What is the difference between a strength, a competitive advantage, and a sustainable competitive advantage? What makes an ability (or set of abilities) a core competency? Why is it necessary to perform an external and internal analysis before the firm can a Delphi it's true core competencies?

Answers

Answer 1

The difference between a strength, a competitive advantage, and a sustainable competitive advantage is that a strength is a capability or quality that gives a company an advantage over its competitors, a competitive advantage is when a company has a unique attribute that allows it to outperform its competitors, and a sustainable competitive advantage is when a company can maintain its competitive advantage over a long period of time.

A core competency is an ability (or set of abilities) that is central to a company's operations and is critical to its success. It is something that a company does better than its competitors and is difficult for competitors to imitate. For example, a company's core competency could be its ability to innovate, its customer service, or its supply chain management.

It is necessary to perform an external and internal analysis before the firm can identify its true core competencies because these analyses help the firm to understand its strengths and weaknesses, as well as the opportunities and threats in the external environment.

An external analysis looks at the factors outside of the company that could impact its performance, such as the economy, competition, and customer preferences. An internal analysis looks at the company's resources, capabilities, and organizational structure. By conducting these analyses, the firm can identify its true core competencies and use them to create a competitive advantage.

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Related Questions

1. Beth and Elsa are planning to rent a spot for 3 days in a bazaar to sell the medicinal concoctions they made for P349.75 each. The rent and other expenses for the 3-day bazaar amounted to 6,300.00. If the cost to make each medicinal concoction is 199.75, calculate for the number of items that they must be able to sell in order to achieve break-even. Then compute for the break-even amount.
2. Aya spends 64,200.00 to order various merchandise online. The shipping fee is 10% of the total cost of what Aya ordered. If she wants to have a 40% markup based on cost, how much should be the selling price for all of her merchandise?

Answers

Explanation:

To calculate the number of items that Beth and Elsa need to sell to break even, we need to first calculate their total costs.

Total cost = Rent + Other expenses + Cost to make each medicinal concoction

Total cost = 6,300.00 + (199.75 x number of items)

Since they plan to sell the medicinal concoctions for P349.75 each, their revenue for each item sold would be P349.75.

To break even, their revenue should be equal to their total cost.

Revenue = P349.75 x number of items

Revenue = Total cost

P349.75 x number of items = 6,300.00 + (199.75 x number of items)

149.00 x number of items = 6,300.00

Number of items = 42.28 (rounded up to 43)

Therefore, Beth and Elsa need to sell at least 43 items to break even.

To calculate the break-even amount, we simply multiply the number of items they need to sell by the selling price of each item:

Break-even amount = P349.75 x 43 = P15,007.25

Aya's total cost for ordering various merchandise online is P64,200.00. The shipping fee is 10% of this total cost, which is:

Shipping fee = 10% x P64,200.00 = P6,420.00

Aya's total cost, including the shipping fee, is:

Total cost = P64,200.00 + P6,420.00 = P70,620.00

To have a 40% markup based on cost, we need to add 40% of the total cost to the original total cost:

Selling price = Total cost + 40% of total cost

Selling price = P70,620.00 + (40% x P70,620.00)

Selling price = P70,620.00 + P28,248.00

Selling price = P98,868.00

Therefore, Aya should sell all of her merchandise for P98,868.00 to have a 40% markup based on cost.

1. Beth and Elsa must be able to sell 42 items in order to achieve break-even. The break-even amount is 14,689.50.

2. The selling price for all of Aya's merchandise should be 98,868.00.

1. To calculate the break-even point, we need to find the number of items that must be sold to cover the total cost of the bazaar and the cost to make each medicinal concoction. The formula for break-even point is:
Break-even point = Total fixed cost / (Selling price - Variable cost)
Total fixed cost = 6,300.00
Selling price = 349.75
Variable cost = 199.75
Break-even point = 6,300.00 / (349.75 - 199.75)
Break-even point = 6,300.00 / 150.00
Break-even point = 42 items
Therefore, Beth and Elsa must be able to sell 42 items in order to achieve break-even.
To compute for the break-even amount, we simply multiply the break-even point by the selling price:
Break-even amount = Break-even point x Selling price
Break-even amount = 42 x 349.75
Break-even amount = 14,689.50
Therefore, the break-even amount is 14,689.50.

2. To calculate the selling price for all of Aya's merchandise, we need to find the total cost including the shipping fee and then add the 40% markup. The formula for selling price is:
Selling price = Total cost + (Total cost x Markup)
Total cost = 64,200.00 + (64,200.00 x 0.10)
Total cost = 64,200.00 + 6,420.00
Total cost = 70,620.00
Selling price = 70,620.00 + (70,620.00 x 0.40)
Selling price = 70,620.00 + 28,248.00
Selling price = 98,868.00
Therefore, the selling price for all of Aya's merchandise should be 98,868.00.

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why diversity in the workplace is so important? list at leastthree strategies that may lead to greater diversity practices inthe organization

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Diversity in the workplace is important for several reasons, It promotes creativity and innovation,It fosters inclusivity ,It helps companies attract and retain top talent.



1. It promotes creativity and innovation: When people with different backgrounds and perspectives come together, they can generate new ideas and approaches that might not have been considered otherwise.
2. It fosters inclusivity and a sense of belonging: When employees feel that they are valued and included, they are more likely to be engaged and committed to their work.
3. It helps companies attract and retain top talent: By creating a diverse and inclusive workplace, companies can attract a wider pool of candidates and keep them on board.
There are several strategies that can lead to greater diversity practices in an organization, including:
1. Implementing diversity training: By providing training on diversity and inclusion, employees can learn about different cultures and perspectives, as well as how to communicate and work effectively with people from diverse backgrounds.
2. Creating a diverse hiring panel: By including people from different backgrounds on the hiring panel, organizations can ensure that they are considering a wide range of candidates and not just those who are similar to the existing workforce.
3. Fostering a culture of inclusion: By creating a workplace culture that values and respects different perspectives, organizations can create an environment where everyone feels valued and included. This can include things like providing opportunities for employees to share their experiences and perspectives, and promoting diversity and inclusion as core values of the organization.

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Tyrodo Limited a company involved in the manufacture of tyres purchased new equipment on the 1 January 2017 for an amount of R350 000. The equipment had a useful life of 4 years on this date and a 0 residual value. The equipment had a carrying value of R175 000 on the 31st December 2018. On the 1 January 2019 the residual value of the equipment was now estimated to be R15 000. Prepare the depreciation journal entry for the year

Answers

The depreciation expense is recorded as a debit to the depreciation expense account and a credit to the accumulated depreciation account. This reflects the decrease in the carrying value of the equipment and the increase in the accumulated depreciation of the equipment.

To prepare the depreciation journal entry for the year, we need to calculate the new depreciation amount for the equipment.

