Two examples of organizations that outsourced and faced reputational damage are Boeing and British Petroleum (BP).
1. Boeing: Boeing outsourced the production of its 787 Dreamliner to various suppliers around the world. Due to miscommunication and lack of proper oversight, the aircraft experienced significant delays and quality issues, resulting in damaged reputation and loss of trust among customers and stakeholders.
2. British Petroleum (BP): BP outsourced a significant portion of its operations to contractors. In 2010, the Deepwater Horizon oil rig explosion, operated by a BP contractor, resulted in a massive oil spill in the Gulf of Mexico. The disaster led to significant reputational damage for BP, as they were held responsible for the incident and its consequences.
Learn more about Outsourced:
https://brainly.com/question/22417929
#SPJ11
The items below list several e-mail practices. If the practice describes something workers should do when using e-mail for business purposes, select Do. If the practice describes something workers should not do when using e-mail for business purposes, select Don't.
include a signature.
include lots of exclamation marks to get your point across.
include the thread of previous messages.
make e-mail messages brief.
always mark messages as urgent so your e-mails will be read first.
use a relevant subject line.
use all capital letters when the message is urgent.
Answer:
do
don't
do
do
don't
do
dont
pension fund manager is considering three mutual funds. The first is a stock fund, the second is a long-term government and corporate bond fund, and the third is a T-bill money market fund that yields a sure rate of 5.5%. The probability distributions of the risky funds are: Expected Return Standard Deviation Stock fund (S) 15 % 32 % Bond fund (B) 9 % 23 % The correlation between the fund returns is 0.15. Suppose now that your portfolio must yield an expected return of 12% and be efficient, that is, on the best feasible CAL. a. What is the standard deviation of your portfolio? (Do not round intermediate calculations. Round your answer to 2 decimal places.)
The standard deviation of the portfolio is 7.09%.
What is the proportion of stock in minimum risky portfolio?= [(0.23)² - (0.32*0.23*0.15)] / [(0.32)² + (0.23)² - (2*0.32*0.23*0.15)]
= 0.31421708452
= 31.42%
What is proportion of bond fund in minimum risky portfolio?= 1 - 0.31421708452
= 0.68578291548
= 68.58%
What is the expected return of minimum risky portfolio?= 0.3142*15% + 0.6858*9%
= 0.04713 + 0.061722
= 0.108852
What is the standard deviation of your portfolio?= ((0.6858)² * (0.23)² * (0.3142)² * (0.33)²) + ((2 * 0.6858 * 0.3142 * 0.32 * 0.23 * 0.15))^0.5
= (0.00026747972 + 0.00475776218)^0.5
= 0.0050252419^0.5
= 0.0708889406
= 7.09%
Therefore, the standard deviation of the portfolio is 7.09%.
Read more about standard deviation
brainly.com/question/12669569
#SPJ1
please help me with this match the column if i get perfect answer then i will give brainliest
Answer:
what do you need help on
Explanation:
You get a part time job through an employment service. The service charges you ten percent of your forst weeks pay as payment for getting the job. tax or no tax
Answer:
No tax
Explanation:
Is computer assembly a good job for a teenager?
Explanation:
Jobs help kids develop a sense of responsibility. Jobs help kids develop a greatest sense os self. To develop a teen under the age of 16 it costs more in insurance and there is extral laws as well so most businesses just don't do it. A best thing you can do is talk to your local shop owners. Go to the shop (during a non busy time) and ask if the owner has some time to walk to you and if not when would be a good time.
With a command economy, do individuals have choice and flexibility
explain one reason why cash is important to a business
Cash is the lifeblood of a business and a business needs to generate enough cash from its activities so that it can meet its expenses and have enough left over to repay investors and grow the business. While a company can fudge its earnings, its cash flow provides an idea about its real health.
A mutual fund had NAV per share of $23.00 on January 1, 2016. On December 31 of the same year, the fund's NAV was $23.15. Income distributions were $0.63, and the fund had capital gain distributions of $1.26. Without considering taxes and transactions costs, what rate of return did an investor receive on the fund last year
The rate of return did an investor receive on the fund last year is : 8.87%.
