the of corporate social responsibility (csr) holds that just as individuals have no ethical obligation to contribute to charity or to do volunteer work in their community, business has no strict ethical responsibility to serve wider social goods.

Answers

Answer 1

The philanthropic model of corporate social responsibility (csr) holds that just as individuals have no ethical obligation to contribute to charity or to do volunteer work in their community, business has no strict ethical responsibility to serve wider social goods.

What is philanthropic model?

A corporation's intentions, ambitions, and ambitions for actively bettering society as a whole are referred to as its philanthropic responsibility. Corporate philanthropy heavily emphasizes the giving of funds from firm profits to deserving causes in the neighborhood, frequently in the form of a trusts or foundation.

What is CSR?

Corporate social responsibility (CSR) is a type of international private business self-regulation that tries to support charitable, activist, or philanthropic social goals by participating in or encouraging volunteer work or other morally upstanding behaviors.

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Related Questions

what is the best attitude for a manager to have in regard to the four functions of management?

Answers

The best attitude for a manager to have in regard to the four functions of management is a positive and proactive one.

A manager should be proactive in planning, organizing, leading, and controlling the various aspects of the organization. They should approach these functions with enthusiasm and a desire to make the organization successful. A good manager should also be open-minded and willing to adapt to changes in the business environment. They should be focused on achieving the goals of the organization and motivating their team to do the same. Ultimately, the attitude of a manager should be one of a problem solver, always looking for ways to improve the organization and meet its objectives.
The best attitude for a manager to have in regard to the four functions of management, which are planning, organizing, leading, and controlling, is a proactive, adaptable, and collaborative approach.
1. Planning: A manager should have a forward-thinking attitude, anticipating future challenges and opportunities while setting clear goals and objectives for the team.
2. Organizing: A manager should be detail-oriented and systematic, ensuring that resources and personnel are effectively allocated to achieve the desired outcomes.
3. Leading: A manager should have a positive and supportive attitude, inspiring team members, fostering a culture of open communication, and empowering them to take ownership of their work.
4. Controlling: A manager should have a balanced and data-driven attitude, monitoring performance, identifying areas for improvement, and taking corrective action when necessary to ensure the team stays on track to meet its objectives.
By embracing these attitudes, a manager can effectively navigate the four functions of management and create a successful and productive work environment.

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write the Express of following numbers. Three times x is 11 and 36 ​

Answers

Answer:

3x + 11 = 32

Explanation:

In this case, expressing means creating an equation that describes

the sum of three times x and 11 is 32.

'Sum' refers to the total while 'is' refers to equals to.

therefore, the total of 3x and 11 = 32

i.e., 3x + 11 = 32

everyone here is a pleb

Answers

Noooo




Step by step explanation:

Answer:

no no no no no no no no no no no                                                                                            

drag the tiles to the correct boxes to complete the pairs. match each term to the situation that best describes it

Answers

Answer: Theirs nothing their too answer. What do you need help on?

Explanation:

does anyone know any good spells

Answers

Answer:

abra cadabra

Explanation:

Guys I need a little bit of help, please!

Desean sets up his zero based budget and has $175 left after he assigns all of his expenses to each category. What would be a good category for him to put that money in?​

Answers

Desean should put it in the money for bills category

A warehouse manager at Gihan Edirisinghe Corp. needs to simulate the demand placed on a product that does not fit standard models. The concept being measured is "demand during lead time," where both lead time and daily demand are variable. The historical record for this product, along with the cumulative distribution, appear in the table. Demand During Lead Time 120 140 160 180 200 220 240 Probability 0.02 0.12 0.35 0.10 0.05 0.08 0.28 Random Number 32 80 57 72 61 The following random numbers have been generated: 32, 80, 57, 72, and 61. (Note: Assume the random number interval begins at 01 and ends at 00.) Based on the given probabilty distribution, for the given random number the demand during the lead time is: Demand Cumulaive Probability 0.02 0.14 0.49 0.59 0.64 0.72 1.00 0000 The average demand during the lead time is (enter your response as an integer). The total demand during the lead time based on the five simulations is (enter your response as an integer).

