Uber leverages data extensively in its service to enhance various aspects of its operations.
Uber is known for its data-driven approach, utilizing data analytics to improve multiple aspects of its operations. One key way Uber leverages data is through its dynamic pricing model, which uses algorithms and real-time data to calculate fares based on factors such as demand, supply, and traffic conditions. This allows Uber to optimize pricing to match supply and demand, ensuring efficient allocation of resources and maximizing revenue.
Data analytics also plays a crucial role in Uber's driver-partner operations. The company uses data to match drivers with riders efficiently, considering factors such as proximity, availability, and driver ratings. Additionally, data analysis helps Uber identify areas with high demand and low supply, enabling them to incentivize drivers to meet customer needs in those locations.
Moreover, Uber employs data analytics for safety and security purposes. The company utilizes machine learning algorithms to detect patterns and anomalies in trip data, identifying potential risks or fraudulent activities. This helps ensure the safety of riders and enhances the overall trust in the platform.
Furthermore, data analytics aids in improving customer experience and personalization. Uber analyzes data from various sources, including rider preferences, feedback, and historical trip data, to offer personalized recommendations, promotions, and customized services. This enables Uber to deliver a tailored experience to its users, fostering customer satisfaction and loyalty.
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Accounts payable, P60,000 Bonds payable due after five years, P500,000 Long-term loans payable, P180,000 Short-term notes payable, P100,000 How much is the total current liabilities?
The total current liabilities are P160,000.
In the given scenario, the total current liabilities can be calculated by adding the accounts payable and short-term notes payable. Accounts payable represents the amount owed to suppliers for goods or services received but not yet paid for, while short-term notes payable refers to the amount owed on short-term borrowing.
By summing up the accounts payable of P60,000 and the short-term notes payable of P100,000, we get a total current liabilities of P160,000. This represents the amount that the company owes and is expected to pay within the next operating cycle or one year, whichever is shorter.
It is important for a company to track and manage its current liabilities as they reflect its short-term financial obligations. Monitoring and effectively managing current liabilities is crucial for maintaining liquidity and ensuring that the company can meet its short-term payment obligations.
Therefore, the total current liabilities of P160,000 indicate the short-term financial obligations that the company needs to settle in the near future.
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television sets that best buy owns for selling to its customers are classified as
The television sets that Best Buy owns for selling to its customers are classified as inventory.
Inventory refers to the goods or products that a company possesses and intends to sell to customers.
The tv units that Best Buy owns for selling to its clients are categorized as stock. Inventory refers to the products or merchandise that an agency possesses and intends to sell to clients.
In the context of Best Buy, those television sets are a part of their stock and represent the inventory of merchandise they have got available for purchase.
Best Buy carefully manages its stock to make sure they have numerous television models, brands, and sizes to fulfill purchaser demands. This includes forecasting demand, monitoring sales tendencies, and optimizing stock ranges to keep away from stockouts or overstocking. By effectively dealing with their stock, Best Buy ambitions to provide clients with a wide selection of tv units, ensuring they have the favored merchandise in stock when customers go to their shops or stores online.
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The television sets that Best Buy owns for selling to its customers are classified as inventory. Inventory refers to the stock of goods or merchandise that a business entity plans to sell for profit. It is a current asset that is measured at the lower of cost or net realizable value.
To sell for a profit. It is one of the current assets, and it is measured at the lower of cost or net realizable value (NRV).Inventory refers to the raw materials, work in progress, finished goods, and other materials that a company has available to sell to its customers.
When a business purchases a product to sell, it is referred to as inventory because it is considered a good or product that the company intends to sell. finished goods, and other materials that a company has available to sell to its customers.
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What is the IRR for the following project if its initial after-tax cost is $5,000,000 and it is expected to provide after-tax operating cash inflows of $1,800,000 in year 1, $1,900,000 in year 2, $1,700,000 in year 3, and $1,800,000 in year 4? - 15.35% - 16.47% - 17.02% - 15.92%
The IRR for the project is 15.92%.
The IRR or internal rate of return is the discount rate that equates the present value of an investment's expected cash inflows to the present value of its expected cash outflows.
It's the rate at which an investment's net present value is zero. If the IRR is greater than the required rate of return, the project is considered worthwhile.
In this case, the initial investment cost is $5,000,000, and the after-tax cash inflows are $1,800,000, $1,900,000, $1,700,000, and $1,800,000 in years 1, 2, 3, and 4, respectively.
As a result, using an iterative calculation method, the IRR for this project is 15.92 percent.Therefore, the correct answer is 15.92%.
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Provide Examples of microlearning in training of a
luxury hotel in detail.
Microlearning is a training approach that delivers small, focused bursts of information to learners, typically in the form of short modules or bite-sized content. In the context of training for a luxury hotel, microlearning can be highly effective in delivering timely and relevant knowledge to employees. Here are a few examples of microlearning techniques that can be utilized:
1. Mobile-based Language Learning: Luxury hotels often cater to international guests, so language proficiency is crucial. Mobile apps or platforms can provide employees with short language lessons, covering commonly used phrases, greetings, and basic conversational skills. These bite-sized language modules can be easily accessed on smartphones, allowing employees to learn at their convenience.
2. Customer Service Scenarios: Microlearning can be utilized to present real-life customer service scenarios that employees may encounter. Short videos or interactive modules can demonstrate best practices for handling difficult situations, such as handling complaints or providing personalized service. These modules can be easily accessed by employees, allowing them to refresh their knowledge and skills whenever necessary.
3. Product Knowledge Nuggets: Luxury hotels often offer a wide range of services, amenities, and products. Microlearning can be used to deliver concise modules that highlight the key features, benefits, and selling points of various offerings. These modules can include visuals, videos, or interactive quizzes to engage employees and enhance their product knowledge.
4. Safety and Security Training: Microlearning can also be effective for delivering safety and security training to hotel employees. Short modules can cover topics like emergency procedures, fire safety, first aid, and security protocols. By breaking down complex information into small, easily digestible units, employees can quickly access and review important safety guidelines.
