Teams that make or do things like manufacture, assemble, sell, or provide service are called ____

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Answer 1

Teams that make or do things like manufacture, assemble, sell, or provide service are called operational teams.

Operational teams are groups of individuals who work together to carry out specific tasks or activities related to production, assembly, sales, or service provision. These teams are responsible for executing the core operations of a business or organization. Operational teams are commonly found in various industries and sectors, including manufacturing, retail, healthcare, hospitality, and many others. They are typically involved in the day-to-day operations and processes that contribute to the delivery of products or services.

For example, in a manufacturing company, operational teams may include production teams responsible for manufacturing and assembling products, sales teams involved in selling the manufactured goods, and service teams providing after-sales support and maintenance services. The purpose of operational teams is to ensure the smooth functioning and execution of core business activities. By working collaboratively and leveraging their specialized skills, these teams contribute to the overall success and effectiveness of the organization's operations.

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TRUE OR FALSE miles is an accountant and works for a firm that provides tax planning and preparation services to other businesses. miles is a management accountant.

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False, Miles is not a management accountant.

Based on the information provided, Miles works for a firm that provides tax planning and preparation services to other businesses. This indicates that Miles is involved in the field of taxation rather than management accounting.

Management accounting focuses on providing financial information and analysis to assist with managerial decision-making within an organization. It involves tasks such as budgeting, cost analysis, performance evaluation, and strategic planning.

However, Miles' role as an accountant in a firm that specializes in tax planning and preparation suggests that his responsibilities are primarily related to tax compliance, tax regulations, and assisting businesses in optimizing their tax positions.

While tax planning and management accounting are both aspects of accounting, they involve different areas of specialization and have distinct focuses. Therefore, Miles would be considered a tax accountant rather than a management accountant.

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FILL IN THE BLANK some entrepreneurs may spot an ____________ opportunity while studying abroad when a product available at home is not available where they are studying.

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Some entrepreneurs may spot an entrepreneurial opportunity while studying abroad when a product available at home is not available where they are studying.

When studying abroad, entrepreneurs may come across a situation where a product or service that is commonly available in their home country is not accessible or readily available in the foreign location.

This creates a gap in the market, which can be seen as an entrepreneurial opportunity. Entrepreneurs who recognize this gap can identify the potential to introduce and provide the product or service in the foreign market.

Studying abroad provides entrepreneurs with a unique perspective as they are exposed to different cultures, consumer preferences, and market dynamics. They may observe a demand for a particular product that is not being fulfilled in the local market.

Recognizing this unmet need, entrepreneurs can leverage their knowledge and understanding of the product from their home country to introduce it to the foreign market, catering to the demand and filling the gap.

These entrepreneurial opportunities that arise while studying abroad often stem from the entrepreneur's ability to identify a specific product or service that has a potential customer base but is not currently available in the foreign market.

By capitalizing on this gap, entrepreneurs can create innovative solutions and tap into a new market, potentially leading to business success.

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the gates in the stage-gate approach to product development include the following except a. market review b. business review c. concept screening d. idea generation e. idea screening

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The gates in the stage-gate approach to product development include the following except idea generation. Idea generation is a part of the process but not a gate itself so the correct answer is option (d).

The stage-gate approach to product development consists of a series of predefined stages and gates that a new product idea must pass through in order to reach the market. The primary purpose of this approach is to manage the risks associated with new product development and ensure that only the most promising ideas are pursued. The gates serve as checkpoints where the progress of the project is reviewed, and a decision is made whether to continue to the next stage or to terminate the project.

The gates in the stage-gate approach typically include market review, business review, concept screening, and idea screening. Market review involves assessing the potential market for the product, as well as analyzing competition and customer needs. Business review evaluates the project's financial feasibility, expected profitability, and alignment with the company's strategic goals. Concept screening assesses the technical feasibility of the product, while idea screening filters out the less promising ideas to focus on the most viable ones.

Idea generation, on the other hand, is the process of coming up with new product ideas and is usually the first step in the product development process. It is not considered a gate because it occurs before the stage-gate approach is applied to filter and refine the ideas generated.

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1) if mpc is 0.6 and mpm is 0.10, then the open economy multiplier is ______. 11) ______ a) 0.50 b) 1.35 c) 2.00 d) 2.50

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The open economy multiplier is 2.00.

What is the value of the open economy multiplier when the MPC is 0.6 and the MPM is 0.10?

In an open economy, the multiplier effect measures how changes in autonomous spending impact the overall output. The formula for the open economy multiplier is given by the equation: Multiplier = 1 / (1 - MPC + MPM). In this case, the marginal propensity to consume (MPC) is 0.6 and the marginal propensity to import (MPM) is 0.10. Plugging in these values, we can calculate the multiplier: Multiplier = 1 / (1 - 0.6 + 0.10) = 1 / 0.50 = 2.00.

