The earnings per share EPS would be equal to $1,000 / 100 = $10 per share.
To calculate the earnings per share (EPS) for a company, you would first need to determine the net income available to shareholders. This is the company's profit minus any dividends paid to preferred shareholders. If the company has no preferred shareholders and has issued 100 shares, the net income available to shareholders would be equal to the company's profit of $1,000.
To calculate the EPS, you would then divide the net income available to shareholders by the number of shares outstanding. This means that each share of the company's stock would earn $10 of net income. The EPS is an important metric for investors, as it provides a measure of how much profit a company is generating for each share of stock. It is often used to compare the profitability of different companies or to assess the potential return on an investment in a company's stock.
Learn more about earnings per share (EPS) here:
https://brainly.com/question/19578852
#SPJ4
describe each type of organizational change enabled by information technology. give an example of each type of change, as it might be illustrated through the operations of a hotel.
Information technology enables four different types of organizational change: automation, rationalisation, business process reform, and paradigm shifts.
The most frequent organizational change is automation. It entails the initial applications that help workers execute more successfully and efficiently. Rationalization includes simplifying operational standards. Processes would be quicker since fewer manual stages would be needed. Business process redesign entails the analysis, simplification, and redesign of business processes.
To get rid of tedious activities, this modifies and combines previous procedures. Redesigning a firm is analogous to a paradigm shift. It provides a platform for reconsidering the nature of the company and organisation. These two are more challenging to accomplish since this kind of change requires careful planning. One example of automation at a hotel is providing front desk personnel with immediate access.
To know more about Organizational change visit:
https://brainly.com/question/29570650
#SPJ4
a sudden storm threatens the property of marina bay llc. ngoc, marina bay’s sales agent, is on site but lacks the express or implied authority to bind the firm to the cost of appropriate protective measures. unable to communicate with marina bay, ngoca. has emergency powers to deal with the situationb. must await the principal’s express ratification to actc. an imply a power of attorney to assume the needed authority
The sales agent has emergency powers to deal with the situation.
The person in charge of settling disputes between a business and potential consumers is the sales agent. This is essential for promoting the brand's products through persuasion, negotiation, and communication strategies. An agent may be held liable for contract violations if they don't carry out their duties. Because there is no contract, a gratuitous agent can only be held liable for torts because there is no contract for them to be held accountable for.
In the given case, if a sudden storm threatens the company's property and the sales agent is the only professional there, he can act quickly to set up security measures to stop further damage to the site in circumstances similar to the one that occurred. He then has all the emergency powers to deal with the situation.
Read more about sales agents on:
https://brainly.com/question/29634695
#SPJ4
if marketable securities increase, then cash should usually decrease by a similar amount, since cash was probably used to purchase the securities. an exception to this occurs when:
If marketable securities increase, then cash should usually decrease by a similar amount, since cash was probably used to purchase the securities. An exception to this occurs when the company incurred debt or traded an asset for the securities.
Marketable securities are easily and affordably convertible into cash. They are highly liquid financial products. Marketable securities are liquid since they typically have maturities of less than one year and little impact on prices from the rates at at which they can be bought or sold.
These publicly traded stock exchanges and public bond exchanges are where these short-term liquid securities can be purchased or sold. These instruments, which can be either debt or equity, often mature in a year or less. Common stock, Treasury notes, and money market instruments are only a few examples of marketable securities.
Know more about marketable securities here
https://brainly.com/question/15521056
#SPJ4
true or false: an individual 401(k) is a popular retirement plan for sole proprietorships with several employees. true false question. true
The statement given is true. An individual 401(k) is a popular retirement plan for sole proprietorships with several employees.
What is the 401(k)?A 401(k) is a defined contribution plan where an employee can make contributions from his or her paycheck either before or after tax, depending on the options offered in the plan. The contributions go into a 401(k) account, with the employee often choosing the investments based on options provided under the plan.
With a 401(k), an employee sets a percentage of their income to be automatically taken out of each paycheck and invested in their account. For example, a 401(k) plan might provide that the employer will contribute 50 cents for each dollar which participating employees choose to defer under the plan.
Learn more about 401(k) at: https://brainly.com/question/3671553
#SPJ4
what is a definition of barter syndication? it involves first-run programs offered free or for a reduced rate, but with some of the ad space presold to national advertisers. it involves former popular network programs sold to individual stations for rebroadcast. it functions through a system in which episodes of a television series are run many times a day. it involves original shows which are produced specifically for the syndication market. it involves the process of showing different television series at the same time daily so that it appears as a strip across an entire week.
