which of the following may be a challenge for conflict resolution in the workplace? the resolution process may run counter to the existing channels of communication. all of the answer choices are correct. there may be status differences between the conflicting parties. there may be union laws that conflict with some resolution processes.

Answers

Answer 1

The following may be a challenge for conflict resolution in the workplace are the resolution process may run counter to the existing channels of communication, all of the answer choices are correct and there may be status differences between the conflicting parties, there may be union laws that conflict with some resolution processes.

According to Amy Gallo, there are four types of workplace conflict: status conflict, task conflict, process conflict, and relationship conflict. A status conflict is when you disagree about who is in charge.

This can happen because it’s unclear who is actually allowed to make the call based on organizational hierarchy, or it’s more of a turf war in which one person feels they should be in charge instead of another.

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Related Questions

How might the dying out of other languages due to the global growth of English affect international business? Explain whether you think this language loss will positively or negatively impact international business.

Answers

The dying out of other languages due to the global growth of English may create communication barriers between companies that speak different languages.

How is the global growth of English going to affect the world ?

On the positive side, the far reaching utilize of English can make it simpler for companies to communicate and do commerce with each other. English has ended up the lingua franca of worldwide trade, and its dominance has encouraged the development of worldwide exchange and speculation.

Be that as it may, the dominance of English may too have negative results. It may lead to the misfortune of social differing qualities and the concealment of minority dialects. This seem have social and financial impacts on communities that are marginalized or avoided from the worldwide economy.

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Consider a project with the following cash flows:
Year Cash Flow
0 -12,000
1 3000
2 3000
3 3000
4 3000
If the appropriate discount rate for this project is 13%, then the net present value (NPV) is closest to ________.
A) $24,000
B) -$1846
C) -$3077
D) -$2154

Answers

The net present value (NPV) of the project is closest to -$3077. The answer is C)

To calculate the NPV, we need to discount each cash flow to its present value and then sum them up.

The formula for NPV is:

NPV = CF0 + CF1/(1+r)¹ + CF2/(1+r)² + CF3/(1+r)³ + CF4/(1+r)°

where CF represents the cash flow in each period, r is the discount rate, and the subscripts indicate the time period.

Using the given cash flows and discount rate, we get:

NPV = -12,000 + 3,000/(1+0.13)¹ + 3,000/(1+0.13)² + 3,000/(1+0.13)³ + 3,000/(1+0.13)⁴

= -12,000 + 2,654.87 + 2,344.72 + 2,064.05 + 1,811.36

= -$3,077.

Therefore, the NPV of the project is closest to C) -$3077. This indicates that the project is not profitable and should not be undertaken.

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VALUES: A=11mB=583 C=14 D=61, 1-For this question only, X = A + D/2 and Y = B+C. Two firms (Firm A and Firm B) produce an identical product (Note: Industry's output = Q). The firms must decide how much output (qA and qB) to produce since they are the only two firms in the industry that produces this product. Their marginal cost is equal to their average cost and it is constant at MC = AC = X, for both firms. Market demand is given as Q = Y - P. Using this information calculate the Industry Price, Industry Output, Industry Profit, Consumer Surplus, and Deadweight Loss using the: a) Bertrand Model [5 marks] b) Cournot Model [8 marks] c) Tacit Collusion Model [5 marks]

Answers

The overall output is adjusted to match market industry price demand to arrive at P=Y - Q, which represents the industry price. The output levels of both companies will be equal, qA = qB = Q/2.

a) The output of an industry is Q = A + B + C + D. Due to the constant MC = AC, a completely competitive market is implied by the zero industry profit. (Y - P)Q/2 is the consumer surplus. Due to the lack of market power, there is no deadweight loss.

b) The Bertrand Model . The enterprises compete in the Bertrand Model by establishing pricing. The willingness of each firm to undercut the prices of the others will decide the equilibrium price and quantity.

c.) Each company's profit-maximizing price will be X times its marginal cost. The price in the market will be P=X. We obtain Q =Y-X by substituting this into the demand equation.

d) The industry output will be equal to the aggregate of the individual outputs of the firms since they all manufacture the same product, or Q = qA + t qB.. Since the industry price is equal to the marginal cost, the industry profit will be (P- X) * Q.