The key advantage of microlearning in the luxury hotel industry is its ability to provide just-in-time training, addressing specific knowledge gaps and reinforcing skills in a convenient and efficient manner. By leveraging microlearning techniques, luxury hotels can enhance employee performance, improve customer satisfaction, and maintain a high level of service excellence.
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Monty Corporation issued $636,000 of 5% bonds on May 1, 2020. The bonds were dated January 1, 2020, and mature January 1, 2023, with interest payable July 1 and January 1. The bonds were issued at face value plus accrued interest. Prepare Monty's journal entries for (a) the May 1 issuance, (b) the July 1 interest payment, and (c) the December 31 adjusting entry.
Monty Corporation is an organization that issued 5% bonds worth $636,000 on May 1, 2020. The bonds were dated January 1, 2020, and mature on January 1, 2023, with interest payable on July 1 and January 1. The bonds were issued at face value plus accrued interest. The journal entries for the issuance of the bond, the interest payment on July 1, and the adjusting entry for December 31 are as follows:
a. May 1 issuance: Bonds payable $636,000Accrued interest payable $15,900Cash $651,900b. July 1 interest payment: Interest expense $15,900Accrued interest payable $15,900c. December 31 adjusting entry: Interest expense $15,900Interest payable $15,900At the time of issuance, the company would record the total bond proceeds of $636,000 as follows: debit Bonds Payable for $636,000 and credit Cash for $636,000. This assumes that the bond was sold for its face value. Accrued interest payable on May 1 will be $15,900. This calculation is determined by multiplying the outstanding balance of $636,000 by the bond's interest rate of 5% and dividing by 12 months in a year and then multiplying by 4 months from January 1 to May 1. When the company issues the bond, they will need to record this interest as an increase to the bond liability because it has not been paid or accrued yet. The company will also need to make an adjusting entry on December 31 to record the interest that has accrued between July 1 and December 31. They will record $15,900 as Interest Expense and will record Interest Payable of $15,900. This will increase the liability for Interest Payable by $15,900 and increase the Expense account for Interest Expense by the same amount.
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Why might smaller companies prefer to use techniques such as
cash payback and accounting rate of return over discounted cash
flow techniques?
Reasons for why smaller companies prefer to use techniques such as cash payback and accounting rate of return over discounted cash flow techniques:
1. Simplicity: Small businesses may prefer cash payback and accounting rate of return because they are simpler to understand and use than other methods. Smaller companies may not have the time or resources to learn complex techniques like discounted cash flow.
2. Accessibility: These techniques may be more accessible to small businesses that don't have access to advanced financial tools or expertise. For instance, cash payback only requires knowing how much a project will cost and how much money it is expected to generate.
3. Accounting focus: Accounting rate of return (ARR) is an accounting-based approach that considers the net income of a project in relation to the capital invested.
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A European call option on the stock of ImpoExpo, which pays no dividend, has an exercise price of $56 and time to maturity of one year. The current stock price is $59. In one year's time the price of the stock will rise to $65 or fall to $53. The risk free interest rate is 5%. Calculate the call option price
The calculated price of the European call option on ImpoExpo stock is approximately $41.26. This option grants the right to buy the stock at $56 within one year, providing an opportunity for potential profit if the stock price rises.
The price of the European call option on the stock of ImpoExpo can be calculated , we can use the Black-Scholes option pricing model. The formula for the price of a European call option is:
C = S * N(d1) - X * e^(-r * T) * N(d2)
Where:
C = Call option price
S = Current stock price
N = Cumulative standard normal distribution
d1 = (ln(S/X) + (r + (σ^2)/2) * T) / (σ * sqrt(T))
d2 = d1 - σ * sqrt(T)
X = Exercise price of the option
r = Risk-free interest rate
T = Time to maturity of the option
σ = Standard deviation of the stock's returns
In this case, S = $59, X = $56, r = 0.05 (5% as a decimal), and T = 1 year. We need to calculate σ based on the possible stock price outcomes of $65 and $53.
To calculate σ, we can use the following formula:
σ = (S_high - S_low) / (2 * d)
Where:
S_high = Higher stock price outcome ($65)
S_low = Lower stock price outcome ($53)
d = Number of standard deviations corresponding to the desired confidence level (we can use 1 for simplicity)
Substituting the values, we have:
σ = (65 - 53) / (2 * 1) = 6
Now we can calculate d1 and d2:
d1 = (ln(59/56) + (0.05 + (6^2)/2) * 1) / (6 * sqrt(1)) ≈ 0.521
d2 = 0.521 - 6 * sqrt(1) ≈ -5.479
Finally, we can calculate the call option price:
C = 59 * N(0.521) - 56 * e^(-0.05 * 1) * N(-5.479)
Using a standard normal distribution table or a calculator, we can find the values of N(0.521) and N(-5.479) and substitute them into the equation to find the call option price.
Using a standard normal distribution table or a calculator, we find that N(0.521) ≈ 0.6994 and N(-5.479) ≈ 0. Therefore, we can substitute these values into the call option pricing formula:
C = 59 * 0.6994 - 56 * e^(-0.05 * 1) * 0
Since N(-5.479) is essentially 0, the second term in the equation becomes negligible.
C = 59 * 0.6994 - 0 ≈ $41.26
Therefore, the calculated price of the European call option on the stock of ImpoExpo is approximately $41.26.
This means that if you were to buy this call option, you would need to pay approximately $41.26 upfront. It gives you the right, but not the obligation, to buy ImpoExpo stock at the exercise price of $56 in one year's time.
If the stock price rises above $56, you can exercise the option and profit from the difference between the stock price and the exercise price. If the stock price remains below $56, you can choose not to exercise the option and only lose the initial option premium paid.
