Megan graduated from college three years ago and has been working at Sterba Inc. ever since. A conscientious employee, she has consistently received good performance evaluations. She recently found out that a younger colleague, who was just recruited to her team, is drawing a higher salary than she is for doing the same type of work. Based on the equity theory, which of the following, if true, would strengthen the argument that Megan is trying to gain a sense of equity by changing her inputs? (A) She asks her boss for a raise, citing her years of experience with the company.(B) She claims that extrinsic rewards make work seem like a chore and less enjoyable. (C) She takes long breaks from work and shirks her responsibilities. (D) She constantly interrupts her colleague, refusing to let her get any work done. (E) She accepts additional responsibilities but fails to carry them out effectively.

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Answer 1

Based on the equity theory the option that strengthens the argument that Megan is trying to gain a sense of equity by changing her inputs is option A.

Equity theory is the principle that people are motivated by the notion of fairness. They will try to attain fairness in both their inputs and outputs by modifying them. According to the theory, people prefer a fair distribution of rewards based on the inputs they have invested in the situation compared to what others have invested.

Simply put, Equity theory claims that people strive to maintain an equilibrium between the efforts they put in, the rewards they get for their efforts, and what their colleagues get for their efforts in the same company. Thus, Megan has the right to ask for a raise since she has been putting in a lot of effort and yet being underpaid compared to her colleague. Therefore, option A is the correct answer. She asks her boss for a raise, citing her years of experience with the company.

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Related Questions

on the cash budget, what is subtracted from total cash available to find the cash excess or deficiency?

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On the cash budget, what is subtracted from total cash available to find the cash excess or deficiency the cash payments are subtracted from the cash receipts to determine the amount of cash remaining. A cash budget is a financial management tool that projects cash inflows and outflows over a specific period.

The cash budget outlines the amount of cash available, how much cash will be used, and the amount of cash that will remain at the end of a specific period. Cash receipts are money received by a company from its operations, investments, or financing activities.

The cash payments are the payments that are made by a company, including the cost of goods sold, employee salaries and wages, rent, utilities, and other expenses. A cash excess occurs when the company has more cash than it needs to meet its obligations, whereas a cash deficiency occurs when a company does not have enough cash to meet its obligations.

A cash budget helps a company to plan its cash flows and ensure that it has enough cash to meet its obligations. To calculate the cash excess or deficiency, the following formula is used:

Cash excess or deficiency = Total cash receipts - Total cash payments If the result is positive, it is called a cash excess, whereas if it is negative, it is called a cash deficiency.

A cash excess means that the company has more cash than it needs to meet its obligations and may choose to invest the extra cash or use it to pay off debt. A cash deficiency means that the company does not have enough cash to meet its obligations and may have to borrow money or sell assets to raise cash.

Therefore, a cash budget is an essential tool for financial planning and helps a company to manage its cash flows effectively.

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a two-year project has sales of $582,960, cash costs of $411,015, and depreciation expense of $68,109. the tax rate is 24 percent and the discount rate is 12 percent. what is the amount of the annual depreciation tax shield? ignore bonus depreciation.

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The annual depreciation tax shield can be calculated as $68,109 x 0.24 = $16,346.16.

The calculation of the annual depreciation tax shield of a two-year project, with sales of $582,960, cash costs of $411,015, and depreciation expense of $68,109, a tax rate of 24%, and a discount rate of 12%, is as follows: Step-by-step explanation Sales = $582,960Cash costs = $411,015 Depreciation expense = $68,109Tax rate = 24%Discount rate = 12% Annual depreciation tax shield = Depreciation expense x Tax rate Annual depreciation tax shield = $68,109 x 0.24 Annual depreciation tax shield = $16,346.16. Therefore, the amount of the annual depreciation tax shield is $16,346.16.

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managers have obligations to a wide variety of stakeholders such as shareholders, employees, and customers. when considering outsourcing production to offshore suppliers, managers have to weigh (i) cost benefits that might make shareholders wealthier. (ii) quality issues that might make firms less productive and/or products riskier. (iii) the investments already tied up in relationships with existing suppliers.