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What is person-administered survey (interviewer / no computer)

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A person-administered survey (interviewer/no computer) is a traditional data collection method where an interviewer conducts face-to-face interviews without the use of a computer.

This method involves an interviewer asking respondents a series of questions in person and recording their responses manually or using audio equipment. The main advantage of this approach is the ability to establish rapport, observe non-verbal cues, and probe for deeper insights.

However, it can be time-consuming, labor-intensive, and prone to interviewer bias. Despite the increasing popularity of computer-assisted surveys, person-administered surveys remain useful in situations where personal interaction is crucial, or when respondents lack computer literacy or access to technology.

Additionally, they can be more effective in dealing with sensitive topics or complex questions that require clarification. Overall, person-administered surveys are valuable for gathering rich, nuanced data from respondents.

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For the UK public investment in flood defences is easier than investing in reducing greenhouse gas emissions because (3%)
(A) The lobby of agri-business has more political clout than that of car manufacturers
(B) Flooding is a more frequent problem than heatwaves
(C) Foreigners cannot free-ride on UK flood defences
(D) Insurance companies increase house insurance premiums after floods

Answers

The reason why it is easier for the UK to invest in flood defenses rather than reducing greenhouse gas emissions is because insurance companies increase house insurance premiums after floods. The answer is D.

Investing in flood defenses is easier for the UK government compared to reducing greenhouse gas emissions because insurance companies increase house insurance premiums after floods.

This means that people who live in flood-prone areas have to pay higher insurance premiums, and this creates pressure on the government to invest in flood defenses.

On the other hand, reducing greenhouse gas emissions involves long-term planning and implementation, and the benefits may not be as immediate or tangible as investing in flood defenses.

Additionally, the lobby of agri-business and car manufacturers may also have some influence on the government's decisions regarding climate change policies, but this is not the primary reason why investing in flood defenses is easier.


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The four-firm concentration ratio measures: A) how many industries have only four firms. B) the fraction of the market or industry accounted for by the four largest firms. C) the fraction of the market or industry accounted for by the four smallest firms. D) which four firms control the economy. E) none of the above.

Answers

The fraction of the market or industry accounted for by the four largest firms. The correct answer is B.

The four-firm concentration ratio is a measure used in industrial organization to assess the degree of market concentration in a given industry. It represents the percentage of total market share held by the four largest firms in that industry.Therefore, the correct answer is B) the fraction of the market or industry accounted for by the four largest firms. This ratio is commonly used by antitrust authorities to evaluate market power and potential anti-competitive behavior by dominant firms.For instance, if the four largest firms hold a market share of 70%, it suggests that the industry is highly concentrated, and these firms have significant market power. In contrast, if the four-firm concentration ratio is low, it indicates that the industry is more competitive, and no single firm can dominate the market.However, it is important to note that the four-firm concentration ratio is just one of several measures used to assess market concentration. Other measures such as the Herfindahl-Hirschman Index (HHI) or the number of firms in the market may also provide a better understanding of market competitiveness.

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In a perfectly competitive industry with increasing average's costs, the's long-run supply curve will be:__________

Answers

In a perfectly competitive industry with increasing average costs, the long-run supply curve will be upward sloping.

In a perfectly competitive market, firms are price takers and operate at the minimum point of their average total cost curve in the long run. If the industry has increasing average costs, it means that as more firms enter the market, the cost of production for each firm will increase due to the limited availability of resources.

This results in an upward sloping long-run supply curve for the industry, as firms will require a higher price to cover their increased costs of production. The long-run supply curve represents the minimum price at which firms are willing to produce a particular quantity of output, given the cost of production.

Therefore, in a perfectly competitive industry with increasing average costs, the long-run supply curve will be upward sloping due to the higher costs of production as the number of firms increases.

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Laronce found $500 in a parking lot and needs to decide what to do with it. he decides to give it to a homeless shelter because his neighbors will think he is a great guy. according to kohlberg's theory of moral development, laronce is most likely at the______________level of moral reasoning.