The time period barter syndication refers to a kind of contract between broadcasters (television networks, community affiliates, impartial stations, and cable stations) and tv syndicators (the owners of the syndication rights to tv programs).
What takes place in barter syndication ?Barter syndication- Refers to the practice of promoting shows to stations in return for a component of the industrial time in the show as a substitute than cash.
In a Barter system, only items and services are exchanged barring any involvement of money. Hence changing a cup of oil for a cup of pulses is an instance of barter system where goods are exchanged . This is an instance of Bartering.
Learn more about barter syndication here:
https://brainly.com/question/15708326#SPJ4monthly delivery rate for a part supplied to an automotive assembly plant is 15,000 pc. there are 20 working days in february and 22 working days in march. the effective operating time of the plant is 880 min per day (two shifts). the fraction defect rate for the component is 0.020, and the automated machine that produces the part has an availability of 95%. determine the takt time for this part during (a) february and (b) march.
The takt time for this part after being calculated is 1.125 minutes.
Takt time is the rate at which a product must be completed in order to meet customer demand. It is derived from the German word "Takt," which means "beat" or "pulse" in music. Takt is an important measure of output against demand in manufacturing.
Takt Time is calculated by dividing Available Production Time by Customer Demand. Takt time is the amount of production time available to you to make each part in order to meet customer demand. To meet demand, for example, if you receive a new product order every 4 hours, your team must complete a product in 4 hours or less. Takt time is your sell rate and can be thought of as the heartbeat of your business.
To learn more about takt time, here
https://brainly.com/question/28903042
#SPJ4
in the long run, what is the effect of an increase in the money supply? group of answer choices inflation crowding out of private investment an increase in aggregate demand stagflation
Real Gross Domestic Product (GDP) is the only outcome of an increase in the money supply over the long term. Price increases will lead to a decline in real Gross Domestic Product (GDP).
In other words, we assert that a rise in the money supply will eventually result in an increase in the level of prices. When there are too many people seeking too few products, inflation results. Given that output is unaffected by changes in the money supply in this example, it is simple to identify this effect. At the point where AD1 and the long-run aggregate supply curve connect, the economy depicted here is in long-run equilibrium. In the short run, real GDP and the price level both increase if aggregate demand rises to AD2. In the short run, real GDP and the price level both fall if aggregate demand falls to AD3.
To learn more about money supply please click on below link
https://brainly.com/question/15078620
#SPJ4
a corporation has hired george to speak on its behalf about the h-1b visas and influence legislation in its favor. george is a(n) .
A corporation has hired george to speak on its behalf about the h-1b visas and influence legislation in its favor. george is an example of a lobbyist.
A lobbyist is a person who works for a company or independently, and whose job it is to persuade lawmakers to pass legislation that will benefit them or the company they represent.
Because they represent a wide range of interests and not everyone supports them, lobbyists are contentious. For instance, it goes without saying that many environmentalists find it contentious when lobbyists for forestry firms are involved. However, as long as a lobbyist does not engage in acts of corruption, lobbying is not against the law (for example, offering money to a member of congress in exchange for favorable legislation).
George, in this instance, works as a lobbyist. He has been hired by a company to testify in favor of H1-B visas and influence legislation in its favor, most likely because the company benefits from them somehow, most likely through cheaper labor costs or access to highly skilled workers.
Learn more about Lobbyist at https://brainly.com/question/509906
#SPJ4
FILL IN THE BLANK. when a nation imports a good, its ________ surplus increases and its ________ surplus increases.
When imports are made by a nation, it results in an increase in the total surplus and the consumer surplus increases.
Imports refer to purchase of goods from foreign producers operating in foreign countries. Imports result in an increase in the consumer surplus because consumers are able to get better quality products at lower prices. They do not have to purchase high priced low quality products from the domestic market. This causes an increase in the total market surplus as well. Hence, imports result in an increase in both total surplus as well as the consumer surplus.
To know more about consumer surplus, refer to:
https://brainly.com/question/13136036
#SPJ4
what two factors can affect a company's hrm policies when doing business in another country? multiple select question. preference for personal selling labor laws availability of mass media cultural practices
The two factors that can affect the HRM policies of a company when doing business in another country are:
B. labor lawsD. cultural practicesHow can being in another country affect HRM policies ?Other countries have rules and laws that might be different from the laws in a company's home nation, which means that the company will have to act differently in that country.
