How can multinational firms guide employee behavior around the world? What are some of these techniques?

Answers

Answer 1

Multinational firms can guide employee behavior around the world by implementing various techniques that help align employees with the company's values, culture, and goals.

Here are some commonly used techniques:

Clearly Define and Communicate Corporate Values, Multinational firms should establish a set of clear and well-defined corporate values that reflect the company's mission, vision, and ethical standards. These values should be effectively communicated to employees worldwide through training programs, employee handbooks, and internal communications. By establishing a shared understanding of the desired behaviors and expectations, employees can align their actions accordingly.

Standardize Policies and Procedures, Multinational firms can create global policies and procedures that provide consistent guidelines for employee behavior across different locations. This helps ensure that employees understand the company's expectations regarding areas such as ethics, compliance, human resources, and code of conduct. Standardization promotes uniformity and minimizes misunderstandings or conflicting practices.

Cross-Cultural Training and Education, Given the diverse cultural contexts in which multinational firms operate, providing cross-cultural training and education to employees becomes crucial. This training helps employees understand and respect cultural differences, enhances their cultural intelligence, and equips them with the skills to adapt their behavior to different cultural settings. Cross-cultural training fosters mutual understanding and promotes effective communication and collaboration across borders.

Leadership and Role Modeling, Effective leadership plays a vital role in guiding employee behavior. Multinational firms should ensure that leaders at all levels embody the company's values and exhibit the desired behaviors. By demonstrating ethical conduct, cultural sensitivity, and adherence to policies, leaders can serve as role models for employees and influence their behavior.

Performance Management and Incentives, Multinational firms can align employee behavior with company goals by incorporating performance management systems and incentives. These systems should evaluate and reward behaviors that align with the company's values and objectives. By linking performance metrics and incentives to desired behaviors, employees are motivated to act in ways that contribute to the organization's success.

Ongoing Communication and Feedback, Establishing regular communication channels and feedback mechanisms is essential for multinational firms to guide employee behavior effectively. This includes regular employee feedback sessions, town hall meetings, virtual communication platforms, and employee surveys. Open and transparent communication fosters a sense of belonging, allows employees to voice concerns, and enables the organization to address any behavioral challenges promptly.

Localized Approaches, While multinational firms strive for consistency, it is also important to acknowledge and respect local customs, laws, and cultural norms. Adapting policies and practices to the local context demonstrates sensitivity and helps gain acceptance and cooperation from employees in different regions.

It's important to note that the effectiveness of these techniques may vary depending on the specific circumstances and cultural contexts in which multinational firms operate. Therefore, a comprehensive approach that combines various strategies while considering local nuances is crucial for successfully guiding employee behavior across the world.

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Related Questions

The Sanding Department of Quik Furniture Company has the following production and manufacturing cost data for March 2020 , the first month of operation. Production: 6,020 units finished and transferred out; 3,000 units started that are 100% complete as to materials and 20% complete as to conversion costs. Manufacturing costs: Materials $29,315; labor $20,600; overhead $31,367. Prepare a production cost report. (Round unit costs to 2 decimal places, e.g. 2.25 and other answers to 0 decimal places, e.g. 125. ) Costs to be accounted for Workin process, March 1 Started into production Total costs Cost Reconciliation Schedule Costs accounted for Transferred out Workin process, March 31 Materials 5 Conversion costs Total costs eTextbook and Media Saye for Later Attempts: 0 of 3 used Submit Answer

Answers

Production cost report for Sanding Department of Quik Furniture Company shows that total costs accounted for ($81,282) match the total costs to be accounted for ($24,613.56), ensuring proper reconciliation.

To prepare the production cost report for the Sanding Department of Quik Furniture Company, we need to calculate the costs to be accounted for and the costs accounted for. Here is the breakdown:

1. Costs to be accounted for:

Work in process, March 1: There is no information given regarding the work in process at the beginning of the month, so this cost is not applicable.

Started into production: 3,000 units started in March. Since they are 100% complete as to materials and 20% complete as to conversion costs, we can calculate the costs associated with these units.

Calculation of costs started into production:

Materials cost: 3,000 units * 100% complete * $29,315 / 6,020 units finished and transferred out = $14,620.72

Conversion costs: 3,000 units * 20% complete * ($20,600 + $31,367) / 6,020 units finished and transferred out = $9,992.84

Total costs to be accounted for: $14,620.72 (materials) + $9,992.84 (conversion costs) = $24,613.56

2. Costs accounted for:

Transferred out: 6,020 units finished and transferred out. These units incur both materials and conversion costs.

Work in process, March 31: There is no information given regarding the work in process at the end of the month, so this cost is not applicable.

Calculation of costs accounted for:

Materials cost: 6,020 units * $29,315 / 6,020 units finished and transferred out = $29,315

Conversion costs: 6,020 units * ($20,600 + $31,367) / 6,020 units finished and transferred out = $51,967

Total costs accounted for: $29,315 (materials) + $51,967 (conversion costs) = $81,282

Production Cost Report for the Sanding Department

Costs to be accounted for:

Materials: $14,620.72

Conversion costs: $9,992.84

Total costs: $24,613.56

Costs accounted for:

Transferred out:

Materials: $29,315

Conversion costs: $51,967

Total costs accounted for: $81,282

Therefore, the production cost report shows that the total costs accounted for ($81,282) match the total costs to be accounted for ($24,613.56), indicating that the costs are properly reconciled.

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110 pts

A 4% increase in the price of tomatoes leads to a 1% reduction in the quantity of tomatoes demanded. Which of the following statements about the market in tomatoes is false?

