your company has developed and implemented countermeasures for the greatest risks to their assets. however, there is still some risk left. what is the remaining risk called? 13.2.7

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Answer 1

The remaining risk is called residual risk.

What is Risk?

Risk is the probability of danger, damage, or loss. It is the possibility of danger or damage occurring. Risk management is the practice of identifying, analyzing, and reacting to risk factors in order to reduce or avoid negative results.

Risk management is concerned with identifying, assessing, and minimizing the likelihood of events occurring that may negatively impact the organization.

The residual risk is the risk that remains after countermeasures have been put in place to reduce the probability of a risk event. Residual risk is used to assess the remaining risk after the risk management team has taken all necessary actions to address and mitigate the risk.

The residual risk is, in essence, a quantification of the danger that remains even after all appropriate controls have been implemented. Therefore, The remaining risk is called residual risk.

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on october 1, 2024, green corporation loans one of its employees $26,000 and accepts a 12-month, 8% note receivable. calculate the amount of interest revenue green will recognize in 2024 and 2025.

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The interest revenue Green will recognize in 2024 is $2,080 and in 2025 is is $1,040.

Interest income is the income a bank or other financial institution generates from its custody services, known as interest. Interest income is the income that a company or individual earns from the amount deposited in a bank. 

On October 1, 2024, Green Corporation loans one of its employees $26,000 and accepts a 12-month, 8% note receivable. The interest revenue Green will recognize in 2024 is $2,080 ($26,000 x 8% x 10/12 months). The interest revenue Green will recognize in 2025 is $1,040 ($26,000 x 8% x 2/12 months).

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a firm just paid $4.80 per share in dividends and the dividend is expected to grow at 3.2% a year in the future. estimate the value of the stock if its equity cost of capital is 10.6%?

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If the equity cost of capital is 10.6% and the dividend is projected to increase by 3.2% annually in the future, the estimated value of the stock is $64.86 per share.

To estimate the value of the stock, we can use the Gordon Growth Model, which is commonly used to value stocks with a constant growth rate in dividends.

The formula for the Gordon Growth Model is:

Value of Stock = Dividend per Share / (Cost of Equity Capital - Dividend Growth Rate)

Using the given information, we have:

Dividend per Share = $4.80

Dividend Growth Rate = 3.2%

Cost of Equity Capital = 10.6%

Plugging these values into the formula, we get:

Value of Stock = $4.80 / (0.106 - 0.032)

Value of Stock = $4.80 / 0.074

Value of Stock = $64.86

Therefore, the estimated value of the stock is $64.86 per share if its equity cost of capital is 10.6% and the dividend is expected to grow at 3.2% a year in the future.

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Which question should be answered by a business plan

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A business plan should answer several key questions related to the creation and operation of a business.

Some of the most important questions that a business plan should address:

What is the purpose and mission of the business?

Who is the target market for the business and how will it be reached?

What products or services will be offered by the business?

What are the unique features or competitive advantages of the business?

How will the business be structured and managed?

What are the financial projections and funding requirements for the business?

What are the risks and challenges that the business may face, and how will they be addressed?

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what happens to the production of product a as a result of comparative advantage? group of answer choices the output of product a decreases to 0 total units. the output of product a decreases to 30,000 total units. the output of product a increases to 800,000 total units. the output of product a increases to 60,000 total units.

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The output of product A increases to 60,000 total units. Comparative advantage is a situation where a country can manufacture goods or services at a lower opportunity cost than another country.

For instance, Country A can produce goods at a cheaper price than Country B. This means that Country A can produce a good at a lower cost in terms of other goods that could have been produced.

The concept of comparative advantage argues that even if one country is more efficient in producing all goods than the other, there is still a basis for trade when one country has a comparative advantage in the production of some goods, meaning that its opportunity cost of producing those goods is lower than the other country's.

This scenario leads to a specialization of production, whereby countries are inclined to concentrate on products that they have comparative advantage in.

