advantages of cross-listing include group of answer choices possibly making investors, both at home and abroad, more willing to provide capital and to increase the value of the pre-existing shares. a possible signal of the company's commitment to shareholder rights. all of the options providing their shareholders with a higher degree of protection than may be available in the home country.

Answers

Answer 1

The statements are all true. Cross listing allows foreign investors the chance to invest in that company and calls for higher standards of corporate governance and dedication to shareholders.

Any individual, business, or organization that holds at least one share of a company's stock or unit in a mutual fund is referred to as a shareholder. With specific rights and obligations, shareholders effectively own the business. They are able to benefit from a company's success thanks to this sort of ownership. These benefits take the form of rising stock prices or cash gains paid out as dividends.

On the other hand, when a corporation experiences a loss, the share price always falls, which can result in financial losses for shareholders or declines in their portfolios. Any individual, organization, or entity that has stock in a firm is a shareholder. An investor in a corporation is permitted to own just one share.

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Related Questions

the integration of the marketing mix with efforts to influence consumer demand is known as . multiple choice question. internal marketing capacity management interaction management customer experience management

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The integration of the marketing mix with efforts to influence consumer demand is known as: B. capacity management.

What is a marketing mix?

A marketing mix simply refers to the choices about product attributes, communication strategy or promotion, place or distribution strategy, and pricing strategy that a business organization (company or firm) offer to its targeted markets.

The four (4) Ps of marketing mix.

This ultimately implies that, a marketing mix is primarily made up of four (4) Ps and these include the following;

Products (P).Price (P).Place (P).Promotions (P).

In Economics, capacity management simply refers to a terminology which is typically used to describe an integration of the marketing mix with efforts by a business organization (company or firm) in order to influence consumer demand of its products.

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harvard company purchased equipment having an invoice price of $13,900. the terms of sale were 4/10, n/30, and harvard paid within the discount period. in addition, harvard paid a $125 delivery charge, $195 installation charge, and $935 sales tax. the amount recorded as the cost of this equipment is:

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The amount recorded as the cost of this equipment purchased by Harvard company is $12,546.

When it comes to recording equipment, once you begin using the asset, loop the income statement in. Until the asset has completely depreciated, note the asset's annual depreciation on your business income statement.

The cost of furniture, autos and other items is comprised of the purchase price, sales taxes, shipping costs, insurance for the item's protection during shipping, assembly, installation, and any other expenses necessary to prepare the item for usage.

Price of an Asset:

The invoice price is merely one component of an asset's cost. The incidental costs related to putting the item into use are also included. costs involved in putting the item into use, including sales tax, cash discounts, installation, freight, testing, and other expenses.

The amount has to be paid within the discount period, hence a 2% discount is applicable to it.

The amount of equipment = $11,500 × (100% -2%)

= $11,270

cost of this equipment = amount of equipment + delivery charges + installation charges + sales tax

=11,270 + 160 + 185 + 931

The cost of equipment will come to be $12,546

Therefore the amount recorded as the cost of this equipment is $12,546

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The correct question is:

Harvard Company purchased equipment having an invoice price of $11,500. The terms of sales were 2/10, n/30, and Harvard paid within the discount period. In addition, Harvard paid a $160 delivery charge, $185 installation charge, and $931 sales tax.

The amount recorded as the cost of this equipment is: _____

which of the following is not an advantage associated with matrix structures? group of answer choices the company can tackle more complex tasks through teamwork. managers can build large, permanent teams of specialists. employees are more productive when they work on a special project. special projects give employees opportunities for personal and professional development. the group can be disbanded if it is no longer needed.

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It is not a benefit of matrix structure that managers may create huge, permanent teams of specialists.

An organization will be referred to as a matrix organization if it uses the matrix structure.

Typically, an organization uses the matrix structure when working on a project. In a matrix organization, the employees simultaneously report to two different managers. The manager who has power as a result of vertical hierarchy is one of the bosses. Due to flat hierarchy, the second boss is the one who has power.

