companies that engage in the global economy place even greater emphasis on . group of answer choices foreign language skills benefits strategic hrm talent mobility

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Answer 1

Companies that engage in the global economy place even greater emphasis on certain employees are singled out as "stars," others are anticipated to produce enormous financial returns. The correct answer is C. strategic hrm.

the business grooms particular employees to fill important jobs the practise of human resource management (HRM) includes all aspects of hiring, deploying, and managing employees.

HRM is frequently referred to as human resources (HR). A company's or organization's HR department is frequently in charge of developing, implementing, and overseeing the organization's policies regarding employees and the relationship between the company and its workforce. The term "human resources" was first used to describe all of a company's employees in the early 1900s. Later, in the 1960s, it became more widely accepted.

Complete question:

companies that engage in the global economy place even greater emphasis on . group of answer choices A. foreign language

B. skills benefits

C. strategic hrm

D. talent mobility

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Related Questions

if the market has 100 potential customers, of whom 50 are frail and 50 are robust, what is the insurance company's expected profit if the frail and robust each choose the option for their type and if we assume the company is risk neutral?

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If the market has 100 potential customers, of whom 50 are frail and 50 are robust, the insurance company's expected profit if the frail and robust each choose the option for their type, and we assume the company is risk-neutral, is zero.

In a risk-neutral world, the expected value of the insurance company's payout must be equal to the expected value of the policyholders' premiums. In this situation, if the company priced each plan to match the expected cost of each group of policyholders, the expected profit of the insurance company would be zero.

Since 50 of the potential customers are frail and 50 are robust, there are two possible outcomes:

50 frail people would select the frail policy, resulting in a loss of $150 per customer per year for the insurance company, or a loss of $7,500.50 healthy people would choose the robust policy, resulting in a gain of $150 per customer per year for the insurance company, or a gain of $7,500.

In this situation, the expected cost for the insurance company would be ($7,500 - $7,500)/100 = $0. As a result, the insurance company's anticipated profit is zero if the frail and robust each choose the option for their type, and if we assume the company is risk neutral.

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the contribution of an individual asset to the riskiness of a fully diversified portfolio depends primarily on which of the following? group of answer choices the covariance of the asset's return with the return on the riskless asset the variance of the asset's return the covariance of the asset's return with the return of the rest of the portfolio the skewness of the asset's return

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The contribution of an individual asset to the riskiness of a fully diversified portfolio depends primarily on the covariance of the asset's return with the return of the rest of the portfolio. The reason behind this is that a fully diversified portfolio aims to minimize the overall risk by combining assets with varying levels of risk and return.


Covariance is a measure of how two variables, in this case, the returns of an individual asset and the returns of the rest of the portfolio, change together. If the covariance is positive, it means that the asset's return tends to increase when the rest of the portfolio's return increases, making the portfolio riskier. Conversely, if the covariance is negative, it means that the asset's return tends to decrease when the rest of the portfolio's return increases, which helps in reducing the overall risk of the portfolio.



The other factors mentioned, such as the covariance with the riskless asset, the variance of the asset's return, and the skewness of the asset's return, are less relevant in determining the asset's contribution to a fully diversified portfolio's riskiness. The covariance with the riskless asset does not impact the overall risk because a riskless asset has no volatility. The variance of the asset's return is important for the individual asset's riskiness but does not provide information on how it interacts with other assets in the portfolio.

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in which accounting area(s) is an asset's estimated useful life determined by the taxpayer's assessment, rather than being predetermined based on asset type? multiple choice question. financial accounting only tax accounting only both financial and tax accounting

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The accounting area in which an asset's estimated useful life determined by the taxpayer's assessment, rather than being predetermined based on asset type is option (b)  Tax accounting only

In tax accounting, the taxpayer's assessment can be used to determine an asset's estimated useful life for depreciation purposes. This is because the tax code allows for taxpayers to use their own reasonable estimate of an asset's useful life, as long as it is supported by documentation and other evidence.

In contrast, financial accounting standards (such as GAAP in the United States) typically require the use of predetermined useful lives based on the type of asset, unless there is evidence to support a different estimate.