One way that the company will have to act differently is in the area of HRM policies. Labor laws might be different which would mean that HRM policies need to change. Cultural practices will also need to be taken into account.
Find out more on HRM policies at https://brainly.com/question/14419086
#SPJ1
Answer: labor laws and cultural practices
Explanation:
in the open-economy macroeconomic model, the key determinant of net capital outflow is the:_______
The real interest rate is a crucial factor in determining net capital outflow in the open-economy macroeconomic model.
Define real interest rate.Real interest rates are interest rates that have been adjusted to reflect inflation. Once updated, it now accurately depicts the borrower's true borrowing costs as well as the lender's or investment's actual yield. Real interest rates depict the rate at which current items are gradually preferred over future ones.
A country's net capital outflow, which occurs over a certain time period, is the total amount of money it invests abroad. A high NCO means that the country invests more outside than domestically.
To know more about real interest rate, visit:
https://brainly.com/question/13324776
#SPJ1
a portfolio consists of $16,200 in stock m and $25,900 invested in stock n. the expected return on these stocks is 9.40 percent and 13.10 percent, respectively. what is the expected return on the portfolio?
The portfolio consists of $16,200 invested in Stock M and $25,900 invested in Stock N. The expected returns in these stocks are 9.40 percent and 13.10 percent respectively. The expected return on the portfolio is 11.68%.
Value of Stock M = $16200
Value of stock N = $25200.
Return on stock M = 9.40%. of the value of stock
Return on Stock N = 13.10% of the value of stock
Return on portfolio
= (Return on Stock M + Return on Stock N/Value of stock M + Value of stock N) x 100
= ($16200 x 9.40% + $25200 x13. 10/$16200 + $25900) x 100
= 11.68%
So portfolio return is 11.68%.
To learn more about expected returns
https://brainly.com/question/17152687
#SPJ4
a marketer's product, service, or brand points of contact with a consumer from start-to-finish in the purchase decision process are referred to as
Consumer touchpoints are the points when a marketer interacts with a customer while they are making a purchasing decision.
What makes something a consumer?Consumers are those who buy goods or services for their own consumption rather than for manufacturing or resale. A consumers is someone who decides whether or not they will purchase an item from a retailer or who is affected by marketing and advertising.
Why is the consumer so crucial?The primary source of want for all things is from consumers. Producers of food goods or manufacturers of industrial goods both generate a variety of goods in response to consumer demand. As according Marshall, the market's demand regulates supply.
To know more about consumer visit:
https://brainly.com/question/17256785
#SPJ4
if there is not an agreed-on-decision-making method, a person is dealing with ________.
If there is not an agreed-on-decision-making method, a person is dealing with unstructured decision process .
What is unstructured decision process ?Unstructured decision-making is a dynamic process where a person must come up with a solution on their own when none is offered or available. An individual may not have preferences or be aware of the best course of action when faced with this kind of dilemma. Little research has been done to analyze whether decision makers construct an alternative as opposed to choosing from ones that already exist.
Dealing with a labor issue or establishing guidelines for the adoption of new technology are two examples of unstructured decisions.
To learn more about unstructured decision process refer here:
https://brainly.com/question/17245237#
#SPJ4
when sold a property that had been on the market for a considerable length of time, gave her a commission bonus. what type of power was using?
When sold a property that had been on the market for a considerable length of time, gave her a commission bonus, the type of power used here is reward.
What would you say is a market?A market is defined as the total number of purchasers and sellers in the region or area under examination. The region can represent the entire planet, as well as certain states, provinces, or cities. Items traded are valued, costed, and priced in accordance with market forces of supply and demand.
What dominates the market?When a firm or investor outperforms the industry average, they are said to be "beating the market." A market participant who manages an investment portfolio may have managed a return over a set time period, such as a year, that is higher than the returns of a market benchmark like the S&P 500.
To know more about Market visit:
https://brainly.com/question/13414268
#SPJ4
lastly, what would happen to consumption, investment, saving, output, and interest rates according to the ricardian equivalence?
Reducing a government's deficit is referred to as a fiscal contraction. When a government spends more than it receives in tax revenue, a deficit results the ricardian equivalence.
free cash flow; real interest rate
C= Cot C(Yd) is the consumption function, and Co stands for autonomous consumption.
