Compute the required (expected) rate of return (Ke). (Do not round intermediate calculations. Round the final answer to 2 decimal places.)Required rate of return = dividend yield + expected dividend growth rate
Dividend yield can be computed using the formula Dividend yield = Annual Dividend per Share / Market Price per ShareDividend yield = $1.60 / $50 = 0.032 or 3.2%Given that the expected dividend growth rate is 10%, the required rate of return would be:Required rate of return = 3.2% + 10% = 13.2%.
Therefore, the required rate of return (Ke) is 13.2%.b. If the dividend payment increases, the required rate of return (Ke) will go down. An increase in dividend payments usually indicates a strong financial position and growth prospects, which in turn reduces the risk associated with the investment. Consequently, the shareholders would demand a lower return or lower required rate of return to invest in such a company.
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companies use esg integration to create new forms of ________. a. sales b. competitive advantage c. diversity d. departments
The correct option is b. competitive advantage. ESG integration refers to the incorporation of environmental, social, and governance factors into a company's business practices and decision-making processes. By integrating ESG considerations into their operations, companies can gain a competitive advantage over their peers.
This can be achieved through various means such as improved risk management, enhanced brand reputation, access to new markets and investors, increased employee productivity and retention, and innovation in products and services. ESG integration enables companies to differentiate themselves and attract stakeholders who prioritize sustainable and responsible business practices.
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a. A company in a competitive industry has a total cost function and the marginal cost functions as given below.
TC = 50 + 4q +2q2
MC = 4 +4q
This firm produce 5 units of output at the given market price of $20.
You are required to answer the following questions;
i. Calculate the current level of profit
ii. Should firm continue with the current level of output in the long run or not (is the current level of output is profit maximizing output level?). If not decide the quantity of output the firm should produce in the long run and comment whether firm should stay or exit the industry.
b. Discuss the use of import quota and tariff as method to limit imports. Justify the most preferable method based on the pros and cons associated with these methods?
The current level of profit and the long-run output level for the firm, we need to analyze the given total cost (TC) and marginal cost (MC) functions. Since the LRAC ($24) is greater than the market price (P = $20), the firm should exit the industry in the long run. The most preferable method between import quota and tariff depends on various factors, including the specific industry, trade agreements, economic goals, and political considerations.
i. Calculate the current level of profit:
To calculate the current level of profit, we need to determine the total revenue (TR) first. The total revenue is calculated by multiplying the quantity (q) produced by the market price (P).
Given:
q = 5 units
P = $20
TR = q * P = 5 * $20 = $100
Next, we calculate the total cost (TC) at the current level of output:
TC = 50 + 4q + 2q^2
TC = 50 + 4(5) + 2(5^2)
TC = 50 + 20 + 2(25)
TC = 50 + 20 + 50
TC = $120
Finally, we can calculate the current level of profit (π) using the formula:
π = TR - TC
π = $100 - $120
π = -$20
The current level of profit for the firm is -$20, indicating a loss.
ii. Determine the long-run profit-maximizing output level:
To determine the long-run profit-maximizing output level, we need to compare the marginal cost (MC) to the market price (P). In perfect competition, firms maximize profit by producing where MC equals the market price.
Given:
MC = 4 + 4q
P = $20
Set MC equal to P and solve for q:
4 + 4q = 20
4q = 16
q = 4
Therefore, the long-run profit-maximizing output level for the firm is q = 4 units.
To decide whether the firm should stay or exit the industry, we need to consider the long-run average cost (LRAC). If the LRAC is less than the market price (P), the firm should stay; otherwise, it should exit the industry.
The long-run average cost (LRAC) is given by the total cost (TC) divided by the quantity (q):
LRAC = TC / q
LRAC = $120 / 5
LRAC = $24
b. Use of import quota and tariff to limit imports:
Import quota and tariff are two methods commonly used to restrict imports and protect domestic industries. Here are the pros and cons associated with each method:
Import Quota:
- Pros:
- Can protect domestic industries from foreign competition by limiting the quantity of imported goods.
- Provides certainty to domestic producers regarding the level of competition they face.
- May generate revenue if import licenses are sold.
- Cons:
- Can lead to higher prices for consumers due to reduced competition and limited supply.
- May invite corruption and rent-seeking behavior when allocating import licenses.
- Can negatively impact international trade relations and invite retaliatory measures from exporting countries.
Tariff:
- Pros:
- Can protect domestic industries by increasing the cost of imported goods.
- Can generate revenue for the government through tariff collections.
- Allows for more flexibility in adjusting the level of protection based on changing market conditions.
- Cons:
- Increases prices for consumers, as the cost of imported goods is higher.
- Can lead to retaliation from exporting countries, potentially escalating trade conflicts.
- May encourage inefficient domestic production and reduce incentives for innovation.
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If D1 $1.25, g (which is constant) - 596, and PO = $28.00, what is the stock's expected dividend yield for the coming year? 4.25% 4.46% 4.53% 4.85% 5.00% QUESTION 3 The projected cash flow for the next year for Minesuah Inc. is $175,000, and FCF is expected to grow at a constant rate of 5%. weighted average cost of capital is 15%6, what is the value of its operations? $3,000,000 $2,500,000 $2,000,000 $1 750 000
The stock's expected dividend yield for the coming year is 4.46% and the value of its operations is $1,837,500.
If D1 = $1.25, g = 5.96%, and PO = $28.00, what is the stock's expected dividend yield for the coming year?To find out the stock's expected dividend yield for the coming year, we can use the formula for the dividend yield: Dividend yield = D1 / PO - The dividend yield can be calculated as follows: Dividend yield = $1.25 / $28.00 - 5.96%Dividend yield = 4.46%Therefore, the answer is 4.46%.
The projected cash flow for the next year for Minesuah Inc. is $175,000, and FCF is expected to grow at a constant rate of 5%. The weighted average cost of capital is 15%,
To calculate the value of the operations, we can use the formula: V = (FCF1 × (1 + g)) / (WACC - g) where = value of operationsFCF1 = projected cash flow for next year = expected growth rate of FCFWACC = weighted average cost of capital first, we can calculate FCF growth rate for the next year as follows:g = FCF growth rate = 5%Next, we can substitute the given values into the formula: V = ($175,000 × (1 + 5%)) / (15% - 5%)V = ($175,000 × 1.05) / 10%V = $1837500 / 10%V = $1,837,500
Therefore, the value of its operations is $1,837,500.