Rate of returnUsing this formula
Rate of return=(Dec fund's NAV -Jan fund's NAV +Income distribution+Capital gain distribution)/Jan fund's NAV
Let plug in the formula
Rate of return = ($23.15 - $23.00 + $.63 + $1.26)/$23.00
Rate of return =$2.04/$23.00×100
Rate of return = 8.87%
Therefore the rate of return did an investor receive on the fund last year is : 8.87%.
Learn more about rate of return here:https://brainly.com/question/24301559
#SPJ1
1. Which task is performed by a book - Keeper
A) analyzing the trading results -
B) entering transactions in the ledger
C) preparing year - end financial statements -
D providing information
decision-making
for
Answer:
B.
Explanation:
A book-keeper is an employee hired for keeping a day-to-day record of financial transactions in ledger. The book-keeper performs the task of book-keeping of financial transactions of a company or enterprise.
The financial transaction includes sales, purchases, payments, etc. These enteries are recorded in a general ledger. This entering of financial transactions has to be done on daily basis.
Thus the correct answerr is option B.
For over 40 years, Golden Creamery has been mixing up fresh, gourmet ice cream for customers. The company originated in Dallas and now boasts stores in 35 states. The business has primarily expanded by selling franchises to qualified candidates. Golden Creamery executives realize that the firm's success depends upon the success of each franchise. In the past, each individual franchise owner determined the best method for screening applicants. However, as the firm grows, Golden Creamery executives want to standardize the hiring process by requiring all franchisees to use the same preemployment tests, Which of the following, if TRUE, supports the argument that Golden Creamery should require franchise owners to use the firm's preemployment tests?
A. Hourly employees at Golden Creamery stores typically remain with the company long enough to be promoted to management positions.
B. Golden Creamery uses a series of videos to train new hires as well as a mentoring program that has proven successful in the past.
C. Individuals interested in working at a Golden Creamery store can complete online applications on the firm's website
D. Annual turnover rates for hourly employees of Golden Creamery stores are three times the rate of comparable businesses.
Answer: D
Explanation: High turnover rates suggest that Golden Creamery has problems hiring the most appropriate employees, which supports the implementation of a testing program. If hourly workers remained at the firm for a long time, then that would suggest the firm's current hiring practices do not need to be modified.
There are a number of factors that must be considered when determining the correct cutting speed and feed rate, including the ____.
When determining the correct cutting speed and feed rate, we need to consider the lathe's condition, material machine and cutting tools.
There are many variables that need to be taken into consideration when determining the correct cutting speed and feed rate. Some of the main variables include the condition of the lathe, material of the machine being worked, and the type of cutting tools being used.
Lathe's condition: Lathe condition is critical in the machining process. A machine in good working condition should be used, because a worn-out lathe could lead to unexpected results.
Material machine: The material of the machine being worked should also be considered when determining the cutting speed and feed rate. It is critical to use the appropriate cutting tools for the particular material in order to get the desired results
Cutting tools: The type of cutting tool being used should also be taken into account. Different cutting tools may require various speeds and feed rates in order to get the desired results.Thus, Lathe's condition, Material machine and cutting tools are some of the factors that should be considered while determining the right cutting speed and feed rate.
More about Lathe:
https://brainly.com/question/19317303?
#SPJ11
How should you dress for a phone interview? (Site 1)
online content
Answer:
You should at least have a nice top on because only the camera will see that. If you are a girl you could just wear a dress, probably a black one because that is what I wore to my interview yesterday because there is no pattern or anything it's just a plain black one, but that was in person. if you're a guy you need to wear a suit and tie,but you could probably just wear shorts because they won't see the bottom half of you
Explanation:
I hope this helps out a little bit :-)
An interview is a formal process by which an employee is assessed for his/her performance by the employer.
For a phone interview, one should be dressed properly as the interviewer can see you through the camera.
For a girl, you should be dressed nicely and no revealing or extra shiny clothes should be wore.
