Why is evaluating the training a company provides
(internally or externally) an important part of a Human Resource
strategy?
*Please provide 2 citations (with references listed) and 250-300
words**

Answers

Answer 1

You can tell if a training programme is yielding the results you wish to see by evaluating it. You can find out where the training may be lacking or not engaging learners by routinely analysing your training programmes.

Employees will benefit more from corporate training to boost performance if these issues are addressed.

Your training technology and its users must be included in evaluations. You can easily keep track of staff training by using an evaluation builder, such as the one in Spoke® LMS. Managers can conduct surveys, determine the return on investment of training, and obtain insight into how engaged their staff is with various training programmes.

Everyone is held responsible to the training standard your firm has established through regular reviews.

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Complete question is:

Why is evaluating the training a company provides (internally or externally) an important part of a Human Resource strategy?


Related Questions

What type of economy is the South African economy?

Answers

Answer:South Africa has a mixed economy in which there is a variety of private freedom, combined with centralized economic planning and government regulation.

Explanation:

Answer:

South Africa has a mixed economy in which there is a variety of private freedom, combined with centralized economic planning and government regulation.

Explanation:

No Explanations

Steve silversmith produces unique and exclusive sterling silver rings, pendants, buckles, and chains. steve pays one supervisor to oversee the work performed by several part-time silversmiths. he pays each silversmith to work 20 hours per week or 40 hours week, depending on production demand. he also hires a jewelry expert to perform quality assurance inspections and pays her based on the weight (per ounce of silver) of each piece inspected. the controller and the sales manager are discussing potential price increases due to the increasing cost of silver and increases in other costs.


required:

the following are several costs they are discussing. indicate whether each cost is a variable, fixed, step, or mixed cost within steveâs relevant range of activity.


a. depreciation on production equiepment

b. supervisor salary

c. packaging (each piece is packaged in a designer cartoon)

d. silver

e. part-time labor (silversmith)

f. production facility utilities

g. quality assurance

h. mortgage on the production facility

Answers

The answer with be a

In which step of planning and executing an advertising campaign will a firm establish the metrics it will use to determine if the campaign is successful

Answers

The step at which a firm will set the metrics that will be used to determine if the campaign is successful is at the advertising objectives.

What is an advertising campaign?

An advertising campaign is an outreach to prospective clients on different search engines or social media platforms showing a  simple piece of information about a company's product or service rendered.

The main purpose of setting an advertising objective is to see and determine if the purpose for the creation of such an advertisement is being met.

The purpose could be to

Generate new leads, orRetarget returning customers. etc.

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What are u guys thankful for

Answers

Answer:

God waking me up this morning also thx for asking how bout you

Explanation:

The Government of Country Y owns and controls many businesses. "The public sector always produces goods and services more efficiently than privately owned businesses', a Government minister recently said. Other ministers disagree and want to privatize many state-owned businesses. The private sector businesses in Country Y produce 55 per cent of total output - mainly in services such as transport, tourism and finance. The secondary sector of industry produces 35 per cent of total output.

Answers

Answer:

what do i have to answer?

Explanation:

Suppose the demand for a product is perfectly elastic. At a price of $20, 10 units of a product are sold. If the price is increased to $40, then one would expect sales __________. a) to remain at 10 b) to fall below 5 c) to equal 5 d) to fall to zero

Answers

Answer:

B

Explanation:

$20, 10 units are sold.

$40, no one wants to buy it as much but, won't go down completely so it would be B.

Hope this helps!

The all-benefits approach to CVP involves ______. identifying and promoting all the advantages of the product closely following the competition emphasizing how the product is different from the competition focusing on what the customer likes about the product

Answers

Cost-volume-profit (CVP) analysis looks at the impact that varying levels of sales and product costs have on operating profit. Hence the benefit is:

focusing on what the customer likes about the product

Uses of CVP

It is used to determine whether there is an economic justification for a product to be manufactured. A target profit margin is added to the break-even sales volume, which is the number of units that need to be sold in order to cover the costs required to make the product, to arrive at the target sales volume needed to generate the desired profit.

Therefore, the correct answer is as given above.

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3 o 12 Calculate the Present Value of a 23 year growing annuity due considering the following information. The initial Cash Flow is $900 The annual interest rate is 16% The annual growth rate is 4% Cash flows will occur monthly. Round your answer to the nearest dollar. Do NOT use a dollar sign.