In this sense, when a country specializes in a good that it has a comparative advantage in, there will be an increase in production, and in contrast, there will be a decrease in production of a product that the country has a comparative disadvantage in. Consequently, the output of product A increases to 60,000 total units.

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assume that one year ago, you bought 270 shares of a mutual fund for $25 per share and that you received an income dividend of $0.18 cents per share and a capital gain distribution of $0.26 cents per share during the past 12 months. also assume the market value of the fund is now $27 a share. calculate the total return for this investment if you were to sell it now.

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The total return for this investment, if sold now, is 18%.

This is calculated by adding the income dividend of $0.18 per share and the capital gain distribution of $0.26 per share, which together total $0.44 per share. The return is then calculated by dividing the $0.44 by the initial investment of $25 per share, resulting in a return of 18%.

The total return for this investment, if sold now, is 18%. This return is made up of income dividend payments and capital gain distributions, which together total $0.44 per share. The return is then calculated by dividing the total dividend and capital gain payments of $0.44 per share by the initial investment of $25 per share, resulting in a return of 18%.

The income dividend payments represent the amount of money earned from the mutual fund through the payment of dividends, while the capital gain distribution represents the profits made from the sale of fund holdings.

The total return takes into account both of these payments, which is why it is a better measure of how profitable the investment has been.

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corporate strategy deals primarily with the choice of direction for the firm as a whole and the allocation of its scarce resources. question 20 options: true false

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True. Corporate strategy is concerned with a company's general direction and scope, as well as how it might acquire a competitive edge and produce value for its stakeholders.

This includes deciding which markets to enter, what products or services to offer, and how to deploy resources to achieve these objectives. Corporate strategy is crucial to any organization's success because it guarantees that the firm is focused on its long-term goals and has a clear plan for accomplishing them. A corporation may struggle to compete in its industry or fail to capitalize on new possibilities if it has a sound corporate strategy. Successful business strategy necessitates a thorough awareness of the company's strengths and shortcomings, as well as its competitive environment.

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have you ever made an agreement that mattered to you, only to have the other person refuse to follow through on the deal? looking at the list of elements in the chapter, did your agreement amount to a contract? why or why not? if not, what element(s) did it lack and what could you do differently?

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Yes, I have made an agreement that mattered to me, only to have the other person refuse to follow through on the deal. Looking at the list of elements in the chapter, my agreement did not amount to a contract because it was lacking consideration, which is an essential element of a contract. Consideration is defined as the exchange of something of value in order to form the contract. Since I did not receive anything of value in exchange for my agreement, it was not considered a contract. To prevent this situation from occurring again, I could research the elements of a contract before entering into any agreement and make sure all essential elements are met.

Additionally, I could draft a written agreement that outlines the terms and conditions of the deal, which can help protect both parties by providing evidence of the agreement should it need to be enforced.

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What are the benefits of relationship marketing to customers?

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Relationship marketing focuses on building long-term connections with customers, which can offer several benefits they are  personalized service, exclusive offers,  better customer support,  and customer loyalty.

First, customers receive personalized service, as businesses strive to understand their needs and preferences better.
Second, relationship marketing often involves exclusive offers, discounts, or promotions for loyal customers.
Third, customers benefit from improved communication with the company. This communication fosters trust and makes customers feel more connected to the brand.

Fourth, relationship marketing can lead to better customer support. Companies focused on building strong relationships invest in customer service to resolve issues promptly and efficiently.

Lastly, a strong relationship with a brand can result in a sense of belonging or community. This sense of community can enhance customer loyalty and overall satisfaction.

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production planning and scheduling is most likely to be associated with which of the following activities? question 27 options: 1) operations 2) inspections 3) storages 4) transportation

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The activity most likely to be associated with production planning and scheduling is "operations".