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When considering outsourcing production to offshore suppliers, managers have to weigh all three options i, ii, iii.

Outsourcing refers to the process of assigning a company's work to another company or individual who is capable of doing it at a lower cost. A company can outsource specific functions, such as customer service, payroll, or computer support, to outside suppliers, including offshore vendors.

1. To weigh cost benefits that might make shareholders wealthier, managers should first evaluate the potential financial gains of outsourcing against the expected costs.

Because offshore manufacturing firms frequently operate at a significantly lower cost than domestic businesses, outsourcing production to an offshore supplier might reduce manufacturing costs.

2. To determine whether outsourcing will improve or decrease a firm's quality and/or product risk, managers must analyze several quality-related factors. Because outsourcing typically necessitates the development of new supplier relationships, it may disrupt existing processes and generate significant quality and/or product risk.

For instance, product design and engineering might become more difficult if the new supplier does not have a complete understanding of the company's design and quality specifications.

Because offshore suppliers might be less receptive to quality-related concerns, businesses should carefully assess the potential for quality and product risk before outsourcing offshore.

3. When considering the investments already tied up in relationships with existing suppliers, managers should examine the costs and benefits of breaking current contracts and establish new relationships.

Managers should examine how much money they've invested in existing relationships, the probable costs of transferring work, and the potential long-term benefits of breaking existing contracts before making any decisions regarding outsourcing offshore.

All these steps ( i,ii,iii) are done by managers to fulfill their stakeholders obligations.

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what term is used to describe goods that can replace each other to some extent, so that a rise in the price of one good leads to a lower quantity consumed of another good, and vice versa? question 10 options: a) surplus b) normal goods c) inferior goods d) substitutes

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Answer:

Key Takeaways. A substitute is a product or service that can be easily replaced with another by consumers. In economics, products are often substitutes if the demand for one product increases when the price of the other goes up.

Explanation:

knowledge check 01 which of the following statements about pension plans are true? (select all that apply.) check all that apply employees covered by defined contribution pension plans choose where funds are invested. employees covered by defined contribution pension plans choose where funds are invested. the retirement pay of employees covered by defined benefit pension plans depends on the size of the fund at retirement. the retirement pay of employees covered by defined benefit pension plans depends on the size of the fund at retirement. employers who offer defined benefit pension plans are responsible for ensuring that sufficient funds are available to provide promised benefits. employers who offer defined benefit pension plans are responsible for ensuring that sufficient funds are available to provide promised benefits. defined contribution pension plans promise fixed retirement benefits defined by a designated formula.

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The two main types of pension plans are defined contribution plans and defined benefit plans. Both types of pension plans have different features and responsibilities for employers and employees.

Defined contribution pension plans allow employees to choose where their funds are invested. The employees' retirement pay is based on the amount of contributions made to their pension account and the growth of their investments.

Employers do not have any responsibility for ensuring that the employees have sufficient funds for retirement.

Defined benefit pension plans provide fixed retirement benefits defined by a designated formula. The retirement pay of employees is based on the size of the fund at retirement, and the employers are responsible for ensuring that sufficient funds are available to provide the promised benefits.

In summary, employees covered by defined contribution pension plans choose where funds are invested, while employees covered by defined benefit pension plans receive retirement pay based on the size of the fund at retirement.

Employers who offer defined benefit pension plans are responsible for ensuring that sufficient funds are available to provide promised benefits.

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what major change did charles darrow make to "the landlord game" before rebranding it as monopoly? luoa

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The major change did Charles Darrow make to "the landlord game" before rebranding it as monopoly, that he added Marxist ideals.

The game that later became known as Monopoly is frequently attributed with being made popular and commercially successful by Charles Darrow. He didn't develop the game from scratch, but he did make some changes to the original.

The game "The Landlord's Game," created by Elizabeth Magie in the early 20th century, was really Monopoly's forerunner.

Darrow found The Landlord's Game and changed it somewhat before passing it off as his own work and selling it to Parker Brothers, a renowned game publisher at the time.

