1. Depreciation, often known as wear and tear on capital items, is what causes the massage chair's value to decline. They lose value IN economy when we use that. Response: Depreciation.
2. A stable state Because of the stagnant population growth and the capital stock, the economy does not expand over time. The fictitious economy is said to be in a stable state. Answer: Stable state.
3. The depreciation is subtracted from the gross investment to determine the net investment. Input of net investment.
4. When more input is added but less is produced, the marginal product is said to be declining. The answer is declining marginal product.
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Correct Question:
Label the hypothetical scenarios with the term that best fits The massage chairs at Courtney's Beauty Salon are worth less now than they were last year. Refer below image for table.
FILL IN THE BLANK firms selling to organizational buyers have______ potential customers compared to firms selling to consumers.
Answer:
far fewer
Explanation:
Firms selling to organizational buyers have far fewer potential customerscompared to firms selling to consumers. 10. Industrial, reseller, and government markets are the three categories oforganizational buyers.
Use the following data for a closed economy to calculate the amounts listed below. Explain and show your work in your answers: Y = $12 trillion C = $8 trillion G = $2 trillion Spublic = $-0.5 trillion T = $2 trillion A. Investment spending B. Private saving C. Transfer payments
A closed economy is an economy where there is no international trade. This economy is self-sufficient and all transactions occur within the country.
In this question, we have been provided with the following data for a closed economy:Y = $12 trillionC = $8 trillionG = $2 trillionSpublic = $-0.5 trillionT = $2 trillionA. Investment spending:To calculate investment spending, we can use the following formula:I = Y – C – GHere, Y = $12 trillion, C = $8 trillion and G = $2 trillionI = $12 trillion – $8 trillion – $2 trillionI = $2 trillionTherefore, investment spending in this closed economy is $2 trillion.
B. Private saving: To calculate private saving, we can use the following formula:private = Y – C – THere, Y = $12 trillion, C = $8 trillion and T = $2 trillionSprivate = $12 trillion – $8 trillion – $2 trillionSprivate = $2 trillionTherefore, private saving in this closed economy is $2 trillion.
C. Transfer payments : These are payments that are made by the government to individuals or firms without any services or goods being exchanged. In this case, we are given Spublic = $-0.5 trillion. This means that the government is running a budget deficit of $0.5 trillion. As a result, there are transfer payments taking place. The amount of transfer payments is equal to the difference between government spending and government revenue (taxes). Therefore, transfer payments can be calculated using the following formula:Spublic = G – THere, G = $2 trillion and T = $2 trillionSpublic = $2 trillion – $2 trillionSpublic = $0.
Therefore, the amount of transfer payments in this closed economy is $0.
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Suppose a hypothetical economy is currently operating at point A on the per worker production function (PWPF) labeled PF1 in the accompanying graph. PF2 Which event could move the economy from point A to point B? increase in real GDP PF1 Real GDP per hour worked ($) 4,590 3,870 3,160 A technological advancement decrease in the amount of capital increase in the amount of capital 0 40 60 Capital per hour worked Which event could shift the PWPF from PF1 to PF2, or from point A to point C? decrease in the amount of capital technological advancement increase in real GDP increase in the amount of capital
A hypothetical economy is currently operating at point A on the per-worker production function (PWPF) labelled PF1. The graph provided shows the relationship between real GDP per hour worked and capital per hour worked. the correct option is Technological advancement.
The events that could move the economy from point A to point B are increase in the amount of capital. Hence, the correct option is to Increase the amount of capital. Increasing the amount of capital is shown by the rightward shift of the PWPF. The capital increase allows the economy to produce more with the existing technology.
This is because capital enhances worker productivity by providing the tools that they need to work more efficiently. Also, with a capital increase, real wages increase, leading to an increase in consumer demand which leads to an increase in the overall level of output in the economy. The events that could shift the PWPF from PF1 to PF2, or from point A to point C are technological advancements.
