when developing and assessing strategic alternatives, companies competing in international markets confront which two opposing goals?

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Answer 1

Companies competing in international markets must often balance two opposing goals when developing and assessing strategic alternatives.

These goals include profitability and risk. In order to maximize profitability, companies must often invest in high-risk ventures, such as expanding into new markets.

At the same time, they must also manage risk by closely monitoring operations and adhering to predetermined budget restrictions.

The balance between profitability and risk is an important consideration when assessing strategic alternatives. Companies must identify the short-term and long-term risks associated with each option and compare these against the potential returns.

This allows them to determine the best course of action to pursue in order to maximize profitability while minimizing risk.

For example, a company may decide to invest in a new market. This could potentially be profitable, but could also involve considerable risk due to the unfamiliarity with the market, competitors, and local regulations.

To reduce the risk, the company could engage in market research, develop a risk management plan, and take advantage of financial incentives or subsidies available in the target country.

Overall, companies competing in international markets must carefully consider both profitability and risk when developing and assessing strategic alternatives.

They must take into account the potential rewards and risks associated with each option in order to make the best decision for their business.

When developing and assessing strategic alternatives, companies competing in international markets confront two opposing goals, which are global efficiency and local responsiveness.

In international markets, companies face two opposing goals, global efficiency and local responsiveness, when developing and assessing strategic alternatives.

Global efficiency is a goal that focuses on reducing costs and improving the efficiency of global operations.

Standardized products and production processes are emphasized in this approach to achieve economies of scale, such as low-cost manufacturing facilities, to increase efficiency and profitability.

The objective of this approach is to use uniform products and production processes worldwide to achieve economies of scale, reduce costs, and optimize efficiency on a global scale.

The local responsiveness objective, on the other hand, aims to meet the specific needs of local markets.

Multinational corporations are encouraged to tailor their products and processes to the unique tastes and preferences of consumers in each region or country in which they operate.

This is because local demand can be highly varied, and if businesses ignore it, they risk alienating potential customers.

Local responsiveness is an essential goal that emphasizes adapting products and operations to specific regional and national circumstances while maintaining a consistent level of quality and customer experience.

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after considering the burberry story, which business-level strategy is the company attempting to pursue?

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The business-level strategy that Burberry is attempting to pursue is a differentiation strategy. Burberry is a luxury fashion brand that is known for its quality and high-end products. They have created a unique brand image that is recognized worldwide.

Their differentiation strategy is based on a combination of factors, including their product design, quality, and customer experience.

Product Design Burberry has a unique design that sets them apart from other fashion brands. They have a signature check pattern that is recognized worldwide. This pattern is used on many of their products, including their coats, bags, and scarves. This design is unique and sets them apart from other luxury fashion brands.

Quality Burberry is known for its quality products. They use high-quality materials to create their products. They also have a rigorous quality control process that ensures that their products meet their high standards. This quality is reflected in the price of their products, which is higher than many other fashion brands.

Customer Experience: Burberry provides a unique customer experience that sets them apart from other luxury fashion brands. They have created an interactive shopping experience that includes digital displays, social media, and other technology. This experience is designed to engage customers and create a sense of luxury and exclusivity.

Overall, Burberry's business-level strategy is based on differentiation. They have created a unique brand image that is recognized worldwide. Their differentiation strategy is based on product design, quality, and customer experience. Burberry's success is a testament to the effectiveness of this strategy.

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if 12,500 units were produced and sold, what is the average fixed manufacturing cost per unit produced?

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The average fixed manufacturing cost per unit produced is calculated by dividing total fixed costs by the number of units produced. In this case, if 12,500 units were produced and sold, the average fixed manufacturing cost per unit is calculated by dividing total fixed costs by 12,500 units.

Total fixed costs can be found by subtracting the variable manufacturing costs from the total costs. This can be calculated by multiplying the variable costs by the number of units produced and subtracting it from the total cost of production. After subtracting variable costs, divide the resulting number by the number of units produced to find the average fixed manufacturing cost per unit.