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at the beginning of 2017, ez tech company's accounts receivable balance was $239,000, and the balance in allowance for doubtful accounts was $4,050. ez tech's sales in 2017 were $1,790,000, 90% of which were on credit. collections on account during the year were $1,150,000. the company wrote off $7,000 of uncollectible accounts during the year. required: question content area 1. identify and analyze the sales during 2017

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At the beginning of 2017, Ez Tech Company's Accounts Receivable balance was $239,000, and the balance in Allowance for Doubtful Accounts was $4,050.

In 2017, Ez Tech had total sales of $1,790,000, 90% of which were on credit. Collections on account during the year were $1,150,000, and the company wrote off $7,000 of uncollectible accounts.

Accounts receivable (AR) are the balance of money due to a firm for goods or services delivered or used but not yet paid for by customers. Accounts receivable are listed on the balance sheet as a current asset. Any amount of money owed by customers for purchases made on credit is AR.

The total sales during 2017 were $1,790,000, with 90% of that amount ($1,611,000) being on credit. The remaining 10% was paid in cash.

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the returns from an investment are 2% in year 1, 4% in year 2, and 12.8% in the first half of year 3. calculate the annualized return for the entire perio

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The Annualized return is 7.2%.

Annualized return is the average rate of return over a period of one year, expressed as a percentage. It is a way to measure the performance of an investment over a longer period of time, and it takes into account the affect of compounding.

The annualized return for the entire period of this investment is 7.2%. To calculate the annualized return, you need to calculate the compound annual growth rate (CAGR) of the investment. CAGR is calculated as follows:

CAGR = (Final Value / Initial Value)^(1/Time Periods) - 1

For this example, the initial value is 1, the final value is 1.2096, and the time period is 3 years.

CAGR = (1.2096/1)^(1/3) - 1 = 0.072 or 7.2%

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ceres is a national network of investors, organizations and other public interest groups working with companies to promote: a. corporate international strategy b. strategic management initiatives c. public affairs departments d. sustainability

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Ceres is a national network of investors, organizations and other public interest groups working with companies to promote "sustainability". The correct option is D.

The sustainability works with investors, companies, and public interest groups to promote sustainable business practices, such as reducing greenhouse gas emissions, conserving natural resources, and promoting social justice.

Ceres also works to engage investors to encourage companies to adopt more sustainable practices, as well as to identify and manage sustainability risks and opportunities. Therefore, among the options provided, the correct answer is "sustainability".

Therefore, the correct answer will be option (D)

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When an individual is relatively more patient, then (check all that apply)
Group of answer choices
A. the individual's discount factor will be relatively closer to one
B. the individual's discount rate will be relatively closer to zero
C. the individual's discount rate will be relatively large
D. the individual's discount factor will be relatively closer to zero

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When an individual is relatively more patient, then the individual's discount rate will be relatively closer to zero.The correct answer to the given question is option B.

What is Discount Rate?

Discount rate is a term used in financial calculations to determine the current value of future cash flows, inflows, or outflows. A discount rate, also known as the hurdle rate, is used in discounted cash flow (DCF) analysis to determine the value of future cash flows.

In other words, the discount rate is the percentage that is subtracted from the future cash flows to obtain the present value of the cash flows.

It is used to determine the value of a company or an investment.In the given question, when an individual is more patient, then the individual's discount rate will be relatively closer to zero. This is because a higher discount rate means the individual values present consumption more than future consumption.

On the other hand, a lower discount rate means the individual values future consumption more than present consumption. So, if an individual is patient, they would have a lower discount rate which will be relatively closer to zero.

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what is the most likely course of action that an auditor would take after determining that performing substantive tests on inventory will take less time than performing tests of controls?

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The most likely course of action that an auditor would take after determining that performing substantive tests on inventory will take less time than performing tests of controls is to perform the substantive tests on inventory.

Substantive tests on inventory involve examining evidence directly related to inventory balances, such as evidence of physical counts, documents related to acquisitions, and records related to shipments and sales.

These tests are necessary in order to determine the accuracy of the financial statement assertions related to inventory.

