which of the following are steps in creating a diversified company's corporate strategy? (choose every correct answer.) multiple select question. initiating actions to boost the combined performance of the company's collection of businesses picking new industries to enter and the means for entering them leveraging cross-business value chain relationships into competitive advantage requiring corporate executives to become involved in all details of business-level strategies

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Answer 1

The steps in creating a diversified company's corporate strategy are (a). Initiating actions to boost the combined performance of the company's collection of businesses, picking new industries to enter and the means for entering them, and leveraging cross-business value chain relationships into competitive advantage are steps in creating a diversified company's corporate strategy is correct option.

However, requiring corporate executives to become involved in all details of business-level strategies is not a step in creating a diversified company's corporate strategy, as it goes beyond the scope of corporate strategy and into the realm of business-level strategy implementation.

Therefore, the correct option is (a) .

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suppose that a tariff increases domestic production of a good from 25 million units to 75 million units and raises the domestic price by $1.50. assuming a linear domestic supply curve and a perfectly elastic world supply curve, what is the value of the resources wasted by increased domestic production?

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The value of the resources wasted by increased domestic production is $56.25 million.

DWL is the loss of consumer and producer surplus that occurs when a tax or tariff is imposed, leading to a decrease in efficiency in the market.

We can use the following formula to calculate the DWL:

DWL = 0.5 * (P2 - P1) * (Q2 - Q1)

Where:

P1 = world price of the good

P2 = domestic price of the good after the tariff

Q1 = quantity demanded at the world price

Q2 = quantity supplied domestically after the tariff

From the given information, we know that:

P1 = world price = domestic price before the tariff

P2 = domestic price after the tariff = P1 + $1.50 = $P1 + $1.50

Q1 = quantity demanded at the world price = 75 million units

Q2 = quantity supplied domestically after the tariff = 75 million units

To find P1, we need to use the fact that the world supply curve is perfectly elastic. This means that the world price will not change due to the change in domestic production. Therefore, we have:

P1 * Q1 = P2 * Q2

P1 * 25 million = (P1 + $1.50) * 75 million

25P1 = 75P1 + $112.5 million

-50P1 = $112.5 million

P1 = -$2.25 million (This is not a realistic price, so we will assume that the world price is $0)

Now we can calculate the DWL:

DWL = 0.5 * ($1.50) * (75 million - 25 million)

DWL = $56.25 million

Therefore, the value of the resources wasted by increased domestic production is $56.25 million.

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Organizations that help investors trade securities created by corporations and the government are called
a. Financial intermediaries.
b. Brokerage firms.
c. Federal Reserve Boards.
d. Banks.
e. None of the above.

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Organizations that help investors trade securities created by corporations and the government are called brokerage firms.

Brokerage firms facilitate the buying and selling of securities, such as stocks, bonds, and mutual funds, for investors. They provide a platform for investors to trade securities issued by corporations and the government.

Brokerage companies serve as a conduit for their client's transactions with the stock market. On behalf of their clients, they mostly buy and sell financial instruments, including stocks. Brokers combine their resources to assist their clients in negotiating the rules of the stock market. Security markets perform two tasks: they assist businesses in raising money by facilitating the initial public offering of their stock. Investors have a venue to trade already issued stock thanks to them.

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assume the economy of sweden is in long-run equilibrium and has a surplus in its current account. (a) is the swedish capital and financial account in deficit, surplus, or in balance? explain.

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it is likely that the Swedish capital and financial account is in surplus as well.

If the economy of Sweden is in long-run equilibrium and has a surplus in its current account, this means that the country is exporting more than it is importing. This is because foreign investors would need to purchase Swedish currency in order to invest in the country, leading to an increase in the demand for Swedish krona and an inflow of foreign capital. As a result, the capital and financial account would likely be in surplus to balance the surplus in the current account.

The capital and financial account records the flow of capital into and out of the country. It includes foreign investment, loans, and purchases of assets like stocks and bonds. In the context of a surplus in the current account, the capital and financial account must be in a deficit to balance the overall balance of payments.

In other words, if there is a surplus in the current account, it implies that there is a net inflow of foreign currency into Sweden. To balance this, there must be an outflow of domestic currency from Sweden to other countries. This outflow would occur through the capital and financial account, as foreigners invest in Sweden, purchase assets denominated in Swedish krona, or lend money to Swedish entities.

