The creation of a buyer persona is the process of constructing a profile of your ideal client for the purposes of designing a marketing plan.
A buyer persona is the research-based profile of a target consumer. Buyer personas describe the traits of your ideal customers, including their everyday activities, issues they face, and methods of decision-making. Buyer personas enhance your inbound marketing strategies. The sales procedure has been simplified. They can also improve the assistance for both goods and customers. This guide walks you through creating buyer personas and shows you exactly how to create your own personas for use in inbound marketing campaigns. The ideal client is portrayed by a buyer persona. It is a semi-fictional representation of your ideal customer that is based on market research and real information about your current customers. A marketing persona, customer persona, or audience persona are other names for it.
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3. crown company uses process costing and the weighted average method. the first department is assembly and it has (1) materials and (2) conversion. the following information is available for january 2023. beginning work in process had 20,000 units. they were 100% complete in materials and 75% complete in conversion. ending work in process had 40,000 units. they were 100% complete in materials and 25% complete in conversion. 180,000 units were started into production in january. 160,000 units were completed and transferred out. beginning work in process had $25,200 costs in materials and $24,800 costs in conversion. costs added during january were $334,800 in materials and $238,700 in conversion. required: a.) compute equivalent units of production for materials and for conversion for january. b.) compute the cost per equivalent for materials and for conversion for january. c.) compute the cost of ending work in process inventory for materials, for conversion, and in total for january. d.) compute the cost of units transferred out for materials, for conversion, and in total for january. e.) prepare a cost reconciliation for the assembly department for january.
Crown Company use the weighted average approach and process costing. Assemblies must determine equivalent units of output for materials and conversion for January in their first department.
Production processes that are standard use a process costing system. Every time a process cost sheet for a department is created, it is quite likely that the department has some incomplete units either in its beginning work in process, ending work in process, or both. In such a scenario, it's critical to establish a cost flow assumption, or an understanding of the sequence in which costs are distributed to the following department. Both first-in, first-out (FIFO) and weighted average are cost-flow hypotheses.
The expenses are averaged out and equally applied to both units transferred out and units in closing work in process in the weighted average method of process costing. Weighted average approach differs from FIFO method, which posits that costs introduced first into a department are transferred out first.
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January
Beginning inventory 0
Units produced 500
Units sold 400
Ending inventory 100
Excerpt from Wallis Corporation
Per Unit Per Month
Selling price $100
Direct materials $30
Direct labor $20
Variable manufacturing overhead 10
Variable selling and administrative expenses 7
Fixed manufacturing overhead $ 10,000
Fixed selling and administrative expenses 3,000
What is the company's contribution margin for January?
The company's contribution margin for January is $13,200.
The company's contribution margin for January can be calculated by first finding the contribution margin per unit and then multiplying it by the number of units sold. The contribution margin per unit is the selling price minus the variable costs.
Contribution margin per unit = Selling price - (Direct materials + Direct labor + Variable manufacturing overhead + Variable selling and administrative expenses). Hence:
Contribution margin per unit = $100 - ($30 + $20 + $10 + $7) Contribution margin per unit = $100 - $67 Contribution margin per unit = $33Next, we can find the total contribution margin by multiplying the contribution margin per unit by the number of units sold:
Total contribution margin = Contribution margin per unit * Units soldTotal contribution margin = $33 * 400 = $13,200Thus, based on the calculation, the company's contribution margin for January is $13,200.
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if a company overstates its ending inventory for the current year, what are the effects on cost of goods sold and net income for the current year?
The understatement of cost of products sold and the overstatement of net income for the current year will result from the overstatement of ending inventory for the current year.
The value of the inventory represented on the balance sheet is higher than its real worth when a corporation overstates its ending inventory. In turn, this will result in a cheaper cost of goods sold because the cost of the inflated inventory won't be taken into account. The current year's net income of the company will be inflated because net income is determined by deducting cost of goods sold from revenue.