Production planning and scheduling involves the planning and coordination of various operational activities such as production processes, materials procurement, workforce management, and equipment maintenance to ensure efficient and effective production operations. The production planning process involves forecasting demand, setting production goals, determining the resources needed to meet those goals, and developing a schedule to complete the work. The scheduling process involves assigning tasks to specific resources, setting timelines, and coordinating activities to ensure smooth and efficient operations. The other options - inspections, storages, and transportation - are important activities in the overall production process, but are not directly related to production planning and scheduling.

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nancy cardoza invested $3,350 in exxonmobil stock because her research indicated the company should average a return for investors of 8 percent over the next 4 years. if exxonmobil investors do earn 8 percent each year, what will her $3,350 investment be worth at the end of 4 years?

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If Nancy Cardoza invested $3,350 in ExxonMobil stock and the company averages an 8% return for investors over the next 4 years, her investment will be worth approximately $4,549.24 at the end of 4 years.

To calculate the future value of the investment, we can use the formula:

FV = [tex]PV * (1 + r)^n[/tex]

Where:

FV is the future value of the investment

PV is the present value of the investment (in this case, $3,350)

r is the annual rate of return (in this case, 8%)

n is the number of years (in this case, 4)

Plugging in the numbers, we get:

FV = $3,350 x (1 + 0.08)⁴

FV = $4,549.24

Therefore, Nancy's investment in ExxonMobil stock will be worth approximately $4,549.24 at the end of 4 years if the company earns an 8% return each year as she expects. It's important to note that this is just a projection based on her research and that actual returns may vary.

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freetown corporation budgeted fixed manufacturing costs of $34,000 during 2020. other information for 2020 includes: the budgeted denominator level is 2,400 units. units produced total 1,500 units. units sold total 1,300 units. beginning inventory was zero. the company uses absorption costing and the fixed manufacturing cost rate is based on the budgeted denominator level. manufacturing variances are closed to cost of goods sold. the production-volume variance is: (round any intermediary calculations to the nearest cent and your final answer to the nearest dollar.)

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The production-volume variance for FreeTown Corporation for 2020 is $8,333.

The variance can be calculated by using the formula: Production-Volume Variance = (Actual Unit Output - Budgeted Unit Output) × Budgeted Fixed Manufacturing Cost Per Unit.

In this case, the actual unit output is 1,500 units and the budgeted unit output is 2,400 units. The budgeted fixed manufacturing cost per unit can be calculated by taking the budgeted fixed manufacturing costs of $34,000 and dividing it by the budgeted denominator level of 2,400 units, which gives us a fixed manufacturing cost per unit of $14.17.

Using the formula above, the production-volume variance is calculated as follows: $14.17 × (1,500 - 2,400) = ($14.17 × -900) = -$12,750. Since the company uses absorption costing, this variance is closed to Cost of Goods Sold, meaning it is deducted from the budgeted fixed manufacturing costs of $34,000. As a result, the total production-volume variance is $34,000 - $12,750 = $21,250.

Finally, since the units sold total 1,300 units, the fixed manufacturing cost rate based on the budgeted denominator level needs to be reduced to account for the unsold units. This can be calculated by taking the total production-volume variance of $21,250 and dividing it by the actual unit output of 1,500 units, which gives us a fixed manufacturing cost rate of $14.17. Multiplying this by the difference between the actual and budgeted units (1,300 - 2,400) gives us a final production-volume variance of $8,333.

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the customer is doing a national network upgrade program. the customer has issues with the vendor accomplishing the work in accordance with the schedule set out in the contract. the customer informs the vendor that it is in default for failure to execute per the terms of the contract. a senior manager for the customer suggests stopping payment for work already accomplished, but the procurement department rejects this idea. what most accurately describes this situation? seleccione una: a. both sides appear to be in default of the contract b. the vendor appears to be wrong and needs to accept lack of payment until it corrects the situation c. the senior manager's suggestion to stop payment until the issue is resolved is the best course of action d. the procurement department's rejection of the senior manager's idea is the best course of action

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The customer is in a situation where the vendor appears to be in default of the contract, since they are not meeting the schedule set out in the contract. Therefore, the answer is option B.