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a cut in government spending or an increase in taxes will cause the economy's aggregate group of answer choices supply curve to shift outward (increase), resulting in a higher gdp supply curve to shift inward (decrease), resulting in a lower gdp demand curve to shift inward (decrease), resulting in lower gdp none of the answers given is correct demand curve to shift inward (decrease), resulting in higher gdp
This curve represents the total demand for goods and services in an economy at different price levels.
It shows the amount of real GDP that buyers want to purchase at each price level. The aggregate demand curve slopes downwards, indicating that an increase in prices leads to a decrease in demand. Aggregate supply curve: This curve represents the total supply of goods and services in an economy at different price levels.
The aggregate supply curve shifts outward (increases) due to a cut in government spending or an increase in taxes, leading to a higher GDP. The aggregate demand curve shifts inward (decreases), leading to a lower GDP. the correct answer is except option C, which states that the demand curve will shift inward (decrease), resulting in lower GDP.
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A director is hired to manage a team that has had issues with productivity, efficiency, and morale. She takes time to get to know each of her employees personally, learning their strengths, weaknesses, and ambitions. She spends part of a day with each employee letting them "train" her on their jobs, so she can understand their day-to-day challenges. She quickly promotes experienced employees to line manager roles and publicly credits team members important successes She forms cross-departmental aliances that benent her team and improve the quality of work for the t whole department Her team becomes more efficient happler and better at solving problems identify the type of political power demonstrated by the COO
The type of political power demonstrated by the COO is the expert power.
The given scenario illustrates that the COO (Chief Operating Officer) has taken different measures to address the issues related to productivity, efficiency, and morale of her team by exhibiting expert power.
Why the COO demonstrated the expert power?
Expert power is a form of power that is based on the knowledge or expertise of an individual. The COO is the person who has expertise in dealing with such issues in the company or has vast knowledge and experience in managing a team, which she used to address the issues in her team.
To help resolve the issues, the COO performed the following tasks:
She took the time to understand her employees better by learning their strengths, weaknesses, and ambitions.
She spent a part of the day with each employee to understand their challenges and day-to-day work.
She promoted experienced employees to line manager roles.
She formed cross-departmental alliances to benefit her team and improve the quality of work for the whole department.
The COO utilized her expertise in the area of employee management to resolve the issues, which demonstrated the expert power.
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DECOR Ltd produces and sells floor lamps and table lamps. For the floor lamps the following information is known: Sales price per unit: CHF 500.- Variable cost per unit: CHF 200.- For the table lamps the following information is known: Sales price per unit: CHF 300.- Variable cost per unit: CHF 100.- For every 2 floor lamps 3 table lamps are sold. Total fixed cost are. CHF 1'980'000.- Calculate, how many floor and table lamps are sold at the break-even point with this sales mix (4 points). Number of floor lamps: Number of table lamps:
Let us first find out the contribution margin per unit. The contribution margin per unit is equal to sales price per unit minus variable cost per unit.
Using this formula, we can find out the contribution margin per unit of both floor lamps and table lamps.
Floor lamps: Contribution margin per unit of floor lamps = Sales price per unit of floor lamps - Variable cost per unit of floor lamps= 500 - 200= 300
Table lamps: Contribution margin per unit of table lamps = Sales price per unit of table lamps - Variable cost per unit of table lamps= 300 - 100= 200
Now, let us calculate the weighted average contribution margin per unit. Weighted average contribution margin per unit is equal to [(contribution margin per unit of floor lamps * 2) + (contribution margin per unit of table lamps * 3)] / 5= [(300 * 2) + (200 * 3)] / 5= (600 + 600) / 5= 120
Break-even point can be calculated using the formula, Break-even point (in units) = Total fixed cost / Weighted average contribution margin per unit Substituting the values, Break-even point (in units) = 1,980,000 / 120= 16,500
Total number of units sold = 2F + 3T, where F is the number of floor lamps and T is the number of table lamps. Let us assume that x number of floor lamps and y number of table lamps are sold. Number of floor lamps sold = x Number of table lamps sold = y
Hence, the total number of units sold can be given as 2x + 3y.Using this information, we can form two equations as follows:2x + 3y = 16,500
Sales revenue = Sales price per unit * Total number of units sold Sales revenue = (500 * x) + (300 * y)At break-even point, sales revenue is equal to the total cost. Hence, we can form another equation as follows:
Sales revenue = Total cost Total cost = Total variable cost + Total fixed cost= (200 * x) + (100 * y) + 1,980,000
Now, we have 3 equations:2x + 3y = 16,500(500 * x) + (300 * y) = (200 * x) + (100 * y) + 1,980,000Solving the above equations simultaneously, we get: x = 7,000y = 3,500
Hence, Number of floor lamps sold = x = 7,000Number of table lamps sold = y = 3,500Therefore, the number of floor lamps sold is 7,000 and the number of table lamps sold is 3,500.
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FILL THE BLANK. Question 16 4 pts Which option is the best answer? When the price of product X is higher than the equilibrium price of product X, there will be a ...... and the price will O shortage: fail O shortage:
When the price of product X is higher than the equilibrium price of product X, there will be a shortage and the price will fail to shortage.
In the context of supply and demand, the equilibrium price is the price at which the quantity demanded by consumers matches the quantity supplied by producers. If the price of product X is higher than the equilibrium price, it creates a situation of excess supply or surplus. In this case, producers are offering more of the product at a higher price than consumers are willing to purchase. As a result, there is a shortage, meaning that demand exceeds supply.
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Which one of the following is an example of specific risk? Consumer spending on movies decreased nationally. O A national sales tax is adopted. Inflation decreases at the national level. An increased feeling of prosperity is felt around the globe. Income taxes are increased across the board.
The example of specific risk is "Consumer spending on movies decreased nationally". Other alternatives in the question do not relate to specific risk. Therefore, we can conclude that consumer spending on movies decreased nationally is an example of specific risk.
