McDonald's business strategy is focused on global growth, product development, and a strong emphasis on its core brand values. The company has a long history of successful business practices and has maintained its position as one of the world's most recognized fast-food chains.
One key aspect of McDonald's strategy is its emphasis on internal growth. The company has been able to grow its business through consistent expansion, which has allowed it to increase its market share and maintain its competitive edge. This has been achieved through a combination of new store openings and acquisitions.
Overall, McDonald's business strategy has been highly successful, and has allowed the company to maintain its position as a global leader in the fast food industry. Its focus on internal growth, concentration, and external growth has allowed it to expand into new markets and develop new products and services, while maintaining a strong core brand image.
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Increasingly, firms are turning to __________ software applications to standardize their business processes on a global basis.
Increasingly, firms are turning to supply chain management and enterprise systems software applications to standardize their business processes on a global basis.
Some firms in the economy are turning to use the supply chain management and enterprise systems software applications. As supply chain management software helps businesses to identify potential risks and proactively avoid them.
Supply chain management software also offers solutions and backup plans for when a disruption cannot be avoided. Also, enterprise systems are large-scale software packages which track and control all of the complex operations of a business.
Hence, both supply chain management and enterprise systems software applications are used to standardize business processes.
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Why would South Africa’s import value be higher than export value
South Africa exports of items and services as proportion of GDP is 30.47% and imports of items and services as proportion of GDP is 25.53%.
Why import is greater than export?A weaker domestic currency stimulates exports and makes imports more expensive; conversely, a sturdy home forex hampers exports and makes imports cheaper. Higher inflation can also influence exports via having a direct have an effect on on input fees such as materials and labor.
Imports become extra expensive. Exports and AD make bigger causing demand-pull inflation.
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examples of start-up costs.
True: Logo and website design are examples of start-up costs. Operating costs include payroll. Building improvements should be calculated into start-up costs.
The three data et have the ame mean and range, but i the variation the ame? Prove your anwer by compute the tandard deviation. Aume the data were obtained from ample. A. 5,7,9,11,13,15,17
b. 5,6,7,11,15,16,17
c. 5,5,5,11,17,17,17,
The data were obtained from sample The standard deviation of the value are same.
How to interpret a standard deviation?The term "standard deviation" (or "") refers to the degree of dispersion of the data from the mean. Data are grouped around the mean when the standard deviation is low, and are more dispersed when the standard deviation is high dispersed the data is is indicated by the standard deviation. The standard deviation reveals the degree of data skewedness. It gauges how far away from the mean each observed value is. Approximately 95% of values in any distribution will be within two standard deviations of the mean.The three data et have the ame mean and rangeA. 5,7,9,11,13,15,17 /7 = 11b. 5,6,7,11,15,16,17 / 7 =11c. 5,5,5,11,17,17,17, /7 = 11The standard deviation of the value are same.
The data were obtained from sample , the standard deviation of the value are same.
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a
3 Discuss a method that a business owner may use to reduce
the level of risk in the running of their business.
Answer:
Know the law. ...
Document everything important. ...
Hire significant employees. ...
Build your reputation. ...
Protect your data.
here are some ways
. How is marginal utility per dollar calculated?
someone help i really need it !!!!
Answer:
Shoot, sorry, ik this was 3 days ago so my answer probably wont matter but you did give me point by letting me answer... Thanks!
Explanation:
:D
types of shares in a business
Answer:
ordinary shares
non-voting shares
redeemable shares
preference shares
Explanation:
crazy what a quick go ogle search can do! :)
A firm produces two goods, A and B. Due to product B's fall in popularity near the end of last year, the estimated demand (units purchased) for B is 25% less than that of A. The selling price per unit is $20 for A and $30 for B. If the revenue target is $85,000 this year, how much of each of the two goods must be sold? (Round to whole number if necessary) Good A = units Good B= units
To achieve a revenue target of $85,000, the firm should sell 2,000 units of good A and 1,500 units of good B. Good A has a selling price of $20 per unit, while good B has a selling price of $30 per unit. The demand for good B is 25% less than that of good A.
Let's denote the demand for good A as "x". Since the estimated demand for good B is 25% less than that of A, the demand for good B would be 0.75x.
The revenue generated from selling good A would be the selling price per unit ($20) multiplied by the quantity sold (x), which gives us a revenue of 20x.
Similarly, the revenue generated from selling good B would be the selling price per unit ($30) multiplied by the quantity sold (0.75x), which gives us a revenue of 30 * 0.75x = 22.5x.