By considering both factors, the open economy multiplier captures the combined impact of domestic consumption and international trade on the economy

.

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So-called fallen angels differ from junk bonds in thatjunk bonds refer to newly issued bonds with low credit ratings, whereas fallen angels refer to previously issued bonds which have had their credit ratings fall below investment grade.junk bonds refer to previously issued bonds which have had their credit ratings fall below Baa, whereas fallen angels refer to newly issued bonds with low credit ratings.junk bonds have ratings below Baa, whereas fallen angels have ratings below C.fallen angels have ratings below Baa, whereas junk bonds have ratings below C.

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So-called fallen angels differ from junk bonds in that junk bonds refer to newly issued bonds with low credit ratings, whereas fallen angels refer to previously issued bonds which have had their credit ratings fall below investment grade. Therefore, the correct option is A.

The reasoning behind this is that junk bonds are bonds that are issued with a low credit rating from the start, meaning they are considered to be high-risk investments. On the other hand, fallen angels are bonds that were initially issued with an investment-grade rating, but have since experienced a downgrade in their credit rating due to various factors such as financial difficulties faced by the issuing company. As a result, fallen angels transition from being considered relatively safe investments to becoming high-risk investments, similar to junk bonds.

Hence, the correct answer is option A:  junk bonds refer to newly issued bonds with low credit ratings, whereas fallen angels refer to previously issued bonds which have had their credit ratings fall below investment grade.

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A grant of authority by a shareholder allowing another individual to vote his or her shares is known as absentee voting. O True O False

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To answer your question, a grant of authority by a shareholder allowing another individual to vote his or her shares is known as proxy voting, not absentee voting. Therefore, the statement is False.

Step-by-step explanation:
1. The question asks if the given scenario is known as absentee voting.
2. The scenario involves a shareholder granting authority to another person to vote on their behalf.
3. This type of voting is called proxy voting, where a shareholder designates someone else to cast votes on their behalf.
4. Absentee voting refers to voting by someone who cannot physically attend a voting event, usually in the context of political elections.
5. As the scenario describes proxy voting and not absentee voting, the correct answer is False.

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___________control is a type of control that tends to be most widely used in small firms.

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Personal control is a type of control that tends to be most widely used in small firms.

A type of corporation, partnership, or sole proprietorship that employs fewer people and/or generates less revenue annually than a typical-sized business is considered a small business. Organizations are characterized as "little" as far as having the option to apply for government support and fit the bill for particular duty strategy.

The qualifications differ by nation and industry. According to the Australian Fair Work Act of 2009, a small business can have as few as fifteen employees, fifty employees according to the European Union's definition, or fewer than five hundred employees in order to be eligible for numerous programs offered by the U.S. Small Business Administration.

The number of employees is one of the most common metrics used to classify small businesses, although other criteria like annual revenues, shipments, sales, assets, annual gross, net revenue, and net profits can also be used.

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True/False: The purchasing power of future dollars is determined by first using the market interest rate is to calculate F and then deflating the future amount through division by (1+1).

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False. The statement is false because the correct formula to calculate the future purchasing power of dollars involves using the real interest rate and inflation rate, not the market interest rate.

The purchasing power of future dollars is determined by first using the market interest rate to calculate F and then deflating the future amount through division by (1+i)^n, where "i" is the market interest rate and "n" is the number of years in the future. The formula is Present Value = Future Value / (1+i)^n. This takes into account the time value of money and the impact of inflation on the purchasing power of future dollars.

The correct formula to determine future purchasing power is Future Value = Present Value * (1 + real interest rate)^n, where n is the number of periods. To find the real interest rate, you can use the Fisher equation: (1 + nominal interest rate) = (1 + real interest rate) * (1 + inflation rate).

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megamart provides the following information on its two investment centers. investment center sales income average assets electronics $ 45,000,000 $ 3,420,000 $ 18,000,000 sporting goods 25,200,000 2,520,000 14,000,000 exercise 22-10 (algo) computing return on investment and residual income; investing decision lo a1 1. compute return on investment for each center. using return on investment, which center is most efficient at using assets to generate income? 2. assume a target income of 11% of average assets. compute residual income for each center. which center generated the most residual income? 3. assume the electronics center is presented with a new investment opportunity that will yield a 15% return on investment. should the new investment opportunity be accepted? the target return is 11%.

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Since the new ROI is higher than the target ROI, the Electronics center should accept the new investment opportunity as it is expected to generate a return that exceeds the target return.