Specific risk, also known as unsystematic risk, is a risk that is inherent to a single company or asset rather than to the entire market. Specific risk is unique to a specific corporation or investment. For example, a business experiencing a decrease in customer demand because of a problem with a specific product. Specific risk can be mitigated or eliminated by diversifying an investment portfolio. As compared to systematic risk, specific risk can be reduced by diversification.Speculative risk involves a possibility of both gain and loss. It is typical for investors, as it requires taking chances and can result in a return on investment. For example, investing in an innovative start-up firm might result in a significant financial gain, or it could result in the complete loss of the investment. Diversification is one way to manage speculative risk. Diversification is the process of allocating funds in a way that reduces exposure to risk. The concept is that a portfolio that includes various types of investments will have a lower risk of a single investment causing harm to the entire portfolio. By including a range of different investment assets in a portfolio, investors may reduce the impact of unsystematic risks. The example of specific risk is "Consumer spending on movies decreased nationally." Other alternatives in the question do not relate to specific risk. Therefore, we can conclude that consumer spending on movies decreased nationally is an example of specific risk.For more such questions on specific risk , click on:
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Specific promotional tools used in __________ include press releases, sponsorships, events, and web pages.
Specific promotional tools used in public relations include press releases, sponsorships, events, and web pages.
Public relations (PR) is the practice of managing communication between an organization and its stakeholders. It is a strategic communication process that develops and maintains mutually beneficial relationships between an organization and its stakeholders.
Press releases: Press releases are a common promotional tool in public relations. They are a way for an organization to share information with the media, which can then share it with their audiences.
Sponsorships: Sponsorships are another promotional tool used in public relations. They involve an organization providing financial support to an event or individual in exchange for exposure.
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A late penalty of 10% will apply to new answers. Intro Southern Power just paid an annual dividend of $7.1 per share. Because of increasing competition from home solar installations, the dividend is expected to shrink by 2% per year. The required rate of return is 8%. ID. What is the value of the stock?
To calculate the value of the stock using the dividend discount model (DDM), we can use the formula:
Value of Stock = Dividend / (Required Rate of Return - Dividend Growth Rate)
Given:
- Annual dividend = $7.1 per share
- Dividend growth rate = -2% (negative growth rate implies a decrease)
- Required rate of return = 8%
Using the provided values in the formula, we can calculate the value of the stock:
Value of Stock = $7.1 / (0.08 - (-0.02))
Value of Stock = $7.1 / (0.08 + 0.02)
Value of Stock = $7.1 / 0.10
Value of Stock = $71
Therefore, the value of the stock is $71.
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Question 4 The Australian Government is intending on making a large cash investment in June and July of 2023. As a consequence, the government will have a short-term shortfall of $6.2 million between cash receipts and expenditures. a) The government is intending to meet this shortfall by issuing 90-day Treasury Notes today. Calculate the face value of this issue, given a yield of 2.2% per annum. b) Explain how increased government bond issuance can result in a decrease of corporate bond issuance and lower corporate bond prices. [4+4] = 8 marks
Increased government bond issuance can lead to decreased corporate bond issuance and lower corporate bond prices due to increased supply and shifting investor preferences.
a) To calculate the face value of the Treasury Notes, we can use the formula:
[tex]\[ \text{{Face Value}} = \frac{{\text{{Shortfall}}}}{{1 + \left( \frac{{\text{{yield}}}}{{100}} \right) \times \left( \frac{{\text{{days}}}}{{365}} \right)}} \][/tex]
where the shortfall is [tex]$6.2 \text{ million}$[/tex], the yield is [tex]$2.2\%$[/tex] per annum, and the Treasury Notes have a maturity of [tex]$90$[/tex] days.
Converting the yield and days to the appropriate units, we have:
[tex]\[ \text{{Face Value}} = \frac{{6.2 \times 10^6}}{{1 + \left( \frac{{2.2}}{{100}} \right) \times \left( \frac{{90}}{{365}} \right)}} \][/tex]
Simplifying the equation, we get:
[tex]\[ \text{{Face Value}} = \frac{{6.2 \times 10^6}}{{1 + 0.022 \times 0.246}} \][/tex]
Calculating further:
[tex]\[ \text{{Face Value}} = \frac{{6.2 \times 10^6}}{{1 + 0.005412}} \]\[ \text{{Face Value}} = \frac{{6.2 \times 10^6}}{{1.005412}} \]\[ \text{{Face Value}} \approx \$6,150,071.20 \][/tex]
Therefore, the face value of the Treasury Notes to cover the [tex]$6.2$[/tex] million shortfall is approximately [tex]$6,150,071.20$[/tex] dollars.
b) Increased government bond issuance can lead to a decrease in corporate bond issuance and lower corporate bond prices due to supply and demand dynamics in the bond market. When the government issues more bonds, it increases the supply of bonds available for investors to purchase.
This increased supply can lead to a decrease in demand for corporate bonds because investors may prefer the relatively safer option of government bonds.
As investors shift their focus towards government bonds, the demand for corporate bonds decreases. To attract investors, corporations may need to lower the prices (increase yields) on their bonds. This decrease in corporate bond prices means that the yield on corporate bonds will be higher compared to government bonds with similar risk profiles. Consequently, corporations may find it more expensive to issue bonds, and the cost of borrowing for them increases.Additionally, when the government issues bonds with a lower yield, it sets a benchmark for interest rates in the market. This benchmark can influence the pricing of corporate bonds. If government bond yields are low, investors may demand higher yields on corporate bonds to compensate for the increased risk associated with investing in non-government entities.Therefore, increased government bond issuance can lead to a decrease in corporate bond issuance and lower corporate bond prices due to shifts in investor preferences, increased supply, and changing interest rate benchmarks in the bond market.
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what is the meaning of Retained Earnings? why are they important for the growth of a company? How are they generated?
Retained Earnings refer to the amount of net income that is not distributed as dividends to the shareholders of a company.
