Establish three merits and demerits of EPR

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Answer 1

Three merits of EPR include improved efficiency and productivity, streamlined processes and data integration, and enhanced decision-making capabilities. Some demerits of EPR include high implementation costs, and potential resistance to change.

EPR (Enterprise Resource Planning) systems have several merits and demerits.

EPR systems offer several merits that contribute to their widespread adoption. Firstly, EPR can improve efficiency and productivity by automating and integrating various business processes.

By eliminating manual tasks and streamlining workflows, organizations can save time and resources, leading to increased productivity. Secondly, EPR facilitates streamlined processes and data integration.

It allows different departments and functions within an organization to access and share information in real-time, promoting collaboration and reducing data silos.

This integrated approach enables organizations to make informed decisions based on accurate and up-to-date data. Lastly, EPR systems provide enhanced decision-making capabilities by offering comprehensive reporting and analytics tools.

These tools enable businesses to analyze data, identify trends, and make data-driven decisions, ultimately improving overall business performance.

However, EPR systems also have some demerits that organizations should consider. One of the main challenges is the high implementation costs associated with EPR. Implementing an EPR system requires significant financial investments, including licensing fees, hardware and infrastructure upgrades, and training costs.

Additionally, customization and integration processes can be complex and time-consuming. Organizations often need to tailor the system to fit their specific requirements, which can increase costs and extend the implementation timeline.

Moreover, the introduction of an EPR system often requires changes in work processes and employee roles, which can lead to resistance and difficulties in managing organizational change.

Employees may need to adapt to new workflows and technologies, which can impact productivity and require comprehensive change management strategies to ensure successful adoption.

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Related Questions

The expected sales of Cool Ltd. is 22,500 units a year, carrying costs of RM1.50 per unit, and an ordering cost of RM3 per order. Compute the economic order quantity, average inventory and total carrying cost. Explain what does the EOQ formula tell us and what assumption can be made about the usage rate for inventory. If an additional 30 units of inventory will be required as safety stock. Compute the new average inventory and the new total carrying cost, Discuss, why might a firm keep a safety stock? What effect is it likely to have on carrying cost of inventory

Answers

A safety stock increases the carrying cost of inventory. The average inventory level increases, which raises the carrying cost.

Economic order quantity, average inventory, total carrying cost, additional units of inventory, and safety stock are among the topics discussed in this question.

A firm's expected sales are 22,500 units a year, carrying costs are RM1.50 per unit, and ordering costs are RM3 per order.

The economic order quantity, average inventory, and total carrying cost should be calculated.

EOQ formulaEOQ = √2AO/C

Where: A = Annual requirements of the product

O = Ordering cost

C = Carrying cost

EOQ = √2 × 22,500 × 3/1.5

= 30000 units.

The formula tells us that, given a set of variables (annual demand, ordering costs, carrying costs, etc.), there is a specific level of inventory that minimizes total inventory costs.

Assumptions about the usage rate for inventoryThe assumptions about the usage rate for inventory are:Usage is uniform and constant throughout the year.Lead time (time between placing and receiving an order) is fixed and known.

Decisions regarding the amount of inventory to be kept are taken on an independent basis.If an additional 30 units of inventory will be required as safety stockIf an additional 30 units of inventory are needed as safety stock, the new average inventory and total carrying cost should be calculated.

Average inventory = EOQ/2 + Safety stock

New Average inventory = 30 + (30,000 / 2)

= 15030 units

Total Carrying Cost = (Average inventory × Carrying cost) + (Safety stock × Carrying cost)

Total Carrying Cost = (15030 × 1.5) + (30 × 1.5)

= RM22,575

A firm may keep safety stock because it acts as a buffer to protect against uncertainty and unexpected events such as a delay in a shipment, a sudden increase in demand, or an unexpected shortage.

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Suppose that Dr. Strangelove’s theory is that the price of mushrooms is determined by the activity of subatomic particles that exist in another universe that is parallel to ours. When the subatomic particles are emitted in profusion, the price of mushrooms is high. When subatomic particle emissions are low, the price of mushrooms is also low. How would you go about testing Dr. Strangelove’s theory? Discuss whether this theory is useful.

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To test Dr. Strangelove's theory, we would need to gather data on subatomic particle emissions in the parallel universe and correlate it with the price of mushrooms.

If a consistent relationship is found, it could support the theory. However, the theory lacks a mechanistic understanding of how subatomic particles affect mushroom prices. Additionally, establishing causality and ruling out other factors would be challenging. Thus, while interesting, the theory may not be practically useful without further evidence and explanatory power.Regarding the usefulness of the theory, it is essential to consider its plausibility and explanatory power. While the idea of subatomic particles from another universe influencing mushroom prices may seem far-fetched, it is crucial to approach the evaluation without bias. If empirical evidence consistently supports the theory, it may suggest the existence of unknown causal mechanisms. However, if the theory fails to stand up to rigorous testing and lacks explanatory power, it is less likely to be considered useful in explaining real-world phenomena. Critical evaluation and scientific scrutiny are essential to assess the viability and utility of any theory, including Dr. Strangelove's hypothesis.

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ACME manufacturing is considering replacing an existing production line with a new line that has a greater output capacity and operates with less labour than the existing line. The new line would cost $1 million, have a 5-year life, and would be depreciated using the straight-line depreciation method over 5 years. At the end of 5 years, the new line could be sold as scrap for $200 000 (in year 5 dollars). Because the new line is more automated, it would require fewer operators, resulting in a saving of $40 o00 per year before tax and unadjusted for inflation (in today's dollars). Additional sales with the new machine are expected to result in additional net cash inflows, before tax, of $60000 per year (in today's dollars). If ACME invests in the new line, a one-time investment of $10000 in additional working capital will be required. This will be recovered at the end of the project. The tax rate is 30 per cent, the opportunity cost of capital is 10 per cent, and the annual rate of inflation is 3 per cent. What is the NPV of the new production line

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The NPV of the new production line for ACME is $69,512.42.