Therefore, the formula to calculate the average fixed manufacturing cost per unit produced is as follows: Average fixed manufacturing cost per unit produced = (Total cost of production - (Variable cost per unit x Number of units produced)) / Number of units produced.

In this case, the average fixed manufacturing cost per unit produced is equal to (Total cost of production - (Variable cost per unit x 12,500)) / 12,500.

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a company had the following accounts and balances at december 31: account debit credit cash $ 12,500 accounts receivable 2,500 prepaid insurance 3,400 supplies 1,500 accounts payable $ 6,250 total equity 6,400 service revenue 9,500 salaries expense 750 utilities expense 1,500 totals $ 22,150 $ 22,150 using the information in the table, calculate the company's reported net income for the period. multiple choice $1,600. $4,750. $5,500. $13,400. $7,250.

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Using the information in the table, to calculate the company's reported net income for the period, is $7,250. The correct answer is $7,250.

follow these steps:
1. Identify the revenue and expense accounts. In this case, we have:
  - Service Revenue: $9,500
  - Salaries Expense: $750
  - Utilities Expense: $1,500
2. Calculate the total revenue:
  - Service Revenue: $9,500
3. Calculate the total expenses:
  - Salaries Expense: $750
  - Utilities Expense: $1,500
  - Total Expenses: $750 + $1,500 = $2,250
4. Calculate the net income by subtracting the total expenses from the total revenue:
  - Net Income: $9,500 - $2,250 = $7,250
So, the company's reported net income for the period is $7,250. The correct answer is $7,250.

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who are the people who speak up and actively help the manager accomplish his or her goals? presenters followers allies politicians

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People who speak up and actively help the manager accomplish his or her goals presenters followers allies. Allies are the people who speak up and actively help the manager accomplish his or her goals.

A manager is a person who is responsible for directing and coordinating the work of others so that organizational goals and objectives are accomplished. Allies are those individuals who assist managers in achieving organizational objectives by actively participating in organizational politics and providing support to managers.

Allies are those individuals who provide assistance and support to the manager in achieving organizational objectives by participating in organizational politics. They are valuable because they assist managers in increasing their power and influence, as well as assist in implementing change in the organization. Allies can be found in a variety of areas within the organization, such as other managers, subordinates, peers, and external stakeholders.

They can offer advice and support to managers when they need it, and they can help to persuade others to support the manager's initiatives. Allies can help managers achieve their goals in a variety of ways. For example, they can offer advice and support to managers when they need it, and they can help to persuade others to support the manager's initiatives. Additionally, allies can help managers to increase their power and influence within the organization, which can make it easier for managers to achieve their goals. By actively participating in organizational politics, allies can help managers to overcome resistance to change and promote the implementation of new initiatives in the organization.

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if clooney corporation has physical inventory of $53,370 and reports inventory shrinkage of $1,200, what is the company's account balance of merchandise inventory?

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The Clooney Corporation has a physical inventory of $53,370, as stated in the question. Additionally, the inventory shrinkage is $1,200. To figure out the company's account balance of merchandise inventory, we need to subtract the inventory shrinkage from the physical inventory.

In essence, the company's account balance of merchandise inventory is the net value of the inventory remaining after inventory shrinkage is deducted. The formula for calculating inventory shrinkage is as follows:

Inventory Shrinkage = Physical Inventory - Counted Inventory

To calculate the company's account balance of merchandise inventory, we must use the formula:

Account balance of merchandise inventory = Physical inventory - Inventory shrinkage

As a result, we can determine the company's account balance of merchandise inventory as follows:

Account balance of merchandise inventory = $53,370 - $1,200 = $52,170

Therefore, the company's account balance of merchandise inventory is $52,170. In brief, we can determine the account balance of merchandise inventory by subtracting inventory shrinkage from physical inventory.

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discuss the role of information in the supply chain and how it supports supply chain planning and execution.

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Information is an essential component of the supply chain, as it provides the data needed to plan and execute successful strategies. By utilizing data and analytics, businesses can maximize their efficiency, better understand their customers, and stay ahead of the competition.