This kind of organization is referred described as having a "matrix" structure as a result of this divided flow of horizontal and vertical authority. The matrix organizational structure combines the project system and the functional system, two distinct types of organizational structures.

The matrix structure equalizes the extremes of the two structures to bring them into equilibrium. If you work as a software engineer for a company, for instance, and that company receives a project that calls for a software engineer, they may decide to hire you rather than a new applicant organizational structures.

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the cutting edge sells ice skates. total sales are $845,000, total variable expenses are $245,050 and total fixed expenses are $302,000. the variable expense ratio is blank . multiple choice question. 35% 100% 29% 71%

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The Cutting Edge sells ice skates. Total sales are $845,000, total variable expenses are $245,050 and total fixed expenses are $302,000. The variable expense ratio is 29%.

What is the variable expense ratio?

Generally, A company's variable expenditures are expressed as a percentage of its total sales in the variable expense ratio.

To get the variable expenditure ratio for a firm, just take the entire variable costs for the company and divide that number by the company's total net sales. Simply multiplying the value by 100 will allow you to describe it as a percentage.

To get the variable expenditure ratio for a firm, just take the entire variable costs for the company and divide that number by the company's total net sales. Simply multiplying the value by 100 will allow you to describe it as a percentage.

Therefore

The variable expense ratio = $245,050/ 845,000

The variable expense ratio = 0.29

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35. the design for the new electric car has been approved by the board and production is underway, but the vp of manufacturing is nervous about the rate of defective parts from suppliers. see original list screenshot below. he has decided to use the subtotal feature to generate a report that shows subtotals of defects by subassembly name, with a grand total at the end, such as the desired report below. his report, however, looks like the report generated, below. which description would create this?

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The design for new car is not done yet said

During what stage of the new-product development process does a marketer develop a prototype for alpha or beta testing?.

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During marketing testing stage of the new-product development process does a marketer develop a prototype for alpha or beta testing.

Definition of market testing

Market testing describes research that can help maketers understand how well a particular product is performing, given a specific market location or audience.

While similar to product testing, market testing focuses on how a product can perform in a market environment rather than on the structure or effectiveness of the product itself. Companies can hire market testing professionals to help launch new products or to analyze and adjust marketing strategies for existing products.

Strategy type of market testing

There are various market testing strategies that researchers can use to learn about a product.  Some specific types of market testing include:

1. Focus groups

To create a focus group, marketers gather a small group of people to discuss certain aspects of a product, service, or marketing to gain insight and make improvements based on their feedback.

Researchers can create focus groups at random or by selecting certain types of individuals to represent customers.

2. A/B testing

Also known as split testing, A/B testing involves comparing two versions of the same product or advertising strategy to learn which is more effective for the target audience.

3. Small-scale product launch

Also known as a regional rollout, this type of market testing involves launching a product into a selected test market in a specific city or region to see how they react.

Researchers can then use the feedback they receive to improve a product or marketing plan before attempting a wider launch.

4. Eye track testing

Eye track testing can help researchers understand where a person is looking when viewing a website page or advertisement.  This can help them learn which visual ad elements are getting the most attention so they can use them more often.

5. Incrementality testing

To perform incrementality testing, the advertiser creates a group of test subjects and a group of control subjects.  They then showed the test subjects' ads and compared the conversion rates for the test group with the control group to learn about the effectiveness of the advertising campaigns.

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july 1 beginning inventory 30 units at $60 5 purchases 180 units at $56 14 sale 120 units 21 purchases 90 units at $58 30 sale 84 units assuming that a perpetual inventory system is used, what is ending inventory (rounded) under the average-cost method for july?

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$5508 is ending inventory (rounded) under the average-cost method for July. The cost of goods sold is the amount of sales that the company incurred as a result of the sold products.

The cost of goods sold is the amount of sales that the company incurred as a result of the sold products. This is used to calculate gross profit, which is calculated as sales minus cost of goods sold.

The average cost method determines the cost of inventory items by dividing the total cost of goods purchased or produced in a period by the total number of items purchased or produced. The weighted-average method is another name for the average cost method.

$5508 is ending inventory (rounded) under the average-cost method for July.