Group of answer choices

All of these answers are true about tomatoes in the market described.

There must be few good, close substitutes for tomatoes in this market.

An increase in the price of tomatoes will lead to a revenue increase.

Demand for tomatoes is price inelastic.

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Question 120 pts

Graphically, consumer surplus is the area …

Group of answer choices

below the demand curve but above price.

below price but above the supply curve.

above the demand curve but below price.

above the demand curve but below the supply curve.

Answers

The false statement about the market in tomatoes is: "An increase in the price of tomatoes will lead to a revenue increase."

A 4% increase in the price of tomatoes leads to a 1% reduction in the quantity of tomatoes demanded. Based on this information, we can analyze the given statements to determine which one is false.

1. All of these answers are true about tomatoes in the market described.

  This statement claims that all the given statements are true, which cannot be determined without further analysis. Therefore, it is not necessarily false.

2. There must be few good, close substitutes for tomatoes in this market.

  This statement aligns with the law of demand, as a decrease in quantity demanded due to a price increase suggests a lack of readily available substitutes. Hence, this statement is likely true.

3. An increase in the price of tomatoes will lead to a revenue increase.

  This statement is false. Since the demand for tomatoes is price inelastic (as stated in the next option), an increase in price will result in a proportionally smaller decrease in quantity demanded. As a result, the decrease in quantity will not offset the increase in price, leading to a reduction in total revenue.

4. Demand for tomatoes is price inelastic.

  This statement is likely true. The decrease in quantity demanded (1%) in response to a price increase (4%) indicates that the demand is not highly responsive to price changes, suggesting price inelasticity.

Therefore, option 3, "An increase in the price of tomatoes will lead to a revenue increase," is the false statement.

Regarding the question about consumer surplus, the correct answer is:

Consumer surplus is the area above the demand curve but below price.

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A small business owner earns $200,000 in revenue annually. The annual explicit costs equal $100,000. The owner could work for someone else and earn $50,000 annually. The owner's accounting profit is , and the economic profit is

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The economic profit provides a more accurate picture of the true profitability of the business, as it considers both explicit and implicit costs. The accounting profit is $100,000, and the economic profit is $50,000.

The accounting profit is the difference between revenue and explicit costs, while the economic profit is the difference between revenue and both explicit and implicit costs.

In this scenario, the small business owner earns $200,000 in revenue annually and has explicit costs of $100,000. The owner could work for someone else and earn $50,000 annually.

The accounting profit can be calculated as follows:

Accounting profit = Revenue - Explicit costs

Accounting profit = $200,000 - $100,000

Accounting profit = $100,000

The economic profit can be calculated as follows:

Economic profit = Revenue - Explicit costs - Implicit costs

Implicit costs = Opportunity cost of working for someone else = $50,000

Economic profit = $200,000 - $100,000 - $50,000

Economic profit = $50,000

It is important to note that the economic profit takes into account the opportunity cost of working for someone else, while the accounting profit does not.

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Which of the following statements is CORRECT about benefits provided by a Basic Hospital and Surgical policy?
They are lower than the actual expenses incurred
They are subject lo large deductibles
They are higher than those provided by Major Medical policies
They are unlimited

Answers

Answer: They are lower than the actual expenses incurred.

Explanation:

22 Dverview of Time Value of Moncy Karen wants to determine how much money she will have at the end of a year if she deposits $50 at the end of every month into an account earning a monthly periodic rate of 1%. Which calculation would she need to use? Future value of a lump sum. Present value of a lump sum. Present value of an annuity. Future value of an annuity.

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To calculate, Karen would need to use the formula for the Future Value of an annuity. The Future Value of an annuity formula calculates the accumulated value of a series of equal cash flows over a specific time period at a given interest rate.

In this case, the cash flows are the monthly deposits of $50, the time period is one year (12 months), and the interest rate is 1% per month.

Using the formula: FV = P × [(1 + r)^n - 1)/r], where P is the payment amount ($50), r is the interest rate per period (0.01 or 1%), and n is the number of periods (12 months), Karen can calculate the future value of her deposits at the end of the year. By plugging in these values, she can determine how much money she will have accumulated in her account.

The Future Value of an annuity calculation takes into account the compounding effect of interest over time. Each monthly deposit contributes to the total amount, and the interest earned on previous deposits is added to the overall value. As a result, the accumulated value of the deposits grows over time. In this case, Karen will see her $50 monthly deposits grow at a rate of 1% per month, resulting in a higher future value at the end of the year. This calculation allows individuals like Karen to estimate the growth of their investments or savings based on regular contributions and interest rates.

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For this week's Christian ethics at work discussion, please outline and discuss your thoughts on how to develop a Christian work ethic. As a part of this discussion, you should identify what you see as a Christian work ethic.

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A Christian work ethic is one that is marked by diligence, integrity, and eternity in work.Christians are commanded to have a godly work ethic with fairness, honesty, and diligence as they are working directly for Jesus Christ.

The Bible says that Christians should work heartily, willingly, and from the soul at whatever they do, as they are accountable to God and stewards of the gifts He has given them. Christians should view the work as a virtuous duty that has been mandated by God, both before and after the fall of man, and idleness should be viewed as unacceptable. To develop a Christian work ethic, one can follow the following steps:

Work as if working for the Lord, not for men, and put forth the best effort in everything that is done.

Be accountable to God and steward the gifts that He has given.

View work as a virtuous duty that has been mandated by God.

Avoid idleness and laziness.

Learn a profession and do not meddle with others.

Work quietly and do not meddle in others' businesses.

Work spiritually and let the unbelievers and pagans of the world show their character by slothfulness.