Information plays a vital role in the supply chain, as it enables the efficient management of resources and allows for accurate planning and execution. Information helps to identify current customer needs and market trends, which in turn helps businesses to plan ahead and make informed decisions about the sourcing, manufacturing and distribution of products.

Additionally, information facilitates the tracking of inventory and helps to ensure that products are available when and where customers need them. Lastly, the use of data and analytics in the supply chain helps to identify inefficiencies and areas for improvement, thereby allowing businesses to maximize their efficiency and minimize their costs.

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assume that banks currently pay 2% interest on money customers deposit in savings accounts. as the overall amount of money held in savings accounts increases, in financial markets, the interest rate paid on savings would

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As the overall amount of money held in savings accounts increases, in financial markets, the interest rate paid on savings would likely decrease.

In financial markets, the interest rate paid on savings accounts is determined by the forces of supply and demand. Assuming that all else remains equal, an increase in the overall amount of money held in savings accounts would lead to an increase in the supply of loanable funds. This is because the money held in savings accounts is available for banks to lend out to borrowers who need it for investment or other purposes.

As the supply of loanable funds increases, the interest rate paid on savings accounts would be expected to decrease, since banks would have more money to lend out and would need to attract borrowers by offering lower interest rates. Therefore, the increase in the overall amount of money held in savings accounts would likely lead to a decrease in the interest rate paid on savings accounts, all else being equal.

It's worth noting that this relationship is not always linear, and other factors can also affect the interest rate paid on savings accounts, such as inflation expectations, government policies, and global economic conditions.

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what term is used to describe the situation where there is a permanent decline in the value of an intangible asset?

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Intangible asset impairment is the term used to describe the situation where there is a permanent decline in the value of an intangible asset.

Intangible assets are non-physical assets, such as goodwill, brand recognition, intellectual property, or contractual rights. When the value of an intangible asset decreases, the business must record an impairment charge to recognize the loss.

Impairment charges are a decrease in the value of the asset, usually caused by changes in economic conditions or the industry in which the asset operates. Impairment charges are reported on the balance sheet as a reduction to the asset's carrying value, thereby decreasing the company's net worth.

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if $30,000 is invested in an account for 10 years. calculate the total interest earned at the end of 10 years if the interest is: brianly

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The total interest earned at the end of 10 years on an investment of $30,000 with a constant interest rate of X is calculated using the formula:

Total Interest = Principal x (1 + Rate/100)^Years. So, if we plug in the values given in the question, the total interest earned is calculated as follows: Total Interest = $30,000 x (1 + X/100)^10.



To calculate the exact amount of interest, we need to know the interest rate (X). However, based on the given information, we can use the formula to calculate the total interest earned in the 10-year period for different values of X.



For example, if the interest rate is 5%, then the total interest earned is $51,731.35; if the interest rate is 10%, then the total interest earned is $105,459.59; if the interest rate is 15%, then the total interest earned is $172,947.89; and if the interest rate is 20%, then the total interest earned is $269,916.12.


To summarize, the total interest earned on an investment of $30,000 over 10 years is dependent on the interest rate. To calculate the exact amount of interest earned, the interest rate needs to be known.

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suppose you purchase a 30-year, zero-coupon bond with a yield to maturity of 6%. you hold the bond for five years before selling it. if the bond's yield to maturity is 7% when you sell it, what is the rate of return of your investment? to be explicit, the question is asking for the 5-year return.

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The rate of return of your investment in the 30-year, zero-coupon bond is equal to 1% over the 5-year period.

The rate of return of your investment in the 30-year, zero-coupon bond is the difference between the yield to maturity at purchase and sale. Since the yield to maturity was 6% at purchase and 7% when you sold the bond after five years, the rate of return on your investment is 1% over the five-year period. The formula for calculating the rate of return on a zero-coupon bond is:

Rate of Return = (YTM at sale - YTM at purchase) / YTM at purchase

Therefore, the rate of return of your investment in the 30-year, zero-coupon bond is calculated as (7% - 6%) / 6%, which is equal to 1%.

