caleb king is interested in investing in orange corporation. what types of tools should caleb use to evaluate the​ company?

Answers

Answer 1

To evaluate Orange Corporation, Caleb King should use several tools to make an informed investment decision.

1. Financial Statements: Caleb should carefully analyze the company's financial statements, including the income statement, balance sheet, and cash flow statement. 2. Ratios: Caleb can calculate and analyze various financial ratios to assess the company's financial health and performance. 3. Industry Comparisons: Caleb should compare Orange Corporation's financial metrics with industry averages to evaluate how the company performs relative to its competitors.


4. SWOT Analysis: Caleb can conduct a SWOT (Strengths, Weaknesses, Opportunities, and Threats) analysis to evaluate the internal and external factors that may impact Orange Corporation's performance. 5. Management Evaluation: Caleb should assess the company's management team and their track record.  6. News and Industry Reports: Caleb should stay updated on the latest news, developments, and industry reports related to Orange Corporation and the sector it operates in.

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Related Questions

what to do when opening your first online store

Answers

Answer:

You share it to everyone. Marketing is the first to do

A registered representative is obligated to adhere to the prospectus delivery requirements of the Securities Act of 1933 when making a sale of A) a new issue of B-rated industrial revenue bonds to provide funding for a new facility for the Boomer Widgets Company. B) shares of the STU open-end investment company, a fund whose portfolio makeup is exclusively U.S. Treasury issues. C) shares of the XYZ closed-end investment company, a fund whose shares trade on the Nasdaq Stock Market. D) shares of the LMN S

Answers

Answer:

B) shares of the STU open-end investment company, a fund whose portfolio makeup is exclusively U.S. Treasury issues.

Explanation:

The Securities Act of 1933 requires that new securities must be recorded with the Securities and Exchange Commission (SEC). When registered representatives are offering stocks to their clients, they are required to adhere to the prospectus delivery if the IPO (initial public offering) or APO (additional public offering) after up to 90% of the event.

No IPO or APO is mentioned in the question, but only options A and B refer to securities that could have been recently issued. Since option A is about a municipal bond (industrial revenue bonds are considered municipal bonds), and municipal bonds are not included in the Securities Act of 1933, then we can eliminate that option.

The only possible option we have left is option B. Open end investment stocks are basically a constant IPO since every time an investor buys a stock, it is creating a new stock, e.g. when you invest in a mutual fund you are creating new mutual fund stocks. It doesn't matter if the mutual fund only invests in US treasuries.

You invest $500 in a fund that has shown to have a mean annual increase of $120 per year. If you leave your initial
investment in the account, and invest no additional funds, how much will your account be worth at the end of 25 years?

a) $1,200
b) $2,500
c) $3,500
d) $3,800

Answers

It is letter C because 120x25=3000+500=3,500

The  investment of  $500 in a fund, the account at the end of 25 years would be $3,500. The appropriate response is option C.

What is investment?

A purchase made with the intention of creating income or capital growth is known as an investment. An asset's value increasing over time is referred to as appreciation. When a person makes an investment, they do not intend to utilize the product immediately; instead, they intend to use it to build wealth in the future.

Stocks, bonds, and cash equivalents are the three main categories into which investments are often divided. Within each category, there are several distinct kinds of investments.

The  investment of  $500 in a fund, the account at the end of 25 years-

120x25=3000+500=3,500

Hence, option C is an appropriate response.

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which of the following commodities is a product of the primary or extractive industry

A. Cars
B. Gold
C. Hair Processing
D . Houses ​

Answers

Answer is going to be B. Gold

who is the person named on the check from whose account the amount of the check will be withdrawn?

Answers

When someone writes a check, the name of the person who will withdraw the money is written in the “Pay To The Order Of” field. This is the person to whom the check is written and who will cash or deposit it.

Therefore, the person named on the check from whose account the amount of the check will be withdrawn is the person specified in the “Pay To The Order Of” section on the check.
To write a check, you need to follow some basic steps:
1. Date: The date is important because it tells both you and the person you wrote the check to when the transaction took place.
2. Payee: The payee line is where you write the name of the person or company you’re writing the check to.
3. Amount in numeric form: Write the amount of the check in numeric form, such as $100.50. This tells the bank how much money to take from your account when the check is cashed.
4. Amount in words: Write the amount of the check in words, for example, “One Hundred and 50/100”.
5. Memo line: This line is optional, but it’s helpful to write what the check is for in this section.
6. Signature: Sign your name on the line at the bottom right corner of the check. This shows the bank that you authorize the transaction.
In summary, the person named on the check from whose account the amount of the check will be withdrawn is the one indicated on the “Pay To The Order Of” field on the check.

