Why do companies do IPOs?
IPOs incentivize entrepreneurs to innovate as IPOs provide a way for entrepreneurs to monetize their work

Answers

Answer 1

Initial Public offerings (IPOs) are a way for organizations to elevate capital by using promoting shares of possession to the public.

Agencies usually cross public to elevate capital to fund future growth, repay money owed, or extend operations. with the aid of going public, agencies can access a bigger pool of traders, that may assist to boom liquidity and valuation of the agency.

For entrepreneurs, IPOs offer a way to monetize their work and praise early investors who've supported the company. IPOs can also boom visibility and credibility, which could help to draw proficient employees and partnerships.

Further to the economic benefits, IPOs can provide a experience of validation and accomplishment for the founders and employees who've labored difficult to construct the organization.

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Related Questions

The procurement statement of work is a key output of:

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The Procurement Statement of Work (SOW) is a key output of the Plan Procurement Management process. The Plan Procurement Management process is a part of the Project Procurement Management knowledge area and focuses on defining how procurement will be managed and executed throughout the project.

The Procurement SOW is a document that describes the procurement requirements in detail, including the scope of work to be performed, technical specifications, quality standards, delivery dates, and any other requirements that must be met by the seller. The Procurement SOW is used as the basis for soliciting proposals from potential sellers and evaluating their responses.

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What types of intermediaries typically purchase the product and gain ownership before selling the product to the next intermediary or end user? Select all that apply.
- Wholesalers - Agents - Retailers

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The types of intermediaries that purchase product and gain ownership before selling it to next intermediary are : (a) Wholesalers and (c) Retailers.

The Wholesalers and retailers are both types of intermediaries who purchase products from manufacturers or producers and then sell them to the next intermediary in the distribution channel or to the end-user.

The "Wholesalers" purchase products in large quantities and sell them to retailers, who then sell the products in smaller quantities to end-users.

Both wholesalers and retailers take ownership of the products they purchase and are responsible for their distribution and sale to the end-user.

Therefore, the correct option is (a) and (c).

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The given question is incomplete, the complete question is

What types of intermediaries typically purchase the product and gain ownership before selling the product to the next intermediary or end user? Select all that apply.

(a) Wholesalers

(b) Agents

(c) Retailers

Explain why each of the following transactions would or would not be counted in the GDP of the United States. a. Chinese electric car auto producer Nio builds a factory in Indiana. b. You buy a new pair of pants produced at a factory in Bangladesh. c. You do yard work for your Grandma's yard and she gives you $10 for a job well done.

Answers

a. The construction of the Nio factory in Indiana would be counted in the GDP of the US. b. The purchase of the new pants produced in Bangladesh would not be counted in the GDP of the US. c. The $10 payment from your Grandma for yard work would not be counted in the GDP of the US.


a. Chinese electric car auto producer Nio builds a factory in Indiana.

This transaction would be counted in the US GDP as it involves investment in the construction of a factory within the United States. The investment contributes to the country's economic activity, despite being carried out by a foreign company.
b. You buy a new pair of pants produced at a factory in Bangladesh.
This transaction would not be counted in the US GDP directly as the pants are produced in Bangladesh. However, the imported pants' value would be counted as part of the US's imports, which are subtracted from the GDP calculation (GDP = Consumption + Investment + Government spending + (Exports - Imports)).
c. You do yard work for your Grandma's yard, and she gives you $10 for a job well done.
This transaction would not be counted in the US GDP because it is an informal, non-market transaction. GDP only includes market transactions, i.e., goods and services produced and sold in the market. In this case, the yard work service was not provided in a market context, and the compensation was informal.

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first city bank pays 7 percent simple interest on its savings account balances, whereas second city bank pays 7 percent interest compounded annually. if you made a deposit of $12,000 in each bank, how much more money would you earn from your second city bank account at the end of 9 years? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

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Using the formula for simple interest, the interest earned on the account at First City Bank after 9 years would be: Interest = Principal x Rate x Time = $12,000 x 0.07 x 9 = $7,560.