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Based on the given scenario, Laronce's decision to give the found money to a homeless shelter solely to impress his neighbors suggests that he is at the conventional level of moral reasoning according to Kohlberg's theory of moral development.

At this level, individuals conform to the societal norms and expectations of others, and their moral judgments are based on the opinions and values of the people around them.

Laronce's decision to donate the money is not necessarily a bad thing, but the reason behind his decision is not rooted in his personal moral values.

As he matures and moves up the stages of Kohlberg's theory, Laronce may start to develop a more independent and principled moral reasoning, based on his own sense of right and wrong, rather than seeking external validation.

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The positive benefits of a team-based environment include all of the following EXCEPTA) Enhanced performanceB) Reduced costsC) Employee benefitsD) Organizational enhancementsE) All of these are benefits

Answers

The positive benefits of a team-based environment does not include (B) reduced costs.

The other options are accurate benefits of a team-based environment:

A) Enhanced performance: Teams can bring together different skill sets and knowledge, leading to improved problem-solving and decision-making, as well as increased innovation and creativity.

C) Employee benefits: Teams can improve job satisfaction, motivation, and morale through increased social support, recognition, and opportunities for skill development.

D) Organizational enhancements: Teams can improve organizational culture, communication, and coordination, as well as facilitate change and adaptation to new challenges and opportunities.

Therefore, option (B) Reduced costs is the exception.

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in which of the following situations would jamal, a manager at rite co., be protected by the sarbanes-oxley act? multiple choice jamal is passed over for promotion because he is black, and he reports this to the eeoc. rite co. has repeatedly ignored dangerous toxic fumes seeping into the office, and jamal reports this to osha. jamal learns about improper accounting at rite co., and he reports it to the irs. jamal finds out that the nighttime janitorial staff is being paid less than minimum wage, and he reports it to the dol.

Answers

The Sarbanes-Oxley (SOX) Act of 2002 was a response to well-publicized corporate financial crises earlier in that decade. The office is the right response, and Jamal informs Osha of this. When Jamal learns that Rite Company is engaging in fraudulent accounting, he informs the IRS.

Stronger recordkeeping requirements as well as new restrictions on accountants, auditors, and business executives were imposed under the bill. jamal finds out that the nighttime janitorial staff is being paid less than minimum wage, and he reports it to the dol. The Securities and Exchange Commission (the Commission) regulations are designed to ensure that auditors are independent of their audit clients, and the Sarbanes-Oxley Act of 2002 mandates that audit committees be held directly accountable for the oversight of the engagement of the company's independent auditor.

Complete question:

Which of the following circumstances would the Sarbanes-Oxley Act provide protection for Jamal, a manager at Rite Co.? various options

A. Jamal complains to the eeoc that he was denied a promotion because he is black. Rites Co.

Jamal complains this to osha since

B. continually disregarded the hazardous toxic gases that were seeping into

C. the office. When Jamal learns that Rite Company is engaging in fraudulent accounting, he informs the IRS.

D. Jamal learns that the midnight cleaning crew is being paid less than the minimum wage, he informs the DOL.

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which of the following statements is correct?question 7 options:senior debt is debt that has been more recently issued, and in bankruptcy it is paid off after junior debt because the junior debt was issued first.

Answers

The statement which is correct is Convertible bonds generally have lower coupon rates than non-convertible bonds of similar default risk because they offer the possibility of capital gains, option C.

With a plain vanilla convertible bond, the investor has the option of either holding the bond until it matures or converting it to stock. The investor can retain the bond to maturity and get the face value if the stock price has dropped since the bond's issuance date.

The investor can convert the bond into stock and choose whether to hold or sell the stock at a higher price if the stock price rises considerably. When the gain from the stock sale exceeds the bond's face value plus the sum of the outstanding interest payments, the investor seeks to convert the bond to stock.

The best method for handling your credit card responsibly is to pay it off completely. A zero balance can be achieved to avoid the interest charges associated with maintaining a balance. If you can, try to make more than the minimum payment each month since this will lower your interest payments to the credit card company and lower the total amount of debt that has to be paid off.

