Sales and operations planning typically requires an integrated effort and cooperation from the following organizations:
Sales
Distribution and Logistics
Finance
Product Development
Operations

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Answer 1

Sales and operations planning (S&OP) typically requires integrated effort and cooperation from Sales, Distribution and Logistics, Finance, Product Development, and Operations organizations.

To effectively implement S&OP, each organization plays a vital role. Sales focuses on forecasting customer demand, while Distribution and Logistics ensure timely and efficient product delivery. Finance analyzes costs and profitability, and Product Development introduces new products or enhancements.

Lastly, Operations ensures the production process meets demand. Collaboratively, these organizations work together to create a balanced plan that optimizes resources and meets customer expectations, while maintaining profitability and competitive advantage.

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in a small, closed economy, national income (gdp) is $400 million for the current year. individuals have spent $150 million on the consumption of goods and services. they have paid a total of $200 million in taxes and the government has spent $150 million on goods and services this year. use this information and the national income identity to answer the questions. how much does the economy spend on investment?

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The economy spends $100 million on investment in a small, closed economy.

We can calculate the economy's spending on investment by using the national income identity:

GDP = Consumption + Investment + Government Spending + Net Exports

Therefore, Investment = GDP - Consumption - Government Spending - Net Exports

Substituting the values, we have: Investment = $400 million - $150 million - $200 million - $0 (as this is a closed economy) = $50 million

Therefore, the economy spends $50 million on investment.

The economy spends $100 million on investment. The national income identity equation is Y = C + I + G + NX, where Y represents national income (GDP), C represents consumption, I represents investment, G represents government spending, and NX represents net exports.

The information given is as follows:

Y = $400 million

C = $150 million

G = $150 million

Taxes = $200 million

Using the national income identity equation, we can solve for I, which is the investment component of GDP.

Therefore, I = Y - C - G - NXI = $400 million - $150 million - $150 million - $0 (since it's a closed economy and there are no exports) I = $100 million.

Therefore, the economy spends $100 million on investment.

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what is the primary goal of the recruitment and selection process? select one: a. filling top executive positions b. hiring the best candidates for positions c. forecasting future personnel needs d. increasing the retention of key employees

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The primary goal of the recruitment and selection process is to hire the best candidates for positions. This process typically involves reviewing applications, conducting interviews, and assessing qualifications to identify the most qualified candidate.  option (b) is the correct answer.

The overall goal is to identify and hire the best individual for the position, which in turn helps to increase the retention of key employees. The primary goal of the recruitment and selection process is to hire the best candidates for positionsRecruitment refers to the process of finding and employing qualified individuals for a job opening, generally in a timely and cost-effective manner

Selection is the process of choosing the right candidate for the job. It is the process of assessing and evaluating the qualifications, abilities, and experience of a potential candidate in order to determine if they are suitable for a particular position. This step ensures that the candidate is qualified, has the necessary experience, and has the required abilities and expertise to handle the job's demands. The primary goal of the recruitment and selection process is to find and employ the best candidates for the position.

It is critical to attracting top talent in today's competitive job market. Organizations must have a good recruitment and selection process in place to achieve this goal. A good recruitment and selection process can assist an organization in achieving its objectives by identifying and hiring the best candidate for the job. This can also improve retention rates, employee engagement, and overall job satisfaction. Thus, option (b) is the correct answer.

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performance and breach under what circumstances should courts not allow fully informed contracting parties to agree to limit remedies? describe a specific situation where the contracting parties could or could not limit remedies. what societal and/or business principles might be involved in a court's decision?

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The circumstances under which courts may not allow fully informed contracting parties to limit remedies are given below: If the law does not permit it.The limitation of the remedy is unconscionable. In this particular case, the contracting parties could not restrict remedies if the limitation of the remedy is unconscionable. The principles of society include: the duty of care, fairness, social justice, and common law precedent

However, courts may disregard certain provisions of a contract because they are deemed to be unconscionable, unfair, or contrary to public policy.