So the balance at the end of 9 years would be:

Balance = Principal + Interest = $12,000 + $7,560 = $19,560

Using the formula for compound interest, the balance at the end of 9 years at Second City Bank would be:

Balance = Principal x (1 + Rate/Compounding Frequency)^(Compounding Frequency x Time)

= $12,000 x (1 + 0.07/1)^(1 x 9)

= $12,000 x 1.07^9

= $24,226.88

The interest earned would be:

Interest = Balance - Principal = $24,226.88 - $12,000 = $12,226.88

The difference in interest earned between the two accounts is:

$12,226.88 - $7,560 = $4,666.88

Therefore, you would earn $4,666.88 more from your Second City Bank account at the end of 9 years. Rounded to two decimal places, the answer is $4,666.88.

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After an extensive analysis of political currents in Central and South America, you conclude that coffee
prices will be lower in the future. The current futures price for coffee is $2.46 and each contract is for
37,500 pounds of coffee.
(a) Would you enter a long or short futures position?
(b) Suppose that you decide to enter into a 9 contract position. What would be your profit if your
analysis is correct and the futures price falls to $2.14?

Answers

If your analysis is correct and the futures price falls to $2.14, your profit for the 9 contract position would be $108,000.

What would be your profit if your analysis is correct and the futures price falls to $2.14?

After an extensive analysis of political currents in Central and South America, you conclude that coffee prices will be lower in the future. Since you expect the coffee prices to decrease, you would enter a short futures position.

To calculate your profit if your analysis is correct and the futures price falls to $2.14,

Determine the initial and final futures prices.
Initial futures price = $2.46
Final futures price = $2.14

Calculate the price difference.
Price difference = Initial futures price - Final futures price
Price difference = $2.46 - $2.14
Price difference = $0.32

Calculate the profit per contract.
Profit per contract = Price difference × Contract size
Profit per contract = $0.32 × 37,500 pounds
Profit per contract = $12,000

Calculate the total profit for the 9 contract position.
Total profit = Profit per contract × Number of contracts
Total profit = $12,000 × 9
Total profit = $108,000

If your analysis is correct and the futures price falls to $2.14, your profit for the 9 contract position would be $108,000.

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During the Great Recession, the number of discouraged workers rose sharply. How did the increase in the number of discouraged workers affect the size of the labor force and the unemployment rate?a. The increase in the number of discouraged workers reduced both the unemployment rate and the size of the labor force b. The increase in the number of discouraged workers increased both the unemployment rate and the size of the labor force c. The increase in the number of discouraged workers had no effect on the unemployment rate and the size of the labor force d. The increase in the number of discouraged workers increased the unemployment rate and reduced the size of the labor force

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The increase in the number of discouraged workers increased the unemployment rate and reduced the size of the labor force. Discouraged workers are those who have given up looking for work and are no longer counted as part of the labor force.

When the number of discouraged workers increases, it means that fewer people are actively seeking employment, which leads to a reduction in the size of the labor force. However, since these individuals are still technically unemployed, the increase in discouraged workers also leads to an increase in the unemployment rate.

a. The increase in the number of discouraged workers during the Great Recession reduced both the unemployment rate and the size of the labor force. This is because discouraged workers are not considered part of the labor force and are not counted as unemployed, which results in a decrease in the overall labor force size and a lower unemployment rate.

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Consider the following information about consumption and income: Disposable Income: $8,000 Consumption: $6,500 Income: $1,500 Then, the Marginal Propensity to Consume (MPC) is and the Multiplier is Additionally, the slope of the consumption function is the Marginal Propensity to Save (MPS) is (round to two decimal places). points Save Answer Consider the following information about consumption and income: Disposable Income: $8,000 Consumption: $6,500 Income: $1,500 the Marginal Propensity to Save Then, the Marginal Propensity to Consume (MPC) is (MPS) is and the Multiplier is places) Additionally, the slope of the consumption function is (round to two decimal

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The Marginal Propensity to Consume (MPC) is 0.77, the Multiplier is 4.35, the slope of the consumption function is 0.77, and the Marginal Propensity to Save (MPS) is 0.23.

The Marginal Propensity to Consume (MPC) is calculated by dividing the change in consumption by the change in income. In this case, the change in consumption is $6,500 - $1,500 = $5,000 and the change in income is $8,000 - $1,500 = $6,500. Therefore, MPC = $5,000 / $6,500 = 0.77.

The Multiplier is a measure of the change in output (GDP) resulting from a change in autonomous expenditures, such as consumption. It is calculated as 1 / (1 - MPC). In this case, the multiplier is 1 / (1 - 0.77) = 4.35.

