Which of the following is not a benefit that results from inter-unit collaboration? a) Cost savings b) Better decision making. c)Greater revenues. d)Decreased innovation

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Answer 1

Inter-unit collaboration leads to increased innovation rather than decreased innovation. Hence, Option (D) is correct.

Inter-unit collaboration refers to the cooperation and coordination between different departments within an organization. In it, different units or individuals from different units work together in order to achieve a common goal.

Inter-unit collaboration is really important for the strengthening of teamwork as well as enhancing the organizations' capabilities. Some of the benefits of Inter-unit collaboration:

Knowledge sharing: The collab between different units leads to a great flow of knowledge from one unit to another. Better decision-making capabilities: With increased knowledge sharing, different units can make better decisions, knowing its overall effect on others.Increased innovation: As increased knowledge is shared between the units, it helps in the innovation capabilities as well.

Hence,  Inter-unit collaboration leads to increased innovation and capabilities.

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Related Questions

Which of the following would MOST likely be part of the user authentication process when implementing SAML across multiple applications?
A . SSO
B . LDAP
C . TACACS
D . MFA

Answers

SSO most likely be part of the user authentication process when implementing SAML across multiple applications. correct answer is A . SSO.

When implementing SAML across multiple applications, the user authentication process is crucial for ensuring secure access to these applications. SAML (Security Assertion Markup Language) is a standard protocol used for exchanging authentication and authorization data between different parties, and it supports various authentication methods such as Single Sign-On (SSO) and Multi-Factor Authentication (MFA).
Out of the given options, the most likely part of the user authentication process when implementing SAML across multiple applications would be SSO. SSO enables users to log in once and access multiple applications without the need to enter credentials repeatedly. This not only enhances user experience but also improves security by reducing the risk of password-related attacks.
LDAP (Lightweight Directory Access Protocol) is a protocol used for accessing and maintaining distributed directory information services. While LDAP can be used for user authentication, it is not directly related to SAML.
TACACS (Terminal Access Controller Access-Control System) is a protocol used for remote authentication and authorization, primarily in network management systems. Again, TACACS is not related to SAML.
MFA is a security mechanism that requires users to provide multiple forms of authentication, such as a password and a token or a biometric factor. While MFA can be used in conjunction with SAML, it is not a part of the core SAML authentication process.
In summary, the most likely part of the user authentication process when implementing SAML across multiple applications would be SSO, as it is a common and effective way to ensure secure and seamless access to multiple applications.

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What are often left out of most financial planning models?

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The topic of financial planning can be quite extensive, and there are several aspects that may often be left out of most financial planning models. To provide a comprehensive answer to your question, I'll need to give a lengthy long answer.

One of the areas that are often left out of most financial planning models is the consideration of unexpected events. While most financial planning models focus on long-term planning for retirement, investments, and savings, they may not take into account unexpected events such as job loss, disability, or health emergencies. As a result, individuals may not have adequate financial plans in place to cover such situations, leaving them vulnerable to financial distress.

Another aspect that is often overlooked in financial planning models is the importance of having a contingency plan. Financial planning models may not account for the possibility of unforeseen circumstances such as market downturns or changes in personal circumstances. It is essential to have a contingency plan in place to help mitigate the impact of these events on one's financial situation.

Furthermore, most financial planning models may not consider the emotional and psychological factors that can impact one's financial decision-making. People's financial behaviours and attitudes are influenced by factors such as their upbringing, personality, and beliefs about money. These factors can affect one's ability to make sound financial decisions and may not be adequately addressed in most financial planning models.

In summary, while financial planning models provide a useful framework for long-term financial planning, they may not take into account unexpected events, contingency planning, emotional and psychological factors, and ongoing education and planning. These factors are essential to consider when developing a comprehensive financial plan.

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2Measures of Performance Standards (Keyboard Navigable Alternate Version) Measures of Performance Standards

This activity is important because control systems are necded to ensure progress toward performance goals and to apply corrective measures as needed to organizations. There are four commonly used measures of performance. and in this exercise. you will idertify examples of each type.

The goal of this octivity is to ensure you can recognize examples of each of the four common measures of performance atandards.

Match the item to the corresponding performance standord Number of Door Dash food dellveries in a week. Hint volume of output.

Number of defective Apple wotches produced during an 8-hour shift. Hint: defects.

Amouns of iet fuel for a fight from Minneapolis to Los Angeles. Hint: dollar expenditure.

