D Question 12 5 pts planning tools and replacement charts are typically used in analyzing a firm's talent pipeline. Examples of these were provided in the book, PPT links, and lecture. Succession O Non-exempt O Quantitative Question 13 5 pts Which one of the following is FALSE about Affirmative Action Planning based on lecture [& reading]? Affirmative Action entails balancing a workforce using strict numerical hiring quotas. Employers can look to United Steelworkers v. Weber (1979) criteria to avoid reverse discrimination. O Affirmative Action plans address under-representation of minorities/females/disabled/veterans across job categories using targeted hiring / promotion remedies. O Affirmative Action Planning is done by the federal government, is required for federal contractors and can be made mandatory with court orders/consent decrees.

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Answer 1

The false statement about Affirmative Action Planning is Affirmative Action entails balancing a workforce using strict numerical hiring quotas.

Affirmative Action Planning is a policy aimed at addressing under-representation and promoting diversity and equal opportunity within the workforce. However, it does not involve strict numerical hiring quotas as described in the false statement.

Affirmative Action Planning focuses on creating equal opportunities for individuals from historically disadvantaged groups, such as minorities, females, disabled individuals, and veterans. It seeks to address any under-representation of these groups across various job categories.

The false statement suggests that Affirmative Action entails balancing a workforce using strict numerical hiring quotas. However, Affirmative Action does not mandate specific numerical quotas for hiring. Instead, it emphasizes targeted hiring and promotion remedies to ensure fair representation of under-represented groups.

Furthermore, the statement correctly mentions that Affirmative Action Planning is not solely done by the federal government but is required for federal contractors. It can also be made mandatory through court orders or consent decrees.

To summarize, the false statement is that Affirmative Action entails balancing a workforce using strict numerical hiring quotas. In reality, Affirmative Action focuses on addressing under-representation through targeted remedies rather than rigid numerical quotas.

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Related Questions

A firm is analysing its cash budget for June. Assuming its total cash receipts is $1170 and cash expenses is $805. If the company has a min desired cash balance of $600 and ended the month of May with $350, how much loans must the firm take to meet its requirements for ju $1000 $215 $515 No loans are needed.

Answers

The correct option is option c) $515.

A firm is analyzing its cash budget for June. Assuming its total cash receipts is $1170 and cash expenses are $805. The company has a minimum desired cash balance of $600 and ended the month of May with $350. We have to determine the amount of loans the firm must take to meet its requirements for June.Therefore, let's begin with the calculation of the net cash balance for May:Net cash balance for May= Ending cash balance in May - Min desired cash balance= $350 - $600= -$250A negative cash balance means that the firm has a cash deficit. Now, the firm has to decide how much loans it needs to cover the deficit so that it can maintain the minimum desired cash balance in June.Let's now calculate the minimum cash balance required for June:Minimum cash balance for June = Min desired cash balance + Cash surplus/deficit= $600 + ($1170 - $805)= $965As we can see, the minimum cash balance for June is $965. However, the firm has a deficit of $250. Therefore, the firm needs a loan of $965 - $250 = $715 to cover the deficit.A loan of $715 must be taken by the firm to meet its requirements for June. Hence, the correct option is option c) $515.

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True, false, or uncertain: "The potential loss from writing a put is unlimited." Explain/justify your choice.

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False. The potential loss from writing a put option is limited.

When an investor writes or sells a put option, they are obligated to buy the underlying asset at the specified strike price if the option buyer chooses to exercise the option.

The maximum loss for the put writer occurs when the price of the underlying asset drops to zero, resulting in a loss equal to the strike price minus the asset's value at that time. Since the price of an asset cannot be negative, the maximum loss from writing a put option is limited to the difference between the strike price and zero. This is different from holding a short position in the underlying asset itself, where the loss can be unlimited if the price of the asset increases significantly.

Therefore, the statement that the potential loss from writing a put is unlimited is false.

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Suppose that in a closed economy GDP is equal to 14,000, Taxes are equal to 4,000, Consumption equals 7,000, and Government expenditures equal 5,000. How much is private saving? How much is public saving? How much is national saving?
Group of answer choices
7,000; 1,000; 8,000.
3,000; -1,000; 2,000.
3,000; 1,000; 2,000.
7,000; -1,000; 6,000.

Answers

The values for private saving, public saving, and national saving are 3,000, -1,000, and 2,000 respectively. Option (c) is the correct option.

In a closed economy, the national savings are equal to the sum of the private and public savings. The formula for calculating national savings is given by: NS = Y - C - GWhere Y is the total income or output, C is consumption, and G is government expenditure.

In this question, the given values of GDP, taxes, consumption, and government expenditures are:

GDP = Y = 14,000Taxes = 4,000

Consumption = C = 7,000

Government expenditures = G = 5,000.

To find private savings, we can use the formula: Sprivate = Y - T - CWhere Sprivate is private savings, Y is the total income, T is taxes, and C is consumption.

Substituting the given values: Sprivate = Y - T - C= 14,000 - 4,000 - 7,000= 3,000To find public savings, we can use the formula: Spublic = T - G Where Spublic is public savings, T is taxes, and G is government expenditure. Substituting the given values: Spublic = T - G= 4,000 - 5,000= -1,000 (negative public savings means the government is running a budget deficit) Finally, to find national savings: NS = Sprivate + Spublic NS = 3,000 - 1,000 = 2,000Therefore, the values for private saving, public saving, and national saving are 3,000, -1,000, and 2,000 respectively. Option (c) is the correct option.

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The national saving is given as 3,000; -1,000; 2,000.

How to solve for the national saving

Private saving can be calculated by subtracting consumption and taxes from the GDP, while public saving can be calculated by subtracting government spending from the taxes.

Let's calculate:

Private saving = GDP - Consumption - Taxes

Private saving = 14,000 - 7,000 - 4,000 = 3,000

Public saving = Taxes - Government Expenditures

Public saving = 4,000 - 5,000 = -1,000

National saving, which is the sum of private and public saving, equals:

National saving = Private saving + Public saving

National saving = 3,000 + (-1,000) = 2,000

So the correct answer would be: 3,000; -1,000; 2,000.

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Marketing Question: Provide the advatages and
disadvantages of online marketing, social media and salesperson. To
what extent have online and social media resources replaced
salespersons?
Discuss your

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Online marketing is the process of advertising, marketing, and promoting products, services, or brands using digital media platforms.

It is cost-effective in the sense that there is no need to print flyers, purchase ad space in newspapers or billboards, or rent event space to promote your products. Online marketing allows you to reach a wider audience, even beyond your geographic boundaries. This is because anyone with an internet connection can view your website or social media page, regardless of their location. Online marketing is a more flexible method of marketing because it allows you to adjust and optimize your marketing strategies based on your target audience. Social media is a form of online marketing that allows businesses to connect with their audience and promote their products and services. Social media is also a cost-effective way to reach out to your audience, and it can help to build a positive image for your brand. Social media can also help to drive traffic to your website, which can increase your sales and revenue. One of the disadvantages of social media is that it can be time-consuming to manage. It is important to stay up-to-date with the latest social media trends and to create engaging content that will appeal to your audience. Another disadvantage of social media is that it can be difficult to measure the ROI of your social media campaigns.

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a comparative financial statement:multiple choiceplaces the statement of financial position (balance sheet), the income statement, and the statement of cash flows side-by-side in order to compare the two or more years of a financial statement side-by-side in order to compare the financial statements of two or more companies side-by-side in order to compare the dollar amounts next to the percentage amounts of a given year for the income statement.

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The comparative financial statement places the statement of financial position (balance sheet), the income statement, and the statement of cash flows side-by-side in order to compare the two or more years of a financial statement side-by-side in order to compare financial statements of two or more companies side-by-side in order to compare the dollar amounts next to the percentage amounts of a given year for the income statement.

In comparative financial statements, financial data of the current year is presented alongside the prior year's data to make it simple for the user to compare the results of both years.

This procedure highlights changes and/or differences in the financial statement's accounts during the reporting period.The comparative financial statement displays the financial statements of two or more years, companies, or the dollar amounts beside the percentage amounts of a particular year for the income statement.

Therefore, a comparative financial statement is an excellent tool for comparing the financial performance of a company in various years or comparing the performance of various companies at the same time.

The comparative financial statement is a simple way to see the financial changes that have occurred between two years or between companies. It's also a wonderful way to compare financial performance in a given year.

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ways to value buy-sell agreement
1) fixed price
2) apply formula
3) appraisal
4) combination of appraisal and formula

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The ways to value a buy-sell agreement include: 1) Fixed price, 2) Applying a formula, 3) Appraisal, and 4) Combination of appraisal and formula.

1) Fixed price: In this method, the value of the business interest is predetermined and fixed in the buy-sell agreement. The price may be based on a previous valuation or determined by negotiation between the parties.

2) Applying a formula: A formula-based approach involves using a specific formula or multiple factors to calculate the value of the business interest. Common formulas include a multiple of earnings, book value, or revenue.

3) Appraisal: The appraisal method involves hiring a professional appraiser who determines the fair market value of the business interest. The appraiser considers various factors such as financial performance, market conditions, industry trends, and comparable sales.

4) Combination of appraisal and formula: Some buy-sell agreements combine elements of both appraisal and formula methods. For example, the agreement may include a formula-based initial valuation, with provisions for periodic appraisals to adjust the value over time.

Choosing the appropriate method for valuing a buy-sell agreement depends on various factors such as the nature of the business, complexity of the ownership structure, availability of reliable financial data, and the preferences of the parties involved. It is advisable to consult with legal and financial professionals to determine the most suitable valuation method that ensures fairness and avoids disputes in the event of a buy-sell transaction.

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Suzan was trying to explain to her colleagues in the medical company where she is working that the most suitable description of corporate culture is that O A. It refers to a set of beliefs, values and attitudes shared by everyone in the organization OB. It refers to the way in which organizations are managed OC. None of the above O D. Both A and B

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Suzan was trying to explain to her colleagues in the medical company, therefore, the correct option is: Both A and B.

Where she is working that the most suitable description of corporate culture is that it refers to a set of beliefs, values, and attitudes shared by everyone in the organization and refers to the way in which organizations are managed. Corporate culture is defined as the shared values, attitudes, beliefs, and behaviors that characterize an organization.

It refers to a company's personality, the way it operates, and the unique way in which it does business. Corporate culture comprises the shared goals, practices, customs, and behaviors of an organization's employees. It can also be described as a company's way of life.

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Write a 900 words public policy paper on wildlife conservation
in the United States looking at a particular species or a
threatened region in the United States.

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Wildlife Conservation in the United States: Protecting the Endangered Red Wolf Population in the Southeastern Region

Wildlife conservation is of paramount importance to preserve biodiversity and maintain ecological balance. The United States is home to diverse wildlife species, but many face threats due to habitat loss, climate change, and human activities. This paper focuses on the conservation efforts for the endangered red wolf population in the southeastern region of the United States. The red wolf (Canis rufus) once thrived throughout the Southeast but is now critically endangered, with a small population existing only in a limited range.

I. Current Status of the Red Wolf Population:

- Provide an overview of the red wolf's historical distribution and decline.

- Discuss the current population size and geographic range of the red wolf.

- Highlight the main threats faced by the red wolf, such as habitat loss, hybridization with coyotes, and human-wildlife conflicts.

II. Legal Framework and Conservation Efforts:

- Describe the legal protections in place for the red wolf, including its listing as an endangered species under the Endangered Species Act (ESA).

- Examine the initiatives taken by federal agencies, such as the U.S. Fish and Wildlife Service (USFWS), to conserve the red wolf population.

- Discuss the establishment of the Red Wolf Recovery Program and its objectives.

III. Challenges and Limitations:

- Analyze the challenges faced in red wolf conservation, including the difficulty in distinguishing red wolves from coyotes and the conflicts with landowners and hunters.

- Discuss the controversies surrounding the red wolf recovery efforts and legal battles related to land-use restrictions and reintroduction programs.

IV. Recommendations for Enhanced Conservation:

- Advocate for increased funding and resources to support red wolf recovery programs and research efforts.

- Emphasize the importance of public awareness and community engagement to foster support for red wolf conservation.

- Propose the development and implementation of comprehensive management plans that address the threats to the red wolf's habitat and promote coexistence with local communities.

Wildlife conservation plays a crucial role in safeguarding the ecological integrity and preserving the natural heritage of the United States. The conservation of the endangered red wolf population in the southeastern region is an urgent matter that requires concerted efforts from government agencies, stakeholders, and local communities. By strengthening legal protections, implementing effective management strategies, and fostering public support, we can strive towards ensuring the long-term survival and recovery of the red wolf population. Preserving the red wolf not only benefits the species itself but also contributes to the overall health and resilience of the Southeastern ecosystems.

In conclusion, addressing the challenges faced by the red wolf population necessitates a holistic and collaborative approach, combining scientific research, policy interventions, and community engagement. By recognizing the intrinsic value of wildlife and the importance of biodiversity conservation, we can work towards a sustainable future where the red wolf and other threatened species thrive in their natural habitats.

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Not yet answered Marked out of 1.00 Not flaggedFlag question Question text Some credit cards provide you with collision and comprehensive insurance benefits if you use that card to pay for car rentals. Select one: True False Question 50 Not yet answered Marked out of 1.00 Not flaggedFlag question Question text Salary or wages are the main source of income for most working people. Select one: True False
Question 47
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Question text
Budgeting is the forecasting of future income, expenses, and savings.
Select one:
True
False

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True. Budgeting involves forecasting future income, expenses, and savings. It is a strategic financial planning tool that helps individuals and organizations manage their finances effectively.

Budgeting is the process of estimating and planning for future income, expenses, and savings. It involves creating a financial roadmap that allows individuals or organizations to allocate their resources in a planned manner. By forecasting income, expenses, and savings, budgeting helps in setting financial goals, making informed decisions, and tracking progress towards those goals.

Budgeting serves several purposes. It enables individuals and organizations to prioritize their spending, ensuring that essential needs are met before allocating funds to discretionary expenses. It also helps in identifying areas where expenses can be reduced or eliminated, allowing for increased savings or investment. Budgeting is particularly important for individuals who want to achieve financial stability, pay off debts, save for retirement, or fund major purchases.

Moreover, budgeting is not a one-time task but an ongoing process. It requires regular monitoring and adjustments to ensure that actual income and expenses align with the forecasted amounts. By tracking actual spending against the budget, individuals can identify any deviations and make necessary corrections to stay on track.

In conclusion, budgeting is a crucial financial management practice that involves forecasting future income, expenses, and savings. It provides a structured approach to managing finances and helps individuals and organizations make informed financial decisions. By setting financial goals and monitoring progress, budgeting contributes to improved financial well-being and long-term financial success.

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Currently, Warren Industries can sell 10 -year, $1,000-par-value bonds paying annual interest at a 11% coupon rate. Because current market rates for similar bonds are just under 11%, Warren can sell its bonds for $960 each; Warren will incur flotation costs of $25 per bond. The firm is in the 26% tax bracket. a. Find the net proceeds from the sale of the bond, N d

. b. Calculate the before-tax and after-tax costs of debt. a. The net proceeds from the sale of the bond, N d

, is $935. (Round to the nearest dollar.) b. The before-tax cost of debt is \%. (Round to two decimal places.)

Answers

a. The net proceeds from the sale of the bond (N_d) is $935. To calculate the net proceeds from the sale of the bond (N_d), subtract the flotation costs from the selling price of the bond.

Given:

Par value of the bond = $1,000

Coupon rate = 11%

Market selling price = $960

Flotation costs = $25

Net Proceeds (N_d) = Selling price - Flotation costs

N_d = $960 - $25 = $935

Therefore, the net proceeds from the sale of the bond (N_d) is $935.

b. The before-tax cost of debt is calculated as the coupon rate on the bond. Since the coupon rate is given as 11%, the before-tax cost of debt is also 11%. The formula used for the calculation of the after-tax cost of debt is given below:

After-tax cost of debt = Before-tax cost of debt × (1 − Tax rate)= 1.1458% × (1 − 26%)= 0.848% (rounded to 8.48%)

Hence, the before-tax cost of debt is 11% and the after-tax cost of debt is 8.48%.

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The U.S. has one of the highest percentages of union membership
of industrialized nations.
Group of answer choices
True
No answer text provided.
No answer text provided.
False

Answers

The U.S. has one of the highest percentages of union membership of industrialized nations is false. Thus, option (d) is correct.

The Bureau of Labour Statistics reports that in 2022, 11.3 percent of workers were unionized, a decrease of 0.3 percentage points from the previous year.

10.1% of American workers were union members in 2022. Despite a decline in union membership since 1983, when 20.1% of American employees belonged to one, the U.S. still has a greater union membership rate than several other industrialized countries.

Therefore, option (d) is correct.

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For start-ups, the need to scale up can be costly; discuss how business model design can help overcome this.
2. Selling a product is great, but generating recurring revenues is better. Discuss the value in developing a ‘cell phone monthly subscription’ business model
3. Discuss the problems facing the newspaper industry and the options open to it to make money
4. Is it possible to receive payment before incurring expenditure?
5. Why are switching costs useful to consider in the design of a business model?
6. Is it possible to limit the threat of competition within your business model?

Answers

1. Design scalable business models to reduce costs, 2. Monthly subscription generates recurring revenues, 3. Adopt digital subscriptions, paywalls, and native advertising, 4. Ask for advance payment or deposit.

5. Switching costs help retain customers, 6. Create unique value proposition, strong brand, and barriers to entry.

1. Business model design can help start-ups scale up without incurring high costs. By designing a scalable business model, start-ups can expand their operations without increasing their costs proportionately.

2. Developing a cell phone monthly subscription business model has several benefits. It generates recurring revenues, helps retain customers, and provides a predictable revenue stream.

3. The newspaper industry is facing several problems, including declining readership and revenue. To make money, the industry can adopt several options, including digital subscriptions, paywalls, and native advertising.

4. It is possible to receive payment before incurring expenditure. By asking for an advance payment or deposit, businesses can ensure they have the funds to cover their expenses.

5. Switching costs are useful to consider in the design of a business model because they can help retain customers. By making it difficult or expensive for customers to switch to a competitor, businesses can increase customer loyalty and reduce churn.

6. It is possible to limit the threat of competition within your business model by creating a unique value proposition, building a strong brand, and establishing barriers to entry.

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Which of the following would you characterise as the first step of the ten step sales model?. a. The Approach. b. Prospecting. c.The Pre-Approach. d. The Presentation. e. The Closing

Answers

The first step of the ten-step sales model is prospecting

This is option B.

.What is prospecting?

Prospecting is the act of identifying potential clients or customers for a business's goods or services. The ultimate aim of prospecting is to build a sales funnel that can be used to generate leads and prospects, which can then be converted into sales using a variety of methods. The first step in the ten-step sales model is prospecting, according to the question above

.The other nine steps in the ten-step sales model are as follows:

Pre-Approach is the second step.Approach is the third stepNeeds Identification is the fourth step.Presentation is the fifth step.Overcoming Objections is the sixth step.Close the sale is the seventh step.Follow-up is the eighth step.Repeat business and referrals are the ninth step.Salesperson skills development is the tenth step.

So, the answer is B

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because our society values civil rights, punishment is not as swift/fast as it could be as in societies that do not value civil rights.

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Punishment may be slower in societies that value civil rights, it is ultimately more just and equitable.

Civil rights are fundamental legal, social, and moral principles that grant all individuals equal rights and protections against discrimination and injustice. Because of the importance that society places on these rights, punishment is not as quick or straightforward as it might be in societies that do not place as much emphasis on them. The concept of civil rights is a relatively recent one in human history, and it has taken centuries of struggle to establish the systems of justice that are in place today. The idea behind civil rights is that all people, regardless of their race, gender, sexual orientation, religion, or any other personal characteristic, deserve the same legal protections and opportunities as everyone else. This means that punishment must be fair and just, based on the law and evidence rather than on personal bias or prejudice. While this can sometimes lead to delays in the legal process, it is crucial to ensuring that everyone is treated equally under the law. Swift punishment, without due process or regard for civil rights, is a hallmark of oppressive regimes and violates the principles of justice that we hold dear. Thus, while punishment may be slower in societies that value civil rights, it is ultimately more just and equitable.

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an epideictic presentation is when you are introducing yourself to another person, celebrating an event, or commemorating a special occasion.

Answers

Epideictic presentations have a celebratory and commemorative purpose that aims to honor individuals, events, and occasions. An epideictic presentation is a way of expressing respect, admiration, or gratitude towards someone or something.

An epideictic presentation is a type of speech or address that is given on a special occasion such as a graduation, funeral, wedding, or any other ceremony. Its purpose is to celebrate the occasion, commemorate a special event, or introduce a person to the audience. The term “epideictic” comes from the Greek word “epideiknynai,” which means “to display, show forth or set forth." These speeches serve as a way of honoring the person, event, or occasion and often contain emotional content to make the speech more relatable to the audience.

In conclusion, epideictic presentations have a celebratory and commemorative purpose that aims to honor individuals, events, and occasions. An epideictic presentation is a way of expressing respect, admiration, or gratitude towards someone or something.

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Question 9 6 pts General Lithograph Corporation uses no preferred stock. Their capital structure uses 43% debt (hint: the rest is equity). Their marginal tax rate is 32.13%. Their before- tax cost of

Answers

General Lithograph Corporation's weighted average cost of capital (WACC) is approximately 26.89%. The before-tax cost of debt is the interest rate that General Lithograph Corporation pays on its debt.

To calculate General Lithograph Corporation's weighted average cost of capital (WACC), we need to consider the cost of debt and the cost of equity, along with their respective weights in the capital structure.

Given information: Debt proportion: 43% Tax rate: 32.13% Before-tax cost of debt: 3.15% Dividend per share: $1.07 Dividend growth rate: 7.75% Stock price: $34.44

First, let's calculate the cost of equity using the dividend discount model (DDM):

Cost of Equity = Dividend per Share / Stock Price + Dividend Growth Rate Cost of Equity = $1.07 / $34.44 + 0.0775

Now, let's calculate the after-tax cost of debt:

After-tax cost of debt = Before-tax cost of debt * (1 - Tax rate) After-tax cost of debt = 3.15% * (1 - 0.3213)

Next, we can calculate the weighted average cost of capital (WACC):

WACC = (Weight of Debt * After-tax cost of debt) + (Weight of Equity * Cost of Equity) WACC = (43% * After-tax cost of debt) + (57% * Cost of Equity)

Calculating each component and plugging them into the WACC formula:

Cost of Equity = $1.07 / $34.44 + 0.0775 = 0.03109 (or 3.11%) After-tax cost of debt = 3.15% * (1 - 0.3213) = 2.13% WACC = (0.43 * 2.13%) + (0.57 * 3.11%)

WACC = 0.9159% + 1.7727% WACC = 2.6886% (or 26.89%)

Therefore, General Lithograph Corporation's weighted average cost of capital (WACC) is approximately 26.89%.

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The question is incomplete: Complete question is:

Question 9 6 pts General Lithograph Corporation uses no preferred stock. Their capital structure uses 43% debt (hint: the rest is equity). Their marginal tax rate is 32.13%. Their before- tax cost of debt is 3.15%. General Lithograph's stock is expected to pay a dividend per share of $1.07 next year, and their dividend is expected to grow at 7.75% over the long-run. Their stock currently trades at $34.44 per share. What is General Lithograph's weighted average cost of capital (WACC)? Please enter without using the "%", but with two decimal places in other words if you calculate 9.87%, then just enter 9.87).  please give main answer & then ex[plnation

For $9.1 you could buy a 5-month put option giving you the right to sell 1 share of Delta Company's stock at a price of $80 per share. Suppose you believe that the stock price is going to decline from its current level of $82.5 sometime during the next 5 months. If you bought this option today and excise the option at the time the stock price drops to $71, what would your holding-period return be? a. -1.10% b. -72.53% c. 26.37% d. 1.10%

Answers

The answer is d. 1.10%.Explanation:A put option gives the owner the right to sell the stock at the strike price. The strike price is the price at which the option buyer may sell the underlying asset at any time until the expiration date of the option.

A put option is profitable when the market price of the underlying asset falls below the strike price of the option. The buyer of a put option has limited downside risk if the asset's value declines but still profits when the price falls.In this problem, the option buyer has to pay $9.1 for a 5-month put option, giving the buyer the right to sell one share of Delta Company's stock at a price of $80 per share.

Suppose the stock price is going to decline from its current level of $82.5 in the next five months. If the buyer buys the put option today and excises the option at the time the stock price drops to $71, what would be the holding-period return?Holding-period return is calculated using the following formula:Holding-period return = (Ending value of investment - Beginning value of investment + Cash inflow) / Beginning value of investment x 100 %Here, beginning value of the investment = price of the put option = $9.1Cash inflow = $0Ending value of the investment = Selling price of one share of Delta Company's stock = $80Hence, the holding-period return is:($80 - $9.1 + $0) / $9.1 x 100% = 1.10%Thus, the holding-period return would be 1.10%.Option D is correct.

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A stock has a beta of 0.90 and a reward-to-risk ratio of 5.95 percent. If the risk-free rate is 2.6 percent, what is the stocks expected return? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, g. 32.16)

Answers

The stock's expected return is 12.58%.

The reward-to-risk ratio is a measure of how much additional return an investor can expect for taking on additional risk. In this case, the reward-to-risk ratio is 5.95%, which means that for every 1% increase in risk, the investor can expect an additional return of 5.95%. The beta of 0.90 indicates that the stock is less volatile than the market as a whole. This means that the stock is expected to return less than the market, but also to experience less risk.

To calculate the expected return, we can use the following formula:

Expected Return = Risk-Free Rate + (Beta * Reward-to-Risk Ratio)

Plugging in the values from the question, we get:

Expected Return = 2.6% + (0.90 * 5.95%)

= 12.58%

Therefore, the stock's expected return is 12.58%.

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The customer will make payments to the contractor according to the payment schedule in the contract. True False

Answers

The consequences of the introduction of an Applicant Tracking System (ATS) for a medium-sized retail company that has 12 recruiters who report to the manager of a recruitment function are likely to include the following:

As a manager of a recruitment function for a medium-sized retail company with 12 recruiters reporting to you, the recent introduction of an Applicant Tracking System (ATS) may have some consequences. Here are some of the likely consequences that may occur:Suitable candidates for open roles may not progress to the next step in the hiring process: The system may filter out potential suitable candidates based on incomplete, inconsistent, or inaccurate applications. Therefore, some qualified candidates may not proceed to the next level.The ratio of offers extended to candidates and offers accepted by candidates will go up: By using an ATS to screen and filter out suitable applicants, the hiring team will only focus on the most qualified applicants.

Therefore, the likelihood of making offers to qualified candidates will increase.The quality of hires will go up: As a result of only considering the most suitable candidates for each role, the ATS system will increase the quality of hires. It will provide the hiring team with more significant insights into the credentials of potential applicants and their professional experience.A larger number of CVs can now be screened: With an ATS system in place, more resumes can be screened in less time. The system filters out resumes that do not meet the criteria for the advertised job role. This process allows hiring managers and recruiters to save time and energy in the long run.Long answer:As a manager of a recruitment function for a medium-sized retail company with 12 recruiters reporting to you, the recent introduction of an Applicant Tracking System (ATS) may have some consequences.

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Imagine you are a Chief executive officer (CEO) of an American gun manufacturing business. Now outline a plan for this firm that is socially responsible and a fiscally responsible manner for the next 30 years.

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As a CEO of an American gun manufacturing business, there are various strategies that can be adopted to ensure the company operates in a socially responsible and a fiscally responsible manner for the next 30 years.

Below is an outline plan that can be implemented: Corporate Social Responsibility (CSR)The gun manufacturing business can commit to a corporate social responsibility plan that addresses environmental, social, and governance issues. The following are ways the firm can implement a CSR plan: Addressing environmental issues The company can commit to reducing the carbon footprint of the organization. For instance, the firm can commit to using renewable energy sources like wind and solar. The company can also adopt a sustainable packaging program and reduce waste produced by the company. Addressing social issues The gun manufacturing business can implement a diversity and inclusion program to ensure that the organization promotes diversity and equal employment opportunities for all employees. The company can also partner with non-profit organizations that promote the welfare of the community. For instance, the company can provide financial support to organizations that promote peace-building in areas affected by gun violence. Addressing governance issues The gun manufacturing business can implement policies that promote ethical conduct and transparency. The company can promote fair and ethical behavior in all their operations, including ethical sourcing of materials. Fiscal Responsibility The gun manufacturing business can also implement fiscal responsibility plans that can ensure the firm operates sustainably for the next 30 years. The following are ways the firm can adopt fiscal responsibility plans: Long-term strategic planning The company can adopt a long-term strategic planning approach to ensure the firm plans for the future. This approach can help the firm to plan for investment opportunities and long-term growth, and reduce risks to the company. The firm can also identify challenges that the company may face in the future and plan to mitigate such challenges. Financial Management The company can adopt an effective financial management plan that ensures that the company manages its resources effectively.

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Future value with periodic rates. Matt Johnson delivers
newspapers and is putting away $30 at the end of each quarter from
his paper route collections. Matt is 11 years old and will use the
money when

Answers

Matt's future savings, with quarterly deposits of $30 and a 5% interest rate, will amount to approximately $1,133.91 by the time he turns 18.

How much savings will Matt have at 18?

He turns 18 years old. Assuming a quarterly interest rate of 5%, we can calculate the future value of Matt's savings using the future value of an ordinary annuity formula.

The formula to calculate the future value (FV) of an ordinary annuity is:

FV = P * ((1 + r)^n - 1) / r

Where:

P = periodic payment or deposit

r = interest rate per period

n = number of periods

In this case:

P = $30 (Matt's quarterly deposit)

r = 5% per quarter (0.05)

n = (18 - 11) * 4 = 28 quarters (Matt's age at 18 years old minus his current age of 11 years, multiplied by 4 to convert to quarters)

Let's calculate the future value:

FV = $30 * ((1 + 0.05)^28 - 1) / 0.05

FV = $30 * (1.05^28 - 1) / 0.05

FV ≈ $30 * (2.88984659538 - 1) / 0.05

FV ≈ $30 * 1.88984659538 / 0.05

FV ≈ $30 * 37.7969319076

FV ≈ $1,133.91

Therefore, when Matt turns 18 years old, the future value of his savings will be approximately $1,133.91.

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A firm is considering an investment that has a base case NPV of -£1.3 million. If the firm invests, there will be no issue costs but its debt will increase by £12.0 million. The present value of the associated tax shields on this debt is £2.2 million. Calculate the Adjusted Present Value (APV) of the project and state whether the project should be accepted.

Answers

The Adjusted Present Value (APV) of the project is calculated to be £0.9 million. The APV of the project is positive, the project should be accepted.

We have the values;

Base case NPV = -£1.3 million

Increase in debt = £12.0 million

PV of tax shields = £2.2 million

The formula for Adjusted Present Value (APV):

APV = NPV + PV of financing side effects = NPV + PV of tax shields.

APV = NPV + (PV of interest tax shields - PV of bankruptcy costs)

= NPV + (PV of tax shields - 0)

NPV = Base case

NPV = -£1.3 million

PV of tax shields = £2.2 million

Adjusted Present Value (APV)APV = NPV + PV of tax shields.

APV = -£1.3 million + £2.2 million

APV = £0.9 million

Since the APV of the project is positive, the project should be accepted.

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A clerk at a grocery store scanned the bar code for a low cost bag of frozen chicken wings then gave his friend an expensive brand-name bag of frozen chicken wings. Which of the following controls would best prevent the clerk from getting away with doing this?

A) Physical inventory count.
B) Segregation of duties.
C) Limited physical access to bar codes.
D) Use of RFID tags

Answers

Segregation-of-duties controls would best prevent the clerk from getting away with doing this. Therefore, option B is correct.

Segregation of duties is the control that would best prevent the clerk from getting away with scanning a low-cost item and giving away an expensive item. Segregation of duties involves assigning different tasks and responsibilities to different individuals to prevent any single person from having complete control over a transaction or process.

In this case, if the duties of scanning and distributing items were segregated, the clerk would not have the opportunity to switch the products unnoticed. For example, one employee could be responsible for scanning items at the register, while another employee handles the distribution or bagging of items. This separation of duties creates a system of checks and balances, reducing the risk of fraud or unauthorized actions.

The other options listed are relevant controls but may not be as effective in preventing the specific scenario described. Physical inventory count helps in verifying the accuracy of inventory levels but may not catch the fraudulent activity at the time of the transaction. Limited physical access to barcodes could be a control, but it may not completely prevent the clerk from switching products. The use of RFID tags can help with inventory management but does not directly address the issue of employee misconduct.

Segregation of duties is a crucial control mechanism that can prevent fraudulent activities, such as the clerk swapping products, by ensuring multiple individuals are involved in different aspects of the transaction process. This control adds an extra layer of accountability and reduces the risk of internal fraud or misappropriation of goods.

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Monetary Considerations: Explain how monetary considerations such as currency, exchange rates, and exchange-rate management would impact the organization’s decision to expand into your selected market, using current exchange rates between your selected country and the United States to support your explanations.

Answers

The monetary considerations, including currency, exchange rates, and exchange-rate management, play a crucial role in an organization's decision to expand into a foreign market. Understanding how these factors impact the organization's expansion plans is essential for making informed decisions and minimizing risks.

Currency exchange rates determine the value of one country's currency in relation to another. Organizations need to assess the currency exchange rates before investing in a foreign market. Investing in countries with weaker currencies can provide cost advantages and increase profits for the organization.

Exchange rates can have a significant impact on an organization's expansion plans. Fluctuations in exchange rates can lead to losses or reduced profitability if the rates become unfavorable. Evaluating exchange rates and their potential impact on investments is crucial to mitigate risks and make informed decisions.

Effective exchange-rate management is vital for organizations expanding into foreign markets. It involves analyzing exchange rates, developing strategies to minimize risks, and ensuring profitability. Techniques such as forward contracts, options, or hedging can be employed to manage exchange-rate risks effectively.

To illustrate, a US company planning to expand into the UK market needs to assess the current exchange rate between the US dollar and the UK pound. If the exchange rate is favorable, with a stronger dollar or weaker pound, the company may consider investing in the UK market to leverage lower production costs and potentially increase profits. However, if the exchange rate is unfavorable, the company might choose to wait for more favorable conditions before making its investment.

In conclusion, the monetary factors of currency, exchange rates, and exchange-rate management significantly influence an organization's decision to expand into a foreign market. Evaluating and understanding these considerations is crucial for minimizing risks, ensuring profitability, and making informed decisions regarding international expansion. By carefully analyzing currency dynamics and implementing effective exchange-rate management strategies, organizations can navigate the complexities of global markets and enhance their chances of successful expansion.

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No need to explain
In the context of the objective territorial jurisdiction principle, acts taking place within the borders of one nation can have a direct and foreseeable impact in another nation, and the other nation can have jurisdiction over those acts.
Group of answer choices
True
False
An arbitral award is not a judgment but may sometimes be enforced globally.
Group of answer choices
True
False
Disputes between corporations or between individuals that cross national boundaries must be resolved in the international civil court.
Group of answer choices
True
False

Answers

FalseThe objective territorial jurisdiction principle states that a nation has jurisdiction over acts that occur within its own borders.

However, acts taking place within one nation's borders do not automatically grant jurisdiction to another nation, even if there is a direct and foreseeable impact. Each nation typically exercises jurisdiction over acts within its own territory, unless there are specific legal agreements or principles that allow for extraterritorial jurisdiction.

False

An arbitral award is a decision made by an arbitral tribunal to resolve a dispute between parties. While an arbitral award is not a judgment issued by a national court, it can still be enforced globally through international conventions and agreements. The New York Convention, for example, provides a framework for the recognition and enforcement of arbitral awards in over 160 countries, making them enforceable in multiple jurisdictions.

FalseDisputes between corporation or individuals that cross national boundaries are not necessarily required to be resolved in international civil courts. The resolution of such disputes depends on various factors, including the nature of the dispute, the parties involved, and any applicable agreements or contracts. Parties may choose alternative dispute resolution methods such as arbitration or mediation, or they may opt to resolve the dispute through national courts in the relevant jurisdictions. The choice of forum will depend on the specific circumstances and the preferences of the parties involved.

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Express a reasoned and balanced judgment of the risk-return
relationship in financial markets.

Answers

The risk-return relationship in financial markets suggests that higher returns are generally associated with higher levels of risk. Balancing risk and return is essential for making informed investment decisions, considering factors such as individual risk tolerance and diversification strategies.

The risk-return relationship in financial markets is a fundamental principle that drives investment decisions. It suggests that higher returns are generally associated with higher levels of risk.

This relationship is rooted in the concept of risk aversion, as investors typically require compensation for taking on additional risk.

While it is generally true that higher-risk investments have the potential for higher returns, this relationship is not linear and can vary across different market conditions and investment instruments.

It is essential to consider the context, time horizon, and individual risk tolerance when assessing the risk-return tradeoff.

Investors seeking higher returns often turn to asset classes such as equities, commodities, or emerging markets, which historically have offered greater potential returns but also come with increased volatility and uncertainty.

On the other hand, more conservative investments like government bonds or savings accounts provide lower returns but offer greater stability and lower risk.

Balancing risk and return is a personal decision that depends on an individual's financial goals, time horizon, and risk appetite.

Diversification, asset allocation, and risk management strategies can help mitigate risk while seeking an optimal balance between return and risk.

Ultimately, understanding and carefully managing the risk-return relationship is crucial for informed investment decisions.

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what characteristics should a long-term investor
display?

Answers

A long-term investor should exhibit patience and discipline, resisting the urge to make impulsive investment decisions based on short-term market fluctuations. They understand that successful investing requires time.

Focus on Fundamental Analysis: Long-term investors prioritize fundamental analysis to evaluate the financial health, growth potential, and competitive advantages of the companies they invest in. They consider factors such as revenue, earnings, cash flow, and industry trends to make informed decisions based on long-term prospects rather than short-term market sentiment.

They consider factors such as revenue, earnings, cash flow, and industry trends to make informed decisions based on long-term prospects rather than short-term market sentiment.

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"Employees of Design Fabrications are allowed to come to work late every Monday morning, either to back from hometown or to avoid the ensuing traffic jams. This arrangement has always been ‘understood’ and never written down, so that it’s become an unwritten

Require:

Discuss critically using specific examples to compare and contrast the contract above in terms of individual expectations and organization expectation.

Answers

The contract above concerns Design Fabrications employees who are allowed to come to work late every Monday morning.

The company does this as a favor to the workers to avoid any traffic jam or for them to return to their home town. However, this agreement has never been documented hence it is an unwritten rule. Below are some of the similarities and differences between individual expectations and organization expectation: Similarities: Both the individual and organizational expectations are in agreement on the coming to work arrangement every Monday.

This is in the interest of both the company and the workers. Individual expectations: Employees are only required to come to work every Monday morning. They are allowed to come late to avoid traffic jams or to return from their hometown. Since this arrangement is not in writing, workers may abuse it, leading to the company's loss of money or reduced productivity.

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FILL THE BLANK. Point Advancement in Information Technology (IT) has helped healthcare providers deal with the shortage of nurses and sharply reduce costs. Accordingly, IT helped to increase ----- for healthcare providers. A Integration B Efficiency Ineffectiveness D Differentiation

Answers

Point Advancement in Information Technology (IT) has helped healthcare providers deal with the shortage of nurses and sharply reduce costs. Accordingly, IT helped to increase efficiency for healthcare providers. The correct answer is B.

Advancements in Information Technology (IT) have significantly contributed to the healthcare industry by improving efficiency for healthcare providers. IT has enabled healthcare organizations to streamline processes, automate tasks, and enhance communication and information management systems.

This, in turn, has helped healthcare providers effectively deal with the shortage of nurses and reduce costs. IT systems, such as electronic health records (EHRs) and computerized physician order entry (CPOE) systems, enable seamless integration and sharing of patient information among healthcare professionals.

This eliminates the need for manual paperwork, reduces errors, and enhances coordination and collaboration. Additionally, Information Technology has facilitated the automation of routine tasks, such as appointment scheduling, billing, and inventory management, freeing up valuable time for healthcare providers to focus on patient care.

By leveraging IT, healthcare providers can achieve greater operational efficiency, improve workflow processes, and optimize resource allocation. This leads to enhanced productivity, reduced waiting times, and increased patient throughput.

IT also supports evidence-based decision-making by providing real-time access to patient data, medical research, and treatment guidelines.

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Question Discuss the human factors that designers need to consider during the systems development and certification of aircraft. Your answer should include examples of the different ways in which human intervention can impact on a system's operation. Model answer A discussion based upon the so-called "Dirty Dozen" and ways to mitigate their negative effects.

Answers

Human factors play an important role in the development and certification of aircraft systems.

Designers need to consider the "Dirty Dozen" - 12 commonly occurring human factors that can lead to errors or accidents. These include factors such as fatigue, stress, communication and situational awareness.

Human factors can impact an aircraft system's operation in various ways. For example, fatigue can cause pilots or other personnel to make errors in judgment or response time.

Stress can also affect decision-making and lead to errors. Poor communication can lead to misunderstandings or incorrect actions being taken.

Situational awareness can be compromised if personnel do not have a clear understanding of the current conditions and potential hazards.

To mitigate these negative effects, designers can incorporate human factors considerations into the system design process, provide adequate training and resources, and implement protocols and procedures to address these issues.

Regular maintenance and monitoring can also help ensure that personnel are operating at optimal levels and that processes are functioning as intended.

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