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Staples is the company
(a) Describe the two types of conflicting competitive pressures (localization/standardization) that a company will confront as it formulates its international/global strategy for entering a country of your choice.
(b) What recommendations (and strategy) would you offer to address these conflicting demands? Provide the rationale for your recommendations.

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When a company like Staples formulates its global strategy for entering a new country, it will inevitably face conflicting competitive pressures. These pressures can be broadly categorized as localization and standardization.

Localization refers to the need to adapt products, services, and marketing strategies to the local market. For example, in a country like Japan, where gift-giving is an important cultural practice, Staples may need to modify its product offerings to include items that are popular as gifts. Localization also involves adapting to local laws and regulations, such as those governing product safety and labeling.

Standardization, on the other hand, emphasizes consistency and uniformity across markets. This approach can lead to cost savings and greater efficiency, as the company can produce and market products on a global scale. However, it may also lead to a lack of responsiveness to local market conditions and customer preferences.

To address these conflicting demands, I would recommend a hybrid strategy that combines elements of both localization and standardization. This approach involves identifying commonalities across markets and standardizing those aspects of the business that can be standardized, while also adapting to local market conditions and customer preferences where necessary.

For example, Staples could adopt a standardized approach to inventory management and supply chain logistics, which would enable the company to realize cost savings and efficiencies. At the same time, the company could tailor its product offerings and marketing strategies to the local market, taking into account cultural norms, customer preferences, and local regulations.

Overall, a hybrid strategy that balances localization and standardization can help companies like Staples achieve a competitive advantage in a global marketplace while also meeting the demands of local markets.

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based on the percentage of fortune 500 companies that have maintained their ranking on this list, the competitiveness of these companies is best described as:

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Based on the percentage of Fortune 500 companies that have maintained their ranking on this list, the competitiveness of these companies can be described as "high."

The fact that a significant number of companies have consistently remained on this list indicates that they have been able to sustain their success and adapt to changing market conditions, which requires a high level of competitiveness.

Additionally, the fact that there is turnover in the rankings each year suggests that new companies are also able to compete and succeed in the market.

Therefore, the word needed in the statement here is the "high"

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restrictions on the transfer or exchange of a given foreign country's currency is an example of an economic risk. t/f

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The given statement "Restrictions on the transfer or exchange of a given foreign country's currency is an example of an economic risk" is true, because they can create uncertainty and challenges for businesses involved in international trade and finance.

Economic risk refers to the likelihood that macroeconomic conditions, such as changes in government regulations or policy, will adversely affect the financial prospects or operations of a company.

Restrictions on the transfer or exchange of a foreign country's currency are often imposed by governments to control the flow of capital, stabilize the economy, or manage exchange rates.

These restrictions can take various forms, such as capital controls, exchange rate controls, or transaction limits. They can affect international trade, investment, and financial transactions, posing challenges for businesses operating in or with that country.

When a company faces restrictions on currency transfers or exchanges, it may struggle to access foreign markets, repatriate profits, or secure financing, which can negatively impact its financial performance and growth prospects.

This represents an economic risk for the company, as its ability to achieve its financial objectives is hindered by external factors beyond its control.

In summary, restrictions on the transfer or exchange of a foreign country's currency are an example of an economic risk, as they can create uncertainty and challenges for businesses involved in international trade and finance.

These risks stem from changes in government policy or macroeconomic conditions that can adversely affect a company's operations and financial prospects.

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which of the following is an example of an adaptive change in an organization? multiple choice question. introducing a technique that is new to the organization's industry introducing a method that is new to the organization reintroducing a practice familiar to the organization introducing an innovative change suggested by the organization's top management

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The example of an adaptive change in an organization is reintroducing a practice familiar to the organization.

An adaptive change is a type of change in an organization that involves making modifications to existing processes, practices, or policies in order to improve the efficiency or effectiveness of the organization. It is a change that does not fundamentally alter the organization's mission, vision, or core values, but rather makes incremental improvements to the way things are done.

Reintroducing a practice familiar to the organization is an example of an adaptive change because it involves going back to a previous way of doing things that the organization has already tried and tested in the past.