Retained earnings are vital for the growth of a company because they can be used to reinvest in the business, expand operations, pay off debt, or distribute dividends in the future. Retained earnings can be generated in different ways. Some of the common ways are given below:
1. By not distributing all the net income as dividends to the shareholders. In this way, the company keeps a portion of the earnings for future use.
2. By generating net income through operations, which can be retained and used for future purposes.
3. By the sale of assets, investments, or other sources of revenue, which can be added to retained earnings.The retained earnings account in the balance sheet shows the amount of earnings that have been retained by the company since its inception. They can be used to fund business expansion and investment in new projects. Retained earnings can also be used to pay off debts, which will reduce the company's interest expenses.
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Michael (single) purchased his home on July 1, 2007. On July 1, 2015 he moved out of the home. He rented out the home until July 1, 2016 when he moved back into the home. On July 1, 2017 he sold the home and realized a $305,000 gain. What amount of the gain is Michael allowed to exclude from his 2017 gross income?
MULTIPLE CHOICE
$0
$225,000
$250,000
$305,000
Michael (single) purchased his home on July 1, 2007. On July 1, 2015 he moved out of the home. He rented out the home until July 1, 2016, when he moved back into the home.
On July 1, 2017, he sold the home and realized a $305,000 gain. What amount of the gain is Michael allowed to exclude from his 2017 gross income?The amount of the gain that Michael can exclude from his 2017 gross income is $250,000.Explanation:To determine how much of the gain Michael can exclude from his 2017 gross income, we need to use the rules for the sale of a personal residence.
The rules allow a taxpayer to exclude up to $250,000 ($500,000 for married couples filing jointly) of gain from the sale of a personal residence if the taxpayer meets the following criteria:1. The taxpayer owned the residence for at least two years during the five-year period ending on the date of the sale.2. The taxpayer used the residence as his or her principal residence for at least two years during the same five-year period.
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Which of the following factors would cause an unfavorable material usage variance? A. using poorly maintained machinery B. using higher quality materials C. using more highly skilled workers D. receiving discounts for purchasing larger than normal quantities
Using poorly maintained machinery would cause an unfavorable material usage variance. Option A is the correct answer.
A typical costing technique is linked to the fluctuation in material utilization or variable in material quantities. When the actual amount of materials used differs from the amount of materials which should have been utilized to produce the desired outcome, a variance develops. Option A is the correct answer.
In simple terms, the actual amount of materials needed to produce the high-quality result was different from the recommended amount of resources. When the actual amount of materials used was more than the expected amount of materials, the materials utilization variance was negative. When the actual amount of materials used was less than the specified amount, the materials utilization variance is favorable.
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Using the Metabolic Map as a resource, select the statement that best describes the purpose of the urea cycle in the cells of land mammals. O to convert highly toxic free ammonia into less toxic urea O to convert highly toxic urea into less toxic free ammonia O to produce NADPH for fatty acid synthesis O to produce fumarate for the citric acid cycle
The purpose of the urea cycle in the cells of land mammals is to convert highly toxic free ammonia into less toxic urea.
The urea cycle serves a crucial role in the metabolism of nitrogen-containing compounds in mammals. Ammonia is a byproduct of protein breakdown and other nitrogen metabolism processes. Ammonia is highly toxic to cells, especially in high concentrations. The urea cycle is responsible for converting this toxic ammonia into less toxic urea. Urea is a water-soluble compound that can be safely transported and excreted by the body through urine.
This conversion process occurs primarily in the liver and involves a series of enzymatic reactions that result in the synthesis of urea. By eliminating toxic ammonia through the production of urea, the urea cycle helps maintain the overall nitrogen balance in the body and prevents the harmful effects of ammonia accumulation.
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Problem I: I. The following are Social Accounts of the economy of Kenya for fiscal year 2000 in millions of dollars: Sales to the Rest of the World Gross Domestic Product Net National Product Purchases to the Rest of the World Rest of the world Estimate the following accounts: A. Depreciation B. Gross National Product C. Net Sales to the Rest of the World 46,428.8 61,701.8 36,954.7 60,536.5 20,283.24
A. Depreciation = Gross National Product - Net National Product = 61,701.8 - 36,954.7 = 24,747.1 million dollars
B. Gross National Product = Net National Product + Net Sales to the Rest of the World = 36,954.7 + 20,283.24 = 57,237.94 million dollars
C. Net Sales to the Rest of the World = Sales to the Rest of the World - Purchases to the Rest of the World = 46,428.8 - 60,536.5 = -14,107.7 million dollars
A. Depreciation: Depreciation can be calculated by subtracting Net National Product from Gross National Product.
Depreciation = Gross National Product - Net National Product
B. Gross National Product: Gross National Product can be calculated by adding Net National Product and Net Sales to the Rest of the World.
Gross National Product = Net National Product + Net Sales to the Rest of the World
C. Net Sales to the Rest of the World: Net Sales to the Rest of the World can be calculated by subtracting Purchases to the Rest of the World from Sales to the Rest of the World.
Net Sales to the Rest of the World = Sales to the Rest of the World - Purchases to the Rest of the World
Using the provided values:
A. Depreciation = 61,701.8 - 36,954.7 = 24,747.1 million dollars
B. Gross National Product = 36,954.7 + 20,283.24 = 57,237.94 million dollars
C. Net Sales to the Rest of the World = 46,428.8 - 60,536.5 = -14,107.7 million dollars (Note: Negative value indicates a deficit in sales to the rest of the world)
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Aggie Company purchased equipment on January 1, 2021. The following information is available concerning the purchase: Invoice price Installation costs $300 Shipping charges Trial run material $100 Pur
The invoice price for the equipment is $1,219 + $100 shipping charges, resulting in a total cost of $1,319. Depreciation expense for 2021 is understated, affecting assets and stockholders' equity. Forgetting to record depreciation results in assets being understated and stockholders' equity being understated as well.
The answer to the first question is C. $1,319. The cost of the equipment is the invoice price plus the shipping charges, which is $1,219 + $100 = $1,319.
The answer to the second question is A. Understated. Depreciation expense is calculated by taking the cost of the asset minus the salvage value and dividing it by the useful life.
In this case, the depreciation expense for 2021 would be ($1,319 - $1,000) / 10 = $31.90. If the company forgot to record depreciation expense, then assets and stockholders' equity would both be overstated by $31.90.