Answers

The present value of a 23-year growing annuity due with an initial cash flow of $900, an annual interest rate of 16%, an annual growth rate of 4%, and monthly cash flows is approximately $11,968.

To calculate the present value of a growing annuity due, we can use the formula:

PV = C * [(1 - (1 + g)^(-n))/(r - g)] * (1 + r)

Where:

PV = Present value

C = Initial cash flow

g = Growth rate

n = Number of periods

r = Interest rate

In this case, the initial cash flow (C) is $900, the growth rate (g) is 4% per year, the number of periods (n) is 23 years, and the interest rate (r) is 16% per year.

Since the cash flows occur monthly, we need to adjust the interest rate and growth rate accordingly. The monthly interest rate (r_m) can be calculated by dividing the annual interest rate by 12:

r_m = r / 12 = 0.16 / 12 = 0.0133

Similarly, the monthly growth rate (g_m) can be calculated by dividing the annual growth rate by 12:

g_m = g / 12 = 0.04 / 12 = 0.0033

Now we can plug these values into the formula to calculate the present value (PV):

PV = $900 * [(1 - (1 + 0.0033)^(-23))/(0.0133 - 0.0033)] * (1 + 0.0133)

Using a financial calculator or spreadsheet software, we can calculate the present value to be approximately $11,968

Please note that the answer is rounded to the nearest dollar as per the given instructions.

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what is the price of a stock at the end of 1 year (p1) if the dividend for year 2 (div2) is $2, the price for year 2 (p2) is $15, and the discount rate is 9 percent? multiple choice question. $15.60 $17.00 $19.73 $18.18

Answers

Using the dividend discount model, we can calculate the price of the stock at the end of year 1 as: P1 = (Div2 + P2) / (1 + r) = ($2 + $15) / (1 + 0.09) = $17. Therefore, the answer is $17.

The dividend discount model (DDM) is a stock valuation method used to estimate the intrinsic value of a company's stock based on its future dividends. The model assumes that the stock price is equal to the present value of all expected future dividends. The calculation involves estimating the future dividends the company is expected to pay and discounting them back to their present value using a required rate of return or discount rate. The DDM can be used to evaluate a company's financial health and growth potential, and to determine whether its stock is undervalued or overvalued in the market.

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Eric, after listening to you talk about surpluses, investing and being smart with money, is thinking about how much he would save in interest on his car loan if he paid $50 dollars extra each time he paid his car note. To get this information, eric would need what type of schedule to show him the impact of his extra payments?.

Answers

Eric needs an amortization schedule to show him the impact of his extra payments.

Explain amortization schedule.

A table that displays a mortgage's regular payments over time is called an amortization schedule. You can keep track of how much is still owed on your mortgage and determine how much goes to interest by using a mortgage amortization plan.

Amortization is the process of repaying debt in a series of regular payments. Each payment has a principal portion that goes toward the loan balance and an interest portion. The amount put toward the principal increases progressively month after month as the debt amortizes. You can see how much money you pay in principal and interest over time in an amortization schedule.

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Jordan loves creating short films using his phone camera and small posable figures. He has learned how to edit the videos so that it looks as if the figures are alive and moving! What possible career paths might Jordan want to consider for his future? Explain.

Answers

Answer:

You tube , computer enjneer

Explanation:

Answer:

"A possible career path that Jordan would consider taking for his future are videography, music/video editor, or even an influencer of some sort! Becoming a videographer could widen his knowledge about the electronics he enjoys working with. He could possibly turn something that he's passionate about into something small like short films on a phone all the way to a Hollywood movie."  all credit goes to foochy, the original creator of this paragraph. foochy is a brainly user.

Growth has which positive effect for businesses?
A. It widens the area inside the frontier on a production possibilities
curve.
B. It allows products to be sold in a wide variety of new markets.
C. It cuts down on the amount of capital investment needed for
expansion.
D. It ensures that opportunity costs will never exceed overall
productivity.

Answers

Growth widens the area inside the frontier on production possibilities and has a positive effect on businesses. Thus option A is correct

What is business?

A corporation or creative entity engaging in business, industrial, and business life is referred to as a business. Corporations could be for-profit corporations or charitable institutions. Limited liability firms, sole traders, corporation, and collaborations are among the several types of businesses.

Growth benefits firms by expanding the territory inside of the frontier of production frontier. There might not be enough money to cover the cost of development. Your workplace and workers will be under more strain if you take on ever more tasks to boost you revenue. Facing pressure, business may be acting quickly in response instead than strategically.