Trust in the Lord and seek His guidance in all work-related matter.

In summary, a Christian work ethic is one that is marked by diligence, integrity, and eternity in work. Christians should view work as a virtuous duty that has been mandated by God, and they should avoid idleness and laziness. To develop a Christian work ethic, one can follow the steps outlined above and trust in the Lord for guidance.

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Finding the WACC Given the following information for Company A. Assume the company's tax rate is 300 percent. Debt: 20,000. 5.6 percent coupon bonds outstanding, $1,000 par value, 2 years to maturity, selling for 97 percent of par; the bonds make semiannual payments. Common stock: 4000,000 shares outstanding, selling for $61 per share; the beta is .95. Market: 7 percent market risk premium and 3 percent risk-free rate

Answers

The weighted average cost of capital (WACC) for Company A is approximately 5.86%. This calculation takes into account the cost of debt and the cost of equity, weighted by their respective proportions in the  capital structure.

To calculate the WACC, we first need to determine the cost of debt. Since the company has bonds outstanding, we can use the yield to maturity as the cost of debt. The bonds have a coupon rate of 5.6%, 2 years to maturity, and are selling for 97% of par value. We calculate the yield to maturity using these parameters.

Next, we calculate the cost of equity using the capital asset pricing model (CAPM). The CAPM formula considers the risk-free rate, the market risk premium, and the beta of the stock. In this case, the risk-free rate is 3%, the market risk premium is 7%, and the beta is 0.95.

After determining the cost of debt and the cost of equity, we calculate the weights of each component by dividing their market values by the total market value of the company's capital structure. In this case, we are given the number of shares outstanding and the market price per share for common stock.

Finally, we multiply the cost of debt by its weight and the cost of equity by its weight, and sum up these values to obtain the weighted average cost of capital. In this case, the WACC is approximately 5.86%.

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Orchid Inc., a consumer electronics company, has adopted a supply-chain management system. The supply-chain management system carnhelp Orchid: use the same mix of marketing strategies in its foreign and domestic markets. use a singe pricing strategy in all its markets. reduce costsand increase revenues avold government intervention.

Answers

The adoption of a supply-chain management system by Orchid Inc., a consumer electronics company, can help the company reduce costs, increase revenues, and avoid government intervention. However, it does not necessarily imply using the same marketing strategies in foreign and domestic markets or a single pricing strategy in all markets.

A supply-chain management system can provide Orchid Inc. with several benefits, including cost reduction and revenue increase. By streamlining and optimizing its supply chain processes, the company can minimize inefficiencies, reduce waste, and lower operational costs. This can lead to improved profitability and increased revenues.

Additionally, a well-managed supply chain can help Orchid Inc. avoid government intervention. Compliance with regulations and standards, effective risk management, and transparent operations can mitigate the risk of regulatory scrutiny or intervention.

However, the adoption of a supply-chain management system does not automatically imply using the same mix of marketing strategies in foreign and domestic markets. Different markets may have unique characteristics, customer preferences, cultural factors, and competitive landscapes. Therefore, it is often necessary to tailor marketing strategies to suit the specific needs and demands of each market.

Similarly, while a supply-chain management system can contribute to cost reduction, it does not necessarily dictate a single pricing strategy in all markets. Pricing strategies should consider factors such as market conditions, competition, customer segments, and local pricing dynamics. Orchid Inc. may need to adjust its pricing strategies based on these factors to remain competitive and maximize profitability in different markets.

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Suppose you have been tasked with running an ESG fund. The fund's specific focus is on climate impact. You observe that many companies have ESG scores from multiple index providers. Now, suppose you would like to consider those ESG indexes when constructing your portfolio . What problems can arise when using ESG indexes in portfolio construction?

Answers

The problems arising from using ESG indexes in portfolio construction stem from the lack of standardization, data reliability, and accuracy, as well as limitations in coverage and potential sector biases. These challenges highlight the importance of thorough due diligence and a comprehensive understanding of the methodologies and limitations of ESG indexes when constructing an ESG-focused portfolio.

When using ESG indexes in portfolio construction, several problems can arise: Lack of standardization: Different index providers may use different methodologies and criteria to assess companies' ESG performance. This lack of standardization can lead to inconsistent ratings and scores across different indexes. As a result, it becomes challenging to compare companies' ESG performance accurately and construct a consistent portfolio based on multiple indexes.

Data reliability and accuracy: ESG data used by index providers may come from various sources, such as company reports, third-party data providers, or self-reported information. The accuracy and reliability of this data can vary, leading to discrepancies and inconsistencies in ESG scores. This can make it difficult for investors to rely on the scores when constructing a portfolio focused on climate impact.

Limited coverage and sector bias: ESG indexes may have limited coverage of companies, particularly smaller or less well-known firms. This limited coverage can result in a biased representation of the market, potentially excluding companies that may have a significant climate impact. Moreover, some indexes may have sector biases, favoring certain industries over others, which can affect the diversification and alignment of the portfolio with climate impact objectives.

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Phillips Company uses the gross method and a perpetual inventory system. Assuming the following entries, compute the amount that Phillips Company received on September 16. September 6 Sold goods costing $7,800 to Parker Company on account, $13,000, terms 5/10, n/30. The goods are shipped FoB Shipping Point, Freight Prepaid by Seller, $230. September 12 Parker Company returned undamaged merchandise previously purchased on account, $1,600. September 16 Received the amount due from Parker Company.

Answers

Compute the amount that Phillips Company received on September 16, we need to consider the sales transaction, the return transaction, and any applicable discounts.

