which of the following statements about a company's culture is false?Once a company's culture becomes strongly implanted, the values, behaviors, and ways of doing things are like crabgrass: deeply rooted and hard to weed out.The longer people stay at an organization, the more that they come to embrace and mirror the corporate culture--their values and beliefs tend to be molded by mentors, fellow workers, company training programs, and the reward structure.It takes months to initiate the development of a culture and many more months for a new culture's shallow roots to begin growing and start influencing behavior; and it can take years, sometimes even decades, for cultural values and behaviors to become deeply ingrained and have a major impact on how a company operates.The values, beliefs, and practices that undergird a company's culture can originate with a founder or certain strong leaders and/or stem from exemplary actions on the part of company personnel and/or be the product of evolving consensus about "how we ought to do things around here."A company's culture, once established, tends to remain stable and entrenched over time.

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Answer 1

The statement "A company's culture, once established, tends to remain stable and entrenched over time" is false.

While it is true that a company's culture can be deeply ingrained and hard to change, cultures can and do evolve over time, particularly in response to changes in leadership, business strategy, and external factors such as shifts in the market or changes in social norms. Companies can actively work to shape and reshape their cultures through a variety of means, such as revising their mission and values statements, changing reward structures, promoting different types of leadership and employee behavior, and introducing new training programs or initiatives. Therefore, this statement is false.

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Related Questions

why does the united states have an advantage over other countries in producing many different products for export?

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The United States has an advantage because of factors like technological innovation, advanced infrastructure, skilled labor force, strong intellects etc .

Why does the United States excel in producing diverse export products?

The country advantage in producing diverse export products stems from several key factors most particularly long history of technological innovation and a robust research and development ecosystem.

This allows American companies to develop and adopt advanced manufacturing processes, resulting in higher productivity and the ability to produce a wide range of goods efficiently.

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All of the following can be determined by examining the relative success in satisfying customer needs (i.e., price, quality, etc.), EXCEPT: a. Which needs are important to customers сь Which company fulfills which customer needs Identifying the next strategic option for a company d. Showing the static and dynamic elements of the marketplace e How managers are able to understand how activities alter costs ent->

Answers

Showing the static and dynamic elements of the marketplace cannot be determined by examining the relative success in satisfying customer needs. Option D

Examining the relative success in satisfying customer needs can help determine which needs are important to customers and which company fulfills which customer needs. It can also help managers understand how activities alter costs and identify the next strategic option for a company.

However, showing the static and dynamic elements of the marketplace requires a broader analysis that takes into account factors beyond customer satisfaction.

This analysis would include factors such as market trends, competitive landscape, and macroeconomic conditions. It would provide a comprehensive view of the market and help identify opportunities and threats for a company.

To show the static and dynamic elements of the marketplace, managers need to conduct a market analysis that considers both internal and external factors.

This analysis should include a review of the company's strengths, weaknesses, opportunities, and threats (SWOT analysis), as well as an assessment of market trends, customer preferences, and competitive dynamics.

In summary, examining the relative success in satisfying customer needs can provide valuable insights for managers, but it is not sufficient for showing the static and dynamic elements of the marketplace.

To gain a comprehensive view of the market, managers need to conduct a broader analysis that takes into account factors beyond customer satisfaction. So the correct answer is Option D

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The option that cannot be determined by examining the relative success in satisfying customer needs (i.e., price, quality, etc.) is "Identifying the next strategic option for a company."

While understanding customer needs and preferences is a critical aspect of strategic planning, it is only one component of the process. Identifying the next strategic option for a company requires a comprehensive analysis of internal and external factors, including market trends, competitive forces, technological advancements, and organizational capabilities. Additionally, the identification of strategic options should be based on a company's long-term goals and objectives, not just on customer needs. Therefore, while understanding customer needs is important in developing a strategic plan, it is not the sole determinant of the next strategic option for a company.

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Globalization includes all of the following except _____. Limits on global expansion

limits on global expansion


free flow of capital

free flow of capital


free trade

free trade


an integrated global economy

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Globalization includes all of the following except limits on global expansion. It encompasses the free flow of capital, free trade, and an integrated global economy.

Globalization refers to the process of increasing interconnectedness and integration of economies, cultures, and societies across the world. It involves various aspects such as the free flow of capital, free trade, and the development of an integrated global economy.

Free flow of capital: Globalization promotes the movement of capital across borders without significant restrictions. It allows for investments, financial transactions, and the establishment of multinational corporations in different countries. This enables capital to be allocated more efficiently and promotes economic growth.

Free trade: Globalization encourages the removal of trade barriers and the establishment of international trade agreements. It facilitates the exchange of goods and services between countries, promoting economic specialization, efficiency, and access to a wider range of products.

Integrated global economy: Globalization aims to create an interconnected global economy where countries are interdependent in terms of trade, finance, and investment. It promotes economic interdependence and cooperation among nations, leading to the development of global supply chains and international collaborations.

However, limits on global expansion are not a characteristic of globalization. Rather, globalization emphasizes the breaking down of barriers and facilitating global interactions in various aspects of society.

