jonathan is the owner of a landscaping company that caters to a very wealthy clientele. his company has struggled to differentiate itself from the other high-end landscapers in the area, but because he has hired several expensive but highly qualified team members, jonathan is unable to shift to a cost-leadership strategy. which strategy is most likely to achieve a competitive advantage?

Answers

Answer 1

Reduce the scope of competition and concentrate on distinguishing features such as the use of organic materials .

What is Corporate Stratetgy ?

A corporate strategy is a long-term plan that outlines a company's specific goals. While each goal's objective may differ, the ultimate goal of a corporate strategy is to improve the company.

The corporate strategy of a company may be to focus on sales, growth, or leadership. For example, a company may implement a corporate strategy to increase sales to new markets or consumers.

It may also employ corporate strategy in order to prioritize resources. Another goal of corporate strategy is to create value for the company and to motivate employees to work toward that value or set of goals.

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X-Perience manufactures snowboards. Its cost of making 24,900 bindings is as follows: (Click the icon to view the costs. ) Suppose an outside supplier will sell bindings to X-Perience for $14 each. X-Perience will pay $2. 00 per unit to transport the bindings to its manufacturing plant, where it will add its own logo at a cost of $0. 70 per binding. Read the requirements. Х Data table Requirements w whether the company should ma ce column when the cost to make e Direct materials $ 27,000 84,000 Direct labor. Variable manufacturing overhead Fixed manufacturing overhead 54,000 84,000 1. X-Perience's accountants predict that purchasing the bindings from the outside supplier will enable the company to avoid $2,000 of fixed overhead. Prepare an analysis to show whether the company should make or buy the bindings. 2. The facilities freed by purchasing bindings from the outside supplier can be used to manufacture another product that will contribute $3,400 to profit. Total fixed costs will be the same as if X-Perience had produced the bindings. Show which alternative makes the best use of X-Perience's facilities: (a) make bindings, (b) buy bindings and leave facilities idle, or (c) buy bindings and make another product. $ 249,000 Total manufacturing costs Cost per pair ($249,000 = 24,900) $ 10. 00 X-Perience manufactures snowboards. Its cost of making 24,900 bindings is as follows: Requirement 1. X-Perience's accountants predict that purchasing the bindings from the outside supplier will enable the company to avoid $2,000 of fixed overhead. Prepare an analysis to show whether the company should make or buy the bindings. (Enter a "o" for any zero balances. Round any per unit amounts to the nearest cont and your final answers to the nearest whole dollar. Use a minus sign or parentheses in the Difference column when the cost to make exceeds the cost to buy. ) a Incremental Analysis Outsourcing Decision Make Bindings Buy (Outsource) Bindings Difference Variable Costs Plus: Fixed Costs Total cost of 24,900 bindings Decision Requirement 2. The facilities freed by purchasing bindings from the outside supplier can be used to manufacture another product that will contribute $3. 400 to profit. Total fixed costs will be the same as if X-Perience had produced the Show which alternative makes the best use of X <-Perlence's facilities: (a) make bindings. (b) buy bindings and leave facilities idle, or (c) buy bindings and make another product. (Enter a 'o'for any zero balances. Round any per unit amounts to e bindings the nearest cent and your final answers to the nearest whole dollar. ) Buy (Outsource) Bindings Incremental Analysis (a) Make (b) Leave (c) Make Outsourcing Decision Binding Facilities Idle Another Product Variable Costs Plus: Fixed Costs Total cost of 24,900 bindings Less: Profit from another product Net cost Decision:

Answers

Requirement 1: X-Perience should outsource the bindings since it can save $5.70 ($16.70 - $10.99) per binding, or $141,930 ($5.70 × 24,900) in total.

Requirement 2: X-Perience should buy bindings from an outside supplier and use the facilities to manufacture another product.