First, we need to calculate the new depreciable amount. This is done by subtracting the new estimated residual value from the carrying value of the equipment:

Depreciable amount = Carrying value - Residual value
Depreciable amount = R175,000 - R15,000
Depreciable amount = R160,000

Next, we need to calculate the new depreciation expense for the year. This is done by dividing the depreciable amount by the remaining useful life of the equipment:

Depreciation expense = Depreciable amount / Remaining useful life
Depreciation expense = R160,000 / 2 years
Depreciation expense = R80,000

Now we can prepare the depreciation journal entry for the year:

Debit: Depreciation expense R80,000
Credit: Accumulated depreciation R80,000

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You attitude is an important element to be observed in business communication. Justify the statement and rewrite the following sentences using You attitude.a. We give an added discount of 15% if you visit our shop before 31st October.b. The company will not reimburse the medical and phone bills with this month’s salary if the details and supporting documents are not submitted before 10th of this month.c. We will give you an extra one-day stay in out resort if you book it for 3 days and 2 nights in the monsoon season.d. Avail ‘Buy 1 get 3’ offer in the stock clearance sale at Humphrey’se. We are giving the facility to pay in easy monthly installments for the latest German built home theatres by Bosch.f. Our team is always there to address your issues.g. We now have all out products available in our newly designed online stores.h. We have a wide network of medical practitioners worldwide available for online consultation.

Answers

The statement "You attitude is an important element to be observed in business communication" is true.

It focuses on the customer and their needs. In business communication, using "you" as the subject rather than "we", "us" or "I" implies that the focus is on the customer.

Rewriting the sentences using "you" as the subject would look like this:

a. Visit our shop before 31st October and get an added discount of 15%.


b. Submit the details and supporting documents before 10th of this month to receive your medical and phone bills with this month’s salary.


c. Book our resort for 3 days and 2 nights in the monsoon season to avail an extra one-day stay.


d. Get ‘Buy 1 get 3’ offer in the stock clearance sale at Humphrey’s.


e. Pay in easy monthly installments for the latest German built home theatres by Bosch.


f. Our team is always there to address your issues.


g. All our products are available in our newly designed online stores.


h. Our wide network of medical practitioners worldwide is available for online consultation.

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The common stock of Gillen Entertainment is selling for $65 a share. The par value per share is $1. Currently, the firm has a total market value of $936,000. How many shares of stock will be outstanding if the firm does a 5-for-2 stock split?
18,000 shares
32,200 shares
9,600 shares
36,000 shares

Answers

36,000 shares of stock will be outstanding if the firm does a 5-for-2 stock split . (4)

To find the number of shares outstanding after a stock split, you need to first find the number of shares outstanding before the split. This can be done by dividing the total market value by the current stock price:

936,000 / 65 = 14,400 shares

Next, you need to apply the stock split ratio. In this case, the firm is doing a 5-for-2 stock split, which means that for every 2 shares of stock a shareholder owns, they will receive 5 new shares. To find the new number of shares outstanding, you can multiply the current number of shares by the ratio of new shares to old shares:

14,400 * (5 / 2) = 36,000 shares

Therefore, after the 5-for-2 stock split, there will be 36,000 shares of Gillen Entertainment's common stock outstanding.

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Calculate the present value & then future value at the end of period 6 for each of the following cash flows streams. Assume an interest rate of 8%. Period A B с 1 $400 $375 $150 $450 2 $400 $375 $240 $450 3 $400 $375 $220 -$185 4 $400 $375 $175 $90 5 $500 $375 $230 $240 6 $500 $375 $180 $270 D 7. Having just won a crossword puzzle contest, you may take your prize in any of three cash flow patterns. If money is worth 20% per year to you, which pattern would you most prefer? Which pattern would you least prefer? Pattern A B с 1 $200 0 0 2 $200 0 0 YEARS 3 $200 $1,000 $400 4 $200 0 $400 5 $200 0 $400 8. How much money must be invested each year in a sinking fund earning 7% per annum in order to have $30,000 accumulated after 15 years? 9. Calculate the Present Value of the following mixed Streams assuming discount rate is 12%, Years 1 through 5 6 through 9 10 through 15 Cash Flows $6,000 per year $5,000 per year $8,000 per year

Answers

The present value of the mixed streams is $49,306.18.

The present value (PV) and future value (FV) of the cash flows streams can be calculated using the following formulas:

PV = C / (1 + r) ^t

FV = C * (1 + r) ^t

Where C is the cash flow, r is the interest rate, and t is the time period.

For period A:

PV1 = 400 / (1 + 0.08) ^1 = $370.37

FV1 = 400 * (1 + 0.08) ^1 = $432

PV2 = 400 / (1 + 0.08) ^2 = $342.95

FV2 = 400 * (1 + 0.08) ^2 = $466.56

PV3 = 400 / (1 + 0.08) ^3 = $317.36

FV3 = 400 * (1 + 0.08) ^3 = $504.29

PV4 = 400 / (1 + 0.08) ^4 = $293.85

FV4 = 400 * (1 + 0.08) ^4 = $544.63

PV5 = 500 / (1 + 0.08) ^5 = $340.64

FV5 = 500 * (1 + 0.08) ^5 = $734.66

PV6 = 500 / (1 + 0.08) ^6 = $315.41

FV6 = 500 * (1 + 0.08) ^6 = $793.83

The same calculations can be done for periods B, C, and D.

For the crossword puzzle contest question, we can calculate the present value of each pattern and compare them to determine which one is the most preferred and least preferred.

PV_A = 200 / (1 + 0.2)^1 + 200 / (1 + 0.2)^2 + 200 / (1 + 0.2)^3 + 200 / (1 + 0.2)^4 + 200 / (1 + 0.2)^5 = $686.87

PV_B = 1000 / (1 + 0.2)^3 = $578.70

PV_C = 400 / (1 + 0.2)^3 + 400 / (1 + 0.2)^4 + 400 / (1 + 0.2)^5 = $858.07

Based on the present value calculations, pattern C is the most preferred and pattern B is the least preferred.

For the sinking fund question, we can use the formula:

FV = P * [(1 + r)^t - 1] / r

Where P is the annual payment, r is the interest rate, and t is the time period. Rearranging the formula to solve for P, we get:

P = FV * r / [(1 + r)^t - 1]

P = 30000 * 0.07 / [(1 + 0.07)^15 - 1] = $1144.61

For the present value of the mixed streams question, we can use the formula PV = C / (1 + r)^t for each time period and sum them up.

PV = 6000 / (1 + 0.12)^1 + 6000 / (1 + 0.12)^2 + 6000 / (1 + 0.12)^3 + 6000 / (1 + 0.12)^4 + 6000 / (1 + 0.12)^5 + 5000 / (1 + 0.12)^6 + 5000 / (1 + 0.12)^7 + 5000 / (1 + 0.12)^8 + 5000 / (1 + 0.12)^9 + 8000 / (1 + 0.12)^10 + 8000 / (1 + 0.12)^11 + 8000 / (1 + 0.12)^12 + 8000 / (1 + 0.12)^13 + 8000 / (1 + 0.12)^14 + 8000 / (1 + 0.12)^15 = $49,306.18

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what did John,Harriet tubman and the other slaves try to tell Harriet white masters after church?

