ordinarily, the predecessor auditor permits the successor auditor to review the predecessor's working paper analyses relating to.....

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Answer 1

Ordinarily, the predecessor auditor permits the successor auditor to review the predecessor's working paper analyses relating to the balance sheet and income statement balances and disclosures of the financial statements, as per Generally Accepted Auditing Standards (GAAS).

What is Generally Accepted Auditing Standards (GAAS)? GAAS stands for Generally Accepted Auditing Standards, which are a collection of guidelines used by auditors to conduct audits on companies' financial statements in a consistent manner.

These guidelines are set by the American Institute of Certified Public Accountants (AICPA) and the Public Company Accounting Oversight Board (PCAOB). GAAS provides a comprehensive framework for conducting financial statement audits. This structure includes the auditor's responsibilities, the performance standards they must follow, and the reporting requirements.

It sets out the criteria for the qualifications and independence of the auditor, the scope of the audit, the procedures that the auditor should follow, and the standards for reporting the results of the audit.

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Case Study 2: Lesedi Manufacturing Primary Cooperative Formed in 2013 by ten unemployed women in Alexandra Township, the Lesedi Manufacturing Primary Co-operative is a recycling business to clean up in the area and create jobs. Tired of waiting for jobs to come to them and observing the waste lying around in their community, these women saw an opportunity to clean up their environment while also generating an income through engaging in recycling activities. Lesedi, with the slogan, "Preserving the environment for healthy living", encourages the community to invest in recycling. (c) The Independent Institute of Education (Pty) Ltd 2022 Page 8 of 16 Lesedi started the recycling company in 2014 when it successfully obtained grant funding for R340 000 through the Department of Trade and Industry (the DTI) Co-operative Incentive Scheme (CIS) to purchase machines. Lesedi also received R1.1 million in finance over 36 months from the National Youth Development Agency (NYDA). NYDA also assisted Lesedi in developing a project plan and writing proposals. As a result, Lesedi purchased machinery like boilers, scales, and containers. Lesedi also obtained a site and built offices. As a result, Lesedi began operating as a profitable business enterprise. Through a mentoring relationship (operationalised through a Memorandum of Understanding (MOU)) with Pickitup, a waste management entity of the City of Johannesburg, Lesedi is building a capacity to grow the enterprise, and assist the City in its commitment to job creation, community empowerment and the reduction of waste to landfill. Case study extracted from the International Labour Organization: Best Practice Case Studies, pp.16-17.

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Based on the given case study of Lesedi Manufacturing Primary Cooperative, it is evident that the cooperative has successfully established a recycling business with the aim of cleaning up the environment and creating employment opportunities in the Alexandra Township.

The cooperative was formed in 2013 by ten unemployed women who recognized the waste issue in their community and saw an opportunity to address it through recycling activities.

To kickstart their business, Lesedi secured grant funding of R340,000 from the Department of Trade and Industry's Co-operative Incentive Scheme (CIS) in 2014. This funding was used to purchase essential machinery such as boilers, scales, and containers. Additionally, the cooperative received financial support of R1.1 million over 36 months from the National Youth Development Agency (NYDA). The NYDA also provided assistance in developing project plans and writing proposals. With these resources, Lesedi was able to establish its operations, including acquiring a site and constructing offices.

One notable aspect of Lesedi's growth and development is its mentoring relationship with Pickitup, a waste management entity of the City of Johannesburg. This collaboration is formalized through a Memorandum of Understanding (MOU). Through this partnership, Lesedi is enhancing its capacity, benefiting from the guidance and support of Pickitup. The cooperative's collaboration with Pickitup aligns with the City's goals of job creation, community empowerment, and reducing waste to landfill.

Overall, Lesedi Manufacturing Primary Cooperative demonstrates the successful implementation of a recycling business model driven by a community-oriented approach. By addressing environmental concerns, creating employment opportunities, and fostering partnerships with relevant stakeholders, Lesedi is making a positive impact in their local community while operating as a profitable business enterprise.

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We are evaluating a project that costs $836,542, has an eight-year life, and has no salvage value, Assume that depreciation is straight-line to zero over the life of the project. Sales are projected at 57,474 units per year. Price per unit is $44, variable cost per unit is $22, and fixed costs are $421,302 per year. The tax rate is 35%, and we require a return of 21% on this project. Calculate the Financial Break-Even Point. (Round answer to 0 decimal places. Do not round intermediate calculations)

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To calculate the Financial Break-Even Point, the Financial Break-Even Point is approximately 0.3335 units.

We need to determine the number of units that need to be sold in order to cover all costs and achieve a zero net income.
Here's how we can calculate the Financial Break-Even Point:
Step 1: Calculate the total fixed costs per year:
Fixed costs = $421,302 per year
Step 2: Calculate the contribution margin per unit:
Contribution margin = Price per unit - Variable cost per unit
Contribution margin = $44 - $22 = $22 per unit
Step 3: Calculate the annual contribution:
Annual contribution = Contribution margin per unit × Number of units sold per year
Annual contribution = $22 per unit × 57,474 units per year
Step 4: Calculate the break-even point in units:
Break-even point (in units) = Total fixed costs per year ÷ Annual contribution
Break-even point (in units) = $421,302 per year ÷ ($22 per unit × 57,474 units per year)
Now, let's calculate the Financial Break-Even Point:
Break-even point (in units) = $421,302 ÷ ($22 × 57,474)
Break-even point (in units) = $421,302 ÷ $1,263,228
Break-even point (in units) ≈ 0.3335
Therefore, the Financial Break-Even Point is approximately 0.3335 units.
Since we cannot have a fraction of a unit, we can round it to the nearest whole number, which is 1 unit.
Hence, the Financial Break-Even Point is 1 unit.

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Suppose Acap Corporation will pay a dividend of $2.85 per share at the end of this year and $2.93 per share next year. You expect Acap's stock price to be $52.71 in two years. Assume that Acap's equity cost of capital is 11.8%. a. What price would you be willing to pay for a share of Acap stock today if you planned to hold the stock for two years? b. Suppose, instead, you plan to hold the stock for one year. For what price would you expect to be able to sell a share of Acap stock in one year? c. Given your answer in part b, what price would you be willing to pay for a share of Acap stock today if you planned to hold the stock for one year? How does this price compare to your answer in part a? CX Enterprises has the following expected dividends: $1.02 in one year, $1.19 in two years, and $1.31 in three years. After that, its dividends are expected to grow at 3.7% per year forever (so that year four's dividend will be 3.7% more than $1.31 and so on). If CX 's equity cost of capital is 12.3%, what is the current price of its stock? The price of the stock will be $ (Round to the nearest cent.)

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a. To calculate the price you would be willing to pay for a share of Acap stock today, assuming a holding period of two years, we can use the dividend discount model. The formula is:

Stock Price = (Dividend at Year 1 / (1 + Equity Cost of Capital)) + (Dividend at Year 2 / (1 + Equity Cost of Capital)^2) + (Expected Stock Price at Year 2 / (1 + Equity Cost of Capital)^2)

Given:

Dividend at Year 1 = $2.85

Dividend at Year 2 = $2.93

Expected Stock Price at Year 2 = $52.71

Equity Cost of Capital = 11.8% = 0.118

Using the formula:

Stock Price = ($2.85 / (1 + 0.118)) + ($2.93 / (1 + 0.118)^2) + ($52.71 / (1 + 0.118)^2)

Stock Price ≈ $4.49 + $4.37 + $40.10

Stock Price ≈ $49.96

Therefore, you would be willing to pay approximately $49.96 for a share of Acap stock today if you planned to hold it for two years.

b. To estimate the price at which you would expect to sell a share of Acap stock in one year, we can use the dividend discount model and consider the dividends expected in the future but exclude the expected stock price at Year 2.