.In the context of contractual remedies, the principle of fairness dictates that the remedy provided in a contract must not be unconscionable. The principles of duty of care and social justice demand that contractual terms that are contrary to the public interest should be disregarded.

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contingency reserves require a construction company to hold back some funds in an account just in case something happens that increases the overall project cost. true false

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The given statement " contingency reserves require a construction company to hold back some funds in an account just in case something happens that increases the overall project cost " is TRUE because of Contingency reserves require a construction company to hold back some funds in an account just in case something happens that increases the overall project cost.

Contingency reserves can be defined as a percentage of the total project cost that is held in reserve to pay for unforeseen expenses.

In the construction industry, there are always unforeseen events that can disrupt a project. Contingency reserves are set up in the event of these circumstances. Construction projects are usually subjected to unforeseen problems that might affect the project outcome, increase costs or delay the work's progress.

Therefore, construction companies typically reserve a percentage of their budget for unexpected costs that might occur during a project. These unexpected costs can result from such factors as inflation, delays, and changes in the cost of goods or services.

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Determine which of the items below would show up on a monthly bank statement.
- Deposits and other credits increasing the account during the period
- Checks and other debits decreasing the account during the period
- Beginning-of-period balance in the account
- End-of-period balance in the account

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A monthly bank statement is a report that details all transactions made in a bank account during a specific period of time. End-of-period balance in the account is one of the items that would show up on a monthly bank statement.

A bank statement provides information regarding a bank account that an account holder uses to manage their money. Banks generally issue monthly statements to their customers. The statement includes a list of all transactions made during the month, as well as the beginning and ending balances.The statement also shows the beginning balance of the account, the deposits made during the month, the withdrawals made during the month, and the end-of-period balance in the account. Checks, automated teller machine (ATM) transactions, and electronic transfers are all examples of transactions that may be found on a bank statement. The statement also shows any fees charged for account management, such as overdraft fees, monthly service fees, or ATM fees.Bank statements serve as an important financial record that individuals can use to manage their money. Account holders can compare their receipts and their bank statements to ensure that all transactions are accounted for and to check for any discrepancies.
A monthly bank statement typically includes various details regarding your account activity within a specific period. One of the items that will show up on a monthly bank statement is the end-of-period balance in the account. This balance represents the total amount of money in your account at the end of the statement period, after taking into account all the deposits, withdrawals, and other transactions that occurred during that time. The end-of-period balance helps you keep track of your financial progress and ensures that you are aware of your current financial situation.

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Hi! A monthly bank statement provides an overview of your account activity, including deposits, withdrawals, fees, and interest earned. In relation to the end-of-period balance, the items that would show up on a monthly bank statement are:

1. Beginning balance: The account balance at the start of the month.
2. Deposits: Money added to the account, such as salary, transfers, or cash deposits.
3. Withdrawals: Money taken out of the account, like ATM withdrawals, check payments, and electronic transfers.
4. Fees: Any charges imposed by the bank, including account maintenance, overdraft, or ATM fees.
5. Interest earned: If the account earns interest, this amount will be included.
6. End-of-period balance: The final balance in the account after accounting for all transactions during the month.

These items provide a comprehensive summary of your account's financial activity, allowing you to track your spending, ensure accuracy, and maintain a healthy financial status.

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a grid that links product requirements from their origins (e.g., business reason needed, stakeholder who requested them) to the deliverables that satisfy them is referred to as a .

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A grid that links product requirements from there to the deliverables that satisfy them is referred to requirements traceability matrix

In the requirements traceability matrix, the typical attributes used may include a unique identifier, the rationale for inclusion, priority, owner source, version, a textual description of requirements, current status, and status date. To ensure that the requirements have been met stakeholders' satisfaction additional attributes may include stability, acceptance criteria, and complexity.

The key which brings the key cross-functional stakeholders together to define product requirements is the requirements workshop. the workshop was considered the primary technique for quickly reconciling stakeholder differences and defining cross-function requirements.