In the case of a man, one should be properly dressed in suits or formal shirts.
Try to wear dark black or blue coloured clothes and sit in a properly lighted area.
To learn more about phone interviews follow the link:
https://brainly.com/question/3701296
How important is money
Answer:
very important
Explanation:
money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.
what is pf changs parent company?
Chang's runs 214 locations in the United States and franchises 93 more eateries in 24 different nations. According to Bloomberg at the time, Centerbridge paid $1.1 billion for the business and then took it private.
Paul Fleming (abbreviated P.F.) and Philip Chiang (abbreviated Chang) were responsible for the concept's conception and development, hence their names were included in the name. Not only do we provide Chinese food. Philip Chiang, one of our co-founders, was inspired by the Japanese emphasis on balance and simplicity in eating. Philip was born in Shanghai but raised in Tokyo. Our cuisine has been influenced by the fantastic street food cities around Asia from the very beginning. According to a notification to investors, TriArtisan Capital Partners and Paulson & Co. Inc., two private equity companies, have agreed to purchase Centerbridge Partners' highly indebted P.F. Chang's for $700 million.
To learn more about business click on the link below:
brainly.com/question/15826604
#SPJ4
How do you give brainliest?
I cant figure it out.
Answer:
for example, click the crown next to my question :)
Explanation:
Companies go through different phases to reach product/market fit. These phases are the:
A) the prototype stage, the launch stage, the traction stage, the monetization stage, and the growth stage.
B) idea stage, the prototype stage, the launch stage, the traction stage, the monetization stage, and the growth stage.
C) idea stage, the traction stage, the monetization stage, and the growth stage.
D) idea stage, the prototype stage, the launch stage, the traction stage, and the growth stage.
Answer: D is the correct answer.
Explanation: The different phases to reach the product/ market fit are:
The idea stage: It is the first stage, where the idea of a product comes into existence.The prototype stage: here, the idea converts into a modelThe launch stage: the product is launched in the market for the consumers.The traction stage: the initial progress of a startup and the momentum it builds as it grows.The growth stage: the consumers have accepted the product and are buying it.
https://brainly.com/question/16760106?referrer=searchResults
an investor wishes to construct a portfolio consisting of a 70 percent allocation to a stock index and a 30 percent allocation to a risk-free asset. the return on the risk-free asset is 4.5 percent, and the expected return on the stock index is 12 percent. calculate the expected return on the portfolio.
Answer:
17.50
Explanation:
An investor wishes to construct a portfolio consisting of a 70 percent allocation to a stock index and a 30 percent allocation to a risk-free asset the expected return on the portfolio is 9.75%.
To calculate the expected return on the portfolio, we need to use the weighted average of the expected returns of the two assets in the portfolio, where the weights are the percentages allocated to each asset.
Given that the portfolio is allocated as 70% in a stock index and 30% in a risk-free asset, we can calculate the expected return on the portfolio as follows:
Expected return on portfolio = (Weight of stock index * Expected return on stock index) + (Weight of risk-free asset * Expected return on risk-free asset)
Expected return on portfolio = (0.70 * 12%) + (0.30 * 4.5%)
Expected return on portfolio = 8.4% + 1.35%
Expected return on portfolio = 9.75%
Therefore, the expected return on the portfolio is 9.75%.
For more details regarding portfolio, visit:
https://brainly.com/question/17165367
#SPJ1
Janessa wants to pay off her credit card balances within 12 months. She is trying to decide if she should use her $1,000 in savings to pay off part of the balances or if she should transfer the balances to a new card with a low introductory rate. The new credit card has an introductory rate of 6. 5% but charges a balance transfer fee of $50 for each balance transfer. Janessa decides to pay of Credit Card B and $420 of Credit Card A, then transfer the remaining balance of Credit Card A to the new card. Which of the following options shows the amount of Janessa's new monthly payment? Credit Card A: $957 Credit Card B: $580 a. $54. 97 b. $50. 66 c. $18. 12 d. $46. 34.