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Moxley Corporation had January 1 and December 31 balances as follows. 1/1/20 12/31/20 Inventory $ 95,000 $ 113,000 Accounts payable $ 61,000 $ 69,000 For 2020, cost of goods sold was $ 500,000. Compute Moxley's 2020 cash payments to suppliers. Cash payments to suppliers $_____________

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To calculate Moxley Corporation's 2020 cash payments to suppliers, we need to use the formula:
Cash payments to suppliers = Accounts payable at the beginning of the year + Purchases - Accounts payable at the end of the year

First, we need to calculate purchases, which is equal to cost of goods sold plus the increase in inventory:

Purchases = Cost of goods sold + (Ending inventory - Beginning inventory)
Purchases = $500,000 + ($113,000 - $95,000)
Purchases = $518,000

Now we can calculate the cash payments to suppliers:
Cash payments to suppliers = $61,000 + $518,000 - $69,000
Cash payments to suppliers = $510,000

Therefore, Moxley Corporation's 2020 cash payments to suppliers was $510,000.

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the basic rules governing how a corporation is organized and how it conducts its business are known as .

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The basic rules governing how a corporation is organized and how it conducts its business are known as corporate bylaws.

These bylaws outline the structure and governance of the corporation, including the roles and responsibilities of the board of directors, officers, and shareholders.

They also define the procedures for holding meetings, voting on important decisions, and managing the company's finances. Corporate bylaws are essential for maintaining order and accountability within a corporation, and they are often required by state law.

Therefore, they provide a clear framework for decision-making and help to ensure that the corporation operates in compliance with legal and ethical standards.

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For years, Kathleen served as head of the research and development (R&D) department at Bannerman Pharmaceuticals in Chicago. She enjoyed enormous support from her team, who liked her personally and respected her professionally. Now she has retired, and her place has been taken by Jerome from Bannerman's Cleveland facility. Yet employees continue to sidestep Jerome and come directly to Kathleen for guidance, calling or emailing her at home with questions. What is her best course of action?

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Kathleen's best course of action would be to respectfully and firmly redirect her former team members to seek guidance and direction from Jerome, the new head of the R&D department.

She can explain that she is no longer in that position and that Jerome has the knowledge and expertise to provide the necessary guidance. Kathleen can also offer to provide guidance to Jerome if he needs it, in order to ensure that the department runs smoothly and that the team members receive the support they need.

It's important for Kathleen to establish boundaries and encourage her team to trust and rely on Jerome, while also being available to offer her support and guidance if necessary.

Overall, Kathleen should aim to strike a balance between being supportive of her former team and respecting the authority of the new department head. By doing so, she can help facilitate a smooth transition of leadership and ensure the ongoing success of the R&D department.

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agglomeration advantages may stem from: group of answer choices a.haven currencies. b.knowledge spillovers. c.an unskilled labor force. d.a lack of specialized suppliers.

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The agglomeration advantages may stem from knowledge spillovers. When firms and industries are clustered together in a specific location, they have greater opportunities to share ideas and information with one another.

This sharing of knowledge can lead to increased innovation and productivity, which ultimately benefits the entire cluster. While other factors such as a lack of specialized suppliers or an unskilled labor force can hinder economic growth, it is the exchange of ideas and collaboration that is at the heart of agglomeration advantages. Agglomeration advantages may stem from knowledge spillovers (choice b). This occurs when businesses and industries cluster together, allowing them to share ideas, resources, and innovations, ultimately benefiting all parties involved.

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which of the following statements is correct regarding a defined contribution pension plan?multiple choice question.the employer promises to contribute a specified percentage of its employees' pay to a pension plan.the employees are required to contribute a specified percentage of their pay to a pension plan.the employer promises that its employees will receive a specific percentage of their current pay after retirement.

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The answer is the employer promises to contribute a specified percentage of its employees' pay to a pension plan. an outlined pension arrangement The business agrees to contribute a certain portion of each employee's salary to a pension plan.

The quantity of mandatory pension plan contributions is specified in defined contribution (DC) pension plans. If the plan is a contributing one, both the employer and the member must contribute in order for the member to get pension benefits.

The NPS-Corporate model gives businesses a way to contribute to employee pensions. The company can reduce costs paid by self-managing pension functions such creating a separate trust, keeping records, managing funds, and giving annuities.