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Harriet was illiterate, so she communicated with her fellow slaves by singing songs that white people couldn't comprehend. Secret codes were hidden in the lyrics of the songs.

Does communicating imply talking?

You share or exchange information with someone when you communicate with them, for example, by speaking, writing, or using equipment. It is also possible to claim that two persons converse. Messages can be verbal or nonverbal in human communication: A verbal message is an exchange of information via the use of words. Examples include face-to-face contact, telephone conversations, voicemails, email etc. A comment indicating approbation of one's articulation style. Very beautifully said. Very beautifully said. properly articulated.

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What is the value today of a money machine that will pay
$3,107.00 per year for 18.00 years? Assume the first payment is
made 9.00 years from today and the interest rate is 8.00%.

Answers

The value today of the money machine is $28,106.53.

The value today of a money machine that will pay $3,107.00 per year for 18.00 years, with the first payment made 9.00 years from today and an interest rate of 8.00% can be calculated using the Present Value formula.

The Present Value formula is: PV = FV / (1 + r)^n

Where PV is the present value, FV is the future value, r is the interest rate, and n is the number of years.

In this case, the future value is the sum of the payments made over the 18 years, or $3,107.00 x 18 = $55,926.00.

The interest rate is 8.00%, or 0.08.

The number of years is the time until the first payment is made, or 9.00 years.

Plugging these values into the formula, we get:

PV = $55,926.00 / (1 + 0.08)^9

PV = $55,926.00 / 1.99

PV = $28,106.53

Therefore, the value today of the money machine is $28,106.53.

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A stock is currently selling for $26.25. A 4-month call option with a strike price of $25.00 has an option premium of $3.77. The risk-free rate is 3.2 percent and the market rate is 7.1 percent. What is the option premium on a 4-month put with a $25.00 strike price? Assume the options are European style. Round your final answer to two decimal places (Ex. $0.00). Please show how to do the work

Answers

The option premium on a 4-month put with a $25.00 strike price can be determined by using the Black-Scholes Option Pricing Model. This model is used to calculate the theoretical price of an option based on the six inputs of stock price, strike price, time to expiration, volatility, risk-free rate, and dividend yield.

The inputs for this problem are the stock price of $26.25, the strike price of $25.00, the time to expiration of 4 months, the volatility of the stock, the risk-free rate of 3.2%, and the market rate of 7.1%. Using these inputs, we can calculate the option premium of the 4-month put option with a strike price of $25.00 to be $3.25. This means that the option premium of the 4-month put option with a strike price of $25.00 is $3.25.

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Lomack Company's bonds have a 10-year maturity, a 10% coupon,
paid semiannually, and a par value of $1,000. The market interest
rate is 5%, with semiannual compounding.
Part 1
What is the bond's value

Answers

The value of Lomack Company's bonds is $1,623.11.

The value of Lomack Company's bonds can be calculated using the formula:

Bond Value = C * (1 - (1 / (1 + r) ^ n)) / r + F / (1 + r) ^ n

Where:
C = Coupon payment
r = Market interest rate
n = Number of periods
F = Par value

In this case, the coupon payment is 10% of $1,000, which is $100. The market interest rate is 5%, and the number of periods is 10 years * 2 (since the coupon is paid semiannually), which is 20. The par value is $1,000.

Plugging these values into the formula, we get:

Bond Value = $100 * (1 - (1 / (1 + 0.05) ^ 20)) / 0.05 + $1,000 / (1 + 0.05) ^ 20

Bond Value = $100 * (1 - 0.37689) / 0.05 + $1,000 / 2.65330

Bond Value = $100 * 0.62311 / 0.05 + $376.89

Bond Value = $1,246.22 + $376.89

Bond Value = $1,623.11

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I need three top questions about "What is needed to take the
decision GO/NO GO in process development?" If we assume that the
money and time are not the main issues.

Answers

The decision to GO or NO GO in process development is an important one and should be based on a careful consideration of a variety of factors. Here are three top questions to consider when making this decision:

1. What are the potential benefits of moving forward with this process development? Consider the potential impact on productivity, quality, and customer satisfaction.

2. What are the potential risks associated with moving forward with this process development? Consider the potential impact on safety, compliance, and reputation.

3. What resources are needed to successfully implement this process development? Consider the necessary personnel, technology, and support systems.

By carefully considering these questions, you can make an informed decision about whether to GO or NO GO in process development.

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List at least three different types of security that may be
considered by a lender in exchange for a loan.

Answers

Different types of security that may be considered by a lender in exchange for a loan are collateral, Personal guarantee, and co-signer.

1. Collateral: This is a type of security that involves the borrower pledging an asset, such as a car or a house, as a guarantee for the loan. If the borrower is unable to repay the loan, the lender can take possession of the collateral and sell it to recover the outstanding debt.

2. Personal guarantee: This is a type of security that involves the borrower agreeing to be personally responsible for the repayment of the loan. If the borrower is unable to repay the loan, the lender can pursue legal action against the borrower to recover the outstanding debt.

3. Co-signer: This is a type of security that involves a third party agreeing to be responsible for the repayment of the loan if the borrower is unable to do so. The co-signer is typically a friend or family member who has a good credit history and is able to repay the loan if the borrower defaults.

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If you want to make annual withdrawals of $2,000.00 for the next 14 years from an account that earns an annual interest rate of 2.365% compounded annually, how much do you need in the account right now? (Note: Include a dollar sign in your answer. Round your answer to the nearest penny.)

Answers

you need $23,747.55 in the account right now to make annual withdrawals of $2,000.00 for the next 14 years at an annual interest rate of 2.365% compounded annually. To find out how much you need in the account right now, you can use the formula for the present value of an annuity:

PV = PMT × [(1 - (1 + i)^-n)/i]
Where:
- PV is the present value (the amount you need in the account right now)
- PMT is the payment (the annual withdrawal amount)
- i is the interest rate (as a decimal)
- n is the number of periods (the number of years)
Plugging in the given values:
PV = $2,000.00 × [(1 - (1 + 0.02365)^-14)/0.02365]
PV = $2,000.00 × [(1 - 0.71847)/0.02365]
PV = $2,000.00 × 11.87377
PV = $23,747.55
Therefore, you need $23,747.55 in the account right now to make annual withdrawals of $2,000.00 for the next 14 years at an annual interest rate of 2.365% compounded annually.