It is important to note that when calculating the rate of return, the yield to maturity (YTM) of the bond at purchase and sale are used. The yield to maturity represents the internal rate of return (IRR) of the bond and is calculated using the present value of all future cash flows associated with the bond. Therefore, the YTM of a bond reflects the current market rate of return and any changes to the market rate of return are automatically reflected in the YTM.

In conclusion, the rate of return of your investment in the 30-year, zero-coupon bond is 1% over the five-year period.

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How does financial motivators increase employee productivity

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Financial incentives drive workers and make them aware of what they stand to gain or lose depending on their performance when they are effectively conveyed. The employee can more easily provide for their families and materially better \.

Their lives outside of work thanks to this kind of inducement. Employee motivation refers to the elements that encourage workers to give their all to their jobs. Those who are motivated are diligent, imaginative, trustworthy, and completely absorbed in what they are doing. Employee productivity soars and attrition becomes unimportant when you figure out how to encourage your staff.

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because the federal government has only those powers granted to it by the united states constitution, federal legislation that affects business must be based on what?

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Federal legislation that affects business must be based on the powers granted to the federal government by the United States Constitution. These powers are outlined in Article I, Section 8 of the Constitution, and include the power to regulate commerce among the states, the power to establish a uniform rule of naturalization, the power to coin money and regulate its value, and the power to establish post offices and post roads, among others.

Any federal legislation that affects business must be grounded in one or more of these powers. For example, the federal government can pass laws regulating interstate commerce, such as the Sherman Antitrust Act, which prohibits monopolies and other anti-competitive business practices. Similarly, the federal government can regulate immigration through laws like the Immigration and Nationality Act, which sets the rules for granting visas and citizenship.

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during the year, brian county collects $12 million of property taxes on behalf of urton township. of this amount, it remits $10 million to the township, expecting to remit the balance shortly after the end of its fiscal year. the amount that the county should report as its year end net position is

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The county should report $2 million as its year-end net position, representing the balance of property taxes collected but not yet remitted to Urton Township.

On behalf of Urton Township, the county collected $12 million in property taxes, but only $10 million had been returned at year's end. As a result, the county still has $2 million in unremitted property taxes it collected for Urton Township. This $2 million is a county obligation that needs to be disclosed in its year-end financial statements. In order to appropriately portray the county's financial situation, the $2 million obligation should be subtracted from the year-end net position. The balance of property taxes received but not yet paid to Urton Township should be recorded by the county as its year-end net position, which should equal $2 million.

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exempted issuers are defined under the:a securities act of 1933b securities exchange act of 1934c trust indenture act of 1939d investment company act of 1940

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The term "exempted issuers" is defined under the Securities Act of 1933 (A), which outlines certain types of securities that are exempt from registration with the Securities and Exchange Commission (SEC).

The Securities Act of 1933 is a federal law that regulates the issuance of securities in the United States. One of its main provisions is the requirement for issuers to register their securities with the SEC, unless an exemption applies.

The term "exempted issuers" refers to those issuers whose securities are exempt from registration, such as certain types of government securities, short-term commercial paper, and securities issued in private placements. These exemptions are designed to reduce regulatory burdens on certain types of issuers while still providing investors with necessary information to make informed investment decisions.

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in a probability-proportional-to-size sample with a sampling interval of $5,000, an auditor discovered that a selected account receivable with a recorded amount of $3,000 had an audit amount of $2,700. if this were the only error discovered by the auditor, the projected error of this sample would be

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In a probability-proportional-to-size sample with a sampling interval of $5,000, an auditor discovered that a selected account receivable with a recorded amount of $3,000 had an audit amount of $2,700. If this were the only error discovered by the auditor, the projected error of this sample would be $300.

In probability-proportional-to-size sampling, the sampling interval is the factor used to determine the size of the sample. In this case, the sampling interval is $5,000, meaning that the size of the sample is determined by multiplying the size of the population by $5,000. The size of the population in this case is $3,000, which means that the sample size is $15,000.