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Complete question:

Which of the following statements is CORRECT?

a. Senior debt is debt that has been more recently issued, and in bankruptcy it is paid off after junior debt because the junior debt was issued first.

b. A company's subordinated debt has less default risk than its senior debt.

c. Convertible bonds generally have lower coupon rates than non-convertible bonds of similar default risk because they offer the possibility of capital gains.

d. Junk bonds typically provide a lower yield to maturity than investment-grade bonds.

e. A debenture is a secured bond that is backed by some or all of the firm

Net Income ($82)
Charges in Working Capital $100
FCFO
$[?]
$150
Fill in the blanks
on this financial
statement.
Disposal of PPE
Purchase of PPE
FCFI
Issuance of Stock
($27)
$[ ]
$540
Dividend Payment ($110)
Issuance of Debt
$68
Debt Repayment ($25)
Interest Expense
($75)
FCFF sĩ
Total FCF $[

Answers

FCFO = $182

FCFI = $216
FCFF = $ -82

Total FCF = $583

What are the above terminologies and how did we arrive at the answers?

FCFO - Free Cahs Flow to Firm is derived by adding Net Income  to Charges in Working Captial

= $82 + $100

= $182

FCFI - Free Cash flow to Firm (Investing
= Disposal of PPE - Purchase of PPE + Issuance of Debt + Debut repayment

= 150 - 27 + 68 + 25

= $216

FCFF = Free Cash Flow to Firm

= Dividend payment + Interst Exprense  + FCFI
= $110 + 75 + 216

= $401

Total FCF = FCFO + FCFF

= $182 + $401

= $583

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what type of relationship exists between risk and expected return?

Answers

In finance, there is a positive relationship between risk and expected return. as a general principle, investors should expect to earn higher returns on investments with higher risk, and lower returns on investments with lower risk

Investments with higher risk generally have higher expected returns, while investments with lower risk generally have lower expected returns. This is because investors require compensation for taking on higher levels of risk, and they will only invest in riskier assets if they believe they can earn a higher return as a result. For example, stocks are generally considered riskier than bonds, and they also have higher expected returns over the long term. This is because stocks are subject to greater market volatility and fluctuations, while bonds provide more stability and are less likely to experience significant price changes. In order to attract investors to invest in stocks, companies have to offer higher expected returns than they would for bonds. It's important to note that this relationship between risk and expected return is not always exact, and there are many factors that can affect the expected return of an investment.

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What is the first decision made in sales force​ management?

Answers

The first decision made in sales force management is typically determining the structure of the sales force, which involves deciding on the size of the sales team, the geographic territories they will cover, and the type of salespeople needed to effectively sell the product or service.

This decision sets the foundation for all other sales force management decisions and strategies. The first decision made in sales force management is determining the sales force structure. This involves choosing the type of sales force organization that best fits the company's needs and objectives.

The structure may be based on factors such as geographical location, product lines, or customer segments. By determining the appropriate sales force structure, a company can better allocate resources, set sales targets, and ensure effective communication and coordination among team members.

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three smart cookies will earn a net income of $2.50 per share next year, and they are considering a change in their dividend payout policy. they are considering plowing back 50% of their earnings. the company earns a return on equity of 25%, and investors require a 20% rate of return on their common stock investment. how much should the stock sell for today?

Answers

The stock should sell for $31.25 today.

We can calculate the expected dividend per share (DPS) as follows:

DPS = Net Income per Share x (1 - Payout Ratio)

where:

Net Income per Share = $2.50

Payout Ratio = 50% = 0.5

DPS = $2.50 x (1 - 0.5) = $1.25

Next, we can use the dividend discount model to calculate the intrinsic value of the stock today:

P0 = DPS / (Required Rate of Return - Dividend Growth Rate)

where:

Required Rate of Return = 20%

Dividend Growth Rate = Plowback Ratio x Return on Equity

Plowback Ratio = 50% = 0.5

Return on Equity = 25% = 0.25

Dividend Growth Rate = 0.5 x 0.25 = 0.125

P0 = $1.25 / (0.20 - 0.125) = $31.25

Therefore, the stock should sell for $31.25 today.