Using the formula:

Stock Price = (Dividend at Year 1 / (1 + Equity Cost of Capital))

Stock Price = ($2.85 / (1 + 0.118))

Stock Price ≈ $2.55

Therefore, you would expect to be able to sell a share of Acap stock for approximately $2.55 in one year if you planned to hold it for one year.

c. If you plan to hold the stock for one year, the price you would be willing to pay for a share of Acap stock today can be calculated using the formula from part b:

Stock Price = ($2.85 / (1 + 0.118))

Stock Price ≈ $2.55

The price you would be willing to pay is approximately $2.55 if you planned to hold the stock for one year.

Comparing this price to the answer in part a ($49.96), we can see that the price you are willing to pay for a shorter holding period (one year) is significantly lower than the price for a longer holding period (two years). This is because the estimated future dividends and expected stock price at Year 2 have a greater impact on the valuation when holding the stock for two years.

Moving on to CX Enterprises:

To calculate the current price of CX's stock, we can use the dividend discount model with infinite growth. The formula is:

Stock Price = (Dividend at Year 1 / (Equity Cost of Capital - Dividend Growth Rate))

Given:

Dividend at Year 1 = $1.02

Dividend at Year 2 = $1.19

Dividend at Year 3 = $1.31

Dividend Growth Rate = 3.7% = 0.037

Equity Cost of Capital = 12.3% = 0.123

Using the formula:

Stock Price = ($1.02 / (0.123 - 0.037)) + ($1.19 / (0.123 - 0.037)^2) + ($1.31 / (0.123 - 0.037)^3)

Stock Price ≈ $10.29 + $13.17 + $16.88

Stock Price ≈ $40.34

Therefore, the current price of CX's stock is approximately $40.34.

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Exercise 6-7A (Algo) Effect of depreciation on the accounting equation and financial statements LO 6-2 The following events apply to Gulf Seafood for the Year 1 fiscal year: 1. The company started when it acquired $19,000 cash by issuing common stock. 2. Purchased a new cooktop that cost $14,200 cash. 3. Earned $21,100 in cash revenue. 4. Pald $12,300 cash for salaries expense. 5. Adjusted the records to reflect the use of the cooktop. Purchased on January 1, Year 1 , the cooktop has an expected useful life of four years and an estimated salvage value of $2,000. Use straight-line depreciation. The adjusting entry was made as of December 31 , Year 1. Required a. Record the above transactions in a horizontal statements model, b. What amount of depreciation expense would Gulf Seafood report on the Year 1 income statement? c. What amount of accumulated depreciation would Gulf Seafood report on the December 31, Year 2, balance sheet? d. Would the cash flow from operating activities be affected by depreciation in Year 1 ? b. What amount of depreciation expense would Gulf Seafood report on the Year 1 income statement? c. What amount of accumulated depreciation would Gulf Seafood report on the December 31 , Year 2, baiance sheet? d. Would the cash flow from operating activities be affected by depreciation in Year 1?

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The cash flow from operating activities will be affected by the depreciation in Year 1 because the company has to pay the salary expense of $12,300, and they have to report a depreciation expense of $3,050. This can be done by using Horizontal Statements Model.

ParticularsCash (+A)
Accounts receivable (+A)
Cooktop (+A)
Accumulated Depreciation (+A)
Common Stock (+SE)
Salaries Expense (-SE)
Depreciation Expense (-SE)
Cash Revenue (+R)
Year 1$19,000
Cash acquisition.$14,200
Purchase of Cooktop.$21,100
Cash earned revenue.$12,300
Salary paid.$2,800($14,200/4 years)
Depreciation Entry on Cooktop.

As of December 31, Year 1.

Total$19,000$21,100$14,200$2,800$19,000$12,300$2,800$21,100

Calculating the depreciation expense:
Depreciation Expense = (Purchase price - Salvage value) / Estimated useful life

Depreciation Expense = ($14,200 - $2,000) / 4 years

Depreciation Expense = $3,050

Depreciation for Year 1 = $3,050

Calculation of accumulated depreciation at the end of Year 2:

Accumulated Depreciation = Depreciation Expense x Number of years

Accumulated Depreciation = $3,050 x 2

Accumulated Depreciation = $6,100

The cash flow from operating activities will be affected by the depreciation in Year 1 because the company has to pay the salary expense of $12,300, and they have to report a depreciation expense of $3,050.

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To get the necessary funds for a planned expansion, a small company took out three loans totaling $22,000. Company owners were able to get interest rates of 9%, 10%, and 11%. They borrowed $1000 more at 10% than they borrowed at 11%. The total annual interest on the loans was $2110. Answer parts (a) through (d).
(a) How much did they borrow at each rate?
The company borrowed $ at 9%, $ at 10%, and $ at 11%.

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The company borrowed $4333.33 at 11%, $5333.33 at 10%, and $13333.34 at 9%.

To find out the amount borrowed at each rate of interest, we can follow these steps:

Let's assume that the company borrowed x dollars at 11% interest, so the amount borrowed at 10% is (x + 1000). The amount borrowed at 9% is (22000 - 2x - 1000). Now we can calculate the total interest paid as per the given information:

The interest on x dollars at 11% = 0.11x

The interest on (x + 1000) dollars at 10% = 0.10(x + 1000)

The interest on (22000 - 2x - 1000) dollars at 9% = 0.09(22000 - 2x - 1000)

Total Interest = 0.11x + 0.10(x + 1000) + 0.09(22000 - 2x - 1000) = $2110

Now, we can solve for x and get the amount borrowed at each rate as follows:

Using the above steps:

0.11x + 0.10(x + 1000) + 0.09(22000 - 2x - 1000)

= $21100.11x + 0.10x + 100 + 1980 - 0.18x - 90

= $21100.03x

= 130x

= $4333.33

So the amount borrowed at 11% interest is $4333.33.

The amount borrowed at 10% is $5333.33.

The amount borrowed at 9% is $13333.34.

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In July 2007, News Corporation entered into an agreement to purchase all of the outstanding shares of Dow Jones and Company for $67 per share. Immediately prior to the News Corporation bid, the shares of Dow Jones traded at $42 per share. The number of outstanding shares at the time of the announcement was 87 million. The book value of interest-bearing liabilities on the balance sheet of Dow Jones was $1.52 billion, a. Estimate the cost of this acquisition to the shareholders of News Corporation b. What value did News Corporation place on the control of Dow Jones and Company? Note: For all requirements, enter your answers in billions rounded to 2 decimal places.

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News Corporation placed a value of $4.289 billion on the control of Dow Jones and Company.

a. To estimate the cost of the acquisition to the shareholders of News Corporation, we need to calculate the total amount paid for the outstanding shares of Dow Jones.