Procurement refers to the process of acquiring goods or services, particularly for a business or organization. Procurement can be defined as the process of identifying and acquiring goods and services from suppliers. Procurement entails identifying the desired goods and services, finding and selecting vendors, negotiating terms, and then purchasing the goods and services from the vendor.

The question concerns a customer who is conducting a national network upgrade program. The vendor is said to be failing to complete the job as agreed in the contract. The customer then informs the vendor that it has defaulted in failing to complete the terms of the contract. A senior manager then proposes that payment for work done so far be stopped, but the procurement department objects to this idea.

The most accurate description of the situation is "vendor appears to be in default of the contract, since they are not meeting the schedule set out in the contract." Therefore, the answer is option B.

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which of the following scenarios is not macroeconomic in nature? microsoft is considering buying another firm to help it expand its social media presence the gdp of france has fallen to an inflation-adjusted low. the u.s. unemployment rate falls to 8.5% in december. the central bank of the united states increased interest rates by 0.5%.

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The scenario "Microsoft is considering buying another firm to help it expand its social media presence" is not macroeconomic in nature.

Macro economics is a branch of economics that is concerned with the performance, structure, and conduct of an economy as a whole, rather than individual people, businesses, or markets. Following are some of the important scenarios that depict the macroeconomic conditions or status.

Microsoft is considering buying another firm to help it expand its social media presence. This scenario is macroeconomic in nature since it is related to the growth of the firm and hence of the entire industry. Hence, option A is macroeconomic in nature.

The GDP of France has fallen to an inflation-adjusted low. This scenario is macroeconomic in nature since it concerns the performance of the economy and the GDP of the country as a whole. Hence, option B is macroeconomic in nature.The US unemployment rate falls to 8.5% in December. This scenario is macroeconomic in nature since it concerns the performance of the entire economy as a whole. Hence, option C is macroeconomic in nature.The central bank of the United States increased interest rates by 0.5%. This scenario is also macroeconomic in nature since it concerns the conduct of the economy as a whole. Hence, option D is macroeconomic in nature.

Therefore, the only option that is not macroeconomic in nature is option A - microsoft is considering buying another firm to help it expand its social media presence.

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at the beginning of the period, the cutting department budgeted direct labor of $133,000, direct materials of $160,000 and fixed factory overhead of $12,600 for 7,700 hours of production. the department actually completed 11,700 hours of production. the appropriate total budget for the department, assuming it uses flexible budgeting, is

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$508,719 is the total budget for the department including the direct labor, assuming it uses flexible budgeting.

To calculate the total budget for the department using flexible budgeting, the following steps should be taken:

1: Calculate the standard variable overhead rate.

Period budgeted direct labor costs = $133,000

Total hours budgeted for production = 7,700 hours

Standard variable overhead rate = Budgeted Direct Labor Costs / Total Hours Budgeted for Production

Standard Variable Overhead Rate = $133,000 / 7,700 hours

Standard Variable Overhead Rate = $17.27 per direct labor hour

2: Calculate the flexible budget for total variable overhead.

Variable overhead flexible budget = Standard Variable Overhead Rate x Total Hours Actually Worked

Variable overhead flexible budget = $17.27 per direct labor hour x 11,700 hours

Variable overhead flexible budget = $202,119

3: Calculate the total budget.

Total budget = Direct materials budgeted + Direct labor budgeted + Fixed factory overhead budgeted + Variable overhead flexible budgeted

Total budget = $160,000 + $133,000 + $12,600 + $202,119

Total budget = $508,719

Therefore, the total budget for the department, assuming it uses flexible budgeting, is $508,719.

