Answer:
C
Explanation:
A P E X
The globalization merely affected the world since the mid-20th century is has made basically and gradually economies around the world more connected Option(c) is correct.
What does Globalization means?Globalization in simple words we can say that migrating or the movement of the companies from merely one place to another for better growth opportunity and profits of the company.
As in the mid 20th century it was that globalization was at high peak it connected people and most of the organization and the companies around the world easily and there was availability more and more of high skill laborers at a low cost.
Therefore Option(c) is correct.
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The purpose of time management is to ________. a. maximize productivity b. write all your tasks out c. allow for delegation d. none of the above please select the best answer from the choices provided a b c d
The purpose of time management is to maximize productivity.
What is time management?Time management is a tool used by an individual to plan how work will be arranged and done.
Time management helps take care of the following:
Creating a daily plan Determining productive timesMaximize productivityHence, the purpose of time management is to maximize productivity.
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Answer:
A
Explanation:
How do fast-food restaurants rationalize the process of providing food to customers, according to Robin Leidner in Fast Food, Fast Talk
According to Robin Leidner, fast-food restaurants rationalize the process of providing food to customers by developing standardized scripts for employees to use when dealing with customers.
There are many advantages associated with the fact that fast-food chains develop standardized scripts for customer service, as this way, they ensure compliance and quality of processes.
Standardization in fast-food restaurants therefore ensures faster service, mechanization of processes and higher quality in food production, since production and service standards must be followed in any unit of a fast-food chain.
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.
Lena thinks someone has stolen her identity. She isn’t sure if she should place a fraud alert on her credit report. She doesn’t understand anything about fraud alerts. What true statement could you teach Lena to help her make a more informed decision?
A fraud alert prevents anyone from viewing your credit report.
A fraud alert can stop anyone from opening any new accounts in your name.
When filing a fraud alert, you must first pay for a credit report.
To place a fraud alert, you must contact all three credit reporting agencies.
Answer:
A fraud alert prevents anyone from viewing your credit report
A fraud alert prevents anyone from viewing the credit report is the true statement could you teach Lena to help her make a more informed decision. Thus, option A is correct.
What is credit report?A credit history is a credit record of a borrower's timely debt repayment. A credit report is a record of a borrower's credit history obtained from a variety of sources, such as banks, credit card companies, collection agencies, and governments.
A credit score is essentially a summary of your credit history, whereas your credit report contains all the specifics of the financial history. The credit report will delve much deeper into your lending history, allowing the lender to examine how a person handled borrowed funds.
Therefore, option A is correct.
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suppose that a company's marginal revenue (dr/dx) from the mmanufacture and saleof a specific item is
Marginal revenue (MR) is the additional revenue generated from selling one additional unit of a product. In the case of the company's manufacture and sale of a specific item, the marginal revenue (MR) would depend on the price elasticity of demand for that item.
If the demand is relatively elastic, meaning a small change in price would result in a large change in quantity demanded, the marginal revenue (MR) would be lower. On the other hand, if the demand is relatively inelastic, meaning a change in price would not significantly affect the quantity demanded, the marginal revenue (MR) would be higher.
Therefore, to calculate the marginal revenue (MR) for the specific item, we need to consider the price elasticity of demand. If the company increases the price of the item and the quantity demanded decreases significantly, the marginal revenue (MR) will be low.
Conversely, if the price increases, but the quantity demanded only decreases slightly, the marginal revenue (MR) will be high. Ultimately, understanding the marginal revenue (MR) for a specific item can help a company determine the optimal price to sell their product and maximize profits.
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Which of the following statements is a strong reason for giving credit to sources of data in a formal business doccument
Answer:
It shows you have done solid research to back up your conclusions.
Multiple choice options for this question are as follows: online source
A). It shows you have done solid research to back up your conclusions.
B). Readers of a business document do not pay attention to sources
C). Giving credit is easier than treating others' ideas as your own
D). It is a requirement of MLA and APA styles
Explanation:
Giving credit to your sources is a phrase that refers to Referencing or citing the source of your information. It is important to the reader or user of the document because they can always go back and verify the data's accuracy. Referencing also leaves a trail that can be used to see the views and opinions of other business people or researchers .
Giving credit to your sources in a formal business document shows you took the time to research the subject matter. It gives the impression that you can relate your ideas to the views of other professionals in the industry.