Therefore, the correct option is (b) Tax accounting only.

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the red zeppelin corporation has annual sales of $34 million. the average collection period is 28 days. what is the average investment in accounts receivable as shown on the balance sheet? assume 365 days per year.

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The average investment in accounts receivable for the Red Zeppelin Corporation is approximately $3,232,876.71.

We're given that the Red Zeppelin Corporation has annual sales of $34 million and an average collection period of 28 days. We're asked to find the average investment in accounts receivable, assuming 365 days per year.

To calculate the average investment in accounts receivable, we need to use the formula:

Average Accounts Receivable = (Total Annual Credit Sales / 365) x Average Collection Period

Using the numbers given in the question, we can plug them into the formula:

Average Accounts Receivable = ($34,000,000 / 365) x 28

Average Accounts Receivable = $3,232,876.71

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brandon owns a small hardware store. he is involved in a car accident that renders him totally disabled for half a year. which type of insurance would help him pay for expenses of the company during the time of his disability? a business overhead expense b workers compensation c buy-sell agreement d key person disability

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The type of insurance that would help Brandon pay for his company's expenses during his disability is Business Overhead Expense insurance.(A)

Business Overhead Expense (BOE) insurance provides financial assistance to cover business expenses, such as rent, utilities, and employee salaries, in the event that the business owner becomes disabled. This type of insurance helps ensure that the business can continue to operate while the owner is unable to work.

In Brandon's case, BOE insurance would be the most suitable option as it would cover the expenses of his hardware store during his disability period. Workers' compensation, buy-sell agreement, and key person disability insurance would not cover the company's expenses during his absence as they serve different purposes.

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using a benchmark pe ratio against current earnings yields a forecasted price called a blank price. multiple choice question. benchmark target future expected

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Using a benchmark P/E ratio against current earnings yields a forecasted price called a blank price.

The benchmark P/E ratio contrasts a company's P/E ratio with an average or market index. It is used to assess a stock's valuation in relation to its competitors or the market at large. One of the most popular methods for investors and analysts to estimate a stock's relative value is the price-to-earnings ratio (P/E).

It can also be used to compare a company to its own past performance or to compare overall markets over time or to one another. Investors can use the benchmark P/E ratio as a tool to assess the performance of various businesses operating in the same sector. The anticipated earnings per share (EPS) multiplied by the benchmark P/E ratio will yield the future predicted price.

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Complete question is:

Using a ____ P/E ratio against current earnings yields a forecasted price called a blank price. multiple choice question.

benchmark

target

future

expected

manufacturing creates large batches of standardized products used by electricians, such as wiring and switches that must be produced in standard sizes. a continuous production process would work well for klein manufacturing. group of answer choices true

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Manufacturing creates large batches of standardized products used by electricians, such as wiring and switches that must be produced in standard sizes. a continuous production process would work well for klein manufacturing.  true.

A continuous production process would work well for Klein Manufacturing because it is used to create standardized products, such as wiring and switches, in large batches. The continuous production process involves a continuous flow of materials and resources through the manufacturing process, with each stage of the process feeding into the next.

This process is often used in industries where large quantities of standardized products are required, as it allows for efficient and cost-effective production. The continuous production process is also well-suited for the production of products that must be produced in standard sizes, as it allows for precise control over the production process and the ability to produce consistent products.

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when describing recurring system jobs, the amount of time the crond daemon should wait before starting this job is referred to as:

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When describing recurring system jobs, the amount of time the cron daemon should wait before starting this job is referred to as system delay. option (D) is correct.

The system delay is determined in the crontab record as the fifth field in a cron work passage. It addresses the number of minutes the cron daemon ought to stand by before running the work.

A system can be worked with an innate deferral. Delays are units that cause a period shift in the information signal, however, they don't influence the sign qualities. An ideal postponement is a defer framework that doesn't influence the sign qualities by any means, and that postpones the sign for a precise measure of time.

Therefore, option (D) is correct.