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angela wanted to rent an apartment, so her landlord required her to sign a lease. the lease is a legal document that defines the conditions of her rental agreement. group startstrue or falsetrue, selectedfalse, unselected

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Angela wanted to rent an apartment, so her landlord required her to sign a lease. The lease is a legal document that defines the conditions of her rental agreement. The statement is true.

What is a lease?

A lease is a legal contract between a tenant and a landlord that defines the conditions of a rental agreement. The lease contains important details such as the lease term, rent amount, security deposit, late fee, and other specifics, and both the tenant and the landlord must sign it to make it legally binding.

The lease outlines the terms of the agreement, including what the tenant can and cannot do, the length of the rental period, how much rent is due and when it is due, what happens if the tenant is late with rent, and what happens if the tenant violates the terms of the agreement.

The lease is an important document because it sets out the rights and obligations of both the landlord and the tenant, and it can be used as evidence in court if necessary. So, in the case of Angela, the landlord was correct in requiring her to sign a lease since it is a legally binding document that protects both parties.

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judy works at the headquarters of an online shoe store. she is a member of the advertising team, which is a team within the marketing department. which type of department is this?

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The advertising team is a team within the marketing department. This type of department is a functional department.

What is a functional department?

A functional department is a section within an organization that has a specific set of responsibilities and duties. Departments, such as finance, marketing, production, and accounting, are functional areas of an organization.

The primary purpose of functional departments is to improve organizational efficiency and ensure that the organization achieves its strategic objectives. A functional department consists of people who have specialized skills in a particular field.

The roles and duties of employees in functional departments vary widely depending on the type of department they work in. Finance departments, for example, are responsible for managing an organization's financial resources.

Production departments, on the other hand, are responsible for creating or manufacturing goods or services that meet the needs of customers.

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an expert on car depreciation determines that a certain car that costs $35,000 new will immediately depreciate by $12,000 once its driven off the lot. after that, for the first 50,000 miles, the car will depreciate approximately $0.15 per mile driven. for every mile after that, it will depreciate by $0.10 per mile driven until the car reaches its scrap value. how much would this car be worth after being driven 92,000 miles? answer sat

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After 92000 miles the value of the car will be $11,300.

To calculate the depreciation of the car, we need to consider two stages: the initial depreciation when the car is driven off the lot, and the ongoing depreciation based on the number of miles driven.

Initial Depreciation:

The car depreciates $12,000 as soon as it is driven off the lot, so its value after that is:

$35,000 - $12,000 = $23,000

Ongoing Depreciation:

For the first 50,000 miles, the car depreciates $0.15 per mile driven. So, the total depreciation during this period would be:

$0.15 x 50,000 = $7,500

Therefore, the value of the car after 50,000 miles would be:

$23,000 - $7,500 = $15,500

For every mile driven after 50,000 miles, the car will depreciate by $0.10 per mile. So, the total depreciation from 50,001 miles to 92,000 miles would be:

($0.10 x (92,000 - 50,000)) = $4,200

Therefore, the value of the car after being driven 92,000 miles would be:

$15,500 - $4,200 = $11,300

So, the car would be worth $11,300 after being driven 92,000 miles.

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sunk costs: affect economic profit. are the losses associated with failed business ventures. are the same as marginal costs. are an important component of marginal analysis.

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Sunk costs are costs that have already been incurred and cannot be recovered or altered. They are the losses associated with failed business ventures or past decisions. These costs are important to consider in economic analysis.


Sunk costs differ from marginal costs, which are the additional costs incurred when producing one more unit of a good or service. Marginal costs are relevant in marginal analysis, as they help businesses determine optimal production levels and pricing strategies.

Although sunk costs are not a part of marginal analysis, understanding them is essential for businesses to make informed decisions. It is crucial for companies to avoid the sunk cost fallacy, which occurs when a decision-maker continues to invest in a project or venture based.

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brief exercise 7-20 (algo) use the return on assets ratio (lo7-7) the balance sheet of pacific ocean resort reports total assets of $660,000 and $810,000 at the beginning and end of the year, respectively. the return on assets for the year is 16%. calculate pacific ocean's net income for the year.