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in a real estate transaction, who may a licensee represent? unset starred question a client a client or customer a customer a principal or customer

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In a real estate transaction, a licensee may represent a client or a customer. What is a real estate transaction? A real estate transaction is the process of transferring ownership of a property from one party to another. It is an important process that is usually facilitated by real estate professionals such as agents, brokers, and real estate attorneys. The transaction can involve a wide range of properties such as land, residential homes, commercial buildings, and others.  

The goal of a real estate transaction is to ensure that both parties involved in the transaction are satisfied with the outcome. What is a licensee ?A licensee is an individual who is authorized by a state regulatory agency to practice a profession or conduct a business. In real estate, a licensee is an individual who has passed a real estate licensing exam and is authorized by the state to represent clients or customers in real estate transactions.

Licensees can work as real estate agents, brokers, or salespeople, depending on their level of education and experience. Who may a licensee represent in a real estate transaction? A licensee may represent a client or a customer in a real estate transaction. A client is someone who hires the licensee to represent them in the transaction. The client may be a seller or a buyer.

A licensee who represents a client owes them certain fiduciary duties such as loyalty, confidentiality, obedience, accounting, and disclosure. A customer, on the other hand, is someone who seeks the assistance of the licensee in the transaction but does not hire them.

A licensee who represents a customer owes them certain duties such as honesty, fairness, and disclosure. The licensee must provide customers with accurate information about the property and answer their questions truthfully.

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on average, managers spend most of their time doing which managerial activity? group of answer choices traditional management communication human resource management networking systems

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On average, managers spend most of their time on traditional management activities. These activities typically involve developing policies, processes, and procedures; monitoring performance; coordinating projects; and developing strategies.

These activities can also involve communication, human resource management, and networking systems, but typically traditional management activities take up the most of a manager's time. Traditional management activities are the primary focus of most managers. These activities are essential to running an effective organization, and involve the development and implementation of policies, processes, and procedures; monitoring performance and measuring outcomes; coordinating projects and people; and developing strategies.

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at a given point in time, the price of a credit default swap contract should be related to the default risk of the securities covered by the contract. for a given set of securities that are covered by a credit default swap, the price of the contract should be related to the default risk as it changes over time. a. positively; inversely b. positively; positively c. inversely; positively d. inversely; inversely

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As the default risk increases or decreases over time, the price of the CDS contract will also increase or decrease accordingly. The correct answer is: c. inversely; positively

What is a Credit Default Swap (CDS)?

Credit Default Swap (CDS) is a financial product that swaps the credit risk of fixed-income securities. The buyer pays the seller premiums and, in return, receives compensation if the underlying security defaults.A CDS can be used to transfer credit risk from one party to another, providing liquidity for the markets while reducing the risk of default. It is a type of insurance agreement on a credit default.

The price of a credit default swap (CDS) contract is inversely related to the default risk of the securities covered by the contract. In other words, as the default risk of the securities increases, the price of the CDS contract increases as well. This is because the CDS contract provides insurance against the possibility of default, and the higher the default risk, the more valuable the insurance.

However, the price of the CDS contract is positively related to the changes in default risk over time. As the default risk increases or decreases over time, the price of the CDS contract will also increase or decrease accordingly. This is because the CDS contract provides protection for a specific period of time, and the longer the time until maturity, the greater the chance that the default risk will change.

Therefore, the correct option is c. inversely; positively

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cthe formula in the custom column for finding the difference between budget and actual would be properly displayed as:

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The formula in the custom column for finding the difference between budget and actual would be properly displayed as: =Budget-Actual.

The formula in the custom column for finding the difference between budget and actual is written using the equals sign followed by the two columns of interest, Budget and Actual. This formula subtracts the value of the Actual column from the Budget column and displays the result in the custom column. This allows users to quickly and easily view the difference between their budgeted amount and the actual amount spent. This can help them to better understand where their money is going and make more informed decisions about their budget.