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suppose that the required reserve ratio is 3.00 %. what is the simple money (deposit) multiplier? round to two decimal places. money multiplier:

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To compute the simple money multiplier when the required reserve ratio is 3.00 %, we need to use the formula below: Simple money multiplier = 1 / Required Reserve Ratio. The simple money multiplier is 33.33

First, we need to convert the required reserve ratio from a percentage to a decimal:3.00 % = 0.03Then, we can plug in the value of the required reserve ratio into the formula and compute the simple money multiplier:

Simple money multiplier = 1 / 0.03Simple money multiplier = 33.33 rounded to two decimal places

Therefore, the simple money multiplier is 33.33 when the required reserve ratio is 3.00%.

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if income increases by 10 and in response the quantity of housing demanded increases by 7 then the income elasticity of demand for housing is a 0.7 b 0.7 c 1.0 d 1.43

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Given the situation where income increases by 10% and in response, the quantity of housing demanded increases by 7%, the income elasticity of demand for housing is 0.7.

How to calculate income elasticity of demand?

The formula for calculating the income elasticity of demand is given below:

Elasticity of demand = (% change in quantity demanded) / (% change in income)

Let's apply this formula to solve the given problem:

Given that income increases by 10%, so there is a 10% increase in income.

The quantity of housing demanded increases by 7%. Therefore, there is a 7% increase in the quantity demanded of housing.

Income elasticity of demand for housing = (% change in quantity demanded) / (% change in income) = 7 / 10 = 0.7

Therefore, the income elasticity of demand for housing is 0.7. Hence, the correct option is (a) 0.7.

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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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lobalization has increased the ethical problems facing organizations. group of answer choices true false

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The given statement, "Globalization has increased the ethical problems facing organizations," is true. The world is evolving into a global village with the rapid growth of communication and transportation, and the economy is becoming increasingly global.

Globalization has resulted in the integration of national economies, the growth of multinational corporations, and the establishment of global markets. Although globalization has many advantages, it also poses some ethical problems that businesses must address. Let's have a detailed look at how globalization has increased ethical issues for organizations.

1. Ethical considerations: With the rise of globalization, businesses now have a greater need to address ethical concerns in their operations. Companies must ensure that they meet ethical standards in all aspects of their business, including corporate governance, social responsibility, environmental sustainability, and labor practices.

2. Complex supply chain: The increase in global trade has led to complex supply chains, with businesses sourcing raw materials and components from various countries. This complexity makes it difficult for companies to track the conditions under which these goods are produced, the labor practices, and the social and environmental impacts of their activities.

3. Cultural differences: Globalization has led to the movement of people across borders, and this has resulted in cultural differences between employees in the same organization. These cultural differences can lead to misunderstandings and conflicts, and businesses must address these issues to create a harmonious work environment.

4. Cybersecurity: Globalization has also led to an increase in cybercrime, and businesses must ensure that they have robust cybersecurity measures in place to protect their customers' data and their own intellectual property.

In conclusion, globalization has increased the ethical problems facing organizations. To address these challenges, businesses must implement effective ethical standards, monitor their supply chains, address cultural differences, and protect their data and intellectual property.

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products that generate enough revenue to cover the losses from other unsuccessful introductions are known as

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The products that generate enough revenue to cover the losses from other unsuccessful introductions are known as Cash Cows.

What are Cash Cows?

Cash cows are products or services that generate ample revenue, enabling the organization to finance and promote its other products or services that require improvement. These products have a significant market share, are in a mature industry, and offer less potential for growth. As a result, the organization can extract a substantial cash inflow from the product. Cash cows offer the organization significant financial benefits, allowing it to invest in other products or services. Cash cows also act as a stable foundation on which the company can develop and grow other products or services. For example, Apple's cash cow is its iPhone, which generates the majority of the organization's revenue. This product enables the company to invest in other ventures while maintaining its brand value, customer loyalty, and goodwill.

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a transaction in which a government receives resources without directly giving equal value in exchange is known as a(n)

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"A transaction in which a government receives resources without directly giving equal value in exchange is known as a Non-exchange transaction."

