research suggests that a firm with greater multimarket contact is likely to initiate an attack, but likely to respond aggressively when attacked. a. less; more b. less; less c. more; less d. more; more

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Answer 1

The research suggests that a firm with greater multimarket contact is more likely to initiate an attack and less likely to respond aggressively when attacked.  The correct option is (c) .This means that firms with greater access to multiple markets are more likely to start a conflict, while those with less access are more likely to be less reactive when under attack.


To explain this further, firms with greater access to multiple markets have more resources available to them, meaning they can afford to start a conflict and take the risk of retaliatory actions. These firms are also able to easily spread their influence across multiple markets, making them more likely to start a conflict. On the other hand, firms with less access to multiple markets have fewer resources available, meaning they are less likely to start a conflict and more likely to simply try to defend themselves if attacked.



In conclusion, firms with greater multimarket contact are more likely to initiate an attack and less likely to respond aggressively when attacked. This is because such firms have more resources available to them and can more easily spread their influence, whereas firms with less access to multiple markets are less likely to start a conflict and more likely to simply defend themselves.

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Related Questions

the government could correct the difference between the equilibrium output level and the efficient output level by multiple choice 2 regulations that force firms to internalize external costs taxing users so that less is used. shifting the demand curve down. using a regulation that requires firms to externalize the internal costs.

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The government could correct the difference between the equilibrium output level and the efficient output level by taxing users so that less is used.Using a regulation that requires firms to internalize external costs.

How can the government correct the difference between the equilibrium output level and the efficient output level?

The government could correct the difference between the equilibrium output level and the efficient output level by:Taxing users so that less is used.

The government could impose a tax on the goods that are socially harmful or goods that produce negative externalities. By doing so, it makes the goods more expensive and hence less is used. This will result in a shift in demand curve down.

Using a regulation that requires firms to internalize external costs.

The government could impose regulations that force firms to internalize the external costs associated with the production process. By doing so, firms are compelled to consider the true social cost of production. This will result in the firm producing less than the equilibrium output level.

What is the difference between the equilibrium output level and the efficient output level?

Efficient output level is the level of output that is socially optimal in a competitive market. On the other hand, equilibrium output level is the output level where the market supply and market demand meet or where there is no surplus or shortage of goods. The market equilibrium is not necessarily the same as the socially optimal level of output. This is because the market equilibrium does not take into account the externalities associated with production and consumption of goods.

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the manager of a publishing company plans to give a $20,000 bonus to the top 12 percent, $9,000 to the next 26 percent, and $4,000 to the next 9 percent of sales representatives. if the publishing company has a total of 150 sales representatives, what is the expected bonus that the company will pay?

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The manager of the publishing company is expecting to pay a total bonus of $330,000. This is calculated by giving $20,000 to the top 12 percent (18 employees), $9,000 to the next 26 percent (39 employees), and $4,000 to the next 9 percent (14 employees). In total, this comes to 71 employees receiving bonuses, with $330,000 being paid out in total.

This means that the average bonus per employee is $4,651. This bonus structure rewards the top performers in the company, while still providing a solid bonus to the rest of the sales representatives. This allows the manager to incentivize the sales reps while staying within the budget of the company.

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disinflation is so costly to the economy, because if: a a stagflation is forced on the economy, unemployment increases and inflation increases. b a recession is forced on the economy, unemployment increases and aggregate output falls. c a recession is forced on the economy, unemployment decreases and aggregate output falls. d a deflation is forced on the economy, employment decreases and aggregate output falls. e a high inflation is forced on the economy, unemployment decreases and aggregate price level increases.

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Disinflation is so costly to the economy because if a stagflation is forced on the economy, unemployment increases and inflation increases. (A)

When disinflation is forced on the economy, there is a reduction in the rate of inflation. It is an attempt to reduce the inflation rate. However, it can be costly to the economy because it can lead to stagflation.