Therefore, option A is the correct option.

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During the 1970s, oil prices increased dramatically and caused:

Answers

During the 1970s, oil prices increased dramatically, causing economic and political impacts worldwide development  . This is due to several factors, including the OPEC oil embargo, the decrease in oil supply, and the significant increase in global demand.

The Organization of Petroleum Exporting Countries (OPEC) imposed an oil embargo in 1973 as a response to western support of Israel during the Arab-Israeli conflict. This embargo restricted oil exports to countries supporting Israel, including the United States and Western Europe. This oil embargo caused oil prices to increase by 400%, which had a severe impact on Western economies as they were highly dependent on imported oil.Furthermore, the decrease in oil supply during the 1970s was caused by the decline of oil production in the United States and other countries, which were the world's leading oil producers at the time. These decreases in supply further exacerbated the impact of the embargo. As oil prices skyrocketed, businesses and consumers faced higher costs and lower purchasing power.The oil crisis also had significant political impacts. As Western economies faced an energy crisis, they began to seek alternatives to their oil dependency. They turned to new technologies such as nuclear energy and renewable resources such as wind and solar. Additionally, OPEC countries used their newfound wealth to leverage political power and influence events in the Middle East and globally.In conclusion, the oil crisis of the 1970s had far-reaching and long-lasting impacts on the global economy and politics. Its effects were felt for years to come as countries sought to reduce their reliance on oil and establish new energy policies.

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Apple used easy-to-open, clean-lined, well- designed packaging for all of its products. It is one of the distinguishing marks of its branding. By designing and creating such distinctive and pleasing packaging, what does Appel inspire in its customers?

Answers

Brand loyalty is what apple does by well- designed packaging for all of its products. It is one of the distinguishing marks of its branding.

What is meant by design packaging?

Form, structure, materials, color, imagery, typography, and regulatory information are all connected with auxiliary design aspects in packaging design to create a product that is fit for marketing.

However, there are a lot of factors to consider when creating a packaging because design must have a purpose. It must safeguard what's within. It must make storage and distribution simple. On a shelf stacked with other products, it must advertise who it is and bring attention to itself.

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A bank has stock shares of $100,000, property assets of $90,000, and cash of $10,000. If households and businesses decide to deposit $50,000 in the bank as checkable deposits, the balance sheet will be ______.

Answers

The answer is stock shares = $100,000, property assets = $90,000,       cash = $60,000, and loans & advences = $50,000

Given,

stock shares = $100,000,

property assets = $90,000,

and cash = $10,000.

households and businesses decide to deposit $50,000 in the bank as checkable deposits.

The balance sheet is a statement of the assets, liabilities, and capital of a business or other organization at a particular point in time.

It also details the balance of income and expenditure over the preceding period.

Therefore when households and businesses decide to deposit $50,000 in the bank as checkable deposits, it will be shown in balance sheet as:

Cash = Previous balance + checkable deposits

         = 10,000 + 50,000

         = $60,000

Loans & advances : checkable deposits = $50,000

Hence, the balance sheet will be stock shares = $100,000, property assets = $90,000, cash = $60,000, and loans & advences = $50,000.

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In the statement of cash flows, depreciation and amortization expense is added back to net income because?

Answers

In the statement of cash flows, depreciation and amortization expense is added back to net income, the reasons are Non-Cash Nature, Operating Cash Flow Adjustment, and Cash Flow Preservation.

In the statement of cash flows, depreciation and amortization expense is added back to net income because it is a non-cash expense. This means that it does not involve an actual outflow of cash from the company's operations.

Here are the reasons why depreciation and amortization expense is added back:

Non-Cash Nature: Depreciation and amortization are accounting methods used to allocate the cost of long-term assets (such as buildings, equipment, or intangible assets) over their useful lives. They represent the gradual reduction in the value of these assets over time. While they are important expenses for measuring profitability and determining the true cost of using assets, they do not involve an actual cash outflow.

Operating Cash Flow Adjustment: The statement of cash flows aims to provide information about the cash inflows and outflows from a company's operations, investments, and financing activities. To present a more accurate picture of the company's cash-generating capability from operations, non-cash expenses like depreciation and amortization are added back to net income. This adjustment is made to reconcile the net income figure (which includes these non-cash expenses) with the actual cash flow from operating activities.