Minutes it takes to restock the dairy cases in a supermerket. Hint. availability of product for retail sale: Number of defective Apple watches produced during an If for a flight from Minneapolis to Los Ang o restock the dairy cases in a supermarke

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Match the item to the corresponding performance standard: Number of Door Dash food deliveries in a week. (Hint: volume of output)

Measure of Performance Standard: Quantity or Volume

Number of defective Apple watches produced during an 8-hour shift. (Hint: defects)

Measure of Performance Standard: Quality or Defects

Amount of jet fuel for a flight from Minneapolis to Los Angeles. (Hint: dollar expenditure)

Measure of Performance Standard: Cost or Expenditure

Minutes it takes to restock the dairy cases in a supermarket. (Hint: availability of product for retail sale)

Measure of Performance Standard: Time or Speed

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in data-driven decision-making, a person who is very familiar with the business problem is known as a subject-matter expert. true or false?

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True, in data-driven decision-making, a person who is very familiar with the business problem is known as a subject-matter expert.

Business refers to an organization or entity engaged in commercial, industrial, or professional activities with the aim of generating profit. It involves various activities such as production, buying and selling goods or services, marketing, finance, operations, and management. Businesses can range from small enterprises to large corporations, and they operate within a competitive market to meet customer needs and generate revenue. Key aspects of business include strategic planning, market analysis, customer relationship management, financial management, and adapting to changing market conditions to achieve sustainable growth and success.

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suppose the central bank wants to conduct expansionary policy. which of the following would they choose to do? group of answer choices decrease income taxes buy treasury securities increase income taxes sell treasury securities

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To conduct expansionary policy, the central bank would choose to buy treasury securities. This increases the money supply, lowers interest rates, and stimulates economic growth by encouraging borrowing and spending.

Expansionary monetary policy aims to stimulate economic activity by increasing the money supply and reducing interest rates. Buying treasury securities is a tool used by the central bank to achieve this objective. When the central bank buys treasury securities from commercial banks or the public, it injects money into the economy.

This increases the reserves held by commercial banks, allowing them to lend more and reduce interest rates. Lower interest rates incentivize borrowing, leading to increased investment and consumer spending, which stimulates economic growth. By choosing to buy treasury securities, the central bank effectively increases the money supply and promotes expansionary policy.

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__________ defines how much Interest you will make from a deposit in a given year, factoring in the interest rate and compounding period. Whereas __________ defines how much Interest you will pay on loans and the cost to borrow money.

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Interest earned from a deposit in a given year, considering the interest rate and compounding period, is defined by the term "interest yield." On the other hand, the cost of borrowing money and the amount of interest paid on loans is determined by "interest expense."

Interest yield refers to the amount of interest that will be earned on a deposit over a specific period, taking into account the interest rate offered by the financial institution and how often the interest is compounded. It helps individuals or businesses calculate the potential earnings from their savings or investments.

Interest expense, on the other hand, pertains to the cost of borrowing money. It represents the amount of interest that must be paid on a loan or credit facility. It is crucial to consider interest expense when determining the total cost of borrowing and assessing the affordability of loans.

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Which is a threat facing the emergence of single markets?

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Option a: Increased price competition throughout the European Union is a threat/hazard facing the emergence of single markets.

All member states of the European Union (EU) and four non-EU member states of the European Free Trade Association (EFTA) have joined a trade agreement leading to the creation of the European Single Market.

Without the border restrictions and taxes that normally govern trade between nations, the single market formed a unified trading area. A single market allows unrestricted movement of capital, people and goods across countries or blocs.

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Complete question:

Which of the following is a threat facing the emergence of single markets?

Increased price competition throughout the European Union

decreased price competition throughout the European Union

constant price competition throughout the European Union

which of the following statements about bundled payments is most correct? question 45 options: a) bundled payments are a single payment that is made to a group of like providers, such as three hospitals in a single service area. b) bundled payments are meant to encourage different providers (such as a hospital and physician group) to work together to lower costs and improve quality. c) bundled payments are a single payment made to one provider for all services provided for a single diagnosis, say, a broken arm. d) statements a. and b. are both correct. e) statements b. and c. are both correct.

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The most correct statement about bundled payments is option e) statements b. and c. are both correct.

Bundled payments involve a single payment made to one provider for all services provided for a single diagnosis or episode of care. This is represented by statement c). For example, a bundled payment might cover all the services related to treating a broken arm, including hospital care, physician services, physical therapy, and any necessary follow-up care. Additionally, bundled payments are meant to encourage different providers, such as hospitals and physician groups, to work together collaboratively to lower costs and improve the quality of care delivered. This is represented by statement b). By coordinating care and sharing financial incentives, providers are incentivized to deliver more efficient and coordinated care, which can lead to better outcomes and reduced costs. Therefore, both statements b) and c) are correct, making option e) the most accurate choice.