Answers

The average demand during the lead time is 152, and the total demand during the lead time based on the five simulations is 760.

To calculate the average demand during the lead time, we need to use the cumulative probability distribution provided. The cumulative probability represents the probability that the demand during the lead time is less than or equal to a certain value. By comparing the generated random numbers to the cumulative probabilities, we can determine the corresponding demand during the lead time.

For the given random numbers (32, 80, 57, 72, and 61), we look for their respective positions in the cumulative probability distribution. The random number 32 falls within the interval 0.02 to 0.14, which corresponds to a demand of 120. The random number 80 falls within the interval 0.49 to 0.59, which corresponds to a demand of 160. Similarly, the random numbers 57, 72, and 61 fall within the intervals 0.14 to 0.49, 0.59 to 0.64, and 0.64 to 0.72, respectively, which correspond to demands of 140, 180, and 160.

To calculate the average demand during the lead time, we sum up the demand values and divide by the total number of simulations. In this case, the average demand during the lead time would be (120 + 160 + 140 + 180 + 160) / 5 = 152.

Since the task asks for the total demand during the lead time based on the five simulations, we sum up the demand values obtained from the random numbers. The total demand during the lead time would be 120 + 160 + 140 + 180 + 160 = 760.

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What did 1494’s Treaty of Tordesillas accomplish for the Portuguese?

Answers

Answer:

The Treaty of Tordesillas neatly divided the “New World” of the Americas between the two superpowers.

Explanation:

No explain, i am not completely sure as well

What companies are currently experiencing supply chain issues or inflation?

Answers

Answer:

Amazon, Kellogs, Nike

Explanation:

HP is also a company being affected by the supply chain issues :)

lisa manager workers on a production line and thinks her line needs adjustments to increase their productivity. she plans on shadowing and documenting the tasks of her workers. this process aligns with .

Answers

Lisa's plan to shadow and document the tasks of her workers to improve productivity aligns with the concept of process mapping.

Process mapping is a visual representation of a business process that highlights the sequence of activities, decision points, and flows of materials, information, and people involved in the process.

By mapping out the process, managers can identify inefficiencies, redundancies, and bottlenecks in the process and implement changes to improve productivity and quality. Lisa's approach of documenting the tasks performed by her workers will help her to identify areas where the process could be improved or streamlined.

Once the process is mapped, she can use the data to create a more efficient workflow that will ultimately improve productivity. Overall, process mapping is an effective tool for identifying, analyzing, and improving business processes to achieve better results.

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I need help!!!!! :| !!!

I need help!!!!! :| !!!

Answers

either c or d but i’d go for d

Answer:

b

Explanation:

Breton Woods Standards were found to be inadequate mainly because

Answers

Answer:

A key reason for Bretton Woods' collapse was the inflationary monetary policy that was inappropriate for the key currency country of the system.

Explanation:

The US decision to suspend gold convertibility ended a key aspect of the Bretton Woods system. The remaining part of the System, the adjustable peg disappeared by March 1973.

What are the advantages and disadvantages of the three primary business writing formats?

Answers

Answer and Explanation:

The business writing formats benefits and disadvantages of the three primary business writing formats are described below:-

A memorandum is a formal define that it is the way of communication that enables corporations to connect with their workers. This is typically used to distribute updates or issues.

Memos are highly increasingly being replaced by e-mail, so sending a memo is more difficult and costly. Therefore, a Business Letter is a structured communication method that's best used to connect with clients.

It generally takes more time to write and format a business letter than to write an email or memo.

As we know that an Email is easy to send and priceless, and make enable to send message to many people at a time also Many unwritten e-mails etiquette rules and can be too casual for many business purposes.

Business writing formats includes the use of memorandum, email business letters etc. The advantages and disadvantages of the three primary business writing formats are:

A Memorandum: (Advantages)

This is simply a formal, internal communication tool which allows companies to communicate with their employees. It is known to be used to deliver announcements or problems.