To compute the return on investment for each center, we divide the income by the average assets:

Electronics: $3,420,000 ÷ $18,000,000 = 0.19 or 19%

Sporting goods: $2,520,000 ÷ $14,000,000 = 0.18 or 18%

Based on return on investment, the Electronics center is more efficient at using assets to generate income since it has a higher ROI of 19%.

To compute the residual income for each center, we first need to calculate the target income. The target income is 11% of the average assets:

Electronics: $18,000,000 × 0.11 = $1,980,000

Sporting goods: $14,000,000 × 0.11 = $1,540,000

To calculate residual income, we subtract the target income from the actual income:

Electronics: $3,420,000 - $1,980,000 = $1,440,000

Sporting goods: $2,520,000 - $1,540,000 = $980,000

Based on residual income, the Electronics center generated the most residual income at $1,440,000.

To determine whether the Electronics center should accept the new investment opportunity, we compare the new ROI to the target ROI of 11%:

New investment opportunity: 15%

Target ROI: 11%

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suppose you are using the limit method to determine the asymptotic relationship between two functions.

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The asymptotic relationship between two functions can be determined using the limit method.

How can the limit method determine the asymptotic relationship between two functions?

The limit method is a powerful tool used to determine the asymptotic relationship between two functions. It involves evaluating the limit of the quotient of the two functions as the input approaches a certain value, typically infinity. The main idea is to study how the functions behave in the long run and determine which one grows faster or dominates the other. By analyzing the limit, we can determine if the functions are asymptotically equivalent, if one function is asymptotically larger than the other, or if they have different growth rates altogether.

To delve deeper into the limit method and its applications in determining asymptotic relationships between functions, one can explore mathematical analysis textbooks or online resources that cover the topic. Understanding the limit concept and its behavior is crucial for accurately assessing the growth rates of functions and their relative behaviors as the input approaches certain values.

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in making a capital budgeting decision, one needs to compare cash flows in terms of _____

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In making a capital budgeting decision, one needs to compare cash flows in terms of their timing and amount.

When evaluating capital budgeting decisions, it is essential to analyze the cash flows associated with each investment option. Cash flows refer to the inflows and outflows of cash that occur as a result of the investment. By comparing cash flows, decision-makers can assess the profitability and viability of different investment projects.

The timing of cash flows is crucial because money received or spent at different points in time has different values. Cash flows that occur earlier are generally more valuable than those that occur later due to the time value of money. Therefore, it is necessary to consider the timing of cash inflows and outflows to evaluate the profitability and financial attractiveness of investment alternatives accurately.

Additionally, the amount of cash flows is another critical factor. Decision-makers need to assess the magnitude of the cash inflows and outflows associated with each investment option. By comparing the amounts, they can determine the potential returns and costs of each investment, which aids in determining the profitability and financial feasibility of the projects.

When making capital budgeting decisions, comparing cash flows in terms of their timing and amount is essential. The timing of cash flows accounts for the time value of money, while the amount of cash flows helps determine the potential returns and costs associated with each investment option. Analyzing these factors allows decision-makers to assess the profitability and financial attractiveness of investment projects accurately.

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Application Case 3.2 BP Lubricants Achieves BIGS Success Questions for Discussion
1. What is BIGS?
2. What were the challenges, the proposed solution, and the obtained results with BIGS?

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BIGS stands for Business Intelligence and Global Sourcing. It is a program created by BP Lubricants that aimed to consolidate and streamline their procurement processes globally.

One of the primary challenges that BP Lubricants faced was the lack of transparency and standardization in their procurement processes. This was particularly true in regions where the company had a decentralized procurement model. As a result, there was a lack of visibility into supplier performance, supplier spending, and contract compliance.

To address these challenges, BP Lubricants developed the BIGS program, which involved consolidating its procurement operations into a single global procurement function. The company also implemented a new procurement technology platform to manage its procurement processes globally. This platform provided greater visibility into supplier performance and spending, as well as enhanced analytics capabilities.

The results obtained from the BIGS program were impressive. The company was able to reduce procurement costs by over $100 million per year and achieved a 90% compliance rate with its new procurement policies. Additionally, the program led to improved supplier performance and greater transparency in supplier relationships, which helped to improve the overall performance of the company.

In conclusion, the BIGS program was a significant success for BP Lubricants. It allowed them to overcome many of the challenges they faced with their procurement processes and helped them to achieve significant cost savings and improved supplier performance. By leveraging technology and adopting a more centralized procurement approach, BP Lubricants was able to create a more efficient and effective procurement function that was better able to support the company's strategic objectives.