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The return on assets ratio is calculated by dividing net income by total assets. In this case, Pacific Ocean Resort had total assets of $660,000 at the beginning of the year and $810,000 at the end of the year. The return on assets for the year was 16%. To calculate the net income, we will use the following equation:

Net Income = Return on Assets Ratio x Total Assets

Therefore, in this case, Pacific Ocean Resort's net income for the year is:

Net Income = 0.16 x $810,000

Net Income = $128,600

Pacific Ocean Resort had total assets of $660,000 at the beginning of the year and $810,000 at the end of the year. This means that they had an increase of $150,000 in their total assets. The return on assets for the year was 16%. This means that for every dollar of assets, the resort earned 16 cents of income. From this, we can calculate that the resort's net income for the year was $128,600.

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Costs for which no monetary payment is explicitly made are costs___

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Costs for which no monetary payment is explicitly made are called "implicit costs." Implicit costs refer to the opportunity cost of using resources that a business already owns or the value of opportunities foregone by choosing a particular course of action.

Implicit costs, often referred to as implicit costs, are expenses that are not explicitly stated in a financial transaction but instead represent the potential gain that may have been realised by a different allocation of resources. On the other hand, opportunity costs are the advantages passed up when one choice is selected over another. Opportunity costs can be either explicit (like wages and salaries) or implicit (like the income from a different job or the returns from a different investment) costs. Decision-makers may allocate resources more wisely, including time and money, and ascertain the full cost of their choices by accounting for implicit and opportunity costs.

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compare public corporation and public limited companies. in your answer you should include ownership, sector and aim of the company​

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Explanation:

Sure, I'd be happy to compare public corporations and public limited companies.

Ownership: Public corporations are usually owned by the government or a government entity, while public limited companies are owned by shareholders who buy shares in the company. The government owns a majority or all of the shares in public corporations, and they operate in the interest of the public, whereas public limited companies operate in the interest of their shareholders.

Sector: Public corporations typically operate in sectors that provide essential services to the public, such as utilities, healthcare, and transportation. These sectors are heavily regulated and require significant investment, so the government often gets involved in their operations. Public limited companies can operate in any sector, including consumer goods, finance, or technology.

Aim: Public corporations aim to provide essential services to the public at a reasonable cost and may have social or political objectives, in addition to financial ones. In contrast, public limited companies aim to maximize profits for their shareholders. The goal of public corporations is not to make profits, but to provide services that are essential for society.

Overall, public corporations and public limited companies differ in terms of ownership, sector, and aim. Public corporations are usually government-owned and operate in sectors that provide essential services to the public, while public limited companies are owned by shareholders and can operate in any sector. The aim of public corporations is to serve the public interest, whereas public limited companies aim to maximize profits for their shareholders.

c) last year, the mrt system incurred a loss of $50,000 per day. do the fare increase will resolve the deficit problem as well as ministry officials anticipate? explain

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Yes, the fare increase will likely help resolve the deficit problem as anticipated by ministry officials. The fare increase will likely increase total revenue and reduce the overall daily loss.

However, there is no guarantee that it will completely resolve the deficit problem, as there may be other factors contributing to the losses.

To further reduce the daily loss, the MRT system can look at reducing operational costs, and improving efficiency of services.

For example, increasing automation, implementing an online ticketing system, reducing staff numbers, and reducing the number of train breakdowns.

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The three elements of ______ include wages and salaries, incentives, and benefits. ... benefits

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The three elements of compensation include wages and salaries, incentives, and benefits. Wages and salaries are typically a fixed amount paid to employees for their work, regardless of the number of hours or the results achieved. Incentives are extra payments, bonuses, or prizes that may be earned based on performance or results achieved. Benefits are non-cash compensation, such as health and retirement plans, that are provided to employees in addition to wages and salaries.