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true/false. the retail discounting model is based upon inventory turns among other variables.

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True. The retail discounting model is indeed based upon inventory turns among other variables. Inventory turns refer to the number of times that a retailer sells and replenishes its inventory within a certain period of time, usually a year. The higher the inventory turns, the more efficient a retailer is at managing its inventory, and the less inventory it needs to hold on to, which translates to lower costs.


Retail discounting is a strategy that retailers use to clear out excess inventory and increase sales by offering discounts and promotions on products that are not selling well or have been overstocked. By lowering prices, retailers hope to attract more customers and increase their inventory turns, which in turn will help them increase their profits.

However, it's important to note that inventory turns are not the only variable that retailers consider when implementing a discounting strategy. Other factors, such as seasonality, competition, and consumer behavior, also play a role in determining the optimal discount level and timing. Retailers must carefully analyze their sales data and market trends to make informed decisions about discounting that will benefit their business in the long term. True is the answer

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marketing practices that potentially cause harm to consumer interests would not be classified into one of the following categories: a. unfair pricing b. intrusion and over-commercialism c. compulsive consumption

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Marketing practices that potentially cause harm to consumer interests would not be classified into the category of compulsive consumption.

Unfair pricing refers to practices such as price gouging, deceptive pricing, or discriminatory pricing that can exploit consumers and result in financial harm. Intrusion and over-commercialism relate to invasive advertising techniques, excessive marketing messages, or manipulative tactics that may infringe upon consumer privacy or lead to dissatisfaction. On the other hand, compulsive consumption refers to excessive and uncontrollable buying behavior where individuals engage in repetitive purchasing without considering the consequences. While this behavior can be detrimental to individual financial well-being, it does not necessarily involve marketing practices that harm consumer interests directly. Therefore, the correct answer is c. compulsive consumption as it does not pertain to marketing practices that potentially cause harm to consumer interests.

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John Fillmore’s lifelong dream is to own his own fishing boat to use in his retirement. John has recently come into an inheritance of $400,000. He estimates that the boat he wants will cost $300,000 when he retires in 5 years Assuming annual compounding of amounts invested at 8%, how much of John Fillmore’s inheritance must be invested to have enough at retirement to buy the boat?

Answers

The John Fillmore should invest $192,891.09 of his inheritance at 8% annual compounding to have enough to buy the boat in 5 years. He can use the remaining amount for other retirement expenses or investments.

To determine how much of John Fillmore's inheritance must be invested to have enough to buy the boat in 5 years, we can use the future value formula for a single cash flow:

FV = PV x (1 + r)^n

where FV is the future value, PV is the present value, r is the interest rate per compounding period, and n is the number of compounding periods.

In this case, PV is the amount of John's inheritance that needs to be invested, r is 8% (or 0.08) per year, n is 5 years, and FV is $300,000.

Substituting the values, we get:

$300,000 = PV x (1 + 0.08)^5

Solving for PV, we get:

PV = $300,000 / (1 + 0.08)^5

PV = $192,891.09

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To determine how much of John Fillmore’s inheritance must be invested to have enough at retirement to buy the boat, we can use the future value formula:

FV = PV x (1 + r)^n

where:

PV = present value (amount to be invested)

r = annual interest rate (8%)

n = number of years (5)

FV = future value needed for the boat ($300,000)

Rearranging the formula to solve for PV, we get:

PV = FV / (1 + r)^n

Substituting the values, we have:

PV = $300,000 / (1 + 0.08)^5

PV = $300,000 / 1.46933

PV = $204,370.02

Therefore, John Fillmore must invest approximately $204,370.02 of his inheritance to have enough at retirement to buy the boat.

To determine how much of John Fillmore’s inheritance must be invested to have enough at retirement to buy the boat, we can use the future value formula:

FV = PV x (1 + r)^n

where:

PV = present value (amount to be invested)

r = annual interest rate (8%)

n = number of years (5)

FV = future value needed for the boat ($300,000)

Rearranging the formula to solve for PV, we get:

PV = FV / (1 + r)^n

Substituting the values, we have:

PV = $300,000 / (1 + 0.08)^5

PV = $300,000 / 1.46933

PV = $204,370.02

Therefore, John Fillmore must invest approximately $204,370.02 of his inheritance to have enough at retirement to buy the boat.

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The use of money and credit controls to change macroeconomic activity is known as: A. Fiscal policy. B. Monetary policy. C. Supply-side policy. D. Eclectic policy.

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The correct answer is (B) Monetary policy. Monetary policy refers to the use of money and credit controls by a central bank to influence macroeconomic activity, such as economic growth, inflation, and employment.  