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several years ago, bill smith borrowed $125,000 to buy his house. he has a 15 year, monthly payment mortgage with an interest rate of 8.75 percent per annum. bill is thinking about refinancing his house so he would like to know the payoff on his current loan. assuming that he just made payment number 120, compute the payoff on bill's loan.

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Bill pays off his debt for 69046.79. Bill Smith acquired his home with a $125,000 loan several years ago. He has a monthly mortgage payment for 15 years with an interest rate of 8.75 percent.

Loan Amount (PV) = $125,000

Period (NPER) = 15 years, per month = 15 * 12 = 18

interest rate = 8.75%, monthly = 8.75 / 12 = 0.7292%

Total payment = 109

To determine Bill's loan payment, we must first find the monthly mortgage payment for the loan using the PMT function in Excel, then use the PV function to determine the payment.

PV -125,000

NPER 180

Interest rate 0.7292%

Monthly payment 1,249.31

Remaining NPER 71

Current value 69046.79

Bill's loan payment will therefore be 69046.79

A percentage of the principal or amount borrowed is what the lender charges the borrower as interest. The annual percentage rate, or APR, is an interest rate, the usual unit used to express the interest rate on a loan (APR).

The amount earned in a savings account or certificate of deposit at a bank or credit union may also be subject to interest rates (CDs). Interest on these bank accounts is calculated as an annual percentage rate (APY).

The borrower is essentially charged interest for the use of the asset. Cash, consumer goods, vehicles, and real estate are examples of loaned mortgage payment assets. As a result, the interest rate can be seen as the "cost of money" because it increases the cost of borrowing the same amount of money.

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warren advertising becomes aware of a lawsuit after the end of the fiscal year, but prior to the issuance of financial statements. a loss should be accrued and a liability should be reported if the amount can be reasonably estimated and:

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After the fiscal year has ended but before the release of financial statements, Warren Advertising learns of a lawsuit. If the amount can be reasonably approximated, a loss should be recorded and a liability should be disclosed and the cause for action occur prior to the end of the fiscal year. So the appropriate option choice from the options given is (a).

What is a financial statement ?

A financial statement is a document that details the operations and performance of a company's finances. Lenders and investors use it to evaluate a company's financial stability and earnings potential.

In accounting, there are four fundamental financial statements:

1. Balance sheet: This document provides a picture of your company's financial situation at a specific point in time and contrasts your assets and liabilities (your liabilities).

2. Profit and loss statement: Also known as an income statement, this report details the revenues and costs of your company.

3. Cash flow statement: Also known as a statement of cash flows, this document displays changes in the amount of money that enters and leaves your company over time.

4. Statement of changes in equity: Also known as a statement of owner's (or shareholder's) equity or a statement of retained earnings, this document displays the amount of cash your company retains (rather than pays out to shareholders or owners).

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The complete question is mentioned below :

Warren Advertising becomes aware of a lawsuit after the end of the fiscal year, but prior to the issuance of financial statements. A loss should be accrued and a liability should be reported if the amount can be reasonably estimated and:

1. The cause for action occurred prior to the end of the fiscal year.

2. The damages would be payable within a year.

3. Both a. and b.

4. The contingency should not be accrued.

taxable equivalent yield what's the taxable equivalent yield on a municipal bond with a yield to maturity of 4.4 percent for an investor in the 35 percent marginal tax bracket? note: round your answer to 2 decimal places. multiple choice 1.54% 6.77% 12.57% 4.40%

Answers

6.77% is the taxable equivalent yield on a municipal bond with a yield to maturity of 4.4 percent for an investor in the 35 percent marginal tax bracket.

Municipal bonds are tax exempt, thus the after-tax yield is the same as the pre-tax yield, which is 4.4%.

Given a 35% tax rate, the taxable equivalent yield is such that: taxable equivalent yield *(1 - 35%) = 4.4% taxable equivalent yield = 6.77%.

The tax-equivalent yield is the pretax yield required for a taxable bond's yield to be equivalent to that of a tax-free municipal bond.