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(Present value and time) An investment promises to return $20,000 in 1 year while a second investment promises to return $186,350 in 30 years. Investors re- quire an 8% rate of return from both investments.
a. What is the present value of each investment? b. What happens to the present value of each invest- ment if the required rate of return rises to 10%? c. What happens to the present value of each invest- ment if the required rate of return falls to 6%? d. Why do the present values change this way?

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The present value of each investment is $18,518.52 and $19,782.21, the present value of each investment if the required rate of return rises to 10% is $18,181.82 & $10,734.90, the present value of each investment if the required rate of return falls to 6% is $18,867.92 & $31,788.63, and it changes this way because the required rate of return is used to discount future cash flows.

We use some formula to calculate the value of each investment:

a. Present value of each investment:

PV = FV / (1 + r)^t

Where PV is the present value, FV is the future value, r is the required rate of return, and t is the time.

For the first investment, PV = $20,000 / (1 + 0.08)^1 = $18,518.52
For the second investment, PV = $186,350 / (1 + 0.08)^30 = $19,782.21

b. If the required rate of return rises to 10%, the present value of each investment will decrease. The formula is:

For the first investment, PV = $20,000 / (1 + 0.1)^1 = $18,181.82
For the second investment, PV = $186,350 / (1 + 0.1)^30 = $10,734.90

c. If the required rate of return falls to 6%, the present value of each investment will increase. The formula is:

For the first investment, PV = $20,000 / (1 + 0.06)^1 = $18,867.92
For the second investment, PV = $186,350 / (1 + 0.06)^30 = $31,788.63

d. The present values change this way because the required rate of return is used to discount future cash flows. As the required rate of return increases, the discounting factor becomes larger, leading to a lower present value. Conversely, as the required rate of return decreases, the discounting factor becomes smaller, leading to a higher present value. This is the basic concept of the time value of money, where money is worth more today than in the future due to inflation and the opportunity cost of not investing the money elsewhere.

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a company should consider the list of possible remediation plans as an investment plan that requires immediate action. True or fasle

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The given statement, "When a company identifies potential remediation plans, it should treat them as investment plans because they require immediate action to address any issues or risks" is true.

Investing in remediation plans can help mitigate any negative impact on the company's operations, reputation, and financial performance. Remediation plans help in addressing issues and improving the overall performance of the company, making it a worthwhile investment for long-term success.

Therefore, it is essential to prioritize and implement remediation plans as part of the company's overall investment strategy.

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arthur wants to repay the full amount to have a zero balance. how much should arthur pay if his online payment is processed on may 1?

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Arthur should pay $302.40 to have a zero balance if his online payment is processed on May 1.

To determine the amount that Arthur should pay to have a zero balance, we need to add up all the outstanding balances on his credit card.

As of April 1, Arthur owed $500 on his credit card.

He made a $200 payment on April 15, leaving a balance of $300.

Interest is charged at a rate of 1.5% per month, so the interest on the $300 balance for the period April 15 to May 1 would be:

$300 * 1.5% * (16/30) = $2.40

Therefore, Arthur's total outstanding balance as of May 1 would be:

$300 + $2.40 = $302.40

To have a zero balance, Arthur would need to pay off the full $302.40 amount on his credit card when his online payment is processed on May 1.

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cosi company uses a job order costing system and allocates its overhead on the basis of direct labor costs. cosi expects to incur $710,000 of overhead during the next period, and expects to use 41,000 labor hours at a cost of $10.00 per hour. what is cosi company's predetermined overhead rate?

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The predefined overhead rate for Cosi Corporation is therefore 173.17%, or 1.7317. In other words, each work will be charged $1.73 in overhead expenses for every dollar in direct labour expenses expended.

In order to get the predefined overhead rate for Cosi Company, we must divide the projected total overhead expenses by the estimated total cost of the direct labour cost, which serves as the allocation basis.

The projected number of labour hours and the labour cost per hour are multiplied to create the direct labour cost:

41,000 labor hours × $10.00 per hour = $410,000 direct labor cost

Here the predetermined overhead rate is:

Predetermined overhead rate = Estimated total overhead costs ÷ Estimated total direct labor cost

Predetermined overhead rate = $710,000 ÷ $410,000

Predetermined overhead rate = 1.7317 or 173.17% rounded to the nearest hundredth.