1. Analysis to show whether the company should make or buy the bindings:X-Perience should buy bindings from the outside supplier. Here's why:Variable costs per binding:

Direct materials: $27,000/24,900 = $1.08Direct labor: $84,000/24,900 = $3.37Variable manufacturing overhead: $54,000/24,900 = $2.17Total variable cost per binding: $6.62

Total cost per binding if X-Perience makes it:Variable cost per binding: $6.62Fixed manufacturing overhead cost per binding: $84,000/24,900 = $3.37

Total cost per binding: $10.99X-Perience will pay $14 + $2 + $0.70 = $16.70 per binding to buy from an outside supplier. The cost to make each binding is $10.99. Therefore, X-Perience should outsource the bindings since it can save $5.70 ($16.70 - $10.99) per binding, or $141,930 ($5.70 × 24,900) in total.

2. Analysis to show which alternative makes the best use of X-Perience's facilities:X-Perience should buy bindings from an outside supplier and use the facilities to manufacture another product since it will lead to the highest profit. Here's why:

Total fixed cost of making the bindings: $84,000 + $84,000 = $168,000

Total cost of making the bindings: $249,000 + $168,000 = $417,000

Total profit from making another product: $3,400Total cost of outsourcing bindings: $16.70 per binding × 24,900 = $416,730

Total net cost of making another product after outsourcing the bindings: $416,730 - $3,400 = $413,330If X-Perience makes bindings, then it has no facilities left to manufacture another product, so the total profit will be $0. If X-Perience buys bindings and leaves the facilities idle, then the total profit will be $0. However, if X-Perience buys bindings and makes another product, then the total profit will be $3,400. Therefore, X-Perience should buy bindings from an outside supplier and use the facilities to manufacture another product.

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5. A number with the addition of itself becomes 38. What
is the number?

Answers

Answer:

19+19=38

...........................

To find the answer to this, just divide the given variable (38) by 2. Which is 19

Your manager tells you that a project design is confidential. What should you do?

Answers

Answer:

listen to him and try and talk about it with him and dont tell nobody else about it...

Explanation:

match each type of area with the correct level of housing prices?
URBAN
EXURBAN
SUBURBAN

LOW HOUSING PRICES
MEDIUM HOUSING PRICES
HIGH HOUSING PRICES

Answers

Answer and Explanation:

The matching of the area with the level of housing prices is as follows

Urban = High housing prices

As urban refers to that area in which there is a large population so of course the prices of the houses are high

Exurban = Low housing prices

The exurban is located in the rural areas in which there are less populations as compared to sub

Suburban = Medium housing prices

In this the population is more than the exurban

What is the marginal revenue and marginal cost for this diagram?

What type of market is this? Explain your answer

What is the marginal revenue and marginal cost for this diagram?What type of market is this? Explain

Answers

Marginal revenue :

2060120200300420560

Marginal cost :

108210192640

It is a Monopolistic market structure because marginal revenue is greater than the marginal cost.

Marginal Revenue is the increase in the revenue by selling one extra product in the market. It is calculated by the Change in revenue divided by the change in output.

Marginal cost is the change in cost by producing one extra unit of output. It is calculated by a change in cost divided by the change in units.

Monopolistic market structure is where there are multiple companies producing similar products in the market.Example for monopolistic structure can be a grocery store.

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Lee Ray bought 250 shares of a mutual fund with a NAV of $13.85. This fund also has a load charge of 7%.



a. What is the offer price? (Round your intermediate and final answer to the nearest cent.)



b. What did Lee pay for his investment? (Round your intermediate and final answer to the nearest cent.)


Answers

Answer: a. $14.9

b. $3725

Explanation:

a. What is the offer price?

This will be calculated as:

= NAV / (1 - load charge %)

= 13.85 / (1 - 7%)

= 13.85 / (1 - 0.07)

= 13.85 / (0.93)

= $14.9

B. What did Lee pay for his investment?

This will be:

= Number of shares bought × Offer price

= 250 × $14.9

= $3725

15 points!
You will need to revise your budget to account for a car payment.

Which expense category would be the most difficult to change or reduce?

entertainment -Not the answer
rent
savings
groceries

thank you!

15 points!You will need to revise your budget to account for a car payment.Which expense category would

Answers

Answer:

rent

Explanation:

The rent expense will be difficult to revise. Usually, the rent amount is contained in a tenancy agreement signed by both the landlord and the tenant. The rent amount does not change until the lease or tenancy agreement expires. Changing the rent amount would require the landlord's consent.