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the rate at which one currency is converted into another is multiple choice the exchange rate. the carry trade rate. the conversion rate. the currency swap. currency speculation.

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The exchange rate is the price at which one currency is transformed into another. Carry trade refers to the idea of borrowing money in a currency with low interest rates and investing the money in a currency with high interest rates.

What is the name of the ratio used to convert one currency to another?

Conversion rate :  The rate at which one currency will be exchanged for another is known as the exchange rate. Some exchange rates are linked or fixed to the value of a particular country's currency, however most exchange rates are floating and will increase or decrease depending on market supply and demand.A currency's relative value expressed in terms of another currency is called an exchange rate (or group of currencies).Suppose you want to convert $100 in U.S. dollars into euros at the current EUR/USD exchange rate of 1.20. Just multiply $100 by 1.20. The amount of euros as a result is 83.33. Reversing that technique is required to convert euros to dollars: multiply the number of euros by 1.20 to get the number of dollars.The cross rate is the rate at which two currencies are being exchanged for one another when measured against one another's currencies. A cross rate is the exchange rate between two currencies stated in a third, distinct currency, such as the yuan to euro exchange rate.

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the turkish lira lost about 40 percent of its value against the u.s. dollar in the first part of 2018. which type of exchange rate system does turkey follow? multiple choice currency board gold standard fixed floating pegged

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The Turkish lira lost about 40 percent of its value against the US dollar in the first part of 2018. Turkey follows floating exchange rate system. With a floating exchange rate, the price is determined by speculation, supply and demand, and other market factors.

Following the 2001 financial crisis, Turkey implemented a floating exchange rate system in which prices are based on market forces such as supply and demand. A country's currency price is decided by the foreign exchange market based on the relative supply and demand of other currencies in a floating exchange rate system. In contrast to a fixed exchange rate, a floating exchange rate is not constrained by trade restrictions or governmental oversight.

Because of floating exchange rate structures, shifts in long-term currency values reflect relative economic strength and variations in interest rates across nations. Disasters, speculative events, and the daily supply and demand of the currency are all represented by changes in the short-term floating exchange rate.

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purchasing-power parity theory does not hold at all times because a. the same goods produced in different countries are perfect substitutes for each other. b. many goods are not easily transported and the same goods produced in different countries may be imperfect substitutes. c. prices are different across countries. d. consumer preferences are different across countries.

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When there are transportation costs, trade barriers (like tariffs), price differences for non-tradable inputs (like rental space), incomplete information about the state of the market, and when other Forex market participants, like investors, there will be insufficient Purchasing Power Parity (PPP) between the countries.

What is Purchasing power parity?

PPPs are, in their most basic form, just price relatives that display the ratio of the costs of the same commodity or service in various national currencies. Additionally, PPPs are calculated for product categories and all levels of aggregation up to and including GDP.

A common statistic used by macroeconomic analysts to compare the currencies of various nations using a "basket of goods" methodology is purchasing power parity (PPP). Economic productivity and living standards can be compared between nations thanks to purchasing power parity (PPP).

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The multiplier is 5​ and, as a result of a change in​ expenditure, equilibrium expenditure and real gdp change by​ $200 billion. What was the initial change in autonomous​ expenditure?.

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Autonomous expenditures are those portions of an economy's total spending that are unaffected by that economy's actual level of revenue. This type of expense is seen as automatic and required both at the public and private levels.

Explain about the autonomous expenditure?

Simply put, autonomous expenditures are those that must be made regardless of income. When income is at zero, it is the amount that a person or the government must spend in order to survive.

Autonomous expenditures are those that are unaffected by the real level of revenue in the economy. The majority of external factors that affect autonomous spending include trade policy, political unpredictability, interest rates, etc.

Because of the multiplier effect, a change in autonomous expenditure will result in a considerably bigger overall change in real GDP. That expenditure's final effect on real GDP will be far more significant.

Hence the initial change in autonomous expenditure is $40

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what is the purchase price (present value) of a car if you make equal annual payments of $6,000 over 4 years compounded annually at 9%, rounded to the nearest $1?