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what is one of the characteristics that needs to be emphasized in order to maintain, build, or repair your credibility when it comes to writing business messages?

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One of the characteristics that needs to be emphasized in order to maintain, build, or repair credibility when it comes to writing business messages is transparency.

Transparency is a key characteristic that plays a vital role in establishing and maintaining credibility in business communication. When writing business messages, being transparent means being open, honest, and forthcoming with information. It involves providing accurate and relevant details, avoiding misleading or deceptive statements, and being accountable for the information shared.

Transparency is crucial because it helps to build trust and credibility among the audience. When individuals perceive a writer as transparent, they are more likely to believe and rely on the information presented. Transparency fosters an atmosphere of openness, integrity, and authenticity, which are essential elements for effective communication.

In business communication, transparency can be demonstrated by clearly stating the purpose and objectives of the message, providing supporting evidence or data, acknowledging any limitations or potential biases, and addressing any potential conflicts of interest. It is important to be transparent about the sources of information, the methodology used, and any potential risks or uncertainties associated with the message.

By emphasizing transparency in writing business messages, individuals can establish themselves as credible communicators, enhance their reputation, and effectively engage with their audience.

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Complete the flow diagram, using the information from above Just as in the Miyaoka simulation, every job leaves Station 2 the first time and goes to Station 3. Station 3 jobs return to Station 2 and get in line at the queue for Station 2 (see arrow from Station 3). When those jobs that had already completed Station 3 finish at Station 2 they exit Assume there are no material stockouts Materials

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The flow diagram depicts the sequential movement of jobs between Station 2 and Station 3, with jobs returning to Station 2 after Station 3 and exiting the system once their processing is complete.The flow diagram consists of two stations, Station 2 and Station 3, with a queue for Station 2.

Jobs move from Station 2 to Station 3 and then return to Station 2. Once jobs complete Station 3, they exit the system. The diagram assumes no material stockouts. In the flow diagram, Station 2 is the starting point for jobs. From Station 2, jobs move to Station 3, as indicated by an arrow. After completing Station 3, the jobs return to Station 2 and join the queue for Station 2. This signifies that there is a waiting line for jobs to be processed at Station 2 after going through Station 3. When jobs that have finished Station 3 reach the front of the queue at Station 2, they exit the system. This implies that once a job has completed its processing at both Station 2 and Station 3, it leaves the system without returning.

The flow diagram assumes that there are no material stockouts, meaning that the necessary materials are always available for processing at both stations. This assumption ensures a smooth flow of jobs through the system without delays or interruptions due to material shortages.

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mr wilson invested money in 2 accounts. his total investment was 40,000

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Mr. Wilson invested his money in 2 different accounts, and the total investment he made was $40,000. This means that he split his investment between the two accounts, and he likely did so for a variety of reasons.

One reason why someone might choose to split their investment between multiple accounts is to diversify their portfolio. By investing in more than one account, Mr. Wilson may have been able to spread his risk and avoid having all of his eggs in one basket.

For example, he may have invested some of his money in a savings account with a lower rate of return but a lower level of risk, while also putting some of his money into a higher-risk, higher-reward investment like stocks or mutual funds.

Another possible reason why Mr. Wilson chose to invest in 2 different accounts is to take advantage of different interest rates or other financial incentives.

For example, he may have opened one account with a bank that offered a higher interest rate for larger deposits, while also investing some of his money in a different account that offered other perks like cashback rewards or bonus points.

Overall, the decision to split an investment between multiple accounts is a personal one that will depend on a variety of factors, including the investor's goals, risk tolerance, and financial situation.

However, by diversifying his investments and taking advantage of different financial incentives, Mr. Wilson was likely able to make the most of his $40,000 investment and achieve his financial goals.

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the british pound trades at $1.4938 in london and $1.4868 in new york. how much profit could you earn on each trade with $10,000?

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$26.81 profit could be earned on each trade with $10,000. The difference in the exchange rate between London and New York for the British pound is known as the arbitrage opportunity. In this case, the difference is $0.0070, which means that if you buy the British pound in New York at $1.4868 and sell it in London at $1.4938, you could make a profit of $0.0070 per pound.

If you were to trade with $10,000, you would need to convert it into British pounds first, which would give you approximately £6,710. You could then use this money to buy pounds in New York, which would give you 4,506 pounds. If you were to sell these pounds in London at $1.4938, you would get $6,736.81. This means that you would have made a profit of $26.81 on the trade. However, it is important to note that there are transaction costs involved in currency trading, such as commissions and bid-ask spreads.