When developing a compensation package, organizations need to consider the total value of each element and how it relates to the organization's goals. Wages and salaries should be set to reflect the external market for the skills and experience of the position. Incentives should be tied to performance metrics that are achievable and tied to the organization's overall objectives. Benefits should be carefully designed to offer both cost-effective protection to employees, as well as to provide an attractive employment offer.

Finally, organizations need to monitor the external labor market and the changing expectations of employees. A compensation package needs to be regularly reviewed and adjusted to maintain competitiveness in the external market, and to meet the changing needs of employees.

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in an ideal world, the price of any financial investment will equal the present value of its future cash flows. true false

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True. In an ideal world, the price of any financial investment would equal the present value of its future cash flows.

This means that the value of the investment should reflect the sum of all future cash flows discounted to its present value. This process is known as discounting and is commonly used by investors and financial advisors to decide whether to invest in a particular asset.

The future cash flows are estimated using a variety of methods and assumptions, such as expected returns and interest rates. Ultimately, the value of the investment should reflect the present value of the future cash flows it is expected to generate.

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What is the cash flow?

Cash flow (CF) is the change in the quantity of money that a company, institution, or person has. The phrase is used in finance to refer to the volume of money (currency) produced or spent during a specific period of time.

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real gdp (dollars) consumption expenditure (dollars) investment (dollars) government expenditure (dollars) 3,000 2,500 500 500 4,000 3,250 500 500 5,000 4,000 500 500 6,000 4,750 500 500 7,000 5,500 500 500 8,000 6,250 500 500 in the above table, there are no taxes and no imports or exports. suppose that investment increases from $500 to $750 at each level of real gdp. after the increase, what is the level of planned expenditure when real gdp equals $5,000? group of answer choices $5,000 $5,250 $1,000 $250

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After the increase, the level of planned expenditure when real GDP equals $5,000 is $5,250.

What is Planned Expenditure? The planned expenditure refers to the amount of expenditure on final goods and services that firms, households, and the government are willing to purchase at a given price level. The planned expenditure can be expressed as the sum of Consumption, Investment, Government expenditure, and net exports. That is, PE = C + I + G + NX. Where, C = consumption I = investment G = government expenditure NX = net exports.

Calculation of Planned Expenditure: Here is the table given, where it is known that investment increases from $500 to $750 at each level of real GDP. Different variables are given in the table which is as follows: Real GDP (dollars)Consumption expenditure (dollars)Investment (dollars)Government expenditure (dollars)30002500500500400032505005000500040005005000500047505005000550050050080006250500750To calculate the planned expenditure, we need to use the formula which is given above, PE = C + I + G + NX. Here, there are no taxes and no imports or exports.

So, the value of net exports is zero. Therefore, PE = C + I + G Planned Expenditure at real GDP $5000 = C + I + G Substituting the given values from the table, PE at real GDP $5000 = 4000 + 750 + 500 = 5250Thus, after the increase, the level of planned expenditure when real GDP equals $5,000 is $5,250.

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sam is running a project to upgrade a client's website to a new framework. expectation management has been very challenging on this project. sam has had challenges keeping the main sponsor involved as the project has evolved. currently sam is managing stakeholder engagement. which of the following best describes what he will expect to create? seleccione una: a. resolved issues and approved change requests b. approved change requests and updated stakeholder registry c. updated stakeholder registry, resolved issues, and change requests d. updates to the stakeholder engagement plan, change log and issue log

Answers

Sam must ensure that all stakeholders are up-to-date on the project, including resolving any issues or disputes that may arise. He must also make sure all changes are approved, and that all stakeholders are aware of the change log and issue log. The correct answer is option C

For stakeholder engagement, Sam should create and maintain a stakeholder registry. This should include all stakeholders, their contact information, and their interests in the project. By maintaining this registry, Sam can quickly assess who needs to be consulted and who will be impacted by the project changes.