Stagflation is a situation where there is a high rate of inflation and a high rate of unemployment. It is a rare situation that can be difficult to manage. The cost of disinflation can be seen when the government tries to reduce inflation by reducing the money supply.

This can lead to a recession or stagflation. In a recession, the economy shrinks, and unemployment rises. When aggregate output falls, it can have a ripple effect on the economy.

Disinflation can be a difficult task to manage because it requires the government to strike a balance between controlling inflation and maintaining economic growth.

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the burden of proof remains on the taxpayer for corporations, trusts, and partnerships with net worth exceeding: a.$7 million. b.$3 million. c.$1 million. d.$5 million. e.some other amount.

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The burden of proof remains on the taxpayer for corporations, trusts, and partnerships with a net worth exceeding $7 million.

What is the burden of proof?

In a legal case, it refers to the responsibility of demonstrating the claims or allegations made in the case.

The burden of proof rests on the person making a claim or asserting a right in a court of law to prove that the claim or right exists and is valid.

The court will make a decision based on the facts presented and proven by the parties involved.

Therefore, in a legal case, the burden of proof is on the party that is making the claim or alleging a wrongdoing.

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in a competitive price taker market, a firm's short-run supply curve is its a. average total cost curve above its average variable cost curve. b. marginal cost curve above its average variable cost curve. c. marginal cost curve above its average fixed cost curve. d. entire marginal cost curve.

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The correct answer is B - marginal cost curve above its average variable cost curve. In a competitive price taker market, a firm's short-run supply curve is its marginal cost curve above its average variable cost curve.

The marginal cost is the additional cost of producing one more unit of a good or service. Average variable cost is the total variable cost divided by the quantity produced. The short-run supply curve is based on the assumption that firms cannot change their fixed costs in the short run, such as the cost of buildings and equipment, but they can vary the amount of labor and other inputs. This means that the total cost of production is determined by the average variable cost and the fixed cost. The average variable cost is increasing as more of the inputs are used, and the marginal cost is the additional cost incurred by adding one more unit of output.

The marginal cost curve is thus always above the average variable cost curve, and this forms the basis of the firm’s short-run supply curve. In the long run, firms are able to adjust their fixed costs and thus the total cost of production, and the long-run supply curve is determined by the marginal cost of production.

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malaysia was one of the first export-processing zones in southeast asia. many multinational corporations employ hundreds of thousands of malaysian workers for cheap labor, many of which are young migrant workers known as minah karan. why are these women stigmatized?

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These women were stigmatized as they mix with men and people from other classes.  

Export Processing Zones (EPZs), or as they are known in Malaysia as Free Zones, have played an important role in facilitating the export of manufactured goods.

The Malaysian government enacted the Investment Incentives Act in 1968 to encourage the growth and development of labor-intensive, export-oriented industrialization. However, it was not until 1971 that he passed the Free Trade Zone Act, which created his EPZ, which was particularly attractive to foreign investors.

An export processing zone (EPZ) is a fenced industrial zone for manufacturing products for export. In short, they trade enclaves that import raw materials, process them, and export them to global markets.

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Fill in the blank. it would be possible to determine the ppp exchange rate that would exist if markets were efficient by comparing ___. multiple choice question.

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The correct answer is option B) To determine the PPP exchange rate that would exist if markets were efficient in comparing the prices of traded goods and services.

The exchange rate between two currencies that offers each one the same purchasing power in various nations is known as the Purchasing Power Parity (PPP) exchange rate.

A unit of one currency should be able to purchase the same quantity of products and services in many nations in an efficient market, according to this theory.

This implies that the ratio of the prices of a basket of goods and services in each country should be the same as the exchange rate between two currencies.

We can determine the PPP exchange rate that should exist if markets are efficient by comparing the costs of similar goods and services in two different countries.

Complete Question:

Which of the following would be possible to determine the PPP exchange rate that would exist if markets were efficient?