Number of outstanding shares: 87 million

Price per share: $67

Total amount paid for outstanding shares: 87 million * $67 = $5.809 billion

b. To determine the value News Corporation placed on the control of Dow Jones, consider the difference between the amount paid for the shares and the book value of interest-bearing liabilities on Dow Jones' balance sheet.

Book value of interest-bearing liabilities: $1.52 billion

Value placed on the control of Dow Jones: Total amount paid - Book value of liabilities

Value placed on the control of Dow Jones: $5.809 billion - $1.52 billion = $4.289 billion.

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Ultimate Hair salon has offered vou free life-tme haircuts if you design its database. Given the rising cost of personal care and your impeccable sense of shic. you agree. Here is the information that you cathered: Clients are identified by their unique. customer loyalty card number, and we aiso store theis names and ace. Styluts are identified by their empioyee iD number, and we also store their names and rpecilty. Each client has one preferred stylat, and we want to know how loeg the client has been with her preferred stylist. Each styliat has at least one client. Provide the EA diagram of your detign. Your complete diagram must be drawn on this page in the space provided.

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The Entity-relationship diagram of the Ultimate Hair Salon database is as follows: Entity-Relationship Diagram (ERD) of the Ultimate Hair Salon Database:

Given the above information, the following entities and their relationships have been established  - Entities:Clients, Stylists, and Services.

Relationships:

1. There are many clients, each client has one preferred stylist, and each stylist has at least one client.

2. Each client is identified by a unique customer loyalty card number, and the database stores their name and age.

3. Each stylist is identified by an employee ID number, and the database stores their name and specialty.

4.Each client receives at least one service from a stylist, and each service must be associated with a stylist.

5.Therefore, the above information allows us to draw an entity-relationship diagram that represents the different entities and their relationships. It provides a visual representation of the Ultimate Hair Salon database.

Client ------(1)---> Preferred Stylist <---(many)------ Stylist

            |                                             |

            |                                             |

            +--------(attribute: length of time)-----------+

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Suppose we have a firm that is assumed to have a dividend growth rate of 20% for the next three years, then 7% per year afterward. The cost of equity is assumed to be 13%. Assume that the stock recently paid a dividend of $7. The Compute the value of the stock.

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The value of the stock can be computed using the Dividend Discount Model (DDM). The DDM calculates the present value of all future dividends expected to be received by an investor.

To compute the value of the stock, we need to determine the present value of the dividends during the high growth period (first three years) and the present value of the dividends during the stable growth period (after three years).

First, let's calculate the present value of dividends during the high growth period. We know that the dividend growth rate during this period is 20%, and the cost of equity is 13%.

Year 1 dividend = $7 * (1 + 20%) = $8.40

Year 2 dividend = $8.40 * (1 + 20%) = $10.08

Year 3 dividend = $10.08 * (1 + 20%) = $12.10

Next, we calculate the present value of these dividends using the cost of equity as the discount rate. The present value formula is:

Present Value = Dividend / (1 + Cost of Equity)^Year

Present Value of Year 1 dividend = $8.40 / (1 + 13%)^1 = $7.43

Present Value of Year 2 dividend = $10.08 / (1 + 13%)^2 = $7.83

Present Value of Year 3 dividend = $12.10 / (1 + 13%)^3 = $8.12

Now, let's calculate the present value of dividends during the stable growth period. We know that the dividend growth rate during this period is 7% and the cost of equity is 13%.

To calculate the present value of dividends during the stable growth period, we can use the Gordon Growth Model, which is a simplified version of the DDM for perpetual dividends.

Dividend at Year 4 = Year 3 dividend * (1 + 7%) = $12.10 * (1 + 7%) = $12.99

Present Value of Year 4 and beyond dividends = Dividend / (Cost of Equity - Dividend Growth Rate)

Present Value of Year 4 and beyond dividends = $12.99 / (13% - 7%) = $214.83

Finally, we sum up the present values of dividends during the high growth period and the present value of dividends during the stable growth period to get the value of the stock.

Value of the stock = Present Value of Year 1 to 3 dividends + Present Value of Year 4 and beyond dividends

Value of the stock = $7.43 + $7.83 + $8.12 + $214.83 = $238.21

Therefore, the estimated value of the stock is $238.21.

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On January 1, 2016, Crammer Inc. issues five-year bonds with a total face amount of $1,000,000 and a stated rate of 10%. The bonds were issued at 96 on January 1, 2016. Interest is paid semiannually on June 30 and December 31.

1. What is the balance in the Premium or Discount account after the June 30, 2016 entry? Show your calculation.

2. What is the carrying value of the bonds after the June 30, 2016 entry? Show your calculation.

3. Give the journal entry to record the repayment of the bond at maturity on January 1, 2021, after all interest has been paid.

Answers

The balance in Premium or Discount account after June 30, 2016 entry would be $17,200 (discount).

The carrying value of the bonds after the June 30, 2016 entry can be computed as follows:

Total bonds payable = $1,000,000 × 0.96 = $960,000

The premium on bonds payable can be computed as follows:

Premium on bonds payable = $1,000,000 – $960,000 = $40,000

Interest for the second half of the year can be computed as follows:

Interest = $1,000,000 × 10% × 6/12 = $50,000

Since interest is paid semiannually, $50,000 / 2 = $25,000

The carrying value of the bonds payable after the June 30, 2016 entry is $985,800.

The journal entry to record the repayment of the bond at maturity on January 1, 2021, after all interest has been paid is as follows:Bonds payable 1,000,000Premium on bonds payable 40,000Cash 1,040,000The company debits the bonds payable account for the bond face value, the premium on bonds payable account for the total premium, and credits the cash account for the total cash paid.

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Financial statement data for years ending December 31 for Newton Company follow:

20Y9 20Y8
Cash (end of year) $25,400 $24,100
Short-term investments (end of year) 7,670 9,770
Operating expenses 59,245 63,765
Depreciation expense 12,880 10,840
Determine the days’ cash on hand for 20Y8 and 20Y9. Assume a 365-day year. Round your answers to one decimal place.

Days’ Cash on Hand
20Y8: days
20Y9: days

Answers

Based on the financial statement data provided for Newton Company, the days' cash on hand for the years ending December 31 were calculated to be approximately 96.8 days in 20Y8 and approximately 102.1 days in 20Y9.

To calculate the days' cash on hand, we need to determine the average daily cash balance for each year. The formula for calculating the days' cash on hand is as follows:

Days' Cash on Hand = (Cash + Short-term investments) / (Operating expenses / 365)

Let's calculate the days' cash on hand for each year:

For 20Y8:

Average daily cash balance = (Cash + Short-term investments) / 2

= ($24,100 + $9,770) / 2

= $33,870 / 2

= $16,935

Days' Cash on Hand = $16,935 / (Operating expenses / 365)

= $16,935 / ($63,765 / 365)

= $16,935 / 174.8

≈ 96.8 days (rounded to one decimal place)

Therefore, the days' cash on hand for 20Y8 is approximately 96.8 days.

For 20Y9:

Average daily cash balance = (Cash + Short-term investments) / 2

= ($25,400 + $7,670) / 2

= $33,070 / 2

= $16,535

Days' Cash on Hand = $16,535 / (Operating expenses / 365)

= $16,535 / ($59,245 / 365)

= $16,535 / 161.9

≈ 102.1 days (rounded to one decimal place)

Therefore, the days' cash on hand for 20Y9 is approximately 102.1 days.