Technological advancement in the production process shifts the PWPF upward. This means that it will take fewer hours of work for a worker to produce a given quantity of output. Hence, the correct option is Technological advancement.
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What role, if any, should the U.S. government take in this issue of setting fair wages in developing countries? What is your definition of a “fair” (living) wage? Would it vary by country?
Answer:
The role of the US government in setting fair wages in developing countries is a contentious issue. While some advocate for active promotion of fair labor standards and human rights, including wages, through aid and trade agreements, others oppose intervention in other countries' internal affairs. A fair wage definition would vary by country and region due to cost of living, local economic conditions, and cultural norms. A fair wage should suffice to meet workers' basic needs, provide a decent standard of living, and account for skill level, prevailing wage levels, and employer viability. Ultimately, individual countries should determine their own labor laws, but the international community, including the US government, can support fair labor practices through cooperation with governments, labor unions, and civil society organizations in developing countries.
Prior to the 1930s, the _____ model of economics dominated economic thinking about how the economy worked. A) Keynesian B) classical. C) monetarist
Answer: Keynesian
Explanation:
I had this question once
which of the following should be implemented to reduce the risk to an acceptable level until the issue can be fixed?
In conclusion Implementing compensating controls, Implementing workarounds.
What does that involves?
Implementing compensating controls: This involves putting in place additional controls or measures to mitigate the risks associated with the issue. For example, if a critical system is down, a compensating control might involve using a backup system until the primary system can be restored.
Implementing workarounds: This involves finding alternative ways to perform a task or process that circumvent the issue. For example, if a software program has a bug that prevents a certain feature from working, a workaround might involve using a different feature or using a different program until the bug can be fixed.
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complete question:
Which of the following should be implemented as a temporary solution to reduce the risk to an acceptable level until the underlying issue can be fixed?
The American system of government produces more divided government than does the parliamentary system of government because O A in America, most officials in the executive branches of the government are elected separately B. in America, a president and legislature are each elected separately C. In the parliamentary system, the law requires that a majority of the legislators must join the party to which the Prime Minister belongs in the parliamentary system, the law requires that elections must be repeated until one party controls the majority of the seats in the legislature
The American system of government produces more divided government than does the parliamentary system of government because in America, a president and legislature are each elected separately.
The American system of government produces more divided government than does the parliamentary system of government because in America, a president and legislature are each elected separately. As a result, the President and Congress frequently represent opposing parties, which can result in conflict and deadlock. Parliamentary democracies are less susceptible to divided government. In parliamentary democracies, parties must cooperate and compromise to form coalitions capable of passing legislation. This means that in the event of a government shutdown or deadlock, the Prime Minister and the ruling party are more likely to hold both executive and legislative power.
The parliamentary system, by contrast, is more likely to generate unified government, since a majority of seats in the legislature must be held by a single party or coalition for the government to be established. This makes it more likely that the executive branch and the legislature will work together to enact laws and pursue policies.
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Based on the article "INNOCENTS ABROAD: CURRENCIES AND INTERNATIONAL STOCK RETURNS" please answer the following question:
1. Why does Sandra Meyer believe that adding international stocks to a US stock portfolio would add value? Why does Henry Bosse think otherwise?
2. Based on Exhibit 1, which market looks the most attractive from a return perspective? Which market looks the least attractive from a risk perspective? What, if anything, could be misleading about this chart?
In fact, adding foreign stocks to a portfolio boosts value since diversification has benefits. Diversification is the clearest and most significant benefit of foreign investing. When it comes to returns, the EM market appears to be the most alluring, while the EAFE market appears to be the least appealing in terms of risk.
How can foreign stocks help a portfolio's diversity?Through foreign portfolio investments, investors have a simple way to diversify their portfolio internationally. An investor would diversify their investment portfolio to obtain a higher risk-adjusted return, which is eventually done to contribute to the production of alpha.
What challenges does diversity face?Human traits or preferences are significant drivers of change or resistance to land use diversification. Personal choices may be influenced by a person's age, education, experience, familial circumstances, attitude toward risk, access to money and information, and propensity for change, to name a few.