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You are chairperson of the investment fund for the Continental Soccer League. You are asked to set up a fund of semiannual payments to be compounded semiannually to accumulate a sum of $360,000 after fifteen years at a 8 percent annual rate (30 payments). The first payment into the fund is to take place six months from today, and the last payment is to take place at the end of the fifteenth year. Use Appendix A and Appendix C for an approximate answer, but calculate your final answer using the formula and financial calculator methods. a. Determine how much the semiannual payment should be. (Do not round intermediate calculations. Round your final answer to 2 decimal places.) Semi-annual payment _______________ On the day after the sixth payment is made (the beginning of the fourth year), the interest rate goes up to an annual rate of 10 percent. This new rate applies to the funds that have been accumulated as well as all future payments into the fund. Interest is to be compounded semiannually on all funds. b. Determine how much the revised semiannual payments should be after this rate change (there are 24 payments and compounding dates). The next payment will be in the middle of the fourth year. (Do not round intermediate calculations. Round your final answeto 2 decimal places.) Revised semi-annual payment __________
a. The semiannual payment amount required to accumulate a sum of $360,000 after fifteen years at an 8% annual rate is approximately $7,062.40.
b. After a rate change in the fourth year, with the interest rate increasing to 10% per year, the revised semiannual payment amount required to continue accumulating towards the $360,000 goal is approximately $9,441.23.
To solve this problem, we'll use the formula for the present value of an ordinary annuity to determine the semiannual payment amount. The formula is:
PV = PMT * [(1 - (1 + r)^(-n)) / r],
where PV is the present value or desired accumulated sum, PMT is the semiannual payment amount, r is the interest rate per period, and n is the total number of periods.
a. Determining the semiannual payment amount:
PV = $360,000 (desired accumulated sum)
r = 8% / 2 = 0.04 (semiannual interest rate)
n = 15 years * 2 = 30 (total number of semiannual periods)
Plugging in these values into the formula, we have:
$360,000 = PMT * [(1 - (1 + 0.04)^(-30)) / 0.04].
Solving this equation for PMT will give us the semiannual payment amount.
Using a financial calculator or spreadsheet, we find that the semiannual payment amount should be approximately $7,062.40.
b. After the rate change in the fourth year:
The interest rate changes to 10% per year, compounded semiannually. We need to recalculate the semiannual payment amount using the same formula, but with the new interest rate and remaining periods.
PV = $360,000 (desired accumulated sum)
r = 10% / 2 = 0.05 (semiannual interest rate)
n = (15 years - 3 years) * 2 = 24 (remaining semiannual periods)
Plugging in these values into the formula, we have:
$360,000 = PMT * [(1 - (1 + 0.05)^(-24)) / 0.05].
Solving this equation for PMT will give us the revised semiannual payment amount.
Using a financial calculator or spreadsheet, we find that the revised semiannual payment amount should be approximately $9,441.23.
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In 2014, the average debt for college student loans is $32,300. This amounts to a $300 monthly payment for a "standard" loan repayment plan over 10 years. What monthly interest rate is being charged on this typical student loan?
A monthly interest rate is simply how much interest you would be charged in one month. This doesn't include any other charges associated with the loan, and it doesn't show exactly how expensive a loan actually is.
APR, on the other hand, is the percentage rate charged on a loan over the term of one year. To calculate the monthly interest rate, we can use the following formula:
Interest rate = (Monthly payment * Number of payments) / (Loan amount)
Plugging in the values, we get:
Interest rate = (\$300 * 120) / (\$32,300)
Interest rate = 10.24%
Interest is the price you pay to borrow money – whether that's a student loan, a mortgage or a credit card. When you borrow money, you generally must pay back the original amount you borrowed, plus a certain percentage of the loan amount as interest. Therefore, the monthly interest rate on a typical student loan in 2014 was 10.24%.
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use chart show work on the side
if needed
Presented below are the 2018 Income statement and comparative balance sheets for Santana Industries. SANTANA INDUSTRIES Income Statement For the Year Ended December 31, 2018 ($ in thousands) sales rev
Santana Industries' 2018 statement of cash flows, using the indirect method to present cash flows from operating activities is prepared below. The ending cash balance as per the statement is $8750.
The cash flow statement provides information on a company's operations, sources of funding, and financial transactions.
The CFS, often referred to as the statement of cash flows, aids creditors in determining how much cash is available (also known as liquidity) for the business to meet its operational costs and settle its debts.
The Cash Flow statement for Santana Industries is attached below.
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Your question is incomplete, but most probably the full question was,
SANTANA INDUSTRIES Income Statement For the Year Ended December 31, 2018 ($ in thousands) Sales revenue $ 14,850 Service revenue 4,000 Total revenue $ 18,850 Operating expenses: Cost of goods sold 7,500 Selling 2,700 General and administrative 1,800 Total operating expenses 12,000 Operating income 6,850 Interest expense 230 Income before income taxes 6,620 Income tax expense 2,800 Net income $ 3,820 Balance Sheet Information ($ in thousands) Dec. 31, 2018 Dec. 31, 2017 Assets: Cash $ 7,650 $ 2,470 Accounts receivable 3,100 2,500 Inventory 4,600 3,300 Prepaid rent 180 360 Plant and equipment 15,100 12,600 Less: Accumulated depreciation (5,400 ) (4,800 ) Total assets $ 25,230 $ 16,430 Liabilities and Shareholders’ Equity: Accounts payable $ 2,000 $ 1,400 Interest payable 130 0 Deferred service revenue 860 630 Income taxes payable 580 860 Loan payable (due 12/31/2020) 5,600 0 Common stock 10,300 10,300 Retained earnings 5,760 3,240 Total liabilities and shareholders' equity $ 25,230 $ 16,430 Additional information for the 2018 fiscal year ($ in thousands): Cash dividends of $1,300 were declared and paid. Equipment costing $4,600 was purchased with cash. Equipment with a book value of $800 (cost of $2,100 less accumulated depreciation of $1,300) was sold for $800. Depreciation of $1,900 is included in operating expenses. Required: Prepare Santana Industries' 2018 statement of cash flows, using the indirect method to present cash flows from operating activities. (Amounts to be deducted should be indicated with a minus sign. Enter your answers in thousands.)
Plump and Walter have formed a partnership. During their first year of operations, the partnership earned $60,000. Their-profit-and-loss-sharing agreement states that, first, each partner will receive 5% of their capital balances. The second level is based on services, with $12,000 to Plump and $10,000 to Walter. The remainder then will be shared 4:1 between Plump and Walter, respectively. Read the requirements. Requirement 1. Calculate the amount of income each partner will receive under their profit-and-loss-sharing agreement assuming Plump's capital balance is $98,000 and Walter's capital balance is $98,000.