Answer:
A). It shows you have done solid research to back up your conclusions
Explanation:
How can migrating to an enterprise platform solution help a business improve employee productivity according to brainly in?
Migrating to an enterprise platform sol-ution help a business imp-rove employee product-ivity by allow-ing all employees to access and sha-re the same stored data fast-er.
Project frame-works are a collection of inter-connected software systems with a variety of capa-bilities and the ability to use com-mon data. By sav-ing represent-atives time to focus on import-ant busi-ness duties, the process can be ea-sier.
If the data is sha-red it will be a great deal of time and avo-ids manual mistakes. The inform-ation is access-ible at any mo-ment since it is saved on-line. It bo-osts the over-all effective-ness of the personnel data-base administration proce-dure. Further switch-ing to such an arrange-ment helps an organisation increase work-er efficiency.
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Tubaugh Corporation has two major business segments--East and West. In December, the East business segment had sales revenues of $300,000, variable expenses of $165,000, and traceable fixed expenses of $37,000. During the same month, the West business segment had sales revenues of $970,000, variable expenses of $504,000, and traceable fixed expenses of $185,000. The common fixed expenses totaled $278,000 and were allocated as follows: $139,000 to the East business segment and $139,000 to the West business s
The segment margin for the East business segment is $98,000, and the segment margin for the West business segment is $281,000.
To determine the segment margin for Tubaugh Corporation's East and West business segments, we need to calculate the contribution margin for each segment and subtract their respective traceable fixed expenses.
For the East business segment:
Sales revenue: $300,000
Variable expenses: $165,000
Traceable fixed expenses: $37,000
Contribution margin = Sales revenue - Variable expenses
Contribution margin = $300,000 - $165,000
Contribution margin = $135,000
Segment margin = Contribution margin - Traceable fixed expenses
Segment margin = $135,000 - $37,000
Segment margin = $98,000
For the West business segment:
Sales revenue: $970,000
Variable expenses: $504,000
Traceable fixed expenses: $185,000
Contribution margin = Sales revenue - Variable expenses
Contribution margin = $970,000 - $504,000
Contribution margin = $466,000
Segment margin = Contribution margin - Traceable fixed expenses
Segment margin = $466,000 - $185,000
Segment margin = $281,000
Therefore, the segment margin for the East business segment is $98,000, and the segment margin for the West business segment is $281,000.
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after 2003, the federal reserve usually keeps the discount rate group of answer choices above the target federal funds rate. equal to the target federal funds rate. below the target federal funds rate. equal to zero.
After 2003, the Federal Reserve typically maintains the discount rate group of answer choices below the target federal funds rate.
What is the Federal Reserve?The Federal Reserve, also known as the "Fed," is the US central bank. It regulates monetary policy by controlling the money supply and adjusting interest rates in order to stabilize the economy. The Fed's main objectives are to maximize employment, keep inflation under control, and maintain the stability of the financial system.
The federal funds rate is the interest rate at which banks lend money to one another overnight to meet their reserve requirements. The Federal Reserve uses this rate as a policy tool to adjust the money supply and influence economic growth. Lowering the federal funds rate, for example, makes it easier for banks to borrow money, which increases the money supply and stimulates economic activity.
The discount rate is the interest rate at which banks can borrow money directly from the Federal Reserve. Banks use the discount window when they are unable to meet their reserve requirements by borrowing from other banks at the federal funds rate. The Federal Reserve uses the discount rate as a tool to adjust the money supply and influence economic growth.
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Consider two perfectly negatively correlated risky securities A and B. A has an expected rate of return of 10% and a standard deviation of 16%. B has an expected rate of return of 8% and a standard deviation of 12%. What is the weight of Security A in the global minimum variance portfolio? Format your answer as a percent to 2 decimal places. (e.g. XX.XX% do not show % sign)
Answer:
0.43
Explanation:
The computation of the weight of Security A for the minimum variance portfolio is shown below:
Weight of security A is
= (Standard deviation of Security B) ÷ (Sum of the standard deviation of securities)
= (12%) ÷ (16% + 12%)
= (12%) ÷ (28%)
= 0.43
We simply applied the above formula so that the weight of Security A
________ reflects the link between consumers’ demand for a company’s product and the company’s purchase of necessary inputs to manufacture or assemble that particular product.
Derived Demand reflects the link between consumers’ demand for a company’s product and the company’s purchase of necessary inputs to manufacture or assemble that particular product.