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The car costs $19438.32, so the current price is 19,438.32. However, if you make annual payments, you must pay interest at a compounded rate of 9%.

How Does Compound Interest Work?

The interest on savings that is calculated based on both the initial principal and the interest that has accumulated over previous periods is called compound interest.

It is believed that Italy in the 17th century invented "interest on interest," also known as the power of compound interest. It will grow a sum more quickly than simple interest, which only takes into account the principal.

Money grows rapidly through compounding, and the greater the number of periods of compounding, the greater the compound interest.

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bart has the following income and expenses for his schedule c: total revenue $ 102,480 wages (46,000 ) payroll taxes (3,519 ) payroll tax penalties (300 ) license fee (200 ) supplies (5,300 ) cell phone (588 ) meals (3,000 ) internet service (780 ) what is bart's self-employment income

Answers

The income of Bart is $44,593 as per the given schedule

Wages are certainly deductible, as are payroll taxes. Licensing Fees are deductible as are supplies and utilities related to the business. The utilities would be the cell phone bill and internet service. Meals are deductible but only 50% of them. Therefore of the $3,000 meal total, only half of that, or $1,500 is deductible. To calculate the total self-employment income we will take the total revenue figure and deduct the dollar amounts of the allowable expenses listed above.

Revenue = $102480

Wages = ($46000)

Payroll taxes = ($3519)

License fees = ($200)

Supplies = ($5300)

Cell phone = ($588)

Meals = $3000*50% = ($1500)

Internet services = ($780)

Computing the income:

$102,480 - $46,000 - $3,519 - $200 - $5,300 - $588  - $1,500  - $780

= $44,593

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sadhana smiles, the management expert interviewed in this video, identifies several aspects of employee disengagement, including arriving late, leaving early, pessimism, and negativity. all of these are examples of:

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All the elements are examples of Counterproductive behaviors

Employee conduct that is contrary to the organization's legitimate interests is referred to as counterproductive behaviour. Theft or fraud, pessimism,  sexual harassment, work bullying, absenteeism, drug usage, violence at work, and sabotage are the examples of this behavior. These actions may hurt businesses or the individuals who work there, such as clients, customers, and employees.

In the given statement, Sadhna was smiling during the interview. Further, the management expert also identified late coming, pessimism, and leaving early which all account for Counterproductive behaviors

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Marketers use data to determine that they want to create messages that appeal to a younger target market. This is part of an overall.

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Marketers use data to determine that they want to create messages that appeal to a younger target market this is part of an overall is a promotional strategy.

What is a promotional strategy?

the component of a company's navigation worried about picking the most proper blend of publicizing, deals advancement, individual selling and exposure for correspondence with its objective market.

What is a promotional strategy example?

Kinds of limited time procedures incorporate customary and web-based publicizing, individual selling, direct showcasing, advertising and sponsorships and deals advancements.

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the inelastic segment of the demand curve part 2 a. is coincident with the vertical axis. b. is coincident with the horizontal axis. c. lies below the midpoint of the curve. d. lies above the midpoint of the curve. . . . question content area right part 1 quantity price midpoint demand

Answers

The inelastic segment of the demand curve part 2 lies below the midpoint of the curve.

When the demand for a product doesn't fluctuate as much as the price, this is known as inelastic demand in economics. Inelastic demand is depicted visually by a steep demand curve. The demand for that good or service is less elastic, hence the steeper the curve, the more so. It is said to be totally inelastic if a demand curve is perfectly vertical (up and down). The good is described as "elastic" or "very elastic" if the curve is shallow as opposed to steep. This implies that the amount required will fluctuate significantly with a slight change in the good's price.

Price inelastic demand just indicates that the quantity change is not zero but rather that the quantity change is smaller than the price change in percentage terms. Demand that is price inelastic (as opposed to completely inelastic) nonetheless has a decreasing slope.

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which element of the promotion mix refers to the set of nonpersonal communication tools designed to stimulate quicker and more frequent purchases of a product?

Answers

Sales promotion refers to the set of non personal communication tools designed to stimulate quicker and more frequent purchases of a product.

What is promotion mix ?