C stands for nonautonomous consumption.
Yd = available funds
Consumption is a positive function of disposable income, according to the equation above.
|=lo - is the investment function (r)
where lo = self-directed investing
I, for involuntary investment
Interest rate = r
It is clear from the aforementioned equation that investment and interest rates have a negative relationship. Therefore, the government will either cut public spending or raise taxes if it wants to lower its deficit. Any of such acts will also result in a decline in overall economic output and public consumption.
To know more about Ricardian equivalence visit:
https://brainly.com/question/14918944
#SPJ4
suzanne brett wants to borrow $55,000 from the bank. the interest rate is 6.5% and the term is for 5 years. what is the total amount of interest paid at the end of the term? responses
With an annual simple interest rate of 6.5% for 5 years, the total interest that Suzanne Brett has to pay at the end of the term is $17,875
A simple interest rate is a payment of interest calculated based on the initial principal or capital borrowed multiplied by the interest rate in decimal and the time (in years). In order to find the total interest amount for 5 years from the initial principal borrowed of $55,000 with a 6.5% annual interest, we will calculate it using the following formula:
Given that
I = total interest amount
P = Principal borrowed
r = rate in decimal (6.5% in decimal is 0.065)
t = time in years
I = (P)(r)(t)
I = (55,000)(0.065)(5)
I = 17,875
Therefore the total interest that Suzanne Brett has to pay for a 5 year loan is $17,875
To learn more about simple interest visit: https://brainly.com/question/23558260
#SPJ4
assume candace were to say that when managing there is a single best way to deal with all dogs, customers, and employees for this type of business. if she were to say this then which school of thought would she be best representing? universal approach human relations movement hawthorne effect scientific method
Option A is correct, Candace would best represent a universal approach when she says that when managing there is a single best way to deal with all dogs, customers, and employees for this type of business.
This strategy makes the assumption that every organization needs the same logical management process. Regardless of the organization's goal, the core management process does not change. The management process can be broken down into a number of distinct functions and associated ideas. The act of managing is ongoing.
Although not totally rational, management is largely a reasonable process. Because it outlines what managers should accomplish, the functional approach is helpful. Setting goals, creating plans, managing people (employees), coordinating and regulating activities, attaining them, and assessing performance in relation to organizational goals are all necessary for every collective endeavor.
To learn more about management, click on:
https://brainly.com/question/16289727
#SPJ4
you have $3000 per month to cover your expenses. you estimate your monthly costs to be rent of $1200, car expenses of $700, utilities of $200, insurance of $300, food of $400, student loans of $800, and going out with friends of $200. what is the end result?
The person has a budget deficit of $800, meaning that the expenditure is more than the income.
Budget: $3000
Expenses:
Rent of $1200, car expenses of $700, utilities of $200, insurance of $300, food of $400, student loans of $800, and going out with friends of $200.
A deficit is the difference between what is required and what is expected, particularly the difference between total revenue and total expenditure.
Now,
Budget deficit = Budget - Expenses
Budget deficit = $3000 - $1200 - $700 - $200 - $300 - $400 - $800 - $200
Budget deficit = -$800
Hence, the budget deficit is of $800
To know more about budget deficit, refer to:
https://brainly.com/question/26010226
#SPJ4
titus used to work for an it company in baltimore, but lost his job when his company decided to use workers in new delhi instead. this is an example of:
This is an example of outsourcing which Titan decided to use.
What is outsourcing?A contract for outsourcing is when a business hires a different business to manage a planned or current operation that would otherwise be handled internally. On occasion, it involves the movement of resources and personnel from one business to another. The concept, which according to The Economist has "made its influence felt since the Second World War," typically comprises contracting out a business process, operational, and/or non-core functions, like manufacturing, facilities management, contact centers, and call center help. Even though it only occasionally occurs, outsourcing is another term for the practice of handing over control of public services to private firms (privatization). Along with local and foreign contracting, nearshoring and offshoring are sometimes employed in the context of outsourcing.
To learn more about outsourcing, visit:
https://brainly.com/question/28915776
#SPJ4
acquisitions of competitors can be an effective way to gain economies of scale that can lead to lower costs and, subsequently, lower prices. true or false?
Acquisitions of competitors can be a successful strategy for achieving economies of scale, which can result in lower expenses and, ultimately, cheaper pricing. This statement is true.