Essentially, an overstatement of closing inventory can falsely inflate a company's profits for the current year and, if the overstatement is not corrected, can have a cascade effect on future financial statements. To avoid such mistakes and maintain the integrity of their financial reporting, businesses must guarantee the accuracy of their inventory accounting.
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when the floor rusted through on her old car, kelly knew she had a problem. logically, kelly's next step in the consumer decision process would be to
Option B. search for information. Logically, Kelly's next step search for information.
The consumer decision process is the decision-making process that consumers use in relation to market transactions before, during and after purchasing goods or services.
When there are several options, this can be considered a special form of cost-benefit analysis.
Common examples are shopping and dining choices. Decision-making is a psychological component. This means that we cannot "see" the decision, but we can conclude that the decision was made from the observable behavior.
Therefore, we conclude that a psychological "decision-making" event has occurred. It is an interpretation that implies a duty to act. That is, we assume that people commit to perform actions based on observable.
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Complete question:
When the floor rusted through on her old car, Kelly knew she had a problem. Logically, Kelly's next step
in the consumer decision process would be to
A. identify her need.
B. search for information.
C. evaluate alternatives.
D. purchase a new car.
E. assess her satisfaction with the car she purchased.
harmon clothing has a production facility located in venezuela. recently, harmon has been unable to arrange for overseas loans due to the burdensome regulatory policies of the venezuelan government. which type of political risk is harmon most likely experiencing?
skills if they want to come home. Under government policy, some of your children have been arbitrarily terminated because they have become "Urban Indians.
which type of political risk is harmon most likely experiencing?Harmon clothing is likely experiencing a systematic political risk. A systematic political risk can be explained as the political events, decision or regulations which can negatively affect the growth or survival of a business or investment in a particular country. Systematic political risks may affect all segments of a country's market or it might be targeted towards a particular sector or market segment. Systematic political risk may stem from wholesale change in policies and regulation of the host government due to change of power or shift in major economic decisions or protocol.
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factors that can cause the supply curve for bonds to shift to the right, everything else held constant, include group of answer choices a decrease in government deficits. a decrease in expected inflation. an expansion in overall economic activity. a business cycle recession.
Option d: The supply curve for bonds has the usual upward slope, indicating that as the price rises, ceteris paribus, the quantity supplied increases.
A supply curve is a graphical representation of the correlation between the cost of a good or service and its supply/production over a period of time.
In a typical plot, price is displayed/showed on the left vertical axis and shipment quantity is displayed on the horizontal axis.
In most supply curves, as the price of a good increases, so does the quantity of the good supplied.
A supply curve often indicates whether the price of a commodity will rise or fall, or vice versa, based on demand.
The supply curve is flatter (more horizontal) for commodities with more elastic supply and steeper (more vertical) for commodities with less elastic supply. The supply curve, along with the demand curve, is an important component of the law of supply and demand.
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Complete question:
The supply curve for bonds has the usual upward slope, indicating that as the price ________, ceteris paribus, the ________ increases.
A) falls; supply
B) falls; quantity supplied
C) rises; supply
D) rises; quantity supplied
When the Accrued Salaries Expense account is closed, the amount of:
The amount of "salaries expense account decreases, retained earnings decrease" when the Accrued Salary Expense account is closed.
The Accrued Salaries Expense account is used to record the amount of salary that employees have earned but have not yet been paid. When this account is closed, the amount that has been accrued is transferred to the Salaries Expense account, which is an income statement account. This results in a decrease in the balance of the Accrued Salaries Expense account and an increase in the balance of the Salaries Expense account.
Since expenses decrease equity, the decrease in the Salaries Expense account balance will result in a decrease in Retained Earnings, which is a component of equity. This decrease in Retained Earnings reflects the fact that the company has incurred a cost (salaries expense) that reduces the amount of earnings that can be retained in the business for future use.
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suppose you live through age 90. how much money will you be able to bequeath (i.e. pass on in your will)?
It is impossible to answer this question as the amount of money you will be able to bequeath in your will depends on a variety of factors such as your income, savings, investments, and lifestyle.
