Multiple performance measurement are beneficial if they include nonfinancial operating measures. Option B is the correct answer.
This is because nonfinancial measures provide a more comprehensive picture of the company's performance beyond just financial indicators, such as revenue or profits. Nonfinancial measures can include customer satisfaction, employee turnover rates, and production efficiency, among others.
These measures can provide insight into how the company is performing in areas that may not be immediately apparent from financial data alone. Focusing only on short-run factors or including only financial measures may limit the understanding of the company's overall performance and potential for long-term success.
Therefore, option B is correct.
Learn more about performance measurement https://brainly.com/question/13371406
#SPJ11
The idea of introducing flying cars to Uber’s fleet primarily impacts which target element of change? uber ch 10
Answer:
the element of change it would affect is methods
Explanation:
Your friend taylor works producing dress shirts and dress pants. currently taylor can work a maximum of 8 hours per day. with the equipment taylor has, and the current level of expertise, taylor can finish either 10 shirts or 20 pairs of pants in an hour. this is true when taylor is performing at full capacity. meaning doing the best possible work.
Taylor, working at full capacity for 8 hours per day, can produce a maximum of 80 shirts or 160 pairs of pants, given the production rate of 10 shirts or 20 pairs of pants per hour.
Taylor can produce either 10 shirts or 20 pairs of pants in one hour when working at full capacity. Additionally, Taylor can work a maximum of 8 hours per day.
To determine the maximum number of shirts and pants Taylor can produce in a day, we can multiply the production rate per hour by the number of hours Taylor can work:
Maximum shirts produced in a day: 10 shirts/hour * 8 hours = 80 shirts
Maximum pants produced in a day: 20 pairs of pants/hour * 8 hours = 160 pairs of pants
Therefore, Taylor can produce a maximum of 80 shirts and 160 pairs of pants in a day when working at full capacity and utilizing the available 8 hours of work time.
Learn more about Productions: https://brainly.com/question/14293417
#SPJ11
The set of all possible outcomes of a probability experiment is called Select one: a. Event b. Outcome c. probability experiment d. Sample Space.
The set of all possible outcomes of a probability experiment is called sample space.
What is a sample space?A sample space is a set of all potential results from a probability experiment. It specifies the collection of all possible occurrences in an experiment. In probability, the sample space is significant because it gives a clear and comprehensive perspective of all potential outcomes, allowing the chance of each occurrence to be calculated.
A sample space's size is determined by the number of items it includes and might be limited or infinite. To assign probabilities to events, the sample space must be properly specified, and all events must be mutually exclusive and exhaustive, which means that they must not overlap and must cover all potential outcomes.
To learn more about probability visit here:
https://brainly.com/question/13605838
#SPJ4
Explain what the difference between initiative and integrity
Some differences between the given terms "Initiative" and "Integrity" are given below.
Initiative: Business initiatives are intended to build a stronger corporate culture, industry, management framework as well as neighborhood to enhance profitability for companies as well.Integrity: Integrity means that every aspect of the individual remains united as well as undivided, so that individuals who lack integrity might be genuine under certain areas but unfair in another's.
Learn more about the business initiative here:
https://brainly.com/question/12496760
PLEASE HELP!!!
Money going out of a business is called _BLANK_.
A. income
B. expenses
Answer:
Expenses
Explanation:
outline the steps in the consumer decision-making process. do all of the steps need to be followed in order? why or why not?
Consumers Must Follow These Five Steps Before Making a Purchase
Problem identificationGetting information.Assessment of Solutions.Phase of purchase.The phase following purchase.Which stage of the buying decision-making process is the most important?Recognizing the problem is the first of the five phases, and it is usually considered to be the most important stage of the consumer purchase process.
Why are choices crucial for customers to make?Understanding how consumers decide is essential because it allows you to anticipate their needs, which in turn enables you to create marketing or sales strategies based on those expectations.
What factors are the most important in influencing customers' decisions?Four crucial factors—the products, the pricing, the promotion, and the sales channel—come into play when a customer is debating a purchase.
Learn more about consumer decision-making process: https://brainly.com/question/8656626
#SPJ4
Step 5 in the seven-step decision-making model is _____.
Answer:
Choose among alternatives
Explanation:
Answer:
Identify options
Explanation:
Which nims management characteristic includes developing and issuing.
Answer:
Management by objective include developing and issuing
a company's next annual dividend will be $12 and that dividends after one year will have a constant growth rate of 5%. if the required rate of return is 9%, then what should the stock price and dividend yield be?
A company's next annual dividend will be $12 and that dividends after one year will have a constant growth rate of 5%. If the required rate of return is 9%. The stock price should be $315 and the dividend yield should be 4%.
