In the indirect method to calculate net cash flows from operating activities, we must remove all accruals from net income so that only the cash portion remains. This statement was the truth. Thus, option (a) is correct.
What is cash flows?The term cash flow refers to the movement of the cash are the flow out of the business. There are the three types of the cash flow such as investing activities, financing activities, operating activities.
Net cash flow signifies either the gain or loss of funds during a period provided all liabilities have been settled. After settling all of its operational expenses, the company's cash flow was positive.
As a result, the statement was the truth about net cash flows from operating activities. Therefore, option (a) is correct.
Learn more about on cash flows, here:
https://brainly.com/question/28238360
#SPJ1
through 2018, president trump ramped up the possibility of an all-out trade war by implementing billions of dollars in tariffs against which country?
Through 2018, president trump ramped up the possibility of an all-out trade war by implementing billions of dollars in tariffs against China.
Describe trade.The purchasing & selling of goods is referred to as trade. Manufacturers sell their products to traders, who then purchase them and resell them to consumers. A trader essentially acts as a middleman between consumers and producers.
What is the primary reason for trade?Trade is crucial for maintaining a global competitive economy because it promotes innovation and supports the specialization of markets while also driving down international pricing for goods. Access to products and services that may be more affordable and of higher quality than those available domestically is another benefit of trade.
To know more about trade visit :
https://brainly.com/question/29636902
#SPJ4
when enabled, which analytics feature associates event data it collects from users on their website or app with the accounts of signed-in users who have consented to sharing this information?
Cross-device tracking refers to the use of an app or website with user accounts of users who are logged in and have consented to share this information.
If a person has given permission to share their data and is logged into their account, app or website developers can utilise this functionality to monitor their activity across various devices and link it to the user's account. This can be helpful for learning about user behaviour and for giving users a smooth, tailored experience across various devices. When employing cross-device tracking, it is crucial to get the user's permission and to manage user data responsibly and openly.
To learn more about tracking please click on below link
https://brainly.com/question/29358858
#SPJ4
an interest-only mortgage is made for $81,000 at 6 percent interest for 10 years. the lender and borrower agree that monthly payments will be constant and will require no loan amortization. required: a. what will the monthly payments be? b. what will be the loan balance after five years? c. if the loan is repaid after five years, what will be the yield to the lender? d. instead of being repaid after five years, what will be the yield if the loan is repaid after 10 years?
The interest payment each month will be $405.
Yield - what does that mean?Yield is the annual net profit generated by an investment for the investor. The interest rate is the percentage that a lender assesses for a loan. All new debt investments' yields are based on the interest rates in force at the time the investments are made.
In an interest-only mortgage, the borrower only pays interest to the lender, and the loan balance is only returned over the course of the agreed-upon period of time. No installments are made for the loan balance or interest charges.
(a) Monthly interest payment= [tex]\frac{Loan value X Interest rate}{100 X 12}[/tex]
=[tex]\frac{81,000 X 6}{12 X 100}[/tex]
= $405
(b) Due to no principal repayment, the loan balance of $81,000 remains unchanged.
(c) Yield to the lender five years after loan repayment:
Yield received by the lender= [tex]\frac{Loan Value X Interest Rate X Number of years}{100}[/tex]
= [tex]\frac{81,000 X 6 X 5}{100}[/tex]
= $24,300
(d) If the loan is returned after ten years, the yield to the lender will be:
Yield received by the lender= [tex]\frac{81,000 X 6 X 10}{100}[/tex]
= $48,600
Learn more about Yield: https://brainly.com/question/2506978
#SPJ4
all costs to get an asset in place and ready for its intended use should be . multiple choice question. capitalized expensed a gain
All costs to get an asset in place and ready for its intended use should be capitalized.
What is Capitalized ValueCapitalized Value is the determination of the accounting value of all expenses to acquire fixed assets until they are ready for use to increase capacity/office, and/or extend their technical life in order to increase the value of these assets.
Benefits of CapitalizationCapitalized assets has many benefits because long-term assets are expensive, charging costs over future periods reduces profitable fluctuations in income, especially for small companies Many lenders require companies to maintain a certain debt-to-excl. jeopardizes the required ratio for existing loans or can prevent companies from accepting new loans.