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Giving brainliest to the best answer. also, i know that the answer is not a or c.​

Giving brainliest to the best answer. also, i know that the answer is not a or c.

Answers

Answer:

B iam sorry if im wrong but I have a strong feeling its b

similarities between local market and national market​

Answers

Depending on your business, you may need to consider national marketing strategies, local marketing campaigns or a combination of the two. As their names suggest, national marketing involves promoting your business across the country while local marketing is focused on a small and specific geographic area.

Adapting the Four P’s of Marketing for a Local or National

Product: According to MindTools, the product or service needs to satisfy customers’ specific needs. If you have a bakery, for example, you can focus your products to meet a specific customer requirement, like gluten-free products. On a local level, your messaging can include your local ingredients and the local experts who craft the baked goods. On a national level, you may want to talk about the success of the franchise in creating consistently delicious products from family recipes.
Place: The place is where you sell the products. On a local level, this may include your brick-and-mortar store and an e-commerce website. On a national level, this can include your e-commerce website or franchise locations.
Price: How much your customers are willing to pay for your products may differ based on geography. For example, customers in a big city may be willing to pay more for products compared to those living in a suburb or rural area.
Promotion: This is the method of sharing your messaging with your customers. It can include advertising, personal selling, sales promotion, direct marketing and public relations. Regardless of whether you’re taking a local or national approach, it’s vital to look at the competition to ensure your messaging stands out. Timing of the promotion is also key, as certain geographic locations may be more seasonally focused than others. For example, promoting bathing suits in January in New York may be more challenging than promoting them in July


6.1.8 Practice: Writing About Business and LaborPre-Writing
1. You need to analyze the relationship between business and labor. Write a question that your essay will answer. You can use one of the ideas on page 2, or you can come up with your own.
importance of the coexistence of work and business explanation: both support each other, since a company cannot grow without an operating team that produces the goods and services it offers to its consumers.

2. Now you need to answer that question. This will become your thesis, but it doesn't have to be worded that way yet.

3. It's time to prove your point. Think about three ways that your statement from question 2 is true. You can find evidence in all of the activities you have read so far for this lesson. Make sure that each of your points directly supports your thesis. These will become the topic sentences of each of your body paragraphs.

Answers

Labor and business is known to be two elements that are said to be a closely and have direct form of relationship with one another.  The question I would love to answer is '' How is labor and business linked".

It is good to note that a laborer will is the one that will provide the their time and efforts that will be put into the business. The role of the business will in regards to this will be to provide a wage or compensation that will be used to pay the laborer for an exchange for their time and efforts that has been spent.

Businesses and Labor support each other as they cannot do without one another. Business is known to use  labor to produce goods and services that are demanded by their consumers while Labor needs s business to make a living so that they will not die from starvation.

What is the relationship between business and labor?

People serves as the labor that are used for any businesses operations.

While business exchange the said labor for wages. This is known to be a kind of trade where the  time used to work especially in the production of goods and services is paid for.

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The Winterland Corporation issued bonds for a total of $300,000.00 at 10 years, at 8% and 98.

The sale must be registered on the 1st. March 2017.

Prepare the journal entries for the issuance of the bonds.

Answers

The journal entries for the issuance of the bonds by Winterland Corporation on March 1, 2017, would be as follows: Bonds Payable $300,000.00 , Discount on Bonds Payable $6,000.00 , Cash $294,000.00 , Interest Expense $24,000.00 , Discount on Bonds Payable $2,400.00 , Cash $21,600.00

To prepare the journal entries for the issuance of the bonds by the Winterland Corporation, we need to consider the following information:

The total amount of bonds issued: $300,000.00

Maturity period: 10 years

Interest rate: 8%

Bond discount: 98 (meaning the bonds were issued at a discount of $2 per $100 face value)

The journal entries for the bond issuance would be as follows:

On March 1, 2017, when the bonds are issued:

Bonds Payable $300,000.00

Discount on Bonds Payable $6,000.00 ([$300,000 * 2% discount rate])

Cash $294,000.00 ([$300,000 - $6,000])

Explanation: The company recognizes the liability for the bonds issued as "Bonds Payable" for the face value of $300,000. The "Discount on Bonds Payable" account is created to record the discount associated with issuing the bonds. The cash received from the issuance is recorded in the "Cash" account.

Subsequent journal entries would be made to account for the interest expense and discount amortization over the life of the bonds.

To record annual interest expense and discount amortization:

Interest Expense $24,000.00 ([$300,000 * 8%])

Discount on Bonds Payable $2,400.00 ([$300,000 * 2% discount rate])

Cash $21,600.00 ([$24,000 - $2,400])

Explanation: Each year, Winterland Corporation would record the interest expense based on the stated interest rate of 8%. Additionally, they would amortize a portion of the discount on the bonds, equal to the difference between the interest expense and the cash paid for interest.