The amount of income each partner will receive under their profit-and-loss-sharing agreement is $39,460 and $20,540.
Calculating the amount of income each partner will receive under their profit-and-loss-sharing agreement assuming Plump's capital balance is $98,000 and Walter's capital balance is $98,000 is shown below; Total amount of profit earned by the partnership in the first year is $60,000.
The profit and loss sharing agreement for each partner will be as follows:
Step 1: Calculation of income distribution based on capital balances:
Partners Plump and Walter invested $98,000 each. Hence the total capital of the partnership is $98,000 + $98,000 = $196,000.
Each partner will receive 5% of their respective capital balances. So, the distribution of income based on capital balances will be as follows: Plump: 5% of $98,000 = $4,900Walter: 5% of $98,000 = $4,900
Step 2: Calculation of income distribution based on services: Plump will receive $12,000 and Walter will receive $10,000 for their services to the partnership. So, the distribution of income based on services will be as follows:
Plump: $12,000
Walter: $10,000
Step 3: Calculation of income distribution based on remaining profits:
The remaining profits are $60,000 - ($4,900 + $4,900 + $12,000 + $10,000) = $28,200.
Partners Plump and Walter will share the remaining profits in a 4:1 ratio.
Plump will receive: $28,200 x (4 / 5) = $22,560
Walter will receive: $28,200 x (1 / 5) = $5,640
Hence, the amount of income each partner will receive under their profit-and-loss-sharing agreement assuming Plump's capital balance is $98,000 and Walter's capital balance is $98,000 is as follows:
Plump will receive: $4,900 + $12,000 + $22,560 = $39,460
Walter will receive: $4,900 + $10,000 + $5,640 = $20,540.
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If you invest $200 at 7 percent for four years, how much would you have at the end of four years using compound interest?
You would have approximately $262.16 at the end of four years using compound interest.
To calculate the amount you would have at the end of four years using compound interest, we can use the formula for compound interest:
A = P(1 + r/n)^(nt)
Where:
A = Final amount
P = Principal amount (initial investment)
r = Annual interest rate (as a decimal)
n = Number of times the interest is compounded per year
t = Number of years
In this case, let's assume the principal amount (P) is $200, the annual interest rate (r) is 7% (0.07 as a decimal), and the interest is compounded annually (n = 1) for four years (t = 4).
Plugging in the values into the compound interest formula:
A = $200(1 + 0.07/1)^(1*4)
Simplifying:
A = $200(1.07)^4
Calculating the value inside the parentheses:
(1.07)^4 ≈ 1.310796
Multiplying by the principal amount:
A ≈ $200 * 1.310796
A ≈ $262.1592
Thus, you would have approximately $262.16 at the end of four years using compound interest.
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An economy has the following AD and AS curves:
AD curve: Y = 800 + 50 (A) AS curve: Y = Y + [10 × (P-P^e)] Let Y = 2,000 and M = 1200. Suppose that P^e = 50. a. Calculate the equilibrium value of the price level, P. (Round your answer to two decimal places.)
To find the equilibrium value of the price level (P), we need to set the aggregate demand (AD) equal to the aggregate supply (AS) and solve for P.
Given:
AD curve: Y = 800 + 50(A)
AS curve: Y = Y + [10 × (P - P^e)]
Y = 2000
M = 1200
P^e = 50
Substituting the given values into the AD curve:
2000 = 800 + 50(A)
1200 = 50(A)
A = 24Substituting the values of Y and A into the AS curve:
2000 = 2000 + [10 × (P - 50)]
0 = 10P - 500
10P = 500
P = 50
Therefore, the equilibrium value of the price level (P) is 50.
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Assuming that you are the HR executive for a company and are looking for a candidate to fill up the chosen job position as Human Resource , Prepare
1) A background of your own company.
Company name = create our own company name
Business= what kind of business that company do
2) Job title
3) Job description
4) Job requirement
5) Salary + benefits packages
Assuming that I am the HR executive for a company and I am looking for a candidate to fill up the chosen job position as Human Resource. Here's how I would go about it:Background of our own company:We are "XYZ Corp", a multinational company that specializes in technology services. Our services include data management, cloud computing, cyber-security, and business intelligence.
Job Title:Human Resource ManagerJob Description:As a Human Resource Manager, you will oversee all aspects of our company's HR practices and processes. You will be responsible for recruiting, hiring, onboarding, and training employees. You will be responsible for developing and implementing HR policies and procedures that align with our company's mission and values. You will be the primary point of contact for all HR-related inquiries and issues.Job Requirements:• Bachelor's degree in Human Resources, Business Administration, or a related field.• 5+ years of experience in Human Resources.• Knowledge of HR laws and regulations.• Excellent communication and interpersonal skills.• Strong problem-solving and decision-making abilities.• Ability to maintain confidentiality and work under pressure.• Ability to multitask and prioritize tasks.Salary + Benefits Package:We offer a competitive salary package of $70,000 to $80,000 per annum based on the candidate's experience and qualifications. In addition, we offer a comprehensive benefits package that includes medical, dental, vision, and life insurance coverage. We also provide paid time off, sick leave, and a retirement savings plan with employer contributions.
Overall, we are looking for a candidate who is passionate about Human Resources and has the skills and experience to lead our company's HR practices.
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a) A manufacturing company has ten nominally identical factories producing the same product. One of the operations in the manufacturing process involves milling a cavity out of a plastic block. When examining the recorded metrics from all ten factories, a plot of the number of milled cavities against the cavity depth does not yield a normal distribution. i) What does this information indicate? ii) How could you identify which of the factories is the potential cause of the problem? iii) Describe the steps required in the process of identifying the problematic manufacturing site.
b) Consider the manufacturing process of drilling a hole through a steel bar. It has been found that 5 % of the holes drilled fail to mean the specified dimensions. As a quality engineer tasked with investigating the issue, construct a cause and effect 'fishbone' diagram stating two logical and specific possible causes under each of the 4M headings of the cause and effect diagram for the poor quality holes drilled. c) Explain why customer focus is considered such an important quality management principle.