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This question is not complete, Here I am attaching the complete question:

When describing recurring system jobs, the amount of time the crond daemon should wait before starting this job is referred to as:

(A) Referral time

(B) Delay in minutes

(C) Corn delay

(D) System delay

7 percent coupon bonds on the market that have 9 years left to maturity. the bonds make annual payments and have a par value of $1,000. if the ytm on these bonds is 8.4 percent, what is the current bond price?

Answers

The current price of a 7 percent coupon bonds on the market with 9 years left to maturity is $902.61.

To find the current bond price for the 7 percent coupon bonds with 9 years left to maturity, a par value of $1,000, annual payments, and a YTM of 8.4 percent, follow these steps:

1. Identify the variables:

- Coupon rate: 7%

- Time to maturity: 9 years

- Par value: $1,000

- YTM: 8.4%

2. Calculate the annual coupon payment:

Coupon payment = Coupon rate x Par value

Coupon payment = 0.07 x $1,000

Coupon payment = $70

3. Find the present value of each coupon payment and the present value of the par value at maturity:

PV = Coupon payment / (1 + YTM)^n

4. Sum up the present value of all coupon payments and the present value of the par value at maturity to find the current bond price.

The bond price can be calculated using the following formula:

Bond price = (C * (1 - (1 + YTM)^(-n))) / YTM + (Par value * (1 + YTM)^(-n))

where C = annual coupon payment, n = time to maturity, and YTM = yield to maturity.

Plugging in the values, we get:

Bond price = ($70 * (1 - (1 + 0.084)^(-9))) / 0.084 + ($1,000 * (1 + 0.084)^(-9))

Bond price ≈ $902.61

The current bond price for the 7 percent coupon bonds with 9 years left to maturity, annual payments, a par value of $1,000, and a YTM of 8.4 percent is approximately $902.61.

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the consumer price index is used to question 10 options: convert nominal gdp into real gdp. turn dollar figures into meaningful measures of purchasing power. characterize the types of goods and services that consumers purchase. measure the quantity of goods and services that the economy produces.

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The consumer price index is used to turn dollar figures into meaningful measures of purchasing power.

The Consumer Price Index (CPI) is a measure of the average variation in prices paid by consumers for consumer goods and services in a given economy over time.

The CPI is a broad market basket of consumer items used to determine how much of an individual's income is spent on specific goods and services.

The CPI is frequently utilized as a measure of inflation since it measures the rate of change in consumer prices over time.

Inflation rates are calculated by comparing CPI figures from two different points in time. To calculate the inflation rate, divide the difference between the two CPI figures by the earlier CPI and multiply by 100.

The consumer price index is used to turn dollar figures into meaningful measures of purchasing power.

What is the Consumer Price Index?

The consumer price index (CPI) is a metric that measures the cost of a basket of consumer products and services, including transportation, healthcare, education, and entertainment. It is calculated by dividing the total cost of the basket of goods by the total number of items in the basket.

The consumer price index (CPI) measures the price changes in consumer goods and services over time.

It assesses changes in the same set of consumer products and services over time, allowing economists to determine how much inflation or deflation has occurred over a specific period.

The consumer price index is used to turn dollar figures into meaningful measures of purchasing power.

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a perfectly competitive firm named delta is in the apple industry and is operating where marginal cost equals the price of apples. if the delta increases production, then revenue will:

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If the delta increases production, then revenue will the revenue of Delta will increase.

In a perfectly competitive market, the price is determined by the intersection of the demand and supply curve. Since Delta is operating where marginal cost equals the price of apples, it implies that the firm is already producing at the level where marginal revenue equals marginal cost.

If Delta increases its production, it can sell the additional output at the market price, which is equal to marginal revenue. Since marginal revenue is greater than marginal cost, the increase in production will lead to an increase in revenue for the firm.

In summary, the increase in production by Delta will result in an increase in revenue because the firm can sell the additional output at the market price, which is greater than the marginal cost of production.

