According to expectancy theory, low expectations lead to low motivation and effort, which results in poor performance.
The problem here is that the team has low expectations or low self-efficacy when it comes to the goal of handling fewer than 100 bags.
This is why the team has never mishandled fewer than 200 bags, because their expectations are too low and they are not motivated to do better.
Low expectations lead to poor performance because they cause individuals to lack motivation and effort. When a goal is deemed too difficult or too far out of reach, people tend to give up before they even begin. This leads to a lack of effort and commitment, resulting in subpar performance.
In order to raise expectations and improve performance, the goal needs to be broken down into smaller, more manageable chunks. For example, the team should set smaller goals, such as handling 150 bags the first week and then gradually decreasing the number until they reach the ultimate goal of 100 bags.
Additionally, the team should have clear goals and timelines for each objective, which should be discussed and agreed upon by all team members. This will ensure that each member is committed to reaching the final goal. Lastly, the team should be praised and rewarded for successes along the way in order to motivate them and boost morale.
By following these steps, the team can achieve their goal of handling fewer than 100 bags.
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clay purchased elm corporation stock 20 years ago for $10,000. in the current year, he sells the stock for $29,000. what is clay's gain or loss
Clay's Capital gain is $19,000. Clay purchased the Elm Corporation stock 20 years ago for $10,000. This means that in the current year, he sold the stock for $29,000, resulting in a gain of $19,000.
The gain or loss of a security is calculated by subtracting the purchase price from the sale price. In this case, Clay's gain is $19,000 ($29,000 - $10,000 = $19,000).
Capital gains and losses are reported on the IRS tax form Schedule D, and the gain or loss is calculated by subtracting the original cost basis (the cost at the time of purchase) from the current sale price.
If the sale price is higher than the original cost basis, then the difference is the gain, and if it is lower, then the difference is the loss.
In Clay's case, the sale price was $29,000, which was higher than the original cost basis of $10,000, resulting in a gain of $19,000. Clay must report this gain on his tax return, and he may be liable for taxes depending on his other income and deductions.
Therefore, Clay's gain from selling the Elm Corporation stock is $19,000.
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john maynard keynes argued that people demand money for three reasons. what are these three reasons? group of answer choices
John Maynard Keynes argued that people demand money for three reasons. These reasons are: a) Transactions demand, which is the amount of money held for daily transactions b) Precautionary demand, which is the amount of money held for uncertain events c) Speculative demand, which is the amount of money held to take advantage of future opportunities and prices.
Keynes's liquidity preference theory stated that people tend to choose liquidity because it has no interest rate risk. A theory of interest rate determination that proposes that the demand for money and the supply of money are critical factors in determining interest rates is known as liquidity preference theory. It is based on the concept that people prefer liquid assets to illiquid ones because liquid assets are more easily exchanged for goods and services than illiquid assets.
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true or false: under the uruguay round of trade negotiations, the across-the-board tariff cuts for industrial countries averaging 40% and complete elimination of tariffs in several sectors are among the major policies adopted.
Under the Uruguay Round of trade negotiations, the across-the-board tariff cuts for industrial countries averaging 40% and the complete elimination of tariffs in several sectors are among the major policies adopted. The statement given in the question is true.
What Is The Uruguay Round?The given statement "Under the Uruguay Round of trade negotiations, the across-the-board tariff cuts for industrial countries averaging 40% and the complete elimination of tariffs in several sectors are among the major policies adopted" is true because the Uruguay Round of trade negotiations led to across-the-board tariff cuts for industrial countries averaging 40% and the complete elimination of tariffs in several sectors. The Uruguay Round of trade negotiations was conducted under the General Agreement on Tariffs and Trade (GATT), a treaty established in 1947. The Uruguay Round was the eighth round of trade negotiations under the GATT and was held between 1986 and 1994. The Uruguay Round had a significant impact on global trade policies.
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a firm's output price is $8 and the firm is producing 77 units with a marginal cost of $11. the firm should
The firm is producing at the point where MR = MC since the firm's marginal cost is also $11. Consequently, despite not turning a profit on each unit sold, the company should continue to produce 77 units in the near future.