These costs could eat into your profits and reduce the amount of money you make on each trade. Additionally, currency exchange rates are constantly fluctuating, which means that there is no guarantee that the arbitrage opportunity will remain open for long. Therefore, it is important to carefully monitor exchange rates and act quickly when you identify an opportunity for profitable currency trading.

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majid corporation sells a product for $215 per unit. the product's current sales are 42,700 units and its break-even sales are 36,195 units. what is the margin of safety in dollars?

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Therefore, the margin of safety for Majid Corporation is $1,613,075. This means that the company can afford to lose up to $1,613,075 in sales before it starts incurring losses.

The margin of safety is an important financial metric that helps businesses understand how much sales they can afford to lose before they start incurring losses. In this case, the margin of safety can be calculated by subtracting the break-even sales from the current sales and then multiplying the result by the selling price per unit.
Margin of Safety = (Current Sales - Break-even Sales) x Selling Price per Unit
Using the figures provided, we can calculate the margin of safety as follows:
Margin of Safety = (42,700 - 36,195) x $215
Margin of Safety = 7,505 x $215
Margin of Safety = $1,613,075
It's worth noting that having a high margin of safety is a good indicator of financial stability and resilience, as it means that the business has a buffer to absorb any unexpected downturns in sales.

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In reviewing the actions of the U.S. Bureau of Land Management and other federal agencies, the courts
are usually reluctant to review questions of fact.
rarely defer to the technical expertise of administrative agencies.
often rule on the merits of policy determinations.
never defer to an agency’s interpretation of law.

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The statement is false. The courts are often reluctant to review questions of fact, rarely defer to the technical expertise of administrative agencies, often rule on the merits of policy determinations, and may defer to an agency's interpretation of law.

When reviewing the actions of federal agencies like the U.S. Bureau of Land Management, courts generally show deference to administrative agencies due to their technical expertise and specialized knowledge. However, the degree of deference can vary depending on the specific issue at hand.

Regarding questions of fact, courts are generally reluctant to review them and often defer to the factual determinations made by administrative agencies. This deference recognizes that agencies are better equipped to evaluate evidence and make factual findings.

Courts also recognize the policy-making role of administrative agencies and often rule on the merits of policy determinations. While courts may scrutinize agency actions to ensure they comply with legal requirements, they acknowledge that agencies have discretion in setting policies within the bounds of their statutory authority.

In terms of legal interpretation, courts apply different standards of review. In some cases, they may defer to an agency's interpretation of the law if the agency has the authority and expertise to interpret the statute. However, courts retain the ultimate authority to interpret the law and may reject an agency's interpretation if it is found to be unreasonable or inconsistent with the statutory framework.

Overall, while courts show deference to administrative agencies, the extent of deference and the level of scrutiny applied depend on the specific circumstances and legal principles involved in each case.

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can you think of a strategy that communication companies use to reduce latency?

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One strategy that communication companies use to reduce latency is the deployment of edge computing.

Edge computing involves placing data processing and storage closer to the end-user, at the edge of the network. By doing so, data can be processed more quickly and efficiently, reducing the amount of time it takes for information to travel between devices. This can help to significantly reduce latency, improving the overall user experience. Communication companies can deploy edge computing by building out new infrastructure or by partnering with existing data center providers to place their equipment in these facilities.

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The three standard categories of data mining tools areMultiple Choiceclassification, clustering, and association.prediction, categorization, and association.regression, categorization, and association.association, clustering, and analytics.

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The three standard categories of data mining tools are classification, clustering, and association.

Classification involves identifying patterns in data and using those patterns to classify new data points into categories. For example, a credit card company might use classification to identify fraudulent transactions.

Clustering involves grouping similar data points together based on their characteristics. This can be useful for segmenting customers or identifying patterns in data that might not be immediately apparent.

Association involves identifying relationships between different data points. For example, a retailer might use association to identify which products are frequently purchased together.

While prediction, categorization, and regression are also important components of data mining, they are not the three standard categories. Prediction involves forecasting future outcomes based on past data. Categorization involves sorting data into different categories. Regression involves identifying the relationship between two variables.

Overall, data mining tools are essential for uncovering patterns and insights in large data sets and can be used in a variety of industries, from finance to healthcare to retail.

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to accomplish the basic purposes of contract remedies, the limitations of foreseeability, certainty and mitigation are imposed upon monetary damages. group of answer choices true false

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False. To accomplish the basic purposes of contract remedies, limitations of foreseeability, certainty, and mitigation are not imposed upon monetary damages.

In fact, these limitations are factors that help determine the extent of monetary damages awarded in contract disputes.

Foreseeability refers to the concept that damages must be reasonably foreseeable at the time of contract formation. This means that damages that were not reasonably foreseeable by the parties when they entered into the contract may not be recoverable.