What is a market with low risk called?When you invest with minimal risk, you pick assets with a reduced likelihood of experiencing significant losses than, say, unpredictable stock purchases. Government securities like Series I bonds, cash management accounts like certificates of deposit, and even stock options like preferred stocks are examples of low-risk investment options.
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illicit drug use is highest among mining and construction workers compared to other professions such as hospitality and the food industry.
Contrary to occupations like hospitality and the food sector, mining and construction employees use illicit drugs more frequently than other occupations.
Which illegal substance had the highest rate of abuse or dependency during the previous year, and which was followed by in 2011 in terms of drug dependence?However, the amount (20.6 million) was less in 2011 than it was in 2010. (22.2 million). In 2011, marijuana (4.2 million users), painkillers (1.8 million users), and cocaine were the particular illegal substances with the highest levels of past-year dependency or abuse. (0.8 million).
What kind of medicine is most popular?Because of benefits including ease of oral drug administration, patient choice, cost effectiveness, and simplicity of producing oral dosage forms on a wide scale, oral medicine is the most popular method of drug administration.
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TRUE OR FALSE if your employer gives you a raise that is equal to the inflation rate, then your real salary will have increased.
Answer:
false
Explanation:
The Standard industrial Classification (SIC. code is a classification system basred upan which of the following? A. The way in which a business standardizes its operations according to iSO 90001 8. The insurance industry classification of a company's risk adjusted status for rating its premiums C A federal government classification according to the major business activity or lence within whch the firm operate D. The standard insurance classification for grouping the riskiness of insuring a companys employee popuiation Click Sove ond Suhmit to sove and submit Click Sove All Answers to shve all answers
A federal government categorization based on the primary commercial activity or industry that a firm operates in. (Choice c)
What is the SIC coding system, or Standard Industrial Classification?Four-digit numerical numbers called Standard Industrial Category (SIC) designations are used to group industries into which businesses fall according to the nature of their commercial activity. This 6 North American Industry Classification System has largely taken the place of Standard Industrial Classification codes (NAICS). Businesses are categorised as according industry type using a numerical system called the Standard Classification Standard, or SIC. Businesses were given the same code or SIC code if they were in the same industry.
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which of the following accounts for the total of goods and services produced in a national economy?
Gross Domestic Product (GDP) accounts for total of goods and services produced in national economy.
What is a national economy?National economy refers to the overall economic system of a country, including all the goods and services produced, consumed, and traded within its borders. This encompasses a range of economic activities, such as agriculture, manufacturing, trade, and services, and is often measured using indicators such as Gross Domestic Product (GDP), unemployment rate, inflation, and trade balance. A strong national economy is important for a country's growth and development, as it provides employment opportunities, improves standards of living, and promotes social welfare. However, economic stability is often affected by a range of factors such as political instability, natural disasters, changes in global economic conditions, and government policies. Thus, managing and improving the national economy requires careful planning and coordination between the government, private sector, and other stakeholders.
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Complete question is:
Which of the following accounts for the total of goods and services produced in a national economy?
Gross Domestic Product Unemployment Rate Health statusPortfolio management frameworks, such as the BCG matrix, share which of the following characteristics?a. Businesses are plotted on a 3-dimensional grid.b. Grid dimensions are based on external environments and internal capabilities/market positions.c. Position in the matrix suggests a need for sharing synergies.d. They are most helpful in helping businesses develop types of competitive advantage.
Grid dimensions are based on both internal capabilities and market positions and external environments, as is the case with portfolio management frameworks like the BCG matrix. Option b is correct .
What is the BCG matrix in terms of management principles?The BCG matrix's logic holds that as an industry expands, all investments become cows or dogs. The purpose of the matrix is to assist businesses in making sound decisions regarding portfolio management by directing investment into areas that are likely to yield returns and finance future expansion. The Boston Consulting Group developed the BCG matrix to assess the potential and strategic position of the business brand portfolio. The product portfolio matrix (BCG matrix) developed by the Boston Consulting Group is intended to assist with long-term strategic planning. It examines a company's portfolio of products to determine where to invest, discontinue, or develop products.
