The type of organizational structure which combines functional and divisional chains of command in a grid so that there are two command structures, vertical and horizontal, is called a matrix structure.
In a matrix structure, employees report to both a functional manager (who oversees their work in a specific department, such as marketing or finance) and a project or product manager (who oversees their work on a specific project or product line). This creates both vertical and horizontal reporting relationships, which can help to facilitate communication and collaboration across different functional areas and business units.
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what is the importance of the floriculture in nepal
Explanation:
It deals with cut flowers, bedding plants, houseplants, flower garden, pot plants, cultivated greens for beauty and herbaceous nursery. Floriculture is an important agro-based, labor intensive and business-oriented enterprise in Nepal.
Answer:
It deals with cut flowers, bedding plants, houseplants, flower garden, pot plants, cultivated greens for beauty and herbaceous nursery. Floriculture is an important agro-based, labor intensive and business-oriented enterprise in Nepal.
explain the importance of an office for the successful functioning of organisation ? (Long question answer)
Answer:
An office is a location the management of a business can use for the planning, organization, control, direct, and recruit staffs for a business. An office is the place information records are kept and it is used as the channel through which the business makes communication with other businesses, individuals and the public.
The smooth operations of an organization requires the availability of an office as it is the place the business activities are performed
An office is as important to an organization as the brain is to the body of a living organism
Explanation:
What safety device should be worn when there is danger of fragments being thrown?
Answer:
gloves i think
Explanation:
Which deduction generally makes up the largest portion of income subtracted from an employee?
A) taxes
B) unemployment
C) health benefits
D) 401K retirement
Answer:
it's taxes
EXPLANATION:
Which of the following are laws which protect workers?
Answer:
The Equal Employment Opportunity Commission (EEOC) enforces federal laws prohibiting employment discrimination. These laws protect employees and job applicants against: Discrimination, harassment, and unfair treatment in the workplace by anyone because of: Race.
Explanation:
URGENT
In which situation is a country most likely to choose a fixed exchange rate for its currency?
A. A country expects its currency to be more valuable than other countries’ currency.
B. A country is confident that its currency’s market value will remain steady over time.
C. A country that ants to encourage other countries to freely buy and sell its currency.
D. A country wants to make sure that it’s currency is stable in all economic situations.
Answer:
D. A country wants to make sure that its currency is stable in all economic situations.
Explanation:
In the given options, the situation where a country is most likely to choose a fixed exchange rate for its currency is:
D. A country wants to make sure that its currency is stable in all economic situations.
Choosing a fixed exchange rate allows a country to maintain stability in its currency value and minimize fluctuations. It provides certainty for trade and investment by ensuring that the exchange rate remains constant and predictable. This can be particularly advantageous for countries that want to promote economic stability and attract foreign investment.
1. What types of the goods have elastic demand-
i. Non-essential or essential goods?
1. More substitutes or less substitutes?
Answer:
i.Non essential goods
ii.More substitute
the first era in marketing was a focus on producing as much as possible because of high demand. this was termed the era which was followed by the selling era, the marketing concept era and finally the customer relationship era..
The first era of marketing was focused on producing as much as possible due to high demand. This was called the production era, which followed the sales era, the marketing concept era, and finally the customer relationships era.
The era of production in marketing, had as its main objective to increase production to meet demand, that is, the more a company could produce and distribute products in the markets, the better positioned it would be.
Marketing therefore evolved and new concepts emerged, and currently marketing is in the customer relationship era, which was impacted by new technologies and digital media.
The customer relationship era has as its main objective the creation of value and customer engagement with the company, which constitutes a relevant competitive differential.
Currently, businesses face greater competitiveness, so companies are looking for ways to stand out in the market to attract and retain their customers, through strategies that increase their value and satisfaction for consumers.
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The most common reason that systems fail is because the business requirements are either missing or incorrectly gathered during the analysis phase.a. trueb. false
Answer:
True. The most common cause of system failure is that the business requirements have not been correctly identified or accurately gathered during the analysis phase. If the requirements are not properly defined and understood, it is difficult to create a system that meets the needs of the business. Additionally, any incorrect assumptions made during the initial gathering of requirements can lead to costly errors and delays in system implementation.
wyatt has made the decision that it is time to purchase a condo. his apartment is too small, and he is tired of paying rent. his price range is between $200,000 and $250,000. he would like to purchase a condo that is within a half hour of his work. with these criteria set in mind, he sets out to search for his ideal home. refer to scenario 7.1. what type of decision making will this purchase most likely involve?