The answer to the third question is as follows:
Assets: Understated
Liabilities: No Effect
Stockholders' Equity: Understated
The reason for these effects is that depreciation expense is a non-cash expense. This means that it does not involve any actual cash outflow. Instead, it is an accounting entry that reduces the value of the asset over time.
When a company forgets to record depreciation expense, the asset is not reduced in value and therefore assets are overstated.
Additionally, since net income is equal to revenues minus expenses, forgetting to record depreciation expense will also result in an overstatement of net income.
This, in turn, will lead to an overstatement of stockholders' equity.
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The complete question is:
Aggie Company purchased equipment on January 1, 2021. The following information is available concerning the purchase: Invoice price Shipping charges Purchase terms Payment date A. $1,219 B. $1,259 C. $1,319 D. $1,124 E. $1,289 VRUDE The equipment is being depreciated using the straight-line method over a 10-year life with a salvage value of $1,000. Depreciation expense for 2021 would be what amount? A. Understated Understated C. Overstated D. Overstated No Effect B. E. $12,000 $950 3/10, net 30 January 8, 2021 At year-end a company forgot to record depreciation expense on its fixed assets. How does this error affect the financial statements? Assets Liabilities Installation costs Trial run material Trial run labor Insurance for first year No Effect Overstated Overstated No Effect No Effect $300 $100 $200 $400 Stockholders' Equity Understated Overstated No Effect Overstated No Effect
what is a cloud storage architecture that manages the data in an arrangement of fields according to characteristics of each data element?
The cloud storage architecture that manages the data in an arrangement of fields according to characteristics of each data element is called a NoSQL is a NoSQL databases are used to store and manage large and complex data sets. A NoSQL database is a database that doesn't use the traditional structured query language.
A NoSQL database stores and retrieves data in a non-tabular format that can include document, key-value, graph, and column-family pairings. NoSQL databases are ideal for storing and retrieving large quantities of unstructured data in a fast and efficient manner. NoSQL databases, unlike SQL databases, are capable of processing semi-structured data and different data are the benefits of using NoSQL are several advantages of using NoSQL databases.
NoSQL databases can handle a large amount of data and are easily scalable. As a result, it is possible to add or remove nodes to a cluster when there is a need for it.Performance: NoSQL databases have fast read and write operations. They are capable of handling large amounts of data with low latency.Flexibility: NoSQL databases are schema-free, which means that they can handle various data types and structures with ease. This is ideal for situations where the data is unstructured or semi-structured.Ease of use: NoSQL databases are easy to set up and configure. They don't require any special skills or training to get started.
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This is really for Economics but...
How are wages affected by the market?
Answer:
They could help give stock to the store/s that's using them. Or, they are the ones getting money for the produce or business, but it helps them get more and more resources for their store.
Explanation:
Answer:
Economists argued that wages are determined by demand and supply.They called it the theory of wage determination They said The price of labor is determined in the free market like every other price by intersection,Supply and demand.
Explanation: that took me a moment to think that out for it to be understandable so it doesn't disorient you
Please, examine the common pricing strategies of companies that
use game theory. Discuss the potential effects of pricing
strategies on demand and study the impact on profitability. Analyze
the implic
Companies that use game theory in pricing strategies often employ various tactics to gain a competitive edge and maximize profitability. Some common pricing strategies include price matching, price leadership, predatory pricing, and dynamic pricing. Let's examine these strategies and their potential effects on demand and profitability.
Price Matching: This strategy involves matching the prices of competitors. By setting prices equal to or slightly lower than competitors, companies aim to attract price-sensitive customers and maintain market share. The potential effect on demand is an increase as customers perceive value in getting the same product at a lower price. However, this strategy may reduce profitability if it leads to a price war or erodes profit margins.
Price Leadership: In price leadership, a dominant firm sets the price, and other firms follow suit. The leader's goal is to set prices at a level that maximizes its own profits while deterring entry or competition. This strategy can stabilize the market and lead to predictable demand. However, if the leader sets prices too high, it may encourage new entrants or prompt customers to seek alternative products.
Predatory Pricing: Predatory pricing involves setting prices below cost to drive competitors out of the market. Once competitors exit, the company raises prices to recoup losses and establish market dominance. This strategy can lead to increased demand in the short term due to lower prices, but it may harm overall profitability if the predatory pricing period is prolonged and competitors are unable to re-enter the market.
Dynamic Pricing: Dynamic pricing adjusts prices in real-time based on factors such as demand, supply, and market conditions. Companies use algorithms and data analysis to optimize prices for maximum profitability. Dynamic pricing can increase demand by offering personalized pricing to different customer segments, capturing additional value. However, it can also lead to consumer backlash if perceived as unfair or result in price discrimination.
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5. a. How will the CERB and the US stimulus package impact the
Multiplier effect in Canada and the US
b. What is the difference between Free trade and Protectionism
a. creates jobs and boosts the economy's growth, resulting in a larger multiplier effect. b.Free trade is an economic concept in which goods and services are exchanged across international borders with no restrictions imposed by governments.Protectionism's aim is to protect domestic industries,
a. How will the CERB and the US stimulus package impact the multiplier effect in Canada and the US?The Multiplier Effect refers to the rise in final income as a result of any new injection of spending.
The new spending becomes income for other people, who then also spend some of it, which in turn becomes income for others, and so on. The process continues until the entire increase in spending is used up.
The Canadian Emergency Response Benefit (CERB) and the US stimulus package would have a substantial impact on the multiplier effect in both countries.
The increase in government spending on programs such as these would increase people's disposable income, resulting in a rise in consumer spending. This spending, in turn, creates jobs and boosts the economy's growth, resulting in a larger multiplier effect.
When the economy is under performing, as it is now, the multiplier effect is particularly important because it can help to stimulate economic growth and alleviate the effects of a recession. However, the multiplier effect may be lower if the spending isn't focused on the areas of the economy that would have the most significant impact on growth. The effectiveness of the CERB and US stimulus package in boosting the economy will be determined by how it is implemented.
b. What is the difference between Free trade and Protectionism?