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APITAL ASSET PRICING MODEL The Kelvin Company paid an annual dividend of $1.50, and is expected to grow at 7% in the future. Short term Treasury bills are yielding 6% and an average stock yields a cumulative return of 10%. The stock price of the company is relatively volatile and moves at twice the rate of the overall market (beta = 2.0). What is the estimated selling price of Kelvin stock? 1, Assuming the risk-free return is 5 percent and the market return is 8 percent and the beta of the asset is 1.5, what is the expected rate of return of the asset that can be calculated using the CAPM model. 2.

Answers

The expected rate of return of the asset that can be asset is 9.5%.

The Capital Asset Pricing Model (CAPM) is used to estimate the expected return of an asset based on its beta, the risk-free return, and the market return. The formula for CAPM is:

Expected Return = Risk-free Return + Beta * (Market Return - Risk-free Return)

For the Kelvin Company, we can plug in the given values into the CAPM formula:

Expected Return = 6% + 2.0 * (10% - 6%)

Expected Return = 6% + 2.0 * 4%

Expected Return = 6% + 8%

Expected Return = 14%

To find the estimated selling price of Kelvin stock, we can use the Gordon Growth Model, which is:

Price = Dividend / (Required Rate of Return - Growth Rate)

Plugging in the values for Kelvin Company, we get:

Price = $1.50 / (14% - 7%)

Price = $1.50 / 7%

Price = $21.43

Therefore, the estimated selling price of Kelvin stock is $21.43.

For the second part of the question, we can use the CAPM formula to find the expected rate of return of the asset:

Expected Return = 5% + 1.5 * (8% - 5%)

Expected Return = 5% + 1.5 * 3%

Expected Return = 5% + 4.5%

Expected Return = 9.5%

Therefore, the expected rate of return of the asset is 9.5%.

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You have been appointed policy advisor of the country Economia. The country is an open economy, has a floating exchange rate regime and uses the Econ as its currency. The government is trying to understand the effect of the following shocks on the exchange rate (????????co????/????), the home and foreign price level and real money balances.
Use the fundamental equation of the monetary approach to advise the government on the effect of each of these shocks.
a. A decrease in foreign money supply
b. An increase in home real income
c. A decrease in the home nominal interest rate
d. A decrease in the foreign nominal interest rate

Answers

The fundamental equation of the monetary approach states that the exchange rate is dependent on the home and foreign price levels, the home and foreign nominal interest rates, and the real money balances in the two countries.

A decrease in foreign money supply will lead to an appreciation of the exchange rate as the demand for the home currency increases.

An increase in home real income will lead to an appreciation of the exchange rate as domestic demand for foreign goods increases and domestic supply of foreign goods decreases.

A decrease in the home nominal interest rate will cause an appreciation of the exchange rate as it reduces the cost of borrowing foreign currency, thus increasing demand for foreign goods.

A decrease in the foreign nominal interest rate will also cause an appreciation of the exchange rate as foreign investors are encouraged to borrow in the home currency and invest abroad. In general, a decrease in the nominal interest rate in either country will cause an appreciation of the exchange rate.

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In your own words,
What are the three things we need to prepare to lessen the
effect of financial fragility/crisis?
NOTE: Must be your own words. Don't
plagiarize.

Answers

Overall, the effect of financial fragility/crisis can be far-reaching and can have a negative impact on the economy and the financial stability of individuals and businesses. It is important for policymakers to take steps to prevent financial crises and to help mitigate their effects when they do occur.

The effect of financial fragility/crisis can be devastating for individuals, businesses, and the economy as a whole. Financial fragility is a situation in which an economy or financial system is vulnerable to shocks, such as a sudden drop in asset prices or an increase in interest rates. When a financial crisis occurs, it can lead to widespread bankruptcies, job losses, and a decline in economic growth.
One of the main effects of financial fragility/crisis is a decrease in consumer confidence and spending. When people are worried about their financial stability, they are less likely to spend money on goods and services, which can lead to a decrease in demand and a decline in business profits.
Another effect of financial fragility/crisis is an increase in unemployment. As businesses struggle to stay afloat, they may be forced to lay off workers or close their doors altogether, leading to job losses and an increase in the unemployment rate.
Financial fragility/crisis can also lead to a decline in asset prices, such as stocks and real estate. This can result in a loss of wealth for individuals and businesses, and can make it more difficult for people to borrow money or obtain credit.

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With workforce of 600 which has an annual loss rate 8% and a corporate downsizing policy that will reduce staffing level by 9.5%. Calculate the external supply and note that the company cannot downsize any more employees. What could be the different strategies to adjust with external supply?

Answers

The external supply is 543 - 48 = 495 employees, offering incentives and benefits to retain current employees and reduce the annual loss rate are strategies to adjust with external supply.

The external supply is the difference between the current workforce and the desired workforce after downsizing and accounting for the annual loss rate.

To calculate the external supply, we first need to determine the desired workforce after downsizing and the annual loss rate.

The desired workforce after downsizing is 600 * (1 - 0.095) = 543 employees.

The annual loss rate is 600 * 0.08 = 48 employees.

Therefore, the external supply is 543 - 48 = 495 employees.

Since the company cannot downsize any more employees, they need to find ways to adjust with the external supply. Some strategies could include:

- Offering training and development programs to increase the productivity and efficiency of current employees
- Implementing automation and technology to reduce the need for additional employees
- Outsourcing certain tasks to external companies or contractors
- Recruiting new employees to fill the gap between the current workforce and desired workforce
- Offering incentives and benefits to retain current employees and reduce the annual loss rate.

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You plan to buy the sailing boat of your dreams in 5 years. It is expected to cost a total of $20 000 at that time. You have deposited $8 000 in a Certificate of Deposit paying 4% interest annually, maturing 5 years from now. Your parents have agreed to pay for all remaining expenses. If you are going to put your parents’ gift in an investment earning 7% over the next 5 years, how much must they deposit today, so you buy your boat 5 years from today?

Answers

The Present Value formula is PV = FV / (1 + r) ^ n, where PV is the present value, FV is the future value, r is the interest rate, and n is the number of years.

In this case, we know the future value of the boat is $20 000, and we need to find the present value of the remaining amount after subtracting the $8 000 from the Certificate of Deposit. So, the remaining amount is $20 000 - $8 000 = $12 000.

Using the Present Value formula, we can plug in the values and solve for PV:

PV = $12 000 / (1 + 0.07) ^ 5
PV = $12 000 / 1.40255
PV = $8 558.62

Therefore, your parents must deposit $8 558.62 today in an investment earning 7% over the next 5 years in order for you to buy your boat 5 years from today.

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Research costs:
Should be charged to expense when incurred.
Include periodic alternatives to existing products.
Are intangible assets.
Are usually small in dollar amount.

Answers

Research costs are considered to be intangible assets, as they are not physical in nature but still have value to the company. These costs should be charged to expense when incurred, as they are necessary for the development of new products or improvements to existing products.

It is important to note that intangible assets, such as research costs, are not always easily quantifiable and may require special accounting treatment. However, they are still valuable assets that can contribute to a company's success and should be accounted for properly.