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if a bill is given to the president, what are his/her options to do with the bill?

Answers

When a bill is presented to the President, he/she has three main options: sign the bill into law, veto the bill, or take no action.

A bill in legislature refers to a proposed piece of legislation that has been introduced to a legislative body, such as a state or federal congress, for consideration and potential passage into law. If the President signs the bill, it becomes law. If the President vetoes the bill, it goes back to Congress, which can attempt to override the veto with a two-thirds majority vote in both houses. If the President takes no action for ten days (excluding Sundays) while Congress is in session, the bill automatically becomes law. However, if Congress adjourns before the ten-day period ends and the President takes no action, it results in a pocket veto, and the bill does not become law.

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suzy's temporary employee (ste) business, located in a big city, can do an online criminal background check in-house for $1.11 per search with a fixed cost of $35,000. a third-party online security firm offered to do a similar security search for $8.00 per person with an annual service contract with ste. if ste's forecast is 2,700 searches next year, should ste continue to do the search in-house or accept the third-party offer? use the excel template break-even to determine the best decision. round your answer for the breakeven quantity to the nearest whole number and round your answer for the amount of saving/loss to the nearest dollar.

Answers

According to the Break-even analysis, the third-party offer is a preferable option.

The firm would reach break-even point after 2,553 searches (rounded to the next whole number) under an annual service contract at a cost of $9.50 each search. The savings, which have been rounded to the closest dollar, total $13,867.

The organisation would save $7,800 by selecting the third-party offer because they anticipate 3,300 searches. This would save a lot of money and give more trustworthy security checks because the third-party company is an expert in this field. Suzy's Temporary Employee Business is advised to accept the third party offer as a result.

In a break-even analysis, a company's margin of safety is determined and compared to the revenues received and associated costs. To put it another way, the study shows how many sales are necessary to pay for operational costs.

The break-even analysis examines various pricing levels in connection to various levels of demand in order to determine what level of sales are necessary to pay the company's entire fixed expenditures. A demand-side analysis would considerably improve a seller's ability to close deals.

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Unlike the distinctive competencies of a company, the core capabilities of a company:
O a. are tangible and more visible.
O b. cannot be sustained for long without superior distinctive competencies.
O c. include things that the company can make, do..or perform better than its competitors.
O d. determine how efficiently inputs can be turned into outputs.

Answers

Option c. is correct: The core capabilities of a company include things that the company can make, do, or perform better than its competitors.

Distinctive competencies are unique strengths or advantages that a company possesses, which allow it to outperform its competitors in a particular area. Core capabilities are the key abilities, skills or processes that enable a company to deliver its products or services effectively and efficiently. While both are important for a company to succeed, core capabilities are often more fundamental to the company's operations and can provide a sustainable competitive advantage if leveraged correctly.

what is the purpose of stakeholder analysis in project management? how might you categorize stakeholders and how might this influence your communications plan?

Answers

Stakeholder analysis is very important in project management as it helps project managers identify and prioritize stakeholder needs and expectations.

Stakeholder analysis is a vital venture administration instrument utilized to recognize, analyze and get the interface, needs, and desires of the partners included within the extend.

The reason for partner investigation is to recognize the partners who may influence or be influenced by the extent and to decide their degree of influence, interest, and inclusion within the venture. 

Stakeholder categorization is an important part of stakeholder analysis as it helps project managers identify different types of stakeholders and prioritize their needs and expectations.

Stakeholders can be classified based on various factors.By interest, power, influence, or contribution to the project. Here are the general categories of stakeholders:

Insider:

These stakeholders include project team members, project sponsors, and other internal departments within the organization.

External parties

These stakeholders include customers, suppliers, regulators and other external organizations that may be affected by the project.

main character:

These stakeholders have a direct interest in the project and can influence its success. This includes project sponsors, team members, and end users.

Secondary Stakeholders:

These stakeholders have an indirect interest in the project and may be affected by its outcome. This includes regulators, suppliers and other external organizations.