In summary, the days' cash on hand for Newton Company were:

20Y8: Approximately 96.8 days.

20Y9: Approximately 102.1 days.

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Workplace violence is a type of crisis that organizations deal with often. a) True b) False

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Workplace violence is a type of crisis that organizations deal with often. This statement is true. Workplace violence has become one of the growing problems that businesses have been forced to face in the last few years.

Workplace violence is not only confined to physical abuse but may include threats, bullying, intimidation, or verbal abuse.Workplace violence can have a significant impact on businesses as it can lead to increased absenteeism and turnover, decreased productivity, low morale, and ultimately, reduced profits.

However, organizations can reduce the risk of workplace violence by implementing preventive measures such as security cameras, background checks on new hires, providing regular training to staff members, and creating a zero-tolerance policy towards workplace violence. By implementing these measures, organizations can help ensure that their employees work in a safe and secure environment.

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Mark's house is insured for $251400, and he has been paying premiums for the past 10 years. Mark's home was wiped out in a hurricane. The face value of the policy is $251400, the remaining mortgage is $129000, and the appraised value is $211400. How much can he recover from his insurance company for the loss?

Answers

The required answer to this question is the appraised value of the house is $211,400. This value represents the estimated worth of the property.

The required answer to this question is the appraised value of the house is $211,400. This value represents the estimated worth of the property.

The face value of the policy is $251,400, which means that in the event of a covered loss, Mark is entitled to receive up to this amount from his insurance company.

The remaining mortgage is $129,000. In some cases, the insurance payout may be directed towards paying off the outstanding mortgage balance. This ensures that the mortgage lender's interest in the property is protected. Therefore, a portion of the insurance payout may be allocated to the mortgage payoff.

The appraised value of the house is $211,400. This value represents the estimated worth of the property.

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Social media is an integral part our personal as well as professional lives. For an organization it is a very influential medium of interacting with its talent pool and the industry at large. Given its reach and the impact it can create, it's very crucial for organizations to have a well-defined social media policy. In this context,

what would you recommend organisations to consider while deciding the social media policy? i.e. Best practices, what works for the young talent, delivery mode etc.

Answers

Organizations must have a well-defined social media policy that incorporates best practices, considers what works for young talent, and uses an effective delivery mode. This will ensure that they can leverage social media to interact with their talent pool and the industry at large while also protecting their brand reputation and managing potential risks.

Social media is a crucial part of both personal and professional lives, so organizations must have a well-defined social media policy. Here are some recommendations for organizations to consider while deciding their social media policy:

Best practices:

Organizations should consider best practices such as having a clear policy on acceptable behavior, training employees on social media usage, monitoring social media activity, and having a crisis management plan in place.

What works for young talent:

Young talent is often more engaged with social media, so organizations should consider incorporating social media into their recruitment strategy. They should also consider allowing young employees to use social media as part of their work, as it can improve productivity and creativity.

Delivery mode:

Organizations should consider the most effective delivery mode for their social media policy. It could be in the form of a handbook, online training modules, or regular workshops. They should also ensure that the policy is easily accessible to all employees and that it is regularly reviewed and updated to keep up with the latest trends and best practices.

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Assuming you are helping Goodyear to segment the business buyers (organizations, companies, etc.) of its tire products. Please describe your segmentation approach. Make sure to use at least 1. one company characteristic variable; and 2. one buying pattern variable in your segmentation.

Answers

Goodyear understands the diverse needs and behaviors of its customers, enabling them to create targeted marketing campaigns and develop products that cater to specific segments. To segment the business buyers of Goodyear's tire products, we can use a combination of company characteristic variables and buying pattern variables.

Here's an approach that can be used:

1. Company characteristic variable:
We can segment the business buyers based on the size of the organization. For example, we can divide them into small, medium, and large organizations. This variable helps to understand the different needs and purchasing behaviors of businesses of different sizes.

2. Buying pattern variable:
Another variable we can consider is the frequency of tire purchases. We can segment the business buyers based on their buying patterns, such as regular buyers, occasional buyers, or first-time buyers. This variable helps us understand the level of loyalty and engagement of the buyers with Goodyear's products.

By combining these two variables, we can create meaningful segments of business buyers. Overall, the segmentation approach for Goodyear's business buyers involves considering company characteristic variables (such as organization size) and buying pattern variables (such as purchasing frequency).

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Could someone help answer those questions Briefly answer, please
don't paste or copy
What are characteristics of oligopoly? What is Nash
equilibrium? explain kinked demand curve in detail.

Answers

Characteristics of oligopoly include a small number of large firms dominating the market, interdependence among firms, barriers to entry, and potential for collusion.

Nash equilibrium refers to a situation where each participant in a game or market chooses their best strategy given the strategies chosen by others. The kinked demand curve theory suggests that firms in an oligopolistic market face a demand curve that is more elastic above the current price and less elastic below it, leading to price stability.

Oligopoly is a market structure characterized by a few large firms that dominate the industry. Key characteristics of oligopoly include interdependence among firms, meaning the actions of one firm affect others, barriers to entry that make it difficult for new firms to enter the market, and the potential for collusion or cooperation among firms to influence prices and output levels.

Nash equilibrium, named after mathematician John Nash, refers to a situation in which each participant in a game or market makes their decision or strategy, taking into account the decisions or strategies chosen by others. It is a state where no participant can improve their outcome by unilaterally changing their strategy.

The kinked demand curve theory is associated with oligopoly. It suggests that firms in an oligopolistic market face a demand curve that is more elastic above the current price and less elastic below it. This means that if a firm increases its price, its rivals are unlikely to follow suit, resulting in a significant loss of market share. Conversely, if a firm lowers its price, rivals are likely to match the decrease, minimizing the gain in market share. The kinked demand curve creates a range of prices and quantities where the firm faces stable demand and thus tends to maintain price stability over time.

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Which of the following questions is the last question that should be asked when determining the best location for a business?
a. What region would be best?
b. What state within the region would be best?
c. What city within that region would be best?
d. What specific site within that city will work for the business?

Answers

When determining the best location for a business, the last question that should be asked is:

What specific site within that city will work for the business?

This is the final question because it involves a detailed analysis of the potential sites that have already been identified. Before that, there are other questions that need to be addressed to identify the region, state, and city that would be most suitable for the business.

The first question that should be asked when determining the best location for a business is:

What region would be best? This question is crucial because it helps to narrow down the search area. A region may be identified based on factors such as the availability of raw materials, the target market, or the cost of living.

The second question is: What state within the region would be best?

This question builds on the first question, and it helps to identify the specific state within the region that has the most favorable business environment. This may be based on factors such as the tax regime, the labor laws, or the regulatory environment.

The third question is:

What city within that region would be best?

This question focuses on identifying the specific city that is most suitable for the business. Factors that may be considered in this case include the availability of transport infrastructure, the availability of skilled labor, or the quality of life.

After these questions have been addressed, the final question that should be asked is:

What specific site within that city will work for the business?

This question involves a detailed analysis of the potential sites that have already been identified.

Factors that may be considered in this case include the cost of the site, the size of the site, or the zoning regulations.