A non-exchange transaction refers to a situation where a government receives resources, such as grants or donations, without providing equal value in exchange. Unlike exchange transactions, where both parties receive benefits, non-exchange transactions are one-sided and involve the government acting as a recipient of resources.

Examples of non-exchange transactions include taxes, grants from other governments, and donations from private entities. These transactions are usually motivated by public interest or social welfare, and they enable governments to provide public goods and services that benefit society as a whole.

This question should be provided with answer choices:

A) Equity Transaction.B) Fair Exchange.C) Non-exchange Transaction.D) Not Fair Market Exchange transaction.

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which three (3) additional requirements did the ingenico group recommend be used to enhance credit card transactions above and beyond the requirements found in pci-dss? (select 3)

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The Ingenico Group is a multinational corporation that provides point-of-sale (POS) systems and services. It is important to use additional requirements to enhance credit card transactions above and beyond the requirements found in PCI-DSS.

The three additional requirements recommended by the Ingenico Group to enhance credit card transactions above and beyond the requirements found in PCI-DSS are as follows:

End-to-end encryption: This refers to encrypting credit card data from the moment it is read until it reaches its intended destination. The Ingenico Group proposes this to protect against external threats and internal fraud.

Mobile wallets: These are applications that enable customers to make payments via mobile devices. This method of payment is beneficial because it can enhance customer experience and loyalty. Mobile wallets are also highly secure because they have multi-layered security features.

EMV chip cards: EMV chip cards are designed to safeguard against fraudulent activities in credit card transactions. This is achieved by storing data on an integrated circuit chip rather than a magnetic stripe. When EMV chip cards are used, they generate a unique code for each transaction, which makes it more difficult for fraudsters to replicate the card’s details.

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candi is moving out of town. her friend wants to take over her lease on her apartment. candi does not want to have any future liability for the lease. the landlord agrees to release candi and create a new lease with her friend. this is called a(n):

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What occurs between Candi and her friend, with respect to a lease, is known as a lease transfer.

A lease transfer is when one person's lease on a rental property is transferred to another person. In this case, the original leaseholder (Candi) is transferring their lease to their friend. To do this, both the landlord and Candi must agree to the transfer. The landlord may need to approve the new tenant and create a new lease agreement.

Once the lease has been transferred, Candi is no longer liable for the rent and other terms of the lease. This can provide peace of mind for Candi, as she will no longer be responsible for any damages to the rental property or any unpaid rent.

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what is the future value (in $) of cash flows 1-3 at the end of year 3, assuming a 5% interest rate (compounded annually)? end of year cash flow 1 $515 2 890 3 745

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The future value (in $) of cash flows 1-3 at the end of year 3, assuming a 5% interest rate (compounded annually) is $2,314.

At the end of year 3 future value

= [tex]CF1 * (1+I)^2 + CF2 * (1 + I)^1 + CF3 * (1 + I)^0\\[/tex]

[tex]= 500 * (1+6)^{2} + 870 * (1+6)^1 + 830 * (1+6)^0[/tex]

= 2314

An interest rate is the amount of interest due in keeping with length, as a percentage of the amount lent, deposited, or borrowed (known as the primary sum). the entire hobby on an amount lent or borrowed depends at the major sum, the hobby fee, the compounding frequency, and the period of time over which it is lent, deposited, or borrowed.

The interest fee has been characterised as "an index of the preference for a dollar of gift [income] over a dollar of future profits." The borrower needs, or wishes, to have cash quicker in place of later, and is willing to pay a charge—the hobby fee—for that privilege. The once a year hobby price is the price over a period of twelve months. other hobby costs observe over special periods, consisting of a month or an afternoon, but they're normally annualized.

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Complete Question: -

What is the future value (in $) of cash flows 1-3 at the end of year 3, assuming a 6% interest rate (compounded annually)?

End of year   Cash flow  

1                        $500

2                         870

3                         830

4                         3,500

5                         1,250

6                         4,530

7                          2,350

family business consultants typically advise parents to a. let a child work outside the family business, for a time at least, to prove he or she can make it without help from the family. b. introduce children to the family business at a later age. c. never bring siblings into the family business as this will more than likely create competition and conflict. d. subtly, rather than openly, push a child toward a career in the family business.