In summary, research costs are intangible assets that should be charged to expense when incurred, may include periodic alternatives to existing products, and are not always small in dollar amount.

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When receiving merchandise, if there is a question about product quality, the
receiving clerk should:
(a) refuse to pay for the shipment
(b) send the shipment back immediately on the next delivery
(c) ask the delivery driver to leave a substitute product
(d) ask the buyer and/or general manager to examine the shipment before taking any
further actionIs (d) correct?

Answers

When receiving merchandise, if there is a question about product quality, the receiving clerk should: ask the buyer and/or general manager to examine the shipment before taking any further action. Therefore the correct option is option D.

When receiving merchandise, if there is a question about product quality, the receiving clerk should ask the buyer and/or general manager to examine the shipment before taking any further action.

This is the most professional and appropriate way to handle the situation, as it allows for a proper assessment of the quality issue and ensures that any further actions taken are informed and justified.

Refusing to pay for the shipment, sending it back immediately, or asking for a substitute product without first examining the shipment may result in unnecessary complications or misunderstandings.

Therefore the correct option is option D.

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What is the modified duration of a semiannual-pay 9.5 percent coupon bond with 10 years to maturity and a yield to maturity of 10.5 percent? Answer to two decimals, carry intermediate calcs. to four decimals.Assume 1,000 par value and semi annual compounding

Answers

The modified duration of the semiannual-pay 9.5 percent coupon bond with 10 years to maturity and a yield to maturity of 10.5 percent is 7.96.

The modified duration of a bond is a measure of the bond's sensitivity to changes in interest rates. It is calculated as the Macaulay duration divided by (1 + yield/number of coupon payments per year).

Step 1: Calculate the Macaulay duration of the bond using the following formula:
Macaulay duration = (sum of (t x PV(Ct)) + (T x PV(FV))) / PV(Bond)

where:
t = time period
PV(Ct) = present value of the coupon payment at time t
T = maturity
PV(FV) = present value of the face value
PV(Bond) = present value of the bond

Step 2: Plug in the given values into the formula:

Macaulay duration = (sum of (t x PV(Ct)) + (10 x PV(1000))) / PV(Bond)
= (sum of (t x 47.5/(1.0525^t)) + (10 x 1000/(1.0525^10))) / (sum of (47.5/(1.0525^t)) + (1000/(1.0525^10)))
= 8.3747

Step 3: Calculate the modified duration using the formula:
Modified duration = Macaulay duration / (1 + yield/number of coupon payments per year)
= 8.3747 / (1 + 0.105/2)
= 8.3747 / 1.0525
= 7.9576

Step 4: Round the answer to two decimals:
Modified duration = 7.96

Therefore, the modified duration of the semiannual-pay 9.5 percent coupon bond with 10 years to maturity and a yield to maturity of 10.5 percent is 7.96.

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How do you develop and implement contingency plans for the operational plan? Give 4 examples of contingency planning options and describe how to manage risks, use risk assessment matrixes and develop some strategies you can put into place to reduce the risk.

Answers

To develop and implement contingency plans for the operational plan, it is important to first identify potential risks or disruptions that could affect the business. Once these risks have been identified, a risk assessment matrix can be used to evaluate the likelihood and impact of each risk. Based on this assessment, strategies can be developed to reduce or mitigate the risk. These strategies may include backup plans, alternative suppliers, or additional resources.

Four examples of contingency planning options are:
1. Backup plans: Having a backup plan in place can help ensure that business operations can continue even if a risk or disruption occurs. This may include having backup systems or processes in place, or having alternative suppliers or resources available.
2. Alternative suppliers: If a key supplier is unable to provide the necessary goods or services, it is important to have alternative suppliers identified and available to step in if needed.
3. Additional resources: In the event of a disruption or risk, having additional resources available, such as extra staff or equipment, can help minimize the impact on the business.
4. Insurance: Insurance can help protect the business from financial losses in the event of a risk or disruption.

To manage risks, it is important to regularly monitor and assess potential risks, and to update contingency plans as needed. This may include conducting regular risk assessments, reviewing and updating contingency plans, and ensuring that all staff are aware of and trained on contingency plans. By implementing contingency plans and regularly monitoring and assessing risks, businesses can help reduce the likelihood and impact of potential disruptions.

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Self-regulation can lead to financial crises and corporate
scandals’ – Use theories and examples discussed in class to what
assess to what extent is this statement true

Answers

Yes, self-regulation can lead to financial crises and corporate scandals.

For example, according to the efficient market hypothesis (EMH), self-regulation in financial markets can create instability as investors' confidence and irrational optimism can lead to asset bubbles, overvaluation and ultimately financial crises.

Similarly, the principal-agent problem, which occurs when an individual or organization is acting on behalf of another, can lead to conflicts of interests, creating misaligned incentives between agents and principals that can lead to corporate scandals.

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A bond with a remaining maturity of 5 years pays a coupon of 8%.
If the face (par) value of the bond is £1000 and the yield on
similar bonds is 10%, what is the duration for this bond??

Answers

The duration of a bond is a measure of the bond's sensitivity to changes in interest rates. The duration for this bond 4.37 years.


To calculate the duration of this bond, we need to calculate the present value of each cash flow and then calculate the weighted average of the time to receive them. The formula for the present value of a cash flow is:

PV = C / (1 + r) ^ t

Where C is the cash flow, r is the yield, and t is the time to receive the cash flow.

The bond pays a coupon of 8% on a face value of £1000, which is £80 per year. The bond has a remaining maturity of 5 years, so the cash flows are:

Year 1: £80
Year 2: £80
Year 3: £80
Year 4: £80
Year 5: £1080 (the final coupon payment plus the face value)

The yield on similar bonds is 10%, so we can use this as the discount rate to calculate the present values of the cash flows:

PV1 = 80 / (1 + 0.10) ^ 1 = 72.73
PV2 = 80 / (1 + 0.10) ^ 2 = 66.12
PV3 = 80 / (1 + 0.10) ^ 3 = 60.11
PV4 = 80 / (1 + 0.10) ^ 4 = 54.64
PV5 = 1080 / (1 + 0.10) ^ 5 = 666.34

The total present value of the bond is the sum of the present values of the cash flows:

PV = 72.73 + 66.12 + 60.11 + 54.64 + 666.34 = 919.94

The duration of the bond is the weighted average of the time to receive the cash flows, where the weights are the present values of the cash flows:

Duration = (1 * 72.73 + 2 * 66.12 + 3 * 60.11 + 4 * 54.64 + 5 * 666.34) / 919.94 = 4.37

Therefore, the duration of this bond is 4.37 years.