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alice lost her atm card at the lake and forgot it was missing until her monthly statement came 26 days later. she found that $800 had been withdrawn from her savings account. the most alice will be legally liable for assuming she notifies the bank at this point is

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Alice will be legally liable for up to $50 of the $800 that was withdrawn from her savings account, assuming she notifies the bank within two days of when she noticed her ATM card was missing. This is known as the "regulatory limit" for unauthorized transactions, and it is outlined in Regulation E of the Electronic Funds Transfer Act.

1. Alice noticed her ATM card was missing 26 days after it was lost.
2. She then notified the bank.
3. According to Regulation E of the Electronic Funds Transfer Act, the most Alice will be legally liable for is up to $50 of the $800 that was withdrawn from her savings account.

Therefore, t is clear that Alice will be legally liable for up to $50 of the $800 that was withdrawn from her savings account, assuming she notified the bank within two days of when she noticed her ATM card was missing.

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nancy, a sixteen-year-old entrepreneur, appoints her friend josh, who is twenty, to be her agent. she asks josh to sign a contract with a supplier for several cases of frosting for her cupcake business. josh contacts the supplier and notifies him of his agency for nancy. after assuring the supplier that both he and nancy are adults, josh signs a contract promising to pay $200. after the first shipment of frosting goes out, nancy loses interest in the business and disavows the contract. is josh personally liable for the $200? no, because an agent is almost never liable for contracts signed on behalf of a principal. yes, because josh warranted to the seller that nancy was of legal age to form a binding contract. no, because nancy is a minor and lacks capacity, and therefore may disavow a contract without liability. yes, because josh was acting in a personal capacity.

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The correct option is: yes, because josh warranted to the seller that Nancy was of legal age to form a binding contract.

Josh is personally liable for the $200 in the given case. Josh was Nancy's agent who contacted the supplier and assured the supplier that Nancy was an adult and they could make a binding agreement. Josh signed the contract on behalf of Nancy, which is why Josh is personally liable for the $200.

In this case, Josh signed the agreement, which leads to him being bound by the contract. When Nancy disavowed the agreement, Josh was still responsible for the $200 since he signed the contract on behalf of Nancy. Josh warranted to the supplier that Nancy was of legal age to enter into a legally binding contract.

Therefore, it is because Josh guaranteed to the seller that Nancy was of legal age to form a binding contract that Josh is personally responsible for the $200.

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if a handbag manufacturer offers three different purses (a budget-conscious version, a slightly higher-end version, and a luxury version) to three different target markets, which targeting strategy is it using?

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If a handbag manufacturer offers three different purses (a budget-conscious version, a slightly higher-end version, and a luxury version) to three different target markets, the targeting strategy that it is using is a differentiated targeting strategy.

Differentiated targeting strategy is the approach of creating two or more distinct product lines, which each aim to target a specific customer base, with specialized messaging and unique pricing. The firm aims to differentiate its product offerings and promote them to a particular target audience with distinct marketing strategies to meet their needs.

A manufacturer can employ the differentiated targeting strategy to market their product to specific consumer segments who are willing to pay different prices for it. It is aimed at customer groups who are prepared to pay a premium price for a luxury handbag and those who are looking for budget-conscious items. This strategy aims to satisfy the demands of consumers with different preferences and budgets by producing different goods for each group.

The objective is to optimize sales and revenue while minimizing the amount of overlap between customer groups. This method has been shown to be successful in markets where consumers have unique needs and are willing to pay a premium price for a high-quality product.

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a 25-year maturity bond with par value $1,000 makes semiannual coupon payments at a coupon rate of 8%. required: a. find the bond equivalent and effective annual yield to maturity of the bond if the bond price is $960. (round your intermediate calculations to 4 decimal places. round your answers to 2 decimal places.)