In addition, capitalizing expenses increases a company's asset balance without affecting its liability balance. As a result, many financial ratios will appear favorable. Despite these benefits, it shouldn't be motivating to take advantage of cost.
Learn more about capitalized asset at https://brainly.com/question/21987637.
#SPJ4
if the fed carries out an open market operation and sells u.s. government securities, the federal funds rate falls and the quantity of money increases. State True or False your answer:
a. True
b. False
(a). True. In order to regulate the money supply, the U.S. Federal Reserve engages in open market operations by purchasing or disposing of bonds and other assets.
In order to reduce the federal funds rate—the rate at which banks lend to one another overnight—during a recession or other economic slump, the Fed will attempt to increase the amount of money available in the economy. The Fed Trading Desk will achieve this by buying bonds from banks and other financial institutions and depositing the money into the accounts of the buyers. As a result, banks and other financial institutions will have more cash on hand, which they may use to make loans. Banks will decrease interest rates to attract people and companies to borrow when they have more cash on hand.
learn more about federal funds rate here:
https://brainly.com/question/29761058
#SPJ4
2a. . which country has a trade deficit and which has a trade surplus? explain how you got your answer and calculate the value of each ( /5)
Answer:
The United States regularly runs a trade deficit, while China usually runs a large trade surplus.
Explanation:
when an employer promises to set aside a certain amount of money for each employee each year, it has set up a
An employer must pay contributions to a pool of money set up for a worker's future benefit under a pension plan, which is a retirement strategy.
Pension plans often fall into one of two categories: defined benefit or defined contribution.
In a defined benefit plan, a fixed monthly payout is promised for life (or a lump sum payment on retiring).
An investment account is established under a defined contribution plan, and it increases over the course of the employee's employment. Upon retirement, the employee has access to the remaining sum.
401(k) plans are funded mostly by the individual, whereas pension funds are generally paid by the employer.
Learn more about to employer visit here;
https://brainly.com/question/29603057
#SPJ4
g in what signifcant way do fnancial audits in government and not-for-proft organizations differ from those carried on in businesses?
Government and nonprofit audits differ significantly from business audits in that the former is more focused on ensuring that the auditee has complied with applicable requirements of laws and respective regulations.
A financial audit is an examination of a company's financial records. The purpose of an audit by independent professional auditors is to verify the veracity and conformity to applicable accounting principles of a company's financial statements.
As an independent assessment of how well public servants are meeting their duties in terms of diligence, efficiency, and effectiveness, performance audits are a vital aspect of the accountability process. A financial audit is conducted to ensure that financial statements are fair and accurate representations of a company's financial position in accordance with GAAP so that business owners can act with confidence.
To know more about financial audits:
https://brainly.com/question/29354364
#SPJ4
The right question is:
In what significant way do financial audits in government and not-for-profit organizations differ from those carried on in businesses?
Which of the following statements is true about the effects of globalization? Select one:
a. Globalization has influenced the standard of life and personal satisfaction of people and families throughout the world.
b. Globalization promotes interconnection among diverse national economies.
c. Globalization creates a more level playing field between nations and businesses.
d. All of the choices.
All the statements are true about the effects of globalization
Globalization is the increasing interconnectedness and interdependence of different countries, cultures, and economies around the world. It is driven by advances in transportation, communication, and technology that have made it easier for people, goods, and ideas to move around the globe. Globalization has had a complex and multifaceted impact on the standard of living around the world.
It has facilitated the spread of technology and information, which has contributed to economic growth and development in many countries. This has led to increased prosperity and a higher standard of living for some people. Due to the growth of global interactions, there has been an increase in international trade and the sharing of ideas, beliefs, and cultures. Globalization encourages economic connections among various national economies and levels the playing field for both countries and corporations.
Read more about globalization on:
https://brainly.com/question/1133228
#SPJ4
is the 7-eleven model scalable and sustainable? what suggestions does your team have for honoris to design the future strategy
Opening more convenient stores through Indonesia would allow them to gain some market share which suggests that the 7-eleven model scalable and sustainable.
By sustainability, what do you mean?In order to be sustainable, a balance must be struck between economic development, environmental protection, and social well-being. Current demands must be met without compromising those of future generations.
What is sustainability so crucial?Living sustainably enhances our standard of living, safeguards our ecology, and protects natural resources for future generations. In the business world, sustainability is linked to an organization's all-encompassing strategy, which considers everything from manufacturing to logistics to customer service.