The correct answer is (B) Monetary policy. Monetary policy refers to the use of money and credit controls by a central bank to influence macroeconomic activity, such as economic growth, inflation, and employment. The central bank can use a variety of tools, such as setting interest rates, adjusting reserve requirements, and open market operations, to influence the money supply, which in turn affects spending, borrowing, and investment in the economy. Fiscal policy, on the other hand, refers to the use of government spending and taxation policies to influence macroeconomic activity. Supply-side policy focuses on improving the supply side of the economy, such as increasing productivity and promoting entrepreneurship, to encourage economic growth. Eclectic policy is not a specific economic policy but refers to an approach that combines different economic policies to achieve a desired outcome. Therefore the correct option is B)

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You can exchange $1 for either Can $1.1459 or ¥127.15. What is the cross-rate between the Canadian dollar and Japanese yen? Multiple Choice Can $.0083= Can $110.9608/= Can$98.6318/7 Can $.0090= Can\$145.7012 羊

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The cross-rate between the Canadian dollar and Japanese yen can be calculated as:

Can$1 / ¥127.15 = Can$0.0079

The cross-rate is used to calculate the exchange rate between two currencies indirectly through a third currency. In this case, we want to find the exchange rate between the Canadian dollar (CAD) and the Japanese yen (JPY) using the given exchange rates of CAD to USD and USD to JPY.

We are given the exchange rate of $1 to Can$1.1459 and $1 to ¥127.15. To find the cross-rate between CAD and JPY, we need to convert both currencies to a common currency (USD) and then calculate the exchange rate between CAD and JPY. Since the exchange rate is typically expressed as the amount of the second currency per unit of the first currency, we divide the exchange rate of CAD to USD (Can$1.1459) by the exchange rate of USD to JPY (¥127.15).

Dividing Can$1.1459 by ¥127.15 gives us a cross-rate of Can$0.0079 per Japanese yen (JPY). This means that 1 Japanese yen is equivalent to approximately Can$0.0079. Therefore, the correct cross-rate between the Canadian dollar and the Japanese yen is Can$0.0079.

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Generally, __________ focus on the agreements.
Which entity gets a construction project started?
Construction firm
Bank
Owner
Regulatory agencies

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Generally, construction firms focus on the agreements when getting a construction project started. However, the owner also plays a critical role in initiating the project.

The owner must provide the necessary funding for the project, and this usually involves working with banks to secure financing. Banks play a crucial role in construction projects as they provide the necessary capital to finance the project. Additionally, regulatory agencies also have a role to play in ensuring that the construction project meets all safety and environmental regulations. Overall, the success of a construction project relies on the collaboration and communication between all entities involved, including the construction firm, owner, banks, and regulatory agencies.

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Meega airlines decided to offer direct service from Akron, Ohio to Clearwater Beach, Florida. Management must decide between full-price service using the company’s new fleet of jet aircraft and a discount-service using smaller capacity commuter planes. Management developed estimates of the contribution to profit for each type of service based upon three possible levels of demand for service: high, moderate, and low. The following table shows the estimated quarterly profits (in thousands of dollars).
Demand for service
Service High Medium Low
Full price 900 760 –430
Discount 710 650 350
The probabilities for the demand levels are P(High) = 0.3, P(Medium) = 0.5, and P(Low) = 0.2, respectively.
Using the expected value approach, what is the recommended decision?
Select one:
a. Offering high demand
b. Offering Medium demand
c. Offering low demand
d. Offering full price
e. Offering discounted price
What is the expected value of perfect information (in thousands of dollars)?
Select one:
a. 608
b. 564
c. 112
d. 490

Answers

To determine the recommended decision using the expected value approach, we need to calculate the expected profits for each option.
For full-price service:
Expected profit = (0.3 x 900) + (0.5 x 760) + (0.2 x (-430)) = 420
For discount service:
Expected profit = (0.3 x 710) + (0.5 x 650) + (0.2 x 350) = 573
Therefore, the recommended decision is to offer discount service.

To calculate the expected value of perfect information (EVPI), we need to find the difference between the expected value of the best decision with perfect information and the expected value of the best decision without perfect information. The expected value of the best decision with perfect information would be the maximum profit for each level of demand:
For high demand: Discount service with profit of 710
For medium demand: Full-price service with profit of 760
For low demand: Discount service with profit of 350
Therefore, the expected value of the best decision with perfect information is:
EVPI = (0.3 x 710) + (0.5 x 760) + (0.2 x 350) = 564

The expected value of the best decision without perfect information is the expected profit of the recommended decision, which is discount service with an expected profit of 573.
Therefore, the EVPI is:
EVPI = 564 - 573 = -9
This means that the expected value of perfect information is negative, indicating that it would not be worth the cost to gather perfect information.

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Consider a call option. If, in a two-state model, a stock can take a price of $120 or $90, what would be the hedge ratio for each of the following exercise prices. $120, $110, $100, 590? (Leave no cells blank-be certain to enter "O" wherever required. Round your answers to 2 decimal places.) Hedge Ratio $120 $180 Se References b. What do you conclude about the hedge ratio as the option becomes progressively more in the money? Increases to a maximum of 10 Decreases to a minimum of

Answers

The hedge ratio for a call option varies with the exercise price and stock prices are 0.33, 0.67, 1.00, 0.67, As the option becomes more in the money, the hedge ratio Increases to a maximum of 1.0. So, the correct answer is 1).