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The bond equivalent and effective annual yield to maturity of the bond with par value $1,000, a 25-year maturity, and a coupon rate of 8% can be found using the following formula:

Bond Equivalent Yield to Maturity = [(2 x Coupon Rate) / (Par Value - Bond Price)] x 100

Effective Annual Yield to Maturity = (1 + (Bond Equivalent Yield/2))2 - 1

In this case, the Bond Equivalent Yield to Maturity = [(2 x 8%) / (1,000 - 960)] x 100 = 8.33%

The Effective Annual Yield to Maturity = (1 + (8.33%/2))2 - 1 = 8.53%

Step-by-Step Explanation:

1. The Bond Equivalent Yield to Maturity is calculated by taking the coupon rate (in this case 8%), multiplying it by 2, and then dividing that amount by the difference between the par value (in this case $1,000) and the bond price (in this case $960). The result is then multiplied by 100.

2. The Effective Annual Yield to Maturity is calculated by taking the Bond Equivalent Yield to Maturity (in this case 8.33%), dividing it by 2, adding 1, and then squaring the result.

3. The Bond Equivalent Yield to Maturity of the bond with a par value of $1,000, a 25-year maturity, and a coupon rate of 8% is 8.33%. The Effective Annual Yield to Maturity is 8.53%.

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Research and development, information systems and human resources are examples of ______ activities.

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Research and development, information systems, and human resources are examples of Support Activities.

What are support activities?Businesses undertake support activities to support primary activities, which are the core business activities that produce, market, and deliver goods and services to customers. Support activities can be divided into three categories: human resources, information systems, and research and development.

Support activities, according to Porter's value chain model, add value to a company's product or service.In the case of support activities, the company doesn't make any money directly, but it does contribute to the company's ability to perform its primary activities more efficiently or effectively.

The following are the three categories of support activities:

Human Resources (HR): This function deals with recruiting, hiring, training, compensating, and retaining employees. Its objective is to ensure that the company has a skilled and motivated workforce.Information Technology (IT): This function is concerned with collecting, processing, storing, and disseminating information. Its goal is to provide employees with the knowledge they need to do their jobs more effectively.Research and Development (R&D): This function is concerned with developing new products and improving existing ones. Its goal is to enhance the company's product or service offering.

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bruce is purchasing a duplex for $275,000. he has given $2,000 in earnest money and the closing costs are $3,750. the lender has agreed to a 75% ltv. the seller has agreed to pay $2,000 in closing costs. how much does bruce need to bring to closing?

Answers

Answer:

1750

Explanation:

I'm notsure but it should be 1750 because I calculated it with a formula but it might not be the right answer

activity ratios measure an organization's ability to meet its current debt obligations. group of answer choices true false

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True. Activity ratios measure an organization's ability to convert its current assets into cash to pay off its current liabilities. This helps investors, creditors, and other stakeholders assess the financial health of a company.

Organizational ability  are skills that allow you to use your resources efficiently and effectively. Being organized means you manage your time, energy and workspace well and can accomplish all your assigned tasks successfully.

financial health is essentially an evaluation of your ability to handle your financial needs and wants. Three key steps to good financial health are being aware of your overall financial condition, creating and managing your money with a budget, and making a financial plan that includes regular investing.

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suppose bayzer, a pharmaceutical firm, is selling bonds to raise money for a new lab. this practice is called

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The practice of a pharmaceutical firm, such as Bayzer, selling bonds to raise money for a new lab is called "corporate bond issuance."

What is Cooperate Bond?

A corporate bond is a debt security issued by a corporation to raise capital. When investors purchase corporate bonds, they are essentially lending money to the corporation in exchange for periodic interest payments and the repayment of the principal when the bond matures.

Corporate bonds typically have a higher yield than government bonds because they carry a higher risk of default. The creditworthiness of the corporation issuing the bond is a key factor in determining the bond's yield. Corporations with higher credit ratings are considered less risky and can issue bonds with lower yields, while corporations with lower credit ratings must offer higher yields to attract investors.