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Which type of financial risk happens when the prices of things rise and fall?
income risk
You Answered
interest rate risk
personal risk
Correct Answer
inflation risk
CORRECT: inflation risk (please fix the ones on your site that are incorrect)
Answer:
The correct answer is inflation risk.
Explanation:
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Perez Company is a retail company that specializes in selling outdoor camping equipment. The company is considering opening a new store on October 1, year 1. The company president formed a planning committee to prepare a master budget for the first three months of operation. As budget coordinator, you have been assigned the following tasks.
Required
October sales are estimated to be $220,000, of which 45 percent will be cash and 55 percent will be credit. The company expects sales to increase at the rate of 20 percent per month. Prepare a sales budget.
The company expects to collect 100 percent of the accounts receivable generated by credit sales in the month following the sale. Prepare a schedule of cash receipts.
The cost of goods sold is 60 percent of sales. The company desires to maintain a minimum ending inventory equal to 10 percent of the next month’s cost of goods sold. However, ending inventory of December is expected to be $13,000. Assume that all purchases are made on account. Prepare an inventory purchases budget.
The company pays 80 percent of accounts payable in the month of purchase and the remaining 20 percent in the following month. Prepare a cash payments budget for inventory purchases.
Budgeted selling and administrative expenses per month follow:
Salary expense (fixed) $ 19,000
Sales commissions 5 % of Sales
Supplies expense 2 % of Sales
Utilities (fixed) $ 2,400
Depreciation on store fixtures (fixed)* $ 5,000
Rent (fixed) $ 5,800
Miscellaneous (fixed) $ 2,200
*The capital expenditures budget indicates that Perez will spend $210,000 on October 1 for store fixtures, which are expected to have a $30,000 salvage value and a three-year (36-month) useful life.
Use this information to prepare a selling and administrative expenses budget.
Utilities and sales commissions are paid the month after they are incurred; all other expenses are paid in the month in which they are incurred. Prepare a cash payments budget for selling and administrative expenses.
Perez borrows funds, in increments of $1,000, and repays them on the last day of the month. Repayments may be made in any amount available. The company also pays its vendors on the last day of the month. It pays interest of 1 percent per month in cash on the last day of the month. To be prudent, the company desires to maintain a $22,000 cash balance. Prepare a cash budget.
Sales budget:
October: $220,000
November: $264,000
December: $317,600
Schedule of Cash Receipts, Inventory Purchases Budget, Cash Payments Budget for Inventory Purchases, Selling and Administrative Expenses Budget, Cash Payments Budget for Selling and Administrative Expenses and Cash Budget are listed below:
What is Sales?Sales is the process of exchanging goods and services for money. Sales is a key component of the exchange of goods and services between buyers and sellers.