The total revenue target is given as $85,000. Therefore, we can set up the equation:
20x + 22.5x = 85,000
Combining like terms, we get:
42.5x = 85,000
Dividing both sides by 42.5, we find:
x = 2,000
So, the demand for good A is 2,000 units, and the demand for good B would be 0.75 * 2,000 = 1,500 units.
Therefore, the firm needs to sell 2,000 units of good A and 1,500 units of good B to meet the revenue target.
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If a bank has a capital-to-asset ratio of 0.1 and a return on capital of assets 2%, what is its return on equity?
A) 2.1%
B) 0.2%
C) 20%
D) 5%
Return on equity is a measure that is used to determine how much profit is generated for each dollar of equity. In order to calculate this, the following formula can be used:
Return on Equity (ROE) = Return on Assets (ROA) x Leverage ratioIf a bank has a capital-to-asset ratio of 0.1 and a return on capital of assets 2%, what is its return on equity?Given capital-to-asset ratio = 0.1Return on capital of assets = 2%Return on equity = ROEWe can calculate the return on equity using the formula: ROE = ROA x Leverage ratioCapital to asset ratio is also known as leverage ratio, so we can rewrite the above equation as: ROE = ROA x Capital to Asset RatioROA = 2%Leverage Ratio = 0.1ROE = 2% x 0.1ROE = 0.2%Therefore, the return on equity is 0.2%. Hence, the correct option is B. 0.2%.
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A company makes a product and has no way to determine which ones are faulty until an unhappy customer returns it. Three percent of the products are faulty and will cost the company $200 each in customer service and repairs. If the company does not refund the customer when repairing the item, how much should the company charge to make a profit of $2.00 per item
Answer:
$8.00 per item
Explanation:
A company makes product and its 3% of products are faulty. There is no other quality inspection test which can identify the faulty products during the manufacturing process. The faulty products are only identified when the customer arrives to return it. The faulty product costs the company $200 each and company wants to make profit of $2.00 per item. It should charge price of $8.00
The calculation is as follows,
let selling price is \(x\)
\(x\) - (0.03 * 200) = 2.00
after rearranging the equation we get;
\(x\) = 2 + 6
\(x\) = 8
Answer:
c) $8.00
Explanation:
correct 2021
what does the going concern concept mean?
A)a business is profitable
B)a business will continue to operate for the foreseeable future
C) the assets of a business exceed its liabilities
D)the assets of a business should be evaluated at disposal value
Answer:
B)a business will continue to operate for the foreseeable future
Explanation:
The concept of 'going concern' means that a business will continue to operate into the foreseeable future. It implies that a business has a long life and is no danger of shutting down or being liquidated.
The going concern concept may be applied when a business is being sold or acquired. When a business is being sold as a going concern, it means that it is being sold as a unit. After the transaction, the business is expected to continue with its operations as normal.
How does the Better Business Bureau effect the economy?
Answer:
Varies
Explanation:
It helps people find businesses that are trustworthy.
A deposit of Rs. 1,10,000 was made for 31 days. The net interest after deducting 20% withholding tax is Rs. 890.36. Find the rate of return annually.
The annual rate of return on the deposit is approximately 11.89%.
To find the annual rate of return, we need to calculate the interest earned on the deposit for 31 days and then convert it to an annual rate.
Let's denote the annual rate of return as "r."
First, we calculate the interest earned on the deposit for 31 days:
Interest = Net Interest / (1 - Withholding tax rate)
Interest = 890.36 / (1 - 0.20)
Interest = 890.36 / 0.80
Interest = 1112.95
Now, we can calculate the annual interest based on the interest earned for 31 days:
Annual Interest = (Interest / Number of days) * 365
Annual Interest = (1112.95 / 31) * 365
Annual Interest = 13087.60
Finally, we can calculate the annual rate of return (r):
Annual Rate of Return = (Annual Interest / Deposit) * 100
Annual Rate of Return = (13087.60 / 110000) * 100
Annual Rate of Return = 11.89%
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What is one comparison that we can make about the last three levels of bloom’s taxonomy?
One comparison that can be made about the last three levels of Bloom's Taxonomy (Understanding, Applying, and Analyzing) is that they involve higher-order cognitive skills that go beyond basic knowledge and comprehension.
1. Understanding: At this level, learners demonstrate comprehension of information by interpreting, explaining, and summarizing concepts. They are able to grasp the meaning and significance of ideas or content.
2. Applying: This level requires learners to apply their knowledge and understanding to real-world situations or new contexts. They can use their knowledge and skills to solve problems, make connections, or carry out procedures in practical scenarios.
