which of the following is an objective of lean manufacturing? a. all of these choices b. eliminating waste c. increasing inventory levels d. increasing lead time

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Answer 1

The objective of lean manufacturing is to eliminate waste. Lean principles focus on streamlining processes and reducing any activities or resources that do not add value to the final product or service.

By identifying and eliminating waste, such as overproduction, defects, excess inventory, and unnecessary waiting time, lean manufacturing aims to improve efficiency, productivity, and overall customer satisfaction. Increasing inventory levels and lead time are contrary to the goals of lean manufacturing, as they indicate inefficiency and potential waste. Therefore, the correct answer is option b. eliminating waste.

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Related Questions

what is the consumer surplus for all units of the good produced and sold at equilibrium?question 23 options:1441216247248

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The consumer surplus reprents the economic benefit or surplus that consumers receive when they purchase a good at a price lower than what they are willing to pay.

To calculate the consumer surplus for all units of the good produced and sold at equilibrium, we need additional information such as the equilibrium price and the demand function. Without the specific information mentioned above, it is not possible to calculate the consumer surplus accurately. The consumer surplus is influenced by the difference between the price consumers are willing to pay (their willingness to pay) and the actual price they pay in the market. Therefore, the options provided (144, 1216, 2472, and 48) cannot be determined as the consumer surplus without the necessary data and calculations.

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mercede is watching a commercial for a popular sneaker brand. the ad shows a young girl in her sneakers and then quickly follows her as she gets older clearly showing that she is wearing the same brand of sneaker. the ad ends with the woman getting married, and she flashes her sneakers that she is wearing under her dress. throughout the ad, you hear upbeat and cheerful music. which persuasive appeal was this ad focused on?

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This ad primarily focuses on emotional appeal, specifically nostalgia, by showcasing the girl wearing the same brand of sneakers throughout her life, ending with a sentimental moment at her wedding.



The persuasive appeal that this ad is focused on is likely emotional appeal, specifically nostalgia and sentimental value. By showing the young girl growing up and wearing the same brand of sneakers throughout her life, the ad evokes a sense of emotional connection and attachment to the product. The use of cheerful music further enhances the emotional appeal by creating a positive and uplifting atmosphere. The ad aims to tap into the viewer's emotions, making them feel nostalgic and sentimental, and ultimately persuading them to associate positive emotions with the brand and consider purchasing the sneakers.

So, This ad primarily focuses on emotional appeal, specifically nostalgia, by showcasing the girl wearing the same brand of sneakers throughout her life, ending with a sentimental moment at her wedding.

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_____ is the collection, recording, and analysis of data important in marketing and communicating that information to management. Group of answer choices Market search Marketing research Marketing customization Marketing information Data collection

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Marketing research is the collection, recording, and analysis of data important in marketing and communicating that information to management. It plays a crucial role in making informed business decisions.

Marketing research involves gathering data from various sources like surveys, interviews, observation, and online analytics. This data provides insights into consumer behavior, preferences, and market trends. Once the data is collected, it needs to be organized and recorded systematically.

The collected data is then analyzed using statistical tools and techniques. This helps identify patterns, trends, and correlations that can guide marketing strategies. For example, analyzing sales data can reveal which products are performing well and which ones need improvement.

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the primary forms of business organization in the united states are the sole proprietorship, the and the corporation.

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These three forms of business organization each have their advantages and disadvantages, and the choice depends on factors such as liability, control, taxation, and access to capital. It is important for entrepreneurs to carefully consider their options and seek professional advice when deciding on the best form for their business.

1. Sole Proprietorship: This is the simplest form of business organization, where an individual owns and operates the business on their own. They have complete control and are personally liable for all debts and obligations of the business. Sole proprietorships are easy to set up and dissolve, but the owner bears all financial risks.

2. Partnership: A partnership is formed when two or more individuals share ownership and management responsibilities of a business. Partners contribute capital, share profits and losses, and have personal liability for the business's debts. There are two types of partnerships: general partnerships and limited partnerships.

3. Corporation: A corporation is a separate legal entity from its owners. It is owned by shareholders who elect a board of directors to oversee major decisions. Corporations have limited liability, meaning shareholders are not personally liable for the company's debts. They can raise capital through the sale of stocks and have perpetual existence.