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other things equal an increase in the price level will

Answers

Other things being equal, an increase in the price level will have several effects: Decrease in Purchasing Power: As the price level rises, the purchasing power of money decreases.

This means that the same amount of money can buy fewer goods and services.

Increased Production Costs: A higher price level leads to increased production costs for businesses. This can be due to higher input costs, such as raw materials or wages. As a result, businesses may need to increase prices to maintain profitability, leading to inflationary pressure.

Reduced Consumer Spending: When prices rise, consumers may have to allocate more of their income to basic necessities, leaving less money available for discretionary spending. This can lead to a decrease in consumer spending, which can have a negative impact on businesses and the overall economy.

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A common share just paid a dividend of Do = $2.00. The required rate of return is rs=
8.0%, and the constant growth rate is g = 4.0%. The stock is currently trading at a
price of $52.00 a share. Which of the following statements is correct?
a. The value of the stock, when valued using the constant growth model, is
significantly lower than the current market price, which indicates that the stock is
not in equilibrium. Therefore, it is expected that the share price will decrease from
its current level toward its calculated value
b. The value of the stock, when valued using the constant growth model, is
significantly higher than the current market price, which indicates that the stock is
not in equilibrium. Therefore, it is expected that the share price will increase from
its current level toward its calculated value
c. The value of the stock, when valued using the constant growth model, is almost
exactly the same as the current market price, which indicates that the stock is in
equilibrium. Therefore, it is expected that the share price will remain at its current
level.

Answers

The correct statement is: C- The value of the stock, when valued using the constant growth model, is almost exactly the same as the current market price, which indicates that the stock is in equilibrium. Therefore, it is expected that the share price will remain at its current level.

To determine whether a stock is in equilibrium, we can use the constant growth model, also known as the Gordon Growth Model. This model calculates the value of a stock based on its dividend, required rate of return, and growth rate.

In this case, the stock just paid a dividend of $2.00 (Do), the required rate of return (rs) is 8.0%, and the constant growth rate (g) is 4.0%. The current market price of the stock is $52.00.

Using the constant growth model, we can calculate the value of the stock:

V0 = D1 / (rs - g)

Where:
V0 = Value of the stock today
D1 = Dividend expected to be paid next year

Since the dividend is expected to grow at a constant rate, we can calculate D1 using the formula:

D1 = Do * (1 + g)

Substituting the values into the formula:

D1 = $2.00 * (1 + 0.04) = $2.08

Now, let's calculate the value of the stock:

V0 = $2.08 / (0.08 - 0.04) = $2.08 / 0.04 = $52.00

The value of the stock, calculated using the constant growth model, is $52.00, which is the same as the current market price. This indicates that the stock is in equilibrium.

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I've tried everything to get the pv of
lease payments and cant figure it out please help with steps
not guarantee the residual value at lease end. Lessee Company will pay for the maintenance of the vehicle separately from the lease.

Answers

The present value of lease payments, use the formula PV = Lease Payment / (1 + Discount Rate)^n, where PV represents the present value, Lease Payment is the amount of each lease payment, Discount Rate is the discount rate as a decimal, and n is the number of lease payments.

The present value (PV) of lease payments, you need the following information:

1. Lease Payments: The amount of the lease payments and the frequency at which they are made (e.g., monthly, quarterly, annually).

2. Lease Term: The duration of the lease, typically stated in months or years.

3. Discount Rate: The appropriate discount rate to use for determining the present value of the lease payments. This is typically the lessee's incremental borrowing rate or the implicit interest rate provided by the lessor.

Step 1: Determine the Lease Payments

Identify the amount of each lease payment and the frequency of the payments. For example, if the lease payment is $500 per month and the lease term is 36 months, there will be 36 lease payments of $500.

Step 2: Determine the Discount Rate

Identify the appropriate discount rate to use for the present value calculation. This can be the lessee's incremental borrowing rate or the implicit interest rate provided by the lessor. If you are unsure, consult with a financial professional or your accountant.

Step 3: Calculate the Present Value

Use the following formula to calculate the present value of lease payments:

PV = Lease Payment / (1 + Discount Rate)^n

Where:

PV = Present Value of Lease Payments

Lease Payment = Amount of each lease payment

Discount Rate = Discount rate as a decimal

n = Number of lease payments

Step 4: Sum up the Present Values

If the lease payments are made at regular intervals (e.g., monthly), calculate the present value of each individual payment using the formula in Step 3. Then, sum up the present values of all the lease payments to obtain the total present value of the lease.

It's important to note that calculating the present value of lease payments requires knowledge of the specific lease terms and discount rate. If you are unsure or need precise calculations, it's recommended to consult with a financial professional or accountant who can assist you in determining the accurate present value of lease payments.

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Consider a utility function given by U=x1/2x/2U=x/2x22What is
the marginal utility of good 2?

Answers

Tthe marginal utility of good 2 is given by MU₂ = [tex]1/2x_{1} ^(1/2) x_{2} ^(-1/2)[/tex] . Consider the given utility function as U(x₁, x₂) = x₁^(1/2)x₂^(1/2). To find the marginal utility of good 2, we need to take the partial derivative of the utility function with respect to x₂ while holding x₁ constant.

Marginal utility (MU) is the additional utility gained by consuming an additional unit of a good.

It can be expressed mathematically as the partial derivative of the utility function with respect to the quantity of the good consumed.

Here is the solution:

U(x₁, x₂) =[tex]x_{1} ^(1/2)x_{2}^(1/2)[/tex]

Marginal utility of good 2 is given by:

MU₂ = ∂U/∂x₂|x₁=const

Taking the partial derivative with respect to x₂, we get:

∂U/∂x₂ =  [tex]1/2x_{1} ^(1/2) x_{2} ^(-1/2)[/tex]

Now, substituting x₁=const and simplifying, we get:MU₂ = ∂U/∂x₂ = [tex]1/2x_{1} ^(1/2) x_{2} ^(-1/2)[/tex]

Therefore, the marginal utility of good 2 is given by MU₂ = [tex]1/2x_{1} ^(1/2) x_{2} ^(-1/2)[/tex]  .

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Myers Corporation has the following data related to direct materials costs for November: actual costs for 4,640 pounds of material at $5.00 and standard costs for 4,450 pounds of material at $6.10 per pound. The direct materials quantity variance is a.$1,159 favorable b.$1,159 unfavorable c.$5,104 unfavorable d.$5,104 favorable

Answers

The direct materials quantity variance of Myers Corporation is $1,159 favorable. Direct materials variance can be divided into two parts: direct materials price variance and direct materials quantity variance.

Direct materials quantity variance is the difference between actual quantity purchased and the standard quantity that should have been used, multiplied by the standard price.

Therefore, to calculate direct materials quantity variance, we use the following formula:Direct materials quantity variance = (actual quantity used - standard quantity allowed) x standard priceSubstituting the given values in the above formula, we get:Direct materials quantity variance = (4,640 - 4,450) x $6.10= 190 x $6.10= $1,159 (favorable)Therefore, the correct option is a. $1,159 favorable.

Myers Corporation purchased 4,640 pounds of direct material at $5.00 per pound. Myers should have used 4,450 pounds of direct material to produce the goods it made in November, at a cost of $6.10 per pound.