Disadvantages

Memos are said to be rapidly been replaced by e-mail due to the fact that it is more complicated and expensive to deliver a memo.

Business letters (Advantages)

A Business Letter is simply known as a formal communication tool which is utilized for communicating with customers.

Disadvantages

Writing and formatting a business letter often takes more time than composing a memo or e-mail.

Emails (Advantages)

E-mail is quick, easy and cheap, and allows you to send messages instantly to any number of people.

Disadvantages

E-mail has too much unwritten rules  to follow (etiquette) and it is too informal for many business purposes.

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the majority of private sector employment in the u.s. economy is in the _______ sector.

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The majority of private sector employment in the u.s. economy is in the Service sector. The third tier of the three-sector economy is the service sector, also referred to as the tertiary sector.

Why is the United States a service industry?

Employment—It is most straightforward to explain how services affect employment. Today's U.S. economy is referred to as a "service economy." This is so because the service sector employs the vast majority of the working population.

The United States services sector, a broad economic category that now includes financial services, media, transportation, and technology, was responsible for 67 percent of the GDP.

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The Security Market Line (SML) relates risk to return, for a given set of financial market conditions. If investors conclude that the inflation rate is going to increase, which of the following changes would be most likely to occur? (Points : 1) The market risk premium would increase. Beta would increase. The slope of the SML would increase. The required return of an average stock, rA = rM, would increase. None of the indicated changes would be likely to occur. 9. According to the following information, which of the stocks would be considered riskiest in a diversified portfolio of investments? (Points : 1) Stock MNO, because it has the highest standard deviation. Stock TUV, because it has the highest beta. Stock FGH, because it has the highest s/b ratio Stock ABC, because its eta is the same as the market beta (1.0) and the market is always very, very risky. 10. According to the capital asset pricing model, which of the following stocks should have the highest required rate of return? (Points : 1) Beta Electronics because its standard deviation is highest. Alpha Automobiles because its beta coefficient is highest. Omega foods because the ration of standard deviation/beta is the lowest. Not enough information is given to answer this question.

Answers

Stock MNO, because it has the highest standard deviation.

In a diversified portfolio, risk is typically measured by the standard deviation of returns. A higher standard deviation indicates greater volatility and uncertainty in the stock's returns. Therefore, Stock MNO, which has the highest standard deviation among the given stocks, would be considered the riskiest in a diversified portfolio.

Not enough information is given to answer this question.

To determine the required rate of return using the Capital Asset Pricing Model (CAPM), we need both the stock's beta coefficient and the risk-free rate. The question only provides information about the stocks' standard deviation and beta coefficient. Without the risk-free rate, we cannot calculate the required rate of return. Therefore, we do not have enough information to determine which stock should have the highest required rate of return.

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The Security Market Line (SML) relates risk to return, for a given set of financial market conditions. If investors conclude that the inflation rate is going to increase, which of the following changes would be most likely to occur? (Points : 1) The market risk premium would increase. Beta would increase. The slope of the SML would increase. The required return of an average stock, rA = rM, would increase. None of the indicated changes would be likely to occur. 9. According to the following information, which of the stocks would be considered riskiest in a diversified portfolio of investments? (Points : 1) Stock MNO, because it has the highest standard deviation. Stock TUV, because it has the highest beta. Stock FGH, because it has the highest s/b ratio Stock ABC, because its eta is the same as the market beta (1.0) and the market is always very, very risky. 10. According to the capital asset pricing model, which of the following stocks should have the highest required rate of return? (Points : 1) Beta Electronics because its standard deviation is highest. Alpha Automobiles because its beta coefficient is highest. Omega foods because the ration of standard deviation/beta is the lowest. Not enough information is given to answer this question.

net income will result if gross profit exceeds

Answers

Answer: Operating expenses

Explanation:

In order to result in net income, the gross profit should be greater than the operating expenses. Otherwise, we incur net loss. Net income will result if gross profit exceeds operating expenses.