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true economic profit and accounting profit both make use of explicit costs. a firm's explicit costs are always larger than its implicit costs. a firm's economic profit can be different from its accounting profit. implicit costs are related to a firm's opportunity costs. false the money that a firm spends on rent is an example of an implicit cost.

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The given statement "An economic profit and accounting profit both make use of explicit costs and a firm's explicit costs are always larger than its implicit costs. A firm's economic profit can be different from its accounting profit. implicit costs are related to a firm's opportunity costs. And the money that a firm spends on rent is an example of an implicit cost." is true because the role of explicit and implicit costs, is important for making informed business decisions.

Firstly, let's define what we mean by profit. Profit is the amount of money that a business earns after deducting all costs.

Now, let's discuss the difference between economic profit and accounting profit. Accounting profit is the total revenue a firm generates minus the explicit costs it incurs. Explicit costs are costs that can be easily identified and measured, such as rent, salaries, and utilities.

It is important to note that a firm's economic profit can be different from its accounting profit. This is because economic profit takes into account all costs, including implicit costs.

Implicit costs are related to a firm's opportunity costs. Opportunity cost refers to the cost of choosing one option over another.

Lastly, it is true that the money a firm spends on rent is an example of an implicit cost. This is because the opportunity cost of renting a space is the potential profit that could have been generated if the firm had used that money to invest in other areas of the business.

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Complete Question:

True or false.: An economic profit and accounting profit both make use of explicit costs and a firm's explicit costs are always larger than its implicit costs. A firm's economic profit can be different from its accounting profit. implicit costs are related to a firm's opportunity costs. And the money that a firm spends on rent is an example of an implicit cost.

the manager of abc, inc decides to order the same number of widgets this year as last year. the manager has made a(n) decision. group of answer choices regular structured centralized gut informed

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The manager of ABC, Inc. decides to order the same number of widgets this year as last year. The manager has made a regular decision (option A).

Regular decision-making is a process in which the decision-maker has a clear understanding of the problem, as well as the potential solutions, and makes a decision based on facts and analysis. When there are no time constraints or other pressing circumstances, this type of decision-making occurs.

Because it is rational and systematic, this is the most frequent type of decision-making. As a result, the manager of ABC, Inc. has made a regular decision when he or she has decided to order the same number of widgets this year as last year.

Correct answer is option A.

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phoenix agency leases office space. on january 3, phoenix incurs $71,400 to improve the leased office space. these improvements are expected to yield benefits for 8 years. phoenix has 6 years remaining on its lease. compute the amount of amortization expense that should be recorded the first year related to the improvements.

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The amount of amortization expense that should be recorded in the first year related to the improvements is $6,694.

The amount of amortization expense that should be recorded in the first year related to the improvements can be calculated using the straight-line method.

First, we need to calculate the total cost of the improvements that will be amortized over the 8-year useful life. This is calculated as:

Total cost of improvements = $71,400

Next, we need to calculate the annual amortization expense by dividing the total cost of the improvements by the useful life. This is calculated as:

Annual amortization expense = Total cost of improvements / Useful life

Annual amortization expense = $71,400 / 8 = $8,925

Since Phoenix has 6 years remaining on its lease, the amount of amortization expense that should be recorded in the first year related to the improvements is the portion of the annual amortization expense that relates to the first year of the 8-year useful life. This is calculated as:

Amortization expense in year 1 = Annual amortization expense x (remaining useful life / useful life)

Amortization expense in year 1 = $8,925 x (6/8) = $6,694

Therefore, the amount of amortization expense that should be recorded in the first year related to the improvements is $6,694.

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which one of the following requires the registration of mutual funds that engage in investing and trading in securities? group of answer choices the foreign corrupt practices act of 1977. the securities exchange act of 1934. the sarbanes-oxley act of 2002. the investment company act of 1940. the securities act of 1933.

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The Investment Company Act of 1940 requires the registration of mutual funds that engage in investing and trading in securities.

The Investment Company Act of 1940 regulates mutual funds, their advisers, and their distributor companies. This law was enacted to protect the interests of mutual fund investors by regulating and overseeing the activities of mutual fund companies. The act established the SEC's role as a regulator of mutual funds and set standards for their structure, governance, and operations.