Schedule of Cash Receipts:
October: $99,000 (45% of October sales)
November: $220,000 (100% of October sales)
December: $264,000 (100% of November sales)
Inventory Purchases Budget:
October: $132,000 (60% of October sales)
November: $158,400 (60% of November sales)
December: $198,320 (10% of December sales + $13,000 ending inventory)
Cash Payments Budget for Inventory Purchases:
October: $105,600 (80% of October purchases)
November: $126,720 (80% of November purchases)
December: $158,656 (80% of December purchases)
Selling and Administrative Expenses Budget:
October: $19,000 (salary expense) + $11,000 (sales commissions) + $4,400 (supplies expense) + $2,400 (utilities) + $5,000 (depreciation) + $5,800 (rent) + $2,200 (miscellaneous) = $49,800
November: $19,000 (salary expense) + $13,200 (sales commissions) + $5,280 (supplies expense) + $2,400 (utilities) + $5,000 (depreciation) + $5,800 (rent) + $2,200 (miscellaneous) = $53,080
December: $19,000 (salary expense) + $15,552 (sales commissions) + $6,352 (supplies expense) + $2,400 (utilities) + $5,000 (depreciation) + $5,800 (rent) + $2,200 (miscellaneous) = $55,104
Cash Payments Budget for Selling and Administrative Expenses:
October: $48,000 (salary expense + sales commissions + supplies expense + utilities + depreciation + rent + miscellaneous)
November: $48,000 (salary expense + sales commissions + supplies expense + utilities + depreciation + rent + miscellaneous) + $2,400 (utilities) + $11,000 (sales commissions) = $61,400
December: $48,000 (salary expense + sales commissions + supplies expense + utilities + depreciation + rent + miscellaneous) + $2,400 (utilities) + $15,552 (sales commissions) = $66,952
Cash Budget:
October: $210,000 (capital expenditures) + $99,000 (cash receipts) - $105,600 (cash payments for inventory purchases) - $48,000 (cash payments for selling and administrative expenses) + $22,000 (cash balance) = $87,400
November: $220,000 (cash receipts) - $126,720 (cash payments for inventory purchases) - $61,400 (cash payments for selling and administrative expenses) + $22,000 (cash balance) = $110,880
December: $264,000 (cash receipts) - $158,656 (cash payments for inventory purchases) - $66,952 (cash payments for selling and administrative expenses) + $22,000 (cash balance) = $148,392
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Mills Coffee has been a successful brand since the early 2000s. Mills has stores throughout the New England area. It also has a substantial internet presence and sells coffee nationwide. In late 2019, Ernie Mill started his own coffee company in Georgia and called it Mill's Coffee. Ernie had not heard of Mills Coffee before. In the first year of business, Mill's Coffee made a $1 million profit. Which of the following damages is Mills Coffee entitled to?
Mills Coffee may have a claim against Ernie Mill's new company, Mill's Coffee, for trademark infringement. The fact that Ernie had not heard of Mills Coffee before does not necessarily absolve him of liability for infringement.
Trademark law protects not only well-known brands but also lesser-known brands that have established rights to their name and image in the marketplace.
What damage is represented?If Mills Coffee can demonstrate that Ernie's use of the name Mill's Coffee is likely to cause confusion among consumers, it may be able to seek damages for lost profits, harm to its reputation, and other losses resulting from the infringement. This could include lost sales due to consumers mistakenly purchasing coffee from Mill's Coffee instead of Mills Coffee, as well as damage to Mills Coffee's brand image and goodwill.
The amount of damages Mills Coffee would be entitled to would depend on the specific facts of the case, including the degree of similarity between the two brands, the extent of Mills Coffee's established rights to its name and image, the geographic scope of the infringement, and the actual harm suffered by Mills Coffee as a result of the infringement. However, given that Mill's Coffee made a $1 million profit in its first year of business, it is likely that Mills Coffee could seek substantial damages.
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FILL IN THE BLANK companies use the tactic of ________ to give shareholders certain rights in the event of a takeover by another firm.
Companies use the tactic of "poison pills" to give shareholders certain rights in the event of a takeover by another firm.
What are the poison pills?
In corporate finance, a "poison pill" is a defensive tactic that companies can use to make their stock less attractive to a potential acquirer in the event of a hostile takeover attempt.
A poison pill typically involves the issuance of new shares of stock, which dilutes the value of existing shares and makes the company more expensive to acquire. It can also give shareholders certain rights, such as the ability to purchase additional shares at a discounted price, which makes a takeover more difficult and expensive for the acquiring company.
The use of poison pills is controversial, as some argue that it can be used to entrench management and prevent companies from being sold at a fair price.
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Complete question is: Companies use the tactic of "poison pills" to give shareholders certain rights in the event of a takeover by another firm.
The market equilibrium maximizes the sum of producer and consumer surplus for all of the following reasons EXCEPT:
a.
goods are produced by the lowest-cost sellers.
b.
every potential seller and every potential buyer are in the market.
c.
there are no wasted resources.
d.
goods are consumed by the highest-value buyers.