The slope of the consumption function is equal to the MPC. Therefore, the slope is 0.77. The Marginal Propensity to Save (MPS) is equal to 1 - MPC. Therefore, MPS = 1 - 0.77 = 0.23.

In summary, the Marginal Propensity to Consume (MPC) is 0.77, the Multiplier is 4.35, the slope of the consumption function is 0.77, and the Marginal Propensity to Save (MPS) is 0.23.

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describe the four phases in the development of strategic partnering relationships that are characterized by increasing levels of involvement.

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The four phases in the development of strategic partnering relationships, characterized by increasing levels of involvement, are Exploration, Formation, Operation, Evolution.



1. Exploration: In this phase, potential partners identify and assess each other's capabilities and interests. They may engage in preliminary discussions to determine if there is a potential fit for a strategic partnership.

2. Formation: Once potential partners see value in working together, they formally establish the partnership. This phase involves negotiating and agreeing upon objectives, roles, and responsibilities for each partner. A mutual commitment to the partnership is made, and necessary legal agreements are put in place.

3. Operation: In this phase, the strategic partners work together to achieve their shared objectives. They collaborate and coordinate their resources, skills, and expertise to implement the agreed-upon plans and processes. Communication and trust are essential during this stage to ensure the partnership runs smoothly.

4. Evolution: Over time, the strategic partnership may evolve and grow, requiring adaptations to the original plans and objectives. Partners may need to reassess and renegotiate their roles and responsibilities, address new challenges, or seize new opportunities. This phase ensures the partnership remains relevant and effective in achieving its goals.

These phases represent a typical progression of a strategic partnering relationship, fostering increased collaboration and involvement between the partners.

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Consider Firm C, which operates in a competitive industry. You are given the following points on Firm C's average cost curve (AC) and marginal cost(MC) curve: Quantity AC MC 1 $ 500 $ 500 2 450 400 3 383.33 250 4 375 350 5 420 600 6 483.33 800 7 542.86 900 8 600 1000 9 655.56 1100 10 750 1600 a.) Fill in the supply schedule for Firm C (i.e., give quantity supplied at each price): (5) Price Quantity Supplied $ 1450 ? $ 1075 ? $ 975 ? $ 925 ? $ 625 ? $ 370 ? b.) Solve for the firm's profit if Price = $ 1075. (3)

Answers

The Firm C's profit is $2670.01.

To fill in the supply schedule for Firm C, we need to identify the quantity supplied at each given price. To do so, we can observe that the firm's supply curve is its marginal cost curve above the minimum of its average variable cost curve. Thus, we can determine the quantity supplied at each given price by identifying the quantity  at which the firm's marginal cost curve intersects the price line. The resulting supply schedule is:

Price Quantity Supplied

$1450 0

$1075 3

$975 4

$925 5

$625 7

$370 10

To solve for the firm's profit at a price of $1075, we need to determine the corresponding quantity supplied. From the supply schedule, we see that the firm will supply 3 units at a price of $1075. To calculate the firm's profit, we can use the formula:

Profit = (Price - Average Total Cost) x Quantity

At a quantity of 3, the firm's average total cost is $383.33, as shown in the table. Thus, the firm's profit at a price of $1075 is:

Profit = ($1075 - $383.33) x 3 = $2670.01

Therefore, at a price of $1075, Firm C's profit is $2670.01.

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he standard direct materials cost to produce a unit of lem is 4 meters of materials at $2.50 per meter. during may, 4,200 meters of materials costing $10,080 were purchased and used to produce 1,000 units of lem. what was the materials price variance for may?

Answers

The materials price variance for May was $80, indicating that the actual cost of materials purchased was slightly higher than expected.

The materials price variance for May can be calculated by comparing the actual cost of materials used to produce the units of lem with the expected cost.

The standard direct materials cost to produce a unit of lem is 4 meters of materials at $2.50 per meter, which equals $10. Therefore, the expected cost of materials used to produce 1,000 units of lem is $10,000 (4 meters x $2.50 per meter x 1,000 units).

However, the actual cost of materials purchased and used was $10,080. To calculate the materials price variance, subtract the expected cost from the actual cost: $10,080 - $10,000 = $80. Therefore, the materials price variance for May was $80, indicating that the actual cost of materials purchased was slightly higher than expected.

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on january 1, 2024, corvallis carnivals borrows $30,000 to purchase a delivery truck by agreeing to a 5%, five-year loan with the bank. payments of $566.14 are due at the end of each month, with the first installment due on january 31, 2024. determine the financial statement effects of the issuance of the installment note and the first monthly payment.