The Investment Company Act of 1940 requires the registration of mutual funds that engage in investing and trading in securities. The act requires investment companies, such as mutual funds, to register with the SEC and to disclose significant details about their operations to their investors.

This allows investors to make informed decisions about whether or not to invest in a particular mutual fund. The act also sets standards for the conduct of mutual fund directors, advisers, and other service providers.

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a company that digitally routes prescription information from the pharmacy management software to the third-party payor for payment is...

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The company that digitally routes prescription information from the pharmacy management software to the third-party payor for payment is a Pharmacy Benefit Manager (PBM)

The company you are describing is commonly known as a Pharmacy Benefit Manager (PBM). PBMs act as intermediaries between pharmacies, health insurance companies, and drug manufacturers. They handle prescription drug claims processing and adjudication, including routing prescription information from the pharmacy management software to the third-party payor for payment.

PBMs also negotiate drug pricing with manufacturers, manage formularies, and provide other services related to the management of prescription drug benefits. Some examples of PBMs include Express Scripts, CVS Caremark, and OptumRx.

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a company budgets overhead cost of $8,538,500 for the next year. the company uses machine hours as its overhead allocation base. if 430,000 machine hours are planned for the next year, what is the company's plantwide overhead rate?

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The company's plantwide overhead rate, based on budgets overhead cost and machine hours as its overhead allocation base is $19.86 per machine hour.

The company's plantwide overhead rate can be calculated by dividing the total budgeted overhead cost by the total planned machine hours.

Determine the company's plantwide overhead rate as follows:

1. Identify the total budgeted overhead cost: $8,538,500

2. Identify the total planned machine hours: 430,000 hours

3. Calculate the plantwide overhead rate:

Budgeted Overhead Cost / Total Machine Hours

Using the given numbers:

Plantwide Overhead Rate = $8,538,500 / 430,000

Plantwide Overhead Rate = $19.8558 (rounded)

So, the company's plantwide overhead rate is approximately $19.86 per machine hour.

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when terri began her first managerial job, she tried the authoritarian style. she believed she could accomplish more that way, but later she could not say whether it actually worked. she then tried the entrepreneurial style because one of her best managers had used it successfully. she, however, found it a bit awkward. now, with a different group of subordinates, she is trying the democratic style, with some success. what concluding remark would you make about the different leadership styles that terri has tried?

Answers

In a concluding remark would you make about the different leadership styles that Terri has tried because of the authoritarian style is ineffective.

(option c).

In the case of Terri, she experimented with different leadership styles, including the authoritarian, entrepreneurial, and democratic styles. While she found success with the democratic style, it does not necessarily mean that this is the most effective style in all situations.

The authoritarian style may work in situations where the team needs direction and guidance, while the entrepreneurial style may work in situations that require innovation and risk-taking. The democratic style may work best in situations where the team needs to be motivated and feel empowered to make decisions.

In summary, effective leadership involves adapting to the situation, the team, and the leader's preferences. No one leadership style is superior to the others, and the most effective style depends on the interaction of subordinates, the characteristics of the work situation, and the manager's preference.

Hence the correct option is (c).

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Complete Question:

When Terri began her first managerial job, she tried the authoritarian style. She believed she could accomplish more that way, but later she could not say whether it actually worked. She then tried the entrepreneurial style because one of her best managers had used it successfully. She, however, found it a bit awkward. Now, with a different group of subordinates, she is trying the democratic style, with some success. What concluding remark would you make about the different leadership styles that Terri has tried?

A) The democratic leadership style is most effective even though it may be more time-consuming.

B) The entrepreneurial style should not be used.

C) The authoritarian style is ineffective.

D) The style that is most effective depends on the interaction of subordinates, the characteristics of the work situation, and the manager's preference.

E) The participative style is ineffective in most situations.

which type of underwriting arrangement is the riskiest to the underwriter? a. a best efforts agreement. b. a private placement. c. a firm commitment. d. a standby underwriting.