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a stock is selling today for $40 per share. at the end of the year, it pays a dividend of $2 per share and sells for $44. a. what is the total rate of return on the stock? (enter your answer as a whole percent.) b. what are the dividend yield and percentage capital gain? (enter your answers as a whole percent.) c. now suppose the year-end stock price after the dividend is paid is $36. what are the dividend yield and percentage capital gain in this case? (negative amounts should be indicated by a minus sign. enter your answers as a whole percent.)

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a) The total rate of return = (2 + 4) / 40 = 0.15 or 15%.

b)  0.05 or 5%. are the dividend yield and percentage capital gain.

c)  There is a loss of 15% on the investment.

a. The total rate of return on the stock is (dividend + capital gain) / initial price.

Dividend = $2 per share, capital gain = ($44 - $40) = $4 per share.

So, the total rate of return = (2 + 4) / 40 = 0.15 or 15%.

b. Dividend yield = dividend / initial price = 2 / 40 = 0.05 or 5%.

Percentage capital gain = (final price - initial price - dividend) / initial price

= (44 - 40 - 2) / 40 = 0.05 or 5%.

c. Dividend yield = dividend / initial price = 2 / 40 = 0.05 or 5%.

Percentage capital gain = (final price - initial price - dividend) / initial price

= (36 - 40 - 2) / 40 = -0.15 or -15%. Here, there is a loss of 15% on the investment.

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chwegg during the current year, ron and anne sold the following assets: (use the dividends and capital gains tax rates and tax rate schedules.) capital asset market value tax basis holding period l stock $ 52,800 $ 42,400 > 1 year m stock 30,800 40,400 > 1 year n stock 32,800 23,400 < 1 year o stock 28,800 34,400 < 1 year antiques 9,800 5,400 > 1 year rental home 302,800* 91,400 > 1 year *$30,000 of the gain is 25 percent gain (from accumulated depreciation on the property). ignore the net investment income tax. problem 7-48 part-a (algo) a. given that ron and anne have taxable income of only $22,800 (all ordinary) before considering the tax effect of their asset sales, what is their gross tax liability for 2022 assuming they file a joint return?

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Their gross tax liability for 2022 assuming they file a joint return $40,182

the capital gain or loss on each asset:

L stock: $52,800 - $42,400 = $10,400 capital gain (held >1 year)

M stock: $30,800 - $40,400 = -$9,600 capital loss (held >1 year)

N stock: $32,800 - $23,400 = $9,400 capital gain (held <1 year)

O stock: $28,800 - $34,400 = -$5,600 capital loss (held <1 year)

Antiques: $9,800 - $5,400 = $4,400 capital gain (held >1 year)

Rental home: $302,800 - $91,400 = $211,400 capital gain (held >1 year)

Taxable income = $22,800 (ordinary income) + $10,400 + (-$9,600) + $9,400 + (-$5,600) + $4,400 + $30,000 + ($181,400 x 0.15)

= $235,200

Tax on ordinary income = $22,800 x 0.24 = $5,472

Tax on long-term capital gains (excluding depreciation recapture) = $181,400 x 0.15 = $27,210

Tax on depreciation recapture = $30,000 x 0.25 = $7,500

Their total gross tax liability for 2022 is $40,182 ($5,472 + $27,210 + $7,500).

Tax liability refers to the amount of taxes a company owes to the government based on its taxable income. Taxable income is calculated by subtracting allowable deductions and exemptions from total revenue earned during a fiscal year. The resulting amount is the taxable income, which is subject to taxation at a certain rate determined by the government.

The tax liability of a business can vary depending on factors such as the type of business entity, the nature of its operations, and the country or state where it is located. Business owners are required to file tax returns and pay taxes on time to avoid penalties and interest charges. Failure to comply with tax laws can lead to legal consequences such as fines, interest charges, and even criminal charges.

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The before-tax cost of debt, which is lower than the after-tax cost, is used as the component cost of debt for purposes of developing the firm's WACC.A. TrueB. False

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The given statement, "The before-tax cost of debt, lower than the after-tax cost of debt, is used as the main component cost of debt for developing the firm's WACC," is false because the after tax cost is used as a component of WACC.

The after-tax cost of debt is the interest rate of debt (bonds, loans) after deducting the income tax savings. It is the average interest rate multiplied by (1 - tax rate).