Wyatt's purchase of a condo most likely involves extensive decision-making. Extensive decision-making is a type of consumer decision-making that is characterised by a high level of involvement in the decision-making process. It is characterised by a consumer who has a very high level of involvement in the purchase and is, as a result, very committed to it.
In an extensive decision-making scenario, the customer is likely to spend a significant amount of time and effort investigating various brands, features, and options to ensure that they make the best decision possible. When it comes to purchasing a condo, a high level of participation is required.
Since this is the first time Wyatt is purchasing a condo, he would need to investigate several options and weigh the advantages and disadvantages of each alternative before making a final decision.
Furthermore, he must investigate his price range, proximity to work, and other factors that could influence his decision before making a purchase decision.
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Tommy Richards is paid $20.50 an hour for a regular 40-hour week. He earns time and a half if he works overtime. This week Richards worked his regular 40 hours plus 9 hours of overtime. What is his total pay
Answer:
$1,094.50
Explanation:
Regular pay is $20.50
Over time pay is $20.50 x 1.5 = $30.75
Tommy earned as follows.
Regular hours : 40 x $20.50 = $820
Overtime hours: 9 x $30.75 =$274.50
Total amount earned
= $820 + $274.50
=$1,094.50
you have $30,000 in savings for college. approximately how much can you withdraw at the end of each year for the 4 years assuming you withdraw equal amounts each year and will earn 5 nnually
If you have $30,000 in savings for college, you can withdraw $375 at the end of each year for 4 years, assuming you withdraw equal amounts each year and earn 5% annually.
To find out how much you can withdraw each year, you need to use the following formula:
Withdrawal amount = (Initial savings * Annual interest rate) / Number of years
In this case, the initial savings is $30,000, the annual interest rate is 5%, and the number of years is 4. Plugging these values into the formula gives:
Withdrawal amount = ($30,000 * 0.05) / 4
Withdrawal amount = $1500 / 4
Withdrawal amount = $375
Therefore, you can withdraw $375 at the end of each year for 4 years, assuming you withdraw equal amounts each year and earn 5% annually.
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Fast Imaging Fast Imaging is preparing to launch a new high-speed digital video camera. The projected sales price per unit is €2,000. The variable production costs are estimated at £800 per unit. The fixed production costs will be € 7,800,000 per year if less than 12,000 cameras are sold and if we can work in one shift. If the sales volume per year is higher than 12,000 cameras, these fixed production costs will rise to €11,100,000. The sales commission rate is 5% of the sales price. The company has planned an advertising budget of €1,000,000 per year for this product. Question 1: What is the contribution margin per unit? Question 2: What will the breakeven point be if the company produces and sells less than 12,000 cameras? What will the breakeven point be if the company produces and sells more than 12,000 cameras? Question 3: A market study estimates sales of 10,000 cameras if the unit selling price is set at €2,000. What would be the operating profit of the company? Question 4: Fast Imaging estimates that if the price is lowered by 10%, sales would increase by 25% in volume. What would be the company's operating profit then?
1. The contribution margin per unit of Fast Imaging is €1,200.
2. The Break-even point (in units) is 6,500 units.
3. The operating profit of the company is €4,200,000.
4. Company's operating profit is €4,700,000.
The contribution margin is calculated by subtracting variable production costs from the selling price. Therefore, the contribution margin per unit is: Selling price per unit - Variable cost per unit contribution margin per unit = €2,000 - €800 = €1,200
If the company produces and sells less than 12,000 cameras, its fixed production cost is €7,800,000. Using the formula below, we can calculate the break-even point for the company if it produces and sells less than 12,000 cameras: Break-even point (in units) = Total fixed cost / Contribution margin per unit Break-even point (in units) = €7,800,000 / €1,200 = 6,500 units
If the company produces and sells more than 12,000 cameras, its fixed production cost is €11,100,000. Using the same formula, we can calculate the break-even point for the company if it produces and sells more than 12,000 cameras: Break-even point (in units) = Total fixed cost / Contribution margin per unit break-even point (in units) = €11,100,000 / €1,200 = 9,250 units
If the unit selling price of the camera is €2,000 and 10,000 cameras are sold, the total revenue of the company will be: Total revenue = Selling price per unit × Number of units sold total revenue = €2,000 × 10,000 = €20,000,000The total variable cost will be: Total variable cost = Variable cost per unit × Number of units sold Total variable cost = €800 × 10,000 = €8,000,000. Therefore, the total contribution margin will be Total contribution margin = Total revenue - Total variable cost total contribution margin = €20,000,000 - €8,000,000 = €12,000,000Fixed cost = €7,800,000Operating profit = Total contribution margin - Fixed cost operating profit = €12,000,000 - €7,800,000 = €4,200,000.