For each of the following reasons, the market equilibrium maximises the total of producer and consumer surplus. The lowest-cost merchants make the items, though. Option a is Correct.
The cost to the sellers also outweighs the value to the purchasers at quantities higher than the equilibrium amount. As a result, the producer and consumer surpluses are maximised at the point of market equilibrium.
The total surplus of the consumer and producer is maximised at the point where supply and demand are equal. This gives the impression that the market's invisible hand directs buyers and sellers towards effective resource allocation. When there are market failures, resources are not allocated in an efficient manner. Option a is Correct.
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According to Mintzberg, which of the following role is decisional?
Making decisions, according to Mintzberg, is the most important aspect of any managerial action.
What function, in Mintzberg's opinion, is decisional?This entails resolving issues, coming up with fresh concepts, and putting them into action. Troubleshooter - The manager is the one who needs to take control when a team or organisation encounters an unforeseen obstacle. You must also assist in mediating conflicts there. Figurehead, manager, liaison, monitor, debunker, spokesperson, entrepreneurial, disruption handler, resource allocator, & negotiator are the ten jobs according to Mintzberg (1973). He distinguishes four roles—entrepreneur, disturbance handler, resource allocator, and negotiator—based on various types of decisions.
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true/false. for an investor with a 28% marginal tax rate, what return would a corporate bond have to pay to provide the same after-tax return as a municipal bon
The given statement "For an investor with a 28% marginal tax rate, the return a corporate bond would have to pay to provide the same after-tax return as a municipal bond" is True because marginal tax rate investor would be better off investing in a municipal bond than a corporate bond.
A municipal bond is a kind of bond that is issued by a government or a municipality. Municipal bonds are typically exempt from federal taxes and are also exempt from state taxes in the state where they are issued. Municipal bonds, in general, have a lower interest rate than other bonds because they have fewer risks. Corporate bonds are a type of bond that companies use to raise funds. They are backed by the creditworthiness of the issuing company rather than a government entity.
Corporate bonds have a higher interest rate than government bonds because they are more risky. The municipal bond’s yield is typically lower than the corporate bond’s yield. However, the municipal bond's interest payments are not subject to federal tax, while the corporate bond's interest payments are taxed. As a result, the after-tax return of a municipal bond is frequently higher than the after-tax return of a corporate bond. In this case, a 28% marginal tax rate investor would be better off investing in a municipal bond than a corporate bond since the municipal bond's after-tax return would be higher than the corporate bond's after-tax return.
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Political risk insurance and local debt financing are both forms of __________.
a. Input Control
b. Hedging
c. Equity Sharing
d. Adaption
Political risk insurance and local debt financing are both forms of Hedging Investment. option b is correct.
The two significant risks in international trade that political risk insurance covers are political risks and commercial risks. Political risk refers to the risks that may arise due to the actions of governments or any government policies.
Commercial risk refers to the non-payment risks of debts from the debtor's financial, business, or economic condition. In the event of a loss, political risk insurance policyholders receive indemnification up to the sum insured. Insurers providing this type of coverage are known as political risk insurers.
debt financing is a form of financing in which the borrower raises capital in the country where they operate. The borrowing cost of local debt financing is often lower than that of foreign debt financing. A foreign company may use local debt financing as a method of financing to reduce the risk of currency fluctuations.
Borrowers who choose local debt financing may obtain loans that are denominated in local currencies or that are indexed to local currencies. This type of financing is provided by local banks, financial institutions, and other lenders.
Risk management is a critical component of international trade. In the event of any unforeseen events or difficulties, risk management measures such as political risk insurance and local debt financing may assist companies in protecting themselves from any potential losses.
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When an institution systematically buys and sells stocks, options and futures on selected stocks or an index, it is known as
When an institution systematically buys and sells stocks, options and futures on selected stocks or an index, it is known an institutional trading strategy.