In conclusion, the journal entries for the issuance of the bonds by Winterland Corporation on March 1, 2017, would be as follows:

Bonds Payable $300,000.00

Discount on Bonds Payable $6,000.00

Cash $294,000.00

Interest Expense $24,000.00

Discount on Bonds Payable $2,400.00

Cash $21,600.00

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A series of four annual constant-dollar payments beginning with $15,000 at the end of the first year is growing at a rate of 8% per year. Assume that the base year is the current (n=0). If the market interest rate is 13% per year and general inflation rate (f') is 7% per year, find the present worth of this series of payments, based on
a) constant-dollar analysis
b) actual-dollar analysis

Answers

The present worth of the series of four annual constant-dollar payments beginning with $15,000 at the end of the first year, growing at a rate of 8% per year, based on actual-dollar analysis is $52,017.80.

To find the present worth of a series of four annual constant-dollar payments that are growing at a rate of 8% per year, we need to use a discounting formula. In this case, the market interest rate is 13% per year, which means that we should use a discount rate of 13%. We also need to consider the general inflation rate, which is 7% per year, and adjust the payments to their actual value.

Using the formula for present worth of an annuity with growth, we can calculate the present worth of the series of payments:

PW = (C(1+g)/(r-g))(1-(1+g)^-n)

where C is the initial payment, g is the growth rate, r is the discount rate, and n is the number of payments.

Substituting the given values, we get:

PW = ($15,000(1+0.08)/(0.13-0.08))(1-(1+0.08)^-4)

PW = $45,820.31

This is the present worth of the series of constant-dollar payments in current (n=0) dollars. To find the present worth in actual dollars, we need to adjust for inflation. The actual value of each payment is:

AV = C(1+f')

where f' is the inflation rate.

Substituting the given values, we get:

AV = $15,000(1+0.07)

AV = $16,050

The present worth of the series of payments in actual dollars is:

PW(actual) = AV(1-(1+r/f')^-n)/(r/f')

Substituting the given values, we get:

PW(actual) = $16,050(1-(1+0.13/0.07)^-4)/(0.13/0.07)

PW(actual) = $52,017.80

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QuestionA baseball team is deciding where to celebrate their tournament victory. They decide between two restaurants by voting, and the one with the most votes wins. This is an example of:

Answers

Answer:

majority rule

Explanation:

Unida Systems has 42 million shares outstanding trading for $10 per share. In addition, Unida has $94 million in outstanding debt. Suppose Unida's equity cost of capital is 16%, its debt cost of capital is 8%, and the corporate tax rate is 35%. a. What is Unida's unlevered cost of capital? b. What is Unida's after-tax debt cost of capital? c. What is Unida's weighted average cost of capital?

Answers

a. Unida's unlevered cost of capital, also known as the cost of equity, can be calculated using the following formula:

Unlevered Cost of Capital = Equity Cost of Capital = Cost of Equity = Re

Given:

Equity Cost of Capital = 16%

Therefore, Unida's unlevered cost of capital is 16%.

b. Given:

Debt Cost of Capital = 8%

Tax Rate = 35%

After-tax Debt Cost of Capital = 8% * (1 - 35%) = 8% * 0.65 = 5.2%

Therefore, Unida's after-tax debt cost of capital is 5.2%.

c.To calculate the weights, we need to know the market values of equity and debt. Since the market values are not provided, we cannot calculate the exact WACC.

Weight of Equity = Market Value of Equity / (Market Value of Equity + Market Value of Debt)

Weight of Debt = Market Value of Debt / (Market Value of Equity + Market Value of Debt)

Once the market values are known, the WACC can be calculated by plugging in the values into the formula.

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A single-stock futures contract is priced at $64.80. The stock has a dividend yield of 1.45 percent and the risk-free rate is 4.25 percent If the futures contract matures in two months, what is the current stock price? (Do not round intermediate calculations. Round your answer to 2 decimal places.)

Answers

The current stock price is approximately $64.80.

To determine the current stock price, we need to take into account the futures contract price, the dividend yield, and the risk-free rate.