To maximize promotional efforts and reach a larger audience, marketers create a promotion mix, which is a collection of various marketing strategies. The duty of the marketer is to determine the ideal promotion mix for a specific brand.

It takes marketing expertise and experience to create a promotion mix. To create a successful promotion mix, marketers must conduct numerous studies and gather a ton of information on a specific brand.

The significance of a promotion mix :

increases the efficiency of advertising campaignssegments the audience and enhances client communicationsubscribers are informedunique among the group

What Makes Up a Promotion Mix?

Direct selling and advertisingpromotion of salesPublic relations

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a form of real estate financing that gives the lender rights to the equity through increased payments or part of the residual value over the balance of the loan?

Answers

Participating debt financing: At the time the loan is funded, the lender can have participatory rights to equity through increased income or residual value over the loan's balance.

In addition to designing a loan with an agreed-upon interest rate, the lender takes a percentage of the equity operating cash flow from the proceeds of the sale or refinance. By receiving a percentage of the potential future cash flow, the lender can increase his returns significantly.

What are the four sorts of obligation funding?Lender loan A bank loan is a common form of debt financing.Issues of bonds Bond sales are yet another form of debt financing.Loans to the family and credit cards Getting a loan from family and friends or borrowing money with a credit card are two additional ways to finance your debt.

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With low wages and strict controls on speed and productivity, how do barbadian pink-collar workers in the informatics industry express their agency?.

Answers

Despite low wages and strict speed and production rules, Barb-adian "pink-collar" workers in the informatics sector demonstrate their agency through choices in attire and haircuts.

What do workers stand for?

Employees represent brands when they interact with clients and customers, whether in person or, as is more likely at the moment. People will represent the brand and convey its message more effectively if they see their roles as extensions of the business.

What does it entail to speak for a business?

A company's representative is an organization's organ or a person with the authority to act in the company's name before courts and other authorities, as well as to acquire rights and enter into agreements that are legally binding on the company.

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a company purchased a computer system at a cost of $30,000. the estimated useful life is 6 years, and the estimated residual value is $9,000. assuming the company uses the double-declining-balance method, what is the depreciation expense for the second year?

Answers

The depreciation expense using double -declining method of computer who have life of 6 years is $9,702.

Given information,

Cost of asset = $30,000

Time period = 6 years

Residual value = $9,000

Rate of depreciation = 1/ useful life*100

                                   = 1/6*100

                                    = 16.67%

Depreciation using double -declining method = 2* cost of asset*

                                                                                *Depreciation rate

Depreciation value = 2*$30,000* 16.17% = 9,702

Depreciation is an accounting technique for spreading out the expense of a tangible item over the course of its useful life. How much of an asset's value has been used is shown through depreciation. It enables businesses to purchase assets over a predetermined length of time and generate income from those assets.

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Why do competitive markets move toward equilibrium?

Answers

Markets tend toward equilibrium because when a shortage exists, consumers who are unhappy about not being able to purchase the products or services they want will tend to bid the prices higher, moving the market toward equilibrium.

which statement below is most true? projects ensure the right projects are done. project management, projects, programs, and portfolios are in place to support the strategic business goals of the organization. projects, programs, and portfolios are responsible for outputs and deliverables. portfolio managers ensure the program components are delivered in a coordinated and complimentary manner.

Answers

Project management, programs, and portfolios are in place to support the strategic business goals of the organization is the most true statement.

   The best way to explain the connection between project management, program, and portfolio management is as follows: A project is a brief undertaking made by a business or organization  A program is a collection of projects that are linked or comparable to one another and are frequently handled and directed collectively rather than separately. A portfolio is a collection of various initiatives and/or projects carried out by the same company, whether or not they are related to one another.

     It is crucial for  project management, and portfolio managers within an organization to comprehend one another's contributions to the accomplishment of a strategic goal in order to be effective. Without this comprehension, there can be unneeded uncertainty and misunderstandings that could cause an initiative to fail before it even gets off the ground.