Certainty relates to the requirement that damages must be capable of being measured and proven with reasonable certainty. Uncertain or speculative damages are typically not awarded.

Mitigation is the principle that requires the injured party to take reasonable steps to minimize their losses and mitigate damages. Failure to mitigate damages can limit the amount of compensation awarded.

These limitations serve as guiding principles in determining the appropriate amount of monetary damages in contract disputes, rather than being imposed upon them.

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gemba walks at alaska airlines are called part 2 a. waste walks. b. observation walks. c. employee empowerme

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Gemba walks at Alaska Airlines are called observation walks. This is because gemba walks are typically conducted by management to observe and understand the operations and processes on the ground level, also known as the gemba.

In this case, Alaska Airlines' management conducts observation walks to identify and eliminate any waste or inefficiencies in their operations. By observing the employees in action and understanding their challenges, the management can empower and support their employees better. This approach is crucial in ensuring that Alaska Airlines' operations run smoothly and effectively, providing a positive experience for both employees and customers.

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when customers are fined $0.50 if they need a bag at the grocery store, the store is attempting to appeal to customers' _____ to influence their behavior.

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When customers are fined $0.50 for needing a bag at the grocery store, the store is attempting to appeal to customers' economic incentives to influence their behavior.

By imposing a fine for using a bag, the store aims to incentivize customers to bring their own reusable bags or opt for alternatives such as paper or fewer bags. The economic incentive in this case is designed to alter customers' behavior by making it less desirable to choose the convenience of a store-provided bag. By attaching a monetary cost to bag usage, the store hopes to encourage customers to adopt more environmentally friendly practices and reduce the overall consumption of single-use bags.

This strategy aligns with the principles of behavioral economics, where economic incentives can be used to shape individual behavior. By introducing a financial disincentive, the store aims to nudge customers towards making a greener choice. The fine acts as a deterrent, making it less attractive for customers to opt for the convenience of a store bag and encouraging them to consider more sustainable options.

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Answer the following questions, referencing the completed Monopsony Table in the previous question. (1) Equilibrium: What will be the equilibrium marginal labor (resource) cost to the form for the last worker hired? $ (2) Monopsony Wage & Employment: The monopsonist will hire workers and pay a wage of $ (3) Pure Competition Wage & Employment: If this firm hired workers in a purely competitive labor market, it would hire workers and pay a wage of $

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In a monopsony market, there is only one buyer of labor (in this case, the firm). This gives the firm market power to influence the wage rate it pays to workers.

The firm faces an upward sloping supply curve of labor, meaning that as it hires more workers, it has to pay a higher wage rate to attract additional workers.

In a perfectly competitive labor market, there are many buyers and sellers of labor, and each individual firm is a price taker. This means that the wage rate is determined by the market forces of supply and demand, and each firm has no influence on the wage rate it pays to workers.

In the context of the Monopsony Table, the marginal labor cost refers to the additional cost incurred by the firm for hiring an additional worker. The equilibrium marginal labor cost is the wage rate at which the additional benefit of hiring an additional worker is equal to the additional cost of hiring that worker.

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ebook question content area brief exercise 11-28 analyzing balance sheet accounts a review of the balance sheet of dixon company revealed the following changes in the account balances:

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When analyzing balance sheet accounts, it is important to review changes in account balances over time to understand the financial health of a company. In this case, we are looking at the balance sheet of Dixon Company and the changes in its account balances.

Brief Exercise 11-28 requires us to analyze the following changes in Dixon Company's account balances:

- Cash: Increased by $20,000
- Accounts Receivable: Decreased by $10,000
- Inventory: Increased by $30,000
- Prepaid Expenses: Decreased by $5,000
- Land: No Change
- Buildings: No Change
- Accumulated Depreciation: Increased by $8,000
- Accounts Payable: Increased by $12,000
- Accrued Liabilities: Decreased by $3,000
- Bonds Payable: No Change
- Common Stock: No Change
- Retained Earnings: Increased by $22,000

Let's break down each of these changes and analyze what they mean for Dixon Company:

- Cash: An increase in cash is generally a positive sign for a company, as it means they have more money on hand to pay bills or invest in the business. In this case, Dixon Company had an increase in cash of $20,000, which could be due to increased sales, a decrease in expenses, or a cash infusion from investors or lenders.

- Accounts Receivable: A decrease in accounts receivable means that Dixon Company is collecting money from its customers more quickly. This could be a positive sign, as it means the company is able to generate cash more quickly and reduce its outstanding debts. However, it could also mean that the company is giving discounts or making other concessions to customers in order to collect payment more quickly.