Here's how the calculations would look: Sales inventory on September 6: Sold goods costing $7,800 to Parker Company on account for $13,000. The terms are 5/10, n/30. Sales revenue = $13,000 Cost of goods sold = $7,800 Gross profit = Sales revenue - Cost of goods sold = $13,000 - $7,800 = $5,200 Return Transaction on September 12: Parker Company returned undamaged merchandise previously purchased on account for $1,600. Accounts receivable decrease = $1,600 Inventory increase = Cost of goods returned = $7,800 Calculation of the amount received on September 16: The terms of the sale were 5/10, n/30, which means that a 5% discount is available if payment is made within 10 days. Since the amount due from Parker Company is received on September 16, which is within the discount period, the discount applies. Amount due from Parker Company = Sales revenue - Return - Discount Amount due from Parker Company = $13,000 - $1,600 - ($13,000 * 5%) = $13,000 - $1,600 - $650 = $10,750 Therefore, Phillips Company received $10,750 from Parker Company on September 16.

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In an alternative universe, the Australian Dollar (AUD) is a fixed-rate currency. The Australian Reserve Bank decided to devalue the Australian Dollar from USD2.02/AUD at the beginning of 2019 to USD1.56/AUD at the end of 2019.

By how much has the US Dollar (USD) appreciated or depreciated relative to the Australian Dollar (in percentage terms)?

a.

-29.4872 %

b.

-22.7723 %

c.

29.4872 %

d.

129.4872 %

e.

77.2277 %

Answers

The US Dollar (USD) has appreciated by approximately 22.7723% relative to the Australian Dollar (AUD) in percentage terms. This means that the value of the USD increased compared to the AUD over the specified time period.

The US Dollar (USD) has appreciated relative to the Australian Dollar (AUD) by 29.4872% in percentage terms.

To calculate the percentage appreciation or depreciation of the USD relative to the AUD, we need to determine the percentage change in the exchange rate.

The formula to calculate the percentage change is:

Percentage Change = (New Value - Old Value) / Old Value * 100

In this case, the old value is USD2.02/AUD, and the new value is USD1.56/AUD.

Percentage Change = (1.56 - 2.02) / 2.02 * 100 = -0.46 / 2.02 * 100 ≈ -22.7723%

However, since we are interested in the change in the USD relative to the AUD, we need to take the absolute value of the percentage change, which gives us 22.7723%.

Therefore, the correct answer is option (b): -22.7723%.

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Bulldog Broadcasting purchased a high-end copy machine with a cost of $65,000 at the beginning of 2019. The copy machine has an estimated life of 5 years or 1,000,000 copies (i.e., photocopies). The salvage value of the copy machine is estimated at $10,000. During 2019, 2020, and 2021, the total copies made were 400K, 250K, and 200K, respectively. Determine the following, and show your work:

1.What journal entry is needed at the end of 2019 to record depreciation expense using straight-line depreciation?

Answers

The journal entry needed at the end of 2019 to record depreciation expense using straight-line depreciation would be a debit to Depreciation Expense and a credit to Accumulated Depreciation.

Straight-line depreciation evenly allocates the cost of an asset over its useful life. In this case, the copy machine has a cost of $65,000 and an estimated life of 5 years or 1,000,000 copies. To calculate the annual depreciation expense, we divide the cost minus the salvage value by the useful life.

Depreciation Expense per year = (Cost - Salvage Value) / Useful Life

Depreciation Expense per year = ($65,000 - $10,000) / 5 = $11,000

At the end of 2019, Bulldog Broadcasting would record the depreciation expense for that year. The journal entry would be:

Debit: Depreciation Expense - $11,000

Credit: Accumulated Depreciation - $11,000

The debit to Depreciation Expense recognizes the expense incurred in using the copy machine during 2019, while the credit to Accumulated Depreciation increases the accumulated amount of depreciation over the years.

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If the elasticity of demand for cigarettes by teenagers is \( 1.5 \), then the price and total revenue from teens buying cigarettes are:zero. zero. unrelated. inversely related. directly related.

Answers

If the elasticity of demand for cigarettes by teenagers is 1.5, then the price and total revenue from teens buying cigarettes are inversely related.

The elasticity of demand measures the responsiveness of the quantity demanded to a change in price. In this case, if the elasticity of demand for cigarettes by teenagers is 1.5, it indicates that the demand for cigarettes among teenagers is relatively elastic.

This means that a change in price will have a larger impact on the quantity demanded by teenagers.

When the elasticity of demand is greater than 1, as in this case, price and total revenue are inversely related. When the price of cigarettes increases, the quantity demanded by teenagers will decrease by a proportion greater than the increase in price.

As a result, the total revenue generated from teenagers buying cigarettes will decrease.

Conversely, if the price of cigarettes decreases, the quantity demanded by teenagers will increase by a proportion greater than the decrease in price, leading to an increase in total revenue.

Therefore, based on the elasticity of demand being 1.5, it can be concluded that the price and total revenue from teens buying cigarettes are inversely related.

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Suppose that ₹ 30000 crore in new reserves is deposited in the Indian banking system as a result of Reserve Bank relaxing reserve requirements. If the current reserve requirement (CRR+SLR) is 23 percent and public place another 7 percent of incoming funds into their wallets, what is the size of the banking system deposit multiplier? How much in new money creation by the system will occur as result of the injection of ₹ 30000 crore in new reserves

Answers

The size of the banking system deposit multiplier can be calculated by dividing the total deposit created by the initial injection of reserves. In this case, the total deposit created would be the sum of the initial reserves and the amount placed into wallets by the public.