The amount of money that you can bequeath depends on many factors such as your income, lifestyle, investments, and other sources of wealth. It is impossible to answer this question without knowing more information about your financial situation.
Depending on your resources, you may be able to leave a large sum or a small amount. Ultimately, the amount of money that you can bequeath will depend on your individual circumstances.
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a tenancy by the entirety may be terminated in which of the following ways? 1. either party 2. mutual agreement by both spouses 3. death of either spouse 4. divorce settlement 5. one spouse's creditors
A tenancy by the entirety ownership agreement may be terminated in 2. mutual agreement by both spouses, 3. death of either spouse and 4. divorce settlement.
Tenancy by the totality is a type of shared property ownership restricted for married couples only. A tenancy by the entirety allows spouses to own property together as a single legal entity. This means that each couple owns the property in an equal and undivided manner.
If one partner dies, the surviving spouse automatically acquires full title to the property under this type of legal ownership.
Tenancy by the full is only possible if the property owners are married at the time they get the title. Other types of partnerships, such as friends, siblings, parent-child connections, or business associates, are not covered by this sort of legal agreement.
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A bank statement may not agree with the amount of cash recorded by the company in the cash account because of ______ differences and errors
The company's deposit was recorded incorrectly by the bank. Interest was paid by the bank, but it was not reported by the business. Outstanding deposits that are listed on the company's records but not the bank's.
What is a "deposit," exactly?
By adding funds to your bank account, you are making a deposit. You should place money in a bank to accumulate savings and earn interest. Demand deposits are placed for funds you can withdraw at any moment. Long-term investing opportunities include time deposits. You could also provide a deposit in exchange for the loan as security.
Demand deposits can take one of three fundamental types, which are listed below: There are three types of accounts listed: checking, savings, and money market (we will go into these in more detail later).
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What is the outcome of enforcing contracts and property rights in a market​ system?
In one equilibrium, property rights are upheld and market activity is unrestricted. The other lacks the enforcement of property rights, which discourages commerce.
Equilibrium and an example are what?
The Latin word libra, which means weight or balance, is where the word equilibrium first appeared. Examples of equilibrium include an open book that is at rest. an automobile moving steadily. a chemical reaction where the rates of reaction both forward and backward are equal. Chemical equilibrium is the condition in which the amount of reactants or products has not changed significantly throughout a reversible chemical reaction. When a chemical reaction is reversible, the products begin to interact with the original reactants right away.
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1. are it applications an asset or an expense? 2. what is the main purpose of allocating it costs to user departments? 3. as a percentage of sales, how much should a company spend on it?
IT application costs and benefits are both possible. Budgeting and decision-making are the major reasons for allocating IT costs. Although there is no predetermined amount, IT spending typically amounts to 3-5% of total sales.
Applications for information technology (IT) can be viewed as both a cost and an asset. On the one hand, they can provide a tremendous advantage in terms of improved production, efficiency, and competitiveness. However, they can also be expensive to purchase, use, and maintain. Determining the true cost of utilizing and reaping the benefits of IT applications is the major goal of allocating IT costs to user departments. This data can be used to distribute IT costs in a way that is consistent with the overall objectives and plans of the business and to make educated decisions regarding IT investments. The right amount of money a business should spend on IT will vary based on the particular circumstances, hence there is no universally applicable solution to this topic.
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ophra invested well and plans to retire now because she has $2,300,000 in her tax-deferred ira account. how long will she be able to withdraw $125,000 per year (beginning 1 year from now) if her investments earn at a rate of 4% per year? solve using factors and the nper function.x
The result is approximately 21.85 years. Therefore, Oprah will be able to withdraw $125,000 per year for approximately 21.85 years (beginning 1 year from now) if her investments earn at a rate of 4% per year.