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Lyft Case Study – Global Strategy
In recent years, several tech start-ups have grown in size and scale to become dominate players in the modern global economy. Amongst these are Lyft Inc and Uber Inc, both American tech start-ups offering ridesharing services. Lyft was launched in 2012 under the name Zimride, changing the name to Lyft in May 2013, and it is viewed as a smaller rival to Uber.
Lyft was initially only a ridesharing/ride hailing firm, but has since expanded into offering vehicles for hire, a bicycle sharing system, motorised scooters, and more recently food delivery. In 2017, Lyft entered the food delivery service, initially partnering with Taco Bell for a short period. In 2020, the firm entered a partnership with another tech start up, GrubHub to develop a takeout delivery service. This strategic move was chiefly undertaken in response to the outbreak of COVID-19 and reduced ridership.
The scooter services offered by Lyft are motorised scooters that can reach speeds of 15MPH; customers unlock them for a small charge, and then pay additional fees per minute of usage. In 2019, Lyft partnered with Segway-Ninebot, in order to offer a more durable scooter. Lyft had previously partnered with Chinese multinational, Xiaomi, for its scooter service, yet this relationship ended in 2018. Lyft’s car rental service is offered in partnership with the German multinational car rental service, Sixt. This allows Lyft customers to rent a vehicle through the Rental tab of the app. Customers can get a Lyft ride to a Sixt location where they can pick up the rental vehicle.
Lyft holds around 30% of the market share in ridesharing service in the US (second only to Uber), and in 2018 its revenues reached $2.2 billion. In 2018, there were 4.2 billion rides given by Lyft. Whereas Uber has an extensive global presence, as it pursed a rapid internationalisation strategy, Lyft is restricted to North America. This presents Lyft with the opportunity to learn from Uber’s global activity and strategy. When comparing Lyft and Uber, Lyft has made several attempts to present itself as the more ethical alternative to Uber. Lyft has taken this approach as in recent years Uber has experienced a series of public relations failures, with allegations of systemic sexism, sexual harassment, and a disregard for regulation (at a global level). Lyft has seized on this opportunity to present itself in a different light, with substantial donations to charity, and allowing customers to round up their fare to make a charity donation. However, these attempts to be viewed as a more ethical alternative have only been moderately successful.
The outbreak of COVID-19 has presented challenges and opportunities to Lyft. Lyft has launched a program called "Essential Deliveries", this service involves the delivery of medical supplies, test kits and meals for vulnerable individuals (with a focus on children or seniors) that can be picked up from distribution centres for contract free drop off. However, COVID-19 has provided disruptions for the firm, not only has there been a decrease in ridesharing and ride hailing activity, but it has also presented challenges for the Lyft Scooters segment of the business.
Lyft has appointed you as a consultant, once the current coronavirus pandemic is over, the company is considering investing overseas in Southeast Asia as global expansion is perceived at this time to be a potentially important element of the company’s long-term strategic goals. The country that Lyft is considering is Vietnam.
Apply the PESTLE model to analyse the external environment facing that Lyft would face in Vietnam and identify the key external factors which would impact the company.
Using Porter’s five forces framework, analyse the attractiveness of the industry
in which Lyft operate. Pay specific attention to the attractiveness of the industry in Vietnam.
Using the Integration–Responsiveness Grid, discuss which international strategy would be most appropriate for Lyft in Vietnam.

Answers

PESTLE Analysis includes political,  economic, technological, and social.

Porter's Five forces include Threat of new entrant, Bargaining power of suppliers , Threat of substitutes and Competitive rivalry

PESTLE Analysis:
Political: Vietnam has a stable political environment with a single-party socialist republic framework. However, the government has a strong control over the economy and there are restrictions on foreign investment.


Economic: Vietnam has a growing economy with a large population and increasing urbanization. This presents a potential market for Lyft's services.


Social: Vietnam has a young population with a high level of technology adoption, which could be beneficial for Lyft's app-based services.


Technological:
Vietnam has a growing technology sector and a high level of internet penetration, which could be beneficial for Lyft's app-based services.

Porter's Five Forces Analysis:
Threat of new entrants: The ride-hailing industry in Vietnam is already dominated by local players, such as Grab and Gojek, which could create challenges for Lyft in terms of gaining market share.


Bargaining power of suppliers: The suppliers in the ride-hailing industry are the drivers, who have a high level of bargaining power due to the shortage of drivers and the ability to switch between platforms.


Bargaining power of buyers: The buyers in the ride-hailing industry are the customers, who have a high level of bargaining power due to the availability of alternative options and the ability to switch between platforms.


Threat of substitutes: The ride-hailing industry in Vietnam faces competition from traditional transportation options, such as taxis and public transportation, as well as alternative options, such as bike and scooter sharing.


Competitive rivalry: The ride-hailing industry in Vietnam is highly competitive, with local players, such as Grab and Gojek, dominating the market.


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Read the following scenario before answering the questions that follow.
As the CEO of her company, one of Bethany’s annual priorities is to assist Anthony – her Chief Financial Officer (CFO) – in planning and calculating WorkWizard’s budget for the coming year. Every year, a key part of budgeting involves figuring out how best to divide the budget across potential investment opportunities. Although WorkWizard constantly identifies, and is inundated with, investment opportunities, the limited budget allocated to investments means that each opportunity needs to be carefully assessed. Once this is done, Bethany and her executive committee choose the most appropriate, and most financially-sound investment options, leaving the remainder of WorkWizard’s budget available for any expenses throughout the year.
In the past week, WorkWizard has received the following three investment proposals:
Option 1:
The first investment proposal is from Paper Trail, a company that specialises in utilising print media (such as newspapers, magazines, and flyers) to provide more publicity and exposure to businesses. In its proposal, Paper Trail details WorkWizard’s projected cash flow as a result of using its services over a five-year investment. Following an initial investment capital of R50,000, WorkWizard will receive cash inflows of R11,000 in year one, R7,500 in year two, R10,500 in year three, R12,000 in year four, and R15,000 in the final year.
Option 2:
The second investment proposal is from Data Detectives, a data consulting company comprising data analysts who are outsourced to companies to improve their data analysis capabilities. Through Data Detectives, companies are able to collect data about themselves and their clients, and analyse said data to draw conclusions around how to improve their services. Data Detectives also details WorkWizard’s projected cash flow as a result of using its services over a five-year investment period. Following an initial investment of R100,000, WorkWizard will receive cash inflows of R20,000 in year one, R25,000 in year two, R30,000 in year three, R15,000 in year four, and R40,000 in year five.
Option 3:
The third investment proposal is from The Green Agenda, a company focused on environmental sustainability and ensuring that companies (specifically large companies) remain environmentally conscious and lessen their impact on the environment. The Green Agenda has identified WorkWizard as being one such company that would benefit from its services, which range from introducing recycling initiatives to promoting a paperless workspace. In its proposal, The Green Agenda outlines WorkWizard’s projected cash flow through using its services over a five-year investment. Following an initial investment of R50,000, WorkWizard will receive cash inflows of R8,000 in year one, R10,000 in year two, R13,500 in year three, R16,500 in year four, and R13,000 in the final year as a result of efficiencies gained.
Based on the summaries of the proposals above, it is up to Bethany and her executive committee to decide which investment option to pursue, should any of them prove to be financially viable. In order to complete the necessary calculations, Bethany will be using an interest rate (required rate of return) of 6%. Additionally, Bethany’s CFO informs her that the internal rate of return that they will need for their calculations is also 6%. This is because he believes that they can earn a 6% return by investing in their own shares.
The current investment budget that Bethany and the executive committee have to plan with is limited at R100,000 for local investments. While Bethany may choose to use the budget to invest in one or more of the many investment proposals that WorkWizard is inundated with, she also has the option to invest the money in other investment assets, such as shares, bonds, or an alternative asset class.
Question 1
1.1 If Bethany chooses to reinvest the R100,000 local investment budget (at an internal rate of return of 6%) into purchasing shares in the company, calculate the FV of WorkWizard’s R100,000 investment, over a five-year period. (Max. 5 lines.)
1.2 If Bethany chooses to forego all investments, in favour of receiving a R100,000 cash inflow from one of WorkWizard’s external investors five years from now, what would the PV of that external investment (R100,000) be? (Max. 5 lines.)
Question 2
If you were the CEO of WorkWizard, which of the three investment options outlined in the case study would you choose to invest the R100,000 investment budget in? Your answer should include calculations around the net present value (NPV) of each investment, as well as a recommendation on whether or not to invest based on each option’s NPV and the allocated investment budget. Please note, this question is separate from Question 1. (Max. 30 lines.)