Given that the initial injection of reserves is ₹30,000 crore and the public places 7% of the funds into their wallets, the total deposit created would be ₹30,000 crore divided by (1 - 0.07), which equals ₹32,258.06 crore. Therefore, the size of the banking system deposit multiplier is approximately 1.075.

The injection of ₹30,000 crore in new reserves into the Indian banking system, considering the reserve requirement of 23%, would lead to a potential money creation of ₹32,258.06 crore. This is because the banking system deposit multiplier measures the amount of new money that can be created through the fractional reserve banking system.

The reserve requirement dictates the portion of deposits that banks must hold as reserves, while the remaining portion can be used to create loans and expand the money supply. In this scenario, the initial injection of reserves, combined with the amount held by the public in wallets, allows for the creation of additional deposits, resulting in an increase in the money supply by ₹32,258.06 crore.

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Is corporate social responsibility (CSR) an "accountability", "duty", "commitment" or simply a "responsibility" that organizations assume society expects of them?. Explain your view

Answers

Corporate social responsibility (CSR) can be seen as a combination of accountability, duty, commitment, and responsibility that organizations undertake in response to societal expectations.

Corporate social responsibility encompasses a range of actions and initiatives undertaken by businesses to contribute to the well-being of society. It goes beyond a mere legal obligation and reflects a broader understanding of the impact that organizations have on various stakeholders, including employees, customers, communities, and the environment.

Firstly, CSR can be viewed as an accountability measure. Organizations are held responsible for the consequences of their actions, and CSR serves as a means to address and rectify any negative impacts. By engaging in socially responsible practices, companies acknowledge their role in society and accept accountability for their actions.

Secondly, CSR can be seen as a duty that organizations have towards society. Companies have a moral and ethical obligation to go beyond profit-making and consider the interests of the wider community. This duty entails taking actions that promote social and environmental sustainability, such as implementing fair labor practices, reducing carbon emissions, or supporting community development initiatives.

Thirdly, CSR represents a commitment on the part of organizations to contribute positively to society. It involves allocating resources, both financial and non-financial, to initiatives that address social and environmental challenges. This commitment extends to engaging stakeholders, collaborating with partners, and continuously improving CSR efforts to create long-term value for society.

Lastly, CSR is a responsibility that organizations assume because society expects them to act in a socially responsible manner. Stakeholders increasingly demand transparency, ethical behavior, and sustainability practices from businesses. Organizations recognize the need to align their goals and operations with societal expectations to maintain their reputation, build trust, and secure their social license to operate.

In conclusion, corporate social responsibility encompasses accountability, duty, commitment, and responsibility that organizations assume in response to societal expectations. It reflects the recognition that businesses have an impact on society and a role to play in addressing social and environmental challenges. By embracing CSR, organizations strive to create a positive impact and contribute to the well-being of stakeholders and the wider community.

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monetary policy primarily influences the economy through changes in:

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Monetary policy primarily influences the economy through changes in interest rates, money supply, and credit availability to influence borrowing, spending, investment, and overall economic activity.

Monetary policy primarily influences the economy through changes in interest rates, money supply, and credit availability. Monetary policy refers to the actions taken by the central bank or monetary authority of a country to regulate the economy's money supply and credit conditions to achieve specific macroeconomic objectives. The main tool that central banks use to influence the economy is the interest rate.

The central bank adjusts the interest rate to affect borrowing and spending decisions by households and businesses. When the central bank increases interest rates, it becomes more expensive to borrow, so people and businesses tend to borrow less and save more. This results in less spending and investment, which can slow down economic growth. Conversely, when the central bank lowers interest rates, it becomes cheaper to borrow, which can encourage people and businesses to spend and invest more.

This can boost economic growth and stimulate employment. Another way that monetary policy can influence the economy is through changes in the money supply. The central bank can create or destroy money by buying or selling government securities. When the central bank buys government securities, it injects money into the economy, which can increase spending and investment. When the central bank sells government securities, it removes money from the economy, which can decrease spending and investment. Finally, the central bank can also affect the economy by influencing credit availability.

By changing the reserve requirement, the central bank can either encourage or discourage banks to lend money. When the central bank reduces the reserve requirement, it frees up more money for banks to lend, which can stimulate economic growth. Conversely, when the central bank raises the reserve requirement, it reduces the amount of money that banks have available to lend, which can slow down economic growth.

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An increase in which of the following ratios most likely indicates worse liquidity?
a Cash conversion cycle
b Cash ratio
c Quick ratio
d Current ratio

Answers

An increase in the Cash Conversion Cycle most likely indicates worse liquidity.Therefore, option a) Cash conversion cycle is correct.

The Cash Conversion Cycle (CCC) is a measure of the time it takes for a company to convert its investments in inventory and other resources into cash flows from sales. It consists of three components: Days Inventory Outstanding (DIO), Days Sales Outstanding (DSO), and Days Payable Outstanding (DPO).

When the CCC increases, it means that the company takes longer to convert its investments into cash. This implies that the company may be facing challenges in efficiently managing its inventory, collecting receivables, or paying its suppliers. Consequently, a higher CCC indicates a potential decrease in liquidity, as the company may have more tied-up capital and less readily available cash to meet its short-term obligations.

Therefore, option a) Cash conversion cycle is the ratio that, when increased, most likely indicates worse liquidity.

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Which of the following is an example of a barrier to entry?

O Access to cheap utilities

O A rapidly growing market

O Low switching costs

O Low capital requirements

Answers

A barrier to entry refers to factors that make it difficult for new firms to enter a market and compete with existing players. A barrier to entry is exemplified by low capital requirements.