To calculate the net present value (NPV) of the new production line, we need to consider the cash flows associated with the project and discount them to their present values.
Here's how we can calculate the NPV step by step: Determine the annual cash flows: Savings from labour reduction: $40,000 per year additional net cash inflows from sales: $60,000 per year just the cash flows for $100,000 * (1 + 3%)^3 = $109,272.70Total annual cash flow before tax in year 5 dollars: $100,000 * (1 + 3%)^4 = $112,550.82Calculate the depreciation expense for each year: Depreciation expense per year = Cost of new line / Useful lifeDepreciation expense per year = $1,000,000 / 5 = $200,000Determine the tax savings from depreciation":

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Seeking clarification on this question , thank you
Today is T=0. The UFRO Company is considering the replacement of an existing computer with a new computer that is faster and has expanded capacity. If the new computer is purchased, the existing (old) computer will be sold for $75,000. The existing computer was purchased two years ago (T=-2) for $350,000. It is being depreciated over its 5-year life using the 3-year MACRS schedule. It is expected to salvage for $20,000 (T=3).
The new computer will be purchased for $500,000. If the new computer is purchased, accounts receivable will increase immediately by $25,000, inventory will decrease immediately by $55,000, and accounts payable will decrease immediately by $30,000. The UFRO Company has a 30% corporate tax rate. The modification to the building, paid by UFRO, will cost $100,000. Shipping and installation for the new computer will cost $65,000, but it will be paid by the manufacturer.
If the new computer is purchased, sales in year 1 will be $700,000, sales in year 2 will be $800,000, and sales in year 3 will be $850,000. Without the new computer, sales in each year will be $500,000. Operating expenses will be 40% of sales with the new computer; they are 50% of sales with the old computer. If the new computer is purchased, accounts receivable will increase at T=1 by $10,000 and at T=2 by $15,000.
The new computer will be depreciated using the 3-year MACRS schedule [yr.1: 33%; yr. 2: 45%; yr. 3:15%; yr. 4: 7%]. The new computer will be sold, however, after three (3) years for $30,000. The UFRO Company has a cost of capital of 12%. Identify the relevant cash flows for capital budgeting.
Calculate the NPV, IRR, MIRR, and Payback Period.
thanks

Answers

To calculate the relevant cash flows for capital budgeting, we need to consider the initial investment, operating cash flows, terminal cash flows, and salvage value. Let's break down the cash flows for each period:

Initial Investment (T=0):

Purchase cost of the new computer: -$500,000

Increase in accounts receivable: +$25,000

Decrease in inventory: -$55,000

Decrease in accounts payable: -$30,000

Modification to the building cost: -$100,000

Operating Cash Flows:

Without the new computer:

Year 1: $500,000

Year 2: $500,000

Year 3: $500,000

With the new computer:

Year 1: $700,000 - Operating expenses (40% of sales)

Year 2: $800,000 - Operating expenses (40% of sales)

Year 3: $850,000 - Operating expenses (40% of sales)

Terminal Cash Flows (T=3):

Salvage value of the old computer: +$75,000

Salvage value of the new computer: +$30,000

Now, let's calculate the NPV (Net Present Value), IRR (Internal Rate of Return), MIRR (Modified Internal Rate of Return), and Payback Period. We'll assume a 30% corporate tax rate and a 12% cost of capital.

Calculate the Present Value (PV) of the operating cash flows:

PV of Year 1 operating cash flow: (700,000 - 0.4 * 700,000) / (1 + 0.12) = PV1

PV of Year 2 operating cash flow: (800,000 - 0.4 * 800,000) / (1 + 0.12)^2 = PV2

PV of Year 3 operating cash flow: (850,000 - 0.4 * 850,000) / (1 + 0.12)^3 = PV3

Calculate the NPV:

NPV = Initial Investment + PV1 + PV2 + PV3 + Terminal Cash Flows

NPV = -500,000 + PV1 + PV2 + PV3 + 75,000 + 30,000

Calculate the IRR and MIRR:

IRR is the discount rate at which NPV = 0.

MIRR is the discount rate at which the present value of cash outflows equals the future value of cash inflows.

Calculate the Payback Period:

The Payback Period is the time it takes for the cumulative cash inflows to equal or exceed the initial investment.

Please provide the values for operating expenses in each year, and any additional information required to calculate the cash flows, such as the depreciation expense for the old computer and the tax shield from depreciation.

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Given the following information, calculate the effective monthly rent payment: lease term: 10 years; concession: one year free rent to be spread over the term of the lease; rental space: 5000 square feet; rental rate: $20 per square foot per year; landlord's discount rate: 10%. How do I fins this using a financial calculator and TVM.

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The effective monthly rent payment is $757.58. To calculate the effective monthly rent payment, we need to consider the concession of one year of free rent spread over the lease term.

Here's how to calculate it using a financial calculator and the TVM (Time Value of Money) functions:

Enter the lease term of 10 years as the number of periods (N).

Enter the rental rate of $20 per square foot per year as the payment per period (PMT).

Calculate the present value (PV) of the concession by entering the number of periods (1) and the discount rate of 10%.

Subtract the present value of the concession from the total lease cost (rental rate * rental space * lease term).

Divide the adjusted lease cost by the number of months in the lease term (10 years * 12 months).

The resulting value is the effective monthly rent payment, which is $757.58.

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Read the week two case and select one of the following questions to answer: How did the practice of leader's discussing purpose through telling stories support Wenger's assertion that meaning is a process of negotiation? Identify (give examples of) the two elements of the negotiation of meaning process, participation & reification, in the practice of KPMG leaders discussing purpose? How does the involvement of leaders with employees demonstrate the utility of Stacey's theories of complex responsive processes of human interaction?

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The case study discussed is about KPMG and how the organization's leaders discussed purpose through storytelling. This particular practice supported Wenger's assertion that meaning is a process of negotiation. This is because stories are usually told to help people understand and connect to certain concepts or ideas that might be abstract or difficult to grasp without proper context. Through storytelling, the leader is able to create meaning and present it to their team or organization in a way that everyone can understand.

In the practice of KPMG leaders discussing purpose, the two elements of the negotiation of meaning process are participation and reification. Participation refers to the active involvement of team members in the process of negotiating meaning. KPMG leaders encouraged their employees to share their stories and experiences to create a common understanding of the organization's purpose.

Reification, on the other hand, refers to the process of taking something abstract or conceptual and making it tangible or concrete. In the practice of KPMG leaders discussing purpose, the organization's purpose was made tangible through storytelling and the active participation of employees.

The involvement of leaders with employees also demonstrates the utility of Stacey's theories of complex responsive processes of human interaction. Stacey's theory emphasizes the importance of viewing organizations as complex adaptive systems. This means that every member of the organization is interconnected, and their actions and decisions influence the organization as a whole.

By involving leaders with employees, KPMG was able to create a more inclusive and collaborative environment, which helped to foster a sense of ownership and accountability among team members. This allowed the organization to adapt and respond to changes in the external environment, while also maintaining a clear sense of purpose and direction.

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According to the VRIO framework, which of the following statement is true? Resources and capabilities are turned into strengths when a firm gains a competitive advantage ,Resources and capabilities are equal in their potential contributions to competitive advantage, Resources and capabilities can be copied from leading competitors to gain a competitive advantage ,Resources and capabilities contribute to a firm's specific competitive advantage to the extent that they satisfy the components of the VRIO model

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According to the VRIO framework, the following statement is true Resources and capabilities contribute to a firm's specific competitive advantage to the extent that they satisfy the components of the VRIO model.What is VRIO framework?The VRIO framework is an analytical tool utilized to assess the internal resources and capabilities of an organization to determine if they can be a source of sustainable competitive advantage.