Explanation:
The answer is B$50.66 that's what I got
automotive general manager gets paaid off thee netfinancial statment does the general manager gets paid off of
When an automotive general manager gets paid, it is typically based on their performance and contribution to the company's financial success. The manager's compensation may be tied to certain financial metrics or goals, such as achieving sales targets, increasing profits, or reducing expenses.
Therefore, the general manager's net financial statement may have an impact on their compensation and whether they receive a bonus or other incentives. However, if the general manager is being laid off or terminated from their position, the net financial statement may not be directly relevant to their severance package or final pay. Instead, the terms of their employment contract or company policy may dictate how much notice they are given, any benefits they are entitled to, and how their final pay is calculated.
It is important to note that if the company is struggling financially and needs to lay off employees, the general manager may be among those affected. In this case, their net financial statement may be a factor in determining who is let go and who is retained. Additionally, if the company is acquired or merged with another company, the general manager's position may be eliminated or changed, and their compensation and benefits may be affected.
Learn more about struggling here:
https://brainly.com/question/2681683
#SPJ11
A yield can be paid in the form of?
Answer:
both a and b
Explanation:
Wildhorse Construction Company earned $408,000 during the year ended June 30, 2017. After paying out $225,794 in dividends, the balance went into retained earnings. If the firm's total retained earnings were $846,112 at the end of fiscal year 2017, what were the retained earnings on its balance sheet on July 1, 2016?
Can you please write the formulas
The retained earnings on its balance sheet on July 1, 2016 were $663,906. Given that the total earnings of Wildhorse Construction Company was $408,000 during the year ended June 30, 2017. The total retained earnings of the firm were $846,112 at the end of fiscal year 2017.
Retained earnings (RE) = Beginning retained earnings + Net income - Dividends. We know that: RE at the end of fiscal year 2017 = $846,112Dividends paid in 2017 = $225,794Net income earned in 2017 = $408,000.
RE as of June 30, 2016 = RE as of June 30, 2017 + Dividends paid - Net income earned=> RE as of June 30, 2016 = $846,112 + $225,794 - $408,000=> RE as of June 30, 2016 = $663,906. Therefore, the retained earnings on its balance sheet on July 1, 2016 were $663,906.
To know more about retained earnings visit:-
https://brainly.com/question/28580073
#SPJ11
Consider a second hand car market where three types of cars are being sold: High quality (H), medium quality (M) and low quality (L). Sellers value an H at $2000, an M at $1200 and an L at $800, whereas buyers value an H at $1800, an M at $1600 and an L at $1400. As discussed in the "Akerloff's Lemons Market", sellers are able to distinguish between different quality cars but buyers are not and a buyer believes that in this market 40% of the cars is an H, 30% of the cars is an M and 30% of the cars is an L. a) Determine which type of cars will be sold at the efficient allocation. b) Determine which type of cars will be sold at the market equilibrium.
Answer:
a) Determine which type of cars will be sold at the efficient allocation.
All cars would be sold in a Pareto efficient allocation.
In a Pareto efficient market, resources are all allocated in teh most efficient possible way. This is the reason why this is just a theoretical concept that does not necessarily apply in real life.
b) Determine which type of cars will be sold at the market equilibrium.
Since consumers are only willing to pay up to $1,620 for a used car, only medium quality and low quality cars will be sold. The price of high quality used cars is higher than the equilibrium price.
Explanation:
the most a buyer would be willing to pay for a used car is ($1,800 x 40%) + ($1,600 x 30%) + ($1,400 x 30%) = $720 + $480 + $420 = $1,620
if there were no organized financial markets, how would an entrepreneur acquire resources to develop and produce a new product?
In the absence of organized financial markets, an entrepreneur seeking resources to develop and produce a new product would rely on alternative methods. Here's a step-by-step explanation of how they can acquire resources:
1. Personal Savings: The entrepreneur can use their own personal savings as an initial investment to finance the development and production of the new product.
2. Family and Friends: The entrepreneur can seek financial assistance from family members and friends who believe in the potential of the new product and are willing to support the venture. They can either provide loans or invest directly in the business.