Hope this helps!!! :)

Answer: operating expenses.

Explanation:

the annual master budget file includes the ______ from last year because it is needed for the schedule of expected cash collections.multiple choice question.income statement

Answers

The annual master budget file includes the schedule of expected cash collections from last year.

This is because the schedule of expected cash collections is a vital component of the budgeting process. It helps to estimate the amount of cash that a business is likely to collect during the year, which in turn affects the overall budget for the year.

The schedule of expected cash collections is usually prepared based on past performance and trends in the industry, and it is important to include the previous year's data to ensure accuracy in forecasting. By including last year's schedule of expected cash collections, businesses can make more informed decisions about spending, financing, and investment plans for the coming year.

Overall, the schedule of expected cash collections is an important tool for budgeting and financial planning, and it is essential to include data from previous years to ensure accuracy and reliability.

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A supermarket building was purchased for $567,000. The down payment was 12%. The balance was financed at 7.97% for 25 years. Find the montly payment is

Answers

The monthly payment for the supermarket building is approximately $3,667.63. To find the monthly payment for a supermarket building, the following formula: Monthly payment = P[r(1+r)^n/((1+r)^n)-1)]

we will need to make use of the following formula: Monthly payment = P[r(1+r)^n/((1+r)^n)-1)]

where P = the principal,

r = the interest rate per month, and

n = the total number of months.

We will calculate the values of P, r, and n using the information provided in the problem statement:

Down payment = 12% of $567,000 = 0.12 × $567,000 = $68,040

Principal = $567,000 − $68,040 = $498,960

Interest rate per year = 7.97%

Number of years = 25Number of months = 25 × 12 = 300To convert the interest rate per year to the interest rate per month, we will divide by 12:

Interest rate per month = 7.97% ÷ 12 = 0.6642% Plugging in these values into the formula, we get:

Monthly payment = $498,960[0.006642(1+0.006642)^300/((1+0.006642)^300−1)]

Monthly payment = $3,667.63.

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Brainstorming is only effective when done
a.
In groups
b.
By yourself
C.
In a respectful atmosphere
d.
In a limited amount of time

Answers

Answer:

In groups

Explanation:

Brainstorming is a problem-solving technique where members of a group are encouraged to contribute ideas that could solve the problem at hand. There are right or wrong proposals. Every suggestion is discussed extensively.

Brainstorming allows for deliberations on diverse possible solutions to a problem. The idea that is acceptable by all members is considered the group's decision.

Answer:

answer is a

Explanation:

When there are major changes in strategy, senior management, business structure, or operations, evaluations of controls are usually performed by _____.

Answers

When there are major changes in strategy, senior management, business structure, or operations, evaluations of controls are usually performed by internal auditors.

ExplanationInternal audit is an independent, objective assurance and consulting service that is designed to add value and improve an organization's operations. It is done by assessing and evaluating an organization's financial and non-financial management systems and controls.Internal auditing services cover operational and financial controls, governance procedures, risk management, and compliance with corporate policies and regulations. They provide the board and senior management with a deeper understanding of the organization's activities and risks, as well as assurances that management has implemented suitable controls to address such risks.Internal auditing can also help in evaluating the impact of major changes in the organization. When there are major changes in strategy, senior management, business structure, or operations, internal auditors usually perform evaluations of controls. This is because major changes can have significant effects on the organization's risk profile. As a result, the internal auditor must assess the effectiveness of the controls put in place to address the new risks and vulnerabilities brought about by the change. Thus, internal auditors play an essential role in assessing and reporting on the organization's risk management practices.

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A person who fails to make loan payments on time is likely to face which
consequence?
A. Paying higher interest rates on future loans
B. Having his or her credit score greatly increased
C. Being arrested and charged with bank fraud
D. Being given a lower debt-to-income ratio

Answers

the answer is A. Paying higher interest rates

A person who fails to make loan payments on time is likely to face the consequence of paying higher interest rates on future loans. The correct option is A.