The VRIO framework examines four key areas: value, rarity, imitability, and organization.Value is the foundation of the VRIO framework. Resources and capabilities are valuable if they enable an organization to exploit opportunities or neutralize threats.Rarity: Resources and capabilities that are scarce in the environment can be a source of competitive advantage. Imitability: If resources and capabilities are easily copied or duplicated by rivals, they do not provide a competitive advantage.Organization: The way that resources and capabilities are organized and used by a firm can determine whether or not they contribute to a sustained competitive advantage.Conclusion:Therefore, Resources and capabilities contribute to a firm's specific competitive advantage to the extent that they satisfy the components of the VRIO model.

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PROCUREMENT MANAGEMENT
PLEASE ONLY ANSWER IF YOU KNOW THE ANSWER AND CORRECTLY!
Explain responsive and responsible as it relates to bids and bidders. (12 Marks)
PLEASE ANSWER ACCURATELY AND IN DETAIL!

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Responsive in the context of bids and bidders refers to the bid's compliance with all the stated requirements and specifications outlined in the solicitation documents.

A responsive bid meets all the mandatory criteria and provides the requested information.

Responsible, on the other hand, refers to the bidder's ability to fulfill the contract if awarded. It assesses the bidder's qualifications, financial stability, past performance, technical capabilities, and overall reliability.

Responsive Bid:

A bid is considered responsive when it fully complies with the requirements and conditions specified in the solicitation documents. This includes providing all necessary information, completing forms accurately, meeting technical specifications, adhering to the delivery schedule, and following any other stipulated guidelines. A responsive bid demonstrates the bidder's understanding of the project's scope and requirements and shows their commitment to fulfilling the stated obligations.

Responsible Bidder:Evaluating the responsibility of a bidder involves assessing their overall suitability and ability to perform the contract effectively. This evaluation focuses on various factors such as financial stability, technical capabilities, relevant experience, past performance on similar projects, available resources, and compliance with legal and regulatory requirements. A responsible bidder is reliable, capable, and has a track record of successfully completing similar projects on time and within budget.

In summary, responsiveness relates to the bid itself, ensuring it meets all the stated requirements, while responsibility pertains to the bidder's capabilities and qualifications to perform the contract. Both factors are crucial in the procurement process to ensure the selection of qualified and capable bidders who can deliver the desired outcomes.

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Describe how a fund manager uses strategic and tactical asset allocation as risk control measures in the asset allocation process.

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A fund manager utilizes strategic asset allocation to set long-term target allocations to different asset classes, based on risk tolerance and return objectives. This helps control risk by diversifying across asset classes.

Tactical asset allocation, on the other hand, involves making short-term adjustments to the portfolio based on market conditions. It allows the fund manager to respond to changing market dynamics and capture potential opportunities while managing risk.

By combining strategic and tactical asset allocation, the fund manager can achieve a balanced risk profile, optimize returns, and adapt to market fluctuations. These risk control measures aim to align the portfolio with the investor's objectives while managing potential risks.

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Hampton Industries had $68,000 in cash at year-end 2020 and $12,000 in cash at year-end 2021. The firm invested in property, plant, and equipment totaling $110,000 — the majority having a useful life greater than 20 years and falling under the alternative depreciation system. Cash flow from financing activities totaled +$100,000. Round your answers to the nearest dollar, if necessary.
What was the cash flow from operating activities? Cash outflow, if any, should be indicated by a minus sign.
$
If accruals increased by $45,000, receivables and inventories increased by $145,000, and depreciation and amortization totaled $43,000, what was the firm's net income?
$

Answers

To calculate the cash flow from operating activities, we need to consider the changes in cash, accruals, receivables, inventories, and depreciation.

Cash Flow from Operating Activities = Net Income + Depreciation and Amortization + Changes in Working Capital

1. Changes in Working Capital:

The changes in working capital include the changes in accruals, receivables, and inventories.

Changes in Working Capital = Accruals + Receivables + Inventories

Changes in Working Capital = $45,000 + $145,000 + $0 (assuming no change in inventories)

Changes in Working Capital = $190,000

2. Net Income:

To find the net income, we need to rearrange the cash flow from operating activities equation:

Net Income = Cash Flow from Operating Activities - Depreciation and Amortization - Changes in Working Capital

Given that the cash flow from operating activities is not provided, we can rearrange the equation as follows:

Cash Flow from Operating Activities = Net Income + Depreciation and Amortization + Changes in Working Capital

Since the cash flow from financing activities is +$100,000, we can use it as a substitute for the cash flow from operating activities:

Cash Flow from Operating Activities = +$100,000

3. Net Income:

Using the rearranged equation, we can calculate the net income:

Net Income = Cash Flow from Operating Activities - Depreciation and Amortization - Changes in Working Capital

Net Income = +$100,000 - $43,000 - $190,000

Net Income = -$133,000

Therefore, the firm's net income is **-$133,000** (a negative value indicating a loss).

Please note that the given information does not provide the necessary details to calculate the cash flow from operating activities directly.

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Assume that Sonic Foundry Corporation has a contractual debt outstanding. Sonic has available two means of settlement. It can eithe make immediate payment of $1,979,000, or it can make annual payments of $270,300 for 15 years. Click here to view factor tables Payments must begin now and be made on the first day of each of the 15 years, what payment method would you recommend assuming an expected effective-interest rate of 11% during the future period? (Round factor values to 5 decimal places, e.8. 1.25124 and final answer to 0 decimal places, e.g. 458,581.) Present value of annual payment $ Recommended payment method

Answers

Recommended payment method: Annual payments of $270,300 for 15 years.

To determine the recommended payment method, we need to compare the present value of the immediate payment option with the present value of the annual payment option.For the immediate payment option, the present value is simply the amount of the immediate payment, which is $1,979,000. For the annual payment option, we need to calculate the present value of the annuity using the formula: PV = Payment × (1 - (1 + r)^(-n)) / r, where PV is the present value, Payment is the annual payment amount, r is the interest rate, and n is the number of periods. Using the given values, the annual payment amount is $270,300, the interest rate is 11% (0.11 in decimal form), and the number of periods is 15.

Calculating the present value of the annuity, we have:

PV = $270,300 × (1 - (1 + 0.11)^(-15)) / 0.11

PV ≈ $2,640,271.63

Comparing the present values, we find that the present value of the annual payment option is higher than the present value of the immediate payment option. Therefore, based on the expected effective-interest rate of 11%, the recommended payment method would be to make the annual payments of $270,300 for 15 years, as it results in a higher present value.
Recommended payment method: Annual payments of $270,300 for 15 years.

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prepare an overall strategic design that will assist Main Event
entertainment group Ltd. Jamaica in returning to its ‘glory days of
strong growth and profitability post-Covid 19.

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Main Event Entertainment Group Ltd. in returning to its 'glory days' of strong growth and profitability post-Covid 19, the overall strategic design should include the following key elements:

1. Analysis: Conduct a comprehensive analysis of the entertainment industry in Jamaica post-Covid 19, identifying emerging trends, consumer behavior changes, and potential growth opportunities.

2. Financial Assessment: Evaluate the financial health of Main Event Entertainment Group Ltd., including a thorough review of its financial statements, cash flow, and profitability. Identify areas of improvement and develop strategies to enhance financial performance.