We calculate the direct materials quantity variance by determining the difference between the actual quantity used and the standard quantity allowed (actual quantity used – standard quantity allowed) and then multiplying this difference by the standard price:Direct materials quantity variance = (4,640 – 4,450) × $6.10= 190 × $6.10= $1,159 (favorable)

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D Plc is in the process of making a 1 for 4 rights issue. The rights letters have just been sent to shareholders. The company currently has 20 m K1 shares in issue and the current market price is K4.50 per share. The rights letter gives shareholders the right to buy their new shares for K3.50 each. D Plc plans to use the cash raised to build a major extension to its factory, thereby doubling production capacity. The finance director has received an angry letter from a shareholder. The shareholder complains that he cannot afford to invest in new shares. He contends that he is likely to suffer a loss because of the fact that the market will be flooded with cheap shares as the issue will almost certainly decrease the value of his holding. Required: I. Calculate the value at which the share price is likely to settle after the rights issue. [5 Marks] II. Explain whether the shareholder's complaint is justified with particular reference to the difference between the rights price and the current market price. [8 Marks]

Answers

I. Calculate share price settlement after rights issue using formula: (existing shares x current market price) + (new shares x rights issue price) / total number of shares. II. Shareholder complaint about potential loss from rights issue unjustified; impact depends on market reaction and investor sentiment.

I. To calculate the likely value at which the share price will settle after the rights issue, we need to consider the market value of both the existing and new shares.

The formula [(Number of existing shares x current market price) + (Number of new shares x rights issue price)] / (Total number of existing shares + Number of new shares) allows us to estimate this value.

In this case, the existing shares are 20 million, the current market price is K4.50, the new shares are 5 million (1/4th of the existing shares), and the rights issue price is K3.50. By plugging these values into the formula, we can calculate the likely share price after the rights issue.

II. The shareholder's complaint is not entirely justified because the rights issue price (K3.50) is lower than the current market price (K4.50). The shareholder has the right to buy new shares at a lower price, which means they have an opportunity to acquire additional shares at a discount.

Although the rights issue may increase the number of shares in circulation, diluting the ownership percentage of existing shareholders, the lower rights issue price helps mitigate the potential loss.

Furthermore, the impact on the shareholder's holding value will depend on the market's reaction to the rights issue and investor sentiment. If investors view the rights issue positively and believe in the company's expansion plans, the share price may be resilient or even rise after the rights issue.

However, if there is a negative market sentiment, the share price could potentially decline. Therefore, the outcome is uncertain and depends on various factors beyond the difference between the rights price and the current market price.

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credit regulations for banks should also be ralaxed to assist struggling households and firms going about this would impact which of the following on the functions of money for households

Answers

The statement "credit regulations for banks should also be relaxed to assist struggling households and firms" suggests a potential rise in government debt.

This rise in government debt is most likely to result from D. "reining in government spending." When credit regulations are relaxed and government spending is increased to assist struggling households and firms, it can lead to a higher budget deficit and consequently an increase in government debt.

Regarding the impact on the functions of money for households, the specific intervention mentioned would primarily affect A. Money as a medium of exchange.

Regarding the legitimacy of government intervention in a mixed economy, the option that is NOT a legitimate area of intervention is A. regulation of the pricing behavior of the mobile market.

Lastly, the sale of South African Airways would primarily affect D. Government Spending. As a state-owned enterprise, the sale of South African Airways would result in a change in government spending, specifically in the area of subsidies or support provided to the airline.

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Complete Question:

credit regulations for banks should also be relaxed to assist struggling households and firms". A "rise in government debt" is most likely to results due to... Going about this would impact which of the following on the functions of money for households? A. Money as a medium of exchange A. a deficit on the current account of the balance of payments B. the budget deficit B. Money as a store of value C. money financing C. Money used to settle depts in the future D. "reining in government spending" D. Money as a unit of account. Which of the following is NOT a legitimate area of intervention by government in a mixed economy? A. regulation of the pricing behaviour the mobile market B. regulation of price increases that result from changes in patterns of demand and supply in competitive markets C. stabilisation of the economy during periods of cyclical instability D. redistribution of purchasing power via progressive taxation and transfers The sale of South African Airways will affect which component of aggregate demand? A. Consumption B. Investment C. Net Exports D. Government Spending.

9-16 Variable and absorption costingy explaining operating income differences. [Excel template] (LO 3) TC Motors assembles and sells motor vehicles, and uses standard coating. Actual data relating to April and May are The selling price per vehicle is $26,000. The budgeted level of production used to calculate the budgeted fixed manufacturing cost per unit is 500 units. There are no price, efficiency, or rate variances. Any production-volume variance is written off to COGS in the month in which it occurs. Required 1. Prepare April and May statements of comprehensive income for TC Motors under (a) variable costing and (b) absorption costing. 2. Prepare a numerical reconciliation and explanation of the difference between operating income for each month under variable costing and absorption costing. Check Figure: 1. a. Operating income, April, $1,950,000

Answers

The difference in operating income between variable and absorption costing is primarily driven by how fixed manufacturing costs are treated and allocated. Variable costing expenses fixed manufacturing costs as period costs, while absorption costing includes them as part of the product costs.

In order to explain the operating income differences between variable costing and absorption costing, we need to understand the key concept behind each method.

Variable costing only considers the variable manufacturing costs (direct materials, direct labor, and variable manufacturing overhead) as product costs. Fixed manufacturing costs (such as fixed overhead) are treated as period costs and are expensed in the period incurred.

Absorption costing, on the other hand, includes both variable and fixed manufacturing costs as product costs. This means that fixed manufacturing costs are allocated to the units produced and remain in inventory until the products are sold.

To calculate the operating income difference between variable and absorption costing for each month, we need to consider the treatment of fixed manufacturing costs.

In April, since there are no variances and any production-volume variance is written off to cost of goods sold (COGS), the operating income under absorption costing will be higher than under variable costing. This is because under absorption costing, fixed manufacturing costs are included in the cost of inventory and are only expensed when the products are sold.

In May, the operating income difference will depend on the level of production and sales. If the actual production exceeds the actual sales, then under absorption costing, more fixed manufacturing costs will be allocated to inventory, resulting in a higher operating income compared to variable costing. On the other hand, if actual sales exceed actual production, then under absorption costing, fewer fixed manufacturing costs will be allocated to inventory, resulting in a lower operating income compared to variable costing.

Overall, the difference in operating income between variable and absorption costing is primarily driven by how fixed manufacturing costs are treated and allocated. Variable costing expenses fixed manufacturing costs as period costs, while absorption costing includes them as part of the product costs.

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Using a table with examples, Discuss 7 differences each between
public sector and private sector organisations. [25 marks]
Shall upvote for proper answer

Answers

The seven key differences between the two sectors Ownership,Profit Motive,Governance,Funding,Accountability,Efficiency ,Service Provision

1. Ownership: Public sector organizations are owned and controlled by the government, while private sector organizations are owned and controlled by private individuals or companies.

2. Profit Motive: Private sector organizations aim to maximize profits for their owners or shareholders, while public sector organizations focus on delivering services to the public without a profit motive.

3. Governance: Public sector organizations are governed by laws, regulations, and policies set by the government, while private sector organizations have more flexibility in their governance and decision-making processes.

4. Funding: Public sector organizations are funded through taxes, government grants, and subsidies, whereas private sector organizations rely on revenues generated from sales of goods and services.