The current selling price of Fast Imaging is €2,000. If the price is lowered by 10%, the new selling price will be €1,800. When the price is lowered by 10%, the volume of sales will increase by 25%. Therefore, the new sales volume will be: New sales volume = 10,000 × 1.25New sales volume = 12,500Using the formula below, we can calculate the new total revenue: New total revenue = New selling price per unit × New sales volume total revenue = €1,800 × 12,500 = €22,500,000
Total variable cost will be: Total variable cost = Variable cost per unit × New sales volume total variable cost = €800 × 12,500 = €10,000,000Therefore, the total contribution margin will be: Total contribution margin = New total revenue - Total variable cost Total contribution margin = €22,500,000 - €10,000,000 = €12,500,000Fixed cost = €7,800,000Operating profit = Total contribution margin - Fixed cost operating profit = €12,500,000 - €7,800,000 = €4,700,000The operating profit when the price is lowered by 10% is €4,700,000.
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There are several steps you can take to reduce the potential of being a victim
of consumer fraud, including.
Answer:
Here are some steps to be taken to avoid being a victim of consumer fraud:
Spot Imposters: Scammers often pretend to be someone else, especially one you can trust, like a government official.Online searching: Search about the company of product online to see if it is legit or not.Don't pay in advance: Scammers always try to get money in advance, in terms of taxes or fees.Discuss with someone: Before giving someone your money, talk to someone you trust or preferably to an expert.Personal information: Don't given any unknown person your personal information, money, or any kind of financial detailsDeposits not reflected as credits on the bank statement must
be:
a.
Subtracted in the Cash Receipts Journal
b.
Subtracted in the Bank reconciliation statement (depicted as a
debit)
c.
A
Deposits that are not reflected as credits on the bank statement must be subtracted in the bank reconciliation statement (depicted as a debit). This is because deposits that are made by the company may not show up on the bank statement yet, due to the time it takes for the bank to process the transaction.
These deposits are recorded in the company's cash receipts journal, but until they are reflected on the bank statement, they cannot be considered as credits in the company's bank account.
As a result, to ensure that the company's records are accurate and up-to-date, these deposits should be subtracted in the bank reconciliation statement.
This will help to reconcile the company's records with the bank's records, and any discrepancies can be identified and corrected.The bank reconciliation statement is an essential tool that helps to ensure the accuracy of a company's financial records. It compares the company's records with the bank's records to identify any discrepancies or errors, and it helps to ensure that all transactions are accurately recorded. In conclusion, deposits that are not reflected as credits on the bank statement must be subtracted in the bank reconciliation statement (depicted as a debit).
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can i doit without pay
Answer:
what?
Explanation:
What types of planning can be done to improve a nation’s economy?
A nation can undergo ____ planning or ___ planning in order to improve its economy.
Answer:
A nation can undergo long-term planning or constructive planning in order to improve its economy. Long-term planning involves setting goals and implementing policies that will have an impact over a period of several years. This type of planning may involve investments in education, infrastructure, and research and development, among other areas. Constructive planning involves implementing policies that encourage economic growth and development, such as reducing barriers to trade, promoting entrepreneurship and innovation, and investing in key industries. These types of planning can help a nation to create jobs, increase productivity, and improve living standards for its citizens. THANK YOUBusiness is a social process . Discuss
Answer:
Business is a social process. a single person cannot run a business, there are many single owner but they also need other person's help or market help for their business survival. ex help of the resources,if the business is product based or help of customer If it is service based. all this things work together. the whole economy works together. so it is a social process .
Answer:
Technology aligned solutions integrating the functions and processes of hardware , software , telecommunications and networks . From basic internet connectivity to software development , w provide all kind of technological services based on the type of industry.
Explanation:
Hope this help BLINK!
Tommy agrees to buy a house for $84,500. He pays $2,000 as earnest money and obtains a new mortgage loan for $67,600. The purchase contract provides for a Mar. 15 settlement. Tommy and the sellers prorate the present year's real estate taxes of $1,880.96, which have been paid. The buyer is responsible for the day of closing. Tommy has additional closing costs of $1250. Using the "actual number of days" method, how much cash must Tommy bring to the settlement?
Answer: $17,654.97
Explanation:
In order to solve the question, the first thing to do is to count the number of days from March 15 to Dec. 31. In this case, we will have 292 days.
Then we get the daily rate which will be:
= $1,880.96/365
= $5.153.
Then, we multiply the daily rate of $5.153 by the number of days which will be:
= $5153 × 292 days
= $1,504.97.