Exercise price: $120

Stock prices: $120, $90

Hence, the hedge ratio = (Value of call with stock price $120 - Value of call with stock price $90) / ($120 - $90)

= (max(0, 120 - 120) - max(0, 90 - 120)) / (120 - 90)

= 0.33

Exercise price: $110

Stock prices: $120, $90

Hence, the hedge ratio = (Value of call with stock price $120 - Value of call with stock price $90) / ($120 - $90)

= (max(0, 120 - 110) - max(0, 90 - 110)) / (120 - 90)

= 0.67

Exercise price: $100

Stock prices: $120, $90

Hence, the hedge ratio = (Value of call with stock price $120 - Value of call with stock price $90) / ($120 - $90)

= (max(0, 120 - 100) - max(0, 90 - 100)) / (120 - 90)

= 1.00

Exercise price: $90

Stock prices: $120, $90

Hence, the hedge ratio = (Value of call with stock price $120 - Value of call with stock price $90) / ($120 - $90)

= (max(0, 120 - 90) - max(0, 90 - 90)) / (120 - 90)

= 0.67

As the option becomes progressively more in the money, the hedge ratio approaches 1.0, meaning that one can fully hedge the option by buying one share of stock per option contract. So, the correct answer is 1).

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--The given question is incomplete, the complete question is given

" Consider a call option. If, in a two-state model, a stock can take a price of $120 or $90, what would be the hedge ratio for each of the following exercise prices. $120, $110, $100, 590? (Leave no cells blank-be certain to enter "O" wherever required. Round your answers to 2 decimal places.)

b. What do you conclude about the hedge ratio as the option becomes progressively more in the money?

1)  Increases to a maximum of 1.0

2) Decreases to a minimum of 0 "--

Allocating overhead cost to accomplish smoothing LO 12-2 Fanning Corporation expects to incur indirect overhead costs of $78,325 per month and direct manufacturing costs of $19 per unit. The expected production activity for the first four months of the year are as follows. January February March April Estimated production in units 4,700 8,800 3,800 6,800 Required Calculate a predetermined overhead rate based on the number of units of product expected to be made during the first four months of the year. Allocate overhead costs to each month using the overhead rate computed in Requirement a. Calculate the total cost per unit for each month using the overhead allocated in Requirement b. Allocate overhead costs to each month using the overhead rate computed in Requirement a. Month Allocated Cost January February March April Total Calculate the total cost per unit for each month using the overhead allocated in Requirement b. Month January February March April Number of units 4,700 8,800 3,800 6,800 Expected cost Overhead Direct costs Total cost Cost per unit

Answers

The predetermined overhead rate can be calculated by dividing the expected indirect overhead costs by the expected number of units produced. Then, overhead costs can be allocated to each month using the predetermined rate, and the total cost per unit can be calculated for each month.

How can the overhead costs be allocated and the total cost per unit be calculated based on the expected production activity?

To allocate the overhead costs and calculate the total cost per unit, first calculate the predetermined overhead rate by dividing the expected indirect overhead costs of $78,325 per month by the total expected production units for the first four months. Summing up the units gives us 4,700 + 8,800 + 3,800 + 6,800 = 24,100 units.

Using this information, the predetermined overhead rate is calculated as $78,325 / 24,100 units ≈ $3.25 per unit.

Next, allocate the overhead costs to each month by multiplying the predetermined overhead rate by the number of units expected to be produced in each month. This will give us the allocated cost for each month.

To calculate the total cost per unit for each month, add the allocated overhead cost to the direct manufacturing cost of $19 per unit.

The table for overhead allocation and total cost per unit would look as follows:

Month | Allocated Cost | Number of Units | Total Cost | Cost per Unit

------|----------------|----------------|------------|--------------

January | $15,875 | 4,700 | $99,225 | $21.11

February | $29,900 | 8,800 | $178,900 | $20.33

March | $12,350 | 3,800 | $79,950 | $21.03

April | $22,075 | 6,800 | $148,175 | $21.78

Total | $80,200 | 24,100 | - | -

The total cost per unit is obtained by dividing the total cost by the number of units produced in each month.

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Sales is in Units of $1000.00 and Advertising is in Units of $100. What does the value of sales INCREASE in dollars when we increased advertising by one UNIT? The equation is: Y=45.9+11,798.00X. Answer format: Number: Round to: 0 decimal places.

Answers

When advertising increases by one unit, the value of sales increases by $11,798.00.

To find the increase in sales in dollars when advertising is increased by one unit, we need to first understand the given equation:
Y = 45.9 + 11,798.00X

Here, Y represents the sales in units of $1,000, and X represents the advertising in units of $100.
Let's find the sales value (Y) when advertising (X) is increased by one unit. To do this, we can use the equation:
Y1 = 45.9 + 11,798.00(X+1)

Now, subtract the initial sales value (Y) from the new sales value (Y1) to find the increase in sales:
Increase = Y1 - Y = (45.9 + 11,798.00(X+1)) - (45.9 + 11,798.00X)

Simplify:
Increase = 11,798.00(X+1) - 11,798.00X
Increase = 11,798.00

The increase in sales is 11,798.00 in units of $1,000. To convert this to dollars, multiply by 1,000:
Increase (in dollars) = 11,798.00 * 1,000
Increase (in dollars) = 11,798,000

The value of sales increases by $11,798,000 when advertising is increased by one unit.