5. Accountability: Public sector organizations are accountable to the government and the public, while private sector organizations are primarily accountable to their shareholders or owners.

6. Efficiency: Private sector organizations are often driven by competition and strive for efficiency to maximize profits, while public sector organizations may prioritize other goals such as equity and accessibility.

7. Service Provision: Public sector organizations often provide essential services such as healthcare, education, and infrastructure, while private sector organizations offer a wide range of goods and services based on market demand.

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what is CDO and CDS? where did CDO and CDS come from
and how did the global and european crises occur? Is there an Asian
crisis?

Answers

CDO stands for Collateralized Debt Obligation, while CDS stands for Credit Default Swap. Both of these financial instruments played a significant role in the global financial crisis that occurred in 2008.



Collateralized Debt Obligation (CDO): A CDO is a complex financial product that is created by pooling together various types of debt, such as mortgages, corporate loans, or credit card debt. The pooled debt is then divided into different tranches (or levels) of risk, with each tranche having a different priority of repayment. Investors can buy different tranches based on their desired level of risk and return.

As for the Asian crisis, it refers to the financial crisis that occurred in the late 1990s, primarily affecting several Asian countries, including Thailand, Indonesia, South Korea, and Malaysia. The crisis was triggered by a combination of factors, including high levels of external debt, speculative investments, and weak financial systems. While CDOs and CDSs were not the primary cause of the Asian crisis, it highlighted the risks associated with excessive borrowing and speculative investments. In summary, CDOs and CDSs are financial instruments that played a significant role in the global financial crisis of 2008. The proliferation of risky lending practices, coupled with the collapse of the housing market, led to the devaluation of CDOs and widespread financial losses. The European crisis was further intensified by the sovereign debt crisis, while the Asian crisis had different underlying causes but also highlighted the risks of excessive borrowing.

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The interest earned on most municipal bonds is exempt from federal taxes.

True
False

Answers

The interest earned on most municipal bonds is exempt from federal taxes. This statement is false.

While it is true that the interest earned on municipal bonds is often exempt from federal taxes, this exemption is not applicable to all municipal bonds. The tax treatment of municipal bonds depends on various factors, including the issuer of the bond and the specific type of bond.

Municipal bonds are issued by state and local governments to fund public infrastructure projects such as schools, highways, and water systems.

The interest income from certain types of municipal bonds, known as "qualified municipal bonds," is generally exempt from federal income taxes. These bonds are typically issued by state and local governments for public purposes.

However, not all municipal bonds are considered qualified municipal bonds. Certain types of municipal bonds, such as private activity bonds, may be subject to federal taxes.

Private activity bonds are issued for projects that serve private interests, such as stadiums, airports, and housing developments. The interest income from these bonds is generally taxable at the federal level.

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You are the union delegate for an organisation operating in your chosen sector. You are tasked with writing a report to the General Manager supporting an increase in salary for all employees within your organisation. You need to provide your manager with a balanced view of the impact of rising prices on basic food prices, transportation, petrol/diesel and parking in addition to the impact of the Coronavirus on your organisation’s ability to pay increased wages. You have at your disposal the statistics available at on the ONS website (or other credible data you may have researched).

Required:

You are required to use the tables provided below as a guide to produce charts, graphs and diagrams that will help to outline a case for increased wages and salaries for employees at your organisation. You will need to discuss how increased costs have impacted negatively on employees. Additionally, you will need to provide compelling arguments that increased wages and salaries can have a positive impact on the organisation’s earning power. In order to complete this assessment, you must provide data (that is, any combinations of graphs, charts, tables and diagrams) from your own research on this topic.

Answers

In conclusion, the rising prices of basic food prices, transportation, petrol/diesel, and parking have had a negative impact on the disposable income of employees. However, increasing wages and salaries can have a positive impact on the organization’s earning power by increasing productivity and reducing employee turnover. Therefore, it is recommended that the company increases the wages and salaries of its employees.

Report on increase in salary for all employees

Employees are the backbone of an organization. They work to make the organization more productive and successful. It is important to maintain their morale and to retain them in the company. One way to achieve this is by increasing their salary.

This report presents a balanced view of the impact of rising prices on basic food prices, transportation, petrol/diesel and parking in addition to the impact of the Coronavirus on the organization’s ability to pay increased wages. It will also provide compelling arguments that increased wages and salaries can have a positive impact on the organization’s earning power.

Impact of Rising Prices on Basic Food Prices According to data from the Office for National Statistics (ONS), the annual rate of inflation in the UK was 2.1% in May 2021, up from 1.5% in April 2021. This means that the cost of basic necessities, including food prices, has gone up. The impact of rising prices on basic food prices is particularly important for low-paid workers who spend a larger proportion of their income on these items.

Transportation, Petrol/Diesel, and Parking

The rise in fuel prices over the years has a significant impact on the disposable income of employees. The ONS has reported that the average price of petrol in the UK was 129.5 pence per liter in May 2021, up from 127.2 pence per liter in April 2021. This means that the cost of transportation, petrol/diesel, and parking has increased significantly. Impact of Coronavirus on the Organization's Ability to Pay Increased Wages The COVID-19 pandemic has had a significant impact on the world economy.

The UK has not been spared, and many businesses have struggled to stay afloat. Our organization is no exception. The pandemic has led to a decline in revenue, and we have had to cut costs to stay in business. Compelling Arguments for Increased Wages and Salaries

The primary reason for increasing wages and salaries is to ensure that employees are fairly compensated for their work.

This can lead to a more motivated and productive workforce, which can, in turn, lead to increased profitability. Studies have shown that higher employee compensation leads to better job satisfaction and lower employee turnover, which can save the company money in the long run.

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Write a review of a household product, restaurant, or movie.
In-text citation is required.

Answers

The household product that I am reviewing is the Shark Navigator Lift-Away Professional NV356E. The Shark Navigator Lift-Away Professional NV356E has become a household staple for many families. It is an excellent vacuum cleaner that combines impressive suction with maneuverability to provide a thorough clean to homes.

One of the most impressive features of the Shark Navigator Lift-Away Professional NV356E is its powerful suction. It uses a powerful motor to pull in dirt, dust, and other debris from floors and carpets. It also has a HEPA filter that captures dust and allergens, making it an ideal choice for people with allergies.

Overall, the Shark Navigator Lift-Away Professional NV356E is an excellent household product that is well worth the investment. Its powerful suction, maneuverability, and versatility make it a great choice for anyone looking for a high-quality vacuum cleaner.

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Who Done It Mystery Theater sells tickets for dinner and a show for $55 each: The cost of providing dinner is $34 per ticket and the foxed cost of operating the theater is $70.000 per month. The company can accommodate 15,000 patrons each month. What is the contribution margin ratio?
A. 38%
B. 21%
C. 62%
D 18%

Answers

The contribution margin ratio is approximately 38%. Therefore, the correct answer is A. 38%.

To calculate the contribution margin ratio, we need to determine the contribution margin per unit and divide it by the selling price per unit.

Selling price per ticket: $55

Cost of providing dinner per ticket: $34

Contribution margin per ticket: Selling price - Cost of dinner = $55 - $34 = $21

Contribution margin ratio: (Contribution margin per ticket / Selling price per ticket) * 100

Contribution margin ratio: ($21 / $55) * 100 ≈ 38.18%

Therefore, the correct answer is A. 38%.