To find the stock price and dividend yield:We will need to use the Gordon growth model and the dividend yield formula.
Step 1: Apply the Gordon growth model formula to calculate the stock price.
Stock Price (P) = D1 / (r - g)
Where:
D1 = Dividend in the next year
r = Required rate of return
g = Growth rate of dividends
Step 2: Calculate the dividend in the next year (D1).
D1 = Annual Dividend * (1 + g)
D1 = $12 * (1 + 0.05)
D1 = $12 * 1.05
D1 = $12.60
Step 3: Calculate the stock price using the Gordon growth model formula.
Stock Price (P) = $12.60 / (0.09 - 0.05)
Stock Price (P) = $12.60 / 0.04
Stock Price (P) = $315
Step 4: Calculate the dividend yield.
Dividend Yield = D1 / Stock Price
Dividend Yield = $12.60 / $315
Dividend Yield = 0.04 or 4%
So, the stock price should be $315 and the dividend yield should be 4%.
To know more about Stock price and dividend yield.
visit:
https://brainly.com/question/14254149
#SPJ11
if carissa has a $255,000 home insured for $190,000, based on the 80 percent coinsurance provision, how much would the insurance company pay for a claim of $5,000?
The 80 percent coinsurance provision requires homeowners to insure their property for at least 80 percent of its replacement value. In this case, Carissa's home is insured for $190,000.the insurance company would pay $4,375 for a claim of $5,000
Which is less than 80 percent of the home's value ($255,000). To calculate the amount the insurance company would pay for a claim, we use the following formula: Insurance Payment = (Insurance Coverage / Required Coverage) x Claim Amount Using the given values: Insurance Payment = ($190,000 / 0.80) x $5,000 = $237,500 x $5,000 = $4,375 According to the formula. This amount is determined by multiplying the ratio of the insurance coverage to the required coverage (0.80) by the claim amount. It's important to note that the coinsurance provision encourages homeowners to adequately insure their property to avoid penalties or reduced claim payments. In this case, since the insurance coverage is less than the required coverage.
learn more about coinsurance here :
https://brainly.com/question/32500367
#SPJ11
prepare a double entry ledger entries January 3 took out of the cash till$50 and put into the business by cheque Jan 4 the proprietor put a further$5000 in to business by cheque .please I need it quick
Explanation:
In the first entry, $50 is taken out of the cash till and put into the business as drawings. The effect is a decrease in the cash balance and an increase in the drawings account.
In the second entry, the proprietor puts a further $5000 into the business by cheque. The effect is an increase in the capital account and an increase in the bank balance.
It's important to note that "Drawings" and "Capital" are the accounts used to record the personal transactions of the business owner in this case, it is assumed that the business is a proprietorship. Other forms of business may have different accounts to record the personal transactions of the owne
Which of the following is a benefit associated with regional economic integration?
A. Trade creation
B. Trade diversion
C. Loss of jobs
D. Loss of sovereignty
Answer:
its b
Explanation:
Answer: The answer is Trade creation
Explanation: I took the test
is 1 a prime number
tell me pls im to dumm
Answer:
No
Explanation:
All prime numbers most be more then 1.
19. Which medium has the advantage of moving images, sound, and portability in business?
*
(1 Point)
Newspapers
Transit Media
Internet
Radio
Answer:
Internet
Explanation:
Newspapers can be online, but they are originally on paper, transit media is on billboards or the sides of cars, and the radio is definitely not it.
Issues such as market size, growth trends, ease of market entry and exit, the presence of cyclical or seasonal sales trends, and the competitive dynamics of an industry appear in the ________ section of the business plan.
The issues such as market size, growth trends, ease of market entry and exit, the presence of cyclical or seasonal sales trends, and the competitive dynamics of an industry appear in the Market Analysis section of the business plan.
The market analysis is a section of the business plan that assesses the market's present state and evaluates the company's ability to be competitive and profitable. This segment should include a comprehensive description of the target audience, an analysis of the market's size and growth prospects, and a competitive analysis.
The market analysis may assist you in determining the most viable route for promoting your goods or services. It's an excellent way to ensure that you understand the marketplace and can adapt to its demands. The market analysis section's objective is to identify possibilities for growth and establish the proper target audience. It also includes relevant industry and economic indicators. The market analysis is an essential part of the business plan and is critical in terms of long-term business success.
To know more about business plan click here
brainly.com/question/13160849
#SPJ11
Events in which a person has both the chance of winning or losing are classified as A - Retained risk. B - Speculative risk. C - Insurable. D - Pure risk
Events in which a person has both the chance of winning or losing are classified as B - Speculative risk.