To know more about Sustainability visit:
https://brainly.com/question/29355708
#SPJ4
you decide whether to eat one more slice of pizza based on how hungry you feel. which economic principle does this statement best represent?
Depending on how hungry you are, you decide whether to eat one more slice of pizza. The easiest way to express this economic notion is with the phrase "How much" is a decision at the margin.
Even if mastering the fundamentals of economic theory isn't regarded as being as crucial as managing a household budget or becoming a proficient driver, the forces that drive the study of economics have an impact on every aspect of our lives. At its most fundamental level, economics aims to explain how and why we choose the products we do.
Scarcity, supply and demand, costs and benefits, and incentives are four fundamental economic ideas that can be used to explain a variety of human decisions.
Scarcity, supply and demand, costs and benefits, and incentives are four fundamental economic ideas that can be used to explain a variety of human decisions.
Because there aren't enough resources in the world to satisfy everyone's seemingly endless wants, there is a fundamental economic problem that causes people to make choices about how to live their lives.
Know more about economic here:
https://brainly.com/question/14787713
#SPJ4
in order to ensure that it gets the most out of its social media marketing efforts, a firm needs to create a social media marketing (smm) plan. an effective smm plan should begin with
It directs your behavior and informs you of your success or failure. Your plan will work better if it is more detailed. Keep it brief.
Make sure your social media profiles are complete and filled up. Although it probably goes without saying, this is an important aspect.
Perform a competitor analysis and create performance benchmarks.
Examine the most important topics of interest and trends in your industry.
Reaching your target audience and communicating the advantages of your product or service are the goals of marketing, which will help you attract, retain, and grow your customer base. Therefore, your marketing objectives must be related to the precise business goals that your organization intends to accomplish.
To learn more about audience please click on below link
https://brainly.com/question/1802560
#SPJ4
if one advertises on radio and the other does not advertise, then the one advertising on radio will earn $24,000 and the other will earn $8,000. if both follow their dominant strategy, then juan pablo will a. advertise on radio and earn $14,000. b. advertise on tv and earn $22,000. c. advertise on tv and earn $8,000. d. not advertise and earn $20,000.
If one advertises on radio and the other does not advertise, then the one advertising on radio earns $24,000 and the other earns $8,000. But if both follow their dominant strategy, then Juan Pablo will advertise on radio and earn $14,000.
Advertising is also best's dominant strategy. As most likely outcome is that both companies advertise and earn. So, there are certain dominant business strategies which tend to define that how businesses approach production, service, and marketing.
However, here the owners tend to make certain strategies which paramount while downplaying the other approaches. Thus, large corporations tend to blend dominant strategies.
Hence, they do so by using one to sell one line of products.
To learn more about advertising here:
https://brainly.com/question/3163475
#SPJ4
a taxpayer bought a rental real estate property in year 1 for $200,000. for years 1 and 2 the following was reported: year property year income (loss) agi 1 ($20,000 ) $ 90,000 2 (35,000 ) 175,000 in year 3, the property was sold for $275,000. the taxpayer materially participated in the rental activity in all three years but is not considered a real estate professional for tax purposes. assume there is no income or loss in year 3 from the properties. what amount of gain is reported, in year 3 on the taxpayer's return, as a result of the sale?
Your taxable capital achieve is normally equal to the cost that you get hold of when you sell or trade a capital asset minus your "basis" in the asset. Your basis is typically what you paid for the asset. Sometimes this is an easy calculation – if you paid $10 for stock and sold it for $100, your capital acquire is $90.
What is the lengthy time period capital positive factors tax charge 2022?If you have a long-term capital gain – which means you held the asset for greater than a 12 months – you will owe both 0 percent, 15 percent or 20 percentage in the 2022 or 2023 tax year.
What is the short term capital gains tax price 2022?When you own an asset or investment for one year or less earlier than you sell it for a profit, it really is regarded a temporary capital gain. In the U.S., short-term capital beneficial properties are taxed as regular income. That capacity you could pay up to 37% income tax, relying on your federal earnings tax bracket.
Learn more about capital gains tax rate here:
https://brainly.com/question/29991406#SPJ4Answer: $40,000
Explanation:
3. (1pt) why is some risk diversifiable? why are some risks non-diversifiable? what are some other terms to describe non-diversifiable risk?