In a scenario where the number of milled cavities against cavity depth does not yield a normal distribution across ten identical factories, it indicates variability in the milling process. To identify the problematic factory, statistical analysis, such as analysis of variance (ANOVA) or hypothesis testing, can be employed to compare the means of the factories' data. By analyzing the statistical results, the factory with significantly different results can be identified as the potential cause of the problem.
The non-normal distribution of the number of milled cavities against cavity depth suggests that there is variation in the milling process across the ten factories. This indicates that the factories are not producing identical results, which could be due to differences in machinery, operators, or other factors. To identify the potential problematic factory, statistical analysis techniques can be applied. One approach is to use analysis of variance (ANOVA), which compares the means of multiple groups to determine if there are significant differences. The data from each factory can be compared using ANOVA, and if there is a statistically significant difference among the factories, it suggests that one of the factories is causing the problem.
Another approach is to perform hypothesis testing, such as a t-test or chi-square test, to compare the means or distributions of the cavity data from each factory. This helps identify if there is a significant difference between the data of one factory compared to the others. By analyzing the statistical results, the factory with significantly different results can be identified as the potential cause of the problem. Further investigation and analysis can then be conducted in that specific factory to identify and address the root cause of the variation in the milling process.
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Which are the primary site-related factors in location decisions? 1. taxes II. unions III. land IV. access Select one: O a. I, III, IV O b. I, II O c. I, III O d. III, IV O e. I, II, III, IV
The correct option is (a) I, III, IV: Taxes, land, and access are the primary site-related factors in location decisions.
These three factors play an essential role in business development, particularly for manufacturing and industrial companies. While taxes and access are relatively self-evident, land is typically assessed based on its size, location, and suitability for the proposed facility.As a company, one of the primary factors to consider when choosing a site is tax. A favorable tax climate can aid in lowering a company's operational costs, which can be particularly helpful in the long run. In terms of access, site accessibility is critical, especially for manufacturing companies.
This is because they require an efficient distribution network to move raw materials in and finished goods out.Land is also a significant factor, particularly for manufacturers who require a large space to build their facilities. This is particularly true if a business requires specialized equipment or machinery that necessitates a certain size facility. Thus, to find an appropriate location for business development, taxes, land, and access are the most significant factors to consider.
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3) The following information is provided for GV MANUFACTURING (CNC Machines for the furniture industry). Month: April 2019: ITEM € Direct Materials (DM) 20,000 Direct Labour (DL) 30,000 Royalties 2,
GV MANUFACTURING would need to achieve a sales revenue of €59,000 to reach the break-even level of sales revenue.
How to solve for the break even levela) To prepare a marginal cost statement for the month of April 2019, we need to calculate the total variable costs and contribution margin.
The variable costs in this case are Direct Materials (DM), Direct Labour (DL), and Royalties.
Variable Costs:
DM: €20,000
DL: €30,000
Royalties: €2,000
Total Variable Costs:
€20,000 + €30,000 + €2,000 = €52,000
The contribution margin is calculated by subtracting the total variable costs from the selling price.
Contribution Margin:
Selling Price: €80,000
Total Variable Costs: €52,000
Contribution Margin = Selling Price - Total Variable Costs
Contribution Margin = €80,000 - €52,000
Contribution Margin = €28,000
Now, let's prepare the marginal cost statement for April 2019:
Marginal Cost Statement for April 2019:
Selling Price: €80,000
Variable Costs:
Direct Materials: €20,000
Direct Labour: €30,000
Royalties: €2,000
Total Variable Costs: €52,000
Contribution Margin: €28,000
b) To calculate the level of sales revenue that will enable GV MANUFACTURING to reach a break-even level of sales revenue, we need to find the point where the contribution margin equals the fixed costs.
Fixed Costs: €7,000
Break-Even Level of Sales Revenue:
Contribution Margin = Fixed Costs
Sales Revenue - Total Variable Costs = Fixed Costs
Sales Revenue = Fixed Costs + Total Variable Costs
Sales Revenue = €7,000 + €52,000
Sales Revenue = €59,000
Therefore, GV MANUFACTURING would need to achieve a sales revenue of €59,000 to reach the break-even level of sales revenue.
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SECTION A: CASE STUDY
FashionValet: Penetration in West Asian Market and Collaboration with Brunei Princess
FashionValet, Malaysia’s first online fashion store, aims to penetrate the West Asian Market as it sees high market and consumer demand coming from the region. Its founder, Vivy Yusof said apart from Malaysia, the high demand from West Asia was also due to Fashion Valet’s product and fashion offerings that suit the local community’s taste. She said the company already has established existing customers and plans to penetrate the business into West Asia to serve its loyal consumers. "As the growing e-commerce operators, business models need to change to remain relevant and viable. So, the choice to penetrate the West Asian market is one of the plans for the growth for FashionValet in continuing to provide value for our customers," she said after the discussion session titled ‘Driving High Impact Entrepreneurs’ in conjunction with the 10th CIMB Malaysia Corporate Day 2018 organized by CIMB Group Bhd.
Vivy is listed in the Forbes 30 under 30 Asia 2017 which featured the top 300 successful individuals in the Asian region last year. Apart from online sales, FashionValet also has a physical boutique in Bangsar Village and Pavillion Shopping Mall in Kuala Lumpur, a move which is considered the best way to extend product offering to shoppers who are not shopping online. Vivy said although the platform was originally online, it was intended to strengthen the presence of the brand on both online platform and physical boutiques.
"In 2018, we also aim to open about two or three physical boutiques at several locations in the country to support the e-commerce segment as well as FashionValet vendors," she said. Commenting on the growth of the platform, Vivy aid since the setting up of FashionValet in 2010, the company recorded a positive business growth of between 90 and 100 percent year to year. "Looking at the trend of e-commerce business, it is expected that this year will be more exciting after a challenging 2017." This is because 2017, too many new e-commerce stores and brands have emerged. This has created a stiff and competitive environment," she said. In 2017, Vivy also formed a partnership with Brunei Princess Paduka Seri Pengiran Anak Isteri Pengiran Anak Sarah. Princess Sarah then began brainstorm sessions with Vivy on hijab design concepts,
2
CONFIDENTIAL ABB3713/SESSION II 2021/2022
colours and fabrics for the Royal dUCk scarf line. FashionValet which has over 400 online brands is also geared up to meet the growing online shopping trend in the region.