3. Customer Experience Enhancement: Focus on improving the overall customer experience by implementing measures such as personalized services, enhanced customer service, and innovative offerings. This can help attract new customers and retain existing ones.

4. Diversification of Offerings: Explore new revenue streams and diversify the company's offerings beyond its existing portfolio. This may include expanding into new entertainment segments, strategic partnerships, or exploring digital platforms to reach a wider audience.

5. Marketing and Promotions: Develop a targeted marketing and promotional campaign to create awareness, attract customers, and rebuild brand loyalty. Utilize both traditional and digital marketing channels to reach a larger audience.

6. Operational Efficiency: Streamline internal processes, optimize resource allocation, and enhance operational efficiency to reduce costs and improve overall profitability. This may involve implementing technology solutions, training programs, and process improvements.

7. Talent Development: Invest in talent development programs to upskill employees, foster creativity , and ensure the company has a skilled workforce capable of delivering high-quality entertainment experiences.

8. Risk Management: Develop a robust risk management strategy to identify potential threats and mitigate risks that could impact the company's growth and profitability.

By implementing these strategic initiatives, Main Event Entertainment Group Ltd. can position itself for a successful post-Covid 19 recovery, driving growth and profitability while regaining its former reputation as a leader in the entertainment industry.

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The
net income reported on the income statement is $95,712 However,
adjusting entries have not been made at the end of the period for
the supplies expense of $2,100 and accrued salaries of $1,682 Net

Answers

By making these adjusting entries, the net income reported on the income statement will be adjusted to reflect the correct expenses for supplies and accrued salaries. Therefore, it is necessary to record the adjusting entries for the supplies expense and accrued salaries to ensure accurate financial reporting.

The net income reported on the income statement is $95,712. However, adjusting entries have not been made at the end of the period for the supplies expense of $2,100 and accrued salaries of $1,682.

To accurately reflect the financial position and results of the company, adjusting entries need to be recorded. Adjusting entries are made to ensure that all revenues and expenses are recognized in the correct period.

For the supplies expense, an adjusting entry should be made to recognize the expense of $2,100 for the supplies that have been used up during the period. This entry will increase the supplies expense account and decrease the supplies asset account.

For the accrued salaries, an adjusting entry should be made to recognize the expense of $1,682 for the salaries that have been earned by employees but not yet paid. This entry will increase the salary expense account and create a corresponding liability for accrued salaries.

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considers how departments will be grouped : functional divisonal , matrix etc

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When determining how departments will be grouped within an organization, several approaches can be considered, including functional divisional, matrix, and hybrid structures. Each structure has its advantages and is suitable for different organizational needs.

Functional Divisional Structure: In a functional divisional structure, departments are organized based on functions or specialized tasks. For example, departments such as finance, marketing, operations, and human resources are created to handle specific functions. This structure promotes efficiency and specialization within each department, allowing employees to develop expertise in their respective areas. However, it may lead to silos and limited cross-functional collaboration.

Divisional Structure: In a divisional structure, departments are grouped based on specific divisions or products. Each division operates as a separate unit with its own functional departments. This structure is beneficial when an organization operates in diverse markets or offers a wide range of products or services. It allows for better coordination and decision-making within each division. However, it can result in duplication of functions and reduced economies of scale.

Matrix Structure: A matrix structure combines elements of both functional and divisional structures. In this approach, employees are grouped by both function and project or product teams. It encourages cross-functional collaboration and flexibility in resource allocation. This structure is suitable for organizations that have complex projects, multiple reporting lines, and a need for diverse expertise. However, it can lead to increased complexity in decision-making and potential conflicts between functional and project managers.

Hybrid Structure: A hybrid structure combines different elements from various organizational structures to meet specific needs. It allows organizations to tailor their departmental grouping based on their unique requirements. For example, an organization might adopt a functional divisional structure within each division or use a matrix structure for specific projects. This approach provides flexibility and customization but requires careful design and management.

When deciding which structure to adopt, organizations should consider their goals, industry, size, and internal dynamics. The chosen structure should align with the organization's strategy, facilitate effective communication and collaboration, and support efficient operations. Regular assessment and adjustments may be necessary as the organization evolves and faces new challenges.

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Digicel’s 28-day prime bundle plan is designed for tech-savvy individuals who are heavy data users and live in households earning over $150,000 per month. In tailoring the plan for a specific group of consumers based on their particular needs, Digicel has provided an example of ________.
a.
predictive targeting
b.
niche marketing
c.
market targeting
d.
behavioural targeting
e.
mass marketing
Consumer Behaviour studies four disciplines, which discipline is the systematic study of society and social interactions to understand individuals, groups, and institutions through data collection and analysis?
a.
psychology
b.
sociology
c.
economics
d.
communication
e.
anthropology
Beyond flavor and the presence or absence of sugar, Nicorette offers a gum that will whiten your teeth while satisfying your nicotine craving and helping you quit smoking. This gum has been positioned on the basis of ________
a.
mass marketing
b.
psychographic segmentation
c.
Behavioural segmentation
d.
demographic segmentation
e.
family life cycle segmentation

Answers

Digicel is an example of niche marketing. Sociology is the systematic study of society. Nicorette gum has been positioned based on psychographic segmentation.

Niche marketing is a marketing strategy in which a company focuses on a narrow market segment with specific consumer demands.
Sociology is a branch of study that examines human society and how it is structured. This discipline is the systematic study of society and social interactions to understand individuals, groups, and institutions through data collection and analysis. It studies human behavior in a social context, and it is a discipline that analyzes people's interactions in society. It is concerned with a wide range of social phenomena, including crime, inequality, education, and religion.
Nicorette gum has been positioned based on the benefits it offers, which is to whiten teeth while fulfilling nicotine cravings and aiding in smoking cessation. This gum has been marketed based on psychographic segmentation. Psychographic segmentation is a type of market segmentation that involves dividing a market into different groups based on personality traits, values, attitudes, and interests. In this case, Nicorette gum is marketed to people who are concerned about their dental hygiene while also attempting to quit smoking.

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The Heflin Corporation is paying dividends of $1.69 at t = 1 ( this is at t = 1, not t = 0) which will then grow at rate of 11% between t = 1 and t = 2 only and thereafter grow at the rate of 5% into the foreseeable future. What should be the price of Heflin, to the nearest cent, if investors use 7% to discount the risky cash flows?

Answers

The price of Heflin Corporation's stock, we need to determine the present value of its future dividends.

Calculate the dividends for each :

At t = 1: $1.69 (given)

Between t = 1 and t = 2: $1.69 * (1 + 11%) = $1.88

After t = 2: $1.88 * (1 + 5%) / (7% - 5%) = $2.03

Calculate the present value of each dividend using discount rate of 7%:

Present Value at t = 1: $1.69 / (1 + 7%)^1

Present Value at t = 2: $1.88 / (1 + 7%)^2

Present Value after t = 2: $2.03 / (1 + 7%)^2

Sum up the present values of the dividends to find the stock price:

Stock Price = Present Value at t = 1 + Present Value at t = 2 + Present Value after t = 2

Stock Price = Present Value at t = 1 + Present Value at t = 2 + Present Value after t = 2

Please note that the discount rate used should reflect the required rate of return by investors. In this case, it is given as 7%.