What exactly is competitor acquisition? Acquisition of a Third Party or a portion of its operations by a Third Party (whether through a merger, stock purchase, or asset purchase) that is already running one or more competing programmes involving one or more candidate targets is referred to as a competing acquisition.An acquisition procedure that is intended to facilitate an unbiased and thorough review of offerors' bids and ultimately result in the selection of the proposal offering the best value to the contracting agency is known as a competitive acquisition.Is acquisition a competitive advantage?Greater financial sturdiness results from mergers and acquisitions for both parties engaged in the deal. Increased economic clout can result in more market share, increased customer sway and diminished competition danger.
Acquisitions of competitors can be a successful strategy for achieving economies of scale, which can result in lower expenses and, ultimately, cheaper pricing. This statement is true.
To know more about Acquisitions of competitors, visit:
https://brainly.com/question/14607179
#SPJ1
Lying about stock values to get consumers to invest is known as ____ fraud.
A. insurance
B. securities
C. health care
D. mail
Answer:
B. securities fraud. Securities fraud involves making false or misleading statements about a company's financial condition or prospects in order to induce people to invest in the company's securities. This can include lying about the value of a company's stock or other securities in order to convince people to buy them.
Explanation:
suppose you are short 50 contracts on a 2-year 50-delta call option on tsla and long 25 contracts on tsla stock. how much will your option position increase in value if tsla stock price goes up by $1 (use negative number if value decreases).
If you are short 50 contracts on a 2-year 50-delta call option on TSLA and long 25 contracts on TSLA stock, the overall effect on your position will depend on the current stock price and the terms of the options.
The delta call option of a stock is a measure of how much the option's price is expected to change in response to a change in the price of the underlying asset. A call option with a delta of 50 will typically increase in value by approximately half as much as the underlying stock when the stock price goes up by $1. Therefore, if the stock price goes up by $1, your option position will increase in value by approximately 50 * $1 / 2 = $25.
However, this is just a rough estimate and the actual impact on your position may be different depending on the current stock price and other factors. To get a more accurate calculation, you would need to take into account the current stock price, the strike price of the options, the time remaining until expiration, the implied volatility of the options, and any other relevant factors.
Learn more about Delta call at:
brainly.com/question/29801433
#SPJ4
question content area top part 1 the personal distribution of income in the united states shows that question content area bottom part 1 a. the poorest 20 percent of individuals receive approximately 20 percent of total income. b. the richest 20 percent of individuals receive approximately 50 percent of total income. c. income is equally distributed. d. the richest 20 percent of individuals receive approximately 25 percent of total income. e. the poorest 60 percent of individuals receive approximately 50 percent of total income.
Option A is correct answer. The poorest 20 percentage of folks acquire about 20 percentage of total income.
“Personal distribution (or: the 'size distribution of income') relates to man or woman men and women and their incomes. The way in which that earnings was once received frequently stays in the background. What matters is how lots any one earns, no longer so an awful lot whether that profits consists of wage, interest, profit, pension or whatever.
How do you calculate private distribution of income?One common way of measuring earnings inequality is to rank all households with the aid of income, from lowest to highest, and then to divide all households into 5 businesses with equal numbers of people, recognised as quintiles. This calculation permits for measuring the distribution of income amongst the 5 corporations compared to the total.
When people say things such as “the prosperous get richer, and the poor get poorer,” they are referring to distribution of income.
Learn more about personal distribution of income here:
https://brainly.com/question/8325317#SPJ4the price at which an option may be exercised is called the question content area bottom part 1 a. fixed price b. strike price
The price at which an option may be exercised is called the question content area bottom part the correct option is fixed price.
The starting price is the price at which an asset trades when the market position opens, which is normally at the start of the day. This price is not fixed, thus it might change on different days. The spot price and market price, respectively, are the prices that are currently ruling the market.
This is the current market price at which the asset may be sold or purchased. The price at which an investor can take action and submit a claim at any time when their position in the market enables them to profit is known as the exercise price. This is the price of the underlying contract.
complete question:
the price at which an option may be exercised is called the question content area bottom part 1
a. fixed price
b. strike price
c. exercise price.
d. opening price
To know more about fixed price visit:
https://brainly.com/question/12908382
#SPJ4
your organization plans to migrate its on-premises virtual machines (vms) to azure. you need to generate a cost estimate to give to the corporate procurement department. where should you go to generate the cost estimate?
To generate a cost estimate for migrating on-premises virtual machines (VMs) to Azure, you can use the Azure Pricing Calculator.