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You and your brother have decided to invest in the stock market together. You will put in $5,000 each and open a single account at a brokerage. How should the ownership of this account be established if both of you wish the other to keep all the money in the event that the other should die?
Select one:
a.
community property
b.
family property title
c.
tenancy by the entirety
d.
tenancy in common
e.
joint tenancy with the right of survivorship

Answers

Summary: To establish ownership of the joint brokerage account with the desire for the surviving brother to inherit all the money in the event of either brother's death, the recommended option would be "joint tenancy with the right of survivorship."

Explanation: Joint tenancy with the right of survivorship is a form of joint ownership where each owner has an equal share in the property, and upon the death of one owner, their share automatically passes to the surviving owner(s). In this case, by selecting joint tenancy with the right of survivorship for the brokerage account, both brothers can ensure that if one of them were to die, the other brother would inherit the entire account balance.

With joint tenancy, the account's ownership will be equally divided between the two brothers, meaning they both have an equal share of the account's assets. However, the crucial aspect is the right of survivorship, which guarantees that upon the death of one brother, his share will transfer automatically to the surviving brother without the need for probate or legal complexities.

By opting for joint tenancy with the right of survivorship, the brothers can achieve their desired outcome of allowing the surviving brother to keep all the money in the event of either brother's death, ensuring a smooth transfer of ownership and avoiding potential inheritance disputes or complications.

 

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a root widget's destroy method can be used as a callback function for a quit button.T/F

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False. A root widget's destroy method should not be used as a callback function for a quit button. The destroy method is typically used to destroy or close the root widget and its child widgets, effectively ending the application.

It is not meant to be used as a callback function for a button, especially for a quit button.

When a quit button is clicked, it is generally intended to gracefully terminate the application and perform any necessary cleanup tasks. The appropriate approach is to define a separate callback function specifically for the quit button. This function can handle tasks such as closing windows, releasing resources, saving data, or performing any other required actions before exiting the application. Using the root widget's destroy method as a callback for a quit button can lead to unexpected behavior and potential issues in the application's functionality and user experience.

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State Street Beverage Company issues $802,000 of 11%, 10-year bonds on Ma rch 31, 2017. The bonds pay interest on March 31 and September 30. Which of the following statements is true? A. If the market rate of interest is 12%, the bonds will issue above par B. If the market rate of interest is 12%, the bonds will issue at a premium. C. If the market rate of interest is 12%, the bonds will issue at pa. D. If the market rate of interest is 12%, the bonds will issue at a discount

Answers

To determine whether the bond will issue above par, at a premium, at par, or at a discount, we need to compare the stated interest rate (11%) with the market rate of interest (12%).

If the market rate of interest is higher than the stated interest rate, the bonds will typically be issued at a discount. This is because investors would require a higher return (interest rate) on their investment than what the bonds offer.

In this case, since the market rate of interest is given as 12%, which is higher than the stated interest rate of 11%, the  statement would be D. If the market rate of interest is 12%, the bonds will issue at a discount.

When bonds are issued at a discount, it means they are sold for less than their face value. The discount is calculated based on the difference between the face value of the bonds and the present value of the bond's cash flows using the market interest rate.

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the price of turkey sandwiches at quizno’s decreases. what happens to the equilibrium price (p*) and equilibrium quantity (q*) in the market for turke

Answers

The market for turkey sandwiches at Quizno's will experience an increase in demand, resulting in a lower equilibrium price and a higher equilibrium quantity.

When the price of turkey sandwiches at Quizno's decreases, it creates a situation where the quantity demanded for turkey sandwiches will increase. This increase in demand will push the market towards a new equilibrium point. According to the law of demand, a decrease in price leads to an increase in quantity demanded, and a rise in price results in a decline in quantity demanded. In this scenario, the new equilibrium price (p*) will be lower than the original price due to the decrease in demand. This is because the lower price encourages more customers to buy turkey sandwiches, which leads to an increase in demand. On the other hand, the equilibrium quantity (q*) will be higher than the original quantity because the lower price leads to an increase in the quantity demanded. Overall, a decrease in the price of turkey sandwiches at Quizno's results in a shift in the demand curve. This shift leads to a new equilibrium point with a lower price and a higher quantity demanded. In conclusion, the market for turkey sandwiches at Quizno's will experience an increase in demand, resulting in a lower equilibrium price and a higher equilibrium quantity.

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Consider 3 investment problems: An individual investor's, a defined contribution plans and a defined benefit plan's List and briefly (one sentence) discuss the following issues for each of the 3 investment cases. Please be specific. (18%) a) A Relevant Investment Horizon for each. Individual investor: DC participant: DB sponsor: b) One Performance Objective for each. Individual investor: DC participant: DB sponsor: c) One key measure of investment risk (2 of 3 answers must be different) for each. Individual investor: DC participant: DB sponsor:

Answers

To answer your question, I would say that for the individual investor, (A) a relevant investment horizon would be the length of time until they need to access the funds, such as retirement age or a future financial goal.