To calculate the number of years that Oprah will be able to withdraw $125,000 per year, we can use the present value formula for an annuity:
[tex]PV = Payment x [(1 - (1 + r)^-n) / r][/tex]
where PV is the present value of the annuity, Payment is the annual payment, r is the interest rate, and n is the number of periods (in this case, the number of years).
We want to solve for n, so we can rearrange the formula as follows:
[tex]n = -ln(1 - PV x r / Payment) / ln(1 + r)[/tex]
Plugging in the values given, we get:
PV = $2,300,000
Payment = $125,000
r = 0.04
Using these values, we can calculate the number of years using the NPER function:
=NPER(0.04, -125000, 2300000, 0, 1)
The result is approximately 21.85 years. Therefore, Oprah will be able to withdraw $125,000 per year for approximately 21.85 years (beginning 1 year from now) if her investments earn at a rate of 4% per year.
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What does the rule say that more will be demanded at a lower price and less at a higher price?
The law of demand states that higher prices result in smaller quantities demanded while lower prices result in larger quantities demanded. Demand curves and demand schedules are tools used to describe the relationship between quantity desired and pricing.
What is the law of demand?
The price of a good or service and the quantity of that good or service that buyers are willing and able to acquire are indirectly correlated, in accordance with the Law of Demand. In other words, if an item's price increases, buyers are less inclined and able to buy it, and vice versa.
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What is an insurer required to do when faced with an error made under the Misstatement of Age provision?
Cancel the policy
Pay age-corrected benefits
Pay full benefits as stated in the policy
Bill the policyowner for back premiums
When an insurer is faced with an error made under the Misstatement of Age provision, they are required to pay age-corrected benefits.
This means that the insurer will adjust the benefits to reflect the correct age of the insured. If the insured is actually older than stated on the policy, the benefits will be reduced to reflect the higher risk associated with an older age. If the insured is actually younger than stated on the policy, the benefits will be increased to reflect the lower risk associated with a younger age.
The insurer may also bill the policy owner for back premiums if the correct age would have resulted in a higher premium. However, the insurer cannot cancel the policy or pay full benefits as stated in the policy if there is a misstatement of age.
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Transcribed image text: > Question 9 One would speak of a movement along a supply curve for a good, rather than a change in supply, if o the cost of producing the good changes. O supplier expectations about future prices change. the price of the good changes. O prices of substitutes in production change.
One would speak of a movement along a supply curve for a good, rather than a change in supply, if the price of the good changes.
A movement along a supply curve occurs when there is a change in the price of the good. In this case, suppliers respond to the price change by adjusting the quantity of the good supplied, but there is no shift in the entire supply curve. If the cost of producing the good changes, there would be a shift in the supply curve, as suppliers would need to produce a different quantity of the good at every price level. Similarly, if supplier expectations about future prices change or if the prices of substitutes in production change, there would be a shift in the supply curve, rather than a movement along it.
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half a century ago, which country dominated world foreign direct investment? multiple choice question. china russia united kingdom united states
Half a century ago the United States became the only country that dominated world foreign direct investment. Hence, option D is appropriate.
What is the meaning of foreign direct investment?An investment in the form of controlling ownership in a company, in real estate, or in productive assets like factories made in one nation by a company located in another is known as a foreign direct investment.
Foreign direct investment (FDI) is a type of cross-border investment in which a stake in any significant degree of control over an enterprise located in another country is established over time by an investor who resides in one economy.
Hence, option D is correct.
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assets are recorded in the balance sheet in order of: question 18 options: a) historic value b) maturity c) liquidity d) market value
Assets are recorded in the balance sheet in order of liquidity.
A balance sheet, a kind of financial statement, contains a list of a company's equity, liabilities, and assets as of a certain date. Starting with the most liquid assets and concluding with the least liquid, the assets are listed in order of increasing liquidity. Since they may be swiftly converted into cash without suffering a significant loss in value, cash and its equivalents are frequently the most liquid assets.
Property, plant, and equipment are often the least liquid assets because they can take a while to sell and may not fetch the full market price. The balance sheet gives a picture of a company's capacity to fulfil its immediate obligations by listing assets in order of liquidity.