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an+investor+is+deciding+between+three+mutual+funds+to+invest+100%+of+their+assets+into.+which+fund+should+they+select?

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C. security selection. By decreasing the fund's beta, the manager is effectively reducing the fund's exposure to the stock market and therefore reducing its potential losses during a market downturn.

This is an example of security selection, which is the process of choosing specific securities to include in a portfolio based on the manager's analysis of their individual characteristics and risk/return potential. Good security selection skills can help to improve a fund's performance by selecting securities that perform well relative to the market.Regarding the second question, the fund manager's decision to decrease the fund's beta to protect against large losses during a market recession suggests skill in market timing.    

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Full Question ;

An investor is deciding between three mutual funds to invest 100% of their assets into. Which fund should they select? O A. The one with the highest Treynor Ratio B. The one with the highest Information Ratio O C. The one with the highest past arithmetic average returns D. The one with the highest Sharpe Ratio Reset Selection Question 23 of 36 2.5 Points A fund manager expects the market to enter a recession and hence decides to decrease their fund's beta. Later on, this decision saves the fund from large losses. The manager could be described as having good skills A. market timing B. industry selection C. security selection D. asset allocation Reset Selection

which of the following is/are examples of monetary policy? group of answer choices excess reserves. the reserve requirement. open market operations. all of the above.

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All of the given options, including excess reserves, the reserve requirement, and open market operations, are examples of monetary policy.

Monetary policy refers to the actions and measures implemented by a central bank or monetary authority to manage and control the money supply and interest rates in an economy. It is used to influence economic activity, stabilize prices, and promote sustainable growth. The following options are examples of monetary policy:

   Excess reserves: Excess reserves refer to the funds held by commercial banks in addition to the required reserves set by the central bank. These reserves can be used to influence the money supply and credit availability in the economy. By adjusting the interest rates paid on excess reserves, the central bank can incentivize or discourage banks from lending and thus affect the overall money supply.

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Peter was looking for alternatives to double his plant's production capacity, and he considered acquiring the production plant of a rival company. The engineers in Peter's company advised him against it because acquiring the new plant would only increase their company's production by 15 percent. Therefore, Peter's idea failed the test for _____ in the context of the rational decision-making process.
A. Feasibility
B. Satisfactoriness
C. Bounded rationality
D. Satisficing
E. Escalation of commitment

Answers

Peter's idea failed the test for B. Satisfactoriness in the context of the rational decision-making process. Satisfactoriness refers to the extent to which a decision option meets the desired criteria or goals set by the decision-maker.

In this case, Peter's goal was to double the plant's production capacity, but acquiring the rival company's plant would only increase production by 15 percent. The engineers advised against it because the option did not meet the desired criteria of doubling the capacity, making it unsatisfactory in achieving the intended goal.

In the explanation, you can further elaborate on the rational decision-making process and the concept of satisfactoriness. Rational decision-making involves identifying and evaluating alternative options based on specific criteria and selecting the option that best meets the goals and objectives of the decision-maker.

Satisfactoriness plays a crucial role in this process as it assesses the degree to which an option satisfies the desired criteria and goals. In Peter's case, the acquisition of the rival company's plant did not meet the criteria of doubling production capacity, making it an unsatisfactory choice in the decision-making process.

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In many arem, local governments have placed limits on how many fish on individual con catch in a single day. This regulation is wely in place because without it the free rider problem would exist. Il fish are a nonexcludable good I share a rival good Multiple Choice I and II only II and III only II only I,II, and III only

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The regulation on fishing limits imposed by local governments is primarily in place to address the free rider problem associated with nonexcludable and rival goods. The correct answer is II only.

Fish, in this context, can be considered a nonexcludable good, which means that it is difficult or impossible to exclude individuals from accessing or consuming it. Additionally, fish can also be classified as a rival good, meaning that its consumption by one individual reduces the availability of fish for others.

The presence of these characteristics creates the potential for the free rider problem. Without fishing limits, individuals could freely exploit the fishery without considering the long-term consequences or sustainability of the resource. This behavior would lead to overfishing and a depletion of the fish population, which would ultimately negatively impact everyone who relies on the fishery for their livelihood or recreational purposes.

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In many areas, local governments have placed limits on how many fish an individual can catch in a single day. This regulation is well in place because without it Option A. I and II only.

The first statement, I. In the context of fishing, if there were no limits on how many fish an individual can catch in a single day, some individuals might exploit this and catch an excessive amount of fish, depleting the fish population and diminishing the resource for others. By implementing limits, local governments can prevent free-riding and ensure the sustainable management of fish populations.