A) Comparing the current exchange rate

B) Comparing the prices of traded goods and services

C) Comparing the inflation rates of two countries

D) Comparing the economic growth rates of two countries

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(T/F) A shadow price indicates how much the optimal value of the objective function will increase per unit increase in the right-hand side of a constraint.

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True.

A shadow price is the change in the optimal value of the objective function per unit increase in the right-hand side of a constraint.

What is Optimal value?

The optimal value is an important concept in optimization and decision-making, as it provides a benchmark for measuring the effectiveness of different strategies and helps to identify the best course of action for a given problem.

For example, in linear programming, the optimal value is the maximum or minimum value of the objective function that satisfies all the constraints of the problem. The optimal value represents the best possible outcome for the problem being modeled, and it can be used to evaluate the performance of a solution or compare different solutions.

It indicates the marginal value of a resource or constraint in the optimization problem, and it helps to determine the value of additional units of the resource or constraint. If the shadow price for a constraint is positive, then an increase in the constraint's limit will increase the optimal value of the objective function, while a negative shadow price indicates that the constraint is not binding, and increasing its limit will not change the optimal value of the objective function.

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assuming that everything else is equal, a bond issued by a government that is engaged in a civil war most likely pays a

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When everything else is equal, a bond issued by a government that is engaged in a civil war most likely pays a higher interest rate than bonds issued by governments at peace.

A bond is a debt security issued by a corporation, government, or other entity to finance its operations. When you buy a bond, you're essentially lending the issuer money, which it promises to repay with interest at a set date in the future.

Assuming that everything else is equal, a bond issued by a government that is engaged in a civil war most likely pays a higher interest rate than bonds issued by governments at peace.

A civil war is a violent battle within a country, in which groups of people within that country attempt to overthrow or take power from the existing government.

The United States' Civil War, which lasted from 1861 to 1865, is perhaps the most well-known example of a civil war.

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absorption costing treats fixed manufacturing overhead as a _____

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Absorption costing treats fixed manufacturing overhead as a product cost.

Absorption costing is a method of costing where all of the manufacturing costs, both fixed and variable, are included in the cost of the finished product. Absorption costing is also known as full costing. It's a method of costing that includes all direct costs and indirect costs associated with production, such as labor, materials, overhead, and all other expenses. Absorption costing is different from other costing methods, such as variable costing or direct costing. In absorption costing, both fixed and variable costs are included in the total cost of production, which is then used to calculate the cost per unit of production. Therefore, absorption costing is a better method for calculating the actual cost of production than other methods of costing.In absorption costing, fixed manufacturing overhead is treated as a product cost because it is included in the cost of production. Fixed manufacturing overhead is the indirect cost that is incurred in the production of a product but does not vary with the level of production. It includes expenses such as rent, utilities, depreciation of machinery, and salaries of supervisors. These costs are assigned to products using a predetermined overhead rate, which is calculated by dividing the total amount of fixed manufacturing overhead by the estimated number of units to be produced.

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what theory is based on the idea that employees try to maintain fairness or balance between inputs and outputs as compared to others in similar positions?

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The goal of equity theory, also referred to as Adam's perceived fairness, is to balance an employee's input with his or her output at work.

What theory is founded on the notion that workers attempt to uphold equity or balance among inputs?

According to the theory of motivation known as equity, employees' feeling of fairness plays a significant role in what motivates them to do their best at work. Workers keep track of a inputs and outputs of their work in a mental ledger, which they use to assess how their results and inputs compare to those of others. A more productive connection between the employee and management would result from finding the correct balance.

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what is the tax on the purchase of goods or services is called _____________.

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The tax on the purchase of goods or services is called a "sales tax".

A sales tax is a consumption tax levied on the sale of goods and services by the government. The tax is typically calculated as a percentage of the sale price and is paid by the end consumer at the point of sale. Sales taxes are commonly used by governments to generate revenue and can vary by jurisdiction, with different rates and exemptions depending on the type of goods or services being sold. Sales taxes can be implemented at the state, county, and municipal levels, and can vary significantly from region to region. Businesses are generally responsible for collecting and remitting sales tax to the appropriate government agency on behalf of their customers.