Then, we calculate the down payment, which will be:
= $84,500 - $67,600
= $16,900
We then deduct the $2,000 that has already been paid. This will be:
= $16900 - $2000
= $14900
Adding together all the values then the total cash that Tommy must bring to the settlement will be:
= $14900 + $1,504.97 + $1,250
= $17,654.97
30 points please help
Answer:
1.A
2.A
3.A
Explanation:
I searched them up.
Hope this helps Brainlylist plz
Answer:
1.A
2.A
3.A
Explanation:
These are correct give the person in front of me brainliest :)
TRUE OR FALSE
A laissez-faire style leader will communicate goals to employees but then allow them to choose how to complete them
Answer:
The Answer is gonna be False
This is the right Answer :3
I hope you are having a great day ❤️❤️❤️❤️❤️❤️
Imagine you are a training and development specialist.
You are tasked with creating a training workshop about strong meeting facilitation. Create an outline for this workshop.
Include:
Medium: Is your training in-person, webinar, online, or some other method? Objectives: What are your intended outcomes?
Outline: What information topics will you deliver on? What activities will you ask the people in the training to do, individually and in groups? How will the content be organized?
Deliverables: What will you have attendees produce or accomplish by the end of the training to show that they have absorbed the information?
Evaluation: What can you do at the end to measure participants' feelings about the training?
The goal of training session is to provide attendees with knowledge, skills, and understanding that they can apply in their work or personal lives.
What is training?Training is the process of teaching or learning a particular skill, knowledge, or behavior through practice and instruction. In the context of machine learning, training refers to the process of teaching a computer algorithm to recognize patterns and make predictions based on input data. During training, the algorithm is fed a large amount of data, along with the correct outputs, and it adjusts its parameters to minimize the difference between the predicted output and the actual output. This process is repeated over many iterations until the algorithm can accurately make predictions on new, unseen data. Training is a crucial step in developing effective machine learning models and is essential for a wide range of applications, from image recognition and natural language processing to self-driving cars and fraud detection.
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each listed stock option contract gives the holder the right to buy or sell shares of stock. each listed stock option contract gives the holder the right to buy or sell shares of stock. 10 100 1000 1
The correct statement is:
Each listed stock option contract gives the holder the right to buy or sell 100 shares of stock.
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Why is the decision making process important to use when making choices about what to buy?
Answer:
the money amount
Explanation:
the money amount because u cant just go some where and pick up an item and not have the reimbursement of the cost. if jack went to the store only with 5 dollars there is not a way of getting something that cost 10 dollars he have to go smaller
if the market price of each camera case is $8, what is the profitmaximizing quantity according to the mr
To find the profit-maximizing quantity according to the marginal revenue (MR), we need information about the marginal cost (MC) and the relationship between the two.
The profit-maximizing quantity can be determined by analyzing the marginal revenue (MR). Marginal revenue is the additional revenue generated from selling one more unit of a product.
In this case, if the market price of each camera case is $8, the marginal revenue will also be $8 because selling one more camera case will increase the revenue by that amount.
To find the profit-maximizing quantity, we need to consider the relationship between marginal revenue and marginal cost (MC). If the marginal cost of producing each camera case is less than $8, it would be profitable to produce more and increase the quantity. However, if the marginal cost exceeds $8, it would be more cost-effective to produce fewer camera cases.
Without information about the marginal cost, it is difficult to determine the exact profit-maximizing quantity. However, based on the given market price of $8, the profit-maximizing quantity will be achieved when the marginal cost equals $8.
It's important to note that determining the exact profit-maximizing quantity requires additional information about the cost structure and demand curve. This analysis considers only the market price and assumes other factors remain constant.
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The profit-maximizing quantity can be determined by finding the quantity at which the marginal revenue (MR) equals the marginal cost (MC). To find the MR, we need to understand that in perfect competition, MR is equal to the price of the good.
Given that the market price of each camera case is $8, the MR will also be $8. So, we need to find the quantity at which the MC equals $8.
To determine the profit-maximizing quantity, we need additional information about the marginal cost. If we assume that the marginal cost is constant at, for example, $5, we can set up the equation:
MR = MC
$8 = $5
Solving this equation, we find that the profit-maximizing quantity would be the quantity at which the marginal cost is $5.
In conclusion, the profit-maximizing quantity according to the MR would be the quantity at which the marginal cost is equal to the market price of each camera case, which is $8 in this case.
1. Determine the market price of each camera case, which is $8.
2. Understand that in perfect competition, MR is equal to the price of the good.
3. Set up the equation MR = MC.
4. Assume a value for the marginal cost, such as $5.
5. Solve the equation to find the profit-maximizing quantity.
6. Conclude that the profit-maximizing quantity according to the MR would be the quantity at which the marginal cost is equal to the market price of each camera case, which is $8.