Answers

The riskiest type of underwriting arrangement to the underwriter is a firm commitment (option C).

In a firm commitment, the underwriter agrees to buy the entire issue of securities from the issuer and then resell them to the public. The underwriter bears the risk of not being able to sell the securities at the agreed-upon price, as they have committed to purchasing the entire issue. If the underwriter cannot sell all the securities, they may suffer a loss.In contrast, a best efforts agreement (option A) is less risky for the underwriter, as they only commit to selling as many securities as possible, with no guarantee of selling the entire issue. If the underwriter cannot sell all the securities, they can return the unsold portion to the issuer without incurring a loss.
A private placement (option B) also presents less risk to the underwriter, as it involves selling securities directly to a select group of investors, often institutional investors, rather than to the general public. This type of arrangement typically has a higher success rate of selling the securities.A standby underwriting (option D) is similar to a best efforts agreement but with a slight twist. In this arrangement, the underwriter agrees to purchase any unsold securities after a specified period, but only up to a certain amount. This type of underwriting exposes the underwriter to some risk, but not as much as a firm commitment.
In summary, a firm commitment (option C) is the riskiest type of underwriting arrangement for the underwriter, as they bear the full risk of not being able to sell the securities at the agreed-upon price and may incur a loss if the securities remain unsold.

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according to the concept of comparative advantage, specialization and trade between two countries will benefit:

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According to the concept of comparative advantage, specialization and trade between two countries will benefit both countries.

This theory proposes that each country should specialize in producing goods and services that it can produce at a lower opportunity cost compared to other countries. By doing so, each country can trade with other countries and obtain goods and services that it cannot produce efficiently. Specialization and trade allow countries to achieve higher levels of economic efficiency, resulting in increased productivity and economic growth. In addition, trade promotes international cooperation and fosters cultural exchange, contributing to greater global welfare. Comparative advantage theory serves as the basis for international trade and underscores the importance of specialization and cooperation in achieving economic success.

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the economic or protective potential of employee experience, actions, and knowledge is referred to as . multiple choice question. human capital reimbursement worker skill employee development

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The economic or protective potential of employee experience, actions, and knowledge is referred to as human capital.

The economic value of a worker's experience and abilities is referred to as human capital. Employers respect traits like loyalty and punctuality as well as assets like education, training, intelligence, skills, and physical and mental health.

Since it cannot be mentioned on a company's balance sheet, it is an intangible asset or quality. It is believed that investing in human capital will improve profitability and productivity. The likelihood of a company's productivity and success increases with the amount of investment it makes in its workers.

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whitney received $75,700 of taxable income in 2022. all of the income was salary from her employer. what is her income tax liability in each of the following alternative situations? use tax rate schedule for reference. note: do not round intermediate calculations. required: she files under the single filing status. she files a joint tax return with her spouse. together their taxable income is $75,700. she is married but files a separate tax return. her taxable income is $75,700. she files as a head of household.

Answers

Certain taxpayers must compute their tax burden twice, once under standard income tax regulations and once under the Alternative Minimum Tax (AMT), a different tax scheme.

How is income tax calculated?

It is equal to your annual gross income less any allowable deductions and exemptions. You'll use the amount of your salary, tips, and other compensation found in box 1 of Form W-2 to determine your taxable income when completing your Form 1040 to pay taxes.

Does alternative minimum tax come from abroad?

The AMT foreign tax credit is comparable to the foreign tax credit for regular income tax purposes, with the exception that it is only applicable to foreign tax on foreign source AMTI rather than foreign tax on normal taxable income.

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your firm has just issued five-year floating-rate notes indexed to six-month u.s. dollar libor plus 1/4 percent. what is the amount of the first coupon payment your firm will pay per $1,000 of face value, if six-month libor is currently 8.1 percent? (round your answer to 2 decimal places.)

Answers

Therefore, the amount of the first coupon payment your firm will pay per $1,000 of face value is $43.03 (rounded to 2 decimal places).Given that the floating-rate note is indexed to the six-month U.S. dollar LIBOR rate plus 1/4 percent.