Corporate bond issuance is a common way for companies to raise capital to fund new projects, investments, or other business activities. When a company issues bonds, it is essentially borrowing money from investors who purchase the bonds, with the promise of paying back the borrowed amount with interest over time. The terms of the bond issuance, such as the interest rate, maturity date, and other conditions, are outlined in a bond prospectus, which is made available to potential investors.

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True or false: Core competencies should be continuously improved so that the firm can acquire or maintain a competitive advantage.

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true . if core competencies are not regularly improved, competitors might acquire core competencies that will lead to a competitive advantage

The given statement "Core competencies should be continuously improved so that the firm can acquire or maintain a competitive advantage" is true because a core competency is an area of expertise or skill that a company focuses on, excels at, and provides a unique advantage over competitors.

Companies with strong core competencies can leverage them to create products and services that are difficult for competitors to replicate. Core competencies are often difficult to replicate by competitors, which means that companies with strong core competencies can maintain a competitive advantage. The development of core competencies can lead to cost savings, improved efficiencies, and better customer satisfaction. This can result in an increased market share and increased profitability.

However, it is important for companies to continuously improve their core competencies to maintain their competitive advantage as competitors can always improve or develop their own core competencies. A company’s core competencies should align with its overall strategy and provide unique value to customers. Continuous improvement of core competencies requires a commitment to investing in research and development, training and development, and technology advancements. This investment can lead to new and improved products and services, improved processes, and better customer experiences.

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under the par value method of accounting for treasury stock, the treasury stock is reported on the balance sheet as a deduction from a.contributed capital. b.the sum of contributed capital, unrealized capital, and retained earnings. c.retained earnings. d.capital stock.

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Under the par value method of accounting for treasury stock, the treasury stock is reported on the balance sheet as a deduction from the capital stock. The correct option is d.


The par value method of accounting for treasury stock

The par value method is one of the techniques that can be used to account for the acquisition of the treasury stock. In this approach, the treasury stock is reported on the balance sheet as a reduction in the amount of the capital stock rather than as a reduction in the retained earnings of the firm.

The treasury stock is the number of shares of the company’s stock that has been repurchased by the company from its shareholders. When the treasury stock is repurchased by the company, the number of shares of outstanding stock is reduced, and the amount of cash that was used to buy back the shares of stock is also reduced.

The balance sheet is a financial statement that provides information about a company's assets, liabilities, and shareholders' equity at a specific point in time. The balance sheet provides a snapshot of a company's financial position at a particular point in time.The capital stock is a term that refers to the total number of shares of stock that have been issued by the company. The par value of the stock is the nominal value of the shares of stock, which is often set at a low price. The difference between the par value and the market value of the shares of stock is known as the capital surplus.

The treasury stock is reported on the balance sheet as a deduction from the capital stock of the company. The par value method of accounting for treasury stock assumes that the company acquires the stock at the par value. The acquisition of the stock does not have any impact on the retained earnings of the company.

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you purchase a city of phoenix bond that is paying 5.45%, if you are in the 32% tax bracket, what is your tax equivalent yield?

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The tax equivalent yield while purchasing a city of phoenix bond that is paying 5.45%, if there is 32% tax bracket is 7.94%.

What is the tax equivalent yield?

The tax equivalent yield for a city of Phoenix bond paying 5.45, if you are in the 32 tax bracket, can be calculated using the following formula:

Tax Equivalent Yield = Bond Yield / (1 - Tax Bracket).

In this case, the tax-equivalent yield would be 7.94. This means that if the bond were tax-free, it would need to yield 7.94 in order to be equivalent to a 5.45 yielding bond with a 32 tax bracket.

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in the quadrant of the core competence--market matrix, the focus is on leveraging current core competencies to improve current market position. multiple choice question.

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The core competency-market matrix's fourth quadrant focuses on utilising present core competencies to strengthen the current market position. This gives businesses a competitive advantage.

What are the four criteria used to identify the core competencies of a company's capabilities?