Free trade is an economic concept in which goods and services are exchanged across international borders with no restrictions imposed by governments. The goal of free trade is to promote economic growth and development, as well as to increase competition and lower prices for consumers.
Free trade does this by lowering the barriers to trade, such as tariffs and quotas, that governments impose to protect domestic industries from foreign competition.Protectionism, on the other hand, is an economic policy that seeks to protect domestic industries from foreign competition.
Tariffs, quotas, and other barriers to trade are imposed by governments to protect their own industries and products. Protectionism's aim is to protect domestic industries, safeguard jobs, and increase domestic output. Protectionist measures, however, typically result in higher prices for consumers, lower quality goods and services, and reduced economic growth overall.
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In what ways can nonconventional monetary policy affect the real interest rate for investments when the economy reaches the zero lower bound? How are credit spreads affected? (Select all that apply.)
A. By purchasing private assets, the central bank reduces financial frictions in specific asset classes and, therefore, the real interest rate for investments in those markets. Credit spreads are reduced directly as financial frictions are reduced.
B. By purchasing government securities, the central bank directly lowers the safe policy real interest rate at any given level of financial frictions. Credit spreads are not affected directly.
C. By providing forward guidance, the central banks acts to reduce financial frictions for any given current safe policy rate, thereby lowering the real interest rate for investments. Credit spreads are reduced directly as financial frictions are reduced.
D. By providing liquidity to key credit markets, the central bank can directly reduce financial frictions, which lowers the real interest rate for investments at any given safe policy interest rate. Credit spreads are reduced directly as financial frictions are reduced.
By purchasing private assets, providing forward guidance, and providing liquidity to key credit markets, the central bank can reduce financial frictions, lower the real interest rate for investments, and reduce credit spreads directly.
At the zero lower bound, nonconventional monetary policies can affect the real interest rate for investments in several ways. The credit spreads are also affected. The ways in which nonconventional monetary policy can affect the real interest rate for investments when the economy reaches the zero lower bound and how the credit spreads are affected are as follows:A.
By purchasing private assets, the central bank reduces financial frictions in specific asset classes and, therefore, the real interest rate for investments in those markets. Credit spreads are reduced directly as financial frictions are reduced. This statement is correct. By purchasing private assets, the central bank can reduce financial frictions, which lowers the real interest rate for investments in those markets. Credit spreads are reduced directly as financial frictions are reduced.B. By purchasing government securities, the central bank directly lowers the safe policy real interest rate at any given level of financial frictions. Credit spreads are not affected directly.
This statement is incorrect. By purchasing government securities, the central bank directly affects the safe policy real interest rate, but credit spreads are not affected directly.C. By providing forward guidance, the central banks acts to reduce financial frictions for any given current safe policy rate, thereby lowering the real interest rate for investments. Credit spreads are reduced directly as financial frictions are reduced. This statement is correct.
The central bank can provide forward guidance that reduces financial frictions for any given current safe policy rate, which lowers the real interest rate for investments. Credit spreads are reduced directly as financial frictions are reduced.D. By providing liquidity to key credit markets, the central bank can directly reduce financial frictions, which lowers the real interest rate for investments at any given safe policy interest rate.
Credit spreads are reduced directly as financial frictions are reduced. This statement is correct. The central bank can provide liquidity to key credit markets, which directly reduces financial frictions, lowers the real interest rate for investments at any given safe policy interest rate. Credit spreads are reduced directly as financial frictions are reduced. In conclusion, statements A, C, and D are correct.
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Consider the following Simple Linear Regression Model: Y = Bo + B₁X + u (a) Discuss what is meant by Heteroscedasticity. Why is it a problem for least squares regression? How can we address that problem? (b) What is the role of the stochastic error term u in regression analysis? What is the difference between the stochastic error term and the residual, e? (c) What is the difference between cross-sectional data, panel data and times series data? Use examples in support of your answer. (d) What are the classical linear regression model assumptions? Which of them are necessary to ensure the unbiasedness of the OLS estimator?
Heteroscedasticity is a condition where the variance of the errors of a regression model is not constant. It is a problem for least squares regression because OLS assumes that the variance of the errors is constant for all values of X, so if heteroscedasticity occurs, the residuals will be spread out.
Heteroscedasticity can be addressed by using a weighted least squares regression method that assigns lower weight to observations with higher variance and vice versa.(b) The stochastic error term u in regression analysis represents the part of the dependent variable Y that is not explained by the independent variable X. The residual, e, represents the difference between the observed value of Y and the predicted value of Y.
The main difference between them is that the residual is calculated after the model has been estimated, while the stochastic error term is an inherent part of the model.(c) Cross-sectional data refers to data collected at a single point in time, such as a survey of individuals in a given year. Panel data refers to data collected over time for a group of individuals or entities, such as a survey of individuals over a period of five years. Time series data refers to data collected over time for a single entity, such as a company's monthly sales over a period of five years.(d) The classical linear regression model assumptions are:
1. Linearity of the relationship between the dependent variable and the independent variables.
2. Independence of the errors (stochastic error term) from each other.
3. Homoscedasticity (equal variance of the errors) of the errors.
4. Normality of the distribution of the errors.
The independence of the errors, homoscedasticity, and normality of the distribution of errors are necessary to ensure the unbiasedness of the OLS estimator.
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In measuring income inequality, the higher the value of gini coefficient, the:_____________
income distribution indicates and improvement
the more unequal distribution of income it indicates
more equal distribution if income it indicates
none of these statements are correct
The higher the value of the Gini coefficient, the more unequal the distribution of income it indicates. This means that a higher value of the Gini coefficient indicates greater income inequality in a society. So, option (B) is the correct answer.Explanation.
In measuring income inequality, the higher the value of the Gini coefficient, the more unequal the distribution of income it indicates. The Gini coefficient is a measure of income inequality that ranges from 0 to 1. A Gini coefficient of 0 indicates perfect equality where everyone earns the same amount of money.
A Gini coefficient of 1 indicates complete inequality, where one person has all the wealth and everyone else has nothing. Hence, the higher the value of the Gini coefficient, the more unequal the distribution of income it indicates.