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in his theory of absolute advantage, adam smith advocated that __________ should determine what a country imports and what it exports.
In his theory of absolute advantage, Adam Smith advocated that a country's ability to produce a particular good more efficiently than other countries should determine what it exports and what it imports.
He believed that this specialization would lead to increased productivity and economic growth, benefiting both trading partners. By specializing in the production of goods in which they have an absolute advantage, countries can trade with each other and benefit from the gains of trade.
For example, if a country has an absolute advantage in producing cars, it can produce cars at a lower cost and more efficiently compared to other countries. Another country may have an absolute advantage in producing textiles.
By specializing in the production of cars and textiles respectively, both countries can trade with each other and benefit from the resulting gains in productivity, output, and wealth. Smith's theory of absolute advantage laid the foundation for international trade theory and provided a rationale for free trade.
According to this theory, trade should be based on the principle of comparative advantage, which means that countries should produce and trade goods in which they have a comparative advantage, even if they do not have an absolute advantage.
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mary beth is considering accepting some additional contract work. she is trying to evaluate whether the compensation for the job is worth the effort. which tax rate should she use to calculate her after-tax proceeds of accepting the job? multiple choice question. effective tax rate
To calculate Mary Beth's after-tax proceeds from accepting additional contract work, she should use her marginal tax rate.
The marginal tax rate is the tax rate that applies to the next dollar of income she earns. It takes into account the fact that as Mary Beth earns more income, she may move into a higher tax bracket, which would increase the amount of tax she pays on her additional income.
By using her marginal tax rate, Mary Beth can calculate the after-tax amount of compensation she would receive from the additional contract work. This will help her evaluate whether the compensation is worth the effort, taking into account the tax implications.
It's important to note that the marginal tax rate may be different from the effective tax rate, which is the total amount of tax paid as a percentage of total income. The effective tax rate is useful for understanding Mary Beth's overall tax burden, but it may not accurately reflect the impact of additional income on her tax liability.
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in 1990, the average price of a gallon of regular gasoline in the u.s. was $1.34. in 2013, the average price was $3.52. cpi in 1990 was 130.7 and the cpi in 2013 was 232.8. how much is a 1990 gallon of gas expressed in 2013 dollars?
In 2013, the average price was $3.52, CPI in 1990 was 130.7 and the CPI in 2013 was 232.8. 1990 gallons of gas expressed in 2013 dollars is $2.38.
What is CPI?The Consumer Price Index (CPI) measures the overall change in consumer prices based on goods and services over time.
Prices increase over time, but prices can also decrease this is a situation called deflation. The most well-known indicator of inflation is the Consumer Price Index (CPI).
When the Consumer Price Index is rising it means that consumer prices are also rising, and when it decreases it means consumer prices are decreasing. In short, a higher CPI indicates higher inflation, while a falling CPI indicates lower inflation or even deflation.
Therefore, 1990 gallons of gas expressed in 2013 dollars is $2.38.
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which of the following criteria will contribute toward qualifying a taxpayer for head of household status? (check all that apply.) multiple select question. have lived with a qualifying person in the taxpayer's home for more than half the year be a qualifying widow or widower be married with a spouse that is not employed outside the home be unmarried (or considered unmarried under the abandoned spouse provisions) at the end of the year provide over half the cost of maintaining a household for a dependent parent not living with the taxpayer pay more than half the costs of keeping up a home for the year
Option a, b, c & f. The following criteria will contribute toward qualifying a taxpayer for head of household status.
- Living with the beneficiary in the taxpayer's home for at least six months.
- Be unmarried at the end of the year (or be considered unmarried under the Spousal Abandonment Regulations).
- Provides more than half of household costs for dependent parents who do not live with the taxpayer.
- Pay more than half of your annual home maintenance costs
A taxpayer is an individual or entity that is required/needed to pay taxes to a federal, state, or local government.