The second statement, II. fish is a non-excludable good, which is also true. Non-excludable goods are those for which it is difficult or impractical to exclude people from accessing or using them. In the case of fishing, once fish are in open waters, it becomes challenging to prevent individuals from catching them. This non-excludability means that if there were no regulations or limits on fishing, it would be difficult to control overfishing or protect the fish population from depletion.

The third statement, III. fish are a rival good, is not accurate. Rival goods are those whose consumption by one individual prevents or reduces their availability for others. In the case of fishing, fish can be considered rival goods because if one person catches a fish, it is no longer available for others to catch. However, the statement implies that this is the reason for implementing limits, which is not the case. The limits are primarily in place to address the free rider problem and ensure sustainability, rather than the rivalry of the fish resource.

Therefore, the correct answer is A. I and II only, as the free rider problem and the non-excludability of fish as a good are valid reasons for implementing fishing limits. Therefore, the correct option is A.

The question was incomplete, Find the full content below:

In many areas, local governments have placed limits on how many fish on individual con catch in a single day. This regulation is well in place because without it the

I. free rider problem would exist.

Il fish are a non-excludable good

III. Fish are a rival good

A. I and II only

B. II and III only

C. II only

D. I, II, and III only

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Engineering economy computations that consider deflation use the same relation as those of inflation. The same equations are used except the deflation rate is negative. Answer true or False.

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Engineering economy computations that consider deflation do indeed use the same relation as those of inflation. True statement.

The same equations are used, but with the deflation rate being negative. Deflation is the opposite of inflation, and it is a decrease in the general price level of goods and services in an economy over time. Just as inflation affects the cost of goods and services, deflation also has an impact on the economy, and it must be considered in engineering economy computations.

In engineering economy, the time value of money is an essential factor that is taken into account when analyzing financial decisions, and deflation is one of the many factors that can affect the value of money over time. Therefore, engineering economy computations that consider deflation must use the same equations and relations as those of inflation, with the only difference being the negative deflation rate.

By considering deflation in engineering economy computations, businesses and individuals can make more informed financial decisions and understand the potential impact of deflation on the value of money over time.

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what is the standard deviation of returns for an investment that is equally likely to return 100% as it is to provide a 100% loss? group of answer choices 71% 100% 0% 50%

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The standard deviation of returns for an investment that is equally likely to return 100% as it is to provide a 100% loss is 100%.

The standard deviation measures the degree of variability or dispersion in a set of data. In the case of investment returns, it represents the volatility or risk associated with the investment.

When an investment has an equal probability of returning 100% or experiencing a 100% loss, it implies a highly uncertain and volatile investment. In such a scenario, the standard deviation of returns is calculated as the square root of the average squared deviation from the expected return.

Since the investment has an equal probability of a 100% gain or a 100% loss, the range of possible returns is from -100% to +100%. This wide range of potential outcomes indicates a high degree of variability. Consequently, the standard deviation is equal to the maximum potential return, which is 100%.

Therefore, the correct answer is 100%, indicating that the standard deviation of returns for this investment is 100%, reflecting its high volatility and risk.

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Which best describes a deliverable coded yellow on a dashboard?

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A deliverable coded yellow on a dashboard best describes a task or project component that is experiencing minor issues or delays but is still under control.

In a typical project management dashboard, a yellow status indicates caution, meaning that the deliverable requires attention and monitoring to prevent further delays or complications.
To summarize the answer, a deliverable coded yellow on a dashboard is a task or project component that is facing minor issues and requires attention to ensure timely completion.

An organization's business strategy may include temporary tasks that are intended to yield results for the company.

These initiatives may be administrative, functional, or internal.

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A foreign subsidiary's __________ currency is the currency used in the firm's day-to-day operations.A) localB) integratedC) notational dollarD) functional

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A foreign subsidiary's- D.  functional currency is the currency used in the firm's day-to-day operations.

What is it?

This is the currency that the subsidiary primarily uses for transactions and reporting purposes. It is the currency that best reflects the economic environment in which the subsidiary operates.

The functional currency is determined based on the currency that is most relevant to the subsidiary's activities, such as where it sources its inputs and where it sells its products. It is important for companies to understand and manage their functional currency as it affects financial reporting, tax calculations, and decision-making processes.

Additionally, fluctuations in the exchange rate between the functional currency and the parent company's reporting currency can have significant impacts on financial statements.

Hence, option d. is  correct.

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What will $196,000 grow to be in 10 years if it is invested today in an account with a quoted annual interest rate of 9% with weekly compounding of interest?