The first coupon payment can be calculated as: Coupon payment = (Face value x (Six-month LIBOR + 0.25%)) / 2.where Face value is $1,000.Substituting the given values, we get:Coupon payment = ($1,000 x (8.1% + 0.25%)) / 2.Coupon payment = $43.03.Therefore, the amount of the first coupon payment your firm will pay per $1,000 of face value is $43.03 (rounded to 2 decimal places).Given that the floating-rate note is indexed to the six-month U.S. dollar LIBOR rate plus 1/4 percent.

The LIBOR rate is 8.1 percent. The first coupon payment can be calculated as follows:First, we need to calculate the semi-annual LIBOR rate:LIBOR = 8.1% / 2LIBOR = 4.05%The semi-annual coupon payment can be calculated using the formula:Coupon payment = Face value x Semi-annual coupon rateCoupon payment = $1,000 x (4.05% + 1/4%)Coupon payment = $1,000 x (4.30%)Coupon payment = $43.

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risk insurance inc. has a board of five directors. risk's bylaws do not state any quorum requirements. in most states, a quorum for its board meetings would be

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If Risk Insurance Inc. has a board of 5 directors and Risk’s bylaws do not state any quorum requirements, then in most states, a quorum for Risk’s board meetings is (a) three directors.

The "Board-Meeting" is defined as a formal meeting of the members of a board of directors, usually held to discuss and make decisions on matters related to the organization or company they oversee.

These meetings are an essential part of corporate governance, and they provide a platform for directors to exercise their fiduciary duties to the organization and its stakeholders.

In this case, Risk Insurance Inc. has a board of three directors, so a majority would be five directors.

To conduct a valid board meeting, at least "three-directors" would need to be present or participate in the meeting (such as by phone or video conference) to establish a quorum.

Therefore, the correct option is (a)

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The given question is incomplete, the complete question is

Risk Insurance Inc. has a board of five directors. Risk’s bylaws do not state any quorum requirements. As in most states, a quorum for Risk’s board meetings is:

(a) three directors.

(b) five directors.

(c) one director.

(d) all of the directors.

the board of directors makes a commitment that a portion of retained earnings is unavailable for dividends which is called a.limited capital. b.an appropriation. c.a hold on earnings. d.a prior period adjustment.

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The board of directors makes a commitment that a portion of retained earnings is unavailable for dividends, which is called b. an appropriation.

An appropriation, in finance and accounting, is the act of setting aside or earmarking funds for a specific purpose.

In the context of a corporation, an appropriation usually refers to a portion of retained earnings that is set aside by the board of directors for a specific purpose, such as reinvestment in the business or to finance future expansion.

One common type of appropriation is a dividend appropriation, where the board of directors makes a commitment that a portion of retained earnings will not be paid out as dividends to shareholders.

This can be done for a variety of reasons, such as to retain earnings for reinvestment in the business, to pay off debt, or to prepare for potential future financial difficulties.

The dividend appropriation is typically recorded as a separate line item on the balance sheet under "retained earnings."

This ensures that the funds set aside for the appropriation are not included in the calculation of the company's available earnings for the purpose of calculating dividend payouts to shareholders.

It's worth noting that an appropriation is not a guarantee that the funds will be used for the specified purpose. The board of directors has the authority to change the appropriation if circumstances change or if the funds are needed for other purposes.

However, any changes to the appropriation must be approved by the board and recorded in the company's financial statements.

In summary, an appropriation is a commitment by a corporation to set aside funds for a specific purpose. A dividend appropriation is a common type of appropriation in which a portion of retained earnings is set aside by the board of directors and made unavailable for dividends to shareholders.

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individuals or organizations that can influence or be influenced by decisions of the company, possibly through family ties or investment relationships are called

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Individuals or organizations that can influence or be influenced by decisions of the company, possibly through family ties or investment relationships are called "stakeholders".

The stakeholders can include a wide range of groups such as customers, employees, shareholders, suppliers, creditors, government agencies, and local communities, among others.