Some risk is diversifiable because of the uniqueness of assets and their ability to be eliminated by investing in different assets.
Because they are specific to a given asset and can be removed by investing in other assets, some risks are diversifiable. There is an unsympathetic approach that is implemented when an investor diversifies his risk by investing in a variety of assets, which lowers the overall risk. However, some risks cannot be diversified because they affect all assets. Systematic risks or non-diversifiable that affect investments are to blame when hazards are not diversifiable.
As a result, you cannot completely eliminate the risk associated with an investment. Last but not least, systematic risk can be managed, but at a high cost to expected returns.
To learn more about diversifiable risk, follow the below link:
https://brainly.com/question/14159332
#SPJ4
what is a media buyer? the knowledge of reading rate cards and analyzing circulation is not required for media buyers. media buyer refers to a person in charge of negotiating and contracting with the media. the degree of specialization of a media buyer depends solely on the size of the advertiser. media buyers of small advertising agencies tend to specialize in a particular medium to increase their profits. media buyers do not specialize in any medium in order to be flexible.
Answer:
Media buyer refers to a person in charge of negotiating and contracting with the media.
when you use $10 to buy a burger, money is used as a store of value. group of answer choices true false
A person use $10 to buy a burger, money is used as a store of value. This statement was the truth. Thus, option (a) is correct.
What is money?The exchange of commodities and services is referred to as "money." The currency is the country's currency. Different countries use various currencies. Money is typically represented by paper notes and coins. When compared to the batter system, money is more convenient.
Money is utilized in the store of value, because $10 is used to buy a burger. Money is a values store since it accumulates purchasing power over time and can be utilized to make future purchases. The more steady the cost of currency, the better it functions as a store of wealth.
As a result, the person use $10 to buy a burger, money is used as a store of value. Therefore, option (a) is correct.
Learn more about on money, here:
https://brainly.com/question/22984856
#SPJ1
to be sure your investment earnings benefit from compounding, what should you do first?
To be sure your investment earnings benefit from compounding, what should you do first sign up for automatic reinvestment plan.
funding definition is an asset acquired or invested in to construct wealth and store cash from the difficult earned income or appreciation. investment meaning is ordinarily to obtain a further source of income or gain profit from the investment over a specific time period.
one of the best methods for novices to learn how to spend money on stocks is to put money in an internet investment account, which could then be used to spend money on stocks of stock or inventory mutual budget. With many brokerage accounts, you can begin investing for the fee of a unmarried share. or different organization retirement plan. if you have a 401(k) or any other retirement plan at paintings, it's very probable the first location you have to positioned your money — particularly if your employer suits a part of your contributions. That fit is loose cash and a assured go back for your investment.
Learn more about investment here: https://brainly.com/question/1305349
#SPJ4
if a business has $1,000 assets, $300 liabilities, $2,000 revenue and $500 expenses in the current period, what is the amount of equity?
The amount of equity if a business has $1,000 assets, $300 liabilities, $2,000 revenue and $500 expenses in the current period is $700.
What is owner equity?In finance, equity is ownership of assets that may have debts or other liabilities attached to them. Equity is measured for accounting purposes by substracting liabilities from the value of the assets.
Given from the question
assets = $1,000
revenue = $2,000
liabilities = $300
expenses = $500
Now, let's calculate the equity
Equity = total assets - total liabilities
= ($1,000) - ($300)
= $700
Therefore, the amount of equity of the business is $700.
Learn more about equity https://brainly.com/question/15033608
#SPJ4
FILL IN THE BLANK. a candy manufacturer would increase both efficiency and effectiveness by making ________.
A candy manufacturer would increase both efficiency and effectiveness by making better candy at a lower cost.
Candy is a sort of confection in which sugar is the primary ingredient and is also referred to as candy. The term "sugar confectionery" refers to any sweet treat, including chocolate, gum, and rock candy. Sugar-coated and glazed fruits, vegetables, and nuts are examples of candies.
Candy differs physically from other foods by using a lot of sugar or sugar substitutes. Candy is typically cut into portions that can be divided by many people but are typically smaller than a cake or a loaf of bread. However, what is deemed sweet also depends on how people approach food.
To know more about Candy here-
https://brainly.com/question/16438042
#SPJ4
if one u.s. dollar sells for 0.60 british pound, how many dollars should one british pound sell for?