A barrier to entry refers to factors that make it difficult for new firms to enter a market and compete with existing players. One such example is low capital requirements. This means that the initial investment or financial resources needed to start a business in a particular industry are relatively low. Low capital requirements can act as a barrier to entry because they make it easier for new firms to enter the market and compete with established companies.

When the capital requirements are low, it reduces the financial burden on new entrants, allowing them to enter the market with fewer resources. This can lead to increased competition and potentially disrupt the existing market dynamics. However, if capital requirements are high, it becomes more challenging for new firms to enter the market as they may struggle to secure the necessary funds.

This creates a barrier to entry and can protect established companies from new competition. Therefore, low capital requirements are an example of a barrier to entry as they affect the ease of entry and competition in a market.

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The most glaring gender inequality with respect to sport participation occurs at the
a. youth level.
b. elite amateur level.
c. professional level.
d. big-time college level.

Answers

Option a is the correct answer. The most glaring gender inequality with respect to sport participation occurs at the youth level.

The most glaring gender inequality with respect to sport participation occurs at the youth level. This is because at a young age, children often begin to participate in sports and develop their athletic skills. However, gender biases and stereotypes can significantly impact the opportunities and resources provided to girls compared to boys in sports.

At the youth level, there is often a significant disparity in access to sports programs, coaching, facilities, and resources between boys and girls. Societal norms and expectations can lead to girls being steered away from certain sports or being discouraged from pursuing athletic activities. This gender inequality in sport participation can have long-lasting effects on opportunities for girls and their overall development in sports.

While gender inequality exists at various levels of sport participation, including the elite amateur level, professional level, and big-time college level, the disparities are often most pronounced at the youth level. Addressing these inequalities and promoting equal opportunities for girls in sports at a young age is crucial for creating a more inclusive and equitable sporting culture. By addressing gender biases and providing equal access to resources and opportunities, we can work towards achieving greater gender equality in sport participation at all levels.

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Under the Independent Proposition (sometimes called Irrelevance Theory/Hypothesis), Capital Structure ____
a. affects everything
b. does not affect firm value
c. affects firm value
d. affects equity

Answers

According to the Independent Proposition, also known as the Irrelevance Theory or Hypothesis, capital structure does not affect firm value. Therefore, the correct answer is b. does not affect firm value.

The Independent Proposition was proposed by economists Modigliani and Miller (M&M) in the 1950s and 1960s. It suggests that in a perfect capital market with no taxes, transaction costs, or information asymmetry, the capital structure of a firm, which is the mix of debt and equity financing, has no impact on the overall value of the firm. M&M argued that investors can replicate any capital structure changes through their own financial decisions, such as leveraging or deleveraging, thereby maintaining the same overall value.

In essence, under the Independent Proposition, capital structure is considered irrelevant to the value of the firm and does not affect firm value.

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Suppose the government imposes an excise tax & the market for aluminum rods.
Which of the following statements is true?
A. If demand and supply are both elastic, then consumers tax burden is higher than
producers.
B. If demand is more elastic then supply, then consumers tax burden is higher than
producers.
C. If supply is more elastic then demand, then producers tax burden is higher than
consumers.
D. All of the above.
E• None of the above.

Answers

The correct answer is E. None of the above. In the market for aluminum rods, the government imposes an excise tax. The question is whether the consumers or the producers bear a higher tax burden based on the elasticity of demand and supply.

The tax burden in a market depends on the relative elasticities of demand and supply. If demand is more elastic than supply, consumers will bear a larger share of the tax burden. Conversely, if supply is more elastic than demand, producers will bear a larger share of the tax burden. However, without information on the relative elasticities of demand and supply in the market for aluminum rods, we cannot determine which group bears a higher tax burden. Therefore, none of the statements in options A, B, or C can be concluded as universally true. The tax burden distribution in a market depends on the specific elasticities of demand and supply, and it is not possible to determine the outcome without further information on the elasticities.

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The North Carolina Real Estate License Law prohibits a provisional broker with a license on active status from taking which of the following actions?

A. participating in a brokerage transaction that involves a commercial real estate lease

B. working part-time under the supervision of a broker-in-charge while holding a primary job in an occupation unrelated to real estate

C. acting as a seller's subagent in a transaction that involves property listed by a cooperating but competing real estate company

D. accepting payment of a properly earned buyer agent's share of a commission directly from a cooperating but competing listing company









A North Carolina broker just listed a townhouse for sale in the neighborhood where they live. The broker is aware that every townhouse owner will soon be assessed $1,000 to pay for repairs to the neighborhood swimming pool. The seller does not disclose the pending assessment in the Residential Property and Owners' Association Disclosure Statement (ROADS). The listing agent

A. must voluntarily disclose the pending assessment to all prospective buyers.

B. must disclose the pending assessment to any prospective buyer who asks about it

C. is not required to disclose the assessment, because it is not disclosed in the ROADS.

D. is not required to disclose the assessment until it has been levied against the property owners.









The Standard Offer to Purchase and Contract form jointly approved by the North Carolina Association of REALTORS® and the North Carolina Bar Association contemplates that buyer and seller may negotiate with each other concerning which of the following matters related to the transaction after contract formation?

A. any agreement with respect to property repairs

В. the party that will obtain any homeowner's warranty

C. any additional earnest money

D. any payments by seller for buyer's closing costs

Answers

The correct answers are Q1. D. accepting payment of a properly earned buyer agent's share of a commission directly from a cooperating but competing listing company. Q2. C. is not required to disclose the assessment, because it is not disclosed in the ROADS. Q3. A. Any agreement with respect to property repairs

The North Carolina Real Estate License Law prohibits a provisional broker with a license on active status from accepting payment of a properly earned buyer agent's share of a commission directly from a cooperating but competing listing company. Answer: D The North Carolina Real Estate License Law prohibits a provisional broker with a license on active status from accepting payment of a properly earned buyer agent's share of a commission directly from a cooperating but competing listing company.