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many organizations seek to ensure a high standard of conduct in their members by developing and requiring adherence to a

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Many organizations seek to ensure a high standard of conduct in their members by developing and requiring adherence to a code of ethics or a set of professional standards.

Organizations use codes of ethics or professional standards to establish guidelines and principles that members must follow. These codes serve as a framework for ethical behavior, setting expectations and promoting responsible conduct within the organization. By requiring adherence to these standards, organizations aim to maintain integrity, professionalism, and accountability among their members, ultimately contributing to a positive organizational culture and reputation.

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several companies are highly profitable yet delivered very low returns to their shareholders. how is this possible?

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Companies can be highly profitable yet deliver low returns to shareholders due to various factors:distribution of profits,company's capital structure and the way it finances its operations.

Despite being highly profitable, some companies may not provide satisfactory returns to their shareholders for several reasons. One key factor is the distribution of profits. While a company may generate significant profits, it doesn't necessarily mean that all of those profits are returned to shareholders. Companies often reinvest their profits into research and development, expanding their operations, acquiring new assets, or paying off debts. These investments are aimed at long-term growth and sustainability, which may not yield immediate returns for shareholders.

Another reason is the company's capital structure and the way it finances its operations. If a company has a significant amount of debt, it may have to allocate a substantial portion of its profits towards interest payments, leaving a smaller amount available for distribution to shareholders. Similarly, if a company decides to issue new shares to raise capital, it can dilute the ownership stake of existing shareholders, resulting in lower returns per share.

Additionally, market conditions and economic factors can impact shareholder returns. A company operating in a highly competitive industry may experience price pressures, reducing its profit margins despite being profitable. Changes in consumer preferences, technological advancements, or regulatory constraints can also affect a company's profitability and, subsequently, its ability to deliver high returns to shareholders.

In summary, companies can be highly profitable yet deliver low returns to shareholders due to factors such as reinvestment of profits, capital structure, market conditions, and economic factors. It is crucial for shareholders to consider these factors when evaluating a company's financial performance and potential for future returns.

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the accompanying graph depicts a hypothetical economy's short-run philips curve (srpc). please adjust the srpc to reflect what happens when expected inflation decreases by 2 percentage points. inflation rate (%) unemployment rate (%) 0 1 2 3 4 5 6 7 8 9 10 -3 -2 -1 0 1 2 3 4 5 6 7 srpc after the shift in the srpc, what is the unemployment rate if the public expects no inflation in the economy?

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if the public expects no inflation in the economy, the unemployment rate would be around 1%.

After the shift in the Short-Run Phillips Curve (SRPC), if the public expects no inflation in the economy, we need to determine the corresponding unemployment rate. The SRPC represents the trade-off between inflation and unemployment in the short run. When expected inflation decreases by 2 percentage points, the SRPC shifts downward. This shift indicates that at any given level of inflation, the corresponding unemployment rate is now lower than before.

To determine the unemployment rate when the public expects no inflation, we look for the point on the adjusted SRPC where inflation is zero. In the given graph, this occurs when the inflation rate is -2%, as the shift in the SRPC was a decrease of 2 percentage points. Looking at the corresponding unemployment rate at an inflation rate of -2%, we can see that it is approximately 1%. Therefore, if the public expects no inflation in the economy, the unemployment rate would be around 1%.

It's important to note that this analysis assumes a simplified Phillips Curve relationship and doesn't take into account other factors that can influence the trade-off between inflation and unemployment in the long run, such as changes in productivity, expectations, and monetary policy. Additionally, this answer is based on the information provided and the specific graphical representation given.

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Question 12 if a $2 excise tax is collected from pumpkin buyers on each pumpkin sold, then the demand curve for pumpkins will shift __________ by $2, thereby _________ the equilibrium price.

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The demand curve for pumpkins will shift to the left by $2, thereby decreasing the equilibrium price. When a $2 excise tax is collected from pumpkin buyers on each pumpkin sold.

The quantity supplied at every price level. Since the supply curve has shifted, the equilibrium point, where the quantity demanded equals the quantity supplied, also shifts. The new equilibrium point will be at a lower quantity and a higher price. This means that the price at which pumpkins are sold will increase by less than $2 due to the excise tax.

In summary, the demand curve for pumpkins will shift to the left by $2, indicating a decrease in quantity demanded. As a result, the equilibrium price will increase, but by an amount less than the $2 excise tax.