Their performance objective would be to maximize returns while balancing risk and liquidity. A key measure of investment risk for them would be the volatility of their portfolio and the potential for losses.
For a defined contribution plan participant, the investment horizon would be until they reach retirement age and start drawing on the funds. The performance objective would be to achieve a diversified portfolio that meets their retirement goals. A key measure of investment risk would be the volatility of the portfolio and how it aligns with the participant's risk tolerance.
For a defined benefit plan sponsor, the investment horizon would be the long-term funding needs of the plan. The performance objective would be to meet the plan's liabilities and generate sufficient returns to cover future benefit payments. A key measure of investment risk would be the plan's funded status and the ability to generate returns that match or exceed the plan's obligations.
Overall, it is important for each investment case to have a relevant investment horizon, clear performance objectives, and measures of investment risk to ensure that they are aligned with the individual's or organization's financial goals and risk tolerance.

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Determine whether the following statements are true or false:
A. In the Keynesian Cross model, the slope of the planned expenditure line is the marginal propensity to consume.
B. Joseph Schumpeter said that progress occurs through the process of saving and investment.
C. According to the Solow model, an increase in the rate of population growth will reduce the output per worker.
D.​​​​​​​ An increase in the interest rate will shift the IS curve to the left.

Answers

A. False (In the Keynesian Cross model, the slope of the planned expenditure line is the marginal propensity to consume.)

B. True (Joseph Schumpeter said that progress occurs through the process of saving and investment.)

C. True (According to the Solow model, an increase in the rate of population growth will reduce the output per worker)

D. False (An increase in the interest rate will shift the IS curve to the left.)

Is the slope of the planned expenditure line in the Keynesian Cross model equal to the marginal propensity to consume?

In the Keynesian Cross model, the slope of the planned expenditure line represents the marginal propensity to save (MPS), not the marginal propensity to consume (MPC). The MPC is the fraction of additional income that individuals choose to spend on consumption, while the MPS is the fraction of additional income that individuals choose to save. Therefore, statement A is false.

Did Joseph Schumpeter propose that progress occurs through the process of saving and investment?

Yes, Joseph Schumpeter, an influential economist, argued that progress and economic development are driven by a process he called "creative destruction." He emphasized the role of entrepreneurship and innovation, which he believed were fueled by saving and investment. Schumpeter's ideas centered around the notion that new products, technologies, and business models disrupt and replace older ones, driving economic growth. Hence, statement B is true.

According to the Solow model, does an increase in the rate of population growth reduce output per worker?

Yes, according to the Solow model, an increase in the rate of population growth leads to a decrease in output per worker. The model suggests that as the population grows, the capital stock per worker diminishes, resulting in lower productivity and output. This phenomenon is known as "diminishing returns to capital." Therefore, statement C is true.

Does an increase in the interest rate shift the IS curve to the left?

No, an increase in the interest rate does not shift the IS (investment-savings) curve to the left. In the IS-LM model, an increase in the interest rate leads to a decrease in investment and a shift of the investment schedule downward. However, this shift affects the LM (liquidity preference-money supply) curve rather than the IS curve. The IS curve represents the equilibrium condition in the goods market, while the LM curve represents the equilibrium condition in the money market. Thus, statement D is false.

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Software that businesses use to manage activities in both the internal and external operational environment is known as Enterprise Resource
Processing
Packet
Planning
Production

Answers

Software that businesses use to manage activities in both the internal and external operational environment is known as Enterprise Resource Processing. Thus, option A is correct.

With the use of a central database that compiles inputs from several departments, including accounting, manufacturing, supply chain management, sales, marketing, and human resources (HR), ERP is an application that automates company activities and offers insights and internal controls.

Every company has work to finish that involves many stakeholders with different responsibilities. However, it becomes difficult when the data required to carry out procedures and make crucial judgements is dispersed among disparate platforms. Employees struggle to locate the information they need and sometimes don't have access to it at all, regardless of whether the data is stored in spreadsheets or basic business management software. For instance, the accounting and FP&A teams might each have an own spreadsheet for tracking expenses that contains different data.

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the hawthorne studies found that money was the primary motivator for employees. group startstrue or false

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False. The Hawthorne Studies, conducted between 1924 and 1932, did not find that money was the primary motivator for employees. The studies, conducted at the Western Electric Hawthorne Works in Chicago, initially aimed to investigate the relationship between lighting conditions and worker productivity.

As the studies progressed, the focus shifted to the effect of social and psychological factors on employee behavior. Researchers found that productivity increased regardless of changes in lighting conditions. This phenomenon, known as the Hawthorne effect, suggested that workers' productivity was influenced by the attention and interest they received from the researchers themselves.

The studies highlighted the significance of social and interpersonal factors in the workplace. Factors such as positive feedback, improved communication, participation in decision-making, and a sense of belonging were found to be influential in motivating employees. The studies challenged the traditional belief that money was the primary motivator and emphasized the importance of psychological and social needs in the workplace.