The North Carolina broker who just listed a townhouse for sale in the neighborhood where they live is not required to disclose the assessment, because it is not disclosed in the ROADS. Therefore, option (C) is the correct answer.

The disclosure obligation is limited to the ROADS. Thus, the broker is not legally obliged to disclose the assessment until it has been levied against the property owners. The buyer and seller may negotiate with each other concerning any agreement with respect to property repairs after contract formation, according to the Standard Offer to Purchase and Contract form jointly approved by the North Carolina Association of REALTORS® and the North Carolina Bar Association. Therefore, the answer is (A).

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agile projects should begin with the simplest possible tasks.T/F

Answers

Answer:

True. Agile projects often prioritize starting with the simplest possible tasks to facilitate early progress and validation

Explanation:

Agile methodologies advocate for breaking down projects into smaller, manageable tasks or user stories. By beginning with the simplest tasks, teams can quickly demonstrate tangible results and gather feedback.

This iterative approach enables the identification of potential issues or adjustments early on, leading to increased flexibility and adaptability throughout the project. Starting with simplicity allows for efficient development, fosters a sense of momentum, and sets a solid foundation for further iterations and enhancements.

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We can personalize recommended items on a website based on purchase history.
Select one:
O True
O False
A good content marketing campaign must have a convincing selling message. Select one:
O True
O False
Content marketing is usually longer and have more information than advertising
Select one:
O True
O False

Answers

1. We can personalize recommended items on a website based on purchase history.

Answer: True

2. A good content marketing campaign must have a convincing selling message.

Answer: False

3. Content marketing is usually longer and has more information than advertising.

Answer: True

1. Personalizing recommended items on a website based on a user's purchase history is a common practice in e-commerce. By analyzing a user's past purchases, preferences, and browsing behavior, websites can offer personalized recommendations that are tailored to individual interests and increase the likelihood of making relevant and desirable product suggestions.

2. While a convincing selling message can be a component of a content marketing campaign, it is not a requirement. Content marketing focuses on providing valuable, relevant, and engaging content to a target audience, with the goal of building brand awareness, establishing thought leadership, nurturing relationships, and providing educational or entertaining information. While content marketing can indirectly contribute to sales, its primary objective is to engage and provide value to the audience rather than focusing solely on selling.

3.In general, content marketing tends to be longer and more informative than traditional advertising. Content marketing aims to provide valuable and in-depth information to the audience, often in the form of articles, blog posts, videos, podcasts, or whitepapers. It focuses on educating, entertaining, or solving problems for the target audience. On the other hand, advertising typically aims to grab attention quickly and deliver a concise message in a shorter format, such as a banner ad, TV commercial, or social media ad.

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In the PPM you have located, find the section on the Americans with Disabilities Act(ADA). Review the policy, list three areas that are unclear to you as a potential employee or you believe could be improved.

Answers

I can provide you with a general understanding of the Americans with Disabilities Act (ADA) and common areas that may raise questions or require improvements for potential employees.

Accommodation Procedures: One area that could be unclear is the specific process for requesting accommodations as a potential employee. It would be beneficial for the policy to provide clear guidelines on how to initiate a request, whom to contact, and the expected timeframe for receiving a response. Clarity in this area would help potential employees understand their rights and responsibilities and ensure a smooth accommodation process.

Reasonable Accommodation Definitions: Another potential area for improvement is the clarification of what constitutes a "reasonable accommodation." The ADA requires employers to provide reasonable accommodations to qualified individuals with disabilities, but the interpretation of "reasonable" can vary. Providing specific examples or guidelines within the policy could help potential employees better understand what accommodations they can expect and what limitations might exist.

Accessibility Standards: The ADA also requires employers to ensure accessibility in the workplace for individuals with disabilities. However, the policy may not provide explicit details on the accessibility standards that should be followed. Incorporating specific accessibility guidelines or referencing industry standards, such as the Web Content Accessibility Guidelines (WCAG) for digital accessibility, would enhance clarity for potential employees.

In conclusion, without access to the specific PPM or its content, I can only provide general areas that could be unclear or improved regarding the Americans with Disabilities Act. It is important to consult the official policy document or seek legal advice for accurate information and specific details pertaining to the ADA and employment rights.

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Recommend three legal compliance approaches you would use in
CHINA (e.g., employment law, tax law, advertising law,
corporate law) PLEASE PROVIDE ACTIVE LINKS THAT ARE CURRENT
REFERENCES

Answers

It is imperative to abide by Chinese law when conducting business there. Following are three essential methods for legal compliance, together with live links to recent references:

Compliance with Employment regulations: China has strict labour regulations that regulate things like working hours, pay, contracts, and employee perks. Current details on employment laws are available from the Ministry of Human Resources and Social Security (MOHRSS). The MOHRSS website, [MOHRSS - Employment Law](http://english.mohrss.gov.cn/), contains comprehensive instructions and resources. Tax Law Compliance: It's crucial for organisations to comprehend China's tax laws. China's State Administration of Taxation (SAT) is in charge of managing taxation. The SAT website provides thorough information on tax laws, rules, and regulations: Tax Administration by the State(http://www.chinatax.gov.cn/) Compliance with Advertising Law: China has certain rules pertaining labelling, promotional activities, and advertising content. Advertising regulations are enforced by the State Administration for Market Regulation (SAMR). The SAMR website offers pertinent information and recommendations on advertising laws: (http://www.samr.gov.cn/) is the [State Administration for Market Regulation]. You may ensure legal compliance in employment, tax, advertising, and other areas of business operations in China by making use of these active connections and keeping up with the most recent legal requirements.

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Please answer the following. What are some jobs where
cost accounting if the focus? How well do they pay? What are the
job duties?

Answers

Cost accounting is a branch of accounting that deals with the determination and allocation of costs to goods and services produced by an organization. The objective of cost accounting is to find ways of improving profitability through cost reduction and process improvements.

There are many jobs that focus on cost accounting, and they can pay very well. Some examples of jobs where cost accounting is the focus are as follows:

1. Cost Accountant: A Cost Accountant's primary responsibility is to collect, analyze and interpret cost data to help management make informed decisions.

They also help in budget preparation and financial forecasting, and ensure that financial records are accurate.

The average annual salary of a cost accountant is about $67,000.

2. Financial Analyst: A financial analyst works to help companies make sound investment decisions.

They use financial data to analyze the performance of companies and to predict future financial trends.

They also help in preparing financial reports, forecasts, and budgets. The average annual salary of a financial analyst is about $81,000.

3. Controller: A Controller's primary responsibility is to manage the financial operations of an organization.

They are responsible for ensuring that financial records are accurate and that financial statements are prepared in accordance with generally accepted accounting principles.

They also oversee the preparation of budgets and financial forecasts.

The average annual salary of a controller is about $117,000.

The job duties of cost accounting professionals include analyzing data, preparing financial statements, developing budgets and forecasts, and working with other departments to ensure that costs are allocated appropriately.

They also provide financial advice and guidance to management and help identify ways to improve profitability.

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Tamara prefers to stick with a detailed plan for every step of
her financial journey. She is not willing to deviate from the plan
in any way due to the uncertainty of the outcome. Tamara is
considered

Answers

Tamara prefers to stick with a detailed plan for every step of her financial journey. She is not willing to deviate from the plan in any way due to the uncertainty of the outcome. Tamara is considered a conservative investor.

A conservative investor is someone who prefers to stick with a detailed plan for every step of their financial journey. Tamara is an example of such an investor who is not willing to deviate from the plan in any way due to the uncertainty of the outcome. Conservative investors are individuals who prefer investments that provide moderate returns with low risk.

They are risk-averse and prefer investments that offer some level of guarantee over investments that have a potential for high returns but come with high risk. Conservative investors also tend to avoid investing in stocks and other high-risk investments. They may choose to invest in bonds, certificates of deposit (CDs), money market accounts, and other investments that offer lower returns but come with a lower level of risk.

These investments are typically less volatile than stocks and provide a more stable return over time.In summary, Tamara's preference for sticking to a detailed plan and avoiding any deviation is an example of a conservative investor. Such investors prefer lower-risk investments that provide moderate returns. They may not be willing to take the risks associated with high-return investments.

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Do you agree with the statement, "U.S. companies with global operations can provide U.S. investors with international diversification"? Why or why not?

Answers

Yes, U.S. companies with global operations can provide U.S. investors with international diversification. By expanding their operations overseas, these companies are exposed to different markets, economies, and currencies, which can help investors diversify their portfolios and reduce risk.

Explanation: U.S. companies with global operations have the advantage of accessing diverse markets around the world. By expanding internationally, these companies become less reliant on a single market and are exposed to different economic cycles and consumer behaviors.

This diversification can be beneficial for U.S. investors as it reduces their exposure to risks associated with a single country or market. If one market experiences a downturn, other markets where the company operates may continue to perform well, mitigating the impact on the investors' portfolios.

Furthermore, global operations expose U.S. companies to different currencies. This can be advantageous for U.S. investors as currency movements can provide additional diversification benefits.

When a U.S. company earns revenue in foreign currencies, fluctuations in exchange rates can affect the company's profits when converted back to U.S. dollars. If a particular currency strengthens against the U.S. dollar, it can enhance the returns for U.S. investors.

However, it's important to note that investing in U.S. companies with global operations doesn't guarantee complete diversification. Some U.S. multinational companies may still face significant risks related to their overseas operations, such as geopolitical uncertainties, regulatory challenges, or currency volatility.

Additionally, the overall performance of these companies can still be influenced by the health of the U.S. economy, as it may impact their domestic operations and financial results.

In conclusion, while U.S. companies with global operations can provide U.S. investors with international diversification benefits, it should be seen as a component of a well-diversified investment strategy.

Investors should consider a range of asset classes, regions, and industries to achieve optimal diversification and manage risk effectively.

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During 2016, Sigma Company earned service revenue amounting to $860,000, of which $675,000 was collected in cash; the balance will be collected in January 2017. Also in 2016 there were collections of cash prior to the delivery of goods/services totaling $10,600. What amount should the 2016 income statement report for service revenues?

A. $860,000

B. $185,000

C. $675,000

D. $730,000

Answers

The amount that the 2016 income statement should report for service revenues is $860,000.

The $860,000 represents the total service revenue earned by Sigma Company in 2016. This amount includes both cash collections and the balance that will be collected in January 2017. While $675,000 was collected in cash during 2016, the remaining balance of $185,000 is expected to be collected in the subsequent year.

The income statement reflects the revenues earned during a specific period, regardless of when the cash is collected. Therefore, the full amount of $860,000 should be reported as service revenues on the 2016 income statement. This ensures that the income statement accurately represents the total revenue generated by the company during that particular year.

In summary, the income statement for 2016 should report service revenues amounting to $860,000, as it includes both the cash collected during the year and the outstanding balance that will be collected in January 2017.

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