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You expect to deposit the following cash flows at the end of years 1 through 5, $1,000; $4,000; $9,000; $5,000; and $2,000 respectively. What is the future account value at the end of year 20 if you can earn 10% p.a., compounded continuously

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The future account value at the end of year 20, with continuous compounding, is approximately $4,526.83.

To calculate the future account value at the end of year 20 with continuous compounding, we can use the formula:

A =[tex]P * e^_(rt)[/tex]

Where:
A = future account value
P = initial deposit
e = Euler's number (approximately 2.71828)
r = interest rate (as a decimal)
t = time period (in years)

In this case, the initial deposit (P) is $1,000 and the interest rate (r) is 10% p.a. (0.10). The time period (t) is 20 years. Let's calculate the future account value:

A = [tex]$1,000 * e^_(0.10 * 20)[/tex]

Using a calculator, we find that e^(0.10 * 20) is approximately 4.52683.

A = $1,000 * 4.52683
The future account value at the end of year 20, with continuous compounding, is approximately $4,526.83.

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Sound travels about 750 miles per hour. If you stand in a canyon and sound a horn, you will hear an echo.
Round your answers to the nearest tenth as needed.
a) Suppose it takes about 4 seconds to hear the echo. How far away is the canyon wall, in feet?
The canyon wall is feet away.
b) Suppose you stand 1,925 feet from the canyon wall and sound the horn. How long will it take to hear the echo?
It will take seconds to hear the echo.

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The canyon wall is approximately 3,000 feet away. to determine the distance, we can use the formula: distance = speed × time.

Given that the speed of sound is 750 miles per hour, we convert it to feet per second by multiplying by 1,320 (since there are 5,280 feet in a mile and 60 minutes in an hour).

So, the speed of sound is approximately 1,320,000 feet per hour, which is approximately 22,000 feet per minute or 366.67 feet per second.

Since it takes 4 seconds to hear the echo, the distance can be calculated as 366.67 feet/second × 4 seconds = 1,466.68 feet (rounded to the nearest tenth).

Therefore, the canyon wall is approximately 3,000 feet away.

b) It will take approximately 0.9 seconds to hear the echo.

Using the same speed of sound (approximately 366.67 feet per second), we divide the distance of 1,925 feet by the speed of sound to find the time it takes for the sound to travel.

Time = distance / speed = 1,925 feet / 366.67 feet per second ≈ 5.25 seconds.

Therefore, it will take approximately 5.25 seconds (rounded to the nearest tenth) to hear the echo.

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carla vista co. had a beginning balance in accounts receivable of $69,280 and an ending balance of $83,720. credit sales during the period were $587,340.

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The cash collections from credit sales during the period were $572,900.

Explanation: The beginning and ending balances in accounts receivable are used to calculate the change in accounts receivable, which represents the increase in credit sales. By subtracting this change from the total credit sales, we can determine the cash collections from credit sales. In this cash , the change in accounts receivable is $14,440, so the cash collections amount to $572,900 ($587,340 - $14,440).

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If the supply of savings is not perfectly elastic, the corporate income tax is likely to?

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If the supply of savings is not perfectly elastic, the corporate income tax is likely to decrease investment.

When the supply of savings is not perfectly elastic, it means that changes in the corporate income tax can affect the amount of savings available for investment. In this context, the term "supply of savings" refers to the funds that individuals and businesses set aside for investment purposes.

The corporate income tax is a tax levied on the profits earned by corporations. When the tax rate increases, corporations have less after-tax profits available for investment. This reduction in investable funds can lead to a decrease in business investment, including investments in capital equipment, research and development, and expansion projects.

By decreasing investment, the corporate income tax can have negative implications for economic growth and productivity. It can limit the ability of businesses to innovate, expand operations, and create jobs. Therefore, when the supply of savings is not perfectly elastic, an increase in the corporate income tax is likely to discourage investment and have a dampening effect on economic activity.

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fabulous frank's bodacious aggressive growth mutual fund pays 1.23 percent per quarter. what is the annual percentage rate (apr) for frank's fund?

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Frank's fund has an annual percentage rate of approximately 4.92%.