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Other Questions
2. Answer the following questions 2.1 Suppose a demand function for a certain commodity is given by q=50p2, where q denotes the quantity demand, and p denotes price. Find the consumer surplus at p=$10. [5 marks] 2.2 Compute F(x) when F(x)=xx221t2xdt [5 marks] Note that F(x) is the derivative of the F with respect to x(i.e.=dxdF). what does cutting for stone mean in the hippocratic oath Write sentences using possessive adjectives to clarify who owns the indicated items. Follow the (first-two) models. Waldo and Simon present competing views of the future of public administration. One, examines the history of the field and suggests that it is not as scientific as it needs to be. The other suggests that democracy and the constitution are key to the future. One empirical and one normative.Make up a dialog between these two men based on their vision for the field. That said, the dialog cannot be about public administration. You must choose a topic that is different and apply their thinking to that topic. The dialog need not be extensive but enough to demonstrate a difference in opinion. Some examples of dialogs from past classes include conversations around hiring a new employee or using instant replay in sports games. You can really take this anywhere you want to go. Have fun! "What knowledge or experience should someone interested in a job as a manager of human resources seek out in his or her undergraduate or graduate education? What skills might make this person stand out in an interview?" You pull a simple pendulum of length 0.210 mm to the side through an angle of 3.503.50 and release it.Part AHow much time does it take the pendulum bob to reach its highest speed?Part BHow much time does it take if the pendulum is released at an angle of 1.751.75 instead of 3.503.50 ? Suppose that X is a random variable which takes only two values: 2 and +2, and that Y=aX+b where a and b are positive constants. If YBernoulli(1/2), what is a ? Select one: a. 1/2 b. None of the other choices c. 2 d. 1/4 e. Cannot be determined without more information What is the following command used for: git add create a new local repo by copying an origin server repo copy data from a local repo to the origin server stage new files for a future commit into a local repo update an existing local repo with newer files from the origin server repo (E) select the branch that you will be editing so that future commits are not made onto the master/main branch copy local files into your local repo None of the above What can the following command be used for: git branch create a new local repo by copying an origin server repo (B) copy data from a local repo to the origin server create a new branch in your local repo update an existing local branch with newer files from the origin server repo select the branch that you will be editing so that future commits are not made onto the master/main branch commit local files into your local branch What is the following command used for: git clone create a new local repo by copying an origin server repo copy data from a local repo to the origin server stage new files for a fuiture commit into a local repo update an existing local repo with newer files from the origin server repo select the branch that you will be editing so that future commits are not made onto the master/main branch copy local files into your local repo None of the above What is the following command used for: git commit create a new local repo by copying an origin server repo copy data from a local repo to the origin server add a branch to the origin server update an existing local repo with newer files from the origin server repo select the branch that you will be editing so that future commits are not made onto the master/main branch copy local files into your local repo None of the above What is the following command used for: git pull create a new local repo by copying an origin server repo B copy data from a local repo to the origin server stage new files for a future commit into a local repo update an existing local repo with newer files from the origin server repo select the branch that you will be editing so that future commits are not made onto the master/main branch copy local files into your local repo None of the above Discuss how the events in Acts 2:1-13 work as a reversal of Genesis 11:19 Each student must give an initial answer to ONE of the questions below. The answer should be at least 100 words in length. Once you have completed that, each student must respond to THREE other students with at least 50 words. Your answer and your three responses must reflect that you have put great thought into the topic. the organization of approximately 185 countries that have all signed treaties to protect intellectual property rights is known as the Graduated from CSE then Why do you want to be a data managementexecutive? And how are Ad operations and data managementrelatable? Vector A has a magnitude of 40 Newtons directed 30 clockwise from the negative horizontal axis. Vector B has a magnitude of 130 Newtons directed 120 counter clockwise from the positive vertical axis. What is the magnitude (r) of the polar coordinates of the sum of vectors A and B? If a police officer suspects a driver of driving under the influence, he can pull a car over and request that the driver take a breathalizer test. The results of this test can provide probable cause. Explain what this means. total utility is best defined by which of the following Two protons at rest and separated by 5.00 mm are released simultaneously. What is the speed of either at the instant when the two are 6.00 mm apart? 1.4.1 Create a matrix X(2D-array in numpy) of size 3*4, with every element initialized to 1. (Hint: you can use numpy.ones() ) We use the dimension to index the matrix. For example, X[2,0] is the scalar located on the third row and first column of x. X[:,0] is the vector located on the first column of X. 1.4.2 Now make the following changes to the first, second, third, and last columns of X step by step: \( X[:, 0]=[3,2,1] \) \( X[:, 1]=(X[:, 0]+1)^{2} \) \( X[:, 2]=\sqrt{(X[:, 1]+1)} \) \( X[:, 3]=\ln (X[:, 0]+X[:, 1]) \) (Note all operations are elementwise so that square of a vector applies to evey element of the vector, etc), Print the new X 1.4.3 Now suppose each row of X represents a students grade for math, English, art, and Foundation of AI, respectively. Then X represents a grade sheet of 3 students. Now we want to compute the final score for each student according to the following formula: final \( =w_{1} * \) math \( +w_{2} * \) english \( +w_{3} * \) art \( +w_{4} * A I \) w=[w1,w2,w3,w4] is the weight vector that we used to determine how important a course is in the final score. Here I define a w for you. w=np.array([0.1,0.2,0.3,100]) Compute the final score of each student, and print the result. (Hint: Linear algebra operators could be found at numpy.linalg) 1.4.4 Now create a 4*4 matrix with any random integers.(Hint: checkout numpy.random.randint) with the same w=np.array([0.1,0.2,0.3,100]) Compute: \( \sum_{i, j} X[i, j] \cdot w[i] \cdot w[j] \) -If I really hate w_1 and w_2 being together and I want to remove all the terms that include both w_2 and w_3 from the above formula, what would you like to do? And what is the result? ====== X=np.ones([3,4]) X[:,0]=[3,2,1] X[:,1]=np.square(X[:,0]+1) X[:,2]=np.sqrt(X[:,1]+1) X[:,3]=np.log(X[:,0]+X[:,1]) w=np.array([0.1,0.2,0.3,100]) final=np.dot(X,w) print(final) X=np.random.randint(1,20,size=[4,4]) w=np.array([0.1,0.2,0.3,100]) res=np.dot(np.dot(X,w),w To receive the full benefit from diversification, one needs tobuy over 100 stocks. True or False What do you think has to be improved in order to keep the Philippines' computer and electronics industries at the top, given their rising economies? Elaborate your answer. Havermill Company establishes a $410 petty cash fund on September 1 . On September 30 , the fund is replenished. The accumulated receipts on that October 1 , the accountant determines that the fund should be increased by $60. The journal entry the record the increase in 1 is: Multiple Choice Debit Petty Cash $470; credit Cash $470. Debit Cash $60; credit Petty Cash $60. Debit Miscellaneous Expense $60; credit Cash $60 Debit Petty Cash $60; credit Accounts Payable $60 Debit Petty Cash $60; credit Cash $60. Management information systems1. Describe why it is becoming increasingly important to view information systems and technology from a sociotechnical aspect.