The call for every one of the elements of manufacturing is often referred to as a "derived" demand to emphasize the truth that the relationship between the element's price and the quantity of the element demanded by groups the use of it in manufacturing is directly dependent on the patron name for the very last product(s) the issue.
As a result, the call for exertions is derived name from the call for goods and offerings. For example, if the demand for a first-rate alongside wheat increases, then this results in a growth in the call for hard work, in addition to calls for different factors of production together with fertilizer.
Direct and derived demand. Direct call for is the call for for a completely last precise. food, garb, and cell phones are an instance of this. Also called a self-sustaining call, it's miles impartial of the call for one-of-a-kind merchandise. Derived call for is the call for a product that comes from the usage of others.
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Tariffs provide a price advantage to locally produced goods over imported goods.
true
false
n June 30,2024 , Single Computers issued 4% stated rate bonds with a face amount of $200 million. The bonds mature on June 30,2039 (15 years). The market rate of interest for similar bond issues was 3% (1.5\% semiannual rate). Interest is paid semiannually (2.0\%) on June 30 and December 31 , beginning on December 31,2024. Note: Use tables, Excel, or a financial calculator. (FV of \$1, PV of \$1, EVA of \$1. PVA of \$1, FVAD of \$1 and PVAD of \$1) Required: 1. Determine the price of the bonds on June 30,2024. 2. Calculate the interest expense Single reports in 2024 for these bonds using the effective interest method. Complete this question by entering your answers in the tabs below. Determine the price of the bonds on June 30, 2024. Note: Round percentage answers to one decimal place. Round your final answers to nearest whole dollar amount, not in millions.
Price of the bonds on June 30, 2024: To calculate the price of the bonds on June 30, 2024, we need to find out the present value of the future cash flows associated with the bond. the interest expense that Single reports in 2024 for these bonds using the effective interest method is $3 million.
We know the following: Face amount of bond = $200 million Stated rate of interest = 4%Market rate of interest = 3%Interest payment frequency = Semiannually Maturity period = 15 years, which means there will be 30 semiannual interest payments
First, we need to find the semiannual cash flow. Face value of bond x Stated rate of interest / Semiannual payments = Semiannual interest payment$200 million x 4% / 2 = $4 million
Now, using the formula to calculate the present value of an ordinary annuity,
PV of ordinary annuity = (Payment / Discount rate) x (1 – 1 / (1 + Discount rate) ^ N)PV of ordinary annuity = ($4 million / 1.5%) x (1 - 1 / (1 + 1.5%) ^ 30)PV of ordinary annuity = $94.026 million
Now, we need to find the present value of the face amount of the bond. We can use the formula to calculate the present value of a single sum,
PV of single sum = Face value / (1 + Market rate / Semiannual payments) ^ N Periods PV of single sum = $200 million / (1 + 1.5% / 2) ^ 30PV of single sum = $103.799 million.
Finally, we can add the present values of both the ordinary annuity and single sum to get the price of the bond on June 30, 2024.Price of bond = PV of ordinary annuity + PV of single sumPrice of bond = $94.026 million + $103.799 millionPrice of bond = $197.825 million Therefore, the price of the bonds on June 30, 2024 is $197.825 million.2. Interest expense Single reports in 2024 for these bonds using the effective interest method:
Under the effective interest method, interest expense is calculated by multiplying the carrying amount of the bond at the beginning of the period by the effective interest rate. The effective interest rate is the market rate at the time the bonds were issued and is equal to 3% or 1.5% semiannually, which is the same as the discount rate used to find the present value of the bond.
Using the formula, Carrying amount = Face amount of bond – Accumulated amortization Carrying amount = $200 million – 0 (no amortization has taken place yet)
Carrying amount = $200 million
Effective interest rate = Market rate of interest = 3%Interest expense = Carrying amount x Effective interest rate x Time Interest expense = $200 million x 3% x 6 / 12Interest expense = $3 million.
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Because an insurance policy is a legal contract, it must conform to the state laws governing contracts which require all of the following elements EXCEPT?
All of the following, with the exception of conditions, are required.
Describe insurance.One party will agree to compensate another in the event of a certain loss, damage, or injury in exchange for a fee in order to safeguard oneself from financial loss. It is a risk management technique that is typically used to guard against the danger of a hypothetical loss that may or may not materialise.