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small firms generally have relatively high loadings (high betas) on the smb (small minus big) factor. a. explain why this is not surprising. b. now suppose two unrelated small firms merge. each will be operated as an independent unit of the merged company. would you expect the stock market behavior of the merged firm to differ from that of a portfolio of the two previously independent firms? c. how does the merger affect market capitalization? d. what is the prediction of the fama-french model for the risk premium on the merged firm compared to the weighted average of the two component companies? e. do we see here a problem in applying the ff model?

Answers

In a Fama-French regression, a positive SMB coefficient is frequently read as indicating a portfolio that is skewed toward small-cap companies.

We exhibit a relatively sizable portfolio with an overall positive SMB coefficient.

Why is little less than big significant?

According to the Fama/French stock pricing model, small businesses outperform big businesses over the long run (SMB). Another component of the model that states that value equities typically beat growth firms is high minus low (HML).

SMB beta: What does it mean?

The size effect known as Small Minus Big (SMB) is based on a company's market capitalization. The historic advantage of small-cap enterprises over large-cap companies is measured by SMB. SMB may be recognized, and linear regression can be used to calculate its beta coefficient ().

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Martina has decided to structure her new business venture to provide liability protection while gaining tax benefits over alternative structures. Her attorney has prepared the operating agreement and advised her of the complexities and expense of setting up this structure. Which of the basic types of ownership has martina​ chosen?.

Answers

Martina has chosen a limited liability company (LLC) as her business structure. This type of business entity provides liability protection for the owners while also offering tax benefits over alternative business structures.

What is tax?
A tax is a mandatory financial charge or other type of levy imposed by a governmental organisation on a taxpayer (an person or a legal entity) in order to fund government expenditure and various public spendings (regional, local, or national), and taxation refers to national policies and personal behavior aimed at ensuring that taxpayers pay the correct amount of tax at the correct time and receive the correct tax allowances and income reliefs. The first known taxation occurred in Ancient Egypt between 3000 and 2800 BC. Failure to pay on time (non-compliance), as well as evasion or resistance to taxes, is illegal and punishable by law. Taxes can be direct or indirect, and they can be paid in cash or in labour equivalents.

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which profit-oriented pricing objective is common in many firms because the targets can be set and performance measured quickly? multiple choice question. unit volume maximization target return managing for long-run profits maximizing current profit

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Profitability pricing targets, which establish a connection between the advantages offered by a certain activity or thing and the expenditure of money or other resources, include those that aim to maximize profits or achieve a target return on investment.

For a business, profitability has three different goals. usually expressed in terms of ROI or ROA

long-term management of profitability

increasing gains already made

Target Reviewer

When knowledge and skill are combined, high-quality products can be created and eventually succeed in competitive markets.

Contrary to its development cost, the price of commodities is comparatively low. However, the government anticipates eventually making more money since it has a substantial market position in a corporation.

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which two challenges are most commonly reported by inventors and engineers of global health solutions? group of answer choices financing intellectual property rights distribution channels manufacturing partners

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Distribution channels and financing are two challenges that are most commonly reported by inventors and engineers of global health solutions.

What is a Distribution channel?

A distribution channel is a network of firms or middlemen that a commodity or service travels through before reaching the final consumer or buyer. Wholesalers, merchants, distributors, and even the internet are examples of distribution channels.

The downstream process, which addresses the issue of "How do we get our product to the consumer," includes distribution networks. As opposed to this, the upstream procedure, also referred to as the supply chain, provides an answer to the query "Who are our suppliers?"

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vandelay industries employs chemical and manufacturing experts who are among the best in the world at developing and producing products that contain latex. vandelay industries is highly efficient and outperforms its competitors which results in a(n) over its competition.

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Vandelay industries is highly efficient and outperforms its competitors which results in a(n) competitive advantage over its competition.

What is competitive advantage?

Competitive advantage refers to a situation where a company is able to produce goods more efficiently than its competitors and as a result, outperforms them and has more growth prospects than them.

Vandeley Industries is able to engage in the production of chemical and manufacturing goods in a highly efficient manner that is better than their competitors so this is competitive advantage.

In conclusion, Vandeley Industries has a competitive advantage.

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