In summary, the Hawthorne Studies did not support the idea that money was the primary motivator for employees. Instead, they underscored the role of social and psychological factors in influencing employee motivation and productivity.

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Consider the following current information for the firm Champion Inc.: Output = 100 units ATC = $40 Price = $60 MR = $60 MC = $50 How much is this firm's profits at the output 100? O a $2,000 O b. $800 O c. $1,100 O d. None of the other choices

Answers

At the output of 100, the firm's profit based on the provided information is $2,000. Therefore, the correct option is A.

To calculate Champion Inc.'s profits at the output of 100 units, we'll use the following information: Output, ATC (Average Total Cost), and Price. The formula for profit is:

Profit = (Price - ATC) x Output

It is given that:

Output = 100 units

ATC = $40

Price = $60

Plugging in the values given:

Profit = ($60 - $40) x 100

Profit = $20 x 100

Profit = $2,000

So, this firm's profits at the output of 100 units is $2,000 which corresponds to option A.

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Compute the approximate elasticity of demand from the following data: Quantity Price 11.5 $23 13.5 Initial situation 20 New situation D) 5.0 C).87 B) 1.15 A) 1.5

Answers

Computing the approximate elasticity of demand is option A) 1.5.

We first need to understand the concept of elasticity of demand. Elasticity of demand is a measure of the responsiveness of the quantity demanded of a good or service to a change in its price. It is calculated as the percentage change in quantity demanded divided by the percentage change in price.

Using the given data, we can calculate the percentage change in quantity demanded and the percentage change in price as follows:

Percentage change in quantity demanded = (New quantity - Initial quantity) / Initial quantity x 100
= (13.5 - 11.5) / 11.5 x 100
= 17.39%

Percentage change in price = (New price - Initial price) / Initial price x 100
= (20 - 23) / 23 x 100
= -13.04%

Now, we can calculate the approximate elasticity of demand using the formula:

Elasticity of demand = Percentage change in quantity demanded / Percentage change in price

Substituting the values, we get:

Elasticity of demand = 17.39% / (-13.04%)
= -1.33

Since the elasticity of demand is negative, we take the absolute value to get the magnitude of the elasticity, which is 1.33. However, we need to round off this value to one decimal place as per the options provided. The closest option to 1.33 is option A) 1.5, which is the main answer. Therefore, the approximate elasticity of demand is 1.5.

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At the time of his death, Lance retained a life estate in the LM Trust. Under which of the following circumstances will the LM Trust not be included in his gross estate?
The trust was created by Lance’s father.
The trust was created by Lance and was revocable. He released the power to revoke four years before his death.
The trust was created by Lance and was revocable. He released the power to revoke two years before his death.
The trust was created by Lance and is irrevocable. He released the power to revoke two years before his death.

Answers

The circumstance under which the LM Trust will not be included in Lance's gross estate is: "The trust was created by Lance and is irrevocable. He released the power to revoke two years before his death."

When a trust is irrevocable and the grantor (Lance, in this case) has released the power to revoke the trust, it means that he no longer has control or ownership over the trust assets. By releasing the power to revoke two years before his death, Lance effectively transferred ownership of the trust assets and relinquished control over them.

When a grantor creates an irrevocable trust and releases the power to revoke it, the trust assets are generally no longer considered part of the grantor's gross estate for estate tax purposes. This is because the grantor has effectively given up all control and ownership rights over the trust assets.

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A lender may be protected from deterioration of the borrower’s creditworthiness if the commercial lending agreement requires the borrower to maintain a:

Answers

A lender may be protected from deterioration of the borrower’s creditworthiness if the commercial lending agreement requires the borrower to maintain a minimum level of creditworthiness.

A commercial lending agreement may include a provision requiring the borrower to maintain a minimum level of creditworthiness. This provision is designed to protect the lender by providing assurance that the borrower will remain in good financial health throughout the loan term.

The minimum creditworthiness requirement typically includes maintaining a certain level of profitability, liquidity, and credit score. The provision also may include stipulations that the borrower must provide the lender with updated financial statements and other financial information on a regular basis.

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complete question is :

A lender may be protected from deterioration of the borrower’s creditworthiness if the commercial lending agreement requires the borrower to maintain a ____.

standard rate × (actual hours – standard hours allowed) is the formula to compute the ________.

Answers

The formula you provided, standard rate × (actual hours – standard hours allowed), is used to compute the variance in labor costs. It is commonly known as the labor rate variance formula.

The labor rate variance measures the difference between the actual hours worked and the standard hours allowed, multiplied by the standard rate.

By comparing the actual hours worked to the standard hours allowed and applying the standard rate, the formula calculates the difference in cost resulting from deviations in labor efficiency or rate. This variance helps businesses evaluate their labor costs and assess the efficiency of their workforce.

The labor efficiency variance measures the difference between the actual hours worked and the standard hours allowed, multiplied by the standard rate. It reflects the impact of labor productivity or efficiency on costs. If the actual hours worked are more or less than the standard hours allowed, the labor efficiency variance will indicate whether the labor was used more or less efficiently than expected.