Institutional trading strategies are buying and selling financial assets such as stocks, commodities, currencies, futures and options through institutions such as banks, credit unions, pension funds, hedge funds, mutual funds and REITs.
Institutional trading is the purchase and sale of financial assets such as stocks, commodities, currencies, futures and options by institutions such as banks, credit unions, pension funds, hedge funds, mutual funds and REITs. These institutions are legal entities that raise funds from and act on behalf of several different investors.
Trading houses are well organized and wealthy enough to use the services of analysts and traders. The former concentrates on conducting technical and fundamental analysis, while the latter studies information and uses the strategies and results it uses to make trades, keeping commerce at its most convenient. .
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Using what you know about equity theory, expectancy theory, and organizational justice, explain why Stephen and Bianca have different perceptions of what fairness means when it comes to implementing summer hours.
Stephen and Bianca's different perceptions of fairness can be explained by the interplay of equity theory, expectancy theory, and organizational justice. By understanding these concepts, organizations can strive to create fair and equitable policies that motivate employees and foster a positive work environment.
What are the perceptions of fairness of these two peopleStephen and Bianca's different perceptions of fairness when it comes to implementing summer hours can be explained by the concepts of equity theory, expectancy theory, and organizational justice.
Equity theory suggests that individuals compare their inputs (e.g. effort, time, skills) and outcomes (e.g. rewards, recognition) to those of others to determine if they are being treated fairly. If the ratio of inputs to outcomes is perceived as unfair, individuals may experience feelings of anger or resentment.
Expectancy theory suggests that individuals are motivated to work harder when they believe that their effort will lead to higher performance and greater rewards. If individuals do not believe that their effort will be rewarded fairly, they may be less motivated to work hard.
Organizational justice refers to the perceived fairness of workplace policies and procedures. If Stephen and Bianca perceive the implementation of summer hours to be unfair, they may be less likely to view the organization as a fair and just place to work.
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how man properties can i own and manage before i have to turn it over to a property management company in savannah ga.
The number of properties a person can own and manage before turning them over to a property management company in Savannah, GA, depends on several factors, including the individual's experience and resources.
There is no definitive answer to this question, as it varies depending on the individual's circumstances. In general, the more properties a person owns and manages, the more time and resources they will need to dedicate to their work. Property management involves a variety of tasks, including finding tenants, advertising properties, collecting rent, and handling maintenance issues. Therefore, it may become difficult for a person to manage all of their properties themselves if they have too many.
It is recommended that property owners begin with a small number of properties to gain experience and understanding of the field before expanding their portfolio. Additionally, individuals with more experience in property management may be able to handle a larger number of properties than those with less experience. Ultimately, it is up to the individual to determine the appropriate number of properties they can manage effectively.
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negotiators do not have to be aware of the effect of intangible factors on their own aspirations and behavior.
Negotiators do not have to be aware of the effect of intangible factors on their own aspirations and behavior is False because intangible factors can significantly influence the negotiation process and outcome.
Negotiators are individuals who engage in negotiations to reach a mutually beneficial agreement with another party. The success of a negotiation depends on various factors, both tangible and intangible. Tangible factors are objective and can be measured or quantified, such as price, quantity, or delivery date. On the other hand, intangible factors are subjective and may not be easy to quantify, such as trust, emotions, and perceptions.
Negotiators need to be aware of the effect of intangible factors on their own aspirations and behavior. This is because intangible factors can significantly influence the negotiation process and outcome. For instance, a negotiator who is overconfident and optimistic may overlook important details, which may lead to unfavorable outcomes. Conversely, a negotiator who is overly cautious and skeptical may miss out on opportunities that could have led to better outcomes.
Moreover, negotiators who are not aware of the effect of intangible factors may misinterpret or misunderstand the other party's behavior or intentions, leading to a breakdown in communication and trust. Intangible factors can also impact the negotiation process in terms of power dynamics, emotional reactions, and cultural differences.