Individual and corporate taxes are the main source of government revenue. In the United States, individual taxpayers are typically required to file and pay both federal and state tax returns annually.
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Complete question:
Which of the following criteria will contribute toward qualifying a taxpayer for head of household status?
a. Have lived with a qualifying person in the taxpayer's home for more than half the year
b. Be unmarried (or considered unmarried under the abandoned spouse previsions ) at the end of the year
c. Provide over half the cost of a household for a dependent parent not living with the taxpayer
d. Be married with a spouse that is not employed outside the home
e. Be a qualifying widow or widower
f. Pay more than half the costs of keeping up a home for the year
michael owns a small plane that he flies on weekends. his insurance agent informs him that aircraft are excluded as personal property under his homeowners policy. as an insured, he feels that his plane should be covered just like any other personal property he owns. explain to michael the rationale for excluding certain types of property, such as aircraft, under the homeowners policy. explain some additional reasons why exclusions are present in insurance contracts.
Exclusions are present in insurance contracts to help insurers manage risk and maintain affordability, encourage risk reduction. For high-risk assets such as aircraft, separate insurance policies are often necessary to provide adequate coverage.
Due to the high-risk nature of these assets, insurance companies often have separate policies designed specifically for aircraft. These policies typically provide broader coverage for the aircraft itself, as well as liability coverage for injuries or damages that may occur during operation.
Exclusions are present in insurance contracts for various reasons, including:
To limit the insurer's liability: Exclusions help insurers limit their exposure to risk and ensure that they are only responsible for covered losses. Without exclusions, the insurer would be responsible for paying out claims for all types of losses, regardless of the risk level.To maintain affordability: Exclusions allow insurers to offer more affordable insurance premiums by excluding high-risk assets or events that are less likely to occur. This helps to make insurance more accessible to a wider range of customers.To encourage risk reduction: Insurance policies often include exclusions for losses that could be prevented through risk reduction measures, such as regular maintenance or safety precautions. By excluding losses that could have been prevented, insurers encourage their policyholders to take proactive measures to reduce their risk exposure.To comply with regulations: Insurance companies must comply with state and federal regulations, which may require certain exclusions in insurance policies. For example, some states may require insurers to exclude coverage for certain natural disasters or other events.For more such questions on Property
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licensing of the brand, a reputation for quality, and a large number of retail stores are examples of potential blank that a firm may identify during a swot analysis. multiple choice question. threats strengths weaknesses opportunities
These are the examples of potential Strengths that a firm may identify during a swot analysis.
What is a brand?A brand is any attribute that identifies one seller's product or service from that of other sellers, such as a name, word, design, symbol, or other feature. Businesses, marketers, and advertisers utilize brands to build and preserve brand equity for the product or service they are promoting, which benefits the brand's consumers as well as its shareholders and owners.
Describe the license.A formal authority or approval to do, utilize, or own anything is known as a license. As a component of an agreement between these parties, one party grants a license to the other party.
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felicia and bernard have decided to go into the quarry business together. they start by writing an agreement that explains the parameters of the business they will own and the responsibilities and roles each of them will have in the business. they have created a(n) .
Examples of typical partnership businesses are law firms, medical groups, real estate investment firms, and accounting groups.
What are the different types of partnerships?
There are four different types of business partnerships:
collaborating as an LLC (also known as a multi-member LLC)
Limited-risk enterprise (LLP)
restricted alliance (LP)
common alliance (GP)
What distinguishes simple from compound partnerships?
When two or more people invest their money in a firm, those individuals are referred to as Partners, their relationship is a Partnership, and the money is Capital. If both partners make an investment at once, the relationship is referred to as a simple partnership. If they put money aside for a future date, they create a compound partnership.
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under what conditions would it be advisable to use a strong matrix instead of a dedicated project team?
The concept is a Matrix organization. It is an organization that has more than one form of governance.
When the organization cannot afford to employ people full-time and the organizational culture supports a dual power structure. When the organizational culture supports a dual power structure
Matrix Organization is an organizational structure in which some individuals report to more than one manager or managerial relationship—relationships known as ongoing or dotted relationships.