To resolve any issues or disputes that arise, Sam must have the ability to listen to all stakeholders' concerns, address those concerns, and develop appropriate solutions. This requires Sam to have good problem solving and communication skills.

By creating and maintaining a stakeholder registry, resolving any issues or disputes, and ensuring all changes are approved, Sam will be able to properly manage stakeholder engagement for this project. Therefore correct answer is option C

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which of the following is an effective technique for ensuring that job seekers understand the actual nature of the jobs available to them? group of answer choices a utility analysis a realistic job preview a psychomotor ability test a validity test

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An effective technique for ensuring that job seekers understand the actual nature of the jobs available to them is realistic job preview.

A realistic job preview is an approach in which a job candidate is exposed to the actual aspects of the job before he or she is hired. This process enables job candidates to gain a more realistic perspective of the work, duties, and responsibilities involved with the job. Job candidates can assess their compatibility and make more informed choices about whether the job is the right fit for them or not.

A realistic job preview is a powerful tool for both job candidates and employers because it saves time and money by preventing people from applying for jobs they will eventually leave. The technique is quite effective for ensuring that job seekers understand the actual nature of the jobs available to them.

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one year ago, mabel bought a coupon bond at a yield-to-maturity of 5%. unfortuantely, the company who issued the bond just went bankrupt. what type of risk did mabel suffer from?

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Mabel suffered from credit risk.

What is Credit risk?

Credit risk is the risk that an investor will face a loss due to a borrower's or bond issuer's failure to repay its loan. Credit risk occurs whenever an investor extends credit to a borrower.

The company's bankruptcy puts Mabel's coupon bond at risk since they won't be able to pay her back the loan.

Credit risk can be addressed by thorough due diligence and credit analysis before investing in bonds or loaning money to others. This will minimize the chance of a borrower failing to repay a loan.

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difference between real estate salesperson and broker

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A real estate salesperson is an individual who helps clients buy or sell properties, while a broker is a licensed professional who can manage their own brokerage firm and supervise salespeople.

The main difference between a real estate salesperson and a broker is their level of licensing and responsibility. A salesperson is an individual who has completed the minimum required education and has passed a state licensing exam to legally represent buyers and sellers in real estate transactions. They must work under the supervision of a licensed broker and typically receive a percentage of the commission earned on a sale. On the other hand, a broker is an individual who has taken additional education and licensing requirements beyond that of a salesperson. Brokers have the ability to work independently, own and operate their own brokerage, and supervise other agents. They have a greater level of responsibility, as they are responsible for ensuring that all transactions comply with state and federal regulations. Overall, brokers have a higher level of expertise and autonomy in the real estate industry.

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lisa simpson demands more peanuts as her income decreases. from this, we can conclude that, for lisa: group of answer choices peanuts are an inferior good. peanuts are a complementary good. peanuts are a substitute good. peanuts are a normal good.

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Lisa Simpson's demand for peanuts as her income decreases implies that peanuts are an inferior good. An inferior good is a good whose demand decreases as the consumer's income rises, and increases as the consumer's income falls.


In Lisa Simpson's case, her demand for peanuts increases as her income decreases, suggesting that they are an inferior good to her. She likely has a limited budget and looks to peanuts as a cheaper alternative to other goods. Additionally, Lisa likely has no other alternative that can satisfy her need as well as peanuts do, making them a necessary and valued good.

In economics, inferior goods have a negative income elasticity of demand, meaning that their demand decreases as the income of the consumer rises. This is the case for Lisa Simpson and her demand for peanuts, which increases as her income decreases and decreases as her income increases.

To summarize, Lisa Simpson's demand for peanuts as her income decreases suggests that peanuts are an inferior good. An inferior good is a good whose demand decreases as the consumer's income rises, and increases as the consumer's income falls. In Lisa Simpson's case, this implies that peanuts are a necessary good in her budget, as her demand for them increases when her income is lower.

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