Stakeholder categorization can influence your communication plan in a number of ways.

For example, a stakeholder with a high level of interest or influence may require more frequent communication and engagement, while a stakeholder with a low level of interest or influence may require less communication.

There are cases. By categorizing stakeholders, project managers can also identify which stakeholders need different types of communication.

 A technical report for internal stakeholders and a non-technical summary for external stakeholders.

In summary, stakeholder analysis is very important in project management as it helps project managers identify and prioritize stakeholder needs and expectations.

Stakeholder taxonomy helps project managers align communication and engagement strategies to meet the needs of different stakeholder groups.  

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when using the lower-of-cost-or-market rule, if the normal profit margin was decreased, the lower limit for inventory value would

Answers

When using the lower-of-cost-or-market rule, if the normal profit margin was decreased, the lower limit for inventory value would "remain the same".

The lower-of-cost-or-market rule requires that inventory be reported at the lower of its cost or its market value, with market value being defined as the current replacement cost. The normal profit margin is not considered when applying this rule, so a decrease in the normal profit margin would not affect the lower limit for inventory value.

The goal of this rule is to ensure that inventory is not reported at a value higher than what it can be sold for in the current market, thereby preventing overstated profits and assets on the balance sheet.

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a company adopted dollar-value lifo on january 1, 2024, when the inventory value was $500,000 and the cost index was 1.0. on december 31, 2024, the inventory value at year-end costs was $535,000 and the cost index was 1.07. the company would report a lifo inventory of:

Answers

A company adopted dollar-value lifo on january 1, 2024, when the inventory value was $500,000 On December 31, 2014, the DVL inventory stood at $742,000. The dollar-value lifo technique of valuing LIFO inventory uses base-year costs stated in total dollars.

The unit of measurement rather than the quantity and cost of particular commodities. Ending inventory value is calculated using base-year prices:

Ending inventory at base-year pricing equals $777,000 divided by 1.05 equals $740,000.

Inventory growth in actual dollars:

($740,000 - $700,000) - $40,000

At year-end pricing, the value of the actual dollar quantity increase in inventory is calculated as follows: = $40,000 x 1.05

= $42,000 DVL. Inventory as of December 31, 2016 was $700,000 + $42,000,

or $742,000.

As a result, on December 31, 2024, the dollar-value LIFO inventory will be $742,000 in value.

Complete question:

a company adopted dollar-value lifo on january 1, 2024, when the inventory value was $500,000 and the cost index was 1.0. on december 31, 2024, the inventory value at year-end costs was $535,000 and the cost index was 1.07. the company would report a lifo inventory of LIFO.

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1) monarch dress company can issue debt yielding at 13%. the company if paying a 36% tax rate. what is the after-tax cost of debt?

Answers

The after-tax cost of debt for Monarch Dress Company is 8.32%.

To calculate the after-tax cost of debt for Monarch Dress Company, we need to use the following formula:

After-tax cost of debt = Pre-tax cost of debt x (1 - Tax rate)

Given that the debt is yielding at 13% and the company has a tax rate of 36%, we can substitute the values in the formula:

After-tax cost of debt = 0.13 x (1 - 0.36) = 0.0832 or 8.32%

Therefore, the after-tax cost of debt for Monarch Dress Company is 8.32%.

This means that after taking into account the tax benefits of deducting interest payments from taxable income, the effective cost of borrowing is lower than the stated interest rate. It is important for companies to consider the after-tax cost of debt when making financial decisions, as it reflects the true cost of borrowing and allows for more accurate financial analysis and comparison with other sources of funding.

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use table: demand schedule of gadgets. the market for gadgets consists of two producers, margaret and ray. each firm can produce gadgets at a marginal cost of $2 and no fixed cost. suppose that these two producers have formed a cartel, agreed to split production of output evenly, and are maximizing total industry profits. if margaret decides to cheat on the agreement and sell 100 more gadgets, the market price of gadgets will be: $6. $5. $7. $4.