When a borrower fails to make loan payments on time, it can negatively affect their credit score. This can make it harder to obtain future loans or credit cards, and lenders may charge higher interest rates to compensate for the increased risk of lending to someone with a lower credit score.

It is important to note that failing to make loan payments on time does not typically result in being arrested and charged with bank fraud. However, it is important to communicate with the lender and work out a plan for repayment to avoid further consequences such as defaulting on the loan or having the loan sent to a debt collection agency.

Thus, the ideal selection is option A.

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1. Which is the most effective piece of legislation for enforcing ethical business practices; FCPA, FSGO, SOX, or Dodd-Frank? Explain your answer.

2. "The FCPA has too many exceptions to be an effective deterrent to unethical business practices." Do you agree or disagree with this statement? Explain your answer.

3. What issues prompted the revision of the Federal Sentencing Guidelines for Organizations in 2004?

4. Do you think the requirement that CEOs and CFOs sign off on their company accounts will increase investor confidence in those accounts? Why or why not?

5. Why may the Sarbanes-Oxley Act of 2002 be regarded as one of the most controversial pieces of corporate legislation in recent history?

6. Based on the information in this chapter, can the Dodd-Frank Act of 2010 prevent "too big to fail"? Explain your answer

Answers

The FCPA is the most effective law for upholding moral business conduct. Companies must take action to stop bribery and corruption under the FCPA. Companies must report any Foreign Corrupt Practices Act infractions to FSGO.

What is it that the FCPA forbids, exactly?

Act to stop American foreign corruption. A U.S. person or company may not give, pay, or threaten to pay money to any foreign official in order to get or maintain business, according to the FCPA.

Why were the federal sentencing guidelines for organizations developed?

Sentence guidelines were created by the Sentencing Reform Act of 1984. This statute was created about the same time as the United States Sentencing Commission, which worked to eliminate unfair sentencing practices for crimes that were comparable.

Why is a CEO important to a company?

The most senior employee of a corporation is the chief executive officer (CEO). Despite the fact that each firm is unique, CEOs are frequently in charge of expanding the company, increasing profitability, and, in the case of corporations that are publicly listed, increasing share prices.

How is it possible that one of the most divisive company legislation in recent memory is the Sarbanes-Oxley Act of 2002?

As a costly regulatory overreaction to high-profile accounting catastrophes like Enron, Tyco, and WorldCom, the Sarbanes-Oxley Act has drawn criticism. They argue that overly restrictive regulations deter corporate risk-taking and investment.

What do Dodd-Frank and Too Big to Fail mean?

One of the goals of the Dodd-Frank Act of 2010 was to eradicate "too big to fail." In order to do this, the Act mandated that systemically important financial institutions submit thorough resolution plans, also referred to as "living wills," and empowered the FDIC to create an alternative resolution procedure.

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If you are late paying your bill, what is the impact on your annual fee?

Answers

Answer:

It will most likely increase

Explanation:

The impact of late paying the bill is that the bill payment would likely to increase with the amount of interest.

What is bill?

A bill is defined as an invoice that is received from a supplier that specifies the amount due by the recipient. For trade payables, this is the primary source document.

If the recipient is not paid the amount of the bill or paid the bill after4 the expiration of due date of the bill, then the amount of bill increased from the date of bill up to the payment.

Therefore, the late payment of bill would increase the amount of interest.

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Cooperton Mining just announced it will cut its dividend from $3.87 to $2.73 per share and use the extra funds to expand. Prior to the​ announcement, Cooperton's dividends were expected to grow at a 3.3%​ rate, and its share price was $48.95. With the planned​ expansion, Cooperton's dividends are expected to grow at a 4.7% rate.
What share price would you expect after the​ announcement? (Assume that the new expansion does not change Cooperton's risk.)
Is the expansion a good​ investment?

Answers

Cooperton Mining's share price is expected to decrease to approximately $41.92 after announcing a dividend cut and using the funds for expansion. Whether the expansion is a good investment depends on additional factors not provided.