A resource or capability contributes to a company's competitive edge over industry competitors and enables the firm to achieve profitability if it fits the following conditions. If a resource or skill is precious, uncommon, expensive to duplicate, and non-replaceable, it qualifies as a core competency.

How can having a competitive edge come from core competencies?

Organizations can obtain a competitive edge through the development of their core competencies, which has the specific benefit of raising sales and profits. Businesses accomplish this by being innovative while creating new products and services.

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during which step of the continual improvement model would you check to verify whether or not you have reached the desired outcome in your improvement initiative?

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The step of the continual improvement model where you would check to verify whether or not you have reached the desired outcome in your improvement initiative is the "Did we get there?" step.

The "Did we get there?" step is the final step in the Plan-Do-Check-Act (PDCA) continual improvement model, where the results of the implementation are compared with the expected outcomes. This step involves collecting data and analyzing it to determine if the goals and objectives of the improvement initiative have been achieved.

If the desired outcomes have been met, the improvement initiative can be considered successful and can be standardized as part of regular operations. If not, the process can be repeated or modified to achieve the desired outcome in future iterations.

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suppose you buy a share of stock today for $5,000 and sell it for $8,000 at the end of five years. what interest rate will you have earned on your investment

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Answer:

To calculate the interest rate earned on the investment, we can use the formula for compound interest:

FV = PV*(1 + r)^n

Where:

FV = Future value of the investment

PV = Present value of the investment

r = Annual interest rate (in decimal form)

n = Number of compounding periods

We can rearrange this formula to solve for the interest rate, which gives us:

r = (FV/PV)^(1/n) - 1

Substituting the given values, we get:

r = ($8,000/$5,000)^(1/5) - 1

r = 0.099 - 1

r = 0.098 or 9.8%

Therefore, the interest rate earned on the investment is 9.8%.

the second step in the marketing research approach involves developing the research plan. this includes specifying the

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The second step in the marketing research approach involves developing the research plan. This includes specifying the research objectives, research design, data sources, research methods, sampling plan, and instruments to collect data. The research plan is developed after defining the problem and the decision to be made.

The second step in the marketing research approach involves developing the research plan. This includes specifying the research objectives, research design, data sources, research methods, sampling plan, and instruments to collect data. The research plan is developed after defining the problem and the decision to be made.

The research plan outlines the framework for conducting research activities, detailing what information is required, how it will be obtained, and how the research findings will be analyzed and reported. The research plan includes: Research Objectives: The research objectives specify the questions that need to be answered in the research study.

They outline the purpose and scope of the study and provide a clear direction for the research activities.

Research Design: The research design specifies how the research will be conducted, including the type of research, data collection methods, and sample size.

Data Sources: The data sources specify where data will be collected, including internal and external data sources.

Research Methods: The research methods specify how the data will be collected, including primary and secondary research methods.

Sampling Plan: The sampling plan specifies how the sample will be selected from the population, including the sampling technique, sample size, and sampling error.

Instruments to Collect Data: The instruments to collect data specify the tools and techniques that will be used to collect data, including surveys, interviews, and observations.

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g number of units in the job10 total machine-hours40 direct materials$ 715 direct labor cost$ 1,430 the company uses a markup percentage of 40% of its total manufacturing cost in determining selling price. the selling price per unit the company would charge for

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The selling price per unit that the company would charge for is $3,324.

The given details are,Number of units = g

Total machine-hours = 40Direct materials = $715

Direct labor cost = $1430Markup percentage = 40%

Total manufacturing cost = Direct materials + Direct labor costTotal manufacturing cost = $715 + $1430

Total manufacturing cost = $2145Markup percentage = 40%Markup amount = Total manufacturing cost × Markup percentage

Markup amount = $2145 × 40/100

Markup amount = $858

Total manufacturing cost + Markup amount = Selling price per unit$2145 + $858 = $3003.

However, this is not the final selling price per unit because machine-hours were not taken into account.