After calculating the present values, you can sum them up to find the stock price.

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Read the statement below and answer the question that follows. Using two separate graphs drawn to the same scale, illustrate and explain the impact of different demand elasticities on the equilibrium price and quantity following an increase in supply.

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The impact of different demand elasticities on the equilibrium price and quantity following an increase in supply can be illustrated using two separate graphs.

When demand is elastic (responsive to price changes), an increase in supply will result in a relatively larger decrease in price and a larger increase in quantity. The demand curve will be flatter, indicating that consumers are more sensitive to price changes. The equilibrium price will decrease significantly, and the equilibrium quantity will increase substantially.

When demand is inelastic (less responsive to price changes), an increase in supply will lead to a relatively smaller decrease in price and a smaller increase in quantity. The demand curve will be steeper, indicating that consumers are less sensitive to price changes. The equilibrium price will decrease moderately, and the equilibrium quantity will increase moderately.

high demand elasticity leads to larger price decreases and quantity increases following an increase in supply, while low demand elasticity results in smaller price decreases and quantity increases.

In graph 1, the flatter demand curve indicates that consumers are highly responsive to price changes. When supply increases, the larger decrease in price (due to elastic demand) encourages consumers to purchase more, resulting in a significant increase in the equilibrium quantity.

In graph 2, the steeper demand curve indicates that consumers are less responsive to price changes. Therefore, when supply increases, the decrease in price (due to inelastic demand) is relatively smaller, and the increase in quantity is also smaller.

Overall, the difference in demand elasticities influences the extent to which changes in supply affect the equilibrium price and quantity. Higher elasticity leads to more pronounced price and quantity adjustments, while lower elasticity leads to more modest changes.

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You are analyzing the relationship between two stocks, Stock A and Stock B. The two stocks have a covariance of 0.009020. Stock A has standard deviation of 16.13% and Stock B has a standard deviation of 18.34%. What is the correlation coefficient between the two stocks? Submit your final answer rounded to two decimal places

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The correlation coefficient between Stock A and Stock B can be calculated using the formula

Covariance / (Standard deviation of Stock A x Standard deviation of Stock B) = Correlation coefficient

Covariance = 0.009020

Standard deviation of Stock A = 16.13%

                                                  = 0.1613

Standard deviation of Stock B = 18.34%

                                                  = 0.1834

Substituting the values in the formula, we get

0.009020 / (0.1613 x 0.1834) = 0.2675

Rounding the answer to two decimal places, we get the correlation coefficient between Stock A and Stock B as 0.27

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Prepare the jornal entries to record the following five separate equity issuance situations.
A corporation issues 4,000 common stock worth $5 (common stock) for a payment of $35,000 in cash .
A corporation issues 2,000 non-par common stock to its promoters in payment of their efforts to organize the corporation, estimated to be worth $40,000. The board of directors has assigned a stated value of $1 per share.
A corporation issues 2,000 non-par common stock or stated value to its promoters in payment for their efforts to organize the corporation, estimated to be worth $40,000.
A corporation issues 1,000 preferred stock for $50 (preferred stock) for a payment of $60,000 in cash .
A corporation issues 7,000 common stock worth $7 (common stock) in exchange for land and a building. The land is valued at $45,000 and the building at $85,000.

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Journal entry for issuing 4,000 common stock worth $5 (common stock) for a payment of $35,000 in cash:

Cash $35,000

Common Stock $20,000

Additional Paid-in Capital $15,000

Journal entry for issuing 2,000 non-par common stock to promoters in payment of their efforts to organize the corporation, estimated to be worth $40,000, with a stated value of $1 per share:

Organization Expense $40,000

Common Stock $2,000

Additional Paid-in Capital $38,000

Journal entry for issuing 2,000 non-par common stock without a stated value to promoters in payment for their efforts to organize the corporation, estimated to be worth $40,000:

Organization Expense $40,000

Common Stock $40,000

Journal entry for issuing 1,000 preferred stock for $50 (preferred stock) for a payment of $60,000 in cash:

Cash $60,000

Preferred Stock $50,000

Additional Paid-in Capital $10,000

Journal entry for issuing 7,000 common stock worth $7 (common stock) in exchange for land and a building. The land is valued at $45,000 and the building at $85,000:

Land $45,000

Building $85,000

Common Stock $49,000

Additional Paid-in Capital $81,000

Note: The specific accounts used may vary based on the company's chart of accounts and accounting practices. It's recommended to consult with an accountant or financial professional for accurate and specific journal entries in a real-life scenario.

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2- Based on the documentary Harvest of the Empire (2011),
briefly describe the politics of Latin America during the Cold War.
What role did the United States have in the region?

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Harvest of Empire, a documentary released in 2011, details the politics of Latin America during the Cold War. At this time, Latin America became a significant political battleground between the Soviet Union and the United States.

The US was involved in many interventions to stabilize and support conservative regimes that were favourable to American interests.

The US wanted to prevent Communist influence from spreading in the region and saw the countries as important partners in the fight against communism.

The US supported dictatorships in countries like Argentina, Chile, Guatemala, and El Salvador, contributing to the rise of right-wing regimes.

As a result, the US became known for its interventionist policies. Furthermore, the US also trained death squads and military personnel in torture and interrogation techniques which were used to oppress and silence opposition groups and dissenters throughout the continent.

Latin American countries had to face significant political upheavals, such as coups, revolutions, and violent uprisings as a result of the US involvement.

Despite the United States' involvement, the Cold War had a profound impact on the social, economic, and political development of Latin America.

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On December 31,2019,5610,000 of 14% bands were issued. The market interest rate at the time of issuarice was 11%. Tha bonds pay intereit on June 30 and Decomber 31 and mature in 8 years. Required: Compute the seliling price of a single $1,000 bond on December 31,2019 , Note: Round all intermediate calculations to three decimal places, and round your final answer to the nearest cent.

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The selling price of a single $1,000 bond on December 31, 2019, is approximately $503.91.

To calculate the selling price of the bond, we need to use the present value formula for a bond:

PV = (C / (1 + r)^n) + [F / (1 + r)^n]

where PV is the present value of the bond, C is the coupon payment, r is the market interest rate, n is the number of periods, and F is the face value or maturity value of the bond.

Using the given information, we can calculate the following values:

C = $70 (14% of the face value of $1,000)

r = 11%

n = 16 (8 years x 2 semi-annual payments per year)

F = $1,000

Plugging these values into the present value formula, we get:

PV = ($70 / (1 + 0.11/2)^1) + [$1,000 / (1 + 0.11/2)^16]

PV = $33.327 + $470.587

PV = $503.914

Therefore, the selling price of a single $1,000 bond on December 31, 2019, is approximately $503.91.