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on january 1, a company lends a corporate customer $80,000 at 6% interest. the amount of interest revenue that should be recorded for the quarter ending march 31 equals:

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On January 1, a company lent a corporate customer $80,000 at 6% interest. The amount of interest revenue that should be recorded for the quarter ending March 31 is $1,200.

This is calculated by taking the principal amount of $80,000 multiplied by the 6% interest rate, which equals $4,800. Then divide that amount by the number of months in a quarter, which is three, to get the total interest of $1,200.

Let's see how this is calculated mathematically:                                                                                                                    We have: Principal (P) = $80,000, Rate of Interest (R) = 6%, Time (T) = Quarter (3 months), and Amount of Interest (A) = ?

Using the formula: A = P × R × T, where A is the amount of interest earned by the company on the loan,                        we have; A = $80,000 × 6% × 3/12 = $80,000 × 0.06 × 0.25 = $1,200. Therefore, the amount of interest revenue that should be recorded for the quarter ending March 31 equals $1,200.

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as a tool of positioning strategy, perceptual maps illustrate two basic issues. first, they indicate products/brands that are similar in terms of relative mental position. second, they illustrate:

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As a tool of positioning strategy, perceptual maps illustrate two basic issues. First, they indicate products/brands that are similar in terms of relative mental position. Second, they illustrate different attitudes that customers have towards the brands/products.

Perceptual mapping is a marketing research method that entails plotting customer perceptions of the product, brand, or service on a two-dimensional graph. It examines how consumers perceive different goods or services based on specific characteristics or features.

By utilizing this technique, a company may better understand how consumers perceive the product or brand in relation to its rivals.

There are two basic issues that a perceptual map can reveal.

The first is that it highlights products/brands that are similar in terms of relative mental position. It is critical to understand that customer perception of two items does not necessarily imply that the products are identical in quality or functionality.

The second issue that it highlights is different attitudes that customers have towards the brands/products.

In the world of advertising, customers' attitudes toward a product or brand may make all the difference between a highly profitable product and one that never sees the light of day.

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in the context of supply chain design trade-offs, which of the following is true of a push system? question 10 options: it works best when there are a large number of distribution centers. it is more appropriate for make-to-order items. it has an advantage of immediate availability of goods to consumers. it works best with variable sales patterns.

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In a push system, goods are produced and then pushed into the supply chain, regardless of demand.

This system works best when there are a large number of distribution centers to serve consumers, since it allows for better inventory control and cost savings.

This system is more appropriate for make-to-order items, as production is based on expected customer demand rather than actual demand.

Push systems have the advantage of immediate availability of goods to consumers, but can be less efficient with variable sales patterns.

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Other things the same, if a country raises its saving rate, when is growth of real GDP per person higher? a. as the economy moves toward the long run and in the long run. b. as the economy moves toward the long run, but not in the long run.c. in the long run, but not as the economy moves toward the long run. d. neither as the economy moves toward the long run, nor in the long run.

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Other things are the same if a country raises its saving rate, the growth of real GDP per person is higher as the economy moves toward the long run and in the long run. Therefore, option (a) is correct.

What is GDP? Gross Domestic Product (GDP) is the total value of goods and services produced within a country in a given period. Real GDP is the total value of goods and services produced within a country in a given period after accounting for the inflationary impact. A country's real GDP per capita, which is the total GDP of a country divided by its population, is a measure of its economic health.

What is the saving rate? The saving rate is the percentage of a household's or country's disposable income that is saved rather than consumed. Investment in capital increases productivity, which in turn leads to an increase in real GDP. As a result, as the saving rate increases, there is more investment, increasing productivity, and the economy moves toward the long-run growth rate. Therefore, raising the savings rate results in increased growth of real GDP per person in the short term as the economy moves towards the long run and in the long run.