Answers

Answer 1.1

If Bethany chooses to reinvest the R100,000 local investment budget (at an internal rate of return of 6%) into purchasing shares in the company, the FV of WorkWizard’s R100,000 investment, over a five-year period would be:

FV = PV * (1 + r)^n

FV = R100,000 * (1 + 0.06)^5

FV = R100,000 * 1.3382255776

FV = R133,822.56

Answer 1.2

If Bethany chooses to forego all investments, in favour of receiving a R100,000 cash inflow from one of WorkWizard’s external investors five years from now, the PV of that external investment (R100,000) would be:

PV = FV / (1 + r)^n

PV = R100,000 / (1 + 0.06)^5

PV = R100,000 / 1.3382255776

PV = R74,730.16

Answer 2

If I were the CEO of WorkWizard, I would calculate the net present value (NPV) of each investment option to determine which one would be the most financially viable. The NPV of each investment option would be calculated as follows:

Option 1:

NPV = -R50,000 + (R11,000 / (1 + 0.06)^1) + (R7,500 / (1 + 0.06)^2) + (R10,500 / (1 + 0.06)^3) + (R12,000 / (1 + 0.06)^4) + (R15,000 / (1 + 0.06)^5)

NPV = -R50,000 + R10,377.36 + R6,677.01 + R8,838.65 + R9,056.18 + R10,610.36

NPV = -R4,440.44

Option 2:

NPV = -R100,000 + (R20,000 / (1 + 0.06)^1) + (R25,000 / (1 + 0.06)^2) + (R30,000 / (1 + 0.06)^3) + (R15,000 / (1 + 0.06)^4) + (R40,000 / (1 + 0.06)^5)

NPV = -R100,000 + R18,867.92 + R22,241.36 + R25,227.06 + R11,304.23 + R28,267.18

NPV = R5,907.75

Option 3:

NPV = -R50,000 + (R8,000 / (1 + 0.06)^1) + (R10,000 / (1 + 0.06)^2) + (R13,500 / (1 + 0.06)^3) + (R16,500 / (1 + 0.06)^4) + (R13,000 / (1 + 0.06)^5)

NPV = -R50,000 + R7,547.17 + R8,896.68 + R11,368.04 + R12,432.27 + R9,195.43

NPV = -R560.41

Based on the NPV calculations, Option 2 would be the most financially viable investment option, as it has the highest positive NPV of R5,907.75. Therefore, I would choose to invest the R100,000 investment budget in Option 2.

However, it is important to note that the allocated investment budget may not be sufficient to cover the initial investment of R100,000 for Option 2, so additional funding may need to be secured.

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What is the difference between integrated reporting and asocial performance report? Explain with examples

Answers

Integrated reporting and social performance reporting are two different types of reporting that companies use to communicate their performance and impact on various aspects of their business.

Integrated reporting is a comprehensive form of reporting that combines financial and non-financial information to provide a holistic view of a company's performance. It includes information about a company's strategy, governance, performance, and prospects in the context of its external environment. For example, an integrated report may include information about a company's financial performance, its impact on the environment, and its relationships with stakeholders.
On the other hand, social performance reporting focuses specifically on the social and environmental impact of a company's operations. It typically includes information about a company's social and environmental policies, programs, and performance. For example, a social performance report may include information about a company's carbon footprint, its community engagement activities, and its labor practices.
Both integrated reporting and social performance reporting are important tools for companies to communicate their performance and impact to stakeholders. However, integrated reporting provides a more comprehensive view of a company's performance, while social performance reporting focuses specifically on social and environmental issues.

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Outline: Introduction Mission Vision, Goals, and Objectives Practice Activities A Closer Look Voluntrip 1. Select the mission and vision statements 2. Write your own mission and vision statements. 3. Differentiate between goals and objectives. 4. Write your own goals and objectives

Answers

Mission and vision statements are statements that describe the purpose and direction of an organization. Mission statements explain why the organization exists and what it is trying to achieve. Vision statements describe the organization’s desired future state.

Goals and objectives, on the other hand, are more specific and actionable plans for achieving the mission and vision statements. Goals are broad statements of what an organization hopes to achieve in the long-term, while objectives are more specific, measurable, and time-based plans for achieving the goals.

For example, a mission statement for a volunteer organization might be “to empower communities by providing meaningful volunteer opportunities.” The corresponding vision statement might be “to create a world where everyone has access to meaningful volunteer opportunities, regardless of their socio-economic status.”

Goals for this organization might include increasing volunteer engagement, expanding the number of volunteer opportunities, and engaging more diverse communities. Objectives might include increasing the number of volunteer hours logged by 20% by the end of the year, offering at least five new volunteer opportunities by the end of the year, and recruiting volunteers from at least five new underserved communities by the end of the year.

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Building a balance scorecard is like a journey. Justify thestatementSWATprovid at least 5 valid points to justify the statement

Answers

The statement "building a balance scorecard is like a journey" is justified because it  requires a clear destination, commitment,collaboration,involves multiple steps,continuous process.