Based on the information provided, the firm is currently facing a situation where the marginal cost of producing an additional unit is greater than the price they are charging for their output. This suggests that the firm may not be operating at an optimal level of production and may be incurring losses.
To determine whether the firm should continue producing 77 units or adjust their production level, we need to consider the concept of profit maximization. In order to maximize profits, a firm should produce at a level where marginal revenue (MR) equals marginal cost (MC).
In this case, we don't have information about the firm's marginal revenue. However, we know that the firm's output price is $8, which can give us an idea of their average revenue (AR). Since the firm is a price-taker in a competitive market, we can assume that the firm's average revenue is equal to the market price, which is $8.
Using this information, we can calculate the firm's average total cost (ATC) as follows:
ATC = Total cost / Quantity
ATC = (77 x $11) / 77
ATC = $11
This means that the firm's average cost per unit is $11. Since the firm's output price of $8 is lower than their average cost of $11, they are not making a profit on each unit sold.
To determine whether the firm should adjust their production level, we need to compare their marginal revenue (MR) to their marginal cost (MC). Since we don't have information about the firm's marginal revenue, we can use their average revenue (AR) as a proxy. In a perfectly competitive market, the firm's marginal revenue is equal to their average revenue.
If we assume that the firm's marginal revenue is equal to their average revenue of $8, then we can calculate their marginal cost (MC) as follows:
MC = Change in total cost / Change in quantity
MC = ($11 x 77) - ($11 x 76)
MC = $11
Since the firm's marginal cost is also $11, this means that the firm is producing at the point where MR = MC. Therefore, the firm should continue producing 77 units in the short run, even though they are not making a profit on each unit sold.
However, in the long run, the firm may need to consider adjusting their production level or finding ways to reduce their costs in order to remain profitable.
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larry's car had a tune-up, and the mechanic told him it's going to need a new timing belt at the next scheduled maintenance. larry decides to sell the car, and tells the buyer that the maintenance is up to date. this is .
By failing to inform the customer that the automobile would soon need a new timing belt, a critical maintenance item, Larry is acting dishonestly.
When a timing belt has to be replaced, what?In addition to replacing the timing belt, a professional repair shop should also do a few other things. It is also advisable to replace the tensioner and idler rollers. The crankshaft seal and the camshaft seal will also be inspected by the technician, who will replace them if necessary.
Could you only replace the timing belt?However, if you prefer making your own repairs and restorations, you may do it yourself and avoid paying hefty repair expenses in the process. We'll demonstrate how to do it step-by-step.
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agile development methodologies work best for large scale projects. question 9 options: true false
The given statement "Agile development methodologies work best for large-scale projects" is false.
Agile software development is a set of techniques and philosophies used to develop software. Agile methodologies focus on lightweight processes and flexibility, where requirements and solutions evolve through the collaborative effort of self-organizing and cross-functional teams.
Agile development methodologies are not always the most appropriate choice for large-scale projects. While agile approaches can scale, it requires significant changes in the way software development teams operate. Agile development methodologies have several features that make them suitable for small projects, such as the following:
Self-organizing teamsAdaptability and flexibilityIterative developmentWhile Agile development methodologies are effective for small to medium-sized projects, large-scale projects typically require more planning and oversight. The development team may require detailed specifications, which go against the agile methodology's principles. As a result, a traditional methodology may be more effective for large-scale projects. In summary, Agile development methodologies work best for small to medium-sized projects.
The statement that agile development methodologies are most effective for large-scale projects is false, as other methodologies may be more suitable for such projects.
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a senior manager of a regional office branch needs a payroll report of all staff, to calculate next year's budget. which program is not useful for that?
One program that is not useful to generate a payroll report of all staff for the senior manager of a regional office branch to calculate next year's budget is Photoshop.
Photoshop is an image editing software used to create or manipulate images, graphics, and other digital art materials. However, a payroll report is generated to present data on employee salaries, bonuses, benefits, and other payment-related items. This data is used to track the company's expenses and to make critical decisions about the budget for the following year. Therefore, a payroll report can be generated using programs such as Excel, QuickBooks, or payroll software. These programs are specifically designed to automate accounting and finance tasks, and they include features that make creating a payroll report simple and efficient.