The auditor then randomly selects an account receivable from the sample size of $15,000 and discovers that the recorded amount of $3,000 is different from the audit amount of $2,700. This difference of $300 is then used to calculate the projected error.

The formula for calculating the projected error is: (observed error/sampling interval) x population size. In this case, the observed error is $300 and the sampling interval is $5,000, so the formula becomes: (300/5000) x 3000 = 300. Therefore, the projected error of this sample is $300.

In conclusion, when a probability-proportional-to-size sample with a sampling interval of $5,000 is used and an auditor discovers that a selected account receivable with a recorded amount of $3,000 has an audit amount of $2,700, the projected error of this sample would be $300.

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peter drucker felt the most important responsibility of a corporation is to multiple choice serve its customers. diversify its portfolio. hire from within. make a profit.

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Peter Drucker felt the most important responsibility of a corporation is to serve its customers. Drucker's argument is that "the customer is the final authority" because the customer buys the goods and services produced by the corporation.

Corporations must ensure that their goods and services satisfy the needs and desires of their customers in order to prosper. Companies that are not customer-focused may fail to succeed in the market because they are not catering to the needs of the people.

As a result, Drucker believes that corporations must be devoted to meeting their customers' needs in order to remain competitive, expand their business, and eventually make a profit.

Corporations must put their customers first if they want to remain competitive in the market. To achieve success, companies must work to comprehend their customers' needs and desires, as well as how they make purchasing decisions.

They must design and produce products and services that meet the needs of the customers, as well as market those products in a way that meets the needs of the customers. They must provide customers with excellent after-sales service and develop a relationship with them to ensure that they are satisfied. T

his involves creating strong relationships with customers, listening to their concerns, and engaging with them on a regular basis. Therefore, Drucker's ideas emphasize that a corporation's success is directly tied to its ability to serve its customers. A customer-centered company, according to Drucker, would be successful in the long run.

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what records classified and summarized transactional data? immutable blockchain ledger distributed computing

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The immutable blockchain ledger distributed computing is a record that classifies and summarizes transactional data.

This ledger is made up of several blocks that are distributed across various nodes in a network. Each block contains a hash that is linked to the previous block, and the data is encrypted to ensure data integrity. The ledger is distributed, meaning that it is hosted on a network of computers, and it is immutable, meaning that it cannot be altered or corrupted once it is recorded. This ensures that the data stored in the ledger is accurate and secure.

The ledger stores transactional data in a way that is organized and secure. It records transactions in chronological order, and it can track changes in real time. Additionally, the ledger can be used to verify transactions and prevent fraud. By using the ledger, companies can ensure that their data is secure, accurate, and accessible.

In summary, the immutable blockchain ledger distributed computing is a record that classifies and summarizes transactional data. It is a secure, distributed ledger that stores data in an organized manner, and it is immutable, meaning that it cannot be altered or corrupted. It is used to store and verify transactions and prevent fraud, and it ensures that the data stored in the ledger is accurate and secure.

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when a higher-quality property is adjacent to a lower-quality property, it can increase the lower-quality property's value. what economic principle of value is this?

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The economic principle of value that asserts "when a higher-quality property is adjacent to a lower-quality property, it can increase the lower-quality property's value" is called "the principle of conformity.

"What is the principle of conformity? Conformity is a concept in real estate appraisal that refers to the idea that a property's value is affected by the properties around it. When a higher-quality property is adjacent to a lower-quality property, it can increase the lower-quality property's value.

The same goes for the opposite situation: a lower-quality property may reduce the value of a higher-quality property located nearby. Principle of conformity asserts that the property value is increased when the property has the same physical characteristics as its neighbors.

This principle is widely applied in the assessment of land values in rural and urban areas. The principle of conformity is related to the principle of progression and the principle of regression. The principle of progression asserts that the value of a lesser-quality property can be increased when it is located near better-quality properties.