1. It requires a clear destination: Just like a journey, a balance scorecard needs a clear destination or goal to be effective. This means that the organization needs to have a clear understanding of its vision and mission in order to build a successful balance scorecard.
2. It involves multiple steps: Just like a journey, building a balance scorecard involves multiple steps that need to be taken in order to reach the destination. These steps include identifying key performance indicators, setting targets, and tracking progress.
3. It requires collaboration: Just like a journey, building a balance scorecard requires collaboration from different departments and teams within the organization. Each team needs to contribute their expertise and work together to achieve the overall goal.
4. It is a continuous process: Just like a journey, building a balance scorecard is a continuous process that requires ongoing monitoring and adjustments. This means that the organization needs to regularly review the balance scorecard and make changes as needed to stay on track.
5. It requires commitment: Just like a journey, building a balance scorecard requires commitment from the organization and its employees. Without commitment, the balance scorecard will not be effective in helping the organization achieve its goals.

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demonstrate the major methods that organization can use for
security attacks prevention.

Answers

Answer:

Secure your networks and databases. Protect your networks by setting up firewalls and encrypting information.

Educate your employees.

Create security policies and practices.

Know how to distinguish between fake antivirus offers and real notifications.

Inform your customers.

The major methods that organizations can use for security attacks prevention are:

1. Authentication

2. Encryption

3. Firewalls

4. Intrusion Detection and Prevention Systems

5. Security Awareness Training:

The major methods that organizations can use for security attacks prevention are:
1. Authentication: Authentication is the process of verifying a user's identity before they are granted access to an organization's systems. This can be done using passwords, security tokens, or biometric methods such as fingerprints or facial recognition.
2. Encryption: Encryption is the process of converting data into a coded form that cannot be read by unauthorized users. This helps to protect sensitive information from being intercepted during transmission.
3. Firewalls: A firewall is a security system that monitors and controls incoming and outgoing network traffic. It can be used to block unauthorized access to an organization's systems and prevent security attacks.
4. Intrusion Detection and Prevention Systems: These systems are designed to identify and respond to security threats in real-time. They can be used to detect and prevent unauthorized access to an organization's systems and data.
5. Security Awareness Training: One of the most effective ways to prevent security attacks is to educate employees about common security threats and how to protect against them. This can include training on password security, phishing scams, and other common security risks.

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Males have sitting knee heights that are normally distributed with a mean of 21.3 and s/d 1.2, Females have a mean of 19.9 in and a s/d of 1.1 . what is the minimum clearance required for safety of fitting 95% of men . True or False if 95% clearance for males ,there will certainly be clearance for all 5% of women. does the table fit anyone , what percentage. What percentage of womenfit the table. If someone gives you $5,000 to do a job what is the journalentry to recognize this $5,000 transaction?a. Once you have earned the $5,000 what is the journal entry torecord this? iven the polynomial 4x^(2)y^(4) - 9x^(2)y^(6), rewrite as a product of polynomials HELP I NEED IT ASAP PLS ILL GIVE BRAINLIEST TOO!! 100 POINTS!!! A race car drove around a circular track that was 0.4 mile. If 1 mile = 5,280 feet, what is the radius of the track, in feet? Use = 3.14 and round to the nearest hundredth. 107.11 feet 214.21 feet 336.31 feet 672.61 feet A healthy dose of skepticism is an important component of the nature of science when scientists evaluate their own results and the results of others. However, sometimes skepticism can work against science and suppress scientific progress. How does this phenomenon depend on who is controlling the narrative? ALGEBRA 1 HW!! I WILL GIVE BRAINLYEST FOR ANSWER the following questions ICEing at least four quotes from The Brief Wondrous Life of Oscar Wao including one quote from Ch 1, one from Ch 2 and two from Ch 3.How do Belis experiences compare and contrast with Lolas experiences with dating, men and the struggle for independence? ICE two quotes.How does her drive to date compare and contrast with Oscars obsessions with and relationships with girls/women Level EHow does Scene 2 build on Scene1?Scene 2 shows that Camilla must trainharder for softball than for her triviaquarterfinal.Scene 2 shows that Camilla's softballteam depends on her just as much asher trivia team does.Scene 2 shows that Camilla wouldrather be in a softball game than in atrivia bee.Scene 2 shows that Camilla's softballteammates are just as angry at her asher trivia teammates are.X What parts of the sequence were particularly hard to place? Why? How is an electrical signal converted to a chemical signal at 3 nerve terminal? Hew do transmitter-gated ion channels convert the chemical neurotransmitter back into an electrical signal carried by 3 signal? A large container of breath mints has a mass of 50 g. A small container has a mass of 32 g. What is the percent decrease from the mass of the large container to the mass of the small container? Irons is trying to lay out the bases for a game of kickball such that the infield is a square as shown. She would like bases to be 25 feet apart. She first placed home base and then places first and third base 25 feet from home baseHow far to the nearest tenth of a foot should first base and third base be from each other justify. Very late on a Saturday night, Jose, Manuel, and Fermine, who were casual acquaintances, were partying at a club. Jose was 21, while Manual and Fermine were 20 years old. All three had been drinking. Around 1:00 A.M., they piled into Manuels car and headed for a party about 20 miles away. As they were driving, Jose admitted that he had had a short affair with Fermines sister. Manuel pulled the car over and a fight began. By 3:00 A.M., Manuel and Fermine had broken Joses jaw, several of his ribs, and two bones in his neck. They kicked him about 50 times in the head and chest with steel-toed boots. During the fight, Jose and Fermine rolled into a drainage ditch. Manuel and Fermine left on foot, leaving their car behind. Manuel broke into a store and called 911 to summon aid for his badly bleeding hand. He made up a story to tell the police and got a ride home. Fermine ran to his brothers house, crying that he might have killed a man. His brother gave him clean clothes and drove him back to the ditch so he could collect things from the car and then leave the state. Fermine saw Jose in the ditch, sitting with his elbows on his knees. Fermine and his brother drove to agas station, where Fermine tossed his bloody clothes in a trash bin, and Fermine headed out of state. He drove past the ditch, noticed that Manuels car was gone, and assumed that Jose had been found. Manuel told his mother about the fight. Later that afternoon, Manuel drove back to the ditch with a friend. This friend later told police that the two of them saw Jose still alive and that he reached his hand toward them. They left without doing anything. That night Manuels mother went to the police at 7:30 P.M. It was 16 hours after the fight had begun. When the police arrived at the ditch, Jose was dead. During the time that Jose was in the ditch six people knew he was in the ditch and did nothing to help him. Medical examiners said later that Jose could have been saved had any of the witnesses called for help.1. Who are the principals in the crime of murder?2. What is the guilty state of mind for murder?3. What is the motive in this case for murder?4. Are there any accessories before the fact? If so who?5. Are there any accessories after the fact? If so, who?6. Is there any crime of omission? If so, what?7. What should happen to the six people who knew that Jose was in the ditch but did nothing?8. Is there any civil suit that can be brought? If so, what?9. Is this murder a federal or state crime? Why?10. Is murder a felony or misdemeanor? How do you know? Write an equation for a line parallel to y = 2 x + 1 and passingthrough the point (1,5)