The resulting collection – the third Limited Edition square scarf line by the brand after the Kaleidoscope and Alphabet series – was created to celebrate women. The collaboration has thrust Brunei, better known as exporter of oil and gas, into the sartorial spotlight, CNN reported. There are four scarves in the collection in one design, comprising images of a wheel, diamonds, bees, the grid of a sports racquet and hydrangeas, the princess’s favorite flower.
The scarves, tagged at RM600 each, come in red and pink for those who want stronger shades, and ash blue and peach for pastel lovers. When the collection was launched, it was made available for a limited pre-order on its website, fashionvalet.com. "On the first day of the three day pre-order period leading up to the launch, the (FashionValet) site crashed. "People were so excited, because it’s not (every day that a) Brunei princess would collaborate with a fashion brand," Vivy said.
Source: Adapted from New Straits Times dated September 1, 2017 and January 4, 2018.
QUESTION 1
Describe TWO (2) resource-based view (RBV) that FashionValet had applied in pursuing a sustainable competitive advantage.
Resource-based view (RBV) is a strategic management framework that focuses on the internal resources and capabilities of a company as sources of competitive advantage.
In the case of Fashion Valet, two RBV principles can be identified:
1. Unique Fashion Offerings: Fashion Valet recognized the importance of catering to the local community's taste in the West Asian market. By offering fashion products and designs that suit the preferences and cultural sensibilities of the target market, Fashion Valet differentiated itself from competitors and created a unique value proposition. This resource-based approach allowed the company to tap into the high demand from the region and establish a loyal customer base.
2. Collaborative Partnership: Fashion Valet formed a strategic collaboration with Brunei Princess Paduka Seri Pengiran Anak Isteri Pengiran Anak Sarah. This partnership leveraged the expertise and influence of the princess in hijab design concepts and allowed Fashion Valet to create a distinct product line, the Royal dUCk scarf collection. By collaborating with a prominent figure, Fashion Valet enhanced its brand reputation, attracted attention, and generated excitement among customers. This collaborative resource-based strategy helped the company differentiate its product offering and strengthen its competitive position in the market.
In summary, FashionValet applied the RBV principles of offering unique fashion products and leveraging collaborative partnerships to achieve a sustainable competitive advantage in the West Asian market.
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Fred leases a building from George for his new restaurant. To increase his business, Fred installs an antique bar in the center of the restaurant, complete with water and drain lines. A year later, Fred’s business is so successful he decides to move to a larger building. He plans to remove the bar and take it to the new location, but George protests, claiming the bar is a fixture and cannot be removed. Dose Fred have to remove the bar? Why or way not?
Fred may have to remove the bar, depending on whether the bar is deemed a fixture or not. There is a legal principle called the "fixture doctrine," which governs disputes over who owns certain items attached to property.
Fixtures are items that were once personal property but have become real property due to their attachment to the property in a way that indicates they are intended to remain a permanent part of the property. Therefore, the bar in the center of the restaurant with water and drain lines would be considered a fixture because it was attached to the building to enhance the building's usefulness.
The fixture's ownership is transferred to the building's owner once it is attached. As a result, George, as the owner of the building, can claim that the antique bar is a fixture and cannot be removed by Fred. Therefore, Fred might have to remove the bar depending on whether the bar is considered a fixture or not.
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Organizational justice has been linked to many organizational variables.
Explain the different points of view
Reviewing the nature of the relationship, whether positive or inverse
Organizational justice refers to an employee's perception of fairness in the workplace. The concept has been associated with several organizational variables, and there are three primary perspectives from which to examine the relationship between organizational justice and these variables.
The three primary perspectives on organizational justice are as follows: Interactional justice Distributive justice Procedural justice Interactional justice: This kind of justice is concerned with how employees are treated in terms of interpersonal interactions, including the extent to which employees are respected, trusted, and cared for by management. Interactional justice is essential since it establishes an employee's connection to the organization and, as a result, their level of engagement and commitment to it. Distributive justice: Distributive justice is linked to an employee's perception of the fairness of their rewards. Employees will perceive their workplace as fair if they believe their hard work, skill, and dedication are appropriately rewarded. In contrast, if they believe their compensation is inadequate, they are more likely to be dissatisfied with their jobs. Procedural justice: Procedural justice is concerned with the procedures and processes used to make decisions about how the company is run. Employees are more likely to see an organization as fair if they believe that processes are objective, impartial, and transparent. On the other hand, they are more likely to see it as unjust if the procedures are arbitrary and opaque.
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Major printing and stationery group, Copy World Ltd.'s next dividend payment will be R3.80 per share. The dividends are anticipated to maintain a 7% growth rate for ever. Calculate the dividend yield for Copy World. Select one: O a 7.60% O b. 13.16% O c. 6.16% O d. 7.00% Oe. 14.60%
The dividend yield for Copy World Ltd. is approximately 42.35%. None of the provided options match this calculation, so none of the given choices are correct.
The dividend yield is calculated by dividing the annual dividend per share by the current market price per share and expressing it as a percentage.
Given that Copy World Ltd.'s next dividend payment is R3.80 per share and the dividends are expected to grow at a rate of 7% indefinitely, we can calculate the annual dividend per share by using the formula for the present value of a growing perpetuity:
Dividend per share = Next dividend payment / (Required return - Growth rate)
= R3.80 / (Required return - 0.07)
To calculate the required return, we can use the formula for the dividend discount model:
Required b = Dividend per share / Current market price per share
Let's assume the current market price per share is represented by P.
Required return = R3.80 / P
Setting the two expressions for the required return equal to each other:
R3.80 / P = R3.80 / (Required return - 0.07)
Simplifying the equation:
1 / P = 1 / (Required return - 0.07)
P = Required return - 0.07
Now, we substitute this value back into the expression for the required return:
Required return = R3.80 / (Required return - 0.07) - 0.07
Simplifying the equation:
(Required return - 0.07)(Required return) = R3.80 - 0.07(R3.80)
Expanding and rearranging the equation:
Required return^2 - 0.07Required return = R3.80 - 0.07(R3.80)
Required return^2 - 0.07Required return - 0.93 = 0
This is a quadratic equation that can be solved to find the required return. By solving the equation, we find that the required return is approximately 0.0896, or 8.96%.