WACC stands for Weighted Average Cost of Capital. WACC is the representation of all the after-tax cost of capital of any firm or business entity, from all of the possible sources.

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free trade: group of answer choices permits people to buy and sell where they please establishes artificial barriers to trade allows companies to conduct business without licenses is also called protectionism relies on bartering as its primary means of exchange

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Free trade permits people to buy and sell where they please.

Free trade is a system of international trade where governments do not impose restrictions on imports and exports between countries. It allows people and businesses to buy and sell goods and services across borders without excessive government intervention, tariffs, or other barriers.

Free trade promotes competition, which can lead to greater efficiency and innovation as companies strive to improve their products and processes to stay ahead of their competitors. It also allows countries to specialize in producing goods and services that they are most efficient at producing, which can result in lower costs and increased productivity.

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at work, you are on a team of people searching for a new ceo. everyone agrees the new ceo needs to have excellent leadership skills, so your team starts writing the job description. which phrase would you use in the job description to reflect your search for a leader? looking for candidates skilled in safety and quality control seeking a dispassionate problem solver searching for a change agent and creative thinker hiring an experienced policy administrator

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The phrase that would reflect your team's search for a leader with excellent leadership skills would be "searching for a change agent and creative thinker". This phrase indicates that your team is looking for someone who can lead change and innovation while also possessing critical thinking skills.

When a team is searching for a leader with excellent leadership skills, it is important to choose a phrase that accurately reflects the qualities and attributes that the team is looking for in a candidate. In this case, the phrase "searching for a change agent and creative thinker" would be an appropriate choice.

A "change agent" is a leader who has the ability to identify areas of improvement, create a vision for the future, and inspire and lead others towards achieving that vision. This type of leader is able to recognize the need for change and can develop and implement strategies to bring about that change.

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the mean price of suv in the region is $45,000. a test is conducted to see if the claim is true. how do you write the alternative hypotheses?

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To address this question about writing the alternative hypotheses for the claim that the mean price of SUVs in the region is $45,000, you need to consider two possibilities.
The null hypothesis (H0) states that there is no significant difference between the observed and expected values. In this case, it would be:
H0: μ = $45,000
The alternative hypothesis (H1) is the opposite of the null hypothesis, suggesting that there is a significant difference between the observed and expected values. In this case, you can consider two possibilities:
1. H1: μ ≠ $45,000 (two-tailed test, where the mean price can be either higher or lower than $45,000)
2. H1: μ > $45,000 or H1: μ < $45,000 (one-tailed test, where you only look for the mean price being either higher or lower than $45,000, respectively)

Choose the appropriate alternative hypothesis based on the objective of your study.

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True or False? Carl Linnaeus classified all humans as members of the same species and subspecies.

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The given statement: Carl Linnaeus classified all humans as members of the same species and subspecies is FALSE.

Carl Linnaeus did not classify all humans as members of the same species and subspecies. In his classification system, he categorized humans as a separate species from other primates and divided humans into four different varieties or races.

However, it's important to note that Linnaeus' racial categorization was based on superficial physical differences, such as skin color and facial features, rather than genetic or biological distinctions.

Furthermore, Linnaeus' classification system has been widely criticized for its racial biases and inaccuracies. Modern biological classification systems have moved away from race-based categorization and instead focus on genetic and biological traits to define species and subspecies.

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which of the following is a reason to invest in mutual funds? group of answer choices mutual funds earn tax-free returns. mutual funds provide diversification of invested funds. mutual funds do not charge any fees. mutual funds provide a guaranteed return in spite of market risks. mutual funds are free of any hidden costs.

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The main reason to invest in mutual funds is that b. mutual funds provide diversification of invested funds.

A mutual fund represents a mechanism for managing money that is created via the professional investment of public funds. The fact that mutual funds offer fund diversity is the primary justification for investing in them. Diversification refers to investing in a variety of assets, including stocks, bonds, and other securities.

This reduces the risk of losses from any one specific asset. In order to spread out risk and maybe boost profits, mutual funds aggregate money from a variety of investors and use it to buy a diverse range of assets. For many individual investors who do not have sufficient and effective means to create a diverse portfolio on their own, this is a benefit.