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The following transactions affected the Cash account of FDNACCT Co.: Collection from customers = P430,000 Proceeds from sale of furniture = P18,000 Proceeds from bank loan = P74,000 Additional investment from owner = P210,000 Purchase of equipment = P36,000 Payment of interest to bank = P2,000 Payment of operating expenses P150,000 Withdrawal by owner - P14,000 How much is cash provided by (used in) Operating Activities? Enter as a negative number if the answer is used in Operating Activities.

Answers

The cash provided by Operating Activities is P280,000.

To calculate the cash provided by (used in) Operating Activities, we need to consider the cash inflows and outflows related to the operating activities of FDNACCT Co.:

Cash inflows from operating activities:

Collection from customers = P430,000

Cash outflows from operating activities:

Payment of operating expenses = P150,000

Now, we can calculate the net cash provided by (used in) Operating Activities:

Net cash provided by (used in) Operating Activities = Cash inflows - Cash outflows

= P430,000 - P150,000

= P280,000

Therefore, the cash provided by Operating Activities is P280,000.

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See below the quantity demanded, quantity supplied and price for a whole Paella dish (four servings per Paella pan) of a Spanish restaurant's food truck in the Sebastopol Farmer's Market. a) Graph the market. What is the price level and quantity level at market equilibrium per paella? Shade or label the area of consumer surplus and producer surplus before the price control. a) If the Sebastopol local government establishes the price of $40 per a whole Paella, how will we call this price? Will this price create a surplus or a shortage? How many Paellas will the Spanish restaurant's food truck offer at this price control? Use a graph to demonstrate your answer. b) Shade or label the area of consumer surplus, producer surplus, and deadweight loss after the price control. c) What can the government do to eliminate the surplus or shortage without taking away the benefit obtained by diners? Use a graph to demonstrate your answer.

Answers

a) The equilibrium price level is $60 per whole Paella, and the equilibrium quantity level is 10 Paellas. Consumer surplus is the area above the price and below the demand curve, while producer surplus is the area below the price and above the supply curve.

b) The price of $40 per whole Paella established by the government is called a price ceiling. It will create a shortage since the quantity demanded (20 Paellas) exceeds the quantity supplied (5 Paellas). The Spanish restaurant's food truck will offer 5 Paellas at this price.

c) To eliminate the shortage without taking away the benefit to diners, the government can remove the price control and allow the market to reach equilibrium. This would shift the supply curve upwards, increasing the quantity supplied and eliminating the shortage, while maintaining consumer surplus and producer surplus.

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Q1. If $30,000 accumulates to $42,500 when invested at a simple interest for five years, what is the rate of interest?
Q2. A man went to his bank and borrowed $24,000. He agreed to repay the sum at the end of 8 years, together with the interest at 12% per year. How much will he owe the bank at the end of 8 years?
Q3. In 1990 an anonymous private collector purchased a painting by Picasso entitled Angel Fernandez de Soto for $4,450,000. The painting was done in 1900 and valued then at $1800. If the painting was owned by the same family until its sale in 1990, what is the interest rate they receive on the $1800 investment?
Q4. A low-cost noncontact temperature measuring tool may be able to identify railroad car wheels that are in need of repair long before a costly structural failure occurs. If the BNF railroad saves $100,000 in year 1, $110,000 in year 2, and amounts increasing by $10,000 each year for 7 years, what is the future worth of the savings in year 7 at an interest rate of 15% per year?
Q5. Solar Hydro manufactures a revolutionary aeration system that combines coarse and fine bubble aeration components. This year (year 1) the cost for check valve components is $12,000. Based on closure of a new contract with a distributor in China and volume discounts, the company expects this cost to decrease. If the cost in year 2 and each year thereafter decreases by $1500, what is the equivalent annual cost for 8-year periods at an interest rate of 12% per year?

Answers

Let the rate of interest be r% per annum.So,Simple interest on $30,000 at r% for 5 years[tex]= $42,500 - $30,000 = $12,500[/tex] ⇒ [tex](30,000×r×5)/100=12500[/tex] ⇒ r =[tex](12500×100)/(30,000×5)=25/12=2.08[/tex]% per annum. Therefore, the rate of interest is 2.08% per annum.

Principal amount = $24,000 Time = 8 years Rate of interest = 12% per annum.∴Amount to be repaid at the end of 8 years =[tex]$24,000×(1+12/100)^8= $24,000×(28/25)^8= $24,000×2.37= $57,125[/tex]. Therefore, the amount to be repaid at the end of 8 years is $57,125.Q3. Let the rate of interest be x% per annum.According to the problem,⇒ [tex]$4,450,000 = $1800(1 + x/100)^{90} ⇒ (1 + x/100)^{90}= 4,450,000/1800 ⇒ (1 + x/100)^{90}= 2472.22 ⇒ 90 log (1 + x/100) = log 2472.22 ⇒ log (1 + x/100) = (1/90)log2472.22⇒ log(1+x/100)= log2.51 ⇒ 1 + x/100 = 2.51 ⇒ x = 151[/tex] % per annum.

According to the problem,⇒ [tex]P((1.12)^8 - 1)/0.12 = $12,000 + ($12,000 - $1,500) + ($10,500 - $1,500) + ……….+($4,500 - $1,500) ⇒ P×8.98 = $80,250 ⇒ P = $80,250/8.98 = $8932.07[/tex] Therefore, the equivalent annual cost for 8-year periods at an interest rate of 12% per year is[tex]$8,932.07.[/tex]

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A family spends $70,000 on living expenses. With an annual inflation rate of 2 percent, they can expect to spend approximately in three years. $74,263 $42,000 $43,720 $40,300 $76,490

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Rounding to the nearest dollar, the expected spending in three years would be approximately $74,286. Therefore, the closest option from the provided choices is $74,263.

To calculate the expected spending in three years with an annual inflation rate of 2 percent, we can use the formula for calculating the future value of a present amount.

Future Value = Present Value * (1 + Inflation Rate)^Number of Years

In this case, the present value is $70,000, the inflation rate is 2 percent, and the number of years is three.

Future Value = $70,000 * (1 + 0.02)^3

Future Value ≈ $70,000 * 1.061208 ≈ $74,285.56

Rounding to the nearest dollar, the expected spending in three years would be approximately $74,286. Therefore, the closest option from the provided choices is $74,263.