Speculative risk refers to situations where there is a possibility of both gain and loss. It involves uncertain outcomes where individuals willingly take on risks in the hope of achieving favorable results, such as financial gains or other benefits. Speculative risks typically involve activities such as gambling, investment in volatile assets, or entrepreneurial ventures with uncertain outcomes. Unlike pure risks, which involve only the possibility of loss and can be insurable, speculative risks involve the potential for both profit and loss. Individuals engage in speculative risks with the expectation of gaining more than they initially invested or risking potential losses. While speculative risks can lead to financial gains, they also carry the inherent possibility of losing money or resources.
To learn more about Events
https://brainly.com/question/30665890
#SPJ11
Which of the following is NOT an organization to protect consumers?
The American Red Cross
The U.S. Food and Drug Administration
Federal Trade Commission
Better Business Bureau
Answer:
It might be D- whic
Why very few subsistence economies exist today
Answer:
As previously mentioned,
subsistence markets are
extremely vulnerable to
external influences.
Because of this
vulnerability, these economies are
becoming more scarce around the
world. In the past, for example, large
populations of indigenous peoples lived
throughout North America.
Briefly explain two ethical values that are necessary for all accountants.
Objectivity and independence are important ethical values in the accounting profession. ... Accounting services include general accounting, auditing, tax and management advisory services. Accountants who perform more than one of these services for a client may compromise their objectivity and independence.
Please I need help!!
Answer:
A
Explanation:
Kate likes to draw and is quite good at it. She's also enjoyed photography classes and has a good eye. While she loves her artwork, she is looking for a stable career option. Which career should she choose and why?
Answer:
food
Explanation:
because
Answer:
peeee
Explanation:
peeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeeee
What two market structures would be considered imperfect competition?
Answer:
Blemished rivalry can be found in the accompanying sorts of market structures: restraining infrastructures, oligopolies, monopolistic rivalry, monopsonies, and oligopsonies. In restraining infrastructures, there is just one (prevailing) dealer. That organization offers an item to the market that has no substitute.
sorry for the wait have an amazing day<3
The U.S. dollar is a currency made of low-cost materials. It is valuable only
because it is recognized by the U.S. government, which is a powerful global
authority. This means that the U.S. dollar serves as which type of money?
O A. Fiat money
O B. Commodity money
C. Representative money
O D. Currency money
Answer:
A. Fiat money.
Explanation:
Fiat money is government-issued currency that is not backed by a physical commodity, such as gold or silver, but rather by the government that issued it. The value of fiat money is derived from the relationship between supply and demand and the stability of the issuing government, rather than the worth of a commodity backing it as is the case for commodity money. Most modern paper currencies are fiat currencies, including the U.S. dollar, the euro, and other major global currencies.
The U.S. dollar is an example of fiat money, which is money that is not backed by a physical commodity (like gold or silver) but instead has value because the government declares it to be legal tender and accepts it as payment for debts. The correct option is A.
Which currency is not fiat money?The term "fiat money" does not apply to gold. Government-issued money known as "fiat money" is not backed by any real assets like silver or gold.
Fiat money is a type of currency that has no intrinsic value and is not backed by a physical commodity such as gold or silver. The value of fiat money is derived from the faith and trust that people have in the government that issues it. In the case of the U.S. dollar, it is valuable because the U.S. government declares it to be legal tender, which means that it can be used to settle debts and taxes.
People and businesses are required to accept U.S. dollars as payment because the government backs it up. While fiat money can be subject to inflation and other economic factors, it remains the most common form of money in modern economies.
Thus, the ideal selection is option A.
Learn more about fiat money here:
https://brainly.com/question/14136478
#SPJ5
what is the importance of market management
Answer:
it helps to stand competent in highly thriving competition in the market.
Explanation:
Please give me a 1 star if I'm wrong
Answer:
Marketing management is of importance as it helps to stand competent in highly thriving competition in the market. This also helps to develop strategies to improve profits and reduce the cost of products. Marketing management has become the major source of exchange and transfer of goods.
Explanation:
Hope it helps :)
The three parts of an income statement heading are _____.
who
when
where
what
motivation of 50. also last year trying to get rid of them. Have a good day :D
Answer:
Who,When,What
Explanation:
If you don't believe you are, Schuck says, he can guarantee you won't be successful: "If you're not in front of the customer selling your product and service, hearing that feedback and getting beat up along the way, it's not going to work." The above statement is which kind of quote?
Select one:
a. On the record
b. Indirect quote
c. Background information
d. Not for attribution
The above statement is an indirect quote. (Option b)
An indirect quote is a way of reporting someone's statement without using their exact words. Instead of providing a verbatim quote, the reporter or writer rephrases or summarizes the statement while still conveying its meaning. This approach is often used when the exact wording is not crucial or when it is difficult to obtain a direct quote.