An underwriter, insurer, firm, or carrier is a company that provides insurance. A person or organisation that obtains insurance is known as a policyholder, whereas a person or organisation that the policy protects is known as an insured.
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Which of these is not a way of maintaining open communication?
Answer:
d.Talk only to managers for status reports
Explanation:
Answer:
d
Explanation:
Which type of investment would be an example of an investment at point A? a commodity a savings account a mutual fund a stock.
Answer: “ b “ savings account
Explanation:
A savings account serves as a type of investment that would be an example of an investment at point.
What is an investment?An investment is the term that refers to mechanism used to get future income by investing.
These could be purchase of bonds or stocks, however, saving account is investment at a point because you can only save your money in it with little interest.
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A strategy for reducing risk by buying a variety of items so that the failure of one stock or one business does not doom the entire portfolio is known as _____.
Answer: Hi, I'm Jimin...
Korean: hanaui jusig-ina han sa-eob-ui silpaega jeonche poteupollioleul mangchiji anhdolog dayanghan pummog-eul gumaehayeo wiheom-eul jul-ineun jeonlyag-ibnida. ... o poteupollio jeonlyag-eun gieob-i gwanlyeon eobsneun dagaghwaleul tonghae wiheom-eul hwolssin deo jul-il su issdago yecheughabnida.
Explanation:
English: a strategy for reducing risk by buying a variety of items so that the failure of the one stock or one business does not doom the entire portfolio. ... o Portfolio strategy predicts that companies can reduce risk even more through unrelated diversification.
If there is a positive correlation between the number of children a person has and their overall life satisfaction, we would find that people with more children
a. consistently find less satisfaction with their lives.
b. are less satisfied with their lives than are people with fewer children.
c. are no more or less satisfied than those with fewer children.
d. are more satisfied with their lives than are people with fewer children.
e. are less satisfied with their lives than they were before they had children.
The correct option to the sentence "If there is a positive correlation between the number of children a person has and their overall life satisfaction, we would find that people with more children" is:
d. are more satisfied with their lives than are people with fewer children.
Positive correlation, in statistics, indicates that when the value of one variable rises, so does the value of the other variable. In this case, if there is a positive correlation between the number of children a person has and their overall life satisfaction, it indicates that people with more children will be more satisfied with their lives than are people with fewer children. Therefore, option (d) is the correct answer.
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Salary is an example of _____ income. labor, rental, interest, none of the above
Answer:
rental
Explanation:
Business EDG 2021
A salary is an example of labor income. Thus, option A is correct.
What is an income?An income can be defined as the amount which is earned by a person. It can be with respect to any job that he or she has done. It can also be from an investment. It is the amount that is taxable and is being paid to the government
Salary can be defined as the amount an employee or a person who renders a service gets paid. It is for the person who has some expertise in a particular role, and for that, they get a salary.
A salary is an example of labor income. It is because most salaries are based on the services provided. A labor income is also one who renders their service. As a result, salary will be a separate column which will be present.
Therefore, option A is the correct option.
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Helpppp!
what does AP stand for and what does it mean?
Thanks! :)
Acounts payable
Explanation:
Answer: it stands for Associated Press
Explanation: I’m pretty sure it’s business that answers from the name I see.
Need help answer this question please help me
Answer:
b). 4 and 14 units
Explanation:
The equilibrium point is the intersection of demand and supply curves. It is a condition of no excess or shortage in supply or demand in the market. At equilibrium, the quantity demand matches the quantity supplied.
At the equilibrium situation, buyers are willing to purchase the quantity supplied at the stated price. It implies both suppliers and buyers are happy with the current supply and price.
the primary reason for an audit by an independent, external audit firm is to group of answer choices satisfy governmental regulatory requirements. guarantee that there are no misstatements in the financial statements and ensure that any fraud will be discovered. relieve management of responsibility for the financial statements. provide increased assurance to users as to the fairness of the financial statements.
The assurance that statements are created in line with accounting principles and concepts increases the assurance that users have regarding the fairness of the statements of financial status provided by the audit company.
How do you offer an acceptable level of assurance?A sufficient amount of adequate audit evidence must be obtained by the auditor in order to minimize audit risk to an acceptable low level in order to attain reasonable certainty. As a result of the possibility that a major misrepresentation will go unnoticed, there is some uncertainty associated with the use of sampling.By assuring users that statements are created in line with accounting principles and concepts, the audit firm can boost users' confidence in the accuracy of the statements of financial condition.The assurance that statements are created in line with accounting principles and concepts increases the assurance that users have regarding the fairness of the statements of financial status provided by the audit company.To learn more about Assurance refer to:
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influences of Business environment,
Factors that Influence the business environment are :
Economic environmentSocial environmentTechnological environmentPolitical environmentLegal environment
The business environment means the total of all the individuals, and institutions that could affect the working of the business firm.
Importance of business environment:
Business environments help the firm to prepare itself for every possible obstruction or hindrance that can affect the functioning of the firm.It also helps the firm to adjust to frequent changes.The economic environment is all the things that create an economic impact on the firm.
The social environment is all the traditions and customs of the society that creates an impact on the firm.
The technological environment is all the impact on the firm caused due to new technology and upgradations.
The political environment is the conditions and behavior that the elected representatives hold toward the business
The legal environment is entirely based on the rules and legislation of the authorities.
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Please answer part a and b Thanks! I will upvote
Sora Industries has 65 million outstanding shares, $127 million in debt, $59 million in cash, and the following projected free cash flow for the next four years:
Year
Earnings and FCF Forecast ($ million)
1 Sales
2 Growth vs. Prior Year
3 Cost of Goods Sold
4 Gross Profit
0
1
2
3
433.0
468.0
516.0
547.0
574.3
8.1%
10.3%
6.0%
5.0%
(313.6)
(345.7) (366.5)
(384.8)
154.4
170.3
180.5
189.5
5 Selling, General, & Admin.
(93.6)
(103.2)
(109.4)
(114.9)
6 Depreciation
(7.0)
(7.5)
(9.0)
(9.5)
7 EBIT
53.8
59.6
62.1
65.2
8 Less: Income Tax at 40%
(21.5)
(23.8)
(24.8)
(26.1)exc... 7 EBIT
53.8
59.6
62.1
8 Less: Income Tax at 40%
(21.5)
(23.8)
(24.8)
65.2 (26.1)
9 Plus: Depreciation
7.0
7.5
9.0
9.5
10 Less: Capital
(7.7)
(10.0)
(9.9)
(10.4)
Expenditures
11 Less: Increase in NWC
(6.3)
(8.6)
(5.6)
(4.9)
12 Free Cash Flow
25.3
24.6
30.8
33.3
a. Suppose Sora's revenue and free cash flow are expected to grow at a 5.2% rate beyond year four. If Sora's weighted average cost of capital is 9.0%, what is the value of Sora stock based on this information?
The stock price for this case is $
(Round to the nearest cent.)
b. Sora's cost of goods sold was assumed to be 67% of sales. If its cost of goods sold is actually 70% of sales, how would the estimate of the stock's value change?
The stock price for this case, when COGS increases, is S
(Round to the nearest cent.)
The stock price for this case, with a COGS of 70% of sales, will be different from the previous value of $252.70. However, without the specific sales figures, it's not possible to calculate the exact new stock price.
a. To calculate the value of Sora's stock based on the given information, we can use the formula for the present value of the expected future free cash flows. Since the free cash flow is expected to grow at a constant rate beyond year four, we can use the Gordon growth model:
Stock Value = (FCF Year 1 / (1 + WACC)^1) + (FCF Year 2 / (1 + WACC)^2) + ... + (FCF Year 4 / (1 + WACC)^4) + (FCF Year 5 / (WACC - Growth Rate))
Let's calculate the stock value using the given information:
FCF Year 1 = $25.3 million
FCF Year 2 = $24.6 million
FCF Year 3 = $30.8 million
FCF Year 4 = $33.3 million
FCF Year 5 = FCF Year 4 * (1 + Growth Rate) = $33.3 million * (1 + 0.052) = $35.0156 million
WACC = 9.0%
Growth Rate = 5.2%
Stock Value = ($25.3 / (1 + 0.09)^1) + ($24.6 / (1 + 0.09)^2) + ($30.8 / (1 + 0.09)^3) + ($33.3 / (1 + 0.09)^4) + ($35.0156 / (0.09 - 0.052))
Calculating the above expression, we find that the stock value is approximately $252.70.
Therefore, based on the given information, the value of Sora's stock is $252.70.
b. If Sora's cost of goods sold (COGS) increases from 67% to 70% of sales, it will affect the free cash flow estimates and consequently the stock's value.
To recalculate the stock's value with a COGS of 70% of sales, we need to adjust the cost of goods sold figures for each year:
Adjusted COGS Year 1 = 0.70 * Sales Year 1
Adjusted COGS Year 2 = 0.70 * Sales Year 2
Adjusted COGS Year 3 = 0.70 * Sales Year 3
Adjusted COGS Year 4 = 0.70 * Sales Year 4
Then, we can use the adjusted figures to calculate the new free cash flows and recalculate the stock's value using the same formula as in part a.
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"Who is responsible for filing a U-5 Form with IARD when an investment adviser representative is terminated and associates with another advisory firm?"
Answer: The investment adviser that is the former employer is responsible
Explanation:
U-5 is a security industry termination form filled by the employer that terminates an individuals employment.
When the individual relates with another advisory firm, the new employer now reactivates the individuals registration by filling a U-4 with IARD. The employee is not really notified when both forms are filled
Described below are certain transactions of Bridgeport Corporation. The company uses the periodic inventory system.
1. On February 2, the corporation purchased goods from Martin Company for $75,400 subject to cash discount terms of 2/10. n/30. Purchases and accounts payable are recorded by the corporation at net amounts after cash discounts. The invoice was paid on February 26,
2. On April 1. the corporation bought a truck for $48,000 from General Motors Company, paying $5,000 in cash and signing a one-year, 12% note for the balance of the purchase price.
3. On May 1, the corporation borrowed $80,700 from Chicago National Bank by signing a $89,820 zero-interest-bearing note due one year from May 1.
4. On August 1, the board of directors declared a $284.400 cash dividend that was payable on September 10 to stockholders of record on August 31.
These transactions involve the purchase of goods, acquisition of a truck, borrowing funds, and declaring a cash dividend. Each transaction has its own financial impact on the corporation, affecting its assets, liabilities, equity, and cash flows.
The transactions of Bridgeport Corporation can be summarized as follows:
On February 2, the corporation purchased goods from Martin Company for $75,400. The purchase was subject to cash discount terms of 2/10, n/30. The corporation records purchases and accounts payable at net amounts after cash discounts. The invoice was paid on February 26.
On April 1, the corporation bought a truck from General Motors Company for $48,000. They paid $5,000 in cash and signed a one-year, 12% note for the balance of the purchase price.
On May 1, the corporation borrowed $80,700 from Chicago National Bank by signing a $89,820 zero-interest-bearing note. The note is due one year from May 1.
On August 1, the board of directors declared a $284,400 cash dividend. The dividend was payable on September 10 to stockholders of record on August 31.
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Define Logistics Management and Transportation Management. Explain how logistics productivity issues and improvement affect the economy as a whole as well as the position of individual consumer?
Word Count: 3000 word
Logistics management is the process of planning, implementing and controlling the efficient and effective flow and storage of goods and services from the point of production to consumption. It includes managing various activities within the supply chain such as transportation, inventory management, warehousing and packaging.
Transportation management focuses on planning, implementing and optimizing the movement of goods and materials. It includes coordinating and managing transportation networks, carrier selection, route optimization and ensuring on-time and cost-effective delivery.
Logistics productivity have a huge impact on the economy and individual consumers. Improved productivity leads to lower costs, faster delivery times and lower inventory holding costs, resulting in more competitive prices. This allows businesses to work more efficiently, reduce supply chain bottlenecks, and improve overall economic productivity.
Overall, improved logistics productivity will increase competitiveness, support economic growth, and deliver greater value to consumers through improved service levels, reduced costs, and increased availability of goods and services benefiting the economy.
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A supervisory body, a source of public good, and an entity that reallocates income are all _____. roles of an entrepreneur roles of government things a government is not responsible for things an entrepreneur is responsible for
Answer:
roles of government
Explanation:
free creditsssssssssssssssssssssssssssss
Answer:
ty
Explanation:
Question 4 of 10
Which of the following is not a characteristic of both experiments and
surveys?
A. The researcher exercises direct control over at least one variable.
B. The data collected might be studied for patterns.
C. Subjects should be randomly selected.
D. Data are collected about a population.
SUBMIT
Answer:
C, Subjects should be randomly selected.
If you want a good result, you shouldn't throw random subjects in your survey.I hope this helped at all.
Why can communicating with someone with a different background than yours present challenges?