- Inventory: An increase in inventory means that Dixon Company is stocking up on more goods or materials. This could be a sign of expected future sales or growth in the business. However, it could also mean that the company is overstocked and may have trouble selling its goods in the future.

- Prepaid Expenses: A decrease in prepaid expenses means that Dixon Company is using up its prepaid expenses more quickly. This could be a positive sign, as it means the company is able to generate cash more quickly and reduce its outstanding debts. However, it could also mean that the company is using up resources more quickly than expected.

- Land and Buildings: No change in these accounts means that Dixon Company did not acquire any new land or buildings during the period in question.

- Accumulated Depreciation: An increase in accumulated depreciation means that Dixon Company's assets are becoming less valuable over time. This is a normal part of the depreciation process and does not necessarily indicate any problems with the business.

- Accounts Payable: An increase in accounts payable means that Dixon Company owes more money to its vendors and suppliers. This could be a sign of increased expenses or a slower cash flow cycle. However, it could also be due to a deliberate strategy to delay payment in order to maintain a positive cash flow.

- Accrued Liabilities: A decrease in accrued liabilities means that Dixon Company has paid off some of its outstanding debts. This is generally a positive sign, as it means the company is reducing its liabilities and improving its financial health.

- Bonds Payable, Common Stock, and Retained Earnings: No changes in these accounts mean that Dixon Company did not issue any new bonds, stocks, or dividends during the period in question.

In conclusion, analyzing the changes in Dixon Company's account balances can provide valuable insight into its financial health. While some changes, such as an increase in cash, can be positive signs, others, such as an increase in accounts payable, may indicate areas where the company needs to improve its operations. By analyzing these changes and understanding their implications, investors and analysts can make informed decisions about Dixon Company's future prospects.

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when two projects are mutually exclusive, investing in one does not eliminate the other one from consideration. T/F.

Answers

True, when two projects are mutually exclusive, investing in one does not necessarily eliminate the other one from consideration. In the context of investing, mutually exclusive projects are those that cannot be undertaken simultaneously, as choosing one would prevent the other from being implemented. This typically occurs when resources, such as capital, are limited and a choice must be made between competing projects.

However, even when a decision is made to invest in one project, the other project remains an option for future consideration. Circumstances may change, resources might become available, or priorities may shift, leading to a reevaluation of the initial decision. In such cases, the previously unselected project may become viable for investment.

In summary, while mutually exclusive projects cannot be pursued at the same time, selecting one does not completely eliminate the other from consideration, as it may be revisited in the future depending on various factors.

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.Module 03, Team Case Analysis - Performance Lawn Equipment
Part 2:
As noted in the case in Module 2, the supply chain worksheets provide cost data associated with logistics between existing plants and customers as well as proposed new plants.
Assignment:
Ms. Burke wants you to extract the records associated with the unit shipping costs of proposed plant locations and compare the costs of existing locations against those of the proposed locations using quartiles.
Assignment:
Propose a monthly dashboard of the most important business information that Ms. Burke can use on a routine basis as data are updated. Create one using the most recent data. Your dashboard should not consist of more than 6–8 charts, which should fit comfortably on one screen.
Assignment:
Elizabeth Burke wants some detailed statistical information about much of the data in the PLE database. In particular, she wants to know the following:
the mean satisfaction ratings and standard deviations by year and region in the worksheets Dealer Satisfaction and End-User Satisfaction
a descriptive statistical summary for the 2012 customer survey data
how the response times differ in each quarter of the worksheet Response Time
how defects after delivery (worksheet Defects after Delivery) have changed over these 5 years
how sales of mowers and tractors compare with industry totals and how strongly monthly product sales are correlated with industry sales Subject: Data Analytics for Business

Answers

To compare the unit shipping costs of existing and proposed plant locations, we need to extract the relevant data from the supply chain worksheets. we can perform a correlation analysis between the company's monthly product sales and industry sales to assess the strength of the relationship between the two variables.

To compare the unit shipping costs of existing and proposed plant locations, we need to extract the relevant data from the supply chain worksheets. We can then calculate the quartiles for each set of data and compare them to identify any significant differences in the costs. This analysis can help Ms. Burke make informed decisions about the proposed plant locations based on their associated logistics costs.

For the monthly dashboard, we can include key performance indicators such as sales revenue, sales volume, customer satisfaction ratings, defect rates, and response times. These charts can be updated regularly to provide an overview of the business performance and identify areas for improvement. We can also include a comparison of the company's product sales with industry totals to assess its market share.