In the given statement, the words of Schuck are presented in a rephrased manner, indicating his perspective on the importance of being in front of the customer and receiving feedback. The writer conveys the essence of Schuck's statement without quoting his exact words. This approach allows for brevity or flexibility in reporting while still providing the key message from the original statement.
Indirect quotes are commonly used in journalism when it is not possible to obtain a direct quote or when paraphrasing is sufficient to convey the intended meaning. They help maintain the flow of the article while providing the reader with a clear understanding of the speaker's viewpoint or message.
To know more about indirect quote follow the link:
https://brainly.com/question/32871675
#SPJ4
If the expected rate of return on the market portfolio is 17% and T-bills yield 7%, what must be the beta of a stock that investors expect to return 14%?
Beta of a stock = ______
The beta of the stock is 0.7. This means that the stock is less risky than the overall market, as a beta of 1 indicates that the stock has the same level of risk as the market.
The beta of the stock can be calculated using the Capital Asset Pricing Model (CAPM) formula:
Expected return on stock = Risk-free rate + Beta*(Expected return on market - Risk-free rate)
Here, the expected return on stock is given as 14%, the risk-free rate is 7%, and the expected return on the market portfolio is 17%. Substituting these values in the formula, we get:
14% = 7% + Beta*(17% - 7%)
Simplifying this equation, we get:
7% = 10%*Beta
Dividing both sides by 10%, we get:
Beta = 0.7
A beta lower than 1 implies that the stock is less risky than the market, while a beta greater than 1 implies that the stock is more risky than the market.
To know more about Capital Asset Pricing Model visit:
https://brainly.com/question/30076862
#SPJ11
You manufacture 50 skis a day that are all sold to a retail store. Your capacity to produce skis is 60 skis per day. You produce skis seven days a week. You have received an additional order to supply a second retail store with 320 skis one month from today. Based on your current responsibility to the first retail store, can you satisfy this second sales order knowing the capacity of your manufacturing business?
Answer:
No. You need 32 days to meet the additional order, which is slightly more than a month (30 days).
Explanation:
With current manufacture at 50 skis/day,
and total capacity at 60 skis/day,
Excess capacity = 60 - 50 = 10 skis/day
This means in a month of 30 days (since you manufacture 7 days a week, all round), excess capacity can produce a total of 10 * 30 = 300 skis.
Therefore, you will not be able to meet the additional order to supply a second retail store with 320 skis in one month from today.
The number of days required to meet the order of 320 skis = \(\frac{320}{10(excess capacity)}\) = 32 days.
The physical elements of a computer system are called the hardware
All financial statements are important, but most managers tend to have one that they look to first. If you were a potential contributor or investor looking at the financial statements of a local regional medical center, which document would you start with? Explain why.
While other financial statements like the Balance Sheet and Cash Flow Statement are important for a comprehensive analysis of the medical center's financial position and cash flow, the Income Statement is a starting point that provides a clear picture of the medical center's revenue, expenses, and profitability.
If I were a potential contributor or investor looking at the financial statements of a local regional medical center, the document I would start with is the Income Statement, also known as the Statement of Operations or Profit and Loss Statement.
The Income Statement provides a summary of the medical center's revenues, expenses, and net income (or loss) over a specific period, typically on an annual or quarterly basis. Here's why I would choose to start with the Income Statement:
1. Overall Financial Performance: The Income Statement gives an immediate snapshot of the medical center's financial performance. It shows whether the medical center is generating a profit or incurring a loss. By looking at the net income (or loss), I can assess the financial health and profitability of the medical center.
2. Revenue Breakdown: The Income Statement breaks down the medical center's revenue sources. This allows me to understand the composition of the revenue streams, such as patient services, insurance reimbursements, government funding, or other sources. Evaluating the revenue mix helps me gauge the diversity and stability of the medical center's income sources.
3. Expense Analysis: The Income Statement provides a breakdown of various expense categories, such as personnel costs, supplies, facility expenses, and administrative costs. Analyzing the expense structure allows me to understand the medical center's cost management and efficiency. It helps identify areas of potential cost reduction or areas where expenditures may be increasing disproportionately.
4. Profitability Ratios: Using the information from the Income Statement, I can calculate key profitability ratios such as gross profit margin and net profit margin. These ratios provide insights into the medical center's ability to generate profits from its operations, allowing me to compare its financial performance with industry benchmarks or similar healthcare organizations.
Learn more about Income Statement here:
https://brainly.com/question/30169587
#SPJ11