Answers

The amount will grow to be in 10 years if it is invested today in an account with a quoted annual interest rate of 9% with weekly compounding of interest is $481,707.32.

The process of reinvested capital gains or interest earnings from an asset to generate additional earnings over time is known as compounding. This development, determined utilizing remarkable capabilities, happens in light of the fact that the venture will produce profit from the two its underlying head and the amassed profit from going before periods.

Compounding is a very important concept in finance, and many investing strategies are motivated by the gains it generates. For example, various organizations give profit reinvestment plans (Trickles), which empower investors to reinvest their money profits in the securing of extra portions of stock. Financial backer returns are supported by reinvesting in a greater amount of these profit paying offers in light of the fact that, expecting consistent profits, the expanded number of offers will reliably help future profit pay.

This strategy adds an additional layer of compounding, which some investors refer to as "double compounding," by investing in dividend-paying stocks in addition to reinvesting dividends. In this instance, these dividend growth stocks are not only increasing their per-share payouts but also reinvesting dividends to acquire additional shares.

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sayers co. sold merchandise on account to a customer for $86,000 terms 1/10, n/30. the cost of the goods sold was $64,000. a. Journalize Sayers’ entries to record the sale. b. Journalize the receipt of payment within the discount period. c. Journalize the entry to record the receipt of payment beyond the discount period of ten days.

Answers

Summary of all parts : In journal entry (c), we debit the Cash account and credit the Accounts Receivable account for the amount of the payment received after the discount period has passed.

Here are the journal entries for Sayers Co.:

a. To record the sale on account:

Accounts Receivable   $86,000

Sales Revenue                 $86,000

Cost of Goods Sold       $64,000

Inventory                             $64,000

b. To record the receipt of payment within the discount period:

Cash                       $84,240 [($86,000 x 0.99)]

Sales Discount               $1,760 [($86,000 x 0.01)]

Accounts Receivable      $86,000

c. To record the receipt of payment beyond the discount period of ten days:

Cash                       $86,000

Accounts Receivable      $86,000

In journal entry (a), we debit the Accounts Receivable account and credit the Sales Revenue account for the amount of the sale. We also debit the Cost of Goods Sold account and credit the Inventory account for the cost of the goods sold.

In journal entry (b), we debit the Cash account for the amount received after the discount is taken ($86,000 x 0.99 = $84,240), credit the Sales Discount account for the discount amount ($86,000 x 0.01 = $1,760), and credit the Accounts Receivable account for the full amount of the sale.

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sub sold parent $100,000 worth of merchandise during 2016 and received cash. deferred profit in the beginning of the year (i.e. 12/31/2015) was $18,525. deferred profit at 12/31/2016 as $28,500. provide the consolidation entries to eliminate the intercompany transactions. (hint: consolidation entries don't change no matter the direction of the sale).

Answers

These consolidation entries ensure that the intercompany sales, cost of goods sold, and deferred profit are eliminated, allowing for accurate consolidated financial statements.

To eliminate the intercompany transactions and consolidate the financial statements, the following entries would need to be made:

Elimination of Sales:

Sub's Sales $100,000

Parent's Sales Revenue $100,000

Elimination of Cost of Goods Sold (COGS):

Parent's COGS $XXXXX

Sub's Inventory $XXXXX

Elimination of Deferred Profit (Beginning):

Parent's Deferred Profit (Beginning) $18,525

Sub's Deferred Profit (Beginning) $18,525

Elimination of Deferred Profit (Ending):

Parent's Deferred Profit (Ending) $28,500

Sub's Deferred Profit (Ending) $28,500

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obsolete or scrap materials are charged to a predefined project number. the materials are segregated into specified bin locations and eventually transported to a public auction for sale. to reduce the risks associated with this process, an organization should employ which of the following procedures?
1. Require managerial approval for materials to be declared scrap or obsolete.
2. Permit employees to purchase obsolete or scrap materials prior to auction.
3. Limit obsolete or scrap materials sales to a pre-approved buyer.
4. Specify that a fixed fee, rather than a commission, be paid to the auction firm.
A. 2 and 3.
B. 2 and 4.
C. 1 only.
D. 1, 3, and 4.

Answers

To reduce risks associated with the process of handling obsolete or scrap materials, an organization should employ procedures and specifying a fixed fee for the auction firm. Therefore, the answer is option D: 1, 3, and 4.

When dealing with obsolete or scrap materials, it is important for organizations to implement procedures that mitigate potential risks. First, requiring managerial approval for declaring materials as scrap or obsolete ensures that the decision is made by authorized individuals who can assess the true status of the materials. This helps prevent unauthorized disposal or misclassification.