In conclusion, Photoshop is not useful for generating a payroll report of all staff for the senior manager of a regional office branch to calculate next year's budget. Instead, software such as Excel, QuickBooks, or payroll software should be used to generate a payroll report that includes all relevant employee payment information.
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rocco's operates a take-out pizza shop on campus. the cost of a slice of pizza and a soft drink normally costs $4.99; however, if students show their school id, they will only be charged $3.99. this is an example of
Rocco's take-out pizza shop is offering a discount as a way to promote their business and encourage customer loyalty. The discounted rate of $3.99 for a slice of pizza and a soft drink is a great deal for students who show their school ID.
A discount is when a person or organization is able to purchase goods or services at a reduced rate due to a promotion or incentive. In this example, Rocco's take-out pizza shop is offering a discounted rate for students that show their school ID.
Discounts can be used as a way to encourage customer loyalty, attract new customers, and reward regular customers. The idea is that customers will be more likely to purchase the discounted items because they are getting them for less. In Rocco's example, offering a discount on pizza and a soft drink may encourage students to choose their shop over other take-out pizza shops on campus.
Discounts can also be used to stimulate the economy. In times of economic recession, businesses may offer discounts to help boost consumer spending and help get the economy back on track. In this case, Rocco's may be offering their discount in an effort to encourage more student spending.
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the calculation of the contingent deferred sales load upon the redemption of a mutual fund is based on
The calculation of the contingent deferred sales load upon the redemption of a mutual fund is based on the length of time the investor holds the fund.
The length of time that a person holds a mutual fund is known as the holding period. As a result, the longer a person holds a fund, the lower the amount of the contingent deferred sales load (CDSL).
What is a Contingent Deferred Sales Load (CDSL)?A CDSL is a fee that mutual fund investors must pay when they sell shares of the mutual fund. This is a commission that is paid to the salesperson who marketed the mutual fund to the investor. CDSLs are usually calculated as a percentage of the total value of the mutual fund that an investor is selling.
For instance, if an investor sells $10,000 worth of mutual fund shares and the CDSL is 2%, the investor must pay a $200 CDSL. The CDSL is typically higher for funds that have a shorter holding period, but it decreases as the length of time an investor holds the fund increases.
Mutual fund managers use this to promote long-term investments rather than short-term trades. Because it encourages investors to hold onto their investments for extended periods, the CDSL can be viewed as a helpful component of mutual fund investing.
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Contingent Deferred Sales Charge (CDSC), also known as a back-end charge, is a cost imposed by a mutual fund when an investor redeems shares or units.
What is a contingent deferred sales load?
A Contingent Deferred Sales Charge (CDSC), also known as a back-end charge, is a cost imposed by a mutual fund when an investor redeems shares or units.
A back-end load is the opposite of a front-end load, which is a charge imposed by a mutual fund when an investor first buys shares or units.
When an investor purchases shares in a mutual fund with a back-end load, the investor does not pay a sales charge up front, but instead pays the charge when the investor redeems shares in the future.
How is the calculation of the contingent deferred sales load upon the redemption of a mutual fund done?
The calculation of the contingent deferred sales load upon the redemption of a mutual fund is based on the number of shares redeemed and the length of time the shares were held.
The fee, which is calculated as a percentage of the value of the shares redeemed, decreases over time as the shares are held, with the fee typically disappearing after a specified holding period such as six or seven years.
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when creating organization change that has to do with people, what is a common focus? a. line-staff structure b. perceptions and expectations c. job design d. pay and benefits e. reporting relationships
When creating organizational change that has to do with people, a common focus is (c) job design.
What is organizational change?This can include tasks, roles, responsibilities, and the overall structure of jobs within the organization. Line-staff structure, perceptions and expectations, pay and benefits, and reporting relationships may also be factors to consider, but job design is a common focus.
Organizational change refers to the process of making significant changes to an organization's structure, processes, culture, or strategies in order to improve its performance, effectiveness, or competitiveness. It may involve changes to various aspects of the organization, such as its leadership, management, systems, technology, products, services, or workforce.
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to offset taxable income in a given year, ordinary corporate operating losses can be: carried back for 5 years and carried forward for 10 years carried forward indefinitely
Yes, to offset taxable income in a given year, ordinary corporate operating losses can be carried back for 5 years and carried forward for 10 years.