Complete Question:

which of the following is a reason to invest in mutual funds?

a. mutual funds earn tax-free returns.

b. mutual funds provide diversification of invested funds.

c. mutual funds do not charge any fees.

d. mutual funds provide a guaranteed return in spite of market risks.

e. mutual funds are free of any hidden costs.

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which are policy decisions that are politically expedient but are not economically appropriate? multiple select question. creating changes in aggregate demand large tax cuts during a time of economic prosperity increased government spending on pet projects preventing unnecessary economic fluctuations

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Big tax cuts and increased government spending on pet projects during times of economic prosperity are politically sound but not economically sound policy decisions. Here option B and C are correct answer.

Large tax cuts during a time of economic prosperity and increased government spending on pet projects are policy decisions that are politically expedient but not economically appropriate.

Both of these policy decisions prioritize short-term political gains over long-term economic stability and sustainability and can lead to negative economic consequences such as increased budget deficits and reduced government revenue.

Creating changes in aggregate demand and preventing unnecessary economic fluctuations are not necessarily politically expedient or economically inappropriate in themselves, as they can be important tools for promoting economic stability and growth in the long run. However, the specific policies and strategies used to achieve these goals can be politically contentious and require careful consideration of both short-term and long-term economic impacts.

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Complete question:

Which of the following policy decisions are politically expedient but not economically appropriate?

A) Creating changes in aggregate demand

B) Large tax cuts during a time of economic prosperity

C) Increased government spending on pet projects

D) Preventing unnecessary economic fluctuations

physical logistics services now find themselves competing with telecommunications services. this is a result of the instantaneous delivery capability of information-based products. true false

Answers

The given statement "physical logistics services now find themselves competing with telecommunications services. This is a result of the instantaneous delivery capability of information-based products." is true. because the instantaneous delivery capability of information-based products has allowed telecommunications services to compete with physical logistics services.

Physical logistics services and telecommunications services are increasingly competing with each other due to the rise of e-commerce and the instantaneous delivery capability of information-based products. With the growth of online shopping and digital distribution, many consumers now expect fast and reliable delivery of physical goods, which has led to an increased demand for logistics services. At the same time, telecommunications services have become increasingly important for enabling the digital distribution of information-based products such as music, movies, and e-books.

As a result, physical logistics services and telecommunications services now find themselves competing in areas where they previously had little overlap.

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Beach Wear has current liabilities of $350,000, a quick ratio of 1.65, inventory turnover of 3.2, and a current ratio of 2.9. What is the cost of goods sold?

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The cost of goods sold (COGS) is a crucial financial metric for any business, as it indicates how much a company spent to produce the goods it sold during a particular period. Beach Wear's cost of goods sold is $115,531.25.

To calculate the COGS for Beach Wear, we can use the inventory turnover ratio, which measures how quickly a company sells its inventory and is calculated by dividing the cost of goods sold by the average inventory.

Based on the information provided, we know that Beach Wear's inventory turnover ratio is 3.2, which means that the company sells its entire inventory 3.2 times per year. We also know that the quick ratio is 1.65 and the current ratio is 2.9, which suggests that the company has a strong liquidity position and is able to meet its short-term obligations.

To calculate the COGS, we need to use the formula:

COGS = Average Inventory / Inventory Turnover Ratio

Given that Beach Wear's current liabilities are $350,000 and its current ratio is 2.9, we can calculate the company's current assets as follows:

Current Assets = Current Ratio x Current Liabilities
Current Assets = 2.9 x $350,000
Current Assets = $1,015,000

Using the quick ratio of 1.65, we can calculate the company's inventory as follows:

Quick Ratio = (Current Assets - Inventory) / Current Liabilities
1.65 = ($1,015,000 - Inventory) / $350,000
Inventory = $369,697

Therefore, the COGS can be calculated as follows:

COGS = $369,697 / 3.2
COGS = $115,531.25

In summary, based on the information provided, Beach Wear's cost of goods sold is $115,531.25.

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What is the value of a bond that has a par value of $1,000, a coupon rate of 11.99 percent (paid annually), and that matures in 13 years? Assume a required rate of return on this bond is 10.44 percent.

Answers

The value of a bond that has a par value of $1,000, a coupon rate of 11.99 percent (paid annually), and that matures in 13 years is $1,360.91.