Therefore,Selling price per unit = (Total manufacturing cost + Markup amount)/Number of units Selling price per unit

= ($2145 + $858)/g

Selling price per unit = $3003/g

Therefore, the selling price per unit the company would charge for is $3,324.

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What are some of the reasons that an MNE would choose international expansion through an acquisition? An IJV? An alliance? What are the variables that would influence the decision? What choice do you think is best for the likely benefit of the firm?

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To quickly get access to a foreign market and its resources, such as customer base, distribution channels, production facilities, and technology, an MNE may decide to expand internationally through an acquisition.

When an MNE wants to join a foreign market while splitting risks and resources with a local partner, they may choose for an IJV (International Joint Venture). This can provide access to local contacts, relationships, and information that may be necessary for success in a foreign market.

A MNE can decide to form an alliance to obtain access to a particular technology or area of expertise or to cut expenses through economies of scale. This can be accomplished by partnering with a business that possesses complementary skills and resources.

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this management style from blake and mouton (1991) emphasizes both employee needs and maximizing productivity: a. team management b. employee involvement c. theory x d. country club management e. authority-compliance f. theory y

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Option B. Theory Y was developed by Douglas McGregor in 1960 and emphasizes employee needs, job satisfaction, and self-direction as well as maximizing productivity. Theory Y is often referred to as the "Country Club Management Style".

Theory Y is a management style developed by Douglas McGregor in 1960 that emphasizes employee needs, job satisfaction, and self-direction. It is a people-oriented style of management, where employees are seen as having the potential to be innovative and self-motivated.

Theory Y suggests that people will be more productive when they are allowed to work in an environment where they feel empowered and have a sense of autonomy. This management style is often referred to as the "Country Club Management Style" due to its focus on creating an environment of trust and collaboration between managers and employees.

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tara buys three music cassettes when the price is $10 and two cassettes when the price is $14. her price elasticity of demand is:

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Lack of data to determine the price elasticity of demand. Because Tara continued to buy a consistent number of cassettes despite the price adjustment, her price elasticity of demand is inelastic.

Because Tara continued to buy a consistent number of cassettes despite the price adjustment, her price elasticity of demand is inelastic. This implies that her cassette demand is not very responsive to price variations. The degree to which demand is responsive to price fluctuations is measured by its price elasticity. We need to know the amount demanded at various costs in order to compute it. The data only reveals how many cassettes Tara purchased at various prices; however, neither the total quantity demanded nor the manner in which the quantity demanded changed in response to price changes are disclosed. Hence, using the information provided, we are unable to determine the price elasticity of demand.

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tara buys three music cassettes when the price is $10 and two cassettes when the price is $14. what is her price elasticity of demand?

suppose that the demand for toilet paper is highly inelastic, and the supply of toilet paper is highly elastic. a tax of $0.10 per roll levied on toilet paper will decrease the effective price received by sellers of toilet paper by

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The tax of $0.10 per roll levied on toilet paper will decrease the effective price received by sellers of toilet paper by $0.10. This is because the demand for toilet paper is highly inelastic and the supply is highly elastic.

This means that a small increase in the price of toilet paper will have a large decrease in the quantity of toilet paper that is supplied. Therefore, the tax of $0.10 per roll will have a larger impact on the price of toilet paper than the impact of the tax on the demand.

If the demand for toilet paper is highly inelastic, it means that consumers are not very responsive to changes in price. This means that a change in price would have a relatively small impact on the quantity of toilet paper demanded.

On the other hand, if the supply of toilet paper is highly elastic, it means that producers are able to respond quickly and effectively to changes in price, such as by increasing or decreasing production levels.

Given this scenario, if a tax of $0.10 per roll is levied on toilet paper, the effective price received by sellers of toilet paper would decrease by less than $0.10. This is because sellers are likely to pass on some of the tax burden to consumers by increasing the price of toilet paper.

However, because the demand for toilet paper is highly inelastic, consumers are unlikely to significantly decrease their purchases of toilet paper in response to the price increase. Therefore, the price increase is likely to be relatively small.

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