In conclusion, negotiators must be aware of the effect of intangible factors on their own aspirations and behavior to be successful in negotiations. They should develop skills in managing emotions, understanding cultural differences, building trust, and effective communication to navigate the complexities of negotiations. By doing so, they can reach mutually beneficial agreements that meet the needs and interests of all parties involved.
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Complete Question
Negotiators do not have to be aware of the effect of intangible factors on their own aspirations and behavior. True or False.
fill in the blank. ____ is when the federal government shares revenue with state, local, and other governmental units for poverty, health, and highway programs.
Intergovernmental transfers is when the federal government shares revenue with state, local, and other governmental units for poverty, health, and highway programs.
Intergovernmental transfers are a form of fiscal federalism, which is the concept that fiscal policy decisions and spending should be shared between the national and state governments. In particular, these transfers are the primary way the federal government provides funds to the states and localities for programs such as health, housing, and highways. The federal government generally makes these transfers in the form of grants, which are funds that do not need to be repaid. States and local governments then use these funds to implement programs for the public good. For example, highway projects and other infrastructure projects are often funded in part by intergovernmental transfers from the federal government.
Additionally, intergovernmental transfers are often used to fund social services such as health care and poverty assistance programs.
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the federal farm board, created by the agricultural marketing act, lent money to farmers primarily to help them to
the federal farm board, created by the agricultural marketing act, lent money to farmers primarily to help them to organize producers' cooperatives
the agricultural marketing Act of 1929, underneath the management of Herbert Hoover, set up the Federal Farm Board from the Federal Farm mortgage Board hooked up by means of the Federal Farm loan Act of 1916 with a revolving fund of half of one thousand million dollars.[1] The authentic act turned into sponsored by way of Hoover in an try to forestall the downward spiral of crop expenses by using looking for to buy, sell and save agricultural surpluses or via generously lending money to farm corporations. cash changed into lent out to the farmers in order to buy seed and food for the cattle, which become mainly vital considering that there had formerly been a drought in the Democratic South.
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TRUE/FALSE. Rivalry means that when one person buys and consumes a product, it is not available for purchase and consumption by another person.
Rivalry occurs when a product is unavailable to another person after being purchased and consumed by one person. TRUE.
When one person buys and eats a thing, it is not accessible for another person to buy and consume, which is referred to as rivalry (in consumption). Public products are excluded from inclusion, but not private goods. If it is not advantageous to do so, private goods will not be offered in a market that is competitive.
Private products are competitor and excludable. Apparel is an example of a private good since only one person may possess or use an article of clothing at a time, and certain persons are prohibited from wearing certain items.
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a journal entry for a sale of merchandise on account will result in all of the following: (check all that apply).
All of the answers to the question are thus applicable to the journal entry.
Credit to Merchandise InventoryCredit to SalesDebit to Accounts ReceivableA journal entry for a sale of merchandise on account will result in the following:
Debit to Accounts Receivable (since the sale is on account, meaning the customer will pay later)
Credit to Sales (since the company has made a sale)
Credit to Merchandise Inventory (since the inventory has been sold)
Debit to Cost of Goods Sold (since the cost of the sold inventory needs to be recognized as an expense)
All of the answers to the question are thus applicable to the journal entry.
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Full Question: A journal entry for a sale of merchandise on account will result in all of the following: (check all that apply).
Debit to Cost of Goods SoldCredit to Merchandise InventoryCredit to SalesDebit to Accounts Receivablesupermarkets such as kroger and safeway frequently use standard markup pricing, which is a pricing approach.
There is little doubt that typical markup pricing is used by supermarkets like Kroger and Safeway. Standard markup pricing is a common pricing method used by supermarkets and other retail businesses.
In order to calculate the selling price, a fixed percentage markup is added to the product's cost. The cost of the goods sold, operating costs, and the intended profit margin are normally all covered by this markup. The markup percentage may change depending on the product type, the level of competition, and consumer demand. This method is frequently employed since it is straightforward to compute and offers a constant profit margin. It might not always produce the best price plan for every product, though.
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