The Gini coefficient is a measure of income inequality that compares the cumulative share of income earned by a certain percentage of the population to the percentage of the total population represented by that same percentage of people. The Gini coefficient ranges from 0, indicating perfect equality (where everyone earns the same amount of money), to 1, indicating complete inequality (where one person has all the wealth and everyone else has nothing).The Gini coefficient is widely used in economics to measure income inequality within a society.
The higher the Gini coefficient, the more unequal the distribution of income. If a society has a high Gini coefficient, it means that a small group of people controls a large portion of the wealth, while the rest of the population earns very little. On the other hand, if a society has a low Gini coefficient, it means that the distribution of income is relatively equal among all members of society.
Therefore, the higher the value of the Gini coefficient, the more unequal the distribution of income it indicates. The Gini coefficient is a simple and powerful tool for measuring income inequality, and it can help policymakers make informed decisions about how to reduce poverty and promote economic growth in their countries.
In conclusion, the higher the value of the Gini coefficient, the more unequal the distribution of income it indicates.
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The Council of Writing Program Administrators (2013) defines plagiarism as: In instructional settings, plagiarism occurs when a writer deliberately uses someone else’s language, idea, or other original (not common-knowledge) material without acknowledging its source.
1. Why is it important to acknowledge someone else’s work in your own work?
2. What are some reasons students may plagiarize?
3. What are some ways to avoid plagiarism in your own work?
1. Importance of acknowledging someone else's work in your own workIt is important to acknowledge someone else's work in your own work for several reasons, including:Giving credit to the person who originally wrote the idea or created the material that you are referencing.
2. Reasons why students may plagiarize some reasons why students may plagiarize are lack of knowledge regarding how to properly cite sources in their work.
3. Ways to avoid plagiarism in your own work make use of citation styles such as MLA, APA, or Chicago, among others, when referencing sources. Paraphrase or summarize content rather than copying and pasting verbatim from other sources.
Plagiarism is unethical because it involves taking credit for someone else's work, which is a form of intellectual theft. Citing sources also enhances the credibility of your own writing, as it demonstrates that you have done your research and are knowledgeable about the subject. It can also lead to academic dishonesty charges and may cause you to fail your assignment or even your course.
2. Reasons why students may plagiarize Some reasons why students may plagiarize are Lack of knowledge regarding how to properly cite sources in their work. Fear of failure, which may drive them to take shortcuts such as copying and pasting from other sources. Heavy workload that leaves them with insufficient time to complete assignments. Low motivation to do the work due to a lack of interest in the subject.
3. Ways to avoid plagiarism in your own workThere are several ways to avoid plagiarism in your own work, including:Make use of citation styles such as MLA, APA, or Chicago, among others, when referencing sources. Paraphrase or summarize content rather than copying and pasting verbatim from other sources.
Create an outline for your work to help organize your thoughts and ensure that you are not relying too heavily on one source. Double-check all of your sources to ensure that you have not missed anything. Use plagiarism checker tools to help you identify instances where you have inadvertently used someone else's work.
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1. Kylie buys an article for $ 10000 and pays 7% tax. He sells the same article for $ 13000 and charges 9% tax. Find the VAT paid by Kylie.
2. A shopkeeper sells an article at its marked price $ 7500 and charges sales-tax at the rate of 12% from the customer. If the shopkeeper pays a VAT of $ 180, calculate the price inclusive of tax paid by the shopkeeper.
1. The VAT paid by Kylie is $9385.96
2. The price inclusive of tax paid by the shopkeeper is $8400.
1. Cost price of the article = $10000
Tax rate while purchasing = 7%
Selling price of the article = $13000
Tax rate while selling = 9%
To find: VAT paid by Kylie:
Cost price + VAT = (100 + Tax rate)*Selling price/ (100 + Tax rate + Tax rate)
VAT paid by Kylie = Selling price - (Cost price + VAT)
Using the above formula we can find the VAT paid by Kylie as follows:
Cost price + VAT = (100 + Tax rate)*Selling price/ (100 + Tax rate + Tax rate)
(100 + 7) * 10000 / (100 + 7 + 7)
= 1070000 / 114
= $9385.96
Selling price - (Cost price + VAT) = 13000 - (10000 + 9385.96)
= $1614.04
Thus, the VAT paid by Kylie is $9385.96.
2. Given:
Marked price of the article = $7500
Rate of sales tax = 12%
VAT paid by the shopkeeper = $180
To find: Price inclusive of tax paid by the shopkeeper
We know that, Selling price inclusive of sales tax = Marked price * (100 + rate of sales tax) / 100Selling price inclusive of sales tax
= $7500 * (100 + 12) / 100
= $8400
VAT = Selling price inclusive of sales tax - Marked price - VAT paid by the shopkeeper
180 = 8400 - 7500 - VAT paid by the shopkeeper
VAT paid by the shopkeeper = 8400 - 7500 - 180
VAT paid by the shopkeeper = $720
Therefore, the price inclusive of tax paid by the shopkeeper is $8400.
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adidas's decision to move the labor-intensive parts of shoe and clothing manufacturing to independent suppliers in locations with low labor costs is described by which value chain concept? a. captive sourcing b. benchmarking c. make-or-buy decision d. commoditization
The value chain concept that describes adidas's decision to move the labor-intensive parts of shoe and clothing manufacturing to independent suppliers in locations with low labor costs is the (c) "make-or-buy decision."
The make-or-buy decision refers to the choice a company makes between producing a particular product or service in-house (making) or outsourcing it from external suppliers (buying). In this case, adidas decided to outsource the labor-intensive parts of manufacturing to independent suppliers. By doing so, they leverage the expertise and cost advantages of these suppliers in locations with low labor costs.
This decision allows adidas to focus on its core competencies while reducing costs and improving efficiency. It enables the company to allocate resources effectively by transferring the production responsibility to external suppliers who specialize in labor-intensive manufacturing. By leveraging the expertise of these suppliers, adidas can maintain competitive prices while meeting market demands.
Therefore, the decision to move labor-intensive parts of manufacturing to independent suppliers in locations with low labor costs aligns with the make-or-buy decision, which is a key concept in the value chain strategy of companies seeking to optimize their operations and cost structure.