Due to the above reasons, rent is classified as a fixed cost. It remains constant in the short run.

Answer:

rent

Explanation:

is the correct answer

which of the following will preclude the mortgagee’s right to foreclose upon the mortgagor’s default?

Answers

Several reasons can prevent a mortgagee from foreclosing upon default.

Loan modification: If the mortgagee and mortgagor agree to modify the loan terms, such as the payment schedule or interest rate, it may prevent foreclosure if the new terms are followed.

Forbearance Agreement: The mortgagee temporarily suspends or reduces mortgage payments under a forbearance agreement. Loan Assumption: Foreclosure may be avoided if the mortgagor transfers the mortgage to a new borrower who fits the lender's standards and assumes the loan. Bankruptcy Filing: An automatic stay stops foreclosure proceedings and allows a mortgagor to restructure debts or create a repayment plan. Redemption Rights: Some jurisdictions allow mortgagors to redeem their property by paying the full amount outstanding before foreclosure.

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A mortgagee's ability to foreclose following the mortgagor's default may be hindered by a number of issues. Here are a few possible scenarios. Loan Modification: The capacity of the mortgagee to start foreclosure proceedings may be impacted.

If the mortgagor and mortgagee agree to alter the conditions of the mortgage. Such as reducing the interest rate or extending the payback time. The mortgagee would need to approve the adjustment. Forbearance Agreement The mortgagee may accept a forbearance agreement when the mortgagor encounters brief financial hardship. This enables the mortgagee to cut or temporarily stop making mortgage payments. Foreclosure may be avoided if the conditions of the agreement are followed by both parties. Protection from Foreclosure: The filing of a bankruptcy petition may give the mortgage holder legal defense against that action.

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I'maSolarPanelCo. manufactures and distributes solar panels in the US market. Two years ago, it had 5 US competitors, but government stimulus in the industry has encouraged 7 new US competitors to enter the market. In these circumstances, I'maSolarPanelCo.'s price for its output
a. can be tailored to exceed the price of its inputs.
b. is dictated by the forces of demand and supply.
c. can be tailored to meet the price of its inputs.
d. can be set by management to maximize profits.

Answers

Answer:

B

Explanation:

The situation of the market as described in the scenario is a competitive market. In a competitive market , there are numerous producers that are always in competition with one another . This has taken away the power of dictating the market from just a particular producer . unlike in a monopoly situation.

Price setting is a perfect competition is determined by the market forces of demand and supply.

Conclude an entry barriers essay

Answers

Entry barriers refer to the obstacles that prevent new companies from entering a particular market or industry. The goal of implementing entry barriers is to create a competitive advantage for existing companies, which makes it difficult for new players to enter and compete in the market.

There are many different types of entry barriers, including economies of scale, access to distribution channels, regulatory hurdles, intellectual property rights, and brand recognition. It's important to note that entry barriers can have both positive and negative effects on competition and consumer welfare.

In conclusion, entry barriers can be an effective way for companies to maintain their competitive edge and protect their market share. However, policymakers and regulators must also consider the potential negative consequences of entry barriers, such as reduced innovation and higher prices for consumers. Ultimately, finding the right balance between promoting competition and protecting existing companies is key to maintaining a healthy and dynamic economy.

Different things are important to you at different stages in life. For example, for a high school student, having a car may be the number one priority. As you get older your priorities change. Believe it or not, at some point in your life, you are going to want to think about retirement!

In Unit 6, the insurance unit, you learned about managing the risk of and insuring for the different stages of life. Now, we are looking at how to fund (invest for) similar stages of life. Just like with insurance, different types of considerations need to be made at each stage of life when you are investing.

After the successful completion of this assignment, you will be able to say:

I can describe the importance of estate planning and funding requirements for different stages of life.
I can explain the regulation of investments to protect consumers and investors.
I can compare and contrast long term retirement investments.
You are allowed only two completed attempts for this lesson. This activity will count for 30% of your grade in this unit.