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an autocratic management style is ideally suited for: a. high-flux, state-of-the-art projects b. the management of creative workers c. highly routine projects d. most project management situations

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Autocratic management style is ideally suited for highly routine projects. The correct answer is option c.

This style of management is one in which a manager has absolute power over their team or organization, and they control the decisions that are made. An autocratic management style is a style of leadership in which the manager has complete power over their team. It is based on the belief that those in positions of authority understand what is best for the organization and that the team members should simply follow the instructions given to them.

However, it is ideal for highly routine projects because it does not require creative thinking, but rather a well-organized structure that can be easily executed. This style of management is useful when there is a clear hierarchy of employees, and the decision-making process is simple and straightforward.

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what does the theory of comparative advantage mean?

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The theory of comparative advantage is an economic concept that explains why countries should specialize in producing goods and services in which they have a lower opportunity cost and trade with other countries to obtain goods and services that they cannot produce efficiently.

According to the theory of comparative advantage, countries can benefit from trade by specializing in the production of goods and services in which they have a comparative advantage, which means that they can produce these goods and services at a lower opportunity cost than other countries. By specializing in the production of these goods and services, countries can become more efficient and increase their overall output.

For example, consider two countries, A and B, that both produce both wheat and corn. Country A has a comparative advantage in producing wheat because it can produce wheat at a lower opportunity cost than country B, while country B has a comparative advantage in producing corn because it can produce corn at a lower opportunity cost than country A. If both countries specialize in producing the good in which they have a comparative advantage and trade with each other, they can both benefit and increase their overall output.

The theory of comparative advantage suggests that countries can benefit from trade by specializing in the production of goods and services in which they have a comparative advantage, and trading with other countries to obtain goods and services that they cannot produce efficiently. This leads to increased efficiency, increased output, and greater overall welfare for all countries involved in the trade.

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on march 25, parscale company purchases the rights to a mineral interest for $8,000,000. at that time, the remaining recoverable units in the mineral interest are estimated to be 500,000 tons. if required, round any division to two decimal places and use in subsequent computations. round your final answer to the nearest dollar. if 80,000 tons are mined and 75,000 tons are sold this year, calculate parscale's cost depletion for the

Answers

The cost depletion for the year is $2,560,000.

Cost depletion is an accounting method that companies use to allocate the total cost of a natural resource, such as oil or coal, over the number of units extracted. Cost depletion provides the company with a deduction for tax purposes that is proportional to the amount of the resource extracted.

The formula for cost depletion is:

Cost Depletion per Unit = (Total Cost – Salvage Value) / Estimated Recoverable Units

When we use the given values in the formula for cost depletion:

Cost Depletion per Unit = ($8,000,000 - $0) / 500,000

Cost Depletion per Unit = $16 per ton

The cost depletion of the 80,000 tons mined this year would be:

Cost Depletion = Units Mined x Cost Depletion per Unit

Cost Depletion = 80,000 x $16

Cost Depletion = $1,280,000

The cost depletion of the 75,000 tons sold this year would be,

Cost Depletion = Units Sold x Cost Depletion per Unit

Cost Depletion = 75,000 x $16

Cost Depletion = $1,200,000

Therefore, the total cost depletion for the year is:$1,280,000 + $1,200,000 = $2,480,000, which rounds up to $2,560,000.

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the breakeven point can either be calculated in terms of number of units or in terms of sales revenue. (True or False)

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The statement, "the breakeven point can either be calculated in terms of number of units or in terms of sales revenue," is true.

The breakeven point refers to the point at which a company's revenue equals its costs. In other words, it is the point at which a company neither makes a profit nor a loss.In order to calculate the breakeven point, a company needs to know its fixed costs, variable costs per unit, and the sales price per unit.

The breakeven point can be calculated in terms of number of units by dividing the total fixed costs by the difference between the sales price per unit and the variable cost per unit.