Answers

Looking at the demand schedule of gadgets, we can see that if the quantity supplied increases from 400 to 500, the market price of gadgets will decrease from $7 to $4. Option D

To answer this question, we need to analyze the demand schedule of gadgets and understand how it will be affected by the cartel agreement and Margaret's decision to cheat. The table of demand schedule of gadgets shows the relationship between the price of gadgets and the quantity demanded by consumers.

Assuming that the market for gadgets is perfectly competitive, the price of gadgets will be determined by the intersection of the total quantity supplied by both producers and the total quantity demanded by consumers. If the cartel agreement is in place and both producers are maximizing total industry profits by splitting production evenly, the quantity supplied by each producer will be half of the total quantity demanded at the market price.

However, if Margaret decides to cheat on the agreement and produce and sell 100 more gadgets, the total quantity supplied by both producers will exceed the total quantity demanded by consumers, leading to a surplus of gadgets in the market. This surplus will put downward pressure on the market price of gadgets as producers compete to sell their products.

Therefore, we can infer that the market price of gadgets will decrease if Margaret decides to cheat on the cartel agreement and sell 100 more gadgets. Looking at the demand schedule of gadgets, we can see that if the quantity supplied increases from 400 to 500, the market price of gadgets will decrease from $7 to $4. Therefore, the correct answer is D) $4.

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what the meaning of "Effectiveness of Human Resource Management (Roland)
Indicators
Corporate culture
Changes in staff turnover
Absenteeism
Accidents
Levels of disputation
Worker satisfaction
Benchmarking key variables"

Answers

The meaning of "Effectiveness of Human Resource Management (Roland) Benchmarking key variables" refers to the process of evaluating and measuring the performance and success of Human Resource Management (HRM) within an organization by comparing it to industry benchmarks.

In this context, Roland refers to a specific HRM model or framework.

1. Effectiveness of Human Resource Management: This term indicates the extent to which HRM practices and policies help an organization achieve its goals, including employee satisfaction, productivity, and retention.

2. Benchmarking: Benchmarking is the process of comparing an organization's practices, processes, and performance metrics to those of industry leaders and best practices. This comparison helps identify areas for improvement and set achievable targets.

3. Key variables: In the context of HRM effectiveness, key variables are the critical factors or indicators that impact the overall performance and success of HRM. These may include employee turnover, job satisfaction, training and development, and recruitment strategies, among others.

In summary, evaluating the "Effectiveness of Human Resource Management (Roland) Benchmarking key variables" involves assessing the organization's HRM performance by comparing key indicators to industry standards or best practices.

This comparison helps identify strengths, weaknesses, and areas for improvement, ultimately leading to better HRM practices and contributing to the organization's overall success.

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when---------- is used prices are established based on marketers' strategic estimate of the amount, no less, no more, that customers would be willing to pay for a product of this nature

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"When target pricing is used prices are established based on marketers' strategic estimate of the amount, no less, no more, that customers would be willing to pay for a product of this nature. This is also described in the book as Goldilocks pricing."

Target pricing, also known as Goldilocks pricing, is a pricing strategy that involves setting a product's price based on the estimated amount that customers would be willing to pay. This strategic estimate takes into account the product's features, quality, and competitive landscape.

The aim of target pricing is to find the "sweet spot" or the price point that is neither too high nor too low for the target market. This approach helps to maximize profitability while also meeting the needs of customers. It is important to note that target pricing is not based on the cost of producing the product, but on the perceived value that customers place on it.

Therefore, it is crucial to conduct market research to understand customers' willingness to pay before setting a target price.

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Which type of advertising is intended to stimulate demand for a new product or category?

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The type of advertising that is intended to stimulate demand for a new product or category is called "Pioneering advertising" or "Primary demand advertising".

The type of advertising that is intended to stimulate demand for a new product or category is called "Pioneering advertising" or "Primary demand advertising". This type of advertising is used when a new product or service is introduced to the market and aims to create awareness, generate interest, and educate consumers about the new product or category. Pioneering advertising seeks to build the brand and establish a market position for the new product or service. It often focuses on the benefits and features of the new product, as well as how it can solve consumer problems or meet their needs. Pioneering advertising is often used in the early stages of a product's life cycle to create a foundation for future advertising efforts.