3. Analyzing: The analyzing level involves breaking down information or ideas into component parts, examining relationships, and identifying patterns or trends. Learners at this level can differentiate between different elements, identify causes and effects, and make logical inferences based on evidence.
While the lower levels of Bloom's Taxonomy (Remembering and Understanding) focus on acquiring and comprehending knowledge, the last three levels emphasize critical thinking, problem-solving, and deeper understanding. They require learners to engage in more complex mental processes and apply their knowledge in meaningful ways.
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The U.S. tax structure influences a firm’s willingness to finance with debt. The tax structure____________ more debt
a) discourages
OR
b) encourages
The U.S. tax structure influences a firm’s willingness to finance with debt. The tax structure encourages more debt.
What is the U.S. Tax Structure?
The tax system of the United States is a federal, state, and local government tax scheme. Federal income tax and payroll taxes are charged by the federal government. Most states tax personal income and business income. In addition, local taxes are charged on property and transactions. The tax system aims to fund public services and benefits, such as Social Security and Medicare, while also lowering the burden on low-income households.The Tax structure and Financing of Firms with DebtThe U.S. tax structure's characteristics and incentives can influence a corporation's funding decisions, especially its willingness to finance with debt. Firms choose to finance through debt or equity, based on their need for money, their future growth prospects, and the potential cost of capital. A firm is more likely to use debt financing if the U.S. tax structure is more generous. Because interest payments are tax-deductible, the government is effectively subsidizing them. As a result, if a company borrows money, it may save money on taxes. When the tax structure is less favorable, firms are less likely to issue debt because the tax savings aren't significant enough to outweigh the cost of borrowing.Therefore, the tax structure of the United States promotes the use of debt financing by firms.
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_____ deals with reporting to outsiders. _____ accounting deals with the internal operations of the firm.
Answer:financial accounting, managerial accounting
Explanation:
External reporting is a focus of financial accounting. Managerial accounting is concerned with a company's internal operations.
Why is managerial accounting more suitable for internal reporting?The information is more precise, timely, and specialized in managerial accounting. Since managerial accounting is not subject to GAAP, there is an infinite amount of flexibility in the kinds of reports and data gathered.
The first type of accounting was financial accounting. It is mostly limited to the creation of financial statements for use by third parties such as creditors, banks, financial institutions, shareholders, and holders of debentures.
Managerial accounting is primarily concerned with assessing the internal requirements of businesses and resolving issues that have an impact on revenue streams, overall financial stability, and long-term profitability.
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what is the modern technology used instead of traditional Technology
Answer:
Many traditional technologies are being replaced by the modern technologies. For example, typewriters have been replaced by computers.
Differentiate between traditional and modern technology.
Explanation:
Traditional Technology: For photography, film camera was used. Modern Technology: For photography, the digital camera is used.
Answer: The wheel
Explanation:
your question is rather vague, so ill give an example of modern technology based off of traditional technology))
During the stone age, wheels were created, and they used traditional methods to make such wheels.
Now, wheels are used on many things using modern technology, factory equipment and usually nobody hand-makes wheels for industrial use traditionally anymore.
you are the manager of a little league team. research indicates that you will help your players the most if you get them to attribute their errors to
You are in charge of a young league squad. According to research, encouraging your players to attribute their mistakes on being self-conscious will benefit them the best.
"Creative and methodical activity undertaken to improve the reservoir of knowledge" is what research is. To deepen understanding of a subject or situation, it entails the objective gathering, organizing, and analysis of information. A research project could be a development of prior conscious fieldwork. Research could duplicate parts of earlier studies or the entire project to check the reliability of instruments, processes, or experiments.
As opposed to applied research, fundamental research's main goals are research the progress of human knowledge through documentation, discovery, interpretation, and research and development (R&D) of conscious methods and systems. Epistemologies, which differ greatly both within and between the humanities and sciences, are what guide research methods. There are many different types of research, including those in the humanities, arts, economy, social issues, business, marketing, practitioner research, life, and technology. Meta-research is the term for the academic study of research methodologies.