Use the formula to find the annual percentage rate (APR) for Frank's fund:

APR = [tex](1 + r/n)^{n - 1}[/tex]

r is the quarterly interest rate (as a decimal) and n is the number of times the interest is compounded in a year.

In this case, r = 0.0123 (1.23% divided by 4) and n = 4 (since there are four quarters in a year).

Plugging these values into the formula, we get:

APR = [tex](1 + 0.0123/4)^{4 - 1}[/tex]

APR ≈ 0.0492 or 4.92%

Therefore, the annual percentage rate is 4.92%.

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What happens to consumer surplus in the cell phone market if cell phones are normal goods and buyers of cell phones experience an increase in income

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If cell phones are normal goods and buyers of cell phones experience an increase in income new buyers enter the market, increasing consumer surplus.

Consumer surplus is the term used to describe situations when consumers pay less for a commodity or service than they would be willing to. Consumer surplus is based on the economic idea of marginal utility, which is the extra pleasure a client has after acquiring one more unit of a good or service.

Consumer surplus is the difference between what consumers are willing to spend and what they ultimately pay for a product. Each price along a demand curve also represents the marginal benefit of every item of consumption for a consumer.

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the sawyer company estimates $1,500 of the current year's sales will eventually be uncollectible. the allowance for uncollectible accounts balance is $200. the journal entry for recording the adjustment for uncollectible accounts is

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The journal entry for recording the adjustment for uncollectible accounts is missing and needs to be provided. To record the adjustment for uncollectible accounts, the following journal entry can be made:

Debit: Bad Debt Expense

Credit: Allowance for Uncollectible Accounts

In this case, the estimated uncollectible amount of $1,500 needs to be recognized as an expense, and the existing balance in the Allowance for Uncollectible Accounts account needs to be adjusted accordingly.

The debit to Bad Debt Expense increases the expense on the income statement, reflecting the estimated uncollectible amount. The credit to Allowance for Uncollectible Accounts reduces the balance in the account to account for the increase in estimated uncollectible accounts.

The specific amounts will depend on the current balance in the Allowance for Uncollectible Accounts account and any previous adjustments made during the year. However, based on the information provided, the journal entry would look something like this:

Debit: Bad Debt Expense $1,500

Credit: Allowance for Uncollectible Accounts $1,500

This journal entry recognizes the estimated uncollectible accounts and adjusts the allowance account accordingly, ensuring that the financial statements reflect the anticipated loss from uncollectible accounts receivable.

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of the current year's sales, $2,100 will eventually be uncollectible. the allowance for uncollectible accounts balance is $350. the journal entry for recording the adjustment for uncollectible accounts, based on the percent of sales method, is

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Given that the allowance for uncollectible accounts balance is $350, you may also need to adjust the allowance account accordingly.

To record the adjustment for uncollectible accounts based on the percent of sales method, you would use the following journal entry:

Debit: Bad loan Expense $2,100
Credit: Allowance for Uncollectible Accounts $2,100

The Bad Debt Expense is debited to recognize the expense associated with the estimated uncollectible accounts. The Allowance for Uncollectible Accounts is credited to increase the balance in the allowance account, reflecting the estimated amount of uncollectible accounts.

Given that the allowance for uncollectible accounts balance is $350, you may also need to adjust the allowance account accordingly. Assuming the current balance of the allowance account is already reflected in the balance provided, you would only need to record the adjustment for the estimated uncollectible accounts.

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Subprime mortgages were loans made to borrowers with _____ credit and who, as a result, were charged _____ interest rates.
a)poor; highb)excellent; lowc)excellent; highd)poor; low

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Correct option is a)poor; high.Subprime mortgages were loans made to borrowers with poor credit and who, as a result, were charged high interest rates.

Subprime mortgages were loans specifically designed for borrowers with poor credit scores. These borrowers typically had a history of financial difficulties or limited creditworthiness, making it risky for traditional lenders to offer them loans.

To compensate for the increased risk, lenders charged higher interest rates on subprime mortgages compared to prime mortgages. The higher interest rates were intended to offset the potential losses associated with lending to borrowers with poor credit.

The subprime mortgage crisis of 2007-2008 highlighted the risks associated with these types of loans. Many subprime borrowers struggled to make their mortgage payments, leading to a surge in foreclosures and a subsequent collapse in the housing market. The crisis had widespread economic consequences, affecting not only homeowners but also financial institutions and the global economy as a whole.