If one U.S. Dollar (USD) sells for 0.60 British Pound (GBP), then one British Pound (GBP) sells for 1.6667 U.S. Dollar (USD).
To get the answer, simply divide the two currencies.
1 USD = 0.60 GBP
1 GBP = 1 / 0.60 USD
1 GBP = 1.6667 USD
Why is British Pound (GBP) strong against U.S. Dollar (USD)?The GBP is not alone in being sold against the USD, as investors fear a global recession and favor the greenback as a safe haven in times of economic distress.
What is the strongest currency in the world?The Kuwaiti Dinar (KWD) continues to remain the highest currency in the world owing to Kuwait's economic stability. The country's economy is primarily reliant on oil exports because it has one of the world's largest reserves.
Learn more about currency at: https://brainly.com/question/14372075
#SPJ4
matthew must lay off employees in his company and wants to hold a meeting with others to help him make an effective decision. how many people should he invite to this decision-making meeting?
We learn from the question that Matthew is a new divisional manager and that due to a divisional reorganisation, he must decide on the scope of management within his division.
The range of control in this reorganisation dictates how many levels and supervisors an organisation has. It only indicates the scope of an organisation or person's responsibilities and the number of individuals, roles, or items that fall under their purview. In order to make an informed choice, Matthew, who must fire employees from his company, wants to convene a meeting with other stakeholders. How many individuals should he invite to this meeting where decisions are made?
First sales meeting, and want to contribute right away in order to provide a positive first impression.
To learn more about stakeholders please click on below link
https://brainly.com/question/28625232
#SPJ4
at what amount should noncash property that is contributed to a partnership be credited to the contributing partner's capital account?
Contributed assets and assumed liabilities are initially recorded at their fair value based on the valuations made at the time the company was formed.
When a partner invests non-cash assets in a partnership, the assets are recorded at the partner's book value.If nothing is indicated,the income of the partnership is divided in proportion to the principal balance of the individual partner.A partner who contributes appreciated assets to a partnership must consider more than the property will be valued for purposes of crediting his capital account and determining his share of the partnership's earnings.For a contribution of property in exchange for a partnership interest that does not involve any gain recognition by the contributing partner,the partnership takes a basis in the contributed property equal to the contributing partner's basis in the property,and the contributing partner takes one base.
To learn more about Contributed please click on below link.
https://brainly.com/question/10410785.
#SPJ4
while the traditional approach of u.s. government policies for environmental protection has had some level of success, some economists propose:
While some degree of success can be attributed to the traditional approach of U.S. government policies for environmental protection, some economists are advocating a shift to a variety of more adaptable, market-oriented pollution control measures.
Market-oriented pollution control measures have helped the US government protect the environment to a significant degree while still preserving economic viability.
By enacting market reforms, the US government has introduced significant policy options for both environmental protection and preserving a balance in economic operations.
Emission taxes and a system of tradable permits similar to an auction for pollution rights were the two main types of market reforms implemented by the US government.
To learn more about Market-oriented pollution control, please refer:
https://brainly.com/question/24014583
#SPJ4
cost savings that come from learning by doing is referred to as: a. first-mover advantage. b. economies of scale. c. factor endowments. d. production possibilities frontier e. learning effects.
Savings from learning via experience are referred to as learning effects. Economies of scale are cost savings realised by producing a product in big quantities.
When the tastes and preferences of customers across different countries are comparable, if not identical, then there are universal wants. Because there is more that may be learnt about a technologically complicated activity, learning effects are typically more pronounced when the job is repeated. Companies that pursue a transnational strategy are essentially attempting to cut costs at the same time through location economies, economies of scale, and learning effects; differentiate their product offerings across geographic markets to account for local differences; and promote a multidirectional flow of skills. Cost-cutting tactics are procedures and guidelines created to.
To learn more about Economies please click on below link
https://brainly.com/question/2421251
#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
Small-company stocks is a category of securities had the highest average annual return for the period 1926–2019.
What are SecuritiesSecurities are bonds that can be converted into money or cash quickly. Its liquid nature allows securities to be traded or sold quickly. Securities are also interpreted as a form of ownership of the assets or wealth of companies that issue securities.