It is important for companies to identify their stakeholders and consider their interests and needs when making business decisions, as this can help build trust and enhance long-term relationships with these groups.

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ricardo is an economist who believes that short-run changes in aggregate demand affect aggregate output as well as the price level. he believes that there is a role for monetary policy in managing the economy, but he advocates a simple monetary rule that would increase the money supply at a constant rate to grow the economy. ricardo is best described as a . a keynesian economist b new classical economist c rational expectations economist. d monetarist e supply-side economist

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The best description of Ricardo is d) monetarist.

Based on the information provided, Ricardo's belief that short-run changes in aggregate demand affect aggregate output as well as the price level suggests that he is not a supply-side economist.

Furthermore, his advocacy for a simple monetary rule to manage the economy suggests that he is not a Keynesian economist, who tend to favor discretionary fiscal policy.

Ricardo's belief that the money supply should be increased at a constant rate to grow the economy aligns with the ideas of monetarists, who emphasize the role of monetary policy in managing the economy.

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firms following a global strategy strive to offer products and services as well as locate manufacturing, research and development, and marketing activities in a limited number of locations. group of answer choices widely differentiated more expensive local internationally differentiated standardized

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Firms following a global strategy strive to offer standardized products and services as well as locate manufacturing, and marketing activities in a limited number of locations. Correct option is E.

Firms following a global strategy aim to achieve economies of scale by standardizing their products and services across different countries, and locating their manufacturing, research and development, and marketing activities in a limited number of locations.

This approach allows them to reduce costs and increase efficiency by exploiting similarities in customer needs, production processes, and distribution channels across different regions.

By standardizing their products and services, global firms can achieve consistency in quality, branding, and customer experience, which can enhance their reputation and competitiveness in global markets.

At the same time, they need to be sensitive to local market conditions and adapt their products and services to meet local customer needs and preferences.

Thus, while global firms seek to standardize their operations across different regions, they also need to be flexible and responsive to local market demands in order to succeed in global markets.

Therefore, Correct option is E.

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all of the following are successful fasb-iasb convergence projects except group of answer choices fair value measurement. revenue recognition. leases. income taxes. business combinations.

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All of the following are successful FASB-IASB convergence projects except. e) business combinations."

The Financial Accounting Standards Board (FASB) and the International Accounting Standards Board (IASB) have been working together to converge their standards to establish a single set of high-quality accounting standards.

The projects that have been successful include fair value measurement, revenue recognition, leases, and income taxes. However, the business combinations project was not successful as the two boards could not come to a consensus on the appropriate accounting treatment. As a result, the FASB and the IASB issued separate standards for business combinations.

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snowcap industries may need to purchase a new snow scraper machine before the winter season for $275,000. the managerial accountant reported that the snow scraper machine has a useful life of 5 years and a residual value of $75,000. the annual depreciation expense of the machine is computed using the straight-line depreciation expense method. the net cash inflows the managerial accountant expects from the investment include:

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The net cash inflows the managerial accountant expects from the investment include $360,000

The net cash inflows that Snowcap Industries can expect from the investment in a new snow scraper machine can be calculated by taking into account the annual depreciation expense and the expected cash flows generated by the machine over its useful life.

Using the straight-line depreciation method, the annual depreciation expense can be calculated by subtracting the residual value from the initial cost of the machine and dividing by the useful life. In this case, the annual depreciation expense would be ($275,000 - $75,000) / 5 = $40,000 per year.

The expected cash flows generated by the machine will depend on factors such as the amount of snowfall in the area, the efficiency of the machine, and the pricing strategy used by Snowcap Industries.

However, assuming that the machine will generate a net cash inflow of $100,000 per year, the total net cash inflows for the useful life of the machine would be $400,000 ($100,000 x 4 years, as the residual value of $75,000 is not a cash inflow).

Therefore, the net cash inflows that the managerial accountant expects from the investment in the new snow scraper machine would be $360,000 ($40,000 annual depreciation expense x 5 years + $400,000 expected cash inflows - $75,000 residual value).

This information can be used to evaluate the financial feasibility of the investment and make an informed decision.

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