To clarify, here are the different components of labor variances in standard costing:

Labor Rate Variance: This variance measures the difference between the actual wage rate and the standard wage rate, multiplied by the actual hours worked. The formula is (actual rate - standard rate) × actual hours.

Labor Efficiency Variance: This variance measures the difference between the actual hours worked and the standard hours allowed, multiplied by the standard rate. The formula is (actual hours - standard hours) × standard rate.

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a corporation must be incorporated in each state in which it does business. group of answer choices true false

Answers

The given statement  "a corporation must be incorporated in each state in which it does business." is False because A corporation does not necessarily have to be incorporated in each state in which it does business.

Instead, it can choose to be incorporated in one state and then register to do business in other states where it operates. This process is known as foreign qualification. Foreign qualification requires the corporation to comply with the laws and regulations of each state in which it registers to do business. This includes submitting paperwork, paying fees, and appointing a registered agent to receive legal documents on behalf of the corporation.

The state in which the corporation chooses to incorporate is often referred to as the home state. This is typically the state that offers the most favorable laws and regulations for the corporation. For example, Delaware is a popular choice for incorporation due to its business-friendly laws and well-established legal system.

Overall, while a corporation can choose to incorporate in multiple states, it is not required to do so. Instead, it can choose to register to do business in additional states through the process of foreign qualification.

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The table shows Jerry's total utility from burgers and magazines. The price of a burger is $2, the price of a magazine is $4, and Jerry has $12 a week to spend. Burgers Magazines QuantityTot Quantity Total per weekutilityper week utility When Jerry maximizes his total utility, what quantities of burgers and magazines does he buy in a week? 28 48 64 76 200 240 268 Jerry maximizes his total utility when he buys burgers andmagazines a week.

Answers

Jerry should buy 6 burgers and 3 magazines each week to maximize his total utility.

This principle states that as a consumer consumes more of a good, the additional satisfaction or utility they derive from each additional unit of the good decreases.

Looking at the table provided, we can see that as Jerry consumes more burgers and magazines, his total utility increases but at a decreasing rate. For example, going from 28 to 48 burgers increases Jerry's total utility by 20, whereas going from 200 to 240 burgers increases his total utility by only 40. The same pattern is observed for magazines.

Given Jerry's limited budget of $12 a week, we can use the prices of burgers and magazines to determine the maximum quantity of each good he can afford. With burgers costing $2 each, Jerry can afford to buy at most 6 burgers a week. With magazines costing $4 each, Jerry can afford to buy at most 3 magazines a week.

To determine the combination of burgers and magazines that will maximize Jerry's total utility, we need to find the point where the marginal utility per dollar spent on each good is equal.

In other words, we need to find the point where the additional satisfaction gained from spending one more dollar on burgers is equal to the additional satisfaction gained from spending one more dollar on magazines.

Using the table provided, we can see that the marginal utility per dollar spent on burgers is highest at the point where Jerry has consumed 64 burgers, and the marginal utility per dollar spent on magazines is highest at the point where Jerry has consumed 48 magazines.

Therefore, Jerry should buy 6 burgers and 3 magazines each week to maximize his total utility. In summary, Jerry should buy 6 burgers and 3 magazines each week to maximize his total utility, given his budget constraints and the principle of diminishing marginal utility.

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While comparing 'Notes and Mortgages', which one of the following statements is False about 'Notes'?
1.You can borrow money only if you pledge something
2. The legal instrument is not recorded in the County Office/ Recording Office.
3. It is more personal and mostly an 'I.O.U' to an individual.
4. Mortgages use 'property' as a collateral.

Answers

Statement number 2 is false about 'Notes'.

Notes' are a legal instrument that represents a promise to repay borrowed money. It can be used to borrow money without pledging any collateral. 'Notes' are typically recorded in the County Office/Recording Office for legal purposes. It is a personal agreement between the borrower and the lender and is often referred to as an 'I.O.U.'

On the other hand, 'Mortgages use property as collateral to secure a loan. This means that if the borrower fails to repay the loan, the lender can foreclose on the property to recover the outstanding debt.

In summary, while comparing 'Notes and Mortgages', statement number 2 is false as 'Notes' are often recorded in the County Office/Recording Office.

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Reporting more significant digits in a calculated output than those in the given data would imply: The output is more precise than the input The input is more precise than the output You knew what you were doing The precision is correct

Answers

Reporting more significant digits in a calculated output than those in the given data would imply is that the output is more precise than the input. This means that the calculations used to arrive at the output have more accuracy and precision than the original data provided.

The fact that this practice is acceptable as long as the precision of the output is correct and not exaggerated. It is important to keep in mind the significant figures or digits of the original data and to round the final answer appropriately. In some cases, reporting more significant digits than the input would imply may be necessary in order to avoid rounding errors and maintain the correct level of precision.

Overall, reporting more significant digits in a calculated output than those in the given data would imply is a common practice in scientific and mathematical fields, as long as it is done with the proper understanding and attention to precision.

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