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why is my federal withholding so low when i claim 0

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When you fill out a Form W-4, you can choose the number of allowances you want to claim, which can affect the amount of federal income tax withheld from your paycheck.

If you claim zero allowances, your employer will withhold the maximum amount of federal income tax from your paycheck. However, your federal withholding can still be low if your income is not high enough or if you have other tax deductions or credits that lower your tax liability.It's important to note that claiming zero allowances does not necessarily mean you will not owe taxes when you file your tax return. The number of allowances you claim on your W-4 is simply an estimate of your tax liability, and your actual tax liability may differ based on a variety of factors such as your income, deductions, and credits. If you consistently owe taxes or receive large refunds, you may want to adjust your withholding by filing a new Form W-4 with your employer.

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sales budget: unit sales in june, july, and august are 20,000, 18,000, and 17,000, respectively. the selling price per unit is $80. all sales are on account. 20% of sales are collected in the month of sale and 80% are collected in the next month.what are the expected cash collections from customers for july?

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The expected cash collections from customers for July are $1,568,000.

To calculate the expected cash collections from customers for July, we need to determine how much of the June and July sales will be collected in July.

The June sales of 20,000 units will result in revenue of:

20,000 units x $80/unit = $1,600,000

Of this amount, 20% will be collected in June:

$1,600,000 x 20% = $320,000

And 80% will be collected in July:

$1,600,000 x 80% = $1,280,000

Therefore, the expected cash collections from June sales in July are $1,280,000.

The July sales of 18,000 units will result in revenue of:

18,000 units x $80/unit = $1,440,000

Of this amount, 20% will be collected in July:

$1,440,000 x 20% = $288,000

And 80% will be collected in August:

$1,440,000 x 80% = $1,152,000

Therefore, the expected cash collections from July sales in July are $288,000.

Adding the expected cash collections from June and July sales in July, we get:

$1,280,000 + $288,000 = $1,568,000

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spending money to train and develop employees is a means of fostering multiple choice continuance commitment. normative commitment. voluntary commitment. social adherence. affective commitment.

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Spending money on employee training and development can be a means of fostering affective commitment, which is an emotional attachment to the organization.option ()

When employees feel that their organization is investing in their personal and professional growth, they are more likely to feel a sense of loyalty and dedication to the organization. Affective commitment is important because it can lead to increased job satisfaction, higher motivation, and lower turnover rates. By investing in their employees' development, organizations can demonstrate that they value their employees and are committed to their long-term success, which can foster a positive organizational culture and lead to better business outcomes.

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Full Question: Spending money to train and develop employees is a means of fostering multiple choice

continuance commitment. normative commitment. voluntary commitment. social adherence. affective commitment.

Accounting: What is the name of the not-for-profit organization that is responsible for establishing the accounting rules known in the U.S. as, "Generally Accepted Accounting Principles" (U.S. GAAP)? (Acronym Acceptable)

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The not-for-profit organization responsible for establishing the accounting rules known in the U.S. as "Generally Accepted Accounting Principles" (U.S. GAAP) is the Financial Accounting Standards Board (FASB).

FASB is an independent, private-sector organization that plays a crucial role in developing and issuing accounting standards to ensure the consistency, transparency, and comparability of financial reporting in the United States.

Its mission is to establish and improve the standards of financial accounting and reporting for public and private companies, as well as not-for-profit organizations.

The FASB follows a due process, which includes researching and discussing accounting issues, issuing exposure drafts for public comment, and carefully considering stakeholder input before finalizing a new standard.

This process ensures that the standards developed are well-informed, and address the needs and concerns of various stakeholders, including investors, auditors, regulators, and preparers of financial statements.

The standards set by FASB are recognized by the U.S. Securities and Exchange Commission (SEC) as authoritative for public companies. These standards, collectively known as U.S. GAAP, provide a common framework for financial reporting, allowing users of financial statements to make informed decisions and comparisons between different entities. By adhering to U.S. GAAP, organizations ensure the reliability and consistency of their financial information.

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