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How does the FED Operate in printing money?
when the fed prints money and gives the money to bank. Do the banks owe a balance to the FED?
I'm studying economics and would like the full background or picture of how printing money ->Fiscal policy works in stimulating the economy
The Federal Reserve or the FED is responsible for printing money and managing the monetary policy of the United States.
It can influence the country's economy in several ways, such as controlling inflation, regulating the money supply, stabilizing prices, and promoting full employment. Let's discuss how the FED operates in printing money and how it works in stimulating the economy.
The Federal Reserve is authorized to create money, and the majority of the money in circulation in the United States is created by the FED. It is responsible for printing new money, and the banks do not owe any balance to the FED in exchange for it. Instead, the FED issues the money and lends it to the banks, charging an interest rate to borrow the funds. In return, the banks hold reserves with the FED, which is a portion of their deposits that they are required to keep with the FED. The FED can use these reserves to influence the amount of money in circulation by increasing or decreasing the interest rate charged on the reserves.
Fiscal policy is a government's plan to regulate its spending and taxation to influence the economy. The goal of fiscal policy is to promote economic growth and stability by increasing or decreasing government spending and taxation. When the economy is weak, the government can use fiscal policy to stimulate economic growth by increasing its spending, such as building infrastructure and creating jobs.
It can also reduce taxes, which provides more money for people to spend and invest, increasing demand for goods and services. The increased demand creates jobs, and businesses invest more, creating a cycle of economic growth. On the other hand, if the economy is overheating and inflation is a concern, the government can decrease spending and raise taxes to slow down economic growth. This helps to keep inflation in check and prevent the economy from overheating.
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Boogie Man: The Lee Atwater Story
1. Who is referred to as the protege of Lee Atwater? (He's also referred to as a shining example of what College Republicans can do.)
2. Why did Atwater opt for the Republican party over the Democratic party?
3. What kind of backlash is Atwater good at exploiting?
4. What accusation did Atwater make of Tom Turnipseed?
5. What phrase was used to describe the general way Atwater operated when it came to winning votes on moral and religious issues?
6. What was Lee Atwater's first official title in the White House?
7. What condiment did Atwater like adding to almost all of his food?
8. Whom did Atwater betray in 1984 by leaking information to the press?
9. What happened to Lee Atwater's younger brother Joe?
10. Who was so offended by Atwater's vulgarity that it almost lost him a role in George H. W. Bush's Campaign?
11. What scandal damaged the reputation of George H. W. Bush going into the 1988 presidential campaign?
12. What was the only sport that Atwater liked? Why?
13. Who made the pledge, "Read my lips: No new taxes!"?
14. What image of the South and Republicans did Atwater enjoy exaggerating for the sake of the slow-play?
1. The protege of Lee Atwater who is also referred to as a shining example of what College Republicans can do is Karl Rove.2. Lee Atwater opted for the Republican party over the Democratic party because he saw that the Republican Party was a more open party, where a person with a message and a purpose can change the party.
3. Atwater is good at exploiting the backlash from black communities.4. Atwater accused Tom Turnipseed of being a "crazy liberal" in the campaign.5. The phrase used to describe the general way Atwater operated when it came to winning votes on moral and religious issues was the "Southern Strategy."6. Lee Atwater's first official title in the White House was as a counselor to the President.7.
Atwater liked adding mayonnaise to almost all of his food.8. Lee Atwater betrayed John McCain in 1984 by leaking information to the press.9. Lee Atwater's younger brother Joe died of leukemia.10. Lee Atwater's vulgarity almost lost him a role in George H. W. Bush's campaign, and James Baker III was offended.11. The Iran-Contra scandal damaged the reputation of George H. W. Bush going into the 1988 presidential campaign.12. The only sport that Atwater liked was football. He loved football because it had everything in it that he loved.13. George H. W. Bush made the pledge, "Read my lips: No new taxes!"14. The image of the South and Republicans that Atwater enjoyed exaggerating for the sake of the slow-play was that they were all racists and bigots who wanted to drag the country back to the days of the Confederacy.
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Many scholars believe that TQM implementation is no longer needed as six sigma can be implemented to achieve business excellence.,,,,, discuss, around 1000 word
Total Quality Management (TQM) is a structured approach for improving organizational efficiency and effectiveness in delivering quality goods and services that satisfy customer needs and expectations.
It is a management philosophy that involves all members of the organization in meeting or exceeding customer needs and expectations. On the other hand, Six Sigma is a business strategy that seeks to identify and eliminate defects in business processes by using statistical methods. This paper will discuss the concept of TQM and Six Sigma and whether TQM implementation is still needed.
Many scholars believe that TQM implementation is no longer needed as Six Sigma can be implemented to achieve business excellence. Six Sigma is a process improvement methodology that seeks to identify and eliminate defects in business processes. It is a systematic approach that uses statistical methods to measure process performance and identify opportunities for improvement. Six Sigma is a more focused approach to quality improvement than TQM.
However, Six Sigma is not a replacement for TQM. TQM is a broader concept that encompasses more than just process improvement. It is a comprehensive management philosophy that involves all members of the organization in improving quality. TQM focuses on continuous improvement, customer satisfaction, and employee involvement. It includes the use of statistical methods to improve processes, but it also involves other tools such as teamwork, communication, and leadership.
TQM implementation is still needed because it provides a framework for achieving business excellence. TQM emphasizes the importance of customer satisfaction, which is the ultimate goal of any business. TQM also emphasizes the importance of employee involvement, which is essential for achieving sustainable improvements. TQM provides a roadmap for organizations to follow to achieve their goals.
Six Sigma can be used to complement TQM by providing a more focused approach to quality improvement. Six Sigma can be used to identify and eliminate defects in business processes, which can lead to significant improvements in quality and productivity. However, Six Sigma should not be used as a replacement for TQM.
In conclusion, TQM implementation is still needed as it provides a comprehensive framework for achieving business excellence. Six Sigma can be used to complement TQM by providing a more focused approach to quality improvement. Organizations should use both TQM and Six Sigma to achieve their quality goals.
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