Meanwhile, the principle of regression asserts that the value of a better-quality property can be decreased when it is located near lesser-quality properties.

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george took out a 30-year loan for $60,000 at a 4% interest rate. he paid 2 discount points upfront to obtain that rate. what was the dollar value of the discount points?

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George paid two discount points upfront when he took out a 30-year loan for $60,000 at a 4% interest rate. The dollar value of the discount points was $1,200.

A discount point is a one-time fee paid to the lender at closing in exchange for a reduced interest rate. One discount point is equal to 1% of the loan amount, so for George's loan, two discount points would be equal to 2% of the loan amount, or $1,200. Therefore, the dollar value of the discount points was $1,200.

To explain further, when George took out the loan, he paid the lender two discount points (equal to 2% of the loan amount), in exchange for the lower interest rate. This $1,200 fee is known as the dollar value of the discount points. By paying the discount points, George reduced his interest rate from 4.5% to 4%, saving him money in the long run.

When considering taking out a loan, it is important to weigh the cost of the discount points with the savings gained by the lower interest rate. If the interest rate is reduced enough, the borrower may be able to save more money in the long run by paying the upfront cost of the discount points.

However, if the savings are too small, then the borrower may decide to pass on the discount points and pay the higher interest rate instead.

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which of the following is not an example of direct selling? group of answer choices roadside stands farmers markets all the answers are correct grocery stores community supported agriculture

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The option that is not an example of direct selling is grocery stores. The correct answer is option d. Direct selling is a type of marketing that involves selling products or services directly to the consumers, without using any intermediaries.

Here, the company reaches out to customers directly and sells the products without any middlemen involved. This method of selling has become very popular in recent times and is often used by companies to increase their sales and profits.Direct selling is a type of marketing that involves selling products or services directly to the consumers, without using any intermediaries.

Some examples of direct selling include roadside stands, farmers markets, and community-supported agriculture. In these instances, the customers can buy the products directly from the vendors without involving any intermediaries.On the other hand, grocery stores are not an example of direct selling. Here, the customers can buy the products from the store, but the store is not the manufacturer or producer of the products. Grocery stores act as intermediaries between the manufacturer and the customers, and hence, they do not fall under the category of direct selling.

Therefore, the correct answer is option d.

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Complete question

which of the following is not an example of direct selling?

a. roadside stands

b.  farmers markets

c. all the answers are correct

d. grocery stores

e.  community supported agriculture

suppose you want to realize a future value of $150,000 in 30 years on an investment you make. the average annual rate of return is 8.75%. what will be the present value of your investment?

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suppose you want to realize a future value of $150,000 in 30 years on an investment you make. the average annual rate of return is 8.75%.The present value of investment is $24,551.99.

How do you calculate present value of investment?

To calculate the present value of an investment, you need to know the future value, the number of years or periods, and the annual interest rate, which can be stated as a percentage. The present value is then calculated using the following formula:

PV = FV / (1 + r)n

Where, PV = Present value of investment FV = Future value of investment r = Annual interest rate (as a decimal)N = Number of years or periods. Let's now solve the given question.

Suppose you want to realize a future value of $150,000 in 30 years on an investment you make. The average annual rate of return is 8.75%. What will be the present value of your investment?

Here, Future value of investment (FV) = $150,000Number of years or periods (n) = 30Annual interest rate (r) = 8.75% (as a decimal, r = 0.0875)Using the formula of present value, we can find the value of present value of investment. PV = FV / (1 + r)n PV = 150,000 / (1 + 0.0875)30PV = $24,551.99

Therefore, the present value of your investment is $24,551.99.

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a firm wants a sustainable growth rate of 3.13 percent while maintaining a dividend payout ratio of 27 percent and a profit margin of 6 percent. the firm has a capital intensity ratio of 2. what is the debt-equity ratio that is required to achieve the firm's desired rate of growth?

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The debt-equity ratio that is required to achieve the firm's desired rate of growth is 1.13.