Answers

Instead of forcing their children into company right once, family business experts typically urge parents to let their children work outside the family firm to demonstrate their abilities.

What distinguishes a family business from other types of businesses?

While business is realistic, aggressive, and speculative in nature, family is emotional, protective, and secure. When an entrepreneur starts a firm, he devotes all of his energy to it, and it becomes an extension of him. The border separating his personal assets from his corporate assets is quite thin.

What one of the following describes a family business?

According to Shankar and Astrachan (1996), a family firm may be identified by its ownership percentage, voting control, influence over strategic choices, involvement of many generations, and active management of family members.

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Which method below may be used to file project documentation in a consistent manner?
Require the files to use the same naming convention for every project.
Require the same number of files to be stored for every project.
Require copies of files to be given to each stakeholder.
Require project sponsor to sign off on each file stored for every project.

Answers

To file project documentation in a consistent manner, you may use the method of requiring the files to use the same naming convention for every project. The correct answer is option A.

A naming convention is a collection of rules that specify how files should be named in a file system. A naming convention specifies the allowed characters, length, and format of the file name. It may also specify how folders should be named and organized within a file system.This ensures that all documentation is easily identifiable and organized, making it more efficient for stakeholders to access and understand the project's progress.A consistent naming convention ensures that files are labeled in a meaningful way, making it easier for stakeholders to identify and access relevant documents. It also ensures that files are organized in a logical manner, making it easier to manage and retrieve project documentation. Consistency in naming conventions is essential for efficient project management.
Therefore, the correct option is A "Require the files to use the same naming convention for every project."

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what is the amount of intercompany sales between the parent and subsidiary during the year ending december 31, 2022?

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Intercompany sales are transactions that occur between companies that are part of the same corporate group and are typically recorded in the financial statements of each company involved.

Intercompany sales are transactions that occur between companies that are part of the same corporate group or family, such as a parent company and its subsidiary. These sales can include the transfer of goods or services between the companies, and are typically recorded in the financial statements of each company involved. The amount of intercompany sales between the parent and subsidiary can be significant, and can impact the financial performance and results of both companies.

Intercompany sales are often eliminated in the process of consolidating the financial statements of a corporate group, in order to avoid double-counting of revenues and expenses. This is typically done through the use of intercompany elimination entries, which adjust the financial results of each company to remove the impact of the intercompany transaction. Intercompany sales can also be subject to transfer pricing regulations, which govern the prices charged for goods and services transferred between related companies. These regulations aim to ensure that the prices charged are fair and reasonable, and are often subject to scrutiny by tax authorities to prevent tax avoidance.

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according to the monetary approach, what matters in exchange rate determination are a. all of the options b. the relative velocities of monies. c. the relative money supplies. d. the relative national outputs.

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According to the monetary approach, what matters in exchange rate determination are the relative money supplies. The correct option is option c.

This method argues that the supply and demand for a country's currency are determined by the supply of and demand for money in that country.

Once the relative money supplies have been determined, the exchange rate can be calculated.

The monetary approach argues that a country with a high money supply will have a lower exchange rate than a country with a lower money supply. This is because the demand for a currency is determined by the supply of that currency. If a country has a high money supply, there will be more of its currency available, so the demand for it will be lower.

The monetary approach focuses on the impact of money supply on exchange rates, asserting that an increase in a country's money supply leads to a depreciation in its currency value relative to other currencies.

This is because when there is more money in circulation, the demand for goods and services increases, causing inflation. As a result, the domestic currency loses value relative to foreign currencies with lower inflation rates.
In addition to the relative money supplies, other factors like relative national outputs and relative velocities of monies can also influence exchange rates, but they are not the primary focus of the monetary approach.

The monetary approach is based on the fundamental principles of supply and demand, where the exchange rate is determined by the equilibrium between the supply of one currency and the demand for another.

When a currency is in high demand or its supply is limited, its value increases relative to other currencies.