Alternatively, it can be calculated in terms of sales revenue by multiplying the breakeven quantity (calculated in terms of number of units) by the sales price per unit.

The breakeven point is an important concept for businesses as it helps them determine how many units of a product they need to sell in order to cover their costs. It also helps them to set prices and determine their profit margins.

Therefore, it is important for businesses to calculate the breakeven point accurately in order to make informed decisions about their pricing and production strategies.

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omplete the following future value (fv) problem (you may have to use a separate piece of paper) and select the correct answer given: future value (fv) is the value of an asset or cash at a future date equivalent in value to a specified sum today. if you had $6,000 now and get 8% interest, what would the future value be in two years?

Answers

To calculate the future value (FV) of $6,000 with an interest rate of 8 percent for two years, you can use the following formula:

FV = PV × (1 + r)n

Where:

FV is the future valuePV is the present value (in this case, $6,000) r is the interest rate per period (in this case, 8% or 0.08)n is the number of periods (in this case, 2 years)

Now we can substitute these values in the formula:

FV = $6,000 × (1 + 0.08)²FV = $6,000 × (1.08)²FV = $6,000 × 1.1664FV = $6,998.40

Therefore, the future value (FV) of $6,000 with an interest rate of 8% for two years is $6,998.40.

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if the same company from the previous question used 6% ror for loans, 10% ror for bonds, and 15% ror for stocks, and also used a 50% tax rate, what is the wacc? enter the answer as a percentage. for example 12.34% is 12.34. keep 2 decimal places and do not enter the % symbol.

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The WACC = 0.3 × 0.03 + 0.7 × (0.03 + 1 × 0.12) WACC = 0.03 + 0.084WACC = 0.114 or 11.4%

The same company from the previous question uses a 6% ror for loans, a 10% ror for bonds, and a 15% ror for stocks. It also uses a 50% tax rate.

What is the WACC?

The WACC (Weighted Average Cost of Capital) formula is used to calculate the expected cost of financing a company's operations by combining its equity and debt financing. WACC represents the average rate of return that a firm should expect to pay to all its security providers to finance its properties. Let's solve this question step by step. Cost of Debt: The cost of debt is calculated using the formula given below;

Cost of Debt = Interest × (1 - Tax Rate)

As per the given problem, the interest rate for loans is 6%. Therefore, the cost of debt will be: Cost of Debt = 0.06 × (1 - 0.5)Cost of Debt = 0.03

Cost of Equity: According to the CAPM (Capital Asset Pricing Model), cost of equity is given by the following formula; Cost of Equity = RFR + β × Market Risk Premium

Where, RFR is the risk-free rate. The beta coefficient (β) is a measure of a stock's risk level. The market risk premium is the excess return earned by the stock market over the risk-free rate. As per the given problem, the risk-free rate is 3%, and the beta value is not given. Therefore, we cannot calculate the cost of equity. In this case, we have to assume the beta coefficient. For instance, if we assume that the beta value is 1, the cost of equity will be:

Cost of Equity = 0.03 + 1 × (0.15 - 0.03)Cost of Equity = 0.15

Weight of Debt and Equity: The next step is to find the weight of debt and equity. The weight of debt is calculated as follows;

Weight of Debt = Total Debt / Total Capital

Weight of Debt = $30,000,000 / ($30,000,000 + $70,000,000)

Weight of Debt = 0.3

Similarly, the weight of equity is; Weight of Equity = Total Equity / Total Capital

Weight of Equity = $70,000,000 / ($30,000,000 + $70,000,000)

Weight of Equity = 0.7WACC

Calculation: Finally, we can calculate the WACC using the formula given below;

WACC = Weight of Debt × Cost of Debt + Weight of Equity × Cost of Equity

As per the given problem, we have calculated the cost of debt and assumed the beta value to calculate the cost of equity. Therefore,WACC = 0.3 × 0.03 + 0.7 × (0.03 + 1 × 0.12)WACC = 0.03 + 0.084WACC = 0.114 or 11.4%

Therefore, the WACC is 11.4%.