The formula for the DDM is:

Current Share Price = Dividend / (Required Rate of Return - Dividend Growth Rate)

Before the announcement:

Dividend = $3.87 per share

Dividend Growth Rate = 3.3%

Required Rate of Return = ?

To find the required rate of return, we need to rearrange the formula:

Required Rate of Return = Dividend Growth Rate + Dividend / Current Share Price

Required Rate of Return = 3.3% + $3.87 / $48.95

Required Rate of Return = 3.3% + 0.079

Required Rate of Return = 0.409 or 40.9%

Using this required rate of return, we can calculate the current share price:

Current Share Price = $3.87 / (0.409 - 0.033)

Current Share Price = $3.87 / 0.376

Current Share Price = $10.28

After the announcement:

Dividend = $2.73 per share

Dividend Growth Rate = 4.7%

Required Rate of Return = 40.9% (remains the same)

Using the new dividend and growth rate, we can calculate the new expected share price:

New Share Price = $2.73 / (0.409 - 0.047)

New Share Price = $2.73 / 0.362

New Share Price = $7.54

Therefore, the expected share price after the announcement is $7.54.

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What is the lowest credit rating you can get and still be investment worthy?
A.)BBB-
B.)AAA+
C.)C-

Answers

Answer is A.!!!

"You can make the impossible, possible" -Ali

you have an opportunity to invest $51,000 now in return for $61,000 in one year. if your cost of capital is 8.3%, what is the npv of this investment?

Answers

The net present value (NPV) of this investment, will be approx $5,329.27 if the return is $61000 in a time period of one year.

Follow these steps:

1. Identify the initial investment: $51,000

2. Identify the expected return: $61,000 in one year

3. Identify the cost of capital: 8.3%

Now, use the NPV formula: NPV = (Cash Flow / (1 + Discount Rate)^n) - Initial Investment

4. Plug in the values: NPV = ($61,000 / (1 + 0.083)^1) - $51,000

5. Calculate: NPV = ($61,000 / 1.083) - $51,000 ≈ $56,329.27 - $51,000

6. Finalize: NPV ≈ $5,329.27

The NPV i.e Net Present Value of this investment opportunity is approximately $5,329.27.

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Billy Witz sells vacuum cleaners door-to-door. After showing Mrs. Davis several models and demonstrations, Billy can tell she is hesitant but interested. Which trial closing is Billy likely to use to ensure a sale

Answers

The trial closing that Billy is most likely to use to ensure a sale will be:

"Do you want the standard model or one with the special options package?

What is a trial closing?

In sales negotiation, this technique is employed by the seller to assess the buyer's readiness to make a purchase decision.

The technique usually comes in the form of questions that ask for decisions on minor selling points.

Therefore, the technique are used in a way to ensure and finalize a sale with the intending buyer.

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Analysis of Competitors If I launch a new application that tracks waste collection and recycling of useful materials by collaborating with recycling industries such as cloth, glass, e-waste, paper, and so on
1. PEST Analysis 2. Risk Velocity Heat Map 3. Porter Five Forces Analysis 4. Direct Competitor Analysis
5. Perceptual Map 6. Strategic Group Mapping Please provide a detailed response.

Answers

Here is a detailed response to your question about analyzing competitors for your new waste collection and recycling application:

1. PEST Analysis: Conducting a PEST analysis helps you understand the external factors that may impact your business. It stands for Political, Economic, Social, and Technological factors. For your waste collection and recycling application, you would examine how government regulations, economic conditions, social attitudes towards recycling, and technological advancements might affect your business. 2. Risk Velocity Heat Map: A risk velocity heat map allows you to assess the speed at which risks can impact your business and their potential consequences. You can use it to identify and prioritize potential risks related to launching and operating your application. Consider risks such as competition from existing waste collection and recycling apps, legal challenges, market saturation, and technology failures. 3. Porter Five Forces Analysis: The Porter Five Forces analysis helps you understand the competitive landscape in your industry. It examines the bargaining power of suppliers and customers, the threat of new entrants, the threat of substitute products or services, and the intensity of competitive rivalry. Conduct this analysis to evaluate the attractiveness of the waste collection and recycling market and identify potential competitive threats. 4. Direct Competitor Analysis: A direct competitor analysis involves analyzing your direct competitors in the waste collection and recycling app market. Identify other apps that provide similar services and compare their features, pricing, target audience, and market share. This analysis helps you understand your competition's strengths and weaknesses, allowing you to differentiate your application and offer unique value to your target customers. 5. Perceptual Map: A perceptual map is a visual representation that helps you understand how customers perceive different products or brands in the market. It allows you to position your waste collection and recycling app relative to other existing apps. Identify key dimensions that customers consider important, such as user-friendliness, reliability, or sustainability, and plot your app and competitors on the map. This analysis helps you identify any gaps in the market that your app can fill. 6. Strategic Group Mapping: Strategic group mapping helps you understand the competitive dynamics within your industry by grouping competitors based on similar strategies and market positions. Identify the key players in the waste collection and recycling app market and categorize them based on factors like target audience, pricing strategy, or service offerings. This mapping can help you identify potential collaboration opportunities or areas where you can differentiate your app from competitors.

By conducting these analyses, you will gain a comprehensive understanding of your competitors, market conditions, and potential risks. This knowledge will enable you to make informed strategic decisions and position your waste collection and recycling app for success.

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ms. jones, the ceo of first bank, is hoping that her employees will buy into a new performance review system. which of the following statements would be most likely to help ms. jones achieve that buy-in? the new performance system starts on tuesday of next week. be prepared to use it. if you don't agree to use this new performance system, i'll be forced to reduce the wages of everyone in the company. six companies in our industry have new performance systems. we need one too, and we're going to start using it today. the new performance system will help ensure all employees are treated fairly. please let me know which parts work best for you, and those that do not work well for you.

Answers

Of the given statements, the one that is most likely to help Ms. Jones achieve buy-in for the new performance review system is "The new performance system will help ensure all employees are treated fairly."

This statement highlights the benefits of the new system for the employees and shows that Ms. Jones is committed to creating a fair workplace. This can help employees feel valued and invested in the success of the new system.

The other statements do not address the concerns and motivations of the employees. The statement about reducing wages can create fear and resentment, while the statement about other companies using a new system does not explain why it would be beneficial for First Bank employees. The statement about the new system starting next week does not provide any context or reason for the change.

To further increase buy-in for the new performance review system, Ms. Jones could also involve employees in the process by asking for their feedback and suggestions. This can help employees feel heard and valued, and may increase their commitment to the success of the new system.

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Use the data in the spreadsheet provided to estimate the beta of Shoe CompanyShoe Company

stock using linear regression.

Returns​ (%)

Value Weighted Market

Shoe CompanyShoe Company

​Jan-09

2.30152

1.7601

​Feb-09

1.5808

5.1987

​Mar-09

-1.0649

6.5576

​Apr-09

-2.4357

-7.6108

​May-09

1.4468

-1.1334

​Jun-09

2.1527

6.7486

​Jul-09

-3.7611

-4.0672

​Aug-09

0.2768

3.5441

​Sep-09

2.0166

4.8538

​Oct-09

1.7753

3.1961

​Nov-09

4.8619

4.1049

​Dec-09

3.5717

7.4574

​Jan-10

-2.6896

−4.4585

​Feb-10

2.2197

0.3099

​Mar-10

−1.6624

−3.8113

​Apr-10

−2.5422

−7.8247

​May-10

3.7586

7.0296

​Jun-10

1.1339

5.6732

​Jul-10

4.3025

−3.2924

​Aug-10

−0.5865

−5.8396

​Sep-10

1.0939

3.8811

​Oct-10

−2.0939

2.9872

​Nov-10

4.0116

1.4941

​Dec-10

0.3251

2.1446

​Jan-11

4.0579

−6.7494

​Feb-11

−0.1626

7.2391

​Mar-11

1.9045

−1.5976

​Apr-11

1.2988

−3.8654

​May-11

−3.1141

−1.8419

​Jun-11

−0.0325

1.2115

​Jul-11

−0.1981

−2.4799

​Aug-11

2.5504

2.2602

​Sep-11

1.9105

8.8557

​Oct-11

3.7242

4.8627

​Nov-11

2.3956

7.6072

​Dec-11

1.0844

0.4579

​Jan-12

1.9424

−0.2014

​Feb-12

−1.3883

5.7138

​Mar-12

1.2998

2.0164

​Apr-12

3.9521

1.3568

​May-12

3.8814

5.3452

​Jun-12

−1.4899

3.0215

​Jul-12

−3.1983

−3.1795

​Aug-12

1.2067

−0.1991

​Sep-12

4.0158

4.4518

​Oct-12

2.5861

12.9138

​Nov-12

−4.9018

−0.9301

​Dec-12

−0.4354

−1.7546

​Jan-13

−6.2272

−4.5648

​Feb-13

−2.2018

−1.8896

​Mar-13

−1.0433

3.3668

​Apr-13

5.1206

−1.7846

​May-13

2.3881

2.3563

​Jun-13

−7.8853

−12.4808

​Jul-13

−1.317

−1.5919

​Aug-13

1.1092

3.2166

​Sep-13

−9.8413

10.7368

​Oct-13

−18.4738

−13.8768

​Nov-13

−8.5204

−7.6097

​Dec-13

2.1404

−3.7543

The beta of Shoe CompanyShoe Company

stock is:

​(Round to four decimal​ places.)

Answers

To estimate the beta of Shoe Company, we need to use the provided data which includes two pieces of information: the return of the company and the return of the market index. Beta measures the sensitivity of a stock's return to changes in the market.

We can calculate the beta by dividing the covariance between the stock and market returns by the variance of the market returns.

Using the data provided, we can calculate the average monthly return of Shoe Company as 1.2115% and the average monthly return of the market index as 2.5861%. To calculate the covariance, we need to find the difference between each month's return for Shoe Company and the average return, and the difference between each month's return for the market index and the average return, and multiply these differences for each month. Summing up these products and dividing by the number of months gives us the covariance.

Similarly, we can calculate the variance of the market index by finding the difference between each month's return and the average return, squaring each difference, and summing up these squares for each month. Dividing by the number of months gives us the variance.

When we divide the covariance by the variance, we get the beta of Shoe Company. Using the data provided, the estimated beta of Shoe Company is 0.4694 (rounded to four decimal places). This indicates that Shoe Company is less volatile than the market, as a beta of less than 1 means that the stock is less sensitive to market movements.

To know more about Shoe Company click here:

https://brainly.com/question/15238676

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To estimate the beta of Shoe Company, we need to use the provided data which includes two pieces of information: the return of the company and the return of the market index. Beta measures the sensitivity of a stock's return to changes in the market.

We can calculate the beta by dividing the covariance between the stock and market returns by the variance of the market returns.

Using the data provided, we can calculate the average monthly return of Shoe Company as 1.2115% and the average monthly return of the market index as 2.5861%. To calculate the covariance, we need to find the difference between each month's return for Shoe Company and the average return, and the difference between each month's return for the market index and the average return, and multiply these differences for each month. Summing up these products and dividing by the number of months gives us the covariance.

Similarly, we can calculate the variance of the market index by finding the difference between each month's return and the average return, squaring each difference, and summing up these squares for each month. Dividing by the number of months gives us the variance.

When we divide the covariance by the variance, we get the beta of Shoe Company. Using the data provided, the estimated beta of Shoe Company is 0.4694 (rounded to four decimal places). This indicates that Shoe Company is less volatile than the market, as a beta of less than 1 means that the stock is less sensitive to market movements.

To know more about Shoe Company click here:

brainly.com/question/15238676

#SPJ11

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