Answers

The issuance of the installment note and the first monthly payment will result in an increase in assets of $30,000, an increase in liabilities of $30,000, a decrease in cash of $566.14, and an expense of $50 for interest.

The issuance of the installment note will result in an increase in the asset account for the delivery truck by $30,000, and an increase in the liability account for the loan by $30,000.

The first monthly payment of $566.14 will result in a decrease in the liability account for the loan by $516.14 ($566.14 - $50 interest), and a decrease in the cash account by $566.14. The interest expense for the first month will be $50 ($30,000 x 5% / 12).

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Foreign Direct Investment is viewed by some economic proponents as a great boost to the Balance of Payment of a country resulting in credits in their accounts. Others think its more exploitative and causes more debits. Which do you agree with and why?

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Foreign Direct Investment (FDI) refers to the investment made by a foreign entity in a host country's assets, such as factories or real estate, to establish a business presence. The impact of FDI on the balance of payments of a country can be analyzed in terms of two components: capital account and current account.

Capital account
includes transactions related to investment, while the current account includes transactions related to imports and exports of goods and services. FDI can lead to a surplus in the capital account, as foreign investors bring in capital and invest in the host country's assets. This, in turn, can result in an increase in foreign reserves, which is a positive development for the economy.

However, FDI can also lead to a deficit in the current account, as it may involve the import of capital goods, technology, and raw materials, which can result in a higher import bill. This may lead to a negative impact on the balance of payments, as the current account deficit has to be financed by capital inflows from foreign investors.

In my opinion, the impact of FDI on the balance of payments of a country depends on various factors such as the sector of investment, the level of technology transfer, and the host country's policies. FDI that involves the transfer of technology, managerial skills, and the development of the local workforce can have positive impacts on the balance of payments.

However, FDI that involves the extraction of natural resources or the exploitation of labor can result in a negative impact on the balance of payments. Therefore, the host country's policies should ensure that FDI is directed towards sectors that have the potential to create long-term benefits for the economy. In conclusion, the impact of FDI on the balance of payments of a country is not always positive or negative, but it depends on how it is utilized and managed by the host country.

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In the context of assessing grit, conscientiousness means being meticulous in carrying out tasks. O True False PREVIOUS NEXT

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In the context of assessing grit,conscientiousness means being meticulous in carrying out tasks is False.

While both grit and conscientiousness are traits related to achievement, they have different characteristics. Conscientiousness refers to the tendency to be organized, responsible, and reliable. It includes being thorough and detail-oriented, but it also encompasses broader aspects of one's personality, such as punctuality, diligence, and self-discipline.

In contrast, grit refers specifically to perseverance and passion for long-term goals. It involves sticking to a task or goal despite setbacks or obstacles and maintaining effort and interest over time.

While there may be some overlap between the two constructs, they are distinct and can be measured separately. Grit is more focused on the emotional and motivational aspects of achievement, while conscientiousness is more about the behavioral and organizational aspects. Both can be important predictors of success in different areas of life, and individuals may vary in their levels of both traits.

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The PESTEL framework is a model regarding a firm'sA. internal issuesB. strategic groupC. industry conditionsD. external macro-level environment

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The correct answer is D. The PESTEL framework is a model used to analyze and assess the external macro-level environment of a firm.

PESTEL stands for Political, Economic, Social, Technological, Environmental, and Legal factors that can impact a company's operations, profitability, and success. This model helps firms identify opportunities and threats in their external environment, and develop strategies to respond to them. This framework helps businesses analyze and understand the various external factors that can impact their operations and decision-making. PESTEL stands for Political, Economic, Social, Technological, Environmental, and Legal factors, all of which are considered to assess a firm's external macro-level environment.

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TC = 133 + 37Q + 3Q2 What is the average fixed cost when 13units are produced? Enter as a value. ROUND TO TWO DECIMALPLACES.

Answers

The average fixed cost when 13 units are produced is approximately $10.23 per unit.

To find the average fixed cost, we need to first calculate the total cost (TC) and the fixed cost (FC) when 13 units are produced.