Given data:

Sustainable growth rate = 3.13 %

Dividend payout ratio = 27%

Profit margin = 6%

Capital intensity ratio = 2

Required : Debt-equity ratio

The sustainable growth rate formula can be written as:

Sustainable growth rate = (1- Dividend payout ratio) x Profit margin x Capital intensity ratio

The required growth rate is 3.13%.

The formula for sustainable growth rate is given as:

Sustainable growth rate = (1 - Dividend payout ratio) x Profit margin x Capital intensity ratio

Now substituting the given values:3.13% = (1 - 0.27) × 0.06 × 2

Now, solve the equation:3.13% = 0.9528 %

The debt-equity ratio that is required to achieve the firm's desired rate of growth is 1.13.

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uppose a senator has proposed a budget measure that would direct money to his district for the purpose of improving parks. this would be an example of

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If a senator has proposed a budget measure that would direct money to his district for the purpose of improving parks, this would be an example of an earmark.

What is an earmark?An earmark is a budget measure that directs funds to be spent on a particular project or in a specific location. It's typically added to spending legislation by a legislator in order to benefit their own district or state.This would be an example of pork barrel spending, where public funds are allocated for the benefit of a particular political district or group. It's also known as pork barrel spending. Earmarks can be a contentious issue because they can be seen as wasteful or inefficient, and they can also be used to buy votes or curry favor with constituents.

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what is one reason small business owners will be able to better compete with larger businesses in the future?

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One reason small business owners will be able to better compete with larger businesses in the future is that they have the potential to adapt more quickly to market changes than larger companies.

A small business is typically more flexible and agile than a larger corporation, allowing it to respond more quickly to changes in the market. Small businesses may be more adaptable to the needs of their customers, and they may be able to implement changes more rapidly than larger businesses.

This can make small businesses more appealing to customers who value agility and responsiveness over brand name recognition or a wider product range.

Larger businesses, on the other hand, may be slower to adapt to changes in the market. They may have more complicated procedures and decision-making processes, which can impede innovation and flexibility. Additionally, larger businesses may have a reputation for being impersonal or bureaucratic, which can turn off some customers.

Small business owners, on the other hand, have the freedom to make their own choices and pivot quickly when necessary. This can enable them to respond quickly to new opportunities, changes in customer behavior, and other market shifts.

By staying nimble and open to change, small business owners can compete with larger businesses on their own terms.

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true or false, an acquisition is a cooperative arrangement between two or more firms that can be either formal or informal.

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Answer:

False

Explanation:

False.

An acquisition is not a cooperative arrangement between two or more firms, but rather a transaction in which one company buys another company or a significant portion of its assets. The acquiring company takes over the ownership and control of the target company, which becomes a subsidiary or part of the acquiring company's operations.

An acquisition can be formal or informal, depending on the nature of the transaction and the level of due diligence and legal documentation involved. In a formal acquisition, the two companies negotiate and sign a purchase agreement that outlines the terms of the transaction, such as the purchase price, payment structure, and conditions for closing. In an informal acquisition, the acquiring company may simply buy the shares or assets of the target company without a formal agreement or legal documentation.

suppose the cost of flying a 100-seat plane for an airline is $50,000 and there are 10 empty seats on a flight. the marginal cost of flying a passenger is question 23 options: a. $50. b. $500. c. $50,000.
d. this cannot be determined from the information given.

Answers

The marginal cost of flying a passenger is $50. So, option A is the correct answer.

The given problem is about the marginal cost of flying a passenger. According to the given problem, The cost of flying a 100-seat plane for an airline is $50,000.And, there are 10 empty seats on a flight. Now, we are asked to find the marginal cost of flying a passenger. To calculate marginal cost, the following formula can be used:

Marginal Cost = Change in Total Cost / Change in Quantity

Let's calculate the marginal cost of flying a passenger for the given scenario:

Total cost of flying a 100-seat plane = $50,000

So, the cost of flying one passenger in a 100-seat plane = 50,000/100 = $500

Also, the cost of flying a 90-seat plane = $50,000 - $5000 = $45,000

Therefore, the marginal cost of flying a passenger is calculated as follows:

Marginal Cost = (Total Cost of Flying a 100-Seat Plane - Total Cost of Flying a 90-Seat Plane) / (100 - 90)Marginal Cost

= ($50,000 - $45,000) / 10 Marginal Cost

= $500 / 10 Marginal Cost

= $50

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going through documents discarded by your bank to obtain information in order to access your bank account is an example of

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Going through documents discarded by your bank to obtain information in order to access your bank account is an example of identity theft.

