by changes in aggregate income.

In other words, the principle suggests that while the absolute income levels of individuals may change as a result of changes in the overall income of society, the distribution of income remains the same as long as the relative income levels of individuals remain constant.

For example, if everyone in a society receives a 10% increase in income, the relative income levels of individuals would remain the same, and thus, the distribution of income would be unaffected.

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The chemical industry is the second-largest industrial consumer of fossil fuels with ________ used for energy generation and ____________ used for raw materials in manufacturing.

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The chemical industry is a massive global sector that plays a critical role in the production of a wide range of goods and services. However, this industry is also known for its high energy consumption, which contributes significantly to greenhouse gas emissions and climate change.

According to recent statistics, the chemical industry is the second-largest industrial consumer of fossil fuels after the oil and gas industry. This industry is responsible for approximately 10% of global energy consumption and 7% of global greenhouse gas emissions.The chemical industry uses two types of fossil fuels: one for energy generation and the other for raw materials in manufacturing.

The first type of fossil fuel used is primarily coal, natural gas, and oil, which are burned to generate steam and electricity for power production. This energy is then used to run equipment, operate processes, and heat or cool production facilities. The second type of fossil fuel is mainly oil and gas, which are used as feedstocks for the production of chemicals, plastics, and other products.In conclusion, the chemical industry's high reliance on fossil fuels for both energy and raw materials presents significant environmental challenges.

However, there are many opportunities for this industry to reduce its carbon footprint and embrace more sustainable production methods. These include investing in renewable energy sources, improving energy efficiency, and developing alternative feedstocks for chemical production.

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If the government removes a tax on a good, then the quantity of the good sold will Group of answer choices increase. decrease. not change. All of the above are possible.

Answers

If the government removes a tax on a good, then the quantity of the good sold will decrease. So correct option is b.

How we modify our tax information?

If the government removes a tax on a good, the price of the good that the consumer pays will decrease.

As a result, the quantity of the good demanded by consumers is likely to increase, and the quantity of the good supplied by producers is also likely to increase.

Therefore, the correct answer is: the quantity of the good sold will increase.

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using input measures of capacity is least appropriate in which of the following situations?

Answers

Input measures of capacity may be less appropriate in situations where the emphasis is on improving efficiency rather than maximizing output. It is essential to consider the specific goals of the measurement and choose an appropriate method accordingly.

Measuring capacity is an important aspect of many fields, including business, engineering, and manufacturing. However, the appropriateness of using input measures of capacity can vary depending on the situation.

Input measures of capacity refer to the resources that are used to produce a product or service, such as labor, materials, and equipment. These measures can be helpful in estimating the maximum amount of output that can be produced given the available resources.

However, input measures may not be appropriate in situations where the focus is on the efficiency of the production process rather than the maximum output.

For example, if a company wants to improve its production line's efficiency and reduce waste, it may be more helpful to use output measures, such as the number of defects or the time it takes to produce a product.

In summary, input measures of capacity may be less appropriate in situations where the emphasis is on improving efficiency rather than maximizing output. It is essential to consider the specific goals of the measurement and choose an appropriate method accordingly.

Using input measures of capacity is least appropriate in a situation where the inputs required to produce the output are not easily measurable or standardized.

For example, in a service industry where the output depends on the skills and expertise of the employees, using input measures such as the number of employees or hours worked may not accurately reflect the actual capacity of the business.

In such cases, output measures, such as the number of customers served or the level of customer satisfaction, may be more appropriate indicators of capacity.

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When using return on investment (ROI) in local currency to evaluate divisional performance, valuing assets at net book value would result in the highest ROI for
International divisions in countries with high inflation.
International divisions in countries with high deflation.
Retail divisions purchasing goods from manufacturing divisions at fixed prices
Retail divisions purchasing goods from manufacturing divisions at negotiated prices.

Answers

When using return on investment (ROI) in local currency to evaluate divisional performance, valuing assets at net book value could result in the highest ROI for international divisions in countries with high inflation.

How was International divisions in countries with high inflation

Inflation erodes the purchasing power of money, and as a result, the net book value of assets can appear lower in real terms. This leads to a higher ROI for these divisions since the denominator in the ROI calculation is smaller.

In contrast, international divisions in countries with high deflation would experience the opposite effect, as deflation increases the value of money, causing the net book value of assets to increase and potentially lowering the ROI.