TC = 133 + 37Q + 3Q^2
TC = 133 + 37(13) + 3(13)^2
TC = 133 + 481 + 507
TC = 1121

To find FC, we need to subtract the variable cost from the total cost at a production level of 13 units:

[tex]FC = TC - VC\\[/tex]
FC = 1121 - (37Q + 3Q^2)
FC = 1121 - (37(13) + 3(13)^2)
FC = 1121 - (481 + 507)
FC = 133

Now that we have found the fixed cost, we can calculate the average fixed cost by dividing the fixed cost by the number of units produced:

[tex]Average Fixed Cost = FC/Q[/tex]
Average Fixed Cost = 133/13
Average Fixed Cost = 10.23

Therefore, the average fixed cost when 13 units are produced is $10.23 (rounded to two decimal places).

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true or false an sbu can be a company division or a product line within a division, but not a single product or brand.

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an SBU can be a company division or a product line within a division, but not a single product or brand.

The statement is True.

Explanation:

An SBU (Strategic Business Unit) is a unit within a larger company that operates as a separate business entity with its mission, objectives, and strategies. It can be a company division or a product line within a division, but it cannot be a single product or brand as it needs to have enough scope and resources to operate as a separate entity.

The SBU concept is often used in multi-business organizations that operate in multiple industries or market segments. By dividing the company into SBUs, management can better focus on each unit's unique requirements and allocate resources accordingly.

What are SBU and its advantages?

An operating section of a company known as a Strategic Business Unit (SBU) caters to a certain product-market sector, a group of well-defined clients, or a geographical location. As long as it achieves corporate goals, the SBU is empowered to make independent strategic decisions within corporate standards.

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A scenario is an internally consistent view of what the future might turn out to be - not a forecast, but one possible future outcome.
True or False?

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True.A scenario is an internally consistent view of what the future might turn out to be - not a forecast, but one possible future outcome.

A scenario is an internally consistent view of what the future might turn out to be, which is not a forecast but rather one possible future outcome. Scenarios are used to explore a range of potential future developments and to identify potential risks and opportunities associated with each scenario. They are not meant to be predictions or forecasts of what will happen, but rather tools to help organizations plan and prepare for a range of possible futures. Scenarios can be useful in a variety of contexts, such as strategic planning, risk management, and policy development.

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Alternative sugar sources (e.g. rice) added to fermentation are called what?

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Alternative sugar sources (e.g. rice) added to fermentation are typically referred to as adjuncts.

A source of fermentable material known as an adjunct is something other than malted grains like corn, rice, rye, oats, barley, and wheat. Adjuncts can supply sugar that can be added straight to the kettle or even the fermenter, or they can supply starch that needs to be mashed. The purpose of adjuncts is to improve the qualities that the four basic ingredients add to beer. They can be infused like a huge tea bag in the tank or added whole at any stage of the brewing process, from the wort to fermentation to right before bottling.

These adjuncts can contribute different flavors and characteristics to the final product and are commonly used in brewing beer and making distilled spirits.

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The owner of a firm is considering a change in how she compensates top managers. Last year, she paid him a fixed salary of $90,000 and her store had $1.08 million in sales. She is now considering a change so that the manager will be paid a fixed salary of $38,000 plus 3.5% of the firm's sales. She estimates the firm's sales will be $1.45 million. Will the new compensation strategy successfully align the goals of the manager with the goals of the owner?

Answers

Yes, the new compensation strategy will successfully align the goals of the manager with the goals of the owner. This is because the manager's compensation is now tied to the firm's sales, incentivizing the manager to work harder to increase sales and therefore increase their compensation. The fixed salary component of $38,000 still ensures that the manager has a guaranteed income, but the added variable component based on sales encourages the manager to focus on achieving the company's sales goals. This change in compensation strategy could potentially lead to higher sales and profits for the firm.


To determine whether the new compensation strategy will align the goals of the manager with the goals of the owner, we need to compare the manager's compensation under both scenarios:

1. Last year's fixed salary compensation:
- Fixed salary: $90,000

2. Proposed new compensation strategy:
- Fixed salary: $38,000
- Sales percentage: 3.5% of $1.45 million

First, let's calculate the sales percentage compensation:
3.5% of $1.45 million = 0.035 * 1,450,000 = $50,750

Now, add the fixed salary to the sales percentage compensation:
Total compensation = $38,000 + $50,750 = $88,750

Under the new compensation strategy, the manager would receive $88,750, which is slightly lower than the previous fixed salary of $90,000. However, since a portion of their compensation is now tied to the firm's sales, the manager may be more motivated to help increase sales, which aligns with the owner's goals. Therefore, the new compensation strategy has the potential to align the manager's goals with the owner's goals, even though the manager's total compensation is slightly lower.

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This South American country has significant proven petroleum reserves. A) Colombia B) Venezuela C) Chile D) Argentina E) Uruguay.

Answers

The South American country with significant proven petroleum reserves is B) Venezuela.

Venezuela has one of the largest oil reserves in the world, which contributes significantly to its economy and global oil supply. The vast majority of Venezuela's oil reserves are heavy crude oil, which requires more processing to refine into usable products like gasoline and diesel. This heavy crude oil is typically sold to refineries in the United States and Asia, where it is processed into lighter, more valuable products.

Despite having such enormous reserves, Venezuela has faced significant challenges in recent years, including political instability, corruption, and economic sanctions.

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During bad economic times, people often spend less, and businessesa. decrease productionb. hire more employeesc. reduce vacation timed. purchase new equipment

Answers

During bad economic times, people often spend less, and businesses typically decrease production. The correct option is (a).  The reason for this is that when consumers are more cautious with their spending, there is a lower demand for goods and services. As a result, businesses need to adjust their operations to match the reduced demand.


In order to avoid overstocking or incurring unnecessary costs, businesses will decrease production. This can involve reducing the output of their manufacturing facilities or ordering less inventory from suppliers. By doing this, companies can minimize expenses and maintain profitability during challenging economic periods.

Decreasing production also affects other aspects of a business. In such situations, companies are less likely to hire more employees, as there is no need for additional manpower when production levels are lower. Reducing vacation time and purchasing new equipment are also unlikely options, as these actions would not directly address the issue of decreased demand during an economic downturn.


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An organization that wants to eliminate layers in favor of creating a culture where employees have more power should consider adopting a _____ organizational structure.typicalstabilizedflattenedhierarchical

Answers

An organization that wants to eliminate layers in favor of creating a culture where employees have more power should consider adopting a flattened organizational structure, option C.

The power, control, and reporting structures for workers are determined by the organisational structure of a corporation. For instance, in a hierarchical system, front-line managers report to the employees. Middle managers are subordinate to these front-line supervisors. Top-level managers are responsible for these managers. For the purposes of representing power, control, and communication, this structure often forms a pyramid.

There aren't many layers of management in an organisational structure that is flat. As a result, employees will directly report to senior supervisors. As a result, both lower-level managers and employees share responsibility for middle management. In most cases, it translates to more power and freedom for the employee. The absence of several levels of bureaucracy inside the organisation may also increase efficiency. This organisational structure may help more independent workers feel motivated.

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Complete question:

An organization that wants to eliminate layers in favor of creating a culture where employees have more power should consider adopting a _____ organizational structure.

typicalstabilizedflattenedhierarchical

HELP ASAP
According to the value chain business model, what strategic decisions can a business make?
According to the value chain business model, (blank), integration involves a business taking over a competitor that operates at the same stage in the value chain. (blank)integration refers to a business’s expansion in the previous stages of a value chain.
first blank
horizontal
forward
vertical
second blank
Horizontal
Backward
Forward

Answers

Option (a), In accordance with the value chain business model, horizontal integration entails a company acquiring a rival that works at the same value chain stage.

Option (c), Forward integration is the expansion of a company in a value chain's earlier phases.

How can the value chain model be used to help with corporate strategy decisions?

A value chain analysis is a technique that helps businesses understand the numerous links and relationships in their value chain. A value chain analysis may be used by a company to identify the components of its business model that promote or obstruct cost effectiveness.

What is the value chain model? How may it be applied to find strategic information system opportunities?

The value chain model identifies specific, significant leverage points where a company may use IT most profitably to improve its market position. This model states that a business is made up of a set of essential jobs that collectively offer its products and services value.

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If average demand for an inventory item is 250 units per day, lead time is 4 days, and safety stock is 200 units, what is the reorder point

Answers

The reorder point for this inventory item is 1200 units. This means that when the inventory level reaches 1200 units, it is time to reorder more inventory to avoid stockouts during the lead time.  It is calculated based on the average demand, lead time, and safety stock. In this case, the average demand for the inventory item is 250 units per day, the lead time is 4 days, and the safety stock is 200 units.

To calculate the reorder point, we need to consider the amount of inventory that is needed to cover the demand during the lead time and the safety stock. The formula for reorder point is:
Reorder point = (Average daily demand x Lead time) + Safety stock
Using the given values, we can calculate the reorder point as follows:
Reorder point = (250 units/day x 4 days) + 200 units
Reorder point = 1000 units + 200 units
Reorder point = 1200 units
Therefore, the reorder point for this inventory item is 1200 units. This means that when the inventory level reaches 1200 units, it is time to reorder more inventory to avoid stockouts during the lead time. By setting the reorder point at this level, the company can ensure that it has enough inventory to meet the demand and avoid disruptions in the supply chain.

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Calculate/answer each question using the simple elasticity formulas learned in this unit. Be sure to simplify, and reduce fractions all the way down. Do not use decimals, nor mixed numerals. All values reduce, have common factors in this problem. a. If the price of a product goes up 80%, the quantity supplied of that product goes up 59%. What is Es and is supply price-elastic, price-inelastic or unit-price-elastic b. It does not matter if the price of product B rises or drops 14%, the Qd of product A does not change at all. What is EAB and what kind of products related in consumption are A & B?C. If income rises 35%, Qd rises 63%. What is Ej and what kind of income-related product is it? d. If Price of product B rises 75%, Qp of product A drops 90%. What is EAB and what kind of products related in consumption are A & B? e. It does not matter if income rises nor drops 10%, Qd for a product does not change at all. What is Ei and what kind of income-related product is it?

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a. To calculate Es (price elasticity of supply), use the formula Es = (% change in quantity supplied) / (% change in price). In this case, Es = (59% / 80%) = 59/80, which simplifies to 37/40. Since 0 < Es < 1, the supply is price-inelastic.

b. In this case, the quantity demanded of product A does not change when the price of product B changes. Therefore, EAB = 0. Products A and B are unrelated in consumption.

c. To calculate Ej (income elasticity of demand), use the formula Ej = (% change in quantity demanded) / (% change in income). In this case, Ej = (63% / 35%) = 63/35, which simplifies to 9/5. Since Ej > 1, the product is a normal good and income-elastic.

d. To calculate EAB (cross-price elasticity of demand), use the formula EAB = (% change in quantity demanded of product A) / (% change in price of product B). In this case, EAB = (-90% / 75%) = -90/75, which simplifies to -6/5. Since EAB < 0, products A and B are complements in consumption.

e. In this case, the quantity demanded does not change when income changes. Therefore, Ei (income elasticity of demand) = 0. The product is an income-inelastic good, specifically a necessity.

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Stef and Tyler agree in an exchange of e-mail to form a partnership to buy and sell real property. Their partnership agreement is legally binding

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Stef and Tyler should approach their partnership with caution, taking the time to fully understand the terms of their agreement and seek professional advice as needed. By doing so, they can minimize potential risks and maximize their chances of success.

Stef and Tyler's agreement to form a partnership to buy and sell real property via email is legally binding, as email communications are considered to be a form of written agreement. As such, the terms of their partnership agreement are enforceable under the law. It is important for Stef and Tyler to have a clear understanding of their respective roles and responsibilities within the partnership, as well as the terms and conditions of their agreement. This may include outlining how profits and losses will be shared, how decisions will be made, and what happens if one of them wants to leave the partnership. In addition, Stef and Tyler should consider consulting with a lawyer to ensure that their partnership agreement complies with local laws and regulations, and to address any potential legal issues that may arise. A well-drafted partnership agreement can help to prevent disputes and ensure a smooth and successful partnership.

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The work and leisure model predicts that where there is a decrease in the wage rate and the substitution effect exceeds the income effect that Select one: a all the options listed here in b. less labour hours will be supplied the worker becomes more hedonic C more leisure will be sought d the worker becomes more hedonic

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The work and leisure model predicts that if there is a decrease in the wage rate and the substitution effect exceeds the income effect, then the worker will choose to work fewer hours and spend more time on leisure activities. This can be seen as the worker becoming more hedonic. Option c is correct answer.

This is because the substitution effect encourages the worker to substitute leisure for work when the wage rate decreases, while the income effect may encourage them to work more to make up for the loss in income. However, if the substitution effect is stronger, then the worker will choose to work less and seek more leisure time. As they prioritize leisure and enjoyment over work and income. Therefore, the correct answer to the question is option C, where more leisure will be sought.

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In the old days, it was often done with architecture. Bank buildings were massive buildings with large cement pillars in front. Are things being different today or not? Assess the implications and risks associated with COVID 19.

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In the past, architecture played a significant role in the design of bank buildings, with grand facades and imposing cement pillars being a common feature. However, in today's world, things have evolved, and modern bank buildings are designed to be more practical, efficient and customer-centric.

The COVID-19 pandemic has brought about significant changes in the way we live, work and do business. The implications and risks associated with the virus have forced banks to reconsider how they operate, interact with customers and design their buildings. With social distancing protocols in place, the need for open, spacious and well-ventilated buildings has become a top priority for banks. The risk of transmission of the virus through surfaces and air conditioning systems has also led to changes in the way buildings are constructed and maintained.

Banks are now focusing on building designs that promote social distancing, such as the installation of plexiglass barriers, wider aisles, and contactless payment systems. They are also investing in advanced air filtration and purification systems to prevent the spread of the virus.

Overall, the COVID-19 pandemic has had significant implications and risks associated with architecture and bank buildings. However, with careful planning and implementation of new technologies, banks can continue to provide safe and efficient services to their customers.

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Weldon Walker is an artist and an apparel manufacturer. He creates original logos and trademarks for his clients. His clients then order apparel from him containing the original logos and trademarks. One of Weldon's clients is Paul Dunbar. Paul owns a health care company with 3500 employees. On January 5, Paul orders $40,000 worth of apparel products from Weldon, to be delivered by March 1. As payment, Paul gives to Weldon a promissory note that states, "I, Paul Dunbar, promise to pay to Weldon Walker, the amount of $40,000 dollars on June 1." The Note is signed and dated. On February 1, Weldon sells the promissory note to James Johnson for $30,000 because Weldon is in need of cash flow to complete Paul's order. Weldon endorses the note, "Pay to James Johnson, without recourse", and signs it "Weldon Walker". On May 1, James Johnson gives the note to his daughter Toni Morrison as a wedding gift. James Johnson endorses the note, by signing his signature "James Johnson". On June 1, Toni Morrison presents the note to Paul Dunbar for payment. Paul refuses to pay the note. Paul advises Toni that he is not going to pay the note because Weldon Walker breached the contract because Weldon never delivered any of the apparel that Paul ordered. ANSWER THE FOLLOWING QUESTIONS about the above Scenario: (DO NOT RESTATE the question. Just place the question number at the start of your answer to each question.) 1. What is the legal significance of the indorsement by which the February 1 promissory note was negotiated from Weldon to James. (5 pts). 2. As to the issue of whether Paul must pay Toni, explain the rule(s) (and any exceptions) that you must apply to determine whether the U.C.C. requires that Paul pay Toni. (25). 3. Apply the rule that you just explained to the facts of this scenario and answer the question of whether the U.C.C. requires that Paul pay Toni the amount stated in the note. (5 pts).

Answers

This defense does not apply to Toni because she took the note in good faith and for value, without notice of any defenses against it. Therefore, under the U.C.C., Paul is required to pay Toni the amount stated in the note on June 1.

1. The endorsement by which the February 1 promissory note was negotiated from Weldon to James means that Weldon is transferring the ownership of the note to James. By adding "without recourse" to the endorsement, Weldon is stating that he will not be held liable if Paul does not pay the note.

2. The rule that must be applied to determine whether the U.C.C. requires that Paul pay Toni is the principle of negotiability. Under the U.C.C., a negotiable instrument, such as a promissory note, is transferable to a third party who takes it in good faith and for value, without notice of any defenses against the note.

There are exceptions to this rule, such as if the original contract between the parties is void or if the transferor of the note had no right to transfer it. Additionally, if the third party took the note with notice of any defenses against it, then the principle of negotiability does not apply.

3. In this scenario, Paul is refusing to pay the note because Weldon breached the contract by not delivering the apparel that Paul ordered. However, this defense does not apply to Toni because she took the note in good faith and for value, without notice of any defenses against it. Therefore, under the U.C.C., Paul is required to pay Toni the amount stated in the note on June 1.

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Question 05: Explain the difference between a job description and a job specification. Answer:

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Answer:

A job description usually lists out the job title, location, job summary, working environment, duties to be performed on the job, etc. A job specification lists out the qualifications, experience, training, skills, emotional attributes, mental capabilities of an individual to perform the job.

Explanation:

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