Answers

It is crucial to think about estate planning and funding requirements as we move through different periods of life, to be aware of investment rules, and to pick the best long-term retirement investment options.

What makes self-management crucial for students?

Students who have good self-control may stick to their goals and finish homework, prepare for exams, and pay attention in class. Developing a new professional skill or accomplishing a goal are examples of learning- or life-related goals that adults must reach.

How crucial are communication skills for students?

Strong communication abilities ensure that students will always participate more actively in class. This contact will make it easier to comprehend the things being taught. Graduation improvements and eventual academic achievement would follow from this.

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the largest portion of the workload of the trial courts is related to:

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The largest portion of the workload of the trial courts is related to criminal cases.

What factors contribute to the high volume of criminal cases in trial courts?

Criminal cases account for a significant portion of the workload in trial courts due to several factors. Firstly, the prevalence of criminal activity in society leads to a substantial number of cases being filed. Crimes such as theft, assault, drug offenses, and property crimes contribute to the workload. Additionally, the legal framework and law enforcement efforts focused on prosecuting criminal offenses further contribute to the volume of cases.

Furthermore, the complexity of criminal cases often necessitates more time and resources compared to civil cases. Criminal cases involve gathering evidence, conducting investigations, interviewing witnesses, and presenting the case in court. The adversarial nature of criminal trials, with both the prosecution and defense presenting their arguments, requires thorough examination of evidence and legal arguments, leading to longer trial durations.

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What are the phases of Design Thinking and discuss its importance

Answers

Answer:

Design thinking is a non-linear, iterative process that teams use to understand users, challenge assumptions, redefine problems and create innovative solutions to prototype and test. Involving five phases—Empathize, Define, Ideate, Prototype and Test—it is most useful to tackle problems that are ill-defined or unknown.

Explanation:

Answer: Design thinking is a non-linear, iterative process that teams use to understand users, challenge assumptions, redefine problems and create innovative solutions to prototype and test. Involving five phases—Empathize, Define, Ideate, Prototype and Test—it is most useful to tackle problems that are ill-defined or unknown.

Explanation:

net cash flows provided by operating activities will be ______ when using the direct method compared to the indirect method.

Answers

According to cash flow operation analysis, the net cash flows provided by operating activities will be the same when using the direct method compared to the indirect method.

Net Cash flows are used in business management to describe the profit or loss of capital in a given period.

Typically, a positive Net Cash Flows occurs when the is a surplus of cash after paying the expenses.

Hence, in this case, it is concluded that the correct answer is "the same."

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Cash flows from operating activities often shows the net amount of cash that was received or disbursed during a given period of time. Net cash flows provided by operating activities will be the same as when using the direct method compared to the indirect method.

The direct method is often use in  calculating the flow that involves deducting from cash sales.

Cash flow statements is simply defined as the statement that shows the cash receipts, cash payments and net changes in cash that takes place as a result of operating, investing, and financing activities in an accounting period.

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Substitution and income effects of a change in price of a good may be used to explain the
direct relationship between price and quantity purchased.
O inverse relationship between price and quantity demanded.
direct relationship between price and quantity supplied.
direct relationship between income and demand.

Answers

Substitution and income effects of a change in price of a good may be used to explain the inverse relationship between price and quantity demanded.

What is the income and substitution effect?

The substitution effect looks at the change in price of a good relative to other goods. If the price of a good falls, it becomes cheaper relative to other goods. As a result, consumers buy more of the good relative to other goods.

The income effect looks at how a change in price affects real disposable income. When the price of a good decreases, real disposable income increases. As a result, consumers can afford to buy more of the good as the consumers purchasing power has increased, holding money income constant.

So, when price falls, there is an increase in the quantity demanded. This is an inverse relationship.

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Tickets to a fundraiser are $14 if purchased ahead of time and $25 if purchased at the door. The total amount raised from all ticket sales was $625. If eleven tickets were purchased at the door, how many tickets were purchased ahead of time?.

Answers

25 tickets

($14)(25)=$350
($25)(11)=$275
$350+$275= $625

if two coworkers are seeking promotion to the same job, they would likely fall into which method of resolving disputes?

Answers

If two coworkers are seeking promotion to the same job, they would likely fall into the category of interpersonal conflict.

Interpersonal conflict is a type of conflict that arises between individuals or groups due to differences in personalities, attitudes, beliefs, values, or interests. In this case, the conflict is between two coworkers who both want the same job, and they may have different qualifications, experiences, or performance records.

The most appropriate method of resolving disputes in this situation would be negotiation. Negotiation is a process in which two or more parties communicate with each other to reach a mutually acceptable solution. The coworkers could sit down together and discuss their qualifications, experiences, and performance records, and try to find a solution that satisfies both parties. They could also involve their supervisor or human resources department to facilitate the negotiation process and provide guidance on the promotion criteria and decision-making process. By negotiating a solution, the coworkers could avoid escalating the conflict, preserve their working relationship, and achieve a fair and mutually beneficial outcome.

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When the Brazilian real declines in value against the euro, a European-based company that makes all of its goods at a plant in Brazil and then exports the Brazilian-made goods to those European countries where the currency is euros a. has no interest in whether the euro grows stronger or weaker versus the Brazilian real. b. is in better position compete against the makers of the same good whose plants are located in euro-based European countries. c. is likely to lose sales and market share and become less profitable. d. is in worse position to compete against the makers of the same good whose plants are located in the United States. e. is in worse position to compete against the makers of the same good whose plants are located in euro-based European countries.

Answers

When the Brazilian real declines in value against the euro, a European-based company that makes all of its goods at a plant in Brazil and then exports the Brazilian-made goods to those European countries where the currency is euros is in a better position to compete against the makers of the same good whose plants are located in euro-based European countries (option b).

This is because the cost of production in Brazil will be lower due to the weaker Brazilian real. As a result, the European-based company can produce goods at a lower cost in Brazil, and when they export these goods to European countries, the company can either offer more competitive prices or maintain the same prices and achieve higher profit margins. In either case, this puts the company at an advantage when competing against manufacturers who produce goods in euro-based European countries, where production costs are likely to be higher due to the stronger euro.

In summary, a weaker Brazilian real relative to the euro allows the European-based company with production facilities in Brazil to gain a competitive edge in the market by having lower production costs, leading to either more attractive pricing or increased profitability compared to competitors with production facilities in euro-based European countries.

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A farmer producing soybeans sells her product in a perfectly competitive market. The current market price of soybeans is $20 a bushel. If the farmer asks $21 per bushel for her soybeans, she will sell a. half of her crop. b. all she wants. c. zero. d. the amount that maximizes her profit

Answers

Answer: 41 Dolars

Explanation: easy

Richard Rambo presently owns the Marine Tower office building, which is 20 years old, and is considering renovating it. He purchased the property two years ago for $800,000 and financed it with a 20-year, 75 percent loan at 4.5 percent interest (monthly payments). Of the $800,000, the appraiser indicated that the land was worth $200,000 and the building $600,000. Rambo has been using straight-line depreciation over 39 years (1/39 per year for simplicity). At the present time Marine Tower is producing $52,000 in NOI, and the NOI and property value are expected to increase 2 percent per year. The current market value of the property is $820,000. Rambo estimates that if the Marine Tower office building is renovated at a cost of $200,000, NOI will be about 20 percent higher next year ($62,400 vs. $52,000) due to higher rents and lower expenses. He also expects that with the renovation the NOI will increase 3 percent per year instead of 2 percent. Furthermore, Rambo believes that after five years, a new investor will purchase the Marine Tower office building at a price based on capitalizing the projected NOI six years from now at a 6 percent capitalization rate. Selling costs would be 6 percent of the sale price. Rambo is currently having to pay 35 percent tax on ordinary income, 20 percent on capital gain, and 25 percent on depreciation recapture which he expects to remain the same in the future. He also would not be subject to any passive activity loss limitations. If Rambo does the renovation, he believes that he could obtain a new loan at a 5 percent interest rate and a 20-year loan term (monthly payments).
Required: a. Assume that if Rambo does the renovation, he will be able to obtain a new loan that is equal to the balance of the existing loan plus 75 percent of the renovation costs. What is the incremental return (ATIRRe) for doing the renovation versus not doing the renovation? Assume a five-year holding period.

Answers

The incremental return (ATIRRe) for doing the renovation versus not doing the renovation can be calculated using the following steps. it would be beneficial for Rambo to do the renovation as it would result in a higher incremental return compared to not doing the renovation.

First, calculate the new NOI after renovation, which is $62,400 (20% higher than the current NOI of $52,000). Then, calculate the projected NOI after five years with and without renovation. With renovation, the projected NOI after five years is $77,438 ($62,400 * 1.03^5), and without renovation, it is $69,325 ($52,000 * 1.02^5). Next, calculate the selling price of the property with and without renovation. With renovation, the selling price would be $1,230,864 ($77,438 / 0.06 - $77,438 * 0.06), and without renovation, it would be $1,103,629 ($69,325 / 0.06 - $69,325 * 0.06). Subtract the selling costs (6% of the selling price) from each selling price to get the net selling price. With renovation, the net selling price would be $1,156,003 ($1,230,864 - $73,881), and without renovation, it would be $1,038,939 ($1,103,629 - $64,694).

Next, calculate the tax implications of the renovation. The renovation cost of $200,000 can be depreciated over 39 years, resulting in a yearly depreciation of $5,128 ($200,000 / 39). Rambo's annual tax savings from depreciation recapture would be $1,282. Rambo would also save on taxes due to the interest deduction on the new loan. Assuming Rambo finances the renovation with a new loan of $350,000 ($200,000 * 75% + $600,000 * 25%), his annual interest expense would be $20,737 ($350,000 * 0.05). His tax savings from the interest deduction would be $7,267 ($20,737 * 0.35).

Finally, calculate the incremental return by subtracting the costs of renovation and financing from the net selling price with renovation and adding the tax savings from depreciation recapture and interest deduction. The costs of renovation and financing would be $28,745 ($200,000 + $350,000 * 0.75). The tax savings from depreciation recapture and interest deduction would be $8,549 ($1,282 + $7,267). Therefore, the incremental return (ATIRRe) would be $96,808 ($1,156,003 - $28,745 - $820,000 + $8,549). The incremental return percentage would be 11.8% ($96,808 / $820,000) over a five-year holding period. Therefore, based on these calculations, it would be beneficial for Rambo to do the renovation as it would result in a higher incremental return compared to not doing the renovation.

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A customer buys a $1,000 par Treasury Inflation Protection security with a 4% coupon and a 10 year maturity. If the inflation rate during the first year of the security's life is 5%, the: I coupon rate is adjusted to 9% II coupon rate remains at 4% III principal amount is adjusted to $1,050 IV principal amount remains at $1,000

Answers

A customer buys a $1,000 par Treasury Inflation Protection security with a 4% coupon and a 10-year maturity. If the inflation rate during the first year of the security's life is 5%, the principal amount is adjusted to $1,050. Therefore, the correct option is III.

Treasury Inflation Protection Security (TIPS) are government-issued securities that adjust their principal and interest payments with inflation. They are intended to protect against inflation, which erodes the purchasing power of a portfolio over time.TIPS are among the most effective inflation-fighting investments. TIPS are created in such a way that they have a real interest rate plus a bonus that corresponds to the expected inflation rate. This implies that TIPS' coupon payments and principal are adjusted based on changes in the Consumer Price Index (CPI) on a regular basis.TIPS securities pay a fixed interest rate on the principal, which is adjusted semi-annually based on the Consumer Price Index (CPI).As we know that a customer buys a $1,000 par Treasury Inflation Protection security with a 4% coupon and a 10-year maturity.

If the inflation rate during the first year of the security's life is 5%, then the principal amount is adjusted to $1,050. Therefore, the correct option is III.

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Careers emerging to improve environmental conditions include:


sanitary engineer

red physician

environmental geologist

green architect

Answers

Answer: The answer is green architect & environmental geologist.

Explanation:

Answer:

green architect and environmental geologist

Explanation:

Find and share an example of either an anti- or alter-globalization discourse that you have come across in your daily life or in your research for the course analysis assignments that does not directly come from a politician. Be sure to site where you found it if you are quoting from a news article or other media. explain how the example you shared fits into anti- or alter-globalization discourses.

Answers

My purpose is to assist and provide information to the best of my abilities, regardless of the sources of my training data. That being said, I can provide you with a general example of an alter-globalization

discourse that is commonly discussed in academic and activist circles. One prominent figure associated with alter-globalization is Noam Chomsky, a linguist, philosopher, and social critic. Chomsky is known for his critiques of dominant global economic system, which he sees as prioritizing profit and power discourse over the needs of people and the environment. He highlights perspectives that advocate for alternative economic models that prioritize social justice, environmental sustainability, and democratic participation. Alter-globalization aims to challenge and transform the current global economic order by promoting fair trade, labor rights, ecological sustainability, and grassroots share  movements. While I cannot provide a specific real-life example outside of a political context, Chomsky's work and ideas have influenced a wide range of activists, scholars, and movements involved in alter-globalization discourses.

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What is the major way in which the roles and obligations of the owners of a limited liability company differ from the roles and obligations of limited partners in a limited partnership?A. There is no separation between the company and its owners in a limited liability company. B. The owners of a limited liability company can withdraw from the company without the company being dissolved. C. The owners of a limited liability company have personal obligation for debts incurred by the company. D. The owners of a limited liability company can take an active role in running the company.

Answers

The major way in which the roles and obligations of the owners of a limited liability company differ from the roles and obligations of limited partners in a limited partnership is that in a limited liability company, there is no separation between the company and its owners. The correct option is A.

And the owners have limited liability for the debts and obligations of the company. This means that the owners of a limited liability company are not personally liable for the debts and obligations of the company, and their liability is limited to the amount of their investment in the company.

Additionally, the owners of a limited liability company can take an active role in running the company, whereas limited partners in a limited partnership are typically passive investors with limited control over the operations of the company.

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John is out shopping to buy wall decorations for his new man-cave. Which situational characteristic is influencing his behavior?
A- Social surroundings
B- Task definition
C-Temporal perspective
Temporarily feeling hungry, tired or angry are examples of
A- Antecedent states
B- Self-concept
C- None

Answers

1. The situational characteristic influencing John's behavior is A - Social surroundings.

2. Temporarily feeling hungry, tired, or angry are examples of A - Antecedent states.

1. The situational characteristic influencing John's behavior in this scenario is A - Social surroundings.

The presence of other shoppers or friends with him can affect his choices and preferences for wall decorations.

Their opinions, suggestions, or the desire to fit in with the social group may influence his decision-making process.

2. Temporarily feeling hungry, tired, or angry are examples of A - Antecedent states.

These states refer to the individual's momentary physical or emotional conditions that can impact their behavior.

When John is hungry, tired, or angry while shopping for wall decorations, it can affect his mood, patience, and overall decision-making process, potentially influencing the choices he makes.

These temporary states can influence his perception, preferences, and level of engagement in the shopping experience.

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View Policies Current Attempt in Progress Sandhill Inc. is considering Plan 1 that is estimated to have sales of $39,200 and costs of $15,190. The company currently has sales of $36,260 and costs of $13,720. Compare plans using incremental analysis. If Plan 1 is selected, there would be incremental in?

Answers

If Plan 1 is selected, there would be incremental income of $2,290.

To compare the two plans using incremental analysis, we need to calculate the difference in income between the two plans. Incremental income represents the change in income that would result from selecting Plan 1 over the current plan.

Sales for Plan 1: $39,200

Costs for Plan 1: $15,190

Sales for the current plan: $36,260

Costs for the current plan: $13,720

Incremental income = (Sales for Plan 1 - Costs for Plan 1) - (Sales for the current plan - Costs for the current plan)

= ($39,200 - $15,190) - ($36,260 - $13,720)

= $24,010 - $22,540

= $2,290

Therefore, if Plan 1 is selected, there would be incremental income of $2,290

Based on incremental analysis, selecting Plan 1 would result in an incremental income of $2,290 compared to the current plan. This indicates that Plan 1 is expected to generate additional income for Sandhill Inc.

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Suppose the price of a cookie is $1.50 and cookies are produced in a competitive market. When Cathy's Cookies produces 200 cookies, the average fixed cost is $2.00, the average variable cost is $1.00 and the marginal cost is $1.50. To maximize profit, Cathy should a.continue producing 200 cookies in the short run b.produce more than 200 cookies in the short run c.produce fewer than 200 cookies but continue producing in the short run d.shut down in the short run

Answers

To maximize the profit Cathy should (B) produce more than 200 cookies in the short run.

What is the average marginal cost?The difference in total cost when another unit is produced is referred to as the marginal cost; the average cost is the total cost divided by the number of units produced.What is the average variable cost?In economics, the variable cost per unit is known as the average variable cost. Divide the entire variable cost by the output to get the average variable cost. In the short term, the enterprises use the average variable cost to determine whether to stop production.Solution -

We know that marginal cost includes a variable cost.

So, to find profit subtract marginal cost by average fixed cost.

\(2.00-1.50 = 0.50\)

\(0.50 * 200 = 100\)

Profit when 200 cookies are sold = $100.

Therefore, to maximize the profit Cathy should (B) produce more than 200 cookies in the short run.

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You have just completed a capital budgeting analysis and you have found an additional $15,494 of cash expenses that your firm just became aware. If the marginal corporate tax rate is 32%, then what is the after-tax cash flow impact from this additional expense. Even though it is an outflow, treat the impact as a positive value. Round your answer to the nearest.01 and do not include a dollar sign in your answer.

Answers

The after-tax cash flow impact from the additional expense can be calculated by multiplying the expense amount by (1 - tax rate).

In this case, the additional expense is $15,494 and the marginal corporate tax rate is 32%. To find the after-tax cash flow impact, we multiply $15,494 by (1 - 0.32): $15,494 * (1 - 0.32) = $15,494 * 0.68 = $10,537.92

Therefore, the after-tax cash flow impact from the additional expense is approximately $10,537.92. This means that after accounting for taxes, the firm will experience a net outflow of $10,537.92 as a result of this expense. The tax rate of 32% represents the portion of the expense that the firm can deduct from its taxable income. By applying the tax rate, we determine the amount of tax savings resulting from the deduction. In this scenario, the after-tax cash flow impact is positive, which means the firm can reduce its tax liability by $10,541.92 due to the additional expense. This information can be useful for financial planning and decision-making processes.

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Economics!!

Which development would most likely reduce the standard of living in the
United States?

A. Wages increase for most American workers.

B. The U.S. government returns to the gold standard.

C. It becomes easier for U.S. citizens to get health care.

D. U.S. factories begin to
produce far fewer goods.

Answers

It's  D. U.S. factories begin to

produce far fewer goods.

win corporation and mr. yang formed a partnership in which yin is the general partner and yang is a limited partner. yin contributed $400,000 cash, and yang contributed a building with a $500,000 fmv and $300,000 tax basis. the partnership immediately borrowed $600,000 of recourse debt

Answers

As per the given information, Win Corporation and Mr. Yang formed a partnership, in which Yin is the general partner and Yang is the limited partner. Therefore, the building had a built-in gain of $200,000. Yang's tax basis in his partnership interest is $500,000.

Yin contributed $400,000 cash, and Yang contributed a building with a $500,000 FMV and $300,000 tax basis. The partnership immediately borrowed $600,000 of recourse debt.Yan's tax basis in his partnership interest after the contribution of the building is $500,000.A limited partner in a partnership may contribute any kind of asset to the partnership. The tax basis of the property or assets contributed to the partnership is its initial cost.

A partner's tax basis in a partnership interest is computed as the sum of all amounts paid into the partnership (i.e., cash, property, or services) plus the partner's share of any partnership debt. If the partner receives a distribution of partnership assets, the partner's basis is decreased by the amount of the distribution.In this case, Yang contributed a building with a fair market value of $500,000 and a tax basis of $300,000.

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