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competive firm is producing where mc=p. if the firm increases its output, its total revenue will __________ and its costs will________. multiple choice rise, rise rise, fall fall, rise fall, fall

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If a competitive firm increases its output beyond the point where MC equals P, its total revenue will rise.

If a firm in a competitive market is producing at a point where its marginal cost (MC) and price (P) are equal, this suggests that the firm is making the most money possible by producing the number of units at that point, where the cost of manufacturing one more unit is equal to the money made from selling it.

Beyond this point, the company's output will improve, and so will its overall revenue. This is because, provided that the price stays constant in a market that is completely competitive, every additional unit sold will increase overall income. The firm's overall revenue will rise as a result of the increased output.

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a residential real estate closing involves two actual closings: the loan closing and the sales transaction closing.

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In summary, a residential real estate closing involves two actual closings: the loan closing and the sales transaction closing. The loan closing finalizes the mortgage loan with the lender, while the sales transaction closing transfers the ownership of the property from the seller to the buyer. These two closings ensure that all legal and financial aspects of the real estate transaction are properly completed.

A residential real estate closing typically involves two separate closings: the loan closing and the sales transaction closing.

During the loan closing, the buyer finalizes the mortgage loan with the lender. This involves signing loan documents and providing any necessary funds for closing costs and down payment. The lender will review the buyer's financial information, credit history, and appraisal of the property before approving the loan. Once everything is in order, the buyer and the lender sign the necessary documents, and the funds are disbursed to complete the loan closing.

On the other hand, the sales transaction closing is when the buyer and seller meet to transfer the ownership of the property. This involves the exchange of legal documents, such as the deed, and the payment of the purchase price. The buyer typically brings the necessary funds, which may include the loan amount, down payment, and closing costs, to complete the transaction. The seller will transfer the title of the property to the buyer, and the buyer becomes the new owner.

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steady as she goes incorporated will pay a year-end dividend of $3.50 per share. investors expect the dividend to grow at a rate of 6% indefinitely. if the stock currently sells for $35.00 per share, what is the expected rate of return on the stock?

Answers

The expected rate of return on the stock is 16%.

The expected rate of return on the stock can be calculated using the dividend growth model. The formula is:

expected rate of return = dividend yield + dividend growth rate.  

First, let's calculate the dividend yield.

The dividend yield is the annual dividend divided by the stock price. In this case, the annual dividend is $3.50 per share and the stock price is $35.00 per share. So, the dividend yield is 3.50/35.00 = 0.10 or 10%.

Next, let's calculate the dividend growth rate. The dividend growth rate is given as 6% in the question.

Now, we can calculate the expected rate of return. It is the sum of the dividend yield and the dividend growth rate. So, the expected rate of return is 10% + 6% = 16%.

In summary, the expected rate of return on the stock is 16%.

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chester's balance sheet has $79,362,000 in equity. if next year, assets decrease by $4,000,000 and liabilities increase by $2,000,000, what will be chester's book value?

Answers

To calculate Chester's book value, we need to use the formula:

Book Value = Equity = Assets - Liabilities

Given that Chester's balance sheet has $79,362,000 in equity, we can start by substituting the equity value into the equation:

$79,362,000 = Assets - Liabilities

Next, we are provided with the changes in assets and liabilities for the next year. The assets decrease by $4,000,000, and the liabilities increase by $2,000,000. We need to adjust the equation accordingly:

$79,362,000 = (Assets - $4,000,000) - (Liabilities + $2,000,000)

We can simplify this equation by combining like terms:

$79,362,000 = Assets - $4,000,000 - Liabilities - $2,000,000

Now, let's rearrange the equation to isolate the assets:

Assets = $79,362,000 + $4,000,000 + Liabilities + $2,000,000

Simplifying further, we get:

Assets = $83,362,000 + Liabilities

Finally, we can substitute this value of assets back into the book value formula:

Book Value = Assets - Liabilities

Book Value = ($83,362,000 + Liabilities) - Liabilities

Book Value = $83,362,000

Therefore, Chester's book value will be $83,362,000.