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What is 3 + 3 and 2 +2 What is 1 + 1
Answer:
3 +3 = 6
2 + 2 = 4
1 + 1 = 2
6, 4, and 2 are 3 + 3 and 2 +2, 1 + 1 respectively.
What is basic addition?Adding at least two integers together is considered basic addition. Once they have mastered counting, students can begin learning basic addition. Students can utilize an addition chart as a learning aid by starting at the row with the first addend and working their way down to it.
The addition is a mathematical operation that combines two or more numbers to give a total or sum. The symbol for addition is "+" and the numbers being added are called addends. For example, in the equation 3 + 3 = 6, 3 and 3 are the addends and 6 is the sum. The addition is one of the four basic arithmetic operations, along with subtraction, multiplication, and division. It is used extensively in many areas of mathematics, science, engineering, and everyday life.
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Deb, a licensee, is unhappy with the marketing materials a local company produced. While having coffee with Irving, a licensee with another firm, she tells him about her troubles and recommends he not do business with this company. Irving agrees and even volunteers to spread the word among his colleagues. What's this an example of
Explanation:
What would be considered evidence of the agency relationship between broker and seller? The listing agent is informed by the seller that, when it rains, the basement gets wet. The agent says nothing to the buyer. ... The agent may be liable to the seller for breach of duty.
Shim Interiors has a target debt-equity ratio of .40. Its cost of equity is 13.5 percent and its pretax cost of debt is 5.5 percent. Its tax rate is 21 percent. What is the company's WACC? Multiple Choice 9.97% 5.10% 10.88% 6.96% 11.21%
To calculate the company's weighted average cost of capital (WACC), we need to use the following formula:
WACC = (E/V x Re) + (D/V x Rd x (1 - T))
where:
E = market value of the company's equity
D = market value of the company's debt
V = E + D
Re = cost of equity
Rd = pretax cost of debt
T = tax rate
First, we need to calculate the market value of the company's equity and debt:
Assuming the total value of the company is $1,000, we can calculate the market value of equity and debt as:
Market value of equity = $1,000 x (1 - 0.40) = $600
Market value of debt = $1,000 x 0.40 = $400
Next, we can plug in the given values into the WACC formula:
WACC = ($600/$1,000 x 0.135) + ($400/$1,000 x 0.055 x (1 - 0.21))
WACC = (0.6 x 0.135) + (0.4 x 0.04355)
WACC = 0.081 + 0.01742
WACC = 0.09842 or 9.84%
Therefore, the company's WACC is approximately 9.84%, which is closest to option A, 9.97%.
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ତିନୋଟି ମୁଖ୍ୟ ପ୍ରକାରର କ’ଣ?
\( \: \: \: \)
Answer: ମୁଁ ଇଂରାଜୀ କହୁଛି କିନ୍ତୁ ତୁମର ପ୍ରଶ୍ନ କ’ଣ? ମୋର ଓଡିଆ ଖରାପ |
Explanation:
the theory of portfolio choice indicates that higher interest rates make money____desirable, and the demand for real money balances .
The theory of portfolio choice indicates that higher interest rates make money falls desirable, and the demand for real money balances.
These theories stress that individuals hold cash as a part of their portfolio of assets and predict that the demand for cash depends on the comeback and risk offered by cash and by different assets that individuals will hold rather than cash. The portfolio demand for cash will increase with wealth and portfolio risk and reduces with enhanced portfolio returns, lower risk, or lower chance prices. In different words, the portfolio demand for cash is influenced by identical factors that influence the demand for bonds.
Modern portfolio theory could be a technique for portfolio management to cut back risk, that traces its origins to a 1952 paper by laurels winner Harry Markowitz. the idea states that, given a desired level of risk, capitalists will optimize the expected returns of a portfolio through diversification.
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The theory of portfolio choice indicates that higher interest rates make money less desirable, and the demand for real money balances decreases.
According to the theory of portfolio choice, individuals allocate their wealth across different assets, including money and non-monetary assets such as stocks, bonds, and real estate, to maximize their utility or satisfaction. When interest rates are higher, the opportunity cost of holding money increases. This means that individuals can potentially earn higher returns by investing their money in interest-bearing assets instead of holding it as cash.
As a result, higher interest rates typically reduce the relative attractiveness of money compared to other assets. People tend to shift their portfolio towards investments that offer higher returns, such as bonds or stocks, rather than holding money. Consequently, the demand for real money balances, which refers to the desire to hold money for transactional purposes or precautionary savings, tends to decrease when interest rates rise.
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