But now the use of the term securities refers more to stocks, bonds, and other investment products, rather than being interpreted as a form of investment ownership.
Types of Securities
Securities can be divided into 2 types, namely:
Debt. Debt securities are proof of debt ownership in the form of securities that depend on the due date for payment or other characteristics. These types of securities usually include government bonds and bonds, certificates of deposit, and collateralized securities. Usually these types of securities are valid for a certain period of time, which can then be redeemed eventually. Equity (eg bonds and stocks). This type of security is ownership by shareholders in an entity, for example in a company, which is obtained in the form of shares and includes ordinary shares and preferred shares. The holders of shares usually obtain the right to control the company through voting rights.Learn more about securities at https://brainly.com/question/8293680.
#SPJ4
the sam process is designed to question 53 options: a) check the systems involved in resource acquisition. b) help planners avoid silly accrediting mistakes. c) simulate mistakes before they happen. d) assess the suitability of materials.
The SAM process is designed to assess the suitability of materials.
The administration of systems, policies, and procedures that enable the acquisition, deployment, usage, maintenance, and disposal of software applications inside an organisation is known as software asset management (SAM). The goal of SAM would be to ensure that an organization abides by license agreements and does not overpay for software. SAM is a subset of IT asset management.
The benefits of using SAM include:
Regular reevaluation of the educational resourcesReal-time input from all interested partiesDevelopment quicklyThe quantity of remaining licences can also be monitored by SAM tools. In order to reduce costs, software that is not being used can be removed or reassigned.
To learn more about Software asset management refer here
https://brainly.com/question/28286744#
#SPJ4
investments with longer payback periods are more desirable, all else being equal.
true
false
Investments with longer Payback periods are more desirable, all else being equal. This statement is false.
This is because the payback system can be used when the net cash inpourings from the capital investment are unstable.
The payback system evaluates how long it'll take to “payback” or recover the original investment. The payback period, generally stated in times, is the time it takes to bring about enough cash bills from an investment to cover the cash outpouring( s) for the investment.
In substance, the shorter payback an investment has, the more entrancing it becomes. Determining the vengeance period is useful for anyone and can be done by dividing the original investment by the average cash overflows.
Account and fund directors use the payback period to determine whether to go through with an investment. One of the downsides of the payback period is that it disregards the time value of moneybags.
To know more about the Payback period,
brainly.com/question/23149718
#SPJ4
uri ltd's outstanding bonds mature in 5 years. their yield to maturity is 9%, based on semiannual compounding. the current market price is $853.61. what is the bond's annual coupon interest rate?
The bond's annual coupon interest rate is approximately 5.87%.
To calculate the bond's annual coupon interest rate, you will need to know the bond's face value, which is the amount that will be paid to the bondholder when the bond matures. You can then use the bond's market price and yield to maturity to calculate the annual coupon interest rate.
Here is the formula you can use:
Annual coupon interest rate = (Market price + (Yield to maturity / 2) * Face value) / Market price
Plugging in the values you provided, the calculation would be:
Annual coupon interest rate = ($853.61 + (9% / 2) * Face value) / $853.61
Solving for the face value, you get:
Face value = $853.61 / (1 + (9% / 2))
Face value = $1,000
Substituting this value back into the original formula gives you:
Annual coupon interest rate = ($853.61 + (9% / 2) * $1,000) / $853.61
Annual coupon interest rate = $50 / $853.61
Annual coupon interest rate = 5.87%
Therefore, the bond's annual coupon interest rate is approximately 5.87%.
To know more about Bond's Annual Coupon visit :
https://brainly.com/question/14893471?referrer=searchResults
#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 situation.
What is unstructured decision making?To make these choices, the situation calls for judgment, assessment, and understanding. Unstructured decision processes are those "that have not previously been experienced in nearly the same form and for which no planned and explicit set of ordered responses exists in the organization.
Senior executives frequently have to make unstructured, open-ended decisions that require knowledge from a range of sources of information as well as personal experience. For instance, a CEO in the current music industry would question, Which of Apple, Microsoft, or Sony should we choose as our online music catalog's distribution partner?
In order to respond to this issue, one would need to have access to news, official reports, industry perspectives, and high-level evaluations of corporate performance. But the approach would also urge senior managers to use their best judgement and get input from other managers.
know more about executives here
https://brainly.com/question/11422252#
#SPJ4