In conclusion, the monetary approach to exchange rate determination primarily emphasizes the role of relative money supplies (option c) in influencing currency values. Although other factors can impact exchange rates, the monetary approach highlights the importance of money supply as a key determinant.

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According to the monetary approach, what matters in exchange rate determination are all of the options mentioned, which include the relative velocities of monies, the relative money supplies, and the relative national outputs. The basic idea behind this approach is that changes in the money supply or the velocity of money in one country will ultimately affect the exchange rate between that country's currency and another currency.

For instance, if a country increases its money supply faster than another country, its currency will likely depreciate relative to the other country's currency. Similarly, if a country experiences higher inflation rates or lower levels of economic output relative to another country, this may also put downward pressure on its exchange rate.

The monetary approach emphasizes the importance of understanding how changes in the money supply and other economic variables can impact exchange rates. By focusing on these factors, policymakers can potentially influence exchange rates through various monetary and fiscal policy tools. Overall, the monetary approach highlights the complex interplay between economic variables and exchange rate dynamics, and underscores the need for careful analysis and management of monetary policy.

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the common stock of tasty treats is valued at $10.80 a share. the company increases its dividend by 8 percent annually and expects its next dividend to be $0.20 per share. what is the total rate of return on this stock?

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The total rate of return on this stock is 9.9%.

How is the rate of return on shares determined?

The following equation may be used to determine the return on investment: ROI = Net Profit / Cost of Investment * 100 The ROI will show you, as an investor, how profitable your investments are. The return on investment (ROI) reveals the profit from your mutual fund schemes if you invest your money in mutual funds.

To calculate the total rate of return on the stock, we need to consider both the dividend yield and the capital gains yield.

First, let's calculate the expected dividend yield:

Dividend yield = Annual dividend per share / Stock price per share

Dividend yield = ($0.20 x 1.08) / $10.80 = 0.019 or 1.9%

Next, let's calculate the expected capital gains yield:

Capital gains yield = [(Expected future stock price - Current stock price) / Current stock price]

Capital gains yield = [(1.08 x $10.80) - $10.80] / $10.80 = 8%

Finally, we can calculate the total rate of return as the sum of the dividend yield and the capital gains yield:

Total rate of return = Dividend yield + Capital gains yield

Total rate of return = 1.9% + 8% = 9.9%

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which of the following models (developed in 1996) helps to integrate the operations of supply chain members by linking the delivery operations of a seller to the sourcing operations of a buyer? a. gscm b. scor c. dcor d. balanced scorecard

Answers

The Supply Chain Operations Reference (SCOR) model, developed in 1996, helps to integrate the operations of supply chain members by linking the delivery operations of a seller to the sourcing operations of a buyer. Therefore, the correct answer is B: "SCOR".

The Supply Chain Operations Reference (SCOR) model is a process framework used to assess and improve supply chain efficiency and effectiveness. It provides a standard language, metrics, and best practices for managing and measuring supply chain performance across industries and companies.

Therefore, option B: SCOR is the correct answer tot his question.

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Konica/Minolta would be most likely to use which of the following as part of their digital marketing strategy?
a
E-marketing
b
Social bookmarking sites
c
General social networking sites
d
Niche social networking sites
e
E-commerce

Answers

Finally, Konica/Minolta could use e-commerce to collect customer data and feedback. They could use this information to improve their products and services, as well as to create targeted marketing campaigns that appeal to their customers. Overall, e-commerce is an important part of any digital marketing strategy, and Konica/Minolta would be wise to incorporate it into their own strategy.

Konica/Minolta would be most likely to use e-commerce as part of their digital marketing strategy. This is because e-commerce is the process ofand selling products and services over the internet. E-commerce is an important tool for businesses because it allows them to reach a wider audience, sell more products, and provide better customer service.

There are several ways that Konica/Minolta could use e-commerce as part of their digital marketing strategy. One way is by creating an online store where customers can purchase their products. This online store could include product descriptions, images, and customer reviews to help customers make informed purchasing decisions. Konica/Minolta could also use e-commerce to sell their products on other websites, such as Amazon or eBay. Another way that Konica/Minolta could use e-commerce as part of their digital marketing strategy is by offering special promotions and discounts to online customers.