Second, permitting employees to purchase obsolete or scrap materials prior to auction can create conflicts of interest and raise ethical concerns. It is best to avoid this practice to maintain transparency and fairness in the disposal process. Third, limiting sales of obsolete or scrap materials to pre-approved buyers helps ensure that the materials are sold to reputable entities that can make appropriate use of them. This reduces the risk of improper handling or potential misuse of the materials.

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what happens if no-par value stock does not have a stated value

Answers

Answer:

A no-par stock is issued without any designated minimum value. Neither form has any relevance for the stock's actual value in the markets. If a company issues no-par stock, they will not have a potential future debt obligation to shareholders should the market price drop below the supposed par value.

Explanation:

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If a no-par value stock does not have a stated value, it means that the company issuing the stock has not assigned a specific monetary value to the shares. In this case, the value of the stock is determined by the market demand and supply of the shares.

Without a stated value, investors may perceive the stock as having a higher risk since they do not know the actual value of the shares. Additionally, the lack of a stated value may make it harder for companies to raise capital since investors may not have a clear understanding of the value of the shares they are buying.

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McEwan Industries sells on terms of 3/10, net 30.
Total sales for the year are $1,029,000; 40% of the customers pay on the 10th day and take discounts, while the other 60% pay, on average, 70 days after their purchases.
Assume 365 days in year for your calculations.
a) Calculate the days sales outstanding? .
b) What is the average amount of receivables?
c) What is the percentage cost of trade credit to customers who take the discount?
d) What is the percentage cost of trade credit to customers who do not take the discount and pay in 70 days?
e) What would happen to McEwan's accounts receivable (DSO and Average receivables) if it toughened up on its collection policy with the result that all non-discount customers paid on the 30th day?
Round your answers to two decimal places. Do not round intermediate calculations.

Answers

Answer:

Explanation:

To answer these questions, we'll break them down step by step.

a) Days Sales Outstanding (DSO):

DSO is a measure of the average number of days it takes for a company to collect payment from its customers. We need to calculate the weighted average collection period based on the given information.

The percentage of customers taking the discount is 40% and they pay on the 10th day. The remaining 60% of customers pay in 70 days.

Weighted average collection period = (Percentage of customers taking discount * Payment period for discount) + (Percentage of customers not taking discount * Payment period for non-discount)

= (0.40 * 10) + (0.60 * 70)

= 4 + 42

= 46 days

Therefore, the Days Sales Outstanding (DSO) is 46 days.

b) Average amount of receivables:

To calculate the average amount of receivables, we need to find the weighted average of receivables based on the percentage of customers and their payment terms.

Amount of receivables for customers taking the discount = Total sales * Percentage of customers taking discount

= $1,029,000 * 0.40

= $411,600

Amount of receivables for customers not taking the discount = Total sales * Percentage of customers not taking discount

= $1,029,000 * 0.60

= $617,400

Weighted average amount of receivables = (Amount of receivables for customers taking discount * Payment period for discount) + (Amount of receivables for customers not taking discount * Payment period for non-discount)

= ($411,600 * 10) + ($617,400 * 70)

= $4,116,000 + $43,218,000

= $47,334,000

Therefore, the average amount of receivables is $47,334,000.

c) Percentage cost of trade credit for customers taking the discount:

The discount offered is 3% for payment within 10 days.

Percentage cost of trade credit = (Discount % / (1 - Discount %)) * (365 / (Payment period - Discount period))

= (0.03 / (1 - 0.03)) * (365 / (30 - 10))

= (0.03 / 0.97) * (365 / 20)

≈ 0.0938 * 18.25

≈ 1.7114

Therefore, the percentage cost of trade credit for customers taking the discount is approximately 1.71%.

d) Percentage cost of trade credit for customers not taking the discount and paying in 70 days:

Percentage cost of trade credit = (Discount % / (1 - Discount %)) * (365 / (Payment period - Discount period))

= (0 / (1 - 0)) * (365 / (70 - 30))

= 0 * (365 / 40)

= 0

Therefore, the percentage cost of trade credit for customers not taking the discount and paying in 70 days is 0%.

e) Impact of toughening up collection policy:

If all non-discount customers paid on the 30th day, the DSO would be reduced from 46 days to 30 days. The average receivables would also decrease as customers would be paying earlier.

New DSO = 30 days

New average amount of receivables = ($411,600 * 10) + ($617,400 * 30)

= $4,116,000 + $18,522,000

= $22,638,

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in-substance defeasance is a term used to refer to an arrangement whereby

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In-substance defeasance is a term used to refer to an arrangement whereby an entity sets aside funds in order to defease, or extinguish, its debt obligations. This arrangement is often used in situations where an entity wants to remove the debt from its financial statements.