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Chapter 2 part 2 class assignments
You want to retire with a $1,000,000 nest egg in 30 years - at 8% interest how much do you need to deposit each year You want to buy a new Mercedes Benz in four years - How much do you need to deposit cach year at 4.75% if the Mercedes will cost $44,000 You deposit $1,000 for 25 years in an investment club - if your rate of return is 12% how much will your investment be worth in 25 years Your friend thinks she will be a millionaire by putting $5,000 in an account each year for 40 years that pays 6.25% interest - will she be a millionaire? Formasa Plastics has major fabrication plants in Texas and Hong Kong. It is desired to know the future worth of $1,000,000 invested at the end of each year for 8 years, starting one year from now. The interest rate is assumed to be 14% per year. - How much money must Carol deposit every year starting. 1 year from now at 5.5% per year in order to accumulate $6000 seven years from now? At age 30 you start to invest 5,000 per year in an investment that yields 6% - how much will you have at age 65? ( 35 years) Your best friend starts investing 15,000 per year at 6% at age 45 - how much will she have at age 65 (20 years) I want to buy an oil well −1 am told that it will produce $500,000 worth of crude next year. This oil well is drying up and will produce the following amounts of oil. Year 2−$400,000 Year 3$300,000 Year 4$200,000 Year 5100,000 What is the present value of this oil well at 7% interest? Chapter 2 Part 2 continued What is the Present value of the following: Positive cash flow year 1=100
This increases by 100 thru year 7 Use 7% interest
What is the present value of the following
Positive cash flow year 1=100 This increases by 100 per year through year 5 Use 10% interest Chapter 2 part 2 class assignments You want to retire with a $1,000,000 nest egg in 30 years - at 8% interest how much do you need to deposit each year You want to buy a new Mercedes Benz in four years - How much do you need to deposit each year at 4.75% if the Mercedes will cost $44,000

Answers

1. You want to retire with a $1,000,000 nest egg in 30 years - at 8% interest how much do you need to deposit each year?

In order to retire with a $1,000,000 nest egg in 30 years at 8% interest, you need to deposit $10,033.43 each year.

This calculation is done using the formula for the future value of an annuity, which is:FV = Pmt x [(1 + r)n - 1] / rWhere:FV is the future value of the annuityPmt is the amount deposited each yearr is the annual interest raten is the number of yearsFor this question, FV = $1,000,000, r = 8%, and n = 30.

Substituting these values into the formula, we get:$1,000,000 = Pmt x [(1 + 0.08)30 - 1] / 0.08Solving for Pmt, we get:Pmt = $10,033.432.

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Find the effective discount rate d 9

if the rate of simple interest is 6.8%. (four decimals) Answer: The amount of interest earned on A for one year is 199 , the amount of discount on A is 174 . Find A. (nearest cent)

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The effective discount rate d9 = 7.28% and the value of A is $2926.47.

Given that the rate of simple interest is 6.8%.

We need to find the effective discount rate d9.

We know that:Simple Interest = Principal × Rate × Time

Where, Principal = P;

Rate = r;

Time = t

The formula to calculate the effective discount rate is as follows:

Effective Discount Rate (d) = [P / (P - D)] × (360 / t)

Where, P = Amount of loan,

D = Discount,

t = Total time

Let's find out A first.Amount of interest earned on A for one year is 199, then the principal of A = P = 199/6.8% = $2926.47

Next, we need to find the discount on A. Given, the rate of simple interest = 6.8%.

It means the discount rate = 100% - 6.8%

                                            = 93.2%.

Discount = P × (d/100) × (t/360)174

              = 2926.47 × (93.2/100) × (t/360)

T = 219 days

Next, we will find the value of A using the below formula:

Effective Discount Rate (d) = [P / (P - D)] × (360 / t)6.8%

                                             = [2926.47 / (2926.47 - 174)] × (360 / 219)

Effective Discount Rate (d) = 7.28%

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Consider a company with revenues of 35 milll, operating margin 31.3% and depreciation and amortization expense of 14 milll. the company currently has 298 mill of debt and 98 mill in cash . the companys shares are trading for $30.9 per share and there are 9 mill shares outstanding . what is this companys ev/ebitda ratio ?

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The company's ev/ebitda ratio is approximately 7.89x, indicating the market value of the company relative to its ebitda earnings.

the company's ev/ebitda ratio is approximately 7.89x.

ev/ebitda (enterprise value to earnings before interest, taxes, depreciation, and amortization) is a valuation metric used to assess a company's profitability and overall value. it is calculated by dividing the enterprise value (ev) by ebitda.

to calculate the ev, we need to subtract the cash and add the debt to the market capitalization:

ev = market capitalization + debt - cash

market capitalization = number of shares outstanding * share price

market capitalization = 9 million shares * $30.9 per share = $278.1 million

ev = $278.1 million + $298 million - $98 million = $478.1 million

ebitda = revenues * operating margin - depreciation and amortization expense

ebitda = $35 million * 31.3% - $14 million = $10.955 million

ev/ebitda = ev / ebitda

ev/ebitda = $478.1 million / $10.955 million

ev/ebitda ≈ 7.89x

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For fiscal year 2017, Costco Wholesale Corporation (COST) had a net profit margin of 2.08%, asset turnover of 3.55, and a book equity multiplier of 3.37. a. Use this data to compute Costco's ROE using the DuPont Identity b. If Costco's managers wanted to increase its ROE by 1.25 percentage points, how much higher would their new asset turnover need to be? c. If Costco's net profit margin fell by 1.25 percentage points, by how much would their asset turnover need to increase to maintain their ROE? a. Use this data to compute Costco's ROE using the DuPont Identity The ROE is%. (Round to two decimal places.) b. If Costco's managers wanted to increase its ROE by 1.25 percentage points, how much higher would their new asset turnover need to be? The new asset turnover is which is an increase of (Round to two decimal places.) fell by 1.25 percentage points, by how much would their asset turnover need to increase to maintain their ROE? c. If Costco's net profit margin The new asset turnover is which is an increase of (Round to two decimal places.)

Answers

We can calculate the ROE using the DuPont Identity. a) The ROE is 23.57%. b) The new asset turnover would need to be 3.76 c) The asset turnover would need to increase to 3.68, which is an increase of 0.13.

The DuPont Identity is a financial formula that breaks down the return on equity (ROE) into its components: net profit margin, asset turnover, and equity multiplier.

a) To calculate Costco's ROE using the DuPont Identity, we multiply the net profit margin, asset turnover, and equity multiplier:

ROE = Net Profit Margin × Asset Turnover × Equity Multiplier

   = 0.0208 × 3.55 × 3.37

   ≈ 23.57%

b) To increase the ROE by 1.25 percentage points, we need to determine the new asset turnover. Rearranging the DuPont Identity formula, we have:

Asset Turnover = ROE / (Net Profit Margin × Equity Multiplier)

              = (23.57 + 1.25) / (0.0208 × 3.37)

              ≈ 3.76

The new asset turnover would be 3.76, which represents an increase of 0.21 from the original asset turnover of 3.55.

c. If the net profit margin fell by 1.25 percentage points, we can calculate the required increase in asset turnover to maintain the ROE. Again rearranging the DuPont Identity formula, we have:

Asset Turnover = ROE / (New Net Profit Margin × Equity Multiplier)

              = 23.57 / ((0.0208 - 0.0125) × 3.37)

              ≈ 3.68

The new asset turnover would need to be 3.68, which represents an increase of 0.13 from the original asset turnover of 3.55.