Retail divisions purchasing goods from manufacturing divisions at fixed prices might not have the highest ROI, as the fixed prices could limit the division's ability to respond to market fluctuations and reduce profitability.

On the other hand, retail divisions purchasing goods at negotiated prices would have more flexibility to adjust to market changes, potentially increasing the ROI.

Overall, international divisions in high inflation countries would likely experience the highest ROI when assets are valued at net book value, as the inflated local currency results in a reduced asset valuation and a higher calculated ROI.

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To be successful in problem-solving selling, salespeople must be able to:
a. lead buyers through certain mental states in the buying process.
b. memorize standardized questions in order to generate continued positive affirmations.
c. proficiently request expert advice about a customer's problem from the production or logistics personnel of their sales organization.
d. furnish stimuli from a repertoire of words and actions designed to produce the desired response.
e. get the buyer to agree that a complication exists and that resolving it is worth the time and effort required.

Answers

To be successful in problem-solving selling, salespeople must be able to:

a. lead buyers through certain mental states in the buying process. e. get the buyer to agree that a complication exists and that resolving it is worth the time and effort required.

Salespeople should also be able to proficiently request expert advice about a customer's problem from the production or logistics personnel of their sales organization. This collaboration ensures the salesperson has accurate information to present to the buyer.

Additionally, successful salespeople should furnish stimuli from a repertoire of words and actions designed to produce the desired response.

This involves using effective communication and persuasion techniques to influence the buyer's decision-making.

Lastly, it is crucial for salespeople to get the buyer to agree that a complication exists and that resolving it is worth the time and effort required. This ensures that both the buyer and the salesperson are working towards a common goal and fosters a positive and trusting relationship.

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The real interest rate is the rate of growth of oneʹs purchasing power due to money invested.

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The statement "The real interest rate is the rate of growth of one's purchasing power due to money invested" is essentially correct.

The real interest rate reflects the actual increase in purchasing power resulting from an investment, after adjusting for the effects of inflation.         In other words, the real interest rate takes into account the impact of inflation on the return on investment. If the nominal interest rate is higher than the inflation rate, the real interest rate will be positive, indicating that the investor's purchasing power is increasing. On the other hand, if the inflation rate is higher than the nominal interest rate, the real interest rate will be negative, meaning that the investor's purchasing power is decreasing. For example, if an investment returns 5% per year, but the inflation rate is 3%, the real interest rate would be 2%. This means that the investor's purchasing power is increasing by 2% each year. Conversely, if the inflation rate is 5% and the investment returns 3%, the real interest rate would be -2%, indicating that the investor's purchasing power is decreasing. It is important to consider the real interest rate when making investment decisions, as it provides a more accurate picture of the actual return on investment, accounting for the effects of inflation.

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Periodic internal reports used for performance evaluation purposes and based on a responsibility accounting system should not include

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Periodic internal reports based on a responsibility accounting system are used to evaluate the performance of each responsibility center within an organization.

These reports should provide detailed information based on a responsibility accounting system about the center's financial performance, including revenue, expenses, and profitability.

However, there are certain items that should not be included in these reports. One item that should not be included in these reports is information about the personal characteristics or behavior of the individuals in the responsibility center.

These reports should focus solely on the financial performance of the center, and not on individual performance or behavior. Including this type of information in performance evaluation reports could lead to unfair and inaccurate assessments of employee performance, and could create a negative work environment.Other items that should not be included in performance evaluation reports are those that are outside the control of the responsibility center. For example, if the center has no control over the price of raw materials or the exchange rate, these factors should not be included in the report as they are not reflective of the center's performance.

The report should only focus on factors that are under the control of the center and that can be used to evaluate its financial performance.

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Adjustments for accrued revenues
a) have a liability and revenue account relationship.
b) have an asset and revenue account relationship.
c) decrease assets and revenues.
d) decrease liabilities and increase revenues.

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Have an asset and revenue account relationship is the Adjustments for accrued revenues. hence the option B is correct.

Revenues that a company has earned but has not yet received in cash or been recorded in the books are referred to as accrued revenues.

This often happens when a business delivers a product or provides a service to a client without being paid for it.

At the conclusion of an accounting period, accrued revenues are recorded through an adjusting entry.

The transaction credits a revenue account, such as service revenue or sales revenue, and debits an asset account, such as accounts receivable.

In order to reflect the revenue that has been earned but has not yet been collected, the company's revenue and accounts receivable balances increase.

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