What is meant by the Azure Pricing Calculator?The Azure Pricing Calculator is a tool provided by Microsoft that allows you to estimate the cost of using Azure services. It allows you to select the specific Azure services you plan to use, input your desired configuration and usage details, and see an estimated cost for your workload.
The Azure Pricing Calculator will provide you with an estimated cost for your workload, which you can use to provide a cost estimate to the corporate procurement department. It's important to note that the actual cost may vary based on your actual usage and any changes to Azure pricing or service offerings.
To know more about cost estimate, visit:
brainly.com/question/28097340
#SPJ4
which one of the following categories of securities had the highest average annual return for the period 1926–2019?a. U.S. Treasury bills
b. Large-company stocks
c. Small-company stocks
d. Long-term corporate bonds
e. Long-term government bonds
The option that had the highest average annual return for the period 1926–2019 is Small-company stocks. Thus, option C is correct.
What are Small-company stocks?Small-cap stocks are shares of firms having market capitalization of $300 million to $2 billion. Small-cap firms have the potential for rapid development, making them tempting investments, even if their stocks may be volatile and represent more risks to investors.
The AR (Average Return) on US Treasury notes was 3.5%.
Large-company stocks accounted for 12.1%.Small-company stocks accounted for 16.9%.Long-term corporate bonds had a yield of 6.3%.The long-term government bond yielded 5.9%.Small-company stocks produced the highest average yearly return between 1926 and 2019. As a result, option C is correct.
Learn more about Small-company stocks here:
https://brainly.com/question/1979543
#SPJ1
suppose a monopolistically competitive firm sells 25 units at a price of $10. calculate its marginal revenue per unit of output if it sells 5 more units of output when it reduced its price to $9.
Suppose a monopolistically competitive firm sells 25 units at a price of $10. its marginal revenue per unit of output if it sells 5 more units of output is :$4.
How to find the marginal revenue?First step is to find the monopolistically competitive firm selling price
Selling price = 25 units ×$10
Selling price = $250
Second step is to find the selling price for additional more units
Selling price = (25 units+5 units) ×$9
Selling price = $30 ×$9
Selling price = $270
Third step is to find the decrease in price
Decrease in price = $270 - $250
Decrease in price = $20
Now let find the marginal revenue per unit of output
Marginal revenue = $20 /5 units of output
Marginal revenue = $4
Therefore the marginal revenue per unit of output is $4.
Learn more about marginal revenue here:https://brainly.com/question/13444663
#SPJ1
japanese companies often adopt a strategy that is part collaboration, part purchasing from a few suppliers, and part vertical integration. this approach is called
japanese companies often adopt a strategy that is part collaboration, part purchasing from a few suppliers, and part vertical integration. this approach is called vertical keiretsu.
Major Japanese corporations are organized according to a system known as keiretsu, which is rooted in custom and ties. The keiretsu organizational structure's origins may be traced all the way back to the 1600s and far into the 19th century's Industrial Revolution. But it wasn't until after World War II that the keiretsu model was really established and turned into the preeminent partnership network that powers contemporary Japanese business. In this article, we examine the keiretsu system's background, internal organization, its advantages and disadvantages. Although Japan's corporate governance structure stretches back to the 1600s, it was accelerated by the newly established Meiji Restoration by the Japanese government in 1866 as the Industrial Revolution got underway.
learn more about vertical keiretsu here
https://brainly.com/question/15683558
#SPJ4
norm and quinn have been arguing over role responsibilities. the atmosphere in their small office is increasingly negative and tense. petra, a manager from another department, informally urges them to deal directly with each other in a positive and constructive manner. this easy form of adr is
Norm and Quinn have been arguing over role responsibilities. The atmosphere in their small office is increasingly negative and tense. Petra, a manager from another department, informally urges them to deal directly with each other positively and constructively. This easy form of ADR is facilitation.
Facilitation is a type of alternate dispute resolution (ADR). Alternate dispute resolution allows the dispute to be solved without any legal intervention. There are four types of alternate dispute resolution, namely, facilitation, meditation, arbitration, and early neutral evaluation.
Facilitation involves a third party solving the dispute, completing a task, or finalizing an agreement between the arguing parties. The third-party facilitates the process without telling what to do. The facilitator gives various perspectives on a problem to make a clear decision. Petra is acting as a facilitator here.
Learn more about facilitation here https://brainly.com/question/29851596
#SPJ4