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Examine the article above. Apply the quality management process to Apple in order to bolster innovation.
2. Refer to the article above. Assess the impact of the various corporate social responsibility innitiatives in the article on Apple.
3. Critically discuss the type of leadership organisations should develop in contemporary organisations and the impact this leadership would have on the culture of the organisation.

Answers

Contemporary organizations require leaders who are adaptable, visionary, transformational, ethical, and inclusive. These leaders can shape organizational culture, driving innovation, collaboration, and employee engagement, ultimately contributing to the long-term success of the organization.

Assess the impact of the various corporate social responsibility initiatives on Apple:

Corporate social responsibility (CSR) initiatives play a significant role in shaping a company's reputation and impact on society. Apple has implemented several CSR initiatives that have had both positive and negative impacts. Some of Apple's CSR initiatives include environmental sustainability efforts, supply chain transparency, labor rights improvements, and product recycling programs.

The positive impact of these initiatives includes reducing Apple's carbon footprint, promoting ethical sourcing and fair treatment of workers, and minimizing e-waste through recycling programs. These initiatives enhance Apple's brand image and appeal to socially conscious consumers. They also contribute to building trust with stakeholders and can attract and retain top talent.

However, there have been criticisms of Apple's CSR efforts, particularly concerning labor conditions in its supply chain and the environmental impact of its manufacturing processes. Despite improvements, Apple continues to face challenges in ensuring fair treatment and safe working conditions for workers in its supply chain.

Overall, Apple's CSR initiatives have made progress in addressing social and environmental issues, but there is room for improvement. It is essential for Apple to continue refining its CSR efforts and addressing any shortcomings to maintain a positive impact on society.

Critically discuss the type of leadership organizations should develop in contemporary organizations and the impact on organizational culture:

In contemporary organizations, leadership plays a crucial role in shaping the culture and driving success. Effective leadership should be adaptable, visionary, and transformational. It should promote innovation, collaboration, and employee empowerment.

Transformational leadership is particularly relevant in contemporary organizations. It involves inspiring and motivating employees to reach their full potential, fostering a sense of purpose and commitment. Transformational leaders encourage innovation, embrace change, and promote a culture of continuous learning and improvement.

Leadership in contemporary organizations should also emphasize ethical behavior and social responsibility. Ethical leadership sets the tone for organizational values and guides decision-making processes. It establishes a culture of integrity, trust, and accountability.

Furthermore, leaders should embrace diversity and inclusion. Inclusive leadership values and respects diverse perspectives, creating an environment where everyone feels valued and empowered. This fosters creativity, innovation, and a broader range of ideas within the organization.

The impact of such leadership on organizational culture is significant. A transformational and ethical leadership style can inspire employees, increase job satisfaction, and foster a positive and collaborative work environment. It encourages a culture of trust, open communication, and a shared sense of purpose. In turn, this leads to higher employee engagement, productivity, and innovation.

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Your investment portfolio generated annual returns of 22.18%, -14.27%, and 8.44% in the past three years. What is the holding period return and the average geometric return over this period? A D E 1 6. Determine the current through the three resistors. 80 V + =+ 1 40 92 = 40 V 30 92 wwww 20 20 10 92 7. Using Kirchhoff's laws, determine the potential differences between the terminals of the three resistors. B I 20 V C F The environmental issues caused by the hydrological starvation and anthropogenic prolonged drought in Owens Valley, CA and the Aral Sea are serious ecological, hydrogeological, and health issues. What can and should be done to mitigate some of these problems? Read the information below and answer the following questionsINFORMATIONThe extracts of the financial statements of Disney Limited for 2020 and 2021 are provided below.Disney LimitedStatement of Comprehensive Income for the year ended 31 December 2021RSales 1 960 000Cost of sales 1 240 000Operating profit 472 000Interest expense 48 000Profit before tax 424 000Profit after tax 305 280STATEMENT OF FINANCIAL POSITION AS AT 31 DECEMBER:2021 (R) 2020 (R)AssetsNon-current assets 2 320 000 1 960 000Inventories 720 000 440 000Accounts receivable 360 000 500 000Cash and cash equivalents 440 000 340 0003 840 000 3 240 000Equity and liabilitiesEquity 2 960 000 2 040 000Non-current liabilities 480 000 820 000Accounts payable 400 000 380 0003 840 000 3 240 000Additional information1. The profit after tax for the year ended 31 December 2020 was R240 000.2. All purchases and sales of inventories are on credit.Use the information provided above to answer the following questions:3.1 Calculate the ratio (expressed to two decimal places) for 2021 to reflect each of the following:3.1.1 The rate at which inventory is sold 3.1.2 The ratio of the company's net profit to its total revenue. 3.1.3 A comparison of the companys long-term debt to its equity. 3.1.4 An indicator of how profitable a company is relative to its total assets. 3.1.5 Determination of how easily a company can pay the interest on its outstanding debt. 3.1.6 The period that the company takes to collect the money owed to it from its credit sales. Will the company be able to pay its short-term debts if business conditions are unfavourable? Usean appropriate ratio to motivate your answer.3.2 Comment on the returns of the shareholders on their investments (expressed to two decimalplaces) over the two-year period (2021 and 2022). Motivate your answer with the relevantcalculations. Consider the vectors = and . Determine each of the following. Give the exact answer for the magnitude.dot u + vec v =hat u - hat v =3i =3 vec u +-4 vec v =vec u * vec v =||u|| = Please help me calculate the Inventory Turnover Ratio, as well as the Days Sales in Inventory Ratio use the facts: Beginning Inventory $450,000; Gross Profit $570,000; Ending Inventory $575,000; Net Sales $850,000. Q5(20 points)/ Implement the following circuits using 3 to 8 Decoder and OR-Gate if needed. (Hint: use the truth table) a) Full Adder b) Full Subtractor Bucks Gear Co. is planning to sell 2,000 hats for $25 each during the post-season. The contribution margin ratio is 75%. If the company will break even at this level of sales, what are the fixed costs? 500 1,500 12,500 37,500 None of the above Question 21 5 pts The mathematical equation for computing target net income is: Variable costs + Target net income. Sales - Variable costs - Fixed costs = Target net income. Fixed costs + Target net income. All of the above. No correct answer is given. A contribution margin of 30% is preferred to a contribution margin of 25% True False Question 23 5 pts Total fixed costs have a one-for-one relationship (increase proportionally) with total sales as more units are sold True False Interviewing is an important skill set for all managers as well as those involved in human resources. As employees turnover more quickly, the frequency of interviews in the modern organization increases. One critical facet of interviewing is knowing what not to ask.Considering this please address the following prompts in your discussionIdentify 4 types of questions to avoid asking in an interview. Why is it important not to ask these types of questions?What is competency-based interviewing? How is it different from the typical interviewing? Write down the expression of transverse vibration of beam element. 42. What are the types of Eigen value problems? 43. State the principle of superposition. 46. What are methods used for solving transient vibration problems?