Dedicated Design Teams are recommended when:
They only see it from the point of view of what is best for the implementation of the project; would be recommended when the organizational culture does not support collaboration or innovationA strong matrix is recommended when an organization cannot afford to have staff working full-time on a project and the organizational culture supports a dual power structure. Characteristics of the matrix organization include:
multiple chains of command,collaboration between different departments,by sharing qualified resources.To know more about Matrix Organization,
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which of the following is least likely to promote economic growth? a investment in tools and machines. b investment in training of labor. c increase in consumption of nondurable goods. d tax credit for technology improvement. e none of the above - all of these would promote economic growth.
c. Increase in consumption of nondurable goods is least likely to promote economic growth
Nondurable goods are any consumer items that must be replaced in subsequent purchases because they are either used up quickly or consumed in one use, depending on the type of economy. The least likely way to encourage economic growth is to boost nondurable goods consumption.
Little increases or declines in the purchasing of nondurable products are not regarded as economic indicators because they are a stable component of an economy. Whereas, investments can help create the aggregate demand that is necessary for economic growth, whereas durable products, such as automotive fuel, are often a larger part of short-run economic growth than nondurable items.
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What is the study of proper business policies and practices regarding potentially controversial issues?
A
Ethics
B
Business Ethics
C
Company Values
D
Corporate Social Responsibility
The study of proper business policies and practices regarding potentially controversial issues is called Business Ethics.
The correct answer is B. Business Ethics.
Business ethics is the study of proper business policies and practices regarding potentially controversial issues, such as corporate governance, insider trading, bribery, discrimination, corporate social responsibility, and fiduciary responsibilities. It is an important aspect of any business and is crucial for maintaining a positive reputation and preventing legal issues. In addition, business ethics can help protect employees, customers and other stakeholders from unethical practices.
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ranch services just paid its annual dividend of $2.50 per share. the dividends are expected to grow at 24 percent annually for the next 4 years and then level off to an annual growth rate of 7 percent indefinitely. what is the price of this stock today given a required return of 10.25 percent?
the stock price today is $97.44. The dividend discount model, which argues that the price of a stock is equal to the present value of all projected future dividends, must be used to address this problem.
This model's formula is as follows: P = D / (r - g) (r - g) where P is the stock price and D is the next dividend payment r = necessary rate of return g = estimated yearly dividend growth rate In this scenario, the next dividend payment is $2.50, and the predicted annual dividend growth rate is 24% for the following four years and 7% after that. To get the current stock price, we may utilize the following steps Dividends for the following four years are calculated as follows Dividend for the first year = $2.50 * (1 + 24%) = $3.10 Dividend for the second year = $3.10 * (1 Year three dividend = $3.85 * (1 + 24%) = $4.78 Year four dividend = $4.78 * (1 + 24%) = $5.93 Calculate the dividend as a perpetuity at the conclusion of year 4: Dividend for year 4 = $5.93 * (1 + 7%) / (10.25% - 7%) = $111.08 Calculate the total of all dividends' current values: PV = $3.10 / (1 + 10.25%) + $3.85 / (1 + 10.25%) ^2 + $4.78 / (1 + 10.25%) ^3 + $5.93 / (1 + 10.25%) ^4 + $111.08 / (1 + 10.25%) ^4\sPV = $97.44 As a result, the stock price today is $97.44.
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Most important internal controls for cash is the bank ______________.
The internal control that most effectively assures the secure handling of cash is separation of duties.
What are internal controls for cash and bank?
To control cash deals, associations should borrow some of the following practices Bear background checks for workers, establish isolation of duties, safeguard all cash and means in secure locales, and use a bandbox to accept cash payments from guests.
What's the most important internal control?
The most important control conditioning involve isolation of duties, proper authorization of deals and conditioning, acceptable documents and records, physical control over means and records, and independent checks on performance.
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