In-substance defeasance involves setting aside a sufficient amount of funds, typically around 150% of the debt's principal and interest payments, in a trust to make the future debt payments. The trust is used to pay the debt when it becomes due, effectively removing the debt from the entity's balance sheet. This process requires a long answer because it involves a complex financial transaction that requires careful planning and execution.


In-substance defeasance is a term used to refer to an arrangement whereby an issuer of debt securities effectively discharges their debt obligations by setting aside funds, usually in a trust, to cover the principal and interest payments. This ensures that the debt is essentially "defeated" and the issuer no longer carries the liability on their financial statements. The funds set aside typically consist of low-risk investments, such as government securities, with a total value of at least 150% of the outstanding debt obligation.

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the primary method of obtaining information during the preliminary investigation is to ____.

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The primary method of obtaining information during the preliminary investigation is to gather relevant facts and evidence through various means.

Such as:

Interviews: Investigators conduct interviews with witnesses, victims, and potential suspects to gather firsthand accounts and gather information about the incident or crime in question. Interviews may be conducted in person, over the phone, or through other communication channels.

Examination of Physical Evidence: Investigators analyze and collect physical evidence related to the incident. This can include items such as documents, photographs, video footage, fingerprints, DNA samples, or any other relevant physical evidence that may help establish facts or link individuals to the incident.

Scene Examination: Investigators visit the location where the incident occurred to examine the scene for any potential evidence, clues, or indications that may provide insights into what transpired. They document the scene, collect physical evidence, and assess the surroundings to gain a better understanding of the circumstances.

Review of Records and Documents: Investigators review records and documents that are pertinent to the case, such as police reports, previous incidents, financial records, medical records, or any other relevant documentation that may shed light on the incident or provide leads for further investigation.

Surveillance: In some cases, investigators may conduct surveillance activities to observe and gather information about individuals or locations involved in the incident. This may involve physical surveillance, video surveillance, or other methods aimed at gathering additional evidence or identifying potential leads.

Collaboration with Other Agencies or Experts: Investigators may collaborate with other law enforcement agencies, forensic experts, or specialists in specific fields to gather specialized knowledge or expertise related to the incident. This collaboration can provide valuable insights and assist in obtaining necessary information.

It's important to note that the specific methods employed during a preliminary investigation can vary depending on the nature of the incident, jurisdictional requirements, available resources, and the expertise of the investigating agency.

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an increase in government spending that is financed by an equal increase in taxes results in which of the following changes in aggregate demand (ad) and short-run aggregate supply (sras) curves?

ADAD Curve SRAS Curve
Shifts to the right . No change
Progressive income taxes
Thailand's Exports . Thailand's Aggregate Demand . Increase . Increase

Answers

An increase in government spending that is financed by an equal increase in taxes results in the following changes in aggregate demand (AD) and short-run aggregate supply (SRAS) curves:
AD Curve: Shifts to the right
SRAS Curve: No change

When government spending increases and is matched by an equal increase in taxes, the AD curve shifts to the right. This is because the government is injecting more money into the economy through its spending, increasing the overall demand for goods and services. The additional spending can boost the economy and lead to higher output and employment levels.

However, the SRAS curve does not change in this situation, as the increase in government spending is offset by the increase in taxes. Higher taxes can reduce the disposable income of households and businesses, potentially leading to a decrease in consumption and investment. Since the increase in government spending is financed by higher taxes, it does not put any additional upward pressure on the overall price level, and the SRAS curve remains unchanged.

Progressive income taxes and Thailand's exports are not directly related to the effects of an increase in government spending financed by an equal increase in taxes on the AD and SRAS curves. However, Thailand's aggregate demand would likely increase due to the increase in government spending, as mentioned earlier.

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true or false: installment loan payments usually vary from month to month.

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The answer is true, Installment loan payments are typically fixed, meaning they remain the same each month. However, there are some types of installment loans, such as adjustable-rate mortgages, that may have varying payments depending on changes in interest rates.

Installment loan payments are usually set up to be paid off in fixed installments over a certain period of time, such as 12 months or 36 months. However, the amount of each payment can vary depending on the interest rate and the length of the loan. In some cases, the payment amount may also vary if the borrower chooses to pay extra towards the principal of the loan or if there are any fees or charges added to the loan balance. Therefore, it is true that installment loan payments usually vary from month to month.