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With this larger quantity sold the variable cost of materials and production labor costs were each 20% lower than expected. What is the new Contribution variance?
-$720,000
$3,242,000
Other
$2,000,000
$1,232,000

Answers

To determine the new Contribution variance, we would need additional information such as the expected contribution amount, the actual contribution amount

the standard cost of materials and production labor.The given information states that the larger quantity sold resulted in a 20% lower variable cost for materials and production labor. However, this information alone does not provide the necessary data to calculate the new Contribution variance.The Contribution variance is typically calculated as the difference between the actual contribution and the budgeted or expected contribution. It considers factors such as sales revenue, variable costs, and fixed costs to evaluate the profitability of a business.Without knowing the actual contribution, the expected contribution, or any other relevant data, we cannot determine the new Contribution variance. Therefore, the correct answer is "Other" since the information provided is insufficient to make a calculation or provide a specific answer regarding the new Contribution variance.

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intellectual capital refers to tangible assets and resources of an enterprise that are captured by conventional accounting reports. true false

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False. Intellectual capital refers to intangible assets and resources of an enterprise that are not captured by conventional accounting reports.

Is it true that intellectual capital refers to tangible assets and resources captured by conventional accounting reports?

It encompasses the knowledge, expertise, skills, patents, trademarks, copyrights, customer relationships, and other intangible assets that contribute to a company's value and competitive advantage.

These assets are not typically reflected in financial statements, as they do not have a physical or monetary form that can be easily quantified.

However, intellectual capital is recognized as a critical driver of long-term success and innovation in today's knowledge-based economy.

While conventional accounting reports primarily focus on tangible assets, intellectual capital plays a significant role in creating and sustaining value for organizations and is increasingly recognized as a strategic resource that should be managed and leveraged effectively.

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Which of the following describes how the team uses a cause-and-effect diagram to support project risk analysis? a. Team members are encouraged to keep asking "when?" to break down risks into more detailed causes. b. The team lists the risk as the "effect" in a box at the head of a fish, then names the big bones. C. The project team begins by identifying strengths, weaknesses, opportunities and threats. d. The team organizes assumptions and constraints in a fishbone pattern.

Answers

b. The team lists the risk as the "effect" in a box at the head of a fish, then names the big bones. in a cause-and-effect diagram, the team places the identified risk at the head of a fishbone diagram.

The diagram consists of "bones" that represent different categories or causes related to the risk. By naming these categories, the team can systematically analyze and identify the root causes contributing to the risk, facilitating a comprehensive understanding of the risk factors and supporting effective project risk analysis and mitigation strategies.

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Which step of the design thinking process introduces the product or idea to the market?

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The step of the design thinking process that introduces the product or idea to the market is the "Implementation" or "Execution" phase.

Design thinking is a problem-solving approach that involves understanding users' needs, generating creative ideas, and developing practical solutions. It typically consists of five stages: Empathize, Define, Ideate, Prototype, and Test. However, the actual implementation of the product or idea occurs after these stages, in the Execution phase.

During the Execution phase, the concepts and prototypes developed in earlier stages are transformed into tangible products or services. This step involves refining the design, developing a viable business model, and strategizing the product's launch in the market. It includes activities like manufacturing, marketing, distribution, and sales. The goal is to create a compelling customer experience and generate value for both the users and the organization.

While each stage of the design thinking process is crucial, the Execution phase holds particular significance as it brings the product or idea to life. It involves translating the insights gained from the earlier stages into a marketable solution. Successful execution requires careful planning, collaboration, and a deep understanding of the target audience. By focusing on implementation, organizations can effectively introduce their products or ideas to the market and ultimately drive innovation and business growth.

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• zhou n., wang h. forthcoming. foreign subsidiary csr as a buffer against parent firm reputation risk. journal of international business studies.

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The article "Foreign Subsidiary CSR as a Buffer against Parent Firm Reputation Risk" by Zhou N. and Wang H. is forthcoming in the Journal of International Business Studies. Reputation risk refers to the potential damage to a company's image and brand due to negative events or actions.

The authors argue that when foreign subsidiaries engage in CSR activities, such as supporting local communities or implementing sustainable practices, they can enhance the reputation of the parent firm.  By engaging in CSR, foreign subsidiaries can act as a buffer against reputation risk by mitigating negative perceptions and enhancing the overall brand image of the parent company.