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Sue Ryan says about Heidi that "her passion for this business comes out all over the place." Sue says it's "contagious" and got Sue excited about buying a franchise. Heidi ____. To be like Heidi, you need to ____.

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A charismatic leader is one who inspires others to make their best effort by communicating in an articulate (clear and direct) manner. They arouse people's motivation to attain the targeted goals using their personality attributes.

1.) Heidi could be stated as a charismatic leader. thus, option (D) is the correct answer.

2.) To be like Heidi, you need to have a compelling vision and communicate the same confidently. Thus, option (A) is the correct answer

Charismatic management or leadership is a style of professional guidance or management built on a foundation of excellent communication skills, persuasiveness, and perhaps even a little bit of charm.

They frequently exhibit enthusiasm, charisma (hence the term "charismatic"), and Strong convictions with a strong connection to the work they perform, which in turn motivates others to feel the same way. The charismatic leader tends to elicit powerful emotions from their followers and teams because of their tremendous dedication to their profession. This promotes commitment, activity, and effective problem-solving abilities.

Therefore,

1.) Heidi could be stated as a charismatic leader. thus, option (D) is the correct answer.

2.) To be like Heidi, you need to have a compelling vision and communicate the same confidently. Thus, option (A) is the correct answer

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The given question is incomplete, the complete question is:

Sue Ryan says about Heidi that "her passion for this business comes out all over the place. Sue says it's "contagious" and got Sue excited about buying a franchise.

(1.) Heidi ____.

A. Is a leadership substitute

B. Is a conformist

C. Has high-task, low-relationship style

D. Is a charismatic leader

(2.) To be like Heidi, you need to ____.

A. have a compelling vision and communicate it confidently

B. Has a professional orientation and sufficient training

C. obey orders without question

D. communicate that work is all about achieving goals

the fact that every dollar that the government spends or transfers must ultimately be provided by the taxes and user charges it collects plus government borrowing is known as the a) government balance sheet constraint. b) government budget constraint. c) tax collection constraint d) user charge constraint.

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The fact that every dollar that the government spends or transfers must ultimately be provided by the taxes and user charges it collects plus government borrowing is known as the government budget constraint. The government budget constraint is a concept in macroeconomics that explains how governments finance their spending. The correct answer is option B

This constraint states that every dollar that the government spends or transfers must ultimately be provided by the taxes and user charges it collects plus government borrowing.The government budget constraint has a significant impact on how governments make decisions about spending and taxation.

This can lead to high levels of debt, which can be difficult to manage over the long term. To avoid this problem, many governments try to balance their budgets by keeping spending and revenues in line with each other. This helps to ensure that they can continue to provide essential services without incurring unsustainable levels of debt.  The correct answer is option B

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The Bretton Woods agreement implemented a system of ________ exchange rates.

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The Bretton Woods agreement implemented a system of fixed exchange rates.

The Bretton Woods System needed a currency that was linked to the US dollar, which was then pegged to the price of gold. The "gold standard" is a monetary system in which a country's currency is pegged to the price of gold.

The Bretton Woods agreement established a system of fixed exchange rates. The gold standard let currency rates to vary freely. The Bretton Woods Agreement was forged during a 1944 conference of all World War II allies. Bretton Woods, New Hampshire, hosted the event. A new global monetary system was developed as a result of the accord.

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Which states the main difference between a monopoly and an oligopoly?
a. Oligopolies have a few large corporations that are part of the market.
b. Oligopolies have a lot of competition between companies.
c. Monopolies involve a much higher level of competition than oligopolies.
d. Monopolies have many corporations as part of the market.​

Answers

Answer:

a

Explanation:

a. oligopolies have a few large corporations that are part of the market

assume that lavonia's marginal tax rate is 22 percent. if a city of tampa bond pays 4.6 percent interest, what interest rate would a corporate bond have to offer for lavonia to be indifferent between the two bonds?

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Let's suppose that Lavonia's marginal tax rate is 22 percent. If a City of Tampa bond pays 4.6% interest, what interest rate would a corporate bond have to offer for Lavonia to be indifferent between the two bonds

First, let's figure out the after-tax yield of the municipal bond for Lavonia:After-tax yield = municipal bond yield × (1 − tax rate)After-tax yield = 4.6% × (1 − 0.22)After-tax yield = 3.588%Then, let's find out what interest rate the corporate bond would need to provide for Lavonia to be indifferent:After-tax yield of corporate bond = After-tax yield of municipal bondAfter-tax yield of corporate bond = 3.588%Corporate bond yield × (1 − tax rate) = 3.588%Corporate bond yield × (0.78) = 3.588%Corporate bond yield = 4.6% / 0.78Corporate bond yield = 5.897%

Therefore, a corporate bond would need to offer an interest rate of 5.897 percent for Lavonia to be indifferent between the two bonds.

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your full-service brokerage firm charges $190 per stock trade. how much money do you receive after selling 220 shares of nokia corporation (nok), which trades at $28.12?

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The amount of money you receive after selling 220 shares of Nokia Corporation (NOK) with a trade charge of $190 per stock trade is $6,146.40.

Here's how to solve the problem:

First, calculate the total cost of the shares:

Total cost = Number of shares × Price per share

Total cost = 220 × $28.12

Total cost = $6,186.40

Then, subtract the trade charge from the total cost:

Amount received = Total cost - Trade charge

Amount received = $6,186.40 - $190

Amount received = $6,146.40

Therefore, you would receive $6,146.40 after selling 220 shares of Nokia Corporation (NOK) with a trade charge of $190 per stock trade.

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which strategy of corporate social responsibility meets economic, legal, and ethical responsibilities but not discretionary responsibilities? group of answer choices obstructionist resistive diversification accommodative proactive

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The strategy of corporate social responsibility that meets economic, legal, and ethical responsibilities but not discretionary responsibilities is the Accommodative strategy. This is the correct option.

What is Corporate Social Responsibility?

Corporate Social Responsibility (CSR) refers to a company's self-regulation approach to abide by the law, ethical norms, and international rules. It is a company's commitment to providing environmental, social, and economic advantages to all stakeholders, including customers, employees, shareholders, and society in general.

Corporate Social Responsibility (CSR) is a self-imposed business approach that businesses use to enhance corporate reputation, brand loyalty, customer satisfaction, and shareholder profitability.

CSR is classified into the following categories:

Obstructionist Strategy: It entails disregarding social responsibility and focusing solely on maximizing profits.

Resistive Strategy: It involves doing the bare minimum to comply with laws and regulations, avoiding significant costs, and reducing social responsibility initiatives.

Diversification Strategy: It entails expanding into socially responsible areas that are not relevant to the company's main operations.

Accommodative Strategy: This approach goes beyond what is required by law or regulation and incorporates social responsibility into the business model to achieve a competitive advantage.

Proactive Strategy: It entails integrating social responsibility into the company's core business model and operating procedures to achieve a competitive advantage.

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a company sold 750 units with a contribution margin of $120 per unit. if the company has a break-even point of 450 units, the net operating income or (loss) is blank . multiple choice question. $36,000 $54,000 ($64,000) ($10,000)

Answers

The company's net operating income or (loss) is $36,000.

This can be calculated by subtracting the fixed costs from the total contribution margin. The total contribution margin is the product of the unit sold and the contribution margin per unit ($120 * 750 units = $90,000). The break-even point is 450 units, so the total fixed costs is 450 x $120 = $54,000. Subtracting the total fixed costs from the total contribution margin gives you $90,000 - $54,000 = $36,000.

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