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after+issuing+its+financial+statements,+a+company+discovered+that+its+beginning+inventory+was+overstated+by+$220,000.+its+tax+rate+is+25%.+as+a+result+of+this+error,+net+income+was:

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After issuing its financial statements, a company discovered that its beginning inventory was overstated by $220,000. As a result of this error, net income was lower than what was originally reported.

To calculate the impact on net income, we need to first understand the accounting equation: Assets = Liabilities + Equity. Inventory is an asset on the balance sheet, and if it is overstated, it means that assets are also overstated. This, in turn, means that equity is also overstated, as it is the difference between assets and liabilities.
To correct the error, the company would need to reduce inventory by $220,000 and adjust equity accordingly. This would result in a decrease in net income by $165,000 ($220,000 * 0.25). This is because the adjustment would reduce both assets and equity, which would reduce net income.
In summary, after issuing its financial statements, a company discovered that its beginning inventory was overstated by $220,000. The impact of this error would result in a decrease in net income of $165,000 after adjusting for the tax rate of 25%.

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if the government purchases multiplier is 6 and a change in government spending leads to a $58.0 million decrease in aggregate demand, we can conclude that

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We can conclude that if the government purchases multiplier is 6 and a change in government spending leads to a $58.0 million decrease in aggregate demand, then the initial change in government spending was a $9.67 million decrease.

We need to use the formula for the government purchases multiplier, which shows the impact of a change in government spending on aggregate demand:

Government purchases multiplier = 1/(1 - MPC)

here MPC is the marginal propensity to consume.

If the government purchases multiplier is 6 and a change in government spending leads to a $58.0 million decrease in aggregate demand, we can use this information to calculate the initial change in government spending.

Let's assume that the change in government spending is denoted by ∆G. Then, we can use the formula for the government purchases multiplier to solve for ∆G:

Government purchases multiplier = 6 = 1/(1 - MPC)

=> 6(1 - MPC) = 1

=> 6 - 6MPC = 1

=> -6MPC = -5

=> MPC = 5/6

Now we can use the formula for the change in aggregate demand to solve for ΔG:

ΔAD = -6(ΔG) = -$58 million

=> ΔG = $9.67 million

So, a $9.67 million decrease in government spending leads to a $58 million decrease in aggregate demand.

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What measures the ratio of items purchased to product views?

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The measure that calculates the ratio of items purchased to product views is called the conversion rate. This metric is important for businesses to track as it provides insights into the effectiveness of their product page and the overall shopping experience for customers.


The conversion rate is calculated by dividing the number of purchases made by the total number of product page views. For example, if a product has been viewed 100 times and 10 purchases have been made, the conversion rate would be 10%.
A high conversion rate indicates that customers are engaged with the product and are more likely to make a purchase. Conversely, a low conversion rate may suggest that there are issues with the product page, such as unclear product descriptions or poor product images, which may be deterring customers from making a purchase.
By tracking conversion rates, businesses can identify areas for improvement in their product page and shopping experience, which can ultimately lead to increased sales and revenue. Additionally, analyzing conversion rates across different products or time periods can help businesses identify trends and make data-driven decisions to optimize their sales strategy.

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beginning of several years and compiles the following table.
An economist tracks the price of a certain item at the beginning of several years and compiles the following table.
Year 2013 2014 2015 2016
Price in dollars 265.50 273.47 281.67 290.12

(a) Show that the price is growing as an exponential function. (Let P be the price in dollars and t the time in years since 2013.)
Calculate the ratios of new price/old price. (Round your answers to two decimal places.)
P1 =
P0
P2 =
P1
P3 =
P2
Does the table show exponential data?
YesNo
(b) Find an exponential model for the data. (Round the values to two decimal places. Let t be the time in years since 2013.)
P = 265.50 × 1.03t
P = 93.12 × 1.35t
P = 260.00 × 1.12t
P = 290.12 × 0.97t
P = 304.21 × 0.83t
(c) At the beginning of some year, the price will surpass $325. Use the model found in part (b) to determine which year.

Answers

Based on the given equation P = 290.12 × 0.97t(c), where P represents the price and t represents time in years, we can determine which year the price will surpass $325.
To solve this problem, we need to set the equation equal to 325 and solve for t.


325 = 290.12 × 0.97t(c)
Divide both sides by 290.12:
1.119 = 0.97t(c)
Take the natural logarithm of both sides:
ln(1.119) = ln(0.97t(c))
Simplify:
t = [ln(1.119)] / [ln(0.97)]
Using a calculator, we get:
t ≈ 5.6
Therefore, at the beginning of the sixth year (since we are given that we want to know at the beginning of some year), the price will surpass $325 according to the given model.
In summary, using the given equation, we have determined that the price will surpass $325 at the beginning of the sixth year.

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