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It is now Nov 2018. A company anticipates that it will buy 1. 0 million barrels of light sweet crude oil in August 2019. CME Light Sweet Crude futures contracts ( 1 contract is for 1,000 barrels or 42,000 gallons) are available for hedging price risk. Company policy is to hedge 90% of its exposure and to use at all times futures contracts maturing in less than eight months. Suppose you are this company's risk manager. A) State the proper strategy for hedging the Aug 2019 purchase. B) Given the following set of prices (\$, per barrel), determine the price/barrel the company realized for its Aug 2019 crude oil purchases
A) The risk manager should use 900 futures contracts to hedge the August 2019 purchase, B) the price/barrel the company realized for its Aug 2019 crude oil purchases is $61,111.11
As the risk manager of this company, the proper strategy for hedging the August 2019 purchase of 1.0 million barrels of light sweet crude oil would be as follows:
A) To hedge 90% of the company's exposure, the risk manager should use futures contracts maturing in less than eight months. Given that each futures contract represents 1,000 barrels, the risk manager needs to calculate the number of contracts required for hedging.
The number of contracts needed can be calculated as follows:
Number of contracts = (Exposure / Contract size) x Hedge percentage
In this case:
Exposure = 1.0 million barrels
Contract size = 1,000 barrels
Hedge percentage = 90%
Number of contracts = (1,000,000 / 1,000) x 0.9 = 900
Therefore, the risk manager should use 900 futures contracts to hedge the August 2019 purchase.
B) To determine the price per barrel that the company realized for its August 2019 crude oil purchases, we need to consider the prices per barrel provided in the question. The company should multiply the price per barrel by the number of barrels purchased, and then divide by the number of contracts used.
Let's assume the given set of prices per barrel is $50, $55, $60, $65, $70, $75, and $80.
The price per barrel realized by the company can be calculated as follows:
Price per barrel realized = (Price per barrel x Number of barrels purchased) / Number of contracts used
For example, if the price per barrel is $55, the calculation would be:
Price per barrel realized = ($55 x 1,000,000) / 900 = $61,111.11
Repeat this calculation for each price per barrel provided to determine the corresponding price per barrel realized by the company for its August 2019 crude oil purchases.
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How Socially Conscious Are You?
The publisher of Celebrity Living claims that the mean sales for personality magazines that feature people such as Megan Fox or Jennifer Lawrence are 1.5 million copies per week. A sample of 10 comparable titles shows a mean weekly sales last week of 1.3 million copies with a standard deviation of 0.9 million copies.
Answer and Explanation:
The computation is shown below:
For determining each part first we have to do the following calculations
Critical value of t = 3.250
Null hypothesis = 1.5
Alternative hypothesis ≠ 1.5
Population mean \(\mu\) = 1.5
Sample mean \(\bar X\)= 1.30
Sample size \(n\) = 10.00
Sample standard deviation \(s\) = 0.900
Standard error of mean is
\(s_x = \frac{s}{\sqrt{n} }\)
\(= \frac{0.900}{\sqrt{10.00}}\)
= 0.2846
Test static is
\(t = \frac{x - \mu}{s_x}\)
\(= \frac{1.30 - 1.5}{0.2846}\)
= -0.703
a. The null hypothesis is
μ = 1.5
Alternate Hypothesis is
μ ≠ 1.5
b. reject \(H_o\) if t is not between
-3.250 and 3.250
c. The value of the test statistic is
t = -0.703
(as we have computed above)
d. fail to reject \(H_o\) as this data does not contradict the publisher claim
What is a necessary component of a simulation game?
It must be based on a real-world activity or experience.
It must include some learning or practicing an experience.
It must include negative consequences for mistakes.
It must be designed with adult players in mind.
Answer: Game world. Goals and objectives:
Rules and/or Instructions:
Interaction:
Conflict (and/or competition, challenge, opposition)
Outcomes and Feedback.
Game storyline.
Characters for video game.
Music.
Visuals.
Quality assurance.
Example: GTA aka ; grand theft auto
Post the following November transactions to T-accounts for Accounts Payable, Inventory, and Cash, indicating the ending balance. Assume no beginning balances in Accounts Payable and Inventory, and a beginning Cash balance of $36,000. A. Purchased merchandise inventory on account, $16,900. B. Paid vendors for part of inventory purchased earlier in month, $11,100. C. Purchased merchandise inventory for cash, $10,400.
Answer and Explanation:
The preparation of the T-accounts are as follows:
For Account payable
Cash $11,100 Inventory $16,900
Balance $5,800
Total $16,900 Total $16,900
For Inventory
Account payable $16,900
Cash $10,400 Balance $27,300
Total $27,300 Total $27,300
For cash
Opening balance $36,000 Account payable $11,100
Inventory $10,400
Balance $14,500
Total $36,000 Total $36,000
Assessment Questions
In What is Insurance
b Explain the following term in
Insure
premium
Explanation:
insurance is an arrangement by which a company or the state undertakes to provide a guarantee of compensation for specified loss, damage, illness, or death in return for payment of a specified premium.
premium an agreed payment for insurance
insure to protect something against unforseen risks like fire death etc.
Answer:
dch gang from BJP by v for Vendetta the intended recipient you are not the intended recipient you are not the intended recipient you are
what is more characteristic of a decentralized organization than a centralized organization? o a. employee exhaustion o b. positive emotional climate o c. more cost-efficient operations o d. negative employee attitudes
The one which is more characteristic of a decentralized organization than a centralized organization is the positive emotional climate. Thus, the correct option will be B.
What is a centralized organization?A centralized organization refers to a system in which there is a hierarchical power structure where decisions and actions are made at the top by a select few. These individuals who occupy the highest level of authority within the organization are the ones that issue commands and dictate what goes on in the organization at large.
A decentralized organization, on the other hand, refers to a system in which there is no hierarchical power structure. The decision-making process is, instead, distributed across the organization. Individuals at all levels of the organization can make decisions independently without having to consult with the top leadership. However, this decision-making process is based on a set of pre-established principles, values, and protocols.
The decentralization of decision-making in a decentralized organization encourages a greater degree of autonomy and flexibility for the employees, which in turn promotes a positive emotional climate within the organization. This is what makes option B, a positive emotional climate, more characteristic of a decentralized organization than a centralized organization.
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In periods of rising prices, which is an advantage of using the LIFO inventory costing method?
A. Net income will be the highest and thus reflect the prosperity of the company.
B. Cost of goods sold will include latest (most recent) costs and thus will be more realistic.
C. Ending inventory will include latest (most recent) costs and thus be more realistic.
D. Phantom profits are reported
Correct Answer is C. Ending LIFO inventory will include latest (most recent) costs and thus be more realistic.
LIFO inventory write-downs to market because it makes it less likely for future price declines to have an impact on a company's net profits. Since the most recent inventory purchased at the highest price is sold first, companies adopting the LIFO approach typically do not have much inventory at the current higher prices. Last in, first out, or LIFO. It implies that the inventory that was most recently purchased is the one that sells first. When LIFO is in operation, the cost of goods sold would consist of the items that were most recently bought, reflecting the cost at the time. Ending inventory would consist of items that were previously purchased.
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what is the factored form of x^2-11x+24=0
Answer:
(x - 8)(x - 3) = 0
Explanation:
Use the AC method, multiplying the a by c, or the coefficient of x (which is 1) and the last term, 24.
1 x 24 = 24
Now list factors of 24:
1 x 24
-1 x -24
2 x 12
-2 x -12
3 x 8
-3 x -8
4 x 6
-4 x -6
Which of these factor's sums would equal -11 (the middle term)?
-3 + (-8) = -11
So replace -11x with -3 and -8:
x^2 - 3x - 8x + 24 = 0
Now factor by separating into two groups:
x^2 -3x and -8x + 24
GCF between x^2 and -3x is x. So factor x out.
x(x - 3)
GCF between -8x and 24 is 8. So factor 8 out.
-8(x - 3)
Now we have x(x - 3) - 8(x - 3)
(x - 8)(x - 3)
You see Paul dealing with Susan, an upset employee from another department. Susan is complaining about something that your department was supposed to do but didn't. You are in a back room and have not been seen by Susan. Paul is obviously frustrated and unable to deal with Susan effectively. You should:
a. Walk up to the pair and attempt to change the conversation.
b. Introduce yourself to Susan and offer your assistance.
c. Ask your supervisor to offer some interpersonal skills training to Paul.
d. Tell Paul that Susan is needed by the supervisor to end the situation.
Between 2015 and 2016, the country of South Dantoine experienced a growth rate of -0.3%. If nominal GDP had increased by 3.1% and the population growth was recorded as 0.7%, then calculate the annual inflation rate in South Dantoine.
Answer:
inflation rate = 3.41%
Explanation:
real growth rate = (real GDP 2016 / real GDP 2015) - 1 = -0.3%
if we use 2015 as our base year, its real GDP = 100
so 2016 real GDP = 99.7
real GDP is nominal GDP adjusted for inflation:
in this case, 2016 nominal GDP = 100 + nominal growth = 100 + 3.1 = 103.1
GDP deflator = 103.1 / 99.7 = 1.0341
inflation rate = deflator - 1 = 1.0341 - 1 = 0.0341 or 3.41%
Since we are calculating GDP, not GDP per capita, the increase in population is not relevant here.