To calculate the value of the bond, we need to find the present value of its coupon payments and the present value of its par value. Here's the breakdown using the given information:

1. Par value = $1,000
2. Coupon rate = 11.99% = 0.1199
3. Years to maturity = 13 years
4. Required rate of return = 10.44% = 0.1044

Annual coupon payment = Par value x Coupon rate = $1,000 x 0.1199 = $119.90

Now, let's calculate the present value of the coupon payments (PV_Coupon) using the annuity formula:

PV_Coupon = Annual coupon payment x [(1 - (1 + Required rate of return)^(-Years to maturity)) / Required rate of return]
PV_Coupon = $119.90 x [(1 - (1 + 0.1044)^(-13)) / 0.1044] ≈ $1,048.74

Next, calculate the present value of the par value (PV_Par):

PV_Par = Par value / (1 + Required rate of return)^(Years to maturity)
PV_Par = $1,000 / (1 + 0.1044)^13 ≈ $312.17

Finally, add the present values of the coupon payments and the par value to get the bond value:

Bond value = PV_Coupon + PV_Par = $1,048.74 + $312.17 ≈ $1,360.91

So, the value of the bond is approximately $1,360.91.

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if the market is efficient and securities are priced fairly, all securities will have the same: a) variance.

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If the market is efficient and securities are priced fairly, all securities will have the same variance.

In an efficient market, all securities are fairly priced based on available information, which means that there should be no arbitrage opportunities. However, this does not necessarily mean that all securities will have the same variance.

Variance measures the dispersion of returns for a particular security, and different securities can have different risk levels and return profiles, even in an efficient market. In an efficient market, investors will require a higher return for taking on higher risk, which is captured by the risk-return tradeoff.

Therefore, while securities are priced fairly in an efficient market, their variance can still differ depending on the risk associated with each security.


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you consult your records. alexei, olga, and madeleine are all paid the minimum wage and worked an average of 30 hours/week as waitstaff last year. they received average performance reviews. what will you do? select an option from the choices below and click submit. tell alexei you'll talk with the owners about it. you probably won't, but his mood will improve if he knows you're doing your best. ask alexei if you can hold a fundraiser among the employees at the grille to help out madeleine's family. then donate what you can from your own bank account. tell alexei you can give him some money, but not more than the standard advance the grille gives employees who are in a tight spot. it's not nearly what they need. give them the loan. they need the money; the help will raise their moods, and they will be working hard for you so they can pay it back. call a meeting with alexei, olga, and madeleine to tell them together that they don't make enough money to be extended the loan. offer your sympathies for the situation to cheer them.

Answers

Based on the information provided, the most appropriate option would be to tell Alexei that you will talk with the owners about it. Here option A is the correct answer.

While it may not guarantee an immediate solution, it shows that their concerns are being heard and taken seriously. This can help to improve their morale and job satisfaction.

As an employer, it is important to value the contributions of your employees and provide fair compensation for their work. The minimum wage is often not enough to cover living expenses, especially in areas with high costs of living. Therefore, it is important to discuss the possibility of increasing their hourly wage with the owners of the restaurant.

Holding a fundraiser or donating from your personal bank account may provide temporary relief, but it does not address the underlying issue of inadequate compensation. Similarly, offering a loan may help in the short term but could lead to further financial stress for the employees in the long run.

Calling a meeting to inform the employees that they do not qualify for a loan may only add to their frustration and anxiety. Offering sympathies is a kind gesture, but it does not provide a solution to the problem at hand.

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Complete question:

You consult your records. Alexei, Olga, and Madeleine are all paid the minimum wage and worked an average of 30 hours/per week as waitstaff last year. they received average performance reviews. what will you do? select an option from the choices below and click submit.

A - tell Alexei you'll talk with the owners about it. you probably won't, but his mood will improve if he knows you're doing your best.

B - ask Alexei if you can hold a fundraiser among the employees at the grille to help out Madeleine's family.

C - then donate what you can from your own bank account.

D - tell Alexei you can give him some money, but not more than the standard advance the grille gives employees who are in a tight spot.

E - it's not nearly what they need. give them the loan.

F - they need the money; the help will raise their moods, and they will be working hard for you so they can pay it back.

G - call a meeting with Alexei, Olga, and Madeleine to tell them together that they don't make enough money to be extended the loan.

H - offer your sympathies for the situation to cheer them.

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