For Ms. Burke's request for statistical information, we can calculate the mean satisfaction ratings and standard deviations by year and region for the Dealer Satisfaction and End-User Satisfaction worksheets. We can also provide a descriptive statistical summary for the 2012 customer survey data, including measures such as the mean, median, mode, and range. To analyze the response times, we can calculate the quartiles and identify any trends or patterns across the different quarters. Similarly, for defects after delivery, we can calculate the frequency distribution and identify any changes over the past five years. Finally, we can perform a correlation analysis between the company's monthly product sales and industry sales to assess the strength of the relationship between the two variables.

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Roll over each item to read the description. Then identify the correct description and way to mitigate the exposure to each of the following three areas.
Risk Description/example Way to mitigate
Transaction exposure
Translation exposure
Economic exposure
paper gains or losses
receivables/payables
long-term exchange risk
distribute production assets
short- term risk
Swaps/buying forward

Answers

Transaction exposure refers to the risk of fluctuating exchange rates affecting the value of a specific transaction.

For example, a company in the United States agrees to purchase goods from a supplier in Japan and will pay in Japanese yen. If the value of the yen drops before the transaction is completed, the US company will end up paying more for the goods than they had anticipated. To mitigate transaction exposure, companies can use techniques such as forward contracts or currency options to lock in exchange rates.

Translation exposure is the risk of exchange rate fluctuations impacting the value of a company's financial statements when they are translated from one currency to another. For example, a company with subsidiaries in several different countries must convert its financial statements into the parent company's currency. If the exchange rates fluctuate significantly, the value of the subsidiary's assets and liabilities will change, leading to paper gains or losses. To mitigate translation exposure, companies can use techniques such as hedging with forward contracts or purchasing foreign currency-denominated debt.

Economic exposure is the risk of fluctuating exchange rates impacting a company's long-term competitiveness in a foreign market. For example, a US company may produce goods in Mexico and sell them in Europe. If the value of the Mexican peso drops, the US company may have to increase prices to remain profitable, making their products less competitive in the European market. To mitigate economic exposure, companies can distribute their production assets across multiple countries, hedge with forward contracts or currency options, or use natural hedging techniques like matching currency inflows and outflows.

The transaction, translation, and economic exposure are all risks associated with conducting business in a global economy. Transaction exposure relates specifically to the risk of exchange rate fluctuations affecting a single transaction, while translation exposure refers to the impact on a company's financial statements when they are translated into a different currency. Economic exposure, on the other hand, refers to the long-term competitiveness of a company in a foreign market due to exchange rate fluctuations.

To mitigate these risks, companies can use various techniques such as hedging with forward contracts or currency options, distributing production assets across multiple countries, and using natural hedging techniques like matching currency inflows and outflows. By doing so, companies can better manage their exposure to exchange rate fluctuations and reduce the potential impact on their business operations and financial statements.

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lawsuits and environmental cleanup cost are examples of select one: a. leases. b. off-balance-sheet financing. c. bonds. d. contingencies.

Answers

Lawsuits and environmental cleanup costs are examples of Option D. contingencies.

Lawsuits and environmental cleanup costs are examples of contingencies, which are potential financial liabilities or obligations that may arise in the future due to uncertain events or conditions. These events are not yet confirmed but can have a significant impact on a company's financial position if they occur. Contingencies may be disclosed in the financial statements or in the notes accompanying the statements, depending on the likelihood of occurrence and the potential impact on the company's financial position.

Leases (option a) refer to contractual agreements where one party (the lessor) grants the right to use an asset to another party (the lessee) for a specific period and in exchange for periodic payments. Off-balance-sheet financing (option b) is a financing method where a company does not report certain assets or liabilities on its balance sheet, which can make its financial position appear stronger than it actually is. Bonds (option c) are debt securities issued by companies or governments to raise capital, with the issuer promising to pay the principal amount along with interest to the bondholders.

In summary, lawsuits, and environmental cleanup costs are considered contingencies because they represent potential future financial liabilities or obligations that can impact a company's financial position if they materialize. Therefore, the correct option is D.

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The greater the amount of price discrimination a monopolist engages in relative to a single price​ monopoly, the
A.
lower the consumer surplus.
B.
higher the producer surplus.
C.
higher the deadweight loss.
D.
All of the above.

Answers

The greater the amount of price discrimination a monopolist engages in relative to a single price monopoly, the higher the producer surplus, lower the consumer surplus, and higher the deadweight loss.

Price discrimination is a pricing strategy in which a monopolist charges different prices to different customers for the same product or service. When a monopolist engages in price discrimination, it can increase its profits by charging higher prices to customers with a higher willingness to pay, while still capturing some of the consumer surplus from customers with a lower willingness to pay.

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