3. Crowdfunding: The entrepreneur can use crowdfunding platforms to pitch their idea and gather small investments from a large number of people interested in supporting the project. This can be done through rewards-based or equity-based crowdfunding.
4. Angel Investors: The entrepreneur can approach individual investors, known as angel investors, who have a high net worth and are willing to provide financial support to promising start-ups in exchange for equity or convertible debt.
5. Venture Capital: The entrepreneur can seek funding from venture capital firms that invest in high-growth, high-potential start-ups in return for equity ownership. This often involves presenting a solid business plan and demonstrating the potential for significant returns on investment.
6. Business Grants and Competitions: The entrepreneur can apply for business grants offered by government agencies, foundations, or private organizations. They can also participate in business plan competitions that provide cash prizes and other resources to winners.
7. Trade Credit: The entrepreneur can negotiate favorable payment terms with suppliers, such as extended payment terms or deferred payments, to acquire the necessary resources for producing the new product without immediate financial outlays.
By exploring these options, an entrepreneur can secure the necessary resources to develop and produce a new product without relying on organized financial markets.
for such more questions on absence of organized financial
https://brainly.com/question/28333566
#SPJ11
If there were no organized financial markets, an entrepreneur would acquire resources to develop and produce a new product through personal savings, loans from friends and family, or by seeking out venture capitalists or angel investors who are willing to invest in their idea. Without organized financial markets, it may be more challenging for an
entrepreneur to secure the necessary capital to fund their venture. However, there are still options available that would allow them to raise the necessary funds to get started.The first step an entrepreneur would need to take is to identify
their funding needs. They would need to determine how much capital is needed to develop and produce their product, as well as cover any initial overhead costs. Once they have a clear understanding of their funding needs, they could
then begin to explore different funding options available to them. This could include seeking out investors or applying for loans through various lending institutions. Another option would be to explore crowdfunding, which has become an increasingly popular way for entrepreneurs to raise capital. Through crowdfunding, an entrepreneur can pitch their idea to a large group of individuals and ask them to contribute small amounts of money to help fund the venture.Overall, while the absence of organized financial markets may pose some challenges for entrepreneurs seeking to fund a new venture, there are still various options available to them. With careful planning and persistence, an entrepreneur can secure the necessary capital to turn their idea into a successful business venture.
For more similar questions on topic "Entrepreneurship"
https://www.bing.com/?scope=web&cc=IN
#SPJ11
a(n) annuity exists when the first cash flow occurs more than one period after the date the agreement begins. (enter only one word.)
An annuity exists when the first cash flow occurs more than one period after the date the agreement begins.
An annuity is a financial agreement where a series of equal payments are made at regular intervals over a set period of time. The first cash flow, or payment, in an annuity agreement must occur after the initial period. This means that there must be at least one period of time where no payments are made before the regular payments begin. An example of an annuity is a retirement savings plan, where contributions are made over a period of time and regular payments are received after retirement.
You can learn more about annuity at
https://brainly.com/question/14908942
#SPJ11
Help me please ASAP.
your answer is D because i took the test a couple of days back
You own a coffee shop where a cup of coffee sells for $2.99. Your cost on the cup of coffee is $0.90. Calculate the margin
per cup of coffee.
Answer:$2:09
Explanation: If you subtract the 2 you will get your answer! :)
(Sorry I just read the question wrong)
The margin per coffee cup is $2.09
What is cost?In production, research, retail, and accounting, a cost is the value of money that has been used up to produce something or deliver a service. In business, the amount of money expended to acquire something is considered as cost.
Margin per coffee cup = Selling Price - Cost Price
= $(2.99-0.90)
= $2.09
Therefore the margin on selling one cup pf coffee is $2.09.