Prior to the Tax Cuts and Jobs Act (TCJA) of 2017, ordinary corporate operating losses could be carried back for two years and carried forward for 20 years. However, under the TCJA, losses incurred in taxable years beginning after December 31, 2017, can no longer be carried back, but can be carried forward indefinitely. So, to offset taxable income in a given year, ordinary corporate operating losses can be carried forward indefinitely, but not carried back. This means that if a corporation incurs an operating loss in a given year, it can use that loss to offset taxable income in future years until the entire loss is used up. However, the loss cannot be applied to prior years' income to receive a tax refund.
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Ordinary corporate operating losses can be offset by carrying them forward for up to ten years or by carrying them back for up to five years.
Ordinary corporate operating losses can be offset against taxable income in the following ways:
Carryback: A corporation can apply operating losses to reduce taxable income in the five preceding tax years. This means that the corporation can receive a refund for taxes paid in the past by carrying back the operating losses to reduce taxable income in those years.Carryforward: If the operating losses cannot be fully used to offset taxable income in the current year, the remaining losses can be carried forward for up to 10 years. This means that the corporation can use the operating losses to reduce taxable income in future years.By using the carryback and carryforward provisions, corporations can reduce their taxable income and lower their tax liability. This can help corporations to maintain financial stability during periods of economic downturn or financial difficulty, as well as encourage business investment and innovation. However, it is important to note that there are limitations and restrictions on the use of carryback and carryforward provisions, so it is recommended that corporations seek professional advice from a tax expert.
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alice and her four siblings are starting their own home design business. one of their primary goals is keeping the loving relationship they currently enjoy, so they are following the model business corporation act recommendations as they write their partnership agreement. what is an accurate recommendation of the act?
The Model Business Corporation Act recommends that Alice and her four siblings create a partnership agreement that clearly lays out each partner's rights and responsibilities, along with the rules of management and decision-making.
One of the accurate recommendations of the Model Business Corporation Act that the siblings should follow while writing their partnership agreement for their home design business is: They must include the detailed provisions that govern the rights and duties of the partners within the business, including the standards for the sharing of profits and losses, the termination of the partnership, and the fiduciary duties owed by the partners towards each other.
Model Business Corporation Act (MBCA) is a standardized law enacted by states in the United States for the governance of business corporations. It specifies the various rules and regulations governing the formation, management, and dissolution of corporations. The MBCA also recommends the legal requirements that all corporations must comply with.
According to the question, Alice and her four siblings want to establish their home design business. They want to maintain their loving relationships with each other, so they have decided to follow the recommendations of the Model Business Corporation Act while writing their partnership agreement.
The siblings should keep in mind that a partnership agreement is an essential document that specifies the various rights and duties of partners, the duration of the partnership, the investment of capital, the sharing of profits and losses, and the termination of the partnership.
It is therefore important that they include the detailed provisions that govern the rights and duties of the partners within the business, including the standards for the sharing of profits and losses, the termination of the partnership, and the fiduciary duties owed by the partners towards each other.
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During recessions, automatic stabilizers tend to make the government's budget
(2%)
A. move toward deficit.
B. move toward surplus.
C. not necessarily move the budget in any particular direction.
D. move toward balance.
The correct answer is A. During recessions, automatic stabilizers tend to make the government's budget move toward deficit. Automatic stabilizers are economic policies that work to stabilize an economy without any intervention or direct action from policymakers. They are often built into existing policies and systems and activate automatically in response to changes in the economy. During recessions, automatic stabilizers tend to lead to increased spending on programs such as unemployment benefits, which helps support those who have lost their jobs. This increased spending tends to lead to a budget deficit for the government.When answering questions on Brainly, it is important to always be factually accurate, professional, and friendly. Answers should be concise and not provide extraneous amounts of detail. It is also important to use the terms provided in the student's question. In response to the student's question.
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a(n) is an informal tool used to organize the accounting information and to prepare adjusting and closing entries at the end of the period. (enter only one word.)
"A worksheet is an informal tool used to organize the accounting information and to prepare adjusting and closing entries at the end of the period."
A worksheet is a document used in accounting to organize and summarize financial information. It is an informal tool used to prepare adjusting and closing entries at the end of an accounting period. The worksheet contains various columns that show the account balances before and after adjustments, as well as the adjustments themselves. The purpose of the worksheet is to help accountants and bookkeepers ensure that the financial statements are accurate and complete.
It also provides a convenient way to make necessary adjustments to the accounts before preparing the final financial statements. Overall, a worksheet is a valuable tool in the accounting process that helps ensure the accuracy of financial information.
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question if a u.s. car manufacturer opens a factory in vietnam, this would be responses foreign direct investment. foreign direct investment. a portfolio investment. a portfolio investment. hedging.
If a u's car manufacturer opens a factory in Vietnam, this would be responses foreign direct investment. foreign direct investment. a portfolio investment.
Which three sorts of investing portfolios are there?portfolio of growth. A growth portfolio, as its name implies, seeks to foster growth by taking bigger risks, such as investing in expanding industries.
Earnings portfolio.
Portfolio of values.
What is class 11 of a portfolio investment?An investment in a portfolio is a passive purchase of securities made with the hope of making a profit. The risk taken and the profits received are inversely correlated. Money-weighted returns are one of the many return calculations available.
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research suggests that there are 4 factors that appear to be crucial to a new product's success. the most important is:
The four factors that research suggests are crucial to a new product's success are the market opportunity, the product’s features, the marketing plan, and the company’s execution. Of these, the most important is the market opportunity, which focuses on understanding the consumer needs and determining if the market can support the product.
Overall, the market opportunity is the most important factor in determining a new product’s success. A thorough understanding of the market, consumer needs, and competitors can help a company create and launch a successful product.
Match the expectations customers have from the suppliers (in the left column) to their definitions (in the right column).
competence- suppliers will be competent in their execution of every interaction
reliability- performing all activities as promised or according to accepted norms, including basic service and special requests
responsiveness- prompt delivery, handling of inquiries, and resolution of problems
access- easy contact for order placement, information, order status and so on
communication- keeping customers informed, particularly if problems arisecredibility- strightforward and honest communication
security- limiting custmer's feelings of risk, including date confidentiality
courtesy- polite, friendly, and respectful interactions
tangibles- acceptable appearance of facilities, equipment, and personnel (for example, UPS delivery drivers always wear the well known brown unifrom)
knowing the customer- understanding and adapting to a given customer's specific requirements
Customers have a number of expectations from their suppliers such as competence, reliability, communication, credibility, and responsiveness, among others. A detailed list of customer expectations from suppliers are given below.
The given expectations can be matched with their definitions in the following manner:
Expectations customers have from the suppliers Definitions
1. Competence Suppliers will be competent in their execution of every interaction.
2. Reliability Performing all activities as promised or according to accepted norms, including basic service and special requests.
3. Responsiveness Prompt delivery, handling of inquiries, and resolution of problems.
4. Access Easy contact for order placement, information, order status, and so on.
5. Communication Keeping customers informed, particularly if problems arise.
6. Credibility Straightforward and honest communication.
7. Security Limiting customers' feelings of risk, including data confidentiality.
8. Courtesy Polite, friendly, and respectful interactions.
9. Tangibles Acceptable appearance of facilities, equipment, and personnel (for example, UPS delivery drivers always wear the well-known brown uniform).
10. Knowing the customer Understanding and adapting to a given customer's specific requirements.
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you and a friend start a snow cone stand. on your first day you realize that there are really two tasks involved: cashier and snow cone maker. if you each focus on one of the two jobs, this is known as blank . multiple choice question. division of labor
The management of organisational change must be done on a larger scale than ever before given the quickly changing nature of the corporate environment today. Nonprofit executives are expected to make wiser, more strategic choices.
What is division of labor?
the division of a work process into several tasks, each of which is carried out by a different individual or group of people. The assembly line found in the majority of manufacturing facilities is an illustration of labour division. Before the product proceeds to the next station in an assembly line, each worker has a duty to perform.
The product is moved between stations while each station's employee continually completes the same duty. Specialization is the main driver of labour division. Efficiency is created when a complicated work process is divided into smaller, more manageable jobs because people become proficient in the particular duties they are given.
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which part of the check is used to write the amount in words? imported asset responses a a b b c c e
The part of the check that is used to write the amount in words is the line labeled "Pay to the order of."
What is a check?
A check is a written order instructing a financial institution to pay a specific amount of money to a particular recipient. Checks are a type of negotiable instrument, which means that they can be legally traded for cash or goods and services.
A check typically has several parts, including the following: Date: The date on which the check was written. Payer's Name: The name of the individual or company who wrote the check. Payee's Name: The name of the person or entity who will receive the money.
Amount in Digits: The amount of money to be paid in numerical format. Amount in Words: The amount of money to be paid in written format. Signature: The signature of the person who wrote the check.
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estimate the value of this property assuming a five-year holding period and that you expect to incur selling expenses of 5% when the property is sold at the end of the holding period. assume the terminal cap rate is 11% and the overall discount rate is 10%. the value of the property is:
The value of property = Present Value x (1 - 0.10)^5.
The value of the property can be estimated by using the discounted cash flow (DCF) analysis. The DCF analysis takes into consideration the expected cash flow from the property, the terminal cap rate, and the overall discount rate, which is the discount rate applied to future cash flows.
To estimate the value of the property, we will first need to calculate the net operating income (NOI) of the property. This can be done by subtracting the operating expenses from the expected revenue.
Next, we will calculate the present value of the property. This can be done by multiplying the net operating income (NOI) by the terminal cap rate and then subtracting the expected selling expenses. The formula to calculate the present value is:
Present Value = NOI x (1 - Terminal Cap Rate) - Selling Expenses
Using the values given in the question, the present value of the property can be calculated as follows:
Present Value = NOI x (1 - 0.11) - 0.05
Assuming a five-year holding period and a 10% overall discount rate, the value of the property can be estimated as follows:
Value of Property = Present Value x (1 - Overall Discount Rate)^5
Value of Property = Present Value x (1 - 0.10)^5
Therefore, the estimated value of the property with a five-year holding period and a 10% overall discount rate is: Value of Property = Present Value x (1 - 0.10)^5.
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if you want to open a burger king in another country, you must pay a fee to burger king plus a share of the profit, and burger king will provide its materials and services to you in return. this is an example of which means of entering a foreign market?
If you want to open a Burger King in another country, you must pay a fee to Burger King, plus a share of the profit, and Burger King will provide its materials and services to you in return. This is an example of a franchise as a means of entering a foreign market.
Franchising is one of the most widely used market entry methods by multinational companies, as it enables them to expand rapidly while avoiding the risks associated with large-scale direct investment in foreign countries. Franchising is a form of a strategic alliance that enables one party, the franchisor, to expand the use of its brand, technology, knowledge, or expertise in exchange for certain fees and royalties to another party, the franchisee, who pays a fee to the franchisor in exchange for the right to use its trademarks, operating systems, and other resources.
A franchise agreement usually specifies the rights and obligations of each party, as well as the terms and conditions for using the franchisor's intellectual property, training, marketing, and other support services. Burger King is a global franchise chain that operates in over 100 countries, and its success has been largely due to its franchising model. Burger King's franchisees benefit from its well-known brand, effective marketing, proven operating systems, and standardized recipes and ingredients, while also paying a franchise fee, royalties, and a share of the profits to the franchisor. This enables Burger King to expand its presence in new markets quickly, while also minimizing the risks and costs of doing business in foreign countries.
In conclusion, franchising is an effective means of entering foreign markets for multinational companies, as it enables them to leverage their strengths while minimizing the risks and costs of doing business in new markets. By using franchising, companies can expand their global presence while also maintaining control over their intellectual property, brand reputation, and quality standards, while also sharing the risks and rewards of doing business with their franchisees.
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2. calculate the dollar sales needed to attain a target profit of $9,200. (round your intermediate calculations to the nearest whole number.)
The dollar sales needed to attain a target profit of $9,200 are $16,100.
To calculate the dollar sales needed to attain a target profit of $9,200, you must know the total sales amount and the total cost amount.
The following formula may be used:
Profit = Total sales - Total cost or Profit = Unit Profit x Quantity - Total fixed costs. Where Profit is equal to the target profit. And unit profit is the profit earned per unit of sales.
In the given question, we are not given the unit profit or quantity or fixed cost. So, we can't use the second formula.
We will use the first formula.
Profit = Total sales - Total cost
$9,200 = Total sales - Total cost
$9,200 = Total sales - $6,900 (Total cost is calculated as 75% of sales)
$9,200 + $6,900 = Total sales
$16,100 = Total sales
Therefore, the dollar sales needed to attain a target profit of $9,200 are $16,100.
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when a firm pursues a differentiation strategy, it is attempting to . group of answer choices develop unique products and services expand the company to increase the firm's sales be the lowest-cost producer for a particular level of product quality achieve the efficient production and delivery of products
When a firm pursues a differentiation strategy, it is attempting to develop unique products and services. This means creating a product or service that is unique from what other firms are offering, in order to stand out and attract customers.
A firm that pursues a differentiation strategy aims to create a product or service that is different from other firms in the same market. This helps the firm stand out and attract customers. The product or service may be of higher quality or have some other unique feature that appeals to customers. The firm may also provide better customer service or a more personalised experience than competitors. By offering something unique, the firm can charge a premium price and generate more revenue.
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hayes incorporated provided the following information for the current year: beginning inventory 170 units units produced 820 units units sold 869 units selling price $ 220 /unit direct materials $ 42 /unit direct labor $ 23 /unit variable manufacturing overhead $ 22 /unit fixed manufacturing overhead $ 31,980 /year variable selling/administrative costs $ 15 /unit fixed selling/administrative costs $ 22,500 /year what is the product cost per unit for the year using variable costing? multiple choice $102 $163 $126 $122 $87
In the given problem, the product cost per unit using variable costing is $87.
Therefore, option E is the appropriate Option.
How to Calculate the Product Cost?To calculate the product cost per unit using variable costing, we need to consider only the variable manufacturing costs, such as direct materials, direct labor, and variable manufacturing overhead, and exclude fixed manufacturing overhead as well as fixed selling and administrative costs.
The variable manufacturing cost per unit is the sum of direct materials, direct labor, and variable manufacturing overhead, which is $42 + $23 + $22 = $87.
Therefore, the product cost per unit using variable costing is $87.
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the dcf (discounted cash flow) portion of a three-statement model begins with ebit, not net income because:
The dcf (discounted cash flow) portion of a three-statement model begins with EBIT, not net income because the EBIT represents the operating income of the company before accounting for interest and taxes, which are financing and non-operating activities.
What is use of EBIT in discounted cash flow?Using EBIT as the starting point for the DCF analysis allows for a more accurate assessment of the company's ability to generate cash flows from its core operations, without being distorted by the impact of financing and non-operating activities.
The DCF model then adjusts for taxes and interest to arrive at the company's free cash flow, which represents the amount of cash generated by the company's operations that is available to be reinvested in the business or returned to shareholders.
Starting with EBIT also provides a clearer picture of the company's profitability and operating performance, which is essential for making informed investment decisions.
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when a principal is partially disclosed: group of answer choices only the agent is liable both the agent and the principal will be liable on the contract only the third party can enforce the contract on the principal can be liable
When a principal is partially disclosed, In a partially disclosed agency, the principal is only liable to the third party for losses arising from the agent's actions that are authorized by the principal.
What does it mean when a principal is partially disclosed, In a partially disclosed principal, the third party knows that an agent is acting for a principal but doesn't know the identity of the principal.
In this type of agency, the agent is not personally liable in the contract with the third party; rather, only the principal is liable for the contract. The agent, however, can be liable to the principal for any losses resulting from the transaction.
The contract may be enforced by the third party against the principal but not against the agent. Thus, the third party cannot hold the agent responsible for any unpaid obligations or default in performing the contract. Instead, the third party can only seek recourse against the principal for any damages.
The rule for the principal in the partially disclosed agency is that he or she is responsible for the acts of the agent to the same extent that the principal would be responsible for the agent's actions if he or she had been fully disclosed.
When a principal is partially disclosed, In a partially disclosed agency, the principal is only liable to the third party for losses arising from the agent's actions that are authorized by the principal.
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what must an aggrieved buyer prove to obtain the remedy of specific performance in the event of a breach by the seller?
The remedy of specific performance in the event of a breach by the seller can be obtained by an aggrieved buyer by proving that the goods are unique and that monetary damages are inadequate to compensate for the loss or damage incurred by the buyer.
What is the remedy of specific performance?Specific performance is a type of legal remedy that is available to a buyer who has suffered a loss or damage as a result of the seller's failure to comply with the terms of the agreement. This remedy requires the seller to fulfill their contractual obligation by providing the buyer with the goods or services that were originally agreed upon.
The remedy of specific performance is only granted in limited circumstances, such as when the goods are unique and cannot be easily replaced, or when monetary damages would be insufficient to compensate for the buyer's loss or damage.
The burden of proof lies with the aggrieved buyer, who must demonstrate that they have suffered a loss or damage as a result of the seller's breach, and that specific performance is the only adequate remedy for this loss or damage.
In summary, an aggrieved buyer must prove that the goods are unique and that monetary damages are inadequate to compensate for the loss or damage incurred by the buyer to obtain the remedy of specific performance in the event of a breach by the seller.
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the rate of return on a savings account may also be referred to as . question 4 options: yield compounding liquidity equity
The rate of return on a savings account may also be referred to as yield. Yield is the percentage of money earned on an investment or a financial product over a specific period.
It is also known as the return on investment (ROI). This percentage is calculated by dividing the earnings by the amount invested or the principal.
Yield can be either nominal or real, depending on the inflation rate. Nominal yield is the percentage of returns before factoring in inflation, whereas real yield is calculated after accounting for inflation. The higher the yield, the more profitable the investment or savings account is.
The rate of return on a savings account is dependent on the bank's interest rate policy. A bank may offer a fixed interest rate or a variable interest rate, which is based on market conditions.
A savings account with a higher interest rate provides a higher yield. The compounding effect can also increase the yield on a savings account.
Compounding refers to the interest earned on the principal and the interest previously earned on the account.
This compounding interest is added to the account balance and earns more interest, leading to an exponential growth in savings. Liquidity refers to the ease with which an investment can be converted into cash without losing value.
Savings accounts are highly liquid, which means that the money can be withdrawn quickly without any penalty.
Equity is the difference between the assets and liabilities of an individual or a business. It does not apply to a savings account. Yield is an essential factor to consider while choosing a savings account.
A high-yield savings account can earn more interest and lead to more significant savings. The compounding effect and liquidity also play a role in determining the rate of return on a savings account.
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knowledge check 01 which of the following is an example of a current asset? multiple choice common stock supplies accounts payable equipment
The following is an example of a current asset, Out of the given options, common stock, accounts payable, and equipment are not examples of current assets.
Therefore, the correct answer to the given question is "stock supplies". Explanation: Current assets are those that can be easily converted into cash within a year. They include cash and cash equivalents, accounts receivable, stock supplies, inventory, and prepaid expenses.
Common stock refers to the shares issued by a company and does not fall under the category of current assets. Similarly, accounts payable is a liability and not an asset, while equipment is classified as a fixed asset as it is used in business operations for an extended period of time.
Stock supplies, on the other hand, are used in the production or sale of goods and are considered current assets as they are likely to be converted into cash within a year. Examples of stock supplies include raw materials, work-in-progress, and finished goods.
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when a marketing manager sets prices for all items in a product line, seeking to produce a profit for the entire line but not necessarily each product, it is known as
"When a marketing manager sets prices for all items in a product line, seeking to produce a profit for the entire line but not necessarily each product, is known as product-line pricing."
Product-line pricing is a strategy used by marketing managers to set prices for a group of related products with the goal of maximizing profit for the entire line, rather than for each individual product. This approach involves determining the overall costs of producing and marketing the product line and considering the price sensitivity and demand for each product within the line.
By setting prices that are aligned with consumer expectations and competitive offerings, the marketing manager can create a cohesive pricing strategy that balances profitability with customer satisfaction. This approach can be particularly effective in industries where customers may compare prices across products within a product line and make purchasing decisions based on perceived value.
This question should be provided as:
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