Cash Flow Preservation: By adding back depreciation and amortization to net income, the statement of cash flows reflects the fact that the company retains cash that would have otherwise been used to pay for these non-cash expenses. This adjustment allows investors and stakeholders to better understand the cash-generating capacity of the company's operations, as it excludes non-cash items that do not directly impact the company's liquidity.

It's important to note that while depreciation and amortization are added back to net income in the operating activities section of the statement of cash flows, they may appear in the investing activities section if they are associated with the purchase or sale of assets. This reflects the cash flows related to the acquisition or disposal of the assets themselves.

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Francois deposits $350.00 in a savings account. The account pays an annual interest rate of 4.3%. He makes no other deposits or withdrawals. After 3 months, the interest is calculated. How much simple interest did his money earn?

Answers

Answer:

$3.7625

Explanation:

Simple interest is calculated as

Interest = P x r x t

Where

p = principal amount.. $350

r= interest rate: 4.3% or 0.043

t= time in years: 3 months or 3/12 =0.25 years

Interest = $350 x 0.043 x 0.25

=$3.7625

outline 2 advantages to H&H of using secondary market research​

Answers

Answer:

Explanation:
It provides quick information and factual background perspectives
It is less expensive and affordable

Justin has hired someone to handle all of the financial issues for his small business. He hired a:

Answers

Accountant is the right answer hope this help

Answer:

accountant

Explanation:

I just took the quiz:)

What are preferred stocks?

Answers

Answer:

See below

Explanation:

Preferred stocks are a special group of shares issued by a company to raise capital. They combine features of ownership and debts, which make them hybrid securities. Like bonds, preferred shares are issued at par value.

Preferred stocks pay fixed dividends following a set schedule. Holders of preferred shares do enjoy voting rights. However, they get preference in dividends sharing. They also enjoy priority claims to the company assets in case of a dissolution.

Answer:

The term "stock" refers to ownership or equity in a firm. There are two types of equity—common stock  and preferred stock. Preferred stockholders have a higher claim to dividends or asset distribution than common stockholders.1  The details of each preferred stock depend on the issue.

difference between administrative manpower and technical manpower​

Answers

The difference between the technical and administrative manpower is as follows:

Work role undertakenFocus on project or organizationType of tasks being preformed

What is meant by manpower?

Manpower is the human resource or workforce being employed on the work assigned in the organization.

Administrative manpower is engaged in planning and implementing the policies in an organization whereas technical manpower executing the tasks related to a project.Administrative manpower relates the organization as a whole while the project work is tied with the appointment of technical manpower.Administration tasks are preformed by admin manpower whereas technical and clerical tasks are initiated by technical manpower.

Therefore, the comparison between both the man-powers being explained as above.

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Sally spends $1,500 each month on her mortgage, mortgage insurance and property taxes. she has three credit cards with minimum monthly payments that total to $125.00 and a monthly car payment for $349.00. she currently brings in a gross monthly income of 3,750.00 from her job. calculate sally’s debt-to-income (dti) ratio. a. 40% b. 43% c. 49% d. 53% please select the best answer from the choices provided a b c d

Answers

If Sally spends $1,500 each month on her mortgage, mortgage insurance and property taxes. sally’s debt-to-income (dti) ratio is d. 53%.

How to find the  debt-to-income (dti) ratio?

To calculate Sally's debt-to-income (DTI) ratio, we need to first determine her total monthly debt payments and then divide that amount by her gross monthly income.

Sally's total monthly debt payments are:

Mortgage + Mortgage insurance + Property taxes = $1,500

Credit card minimum payments = $125

Car payment = $349

Total monthly debt payments = $1,500 + $125 + $349 = $1,974

To calculate Sally's DTI ratio, we now divide her total monthly debt payments by her gross monthly income:

DTI = (Total monthly debt payments / Gross monthly income) x 100%

DTI = ($1,974 / $3,750) x 100%

DTI = 52.64%

DTI = 53 % (Approximately)

Therefore, Sally's debt-to-income ratio is 53%.

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A country has a trade deficit of $20 billion with its trading partners (
year. Which change would cause the country to have a trade surplus the
following year, assuming everything else remains the same?
A. The country increases its exports by $30 billion.
B. The country increases its imports by $30 billion.
C. The country decreases its exports by $10 billion.
D. The country decreases its imports by $10 billion.

Answers

D) The nation reduces its exports by $30 billion, the change would result in a trade deficit the following year for the country that had a trade surplus of $20 billion in one year.