To learn more about cost, click here: https://brainly.com/question/14083670
#SPJ5
Lara O'Brien, the treasurer of CB Solutions, believes interest rates are going to rise, so she wants to swap her future floating rate interest payments for fixed rates. At present she is paying LIBOR 1.5% per annum on $5,000,000 of debt for the next two years, with payments due semiannually. LIBOR is currently 5.00% per annum. Ms. O'Reilly has just made an interest payment today, so the next payment is due six months from today. A swap exists trading floating rate payments (the LIBOR rate) for fixed payments of 6.43% per annum. If LIBOR rises at the rate of 50 basis points per six month period, starting tomorrow, how much does Ms. O'Brien save or cost her company by making this swap for the two years total
By making the swap to fixed payments, Lara O'Brien and CB Solutions save $24,250 in interest payments over the two-year period.
Lara O'Brien, the treasurer of CB Solutions, swaps future floating rate interest payments for fixed rates due to her belief that interest rates will rise. Currently paying LIBOR 1.5% per annum on $5,000,000 of debt for the next two years, with payments due semiannually, they make a swap for fixed payments of 6.43% per annum. As LIBOR is expected to rise by 50 basis points every six months, the total savings amount to $24,250 over the two-year period, resulting from the difference between the fixed and floating payments.
Learn more about interest payments here : brainly.com/question/23509549
#SPJ11
Even through the United States is traditionally viewed as a market economy, what role does the government have in the economy?
A. The government is in charge of setting the prices within the economy.
B. The government is in charge of the taxing and spending of the government.
C. The government has no role within the market economy of the United States.
D. The government is to make sure that there is fairness and equity within all markets of the economy.
Answer:
D. The government is to make sure that there is fairness and equity within all markets of the economy.
Explanation:
The USA is a predominantly free-market economy. Entrepreneurs are free to decide where and the nature of the business to set-up. Buyers have the liberty to purchase from their preferred suppliers. Demand and supply forces determine the goods and services to be availed in the market and their prices.
The US government participates in the economy as a regulator. Its primary role is to promote fair competition among suppliers, guard consumers against unfair exploitation by traders, and safeguard worker interest. The government may provide essential public services such as roads, health, and education but the majority of factors of production are in the private sector.
the answer is B. The government is in charge of the taxing and spending of the government.
You buy a new commercial stove for $9,000 and estimate that it will enable you to deliver 20 additional meals per night at an average price of $20. Assuming 25% food cost and no additional costs to using the new stove, how long will it take the stove to pay for itself? a)30 days, b) 90 days, c)180 days, d)365 days
Answer:
a)30 days
Explanation:
For the stove to repay itself, it will have to reach the break-even point.
the costs associated with the are the cost $9000
The gains from the stove: 20 meals per night at $20.
the cost per mean is 25% of the selling price
=25/100 x 20
=0.25 x20
=$5
The profits per meal = $20 -$5 = $15
Profits for 20 meals = $15 x 20 =$300
Dairy income from the stove is $300
To recover the cost, it will take $9000/$300 days.
=30 days
Answer:
30 days
Explanation:
Developing the ability to solve problems can help you
. The first step you should take is to
the problem and then solve it.
a. advance in your career a. create
b .become more ethics b. identify
c. change your values c. ignore
Complete Question:
Developing the ability to solve problems can help you.
The first step you should take is to
________ the problem and then solve it.
Group of answer choices
a. advance in your career.
b. create.
c. become more ethics.
d. identify.
e. change your values.
f. ignore
Answer:
d. identify
Explanation:
The problem-solving process can be defined as the systematic approach used to identify and determine the solution to a particular problem.
The steps involved in the problem-solving process are;
1. Identify and define the problem: this is the first step to be taken in solving a problem. This is to ensure that, the focus is on the main issue or situation and all efforts is channeled in the right direction rather than the symptoms.
2. Gathering of information: this helps to consider the options available in solving a problem effectively.
3. Consider your options: this helps to compare the available and viable solutions to the problem.
4. Weigh disadvantages and evaluate a solution: you weigh the disadvantages of each solution, before choosing the one with the least disadvantages.
Hence, the first step you should take is to identify the problem and then solve it.
Answer:
Please mark as Brainliest :)
Explanation: