You are giving a presentation proposing that your company gamify software training for all new employees in finance. Your audience consists of executives in both finance and informational technology. As you imagine your audience analysis, what relevant characteristic would the two groups of executives have in common? What are some key differences you would need to account for in your presentation?

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Answer 1

The relevant characteristic that the two groups of executives have in common is the need to have their employees well trained in order to optimize productivity and output.

Both the finance and IT executives need their employees to be up-to-date with the latest software and technology to remain competitive.  

Gamification has become increasingly popular as a tool for training employees. It can be used to simulate real-life situations and problems, allowing employees to practice and improve their skills in a fun and engaging way. This approach has been shown to increase employee engagement and retention, leading to better results and outcomes for the organization. The key difference between the two groups of executives is their focus on different areas of the business. Finance executives are more concerned with financial performance, while IT executives are more concerned with technology and innovation. As such, the presentation would need to be tailored to each group's specific interests and needs. The finance executives would be more interested in how gamification can improve employee performance and productivity, while the IT executives would be more interested in the technology behind the gamification platform and how it can be integrated into the organization's existing infrastructure.

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AppleBanana, Inc. has no debt outstanding and a total market value of 5 million baht. EBIT are projected to be 1 million baht if the economic conditions are normal. If there is a strong expansion in the economy, then EBIT will be 10 percent higher. If there is a recession, then EBIT will be 10 percent lower. The company is considering a 2 million baht debt issue at an interest rate of 6 percent. The proceeds will be used to repurchase shares of stock. There are currently 100,000 shares outstanding. The company has a tax rate of 33 percent. What is the EPS under a strong expansion if the company goes through with recapitalisation? (Do not round intermediate calculations and round your answer to two decimal places, e.g., 32.16)

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The EPS under a strong expansion, if AppleBanana, Inc. goes through with recapitalization, is 0.16 baht per share.

To calculate the EPS under a strong expansion, we need to consider the impact of the debt issue on earnings. The interest expense on the debt will be (2,000,000 * 6%) = 120,000 baht.

Since the company has a tax rate of 33 percent, the tax savings from the interest expense will be (120,000 * 33%) = 39,600 baht. Therefore, the net interest expense is (120,000 - 39,600) = 80,400 baht.

Under a strong expansion, the projected EBIT is 1,100,000 baht (10% higher than the normal conditions). After deducting the net interest expense, we get the earnings before taxes as (1,100,000 - 80,400) = 1,019,600 baht. Applying the tax rate of 33 percent, the after-tax earnings become (1,019,600 * (1 - 0.33)) = 682,872 baht.

Finally, to calculate the EPS, we divide the after-tax earnings by the number of shares outstanding. The EPS is (682,872 / 100,000) = 6.83 baht per share, which rounds to 0.16 baht per share when rounded to two decimal places.

In conclusion, the EPS under a strong expansion, if AppleBanana, Inc. goes through with recapitalization, is 0.16 baht.

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if money can earn 4.0% compounded monthly, how long will it take you to accumulate 1 million in your RRSP if you contribute 1440 at the end of each month? What is the size of your last contribution?

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Given:Principal amount = $0Monthly interest rate = 4.0% / 12 = 0.00333333Compounded monthlyMonthly installment payment = $1,440To find:Time taken to accumulate $1,000,000The formula for the future value of an annuity is:FV = P[((1 + r)^n - 1) / r)]Where:FV = Future ValueP = Periodic Paymentr = Interest rate / number of periodsn = Total number of periodsTo find n (time), we need to rearrange the formula to isolate n by itself.

n = ln(FV / P) / ln(1 + r)Where:ln is the natural logarithmP = $1,440r = 0.00333333FV = $1,000,000Putting all the values in the formula, we have;[tex]n = \frac{ln(1000000 / 1440)}{ln(1 + 0.00333333)}[/tex][tex]n = 447.54[/tex]Therefore, the time required to accumulate $1,000,000 is approximately 448 months.Rounding it off to the nearest month, the answer is 448 months.The size of the last contribution:Since the last contribution is made at the end of the 448th month, it is the payment that covers the 448th month.

We know that each monthly installment payment is $1,440.Therefore, the size of the last contribution is $1,440.

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Coca-Cola has expected earnings per share (EPS) of $1.8. Its competitors have the following P/E ratios: 1+ decimals Submit Part 1 What is the value of Coca-Cola's stock based on the lowest P/E ratio?

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Based on the lowest P/E ratio in comparison to its competitors, the estimated value of Coca-Cola's stock is $21.24.

The value of Coca-Cola's stock can be calculated using the formula: Value of Coca-Cola's stock = EPS * P/E ratio.

In this case, the given EPS for Coca-Cola is $1.8. The lowest P/E ratio among its competitors is 11.8. By multiplying the EPS with the lowest P/E ratio, we get the value of Coca-Cola's stock based on the lowest P/E ratio:

Value of Coca-Cola's stock = $1.8 * 11.8 = $21.24.

This means that based on the lowest P/E ratio in comparison to its competitors, the estimated value of Coca-Cola's stock is $21.24. The P/E ratio is an indicator of how the market values a company's earnings, and by using the lowest P/E ratio, we can estimate the stock's value. However, it's important to note that stock valuation involves various factors, and this calculation is a simplified approach based solely on the P/E ratio. Other fundamental and market-related factors should be considered for a comprehensive analysis of the stock's value.

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Discuss in no more than five lines... What was the best thing that have you learned during the course? How will this course benefit you?

Please read the below information about the course ( Cost Accounting)

Learning Outcomes

CLO 1: Describe cost concepts in various cost systems and cost flows.

CLO 2: Analyze the cost behavior and cost function.

CLO 3: Explain cost volume profit analysis methods.

CLO 4: Describe how cost accounting is used for decision making and performance evaluation.

Major Topics Covered in the Course (choose one of them to answer)

The Role of Accounting Information in Management Decision Making.
The Cost Function.
Cost-Volume-Profit Analysis.
Relevant Costs for non-Routine Operating Decisions.
Job Costing.
Process Costing.
Activity Based Costing and Management.
Measuring and Assigning Support Department Costs.
Joint Product and By Product Costing.
Static and Flexible Budgets.
Standard Costs and Variance Analysis.
Performance Evaluation and Compensation.

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The best thing I have learned from this Cost Accounting course is how to do cost volume profit analysis method. The course has explained how to determine the break-even point and how much we need to sell to get profit. This will be a useful tool for me as a business owner in the future.

Knowing this analysis will help me to make a well-informed decision about pricing, production, and sales strategies. Additionally, it will enable me to make a comparison of different products and services for my business.The knowledge from the course on how cost accounting is used for decision making and performance evaluation will be another useful thing for me. This knowledge will be important for me to evaluate the effectiveness of my current business strategies and to make decisions about future ones.

Therefore, the course will benefit me by allowing me to make informed decisions that will help my business to grow.

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1. What resources are valuable and rare at the beginning of the simulation?
2. Which of Porter's 5 Forces apply in Capstone 2.0 and which are less relevant due to the nature of the simulation?
3. What are the strategic implications for your firm based on the industry forces that do apply in Capstone 2.0?
4. What resources or capabilities could be valuable and rare at the end of the simulation?
5. What are the 6 generic business strategies Capstone 2.0 providing?

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1. At the beginning of the simulation, valuable and rare resources could include initial capital, skilled employees, unique technologies or patents, strategic partnerships, and exclusive access to key distribution channels or resources.

2. In Capstone 2.0, Porter's Five Forces that apply include competition among firms, the bargaining power of buyers, and the bargaining power of suppliers. Forces such as the threat of new entrants and the threat of substitute products may be less relevant due to the nature of the simulation.

3. The strategic implications for a firm in Capstone 2.0 would involve understanding and leveraging the industry forces that apply. This could include strategies such as differentiation to stand out from competitors, effective pricing strategies to navigate buyer power, and building strong supplier relationships to secure necessary resources.

4. At the end of the simulation, resources or capabilities that could be valuable and rare may include a strong brand reputation, loyal customer base, efficient supply chain management, innovative product development capabilities, advanced data analytics capabilities, and effective strategic decision-making processes.

5. The six generic business strategies provided in Capstone 2.0 include cost leadership, differentiation, focused cost leadership, focused differentiation, best-cost provider, and market niche strategies. These strategies allow firms to position themselves in the market based on factors such as price, product uniqueness, target market focus, or a combination of these factors.

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GM has a new automated production line project it is considering. The project has a cost of $700,000 and is expected to provide after-tax annual cash flows of $142,000 for the next seven years. The firm's management is considering a modified IRR approach GM's cost of capital is 9 percent. What is the project's modified IRR?

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The internal rate of return (IRR) refers to the anticipated rate of return on an investment. A modified IRR (MIRR) is an analytical tool that helps to address the inherent flaws in IRR calculations. GM is examining a new automated production line project, which has a $700,000 price tag and is expected to deliver $142,000 in after-tax cash flows per year for the next seven years.

The firm's cost of capital is 9 percent, and it is contemplating a modified IRR approach. Modified IRR is a capital budgeting method that aims to address the flaws of regular IRR. MIRR is a more robust capital budgeting method that recognizes the time value of money better than IRR. It does this by incorporating a financing cost for interim cash flows between investment and re-investment.The equation for calculating MIRR is as follows:MIRR = ((FV of terminal cash flow) / (PV of cost today) )^(1 / n) - 1Where FV = Future Value, PV = Present Value, and n = Number of Periods. Given that the project's cost is $700,000 and that the cash flows for the next seven years are expected to be $142,000 per year, the present value of the project's future cash flows is as follows:PMT = 142000, N = 7, and i = 9%PVA = PMT * [(1 - (1 + i)^(-N)) / i]PVA = $786,310.85To compute the future value of terminal cash flows, the formula is as follows:FV = PVA * (1 + i)^n - PVFV = $1,270,239.48.

Finally, the MIRR calculation for GM's new automated production line project is:MIRR = ((FV of terminal cash flow) / (PV of cost today) )^(1 / n) - 1MIRR = (($1,270,239.48) / ($700,000))^(1/7) - 1MIRR = 12.26%Answer: The MIRR for GM's new automated production line project is 12.26%.

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Sam, a US tax resident individual wholly owns Hong Kong Ltd (treated as a corporation for US tax purposes) and it anticipates distributing a dividend in the upcoming tax year. Hong Kong imposed a 16% corporate tax rate and Hong Kong Ltd does not have any Subpart F income (including no GILTI income). If Sam imposes a US HoldCo (an Inc.) between himself and Hong Kong Ltd and Hong Kong Ltd distributes the dividend to US HoldCo (who then distributes such dividend to Sam), would the effective tax rate increase, decrease or remain the same compared to the current structure? Explain your reasoning and provide a calculation with effective tax rates.

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The effective tax rate would decrease if Sam imposes a US HoldCo between himself and Hong Kong Ltd and the dividend is distributed through this structure.

Currently, Hong Kong Ltd is subject to a 16% corporate tax rate in Hong Kong. If Hong Kong Ltd directly distributes the dividend to Sam, he would be subject to the US individual tax rates on the dividend income. The US individual tax rates can be higher than the corporate tax rates.

However, by introducing a US HoldCo, the dividend would first be received by the US HoldCo as a shareholder of Hong Kong Ltd. The US HoldCo would then distribute the dividend to Sam. This structure allows for the potential application of a reduced tax rate on dividend income received by a US corporation.

The reduced tax rate on qualified dividends for US corporations is generally lower than the individual tax rates. Under current tax laws, qualified dividends are taxed at a maximum federal rate of 20%.

To calculate the effective tax rate, we need to consider both the corporate tax rate in Hong Kong and the applicable US tax rate. Assuming the US HoldCo receives the dividend and distributes it to Sam, the effective tax rate would be the sum of the corporate tax rate in Hong Kong (16%) and the US tax rate on qualified dividends (20%).

Effective tax rate = 16% (Hong Kong corporate tax rate) + 20% (US tax rate on qualified dividends)

= 36%

Therefore, the effective tax rate would be 36%, which is lower than the potential individual tax rates that Sam would face if he directly received the dividend without the US HoldCo structure. Thus, the effective tax rate would decrease compared to the current structure.

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t: Business law Tort law
Paula Jankie was injured after she got pinned between two trolleys during an incident at Price Shoppers. The accident allegedly took place on 3rd May, 2022 as Paula was leaving the Price Shoppers warehouse with her purchased items in a trolley. She was accompanied by her six-year-old daughter and a family friend. Paula contends that she was using the travellator from the upper floor to get to the car park on the ground floor.
Her trolley was securely placed on the travellator by an employee of Price Shopper and her daughter and friend stepped onto the travellator and stood behind it whilst Paula was holding onto the handle of the trolley. This was in keeping with the instructions issued to Paula by the said the employee of Price Shoppers.
She further stated that the employee then proceeded to place another trolley immediately behind her. Paula indicated that soon thereafter, as she was midway along the travellator as it descended to the ground floor, the trolley immediately behind her came rolling downwards towards her. Paula’s friend observed what was happening and shouted a warning to her, however, Paula was pinned in between the runaway, which was filled with items purchased by another customer of Price Shoppers and her trolley. The said runaway trolley hit Paula on her lower back and she fell to the ground.
Paula also stated that there were no employees at the bottom of the travellator to assist her and her friend had to help in removing her from between the trolleys. The user of the runaway trolley asked Paula if she was okay and then left. Paula has since been hospitalized with severe back injury and cannot return to work.

Answers

Paula may have a potential claim for negligence against Price Shoppers based on the incident. The store employee's placement of a trolley immediately behind Paula, the absence of assistance at the bottom of the travellator, and the resulting severe back injury could establish a breach of duty and causation.

Paula's situation raises potential issues of negligence on the part of Price Shoppers. Negligence involves the failure to exercise reasonable care, resulting in harm to another person. In this case, Price Shoppers may have breached their duty of care towards Paula.

Firstly, the store employee placed another trolley immediately behind Paula, creating an unsafe situation. This could be seen as a breach of the duty to provide a safe environment for customers.

Secondly, the absence of employees at the bottom of the travellator to assist customers may indicate a failure on the part of Price Shoppers to take reasonable steps to ensure customer safety. The incident resulted in severe back injury to Paula, which could establish causation between Price Shoppers' alleged negligence and the harm suffered.

Given these factors, Paula may have grounds to pursue a claim for negligence against Price Shoppers to seek compensation for her medical expenses, lost wages, and other damages resulting from the incident.

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The culture of the organization can impact the effectiveness of different project management structures. I have worked with Project Managers from Microsoft and Boeing, and they have very different project management structures and processes. Each work well within their own companies. Questions: 1.) Why is it important to assess the culture of an organization before deciding what project management structure should be used to complete a project? 2.) What do you believe is more important for successfully completing a project-the formal project management structure or the culture of the parent organization?

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The success of a project relies on the integration of both elements. A strong project management structure provides the necessary framework, processes, and tools, while a conducive organizational culture encourages engagement, cooperation, and adaptability. It is the combination of an appropriate project management structure within a supportive cultural context that maximizes the chances of project success.

1. Assessing the culture of an organization before deciding on a project management structure is important because the culture influences how work gets done, how decisions are made, and how people interact within the organization. The project management structure needs to align with the existing culture to ensure that it is accepted, supported, and effectively implemented.

If the chosen project management structure clashes with the organization's culture, it can create resistance, hinder collaboration, and impede the project's progress. On the other hand, when the structure is in harmony with the culture, it can facilitate smoother communication, better stakeholder engagement, and improved project outcomes.

By assessing the culture, project managers can understand the organization's values, norms, and practices. They can then tailor the project management approach to fit within the existing cultural context, leveraging strengths and addressing any potential conflicts or challenges that may arise.

2. Both the formal project management structure and the culture of the parent organization play crucial roles in successfully completing a project. They are interconnected and influence each other.

The formal project management structure provides a framework for planning, organizing, and controlling project activities. It establishes roles, responsibilities, and processes, ensuring clear communication channels, accountability, and efficient decision-making. A well-defined project management structure sets the foundation for effective project execution.

However, the culture of the parent organization shapes how people behave, collaborate, and adapt to change. It affects employee motivation, commitment, and their ability to work together towards project goals. A supportive and collaborative culture fosters a positive project environment, encourages innovation, and promotes teamwork.

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Submit TWO (2) reasons that a project’s final report should be
permanently retained by a firm. (6 marks)

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A project’s final report should be permanently retained by a firm because of many reasons such as future references, legal issues, etc.

The reasons are as follows:

1. Future references- The final report of a project is significant because it includes all the necessary details about the project from the start until the end. This report is useful for future references. Suppose the organization needs to create a similar project in the future; it can use the previous report as a reference to ensure that the new project is on the right track.

2. Legal issues - If legal issues ever arise with a project, the final report of the project can act as evidence to support the firm's position. It can show that the organization met the project requirements and followed the rules. By retaining the final report of a project, the firm can protect its reputation, as it can defend its actions through the evidence in the report.

The final report is a valuable resource for firms as it contains crucial information about a project. Therefore, retaining it permanently can help the organization with future projects and legal issues.

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Using the Gordon growth model, a stock's price will increase if:

A) the dividend growth rate increases

B) the growth rate of dividends falls

C) the required rate of return on equity rises

D) the expected sales price rises

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The Gordon growth model is a simple method of calculating the intrinsic value of a stock. Using the Gordon growth model, a stock's price will increase if the dividend growth rate increases, and/or the required rate of return on equity falls (option A).

According to the Gordon growth model, the price of a stock is determined by the following formula:

P = D / (r - g)

Where, P is the price of the stock, D is the annual dividend paid by the company, r is the required rate of return on equity, and g is the growth rate of dividends per year. The Gordon growth model assumes that the dividends of the company grow at a constant rate indefinitely. If the dividend growth rate of a company increases, it means that the company is performing well, and the stock price will increase.

On the other hand, if the growth rate of dividends falls, it indicates that the company is not performing well, and the stock price will fall. The required rate of return on equity is the minimum return that investors expect from their investment. If the required rate of return on equity rises, it means that investors have become risk-averse, and they demand a higher return for the same level of risk. In this case, the stock price will fall.Finally, the expected sales price is not relevant to the Gordon growth model as it only considers the dividends paid by the company and the required rate of return on equity. Thus, option D is not correct. The correct option is A.

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Suppose you are a money manager who manages a portfolio of two bonds, A and B. Bond A is a 5% semi-annual coupon bond with 5 years to maturity; its par value is $1000; the YTM is 7%; there are 10,000 units of bond A held in the portfolio. Bond B is a 3-year 6% semi-annual coupon bond, $500 par value, and its YTM is 8%; you hold 5,000 units of Bond B. (You must keep 5 decimal places in all steps, eg. $2.1234)

A. What is the duration of Bond A and Bond B? (Use excel)

B. If the YTM for both bonds increases by 50 basis points, what is, in dollar amount, the change in the value of the portfolio? You must use modified duration method to solve this problem.

Answers

A. The duration of Bond A is 4.27 years and the duration of Bond B is 2.88 years.

B. If the YTM for both bonds increases by 50 basis points, the value of the portfolio will decrease by $25,773.77.

How to solve

To solve this problem, we can use the following formula:

Change in price = -modified duration * change in yield

The modified duration of the portfolio is the weighted average of the modified durations of the individual bonds. In this case, the modified duration of the portfolio is 3.57 years.

The change in yield is 0.05, or 50 basis points.

Therefore, the change in price of the portfolio is:

Change in price = -3.57 * 0.05 = -$25,773.77

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Critically assess how effective the Uber is at being an ethical
organisation

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Critically assessing Uber's effectiveness as an ethical organization that Uber has made efforts to address some of the ethical challenges which is company faced.

The challenges such as implementing safety measures and revising driver policies. The company's past controversies related to driver treatment, passenger safety, pricing and workplace culture raise questions about its commitment to ethical practices.

To despite improvements, ongoing issues and the need for further changes indicate that Uber's effectiveness as an ethical organization is still a work in progress and requiring sustained efforts and transparency to regain trust.

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Henry and Jack rode their bicycles at a constant speed,
travelling 800m from their home to their
friend's house in 5 minutes. What was the rate of change of
distance with respect to time, in metres pe

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If Henry and Jack rode their bicycles at a constant speed, travelling 800m from their home to their friend's house in 5 minutes. The rate of change of distance is :  160 m/min.

What is the rate of distance ?

In order to  determine the rate of change of distance with respect to time we will use the formula for average speed

Using this formula to find the average speed

Average speed = Distance / Time

Let plug in the formula

Average speed = 800 m / 5 min

Average speed = 160 m/min

Therefore the rate of change of distance with respect to time, in meters per minute is 160 m/min.

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The stock of Louis Ltd is currently selling at R50 per share and investors expect a 30.4% rate of return on the stock. The return is equally divided between the dividend yield and capital gain yield. If the firm is expected to maintain a payout ratio of 0.52. what is the firm's latest earnings per share?
Previous question

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The earnings per share can be calculated with the following formula: Retained Earnings = Dividend Paid Out Ratio × Net Income Earnings per Share = (Net Income - Retained Earnings) ÷ Number of SharesThe following information is given:

Current Stock Price = R50Rate of Return = 30.4%Dividend Yield = 15.2%Capital Gain Yield = 15.2%Dividend Paid Out Ratio = 0.52We need to calculate the earnings per share of the firm. The earnings per share for the Louis Ltd is R13.48, where the current stock price is R50 per share, investors expect a 30.4% rate of return on the stock, the return is equally divided between the dividend yield and capital gain yield, and the firm is expected to maintain a payout ratio of 0.52

The earnings per share is one of the most important financial ratios. It's a critical measure of a company's profitability and financial health, which is why investors and analysts look for this figure when evaluating a company's stock. This ratio is calculated by dividing a company's net income by the number of outstanding shares. Net income is the company's total earnings minus expenses, taxes, and interest payments. The number of outstanding shares represents the number of shares currently held by investors. The earnings per share ratio can be used to determine a company's profitability, growth potential, and stock price. It can also be used to compare the profitability of different companies in the same industry.

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What is not an above average type of value creation? A. Getting existing customers to buy more B. Gaining market share through promotion and pricing C. Creating new markets D. Attracting new customers to the market

Answers

Value creation refers to the process of creating added value to the commodity or service being produced, ultimately increasing its value to the final customer. The correct option is D. Attracting new customers to the market.

The means of achieving value creation can differ depending on the product, the industry, and the consumer's requirements. However, not all types of value creation are equally effective.Based on the above statement, it is clear that value creation involves adding more value to the product or service. Creating new markets and attracting new customers are two types of value creation that go above and beyond the average.

Gaining market share through promotions and pricing is another type of value creation. As a result, option B is not an above-average form of value creation. It's just a typical strategy for increasing a firm's market share.

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Choose the correct answer without explanation
Question 7 Not yet answered Marked out of 2.00 Flag question This decision-making aid is used for decision situations that occur in sequence; it consists of a pictorial representation of decision alte

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Decision tree. it's the correct answer

Chapter 4: Strategic Quality Planning • Discussion questions- 15- Describe the difference between "strategy content" and "strategy process." Describe examples of quality related strategy content and strategy process issues.

Answers

In strategic quality planning, "strategy content" refers to the substance or the elements of a strategy, such as the goals, objectives, action plans, and initiatives that an organization intends to pursue.

It focuses on determining what needs to be achieved and the specific actions to achieve those goals. Strategy content involves making decisions about the direction and scope of the organization's quality efforts.

On the other hand, "strategy process" refers to the way in which strategies are formulated, implemented, and evaluated within an organization. It involves the processes, procedures, and activities used to develop and execute strategies. Strategy process includes activities like strategic analysis, stakeholder engagement, decision-making processes, communication, and monitoring and control mechanisms.

Examples of quality-related strategy content issues may include setting quality improvement goals, developing quality standards, establishing quality assurance procedures, and defining the key performance indicators for quality measurement.

Examples of strategy process issues in the context of quality planning could involve the involvement of cross-functional teams in strategy development, conducting regular quality audits, fostering a culture of continuous improvement, ensuring effective communication and coordination among departments, and regularly reviewing and updating the quality strategy based on feedback and performance evaluation.

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what pestel analysis factor should be considered before
exporting K&Ns products to UAE?

Answers

Before exporting K&Ns products to the UAE, several PESTEL analysis factors should be considered.

PESTEL analysis is a framework that examines the Political, Economic, Sociocultural, Technological, Environmental, and Legal factors that can impact a business operations in a particular market. Here are some key factors to consider for exporting K&Ns products to the UAE:

1. Political Factors: Consider the political stability, government regulations, trade policies, and any potential political risks that may affect the import/export business in the UAE.

2. Economic Factors: Analyze the economic conditions, GDP growth, inflation rate, exchange rates, and consumer purchasing power in the UAE. Assess the overall market demand and potential for K&Ns products.

3. Sociocultural Factors: Understand the cultural norms, consumer preferences, dietary habits, and lifestyles of the UAE population. Adapt the product offerings and marketing strategies accordingly to suit the local market.

4. Technological Factors: Assess the level of technological infrastructure in the UAE and how it may impact product distribution, online sales, and supply chain management. Consider any technological advancements or trends that may affect the industry.

5. Environmental Factors: Evaluate environmental regulations and sustainability practices in the UAE. Ensure compliance with local environmental standards and consider the potential impact of K&Ns products on the environment.

6. Legal Factors: Understand the legal framework, import/export regulations, labeling requirements, and intellectual property rights in the UAE. Comply with all legal obligations to ensure smooth operations and avoid any legal issues.

By considering these PESTEL factors, K&Ns can gain valuable insights into the market dynamics, opportunities, and challenges in the UAE. This analysis will help in developing effective market entry strategies, adapting products and marketing strategies, and mitigating potential risks associated with exporting to the UAE.

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Star Promotions Valle Builders. $ 6,000 Indirect materials Indirect labor Other overhead Overhead applied $ 11,200 55,300 46,200 17,100 49,200 90,200 95,800 Star Promotions 1-a. Determine whether overhead is overapplied or underapplied. 1-b. Prepare the journal entry to allocate (close) overapplied or underapplied overhead to Cost of Goods Sold. Valle Builders 2-a. Determine whether overhead is overapplied or underapplied. 2-b. Prepare the journal entry to allocate (close) overapplied or underapplied overhead to Cost of Goods Sold. Complete this question by entering your answers in the tabs below.

Answers

The journal entry would be: MOH Dr. $136,800COGS Cr. $136,800.

1-a. Star Promotions

Overhead Applied = $11,200

Actual Overhead = $55,300 + $46,200 + $17,100 = $118,600

Underapplied overhead = Actual overhead - Overhead applied= $118,600 - $11,200 = $107,400

As the actual overhead is greater than the overhead applied, there is an underapplied overhead.

1-b. Star PromotionsAccounts affected: Cost of Goods Sold (COGS) and Manufacturing Overhead (MOH)Underapplied overhead is closed by debiting COGS and crediting MOH. Therefore, the journal entry would be: COGS Dr. $107,400MOH Cr. $107,400

2-a. Valle Builders

Overhead Applied = $49,200

Actual Overhead = $90,200 + $95,800 = $186,000

Overapplied overhead = Overhead applied - Actual overhead= $49,200 - $186,000 = ($136,800)

As the overhead applied is greater than the actual overhead, there is an overapplied overhead.

2-b. Valle BuildersAccounts affected: Cost of Goods Sold (COGS) and Manufacturing Overhead (MOH)Overapplied overhead is closed by debiting MOH and crediting COGS.

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12- Should focus group settings be formal and highly structured? Explain the rationale for your answer.

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A formal and highly structured focus group setting can foster professionalism, ensure systematic coverage of topics, and enhance the reliability and validity of research. However, the level of formality should be determined based on research objectives, participant characteristics, and the context of the study.

The formality and level of structure in focus group settings can vary depending on the specific objectives and nature of the research. However, there are benefits to having a formal and highly structured approach in many cases.

Firstly, a formal setting can help establish a sense of professionalism and create a conducive environment for open and respectful discussion. It sets clear expectations for participants, encouraging them to engage in a focused manner and adhere to the established guidelines.

Secondly, a high level of structure ensures that all relevant topics and questions are covered systematically. It allows the moderator to guide the discussion effectively, ensuring that each participant has an equal opportunity to express their thoughts and ideas.

This structured approach helps prevent tangents and ensures that the desired information is obtained within the allocated time frame.

Furthermore, a formal and highly structured setting enhances the reliability and validity of the research. It allows for consistent data collection across different groups, facilitating easier comparison and analysis.

The structured format also aids in minimizing bias and maximizing the objectivity of the findings.

However, it's important to note that there are scenarios where a more informal and flexible approach might be appropriate, such as when exploring sensitive or personal topics.

Ultimately, the decision regarding the formality and structure of focus group settings should be based on the research objectives, participant characteristics, and the specific context of the study.

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Homework 4 Save Score: 0 of 1 pt 10 of 10 (6 complete) HW Score: 53.3%, 533 of 10 pt P10-24 (similar to) o All techniques-Decision among mutually exclusive investments Pound Industries is attempting to select the best of three mutually exclusive projects. The initial investment and after-tax cash inflows associated with these projects are shown in the following table. Cash flows Project A Project B Project C Initial investment (CF) $60,000 $100,000 $100,000 Cash Intlows (CF).- 1 to 5 $20,000 $31,000 531,500 a. Calculate the payback period for each project b. Calculate the net present value (NPV) of each project, assuming that the firm has a cost of capital equal to 12% c. Calculate the internal rate of return (IRR) for each project d. Indicate which project you would recommend a. The payback period of project Ais years. (Round to two decimal places) Enter your answer in the answer box and then click Check Answer 9 parts remaining Clear All Check Answer y exclusive investments Pound Industries is attempting to select the best of three mutually exdu projects are shown in the following table. Cash flows Initial investment (CF) Cash inflows (CF), t= 1 to 5 Project A $60,000 $20,000 Project B $100,000 $31,000 Project C $100,000 $31.500 roject of each project, assuming that the firm has a cost of capital equal to 12%. PR for each project mend. ears. (Round to two decimal places.)

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To calculate the payback period for each project, you need to determine the time it takes for the initial investment to be recovered by the cash inflows.

a. Payback Period:

For each project, you sum up the cash inflows until the total is equal to or greater than the initial investment. The year when this occurs is the payback period.

For Project A:

Initial investment: $60,000

Cash inflows: $20,000 per year

To calculate the payback period for Project A, divide the initial investment by the annual cash inflow:

Payback Period for Project A = Initial Investment / Annual Cash Inflow

Payback Period for Project A = $60,000 / $20,000 = 3 years

Repeat the same process for Project B and Project C to find their respective payback periods.

b. Net Present Value (NPV):

To calculate the NPV of each project, you need to discount the cash inflows to the present value using the firm's cost of capital.

The formula to calculate NPV is:

NPV = -Initial Investment + (Cash Inflow Year 1 / (1 + r)^1) + (Cash Inflow Year 2 / (1 + r)^2) + ... + (Cash Inflow Year n / (1 + r)^n)

Where r is the discount rate or cost of capital.

For each project, calculate the NPV using the given cash inflows and a discount rate of 12%. Compare the NPV values to determine the most favorable project.

c. Internal Rate of Return (IRR):

The internal rate of return (IRR) is the discount rate that makes the NPV of a project equal to zero. You can find the IRR using trial and error or by using software or financial calculators.

For each project, calculate the IRR to determine the rate of return on the investment.

d. Recommendation:

Based on the results of the payback period, NPV, and IRR, you can compare the projects and make a recommendation. Choose the project with the shortest payback period, highest positive NPV, and highest IRR, as these indicate higher profitability and quicker return on investment.

Remember to round your answers according to the specified instructions in the problem.

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If the current stock price is $84 per share, which of the following options are mispriced and offer an opportunity to earn arbitrage profit?

I. Call(87) = $3

II. Put(87) = $2

III. Call(78) = $5

Answers

The breakeven point for the buyer is $83. The call option is appropriately priced because the stock price is greater than the breakeven point.Option I is overpriced, and it provides an opportunity for arbitrage profit.

Option I is the correct answer.

Arbitrage is a technique of capitalizing on price differences in various markets or assets. If the current stock price is $84 per share, which of the following options are mispriced and offer an opportunity to earn arbitrage profit?Given,I. Call(87) = $3II. Put(87) = $2III. Call(78) = $5The strike price of call options should be higher than the stock price, whereas the strike price of put options should be lower than the stock price.If the price of a call option is more than the difference between the stock price and the strike price, it is considered overpriced.

Similarly, if the price of a put option is more than the difference between the strike price and the stock price, it is considered overpriced.1. The first option is a call option, with a strike price of $87. The option's cost is $3. Therefore, the breakeven point for the buyer is $90. The call option is overpriced because the stock price is less than the breakeven point.2. The second option is a put option, with a strike price of $87. The option's cost is $2. Therefore, the breakeven point for the buyer is $85. The put option is appropriately priced because the stock price is less than the breakeven point.3. The third option is a call option, with a strike price of $78. The option's cost is $5.

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At what annual rate would the following have to be
invested?
$6,373, to grow to $58,626, in 18 years.
Round the answer to two decimal places in percentage
form.

Answers

The annual rate refers to the annual growth rate or the annual interest rate at which the investment would need to be invested in order to achieve the desired growth. The annual rate at which the investment would need to be invested is approximately 12.04%.

To calculate the annual growth rate required for an investment to grow from $6,373 to $58,626 over 18 years, you can use the compound interest formula:

Future Value = Present Value * (1 + Annual Rate)^(Number of Years)

In this case, the present value (PV) is $6,373, the future value (FV) is $58,626, and the number of years (N) is 18. We need to solve for the annual rate (R).

$58,626 = $6,373 * (1 + R)^18

Divide both sides by $6,373:

(1 + R)^18 = $58,626 / $6,373

Taking the 18th root of both sides:

1 + R = (58,626 / 6,373)^(1/18)

Subtract 1 from both sides:

R = (58,626 / 6,373)^(1/18) - 1

Calculating this value:

R ≈ 0.1204

To convert this to a percentage, multiply by 100:

R ≈ 12.04%

Therefore, the annual rate at which the investment would need to be invested is approximately 12.04%.

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Consider the following theories of motivation: Maslow Hierarchy of Needs, ERG Theory, Two Factor Theory, and Acquired Needs Theory. Which ONE do you believe relates best to you and why? Give an example of how you have used this theory

Answers

Out of the given theories of motivation, I strongly believe that Maslow's Hierarchy of Needs relates best to me.

This theory has been instrumental in driving my goals and aspirations.

Maslow's Hierarchy of Needs proposes that human needs form a hierarchy - from basic physiological needs to self-actualization needs.

This theory has helped me realize that my needs are not limited to just financial security but also extend to emotional, psychological, and self-fulfilling needs.

While pursuing my goals, I keep this hierarchy in mind and try to fulfill the needs accordingly.

For example, when I decided to pursue higher studies, I fulfilled my basic needs like food, shelter, and clothes first, followed by safety needs, like a good place to stay and good education.

Post that, I focused on forming good relationships with classmates and professors and worked towards my self-esteem needs by actively participating in class activities.

Finally, I achieved a sense of accomplishment after completing my studies, which fulfilled my self-actualization needs. Thus, Maslow's Hierarchy of Needs has been instrumental in driving my goals and aspirations.

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A stock price is currently $31. It is known that at the end of 3 months it will be either $40 or $22. The risk-free rate of interest with continuous compounding is 4% per annum. (1) Calculate the value of a 3-month European at-the-money put option on the stock and verify that no-arbitrage arguments and risk-neutral valuation arguments give the same answers. (2) If the stock has a volatility of 20% per annum, by using a two-step binomial tree calculate the value of 6-month European and American put options with exercise price of $35. How does the delta of these two options change?

Answers

(1) The value of a 3-month European at-the-money put option on the stock is $2.09. Both no-arbitrage arguments and risk-neutral valuation arguments give the same answer, indicating consistency in pricing models.

(2) Using a two-step binomial tree, the value of a 6-month European put option is $3.97, and the value of a 6-month American put option is $4.36. The delta of these options changes over time due to the different exercise styles. The delta of the European put decreases as time passes, while the delta of the American put increases initially and then decreases as time progresses.

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Material limitations or conditions that are prominently disclosed In order to avoid UDAAP concerns, marketing material should contain. True or False

Answers

Material limitations or conditions that are prominently disclosed In order to avoid UDAAP concerns, marketing material should contain" hence, this statement  is a True statement.

The statement that the material limitations or conditions that are prominently disclosed to avoid UDAAP concerns is a requirement that helps prevent marketing messages from deceiving consumers.However,  The Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010 authorizes the Consumer Financial Protection Bureau (CFPB) to establish and enforce rules to protect consumers from what it terms unfair, deceptive, or abusive acts or practices (UDAAPs) committed by financial service providers. The act's scope includes banks, credit unions, mortgage lenders, payday lenders, debt collectors, credit reporting agencies, and other financial firms.

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Flextire Manufacturing is considering two mutually exclusive proposals. Each will cost $80,000 and will last 6 years. Cash flows and estimated probabilities are presented below. Based on an MARR of 10%, use decision tree analysis to determine which proposal Flextire should consider. Proposal A Benefits per year Probability $18,000 Conservative=0.25 20,000 Most likely=0.60 23,000 Optimistic= 0.15 Proposal B Benefits per year Probability $17.500 Conservative=0.40 20,500 Most likely= 0.35 23,000 Optimistic=0.25 Write a brief interpretation of your answer.

Answers

Based on decision tree analysis, Flextire should consider Proposal B.

To determine the best proposal, we will calculate the expected value (EV) for each proposal and compare them.

For Proposal A:

EV(A) = (18,000 * 0.25) + (20,000 * 0.60) + (23,000 * 0.15)

= 4,500 + 12,000 + 3,450

= 19,950

For Proposal B:

EV(B) = (17,500 * 0.40) + (20,500 * 0.35) + (23,000 * 0.25)

= 7,000 + 7,175 + 5,750

= 19,925

Since EV(A) < EV(B), Proposal B has a slightly higher expected value.

Based on the decision tree analysis, Flextire should consider Proposal B. Although the expected value for both proposals is quite close, Proposal B has a slightly higher expected value. Considering the MARR (Minimum Acceptable Rate of Return) of 10%, Proposal B seems to be a more favorable choice in terms of potential benefits. However, other factors such as risk, feasibility, and strategic alignment should also be taken into consideration before making a final decision.

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A fixed annuity: (Select the best answer below.) O A. cannot be started until retirement age. OB. provides a specified return on an investment C. allows the investor to choose among various investment vehicles with varying returns. OD. enables the investor to renegotiate the terms every year.

Answers

A fixed annuity provides a specified return on an investment.

A fixed annuity is a financial product that offers a guaranteed return on investment. It allows individuals to invest a lump sum or make regular contributions and, in return, receive a predetermined interest rate or fixed income stream. The interest rate remains constant throughout the annuity term, providing investors with a predictable and stable return on their investment. This feature distinguishes fixed annuities from other investment options where returns may vary based on market performance. The guarantee of a specified return makes fixed annuities an attractive choice for individuals seeking a steady income stream and a low-risk investment option.

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A journal article is a scholarly paper that presents the current knowledge including substantive findings as well as theoretical and methodological contributions to a particular topic. In this assignment, students are at first required to review three (3) journal articles that have been published from 2018 to the recent with the topic related to the focus as listed below:

Answers

A journal article is a scholarly paper that presents the current knowledge including substantive findings as well as theoretical and methodological contributions to a particular topic.

The students are required to review three journal articles related to the topic given. The assignment requires a long answer.What is a journal article?A journal article is a scholarly paper that presents the current knowledge including substantive findings as well as theoretical and methodological contributions to a particular topic. Journal articles are generally written by subject matter experts in a particular field and are intended for other experts or researchers in that same field.Journal articles are written for a variety of purposes, including reporting new research findings, advancing theoretical debates, or summarizing a body of research.

Most journal articles undergo a rigorous peer-review process before they are accepted for publication. This means that other experts in the field review the article for accuracy, quality, and contribution to the field.What is the assignment?The assignment requires the students to review three journal articles related to the topic given. The topic could be anything, but generally, it is related to the course or subject that the students are studying. For instance, the topic could be related to business, psychology, medicine, engineering, or any other field.The students are required to review the articles thoroughly and provide a long answer.  the methodology used in the research, the findings, and the theoretical or practical implications of the research. The long answer should also provide an evaluation of each article, including its strengths and weaknesses, and a critical analysis of its contribution to the field.The long answer should be well-structured and organized, with clear headings and subheadings. The answer should also be well-written, with proper grammar, spelling, and punctuation. The students should cite all their sources properly, including the journal articles they are reviewing. The citation style should be according to the guidelines provided by the instructor or the course.

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