When imports rise faster than exports, a trade deficit occurs. If the country increases its exports by $30 billion, decreases its imports by $10 billion, or increases its imports by $10 billion, it cannot have a trade deficit.

As a result, the country will only experience a trade deficit if its exports decrease by $30 billion while the rest of its exports remain unchanged.

With an example, what is a trade deficit?

A country has a trade deficit when its imports exceed its exports over a given time period. A negative balance of trade (BOT) is another name for this situation. There are several ways to determine the balance, including: goods (also called " merchandise”), goods and services, and services and goods.

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Full Question = A country has a trade surplus of $20 billion with its trading partners over a

year. Which change would cause the country to have a trade deficit the

following year, assuming everything else remains the same?

A. The country increases its exports by $30 billion.

B. The country decreases its imports by $10 billion.

O C. The country increases its imports by $10 billion.

O D. The country decreases its exports by $30 billion.

Describe the goal of a good financial manager according to you?

Answers

Answer:

Financial managers are responsible for the financial health of an organization. They produce financial reports, direct investment activities, and develop strategies and plans for the long-term financial goals of their organization. Financial managers typically: ... Help management make financial decisions.

The Goal of the Financial Manager. How can financial managers make wise planning, investment, and financing decisions? The main goal of the financial manager is to maximize the value of the firm to its owners. The value of a publicly owned corporation is measured by the share price of its stock

What is the One Club? They asked me this on my homework assignment.

Answers

Answer:

The One Club is an American non-profit organization that recognizes and promotes excellence in advertising. Founded in New York City as The One Club for Art & Copy, The One Club produces four annual award competitions: One Show, One Show Design, One Show Interactive and One Show Entertainment.

Write 9.58 times 10^(2) in standard notation. pls help!


its math btw

Answers

the answer to ur question is 958

Suppose a retailer turns its inventory of soda 50 times per year. On average, it has 400 bottles of soda on its shelves. What is the retailer’s average daily sales rate? (Assume 365 days per year.)

Answers

The retailer's average daily sales rate for soda is approximately 0.137 (or about 0.137 bottles per day).

To calculate the retailer's average daily sales rate, you need to divide the total number of times the inventory is turned in a year (inventory turnover) by the number of days in a year.

Given that the retailer turns its inventory 50 times per year, we can use this information to find the average daily sales rate:

Average Daily Sales Rate = Inventory Turnover / Days in a Year

Since a year typically consists of 365 days, we can substitute the values into the formula:

Average Daily Sales Rate = 50 / 365

Calculating this expression gives us:

Average Daily Sales Rate ≈ 0.137

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Economics-- please help!
Your country takes in $350 million each year in tax money but chooses to spend $150 million on various services it provides. What type of stance does your country take on fiscal policy?

neutral stance

expansionary stance

economic stance

contractionary stance

Answers

Answer:

It is not A

Explanation:

I chose A and it was wrong sorry hope that narrows it down

2. Charles owns a small business. His fixed costs are 1500 dollars. His total cost to sell 12 items is 1860 dollars. He will sell his product for 60 dollars each. How many items should he sell to break even?

Answers

Charles needs to sell 50 items to break even. the total variable cost per item and then divide the fixed costs by the contribution margin per item.

To determine the number of items Charles should sell to break even, we need to calculate the total variable cost per item and then divide the fixed costs by the contribution margin per item.

The contribution margin per item is the difference between the selling price per item and the variable cost per item. In this case, the selling price per item is $60. To find the variable cost per item, we subtract the fixed costs and divide by the number of items sold:

Variable Cost per Item = (Total Cost - Fixed Costs) / Number of Items

Variable Cost per Item = ($1860 - $1500) / 12 = $360 / 12 = $30

The contribution margin per item is therefore $60 - $30 = $30.

To break even, Charles needs to cover the fixed costs of $1500. We can calculate the break-even point as follows:

Break-Even Point (in units) = Fixed Costs / Contribution Margin per Item

Break-Even Point = $1500 / $30 = 50 items

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- In dealing with the U.S. government, the two key responsibilities of the Fed are lending money
to the government and

Answers

In dealing with the Federal reserve, the key responsibilities of the Fed are lending money to the government and formulating monetary policies.

The federal reserve of the United states is what acts as the central bank of the country. The Feds helps to

Regulate the money supply that is in the countryRegulate the operations of banksEstablish monetary policies.

The board of governors in the banks help to study the current issues that are existent in the economy, then they formulate the adequate policies that would help to take care of the issues.

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