Now, we can calculate the dividend yield by dividing the annual dividend per share by the current market price per share:
Dividend yield = (R3.80 / P) * 100
= (R3.80 / Required return) * 100
= (R3.80 / 0.0896) * 100
≈ 42.35%
Therefore, the dividend yield for Copy World Ltd. is approximately 42.35%. None of the provided options match this calculation, so none of the given choices are correct.
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1 point Greenville purchased land and a building for $300,000. An appraisal indicates that the land's market value is $32,500 and that the building's market value is $292,500 How much of the purchase
The allocation of the purchase price to Land would be $30,000 and to the Building would be $270,000.
The correct answer is option (c).
From the question, we have the information available :
Greenville purchased land and a building for $300,000.
An appraisal indicates that the land's market value is $32,500
and, the building's market value is $292,500
We have to find the purchase price should be allocated to the land
and also, the purchase price should be allocated to the building.
Now, According to the question:
We use the formula:
The total market value is the sum of the land's market value and the building's market value:
Total Market Value = Land Market Value + Building Market Value
Total Market Value = $32,500 + $292,500 = $325,000
For land Allocation :
Land Allocation = (Land Market Value / Total Market Value) × Purchase Price
Land Allocation = ($32,500 / $325,000) × $300,000 = $30,000
For building Allocation:
Building Allocation = (Building Market Value / Total Market Value) × Purchase Price
Building Allocation = ($292,500 / $325,000) × $300,000 = $270,000
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The given question is incomplete, complete question is:
Greenville purchased land and a building for $300,000. An appraisal indicates that the land's market value is $32,500 and that the building's market value is $292,500 How much of the purchase price should be allocated to the land? How much of the purchase price should be allocated to the building?
a. Land: $32,500, Building: $292,500
b. Land: $270,000, Building: $30,000
c. Land: $30,000, Building $270,000
d. Land $292,500, Building: $32,500
A fully worked out appendix on financial analysis of the financial statements that highlights the profitability. liquidity, management efficiency and leverage (maximum 5 ratios) for the latest two years. Evaluate the financial position and performance of the company based on the ratios obtained in part (i).
A fully worked out appendix on financial analysis of the financial statements that highlights the profitability, liquidity, management efficiency and leverage will contain the ratios like Gross Profit Margin, Net Profit Margin, Working Capital, Current Ratio, Quick Ratio, Leverage, Debt-to-Equity Ratio and Inventory Turnover.
Ratio analysis is a mathematical technique for analyzing a company's financial statements, such as the balance sheet and income statement, to gather knowledge about its liquidity, operational effectiveness, and profitability.
Investors evaluate a company's financial status based on its financial statements and compute specific ratios to determine the company's value.
A company's financial ratios are compared to those of its rivals and industry benchmarks to assess market value. Investors analyze a company's financial status by reviewing its financial statements and computing specific ratios in order to comprehend and value it.
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Recently, collie care was attempting to hire a middle manager. they were looking for an intelligent, active, and creative individual. which approach to leadership was collie using?
Based on the given scenario, Collie Care was looking for an intelligent, active, and creative individual to hire as a middle manager. The approach to leadership that Collie Care was using is the transformational leadership approach.
Transformational leadership is a type of leadership style in which leaders encourage, inspire, and motivate their team to innovate, learn, and change. It is characterized by four essential components: idealized influence, inspirational motivation, intellectual stimulation, and individualized consideration.The idealized influence refers to the leader's ability to serve as a role model for their followers. Inspirational motivation involves providing a sense of purpose and meaning to the team. Intellectual stimulation encourages creativity and innovation, and individualized consideration involves treating each team member as an individual with unique needs.Collie Care was searching for a leader who had the qualities of intelligence, creativity, and activity, which are essential for a transformational leader to have. Therefore, they were utilizing the transformational leadership approach.Answer:Transformational leadership approach was the one being used by Collie Care since they were looking for an intelligent, active, and creative individual to hire as a middle manager. The transformational leadership approach is a type of leadership style in which leaders encourage, inspire, and motivate their team to innovate, learn, and change
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.
The following are main categories of National Expenditures, EXCEPT: a Private Consumption on goods and services. b Government Expenditures. c Productive Investment d Financial Investment
The main categories of National Expenditures are private consumption on goods and services, government expenditures and productive investment except Financial Investment.
The main categories of national expenditures typically include:
a) Private Consumption on goods and services: This refers to the spending by households on goods and services such as food, clothing, housing, healthcare, and entertainment. It represents the largest component of aggregate demand in most economies.
b) Government Expenditures: This includes the spending by the government on public goods and services such as infrastructure, education, defense, healthcare, and social welfare programs. Government expenditures play a crucial role in stimulating economic growth and providing essential services to the population.
c) Productive Investment: This category involves investment in capital goods and infrastructure, which aims to enhance productivity and expand the capacity of the economy. It includes expenditures on machinery, equipment, buildings, research and development, and technological advancements.
Financial Investment, however, refers to the allocation of funds into financial assets such as stocks, bonds, and securities. While financial investment is an important component of overall economic activity, it is not typically categorized as a main category of national expenditures.
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Which of these political factors can impact the business environment. a. Trade restrictions b. Environmental law c. Political Unstability d. Copyrights and patents
Political factors such as trade restrictions, environmental laws, political instability, and copyrights and patents can all impact the business environment.
Political factors play a significant role in shaping the business environment and can have direct or indirect effects on businesses and industries. One such factor is trade restrictions, which include tariffs, quotas, and trade barriers imposed by governments to protect domestic industries or regulate international trade. These restrictions can affect a company's ability to import or export goods, access foreign markets, and compete globally.
Environmental laws are another political factor that can impact businesses. Governments enact regulations and laws to protect the environment, conserve resources, and address climate change. Compliance with environmental regulations may require companies to invest in eco-friendly practices, reduce pollution, or adopt sustainable production methods, which can impact their operations and costs.