Identity theft is the fraudulent act of stealing an individual's personally identifying information, such as their name, social security number, or credit card number, and using it for malicious purposes such as unauthorized purchases or gaining access to bank accounts. It is a severe offense that can result in substantial financial and personal harm.

The following are some common examples of identity theft:

1.Spear Phishing

2.Smishing

3.Social Engineering

4.Vishing Malware

5.Physical Theft of Information

6.Skimming

7.Phishing

8.Pretexting

9.Dumpster Diving

Apart from the above-discussed examples, there are many more that you need to be aware of to protect your personal information from being stolen or misused. To keep your bank account and other sensitive information secure, it's best to keep a watchful eye and only give out personal information when it is genuinely necessary.

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controls designed to find errors or fraud that have occurred are referred to as blank controls. multiple choice question. preventive proactive detective reactive

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Controls designed to find errors or fraud that have occurred are referred to as c) detective controls.

Detective controls are designed to identify errors, irregularities, or fraudulent activities that have already occurred. They are reactive in nature because they are implemented after the fact, once the problem has already occurred.

Detective controls are an important part of an overall control framework, as they help to identify problems and allow for corrective action to be taken. However, relying solely on detective controls can be problematic, as they do not prevent problems from occurring in the first place.

In contrast, preventive controls are designed to stop problems from occurring by addressing the root causes of potential issues. Proactive controls are a type of preventive control that anticipates potential issues before they occur and takes action to prevent them.

Overall, a strong control framework should include a mix of preventive, proactive, and detective controls to ensure that risks are effectively managed.

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at prices ($4, $12), harry chooses the bundle (9, 4). at the prices ($8, $4), harry chooses the bundle (2, 9). is this behavior consistent with the weak axiom of revealed preference?

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Harry's behavior is not consistent with the weak axiom of revealed preference (WARP)

The weak axiom of revealed preference (WARP) states that if an individual prefers bundle X to bundle Y at one set of prices, and then reverses this preference when the prices of the bundles are changed while the relative prices are kept unchanged, then it is inconsistent with the individual's preferences.

When the prices are ($4, $12), Harry chooses the bundle (9, 4) over the bundle (2, 9) since he has a preference for bundle (9, 4). At the same time, he chooses the bundle (2, 9) over (9, 4) when the prices are ($8, $4). This contradicts his previous preference and violates the weak axiom of revealed preference (WARP). Therefore, Harry's behavior is not consistent with the weak axiom of revealed preference (WARP).

Hence, the given information reveals that his preference for the two bundles violates the weak axiom of revealed preference.

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if the price of a good increases from $20 to $25 and the quantity demanded declines from 15 to 10 units of the good, the price elasticity of demand is 5. group of answer choices true false

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The given statement- If the price of a good increases from $20 to $25 and the quantity demanded declines from 15 to 10 units of the good, the price elasticity of demand is 5 is False. The price elasticity of demand (PED) is a measurement of the responsiveness of the quantity of a product demanded in reaction to a change in its price.

The following formula is used to calculate the price elasticity of demand (PED):PED = %ΔQd / %ΔPwhere %ΔQd represents the percentage change in the quantity of the product demanded as a result of a price change, and %ΔP represents the percentage change in the price of the good.

The PED value may be negative, indicating that a price increase results in a decrease in the quantity of the good demanded, while a price decrease results in an increase in the quantity of the good demanded. For products with positive PED values, demand is said to be elastic, while for those with negative PED values, demand is said to be inelastic.The correct answer is False.

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