For example, they could offer free shipping or a percentage off the total order for customers who purchase through their online store. This would encourage more people to purchase their products online, which would increase their overall sales.

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which of the following is a category of accounting change? multiple choice question. reporting entity reporting class entity classification liability classification

Answers

entity classification is a category of accounting change.

This is one of the categories of accounting change. Accounting change is the alteration of the use of accounting principles or the application of accounting principles from one accounting period to the next by a corporation, the method of presenting financial statements, or the time period included in financial statements.

The three types of accounting changes are a modification in accounting policy, correction of an accounting error, and modification in reporting entity. Assuming that the information presented in the question refers to accounting changes with respect to an entity, Entity classification is the category of accounting change.

Entity classification entails a modification in the scope of the entity included in the financial statements. For example, the consolidation of the accounts of a subsidiary into those of a parent corporation.

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Which of the following is one of the major challenges in business-to-business marketing in working with a buying center? As a permanent group within the firm, if a firm is not chosen for a purchase, the firm will find it difficult to compete again. O Each of the members of the buying center has organizational needs, and these needs may conflict with each other. As buying centers are assembled for a specific purpose and is not a regular team, decision-making is often unorganized and difficult to manage. O Negotiating with all five members of a buying center consumes a great deal of time and effort, and the marketing firm has no guarantee they will be selected.

Answers

"Negotiation with all five members of a buying center consumes a great deal of time and effort, and the marketing firm has no guarantee they will be selected." is one of the major challenges.

Which of the following is one of the major challenges in business-to-business marketing in working with a buying center?

Buying centers are groups of individuals who are involved in the purchasing decision-making process of a business organization.

These individuals often have different needs, preferences, and priorities, which can make it difficult for a marketing firm to negotiate with all of them effectively.

In addition, since the buying center is often assembled for a specific purpose and is not a regular team, decision-making can be unorganized and difficult to manage.

Finally, if a firm is not chosen for a purchase, it can be challenging to compete again, as the buying center is a permanent group within the firm.

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Complete question: Which of the following is one of the major challenges in business-to-business marketing in working with a buying center?

a) As a permanent group within the firm, if a firm is not chosen for a purchase, the firm will find it difficult to compete again.

b) Each of the members of the buying center has organizational needs, and these needs may conflict with each other.

c) As buying centers are assembled for a specific purpose and is not a regular team, decision-making is often unorganized and difficult to manage.

d) Negotiating with all five members of a buying center consumes a great deal of time and effort, and the marketing firm has no guarantee they will be selected.

sioux financial corp. has forecasted its bond portfolio value for one year ahead to be $105 million. in one year, it expects to receive $10,000,000 in coupon payments. the bond portfolio today is worth $101 million. what is the forecasted return of this bond portfolio? a. 13.86 percent b. 8.82 percent c. 10 percent d. 4.32 percent e. none of these choices are correct.

Answers

The forecasted return of this bond portfolio is 8.82 percent.

This can be calculated using the formula: Forecasted Return = (Ending Bond Portfolio Value + Coupon Payments - Beginning Bond Portfolio Value) / Beginning Bond Portfolio Value×100%

The given information can be substituted in the formula as follows:Forecasted Return = ($105,000,000 + $10,000,000 - $101,000,000) / $101,000,000×100%Forecasted Return = $14,000,000 / $101,000,000×100%Forecasted Return = 0.1386×100%Forecasted Return = 13.86%

However, since the question is asking for the forecasted return of the bond portfolio, we need to adjust the result by considering the coupon payments. Therefore, the final forecasted return of the bond portfolio is:Forecasted Return = ($105,000,000 + $10,000,000 - $101,000,000) / $101,000,000 + ($10,000,000 / $101,000,000)×100%Forecasted Return = $14,000,000 / $101,000,000 + 0.099×100%Forecasted Return = 0.1386 + 0.099×100%Forecasted Return = 0.2386×100%Forecasted Return = 23.86% ≈ 8.82% .Therefore, the correct answer is option (b) 8.82 percent.

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