Political instability, including factors such as government instability, civil unrest, and political conflicts, can disrupt business activities and investments. Uncertain political environments can create risks for businesses, including changes in regulations, policy instability, and potential damage to infrastructure and property.
Lastly, copyrights and patents are legal protections granted to intellectual property, including inventions, artistic works, and creative expressions. These protections ensure that businesses can safeguard their innovations, maintain exclusive rights, and prevent unauthorized use or replication by competitors, thus fostering innovation and incentivizing investment in research and development.
Overall, political factors such as trade restrictions, environmental laws, political instability, and intellectual property rights can significantly impact the business environment, shaping the opportunities and challenges faced by organizations.
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What are some indications of social loafing? Do you think that most people social loaf at some point in their life.
Indications of social loafing include reduced effort and motivation, decreased performance, and increased reliance on the efforts of others. Additionally, social loafing often leads to a lack of individual accountability, as individuals may not feel responsible for their contributions to the group.
Social loafing is a phenomenon in which people exert less effort when working together in a group than they would if working alone. This can happen for a number of reasons, such as a belief that individual contributions are not valued or an assumption that others will pick up the slack.Social loafing can be difficult to detect, as individuals may not be aware that they are doing it. However, some indications of social loafing include reduced effort and motivation, decreased performance, and increased reliance on the efforts of others. Additionally, social loafing often leads to a lack of individual accountability,
as individuals may not feel responsible for their contributions to the group in a group project at school, a student who is social loafing might not contribute as much to the project as they would if they were working on their own. They might not show up to meetings or complete their assigned tasks, assuming that others will do the work for them. Most people are likely to engage in social loafing at some point in their lives, as it is a common tendency. degree to which someone social loafs may depend on a variety of factors, such as their personality, the group dynamics, and the nature of the task at hand. For example, someone who is naturally competitive may be less likely to social loaf than someone who is more laid-back. Similarly, a task that is seen as important or interesting may be less likely to lead to social loafing than a task that is seen as mundane or unimportant.
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The city of Atlanta, Georgia enacted an ordinance that imposes significant restrictions on the installation of outdoor advertising within the city. The express objectives of the ordinance are:
Atlanta is a city that is vibrant and full of life with several signs displayed on several structures, outdoor advertisements, and billboards that usually make the city look a little messy. However, the city of Atlanta enacted an ordinance that imposes significant restrictions on the installation of outdoor advertising within the city.
The express objectives of the ordinance are:Promoting and protecting the public health, safety, and welfare;Preserving the aesthetic values of the community;Promoting the free flow of traffic and preventing congestion on public streets and sidewalks;Promoting energy conservation; andProtecting property values.The purpose of the ordinance is to create a more attractive and cleaner environment in the city of Atlanta. To achieve this, the city requires any outdoor advertising to be placed in designated areas, in order to ensure that they do not obstruct the view of pedestrians and motorists.
This is particularly important in densely populated areas of the city where there are many people walking or driving on the streets. In conclusion, the ordinance was created to promote public health, safety, and welfare, to preserve the aesthetic values of the community, to promote the free flow of traffic and prevent congestion on public streets and sidewalks, to promote energy conservation, and to protect property values. The ordinance restricts the installation of outdoor advertising and ensures that they are placed in designated areas to ensure they do not obstruct the view of pedestrians and motorists.
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Explain how construction professionals and managers can
use the Deming Cycle in planning, implementing, and evaluating a
safety and health program.
Construction professionals and managers can effectively use the Deming Cycle, also known as the Plan-Do-Check-Act cycle, to plan, implement, and evaluate a safety and health program in the construction industry.
In the planning phase, construction professionals can use the Deming Cycle to identify potential hazards, assess risks, and develop a comprehensive safety and health program. This includes establishing safety policies, procedures, and goals, as well as defining responsibilities and allocating resources.
During the implementation phase, the Deming Cycle helps in executing the safety and health program by implementing the planned safety measures. This involves training workers, conducting safety inspections, providing personal protective equipment (PPE), and ensuring compliance with safety regulations and standards. The focus is on putting the safety program into action and addressing any immediate safety concerns.
In the checking phase, construction professionals can assess the effectiveness of the safety and health program by monitoring and evaluating its performance. This includes gathering data on safety incidents, near misses, and worker feedback. Regular inspections, audits, and incident investigations can help identify areas for improvement and measure progress towards safety goals.
Finally, in the acting phase, construction professionals can take corrective actions based on the findings from the checking phase. This involves analyzing data, identifying root causes of safety incidents, and implementing improvements to the safety and health program. Lessons learned from incidents can be used to update policies, enhance training programs, and make necessary adjustments to prevent future accidents.
By utilizing the Deming Cycle, construction professionals can continuously improve their safety and health program, ensuring a proactive approach to risk management and promoting a safe working environment for all construction workers.
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Which organizational situation is most likely to result in employees who feel most empowered?
a.The employees are allowed to set their own work schedules so they can have better work–life balance.
b.The employees are allowed to spend a few minutes every day coming up with creative ideas for the
suggestionbox.
c.The employees have access to sensitive information so they can make more informed decisions about their
work.
d.The employees have a large training budget and they are allowed to spend their training dollars on courses they choose and as they see fit.
The organizational situation which is most likely to result in employees who feel most empowered is- D. when employees have a large training budget and they are allowed to spend their training dollars on courses they choose and as they see fit.
What is employee empowerment?Employee empowerment refers to the process of granting staff the freedom, power, trust, resources, and responsibility to assume control over their careers and decision-making. Employee empowerment is a management method that has been embraced by businesses to improve efficiency and productivity by allowing employees to assume responsibility for their work and make choices.
Empowerment is also an essential element in attaining organizational goals.
What are the benefits of employee empowerment?The following are the benefits of employee empowerment :Better decision-making: Empowered employees can make better judgments since they have access to more information and are more engaged in the process.
Improved accountability: Empowerment motivates workers to take responsibility for their actions. As a result, they are less likely to make excuses and will accept responsibility for their errors.Improved employee morale: Empowered employees experience an increase in morale because they feel a sense of ownership and engagement, which improves their job satisfaction.
Hence, option d. is correct.
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