This is important as reputation risk can have significant negative impacts on a company's financial performance and stakeholder relationships. Overall, this forthcoming article sheds light on the role of foreign subsidiary CSR in managing reputation risk for parent firms. It highlights the importance of engaging in socially responsible practices to enhance a company's reputation and maintain stakeholder trust.

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When Pete Mills went to withdraw $6000 from the NFA Mutual fund, he was informed that the fund would charge 3 percent of the amount withdrawn. What is the dollar amount of the withdrawal charge

Answers

The withdrawal charge is calculated as a percentage of the amount being withdrawn. In this case, 3 percent of $6000 is $180 from mutual funds.

To calculate the dollar amount of the withdrawal charge, we can use the formula:

Withdrawal Charge = Withdrawal Amount x Withdrawal Fee Percentage

In this case, Pete Mills wants to withdraw $6000 from the NFA Mutual fund, and the fund charges a withdrawal fee of 3 percent. Plugging the values into the formula:

Withdrawal Charge = $6000 x 0.03

Withdrawal Charge = $180

Therefore, the dollar amount of the withdrawal charge is $180.

The withdrawal charge is calculated as a percentage of the amount being withdrawn. In this case, 3 percent of $6000 is $180.

The purpose of the withdrawal charge is to cover administrative costs or fees associated with processing the withdrawal.

It is a way for the mutual fund to recoup some of the expenses incurred when investors redeem their shares.

It's important for investors to be aware of any applicable fees or charges before making a withdrawal from a mutual fund. These charges can vary depending on the fund and the specific terms and conditions outlined in the fund's prospectus.

By understanding the withdrawal fees, investors can make informed decisions and factor in these costs when planning their investments.

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You decided to endow a chair in finance for the Monroe College King Graduate School. The goal of the chair is to provide the chair holder with $125,000 of additional financial support per year forever. If the rate of interest is 4 percent, how much money will you have to give the Monroe College foundation to provide the desired level of support

Answers

you will need to give the Monroe College foundation a sum of $3,125,000 to provide the desired level of support.we can use the concept of perpetuity.

To calculate the amount of money you will need to give to the Monroe College foundation,
The desired level of support is $125,000 per year forever.
The rate of interest is 4 percent, which can be expressed as 0.04 in decimal form.
The formula for calculating the present value of a perpetuity is: Present Value = Annual Payment / Interest Rate.
Using this formula, we can calculate the present value:
Present Value = $125,000 / 0.04
Present Value = $3,125,000
Therefore, you will need to give the Monroe College foundation a sum of $3,125,000 to provide the desired level of support.

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what kind of messages judge another person, usually in a negative way that lacks specifics? group of answer choices evaluative descriptive strategic provisional

Answers

The term that describes the kind of messages that judge another person, usually in a negative way that lacks specifics is evaluative. Option a is correct.

Evaluative messages are judgments about a person's character, behavior, or motives. They are not based on specific observations or facts but rather on personal opinions and biases. Evaluative messages are often used to criticize or condemn others and can be hurtful or damaging to a person's self-esteem.

Examples of evaluative messages include "you're lazy," "you're selfish," or "you're not a good friend." To improve communication and avoid negative judgments, it's important to use descriptive messages that are based on specific observations and avoid making evaluative statements.

Therefore, a is correct.

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the current risk-free rate is 1.75%, the variance of the portfolio was 18%, the beta of the portfolio is 1.3, and the portfolio returns was 9.5%. what is the sharpe ratio of the portfolio?

Answers

The Sharpe ratio of the portfolio, which measures the risk-adjusted return, is approximately 14.04. It indicates the excess return earned per unit of risk, considering the risk-free rate, portfolio returns, and variance.

To calculate the Sharpe ratio of a portfolio, you subtract the risk-free rate from the portfolio's return and divide it by the portfolio's standard deviation.

Calculate the excess return:

Excess Return = Portfolio Return - Risk-Free Rate

= 9.5% - 1.75%

= 7.75%

Calculate the portfolio's standard deviation using beta and variance:

Portfolio Standard Deviation = Beta * sqrt(Variance)

= 1.3 * sqrt(18%)

≈ 1.3 * 0.4243

≈ 0.5518

Calculate the Sharpe ratio:

Sharpe Ratio = Excess Return / Portfolio Standard Deviation

= 7.75% / 0.5518

≈ 14.04

Therefore, the Sharpe ratio of the portfolio is approximately 14.04.

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