Step 1: Calculate the dividend payment
Multiply the futures contract price by the dividend yield:
Dividend payment = $64.80 × 1.45%

= $0.9384

Step 2: Calculate the present value of the dividend payment
Divide the dividend payment by (1 + the risk-free rate) raised to the power of the time period:
Present value of dividend payment = $0.9384 / (1 + 4.25%)^(2/12)

= $0.9319

Step 3: Calculate the fair value of the futures contract
Subtract the present value of the dividend payment from the futures contract price:
Fair value of futures contract = $64.80 - $0.9319

= $63.8681

Step 4: Determine the spot price of the stock
The futures contract price is equal to the spot price minus the present value of the dividend payment:
Spot price = Fair value of futures contract + Present value of dividend payment
Spot price = $63.8681 + $0.9319

= $64.80

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The owner of the rapids river rafting company wants to advertise to a broader customer base as a way to increase revenue. Employees are a little resistant to his plan. What is one way he can persuade them that this is a good idea?

Answers

Answer:

Document ways diversity played a crucial role for business in the past

Explanation:

River rafting refers to the activity of moving quickly in a small boat along rivers

The owner of the rapids river rafting company wants to advertise to a broader customer base as a way to increase revenue.

But the employees are a little resistant to his plan.

For this document ways, diversity has played a crucial role in business in the past.

So, he can follow such ways.

________________ ratios show the funds supplied by creditors and shareholders.

Answers

The debt-to-equity ratios show the funds supplied by creditors and shareholders in a company's capital structure. These ratios provide insights into the proportion of financing obtained from debt (creditors) compared to equity (shareholders) sources.

Debt-to-equity ratios are financial metrics used to analyze a company's capital structure and the relative contributions of creditors and shareholders to the funding of the business. The ratios indicate the proportion of debt financing (provided by creditors) to equity financing (provided by shareholders). The debt-to-equity ratio is calculated by dividing a company's total debt by its total equity. A higher ratio suggests that a larger portion of the company's funding is derived from debt, indicating a higher reliance on creditors for financing. On the other hand, a lower ratio indicates a greater proportion of financing from equity, signaling a larger contribution from shareholders.

These ratios are important for assessing a company's financial health, risk profile, and leverage levels. Higher debt-to-equity ratios may indicate a higher financial risk, as increased debt can lead to higher interest expenses and potential difficulties in meeting debt obligations. Lower ratios, on the other hand, may suggest a more conservative capital structure with a larger equity base.

By analyzing debt-to-equity ratios, investors, analysts, and stakeholders can evaluate the extent to which a company is relying on debt and equity sources to fund its operations and make informed decisions regarding its financial stability and risk exposure.

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Media with a firmness midway between that of a broth (a liquid medium) and an ordinary solid medium are called

Answers

Answer:

I think its semisolids.

lavender inc , a computer manufacturing company, sells its products at costs that are lesser than its competitors as it wishes to gain profits in order to cover more of the competitive market. the company follows this method as it has high unit volumes. the scenario best illustrates the .

Answers

The company follows this method as it has high unit volumes. The scenario best illustrates the C. pricing strategy.

Pricing strategies are the methods and methodologies that businesses use to determine the prices for their goods and services. If price is the amount you charge for your items, product pricing strategy is how you determine that number.

Many businesses focus on acquisition to develop their firm, yet studies have shown that little changes in pricing can increase or decrease revenue by 20-50%.

Despite this, fewer than 5% of Fortune 500 organizations have functions dedicated to determining the best pricing. In the corporate sector, there is a missing potential to achieve immediate success with little work. Hence, Lavender's this scenario illustrates pricing strategy.

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Correct question:

Lavender Inc., a computer manufacturing company, sells its products at costs that are lesser than its competitors as it wishes to gain profits in order to cover more of the competitive market. The company follows this method as it has high unit volumes. The scenario best illustrates the _____.

A. acquisition strategy

B. cost-management strategy

C. pricing strategy

D. investment strategy

What is Clairemont’s Gross Profit Margin?

Answers

is a financial metric that indicates how efficient a business is at managing its operations. It is a ratio that indicates the performance of a company's sales based on the efficiency of its production proces

What three manageable factors must be developed and executed successfully in order to do npd successfully?

Answers

Planning, execution, and creativity are three manageable factors that must be developed and executed successfully in order to do npd successfully.

In other words, desirability, feasibility, practicality, and ethics must be met. As the image below shows, they are indeed the cornerstones of product success. Let's take a closer look at the four success factors. Desirability is probably the most important factor.

Demand within the target segment is underestimated.

Create associations and connections between existing and new ideas.

The Big C manageable factor is the kind of creativity reflected in world-changing achievements such as artistic masterpieces and scientific breakthroughs. The works of Picasso, Einstein's Breakthrough, and the story of Terry Pratchett can all be considered examples of this Big C.

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which of the below best describes the competitive tendencies of small firms? group of answer choices small firms tend to signal their competitive actions long before they launch those actions, because they lack legitimacy in the marketplace. small firms typically have more resources available as they undertake competitive attacks than do large firms. small firms are more nimble and can respond quickly to competitive attacks. small firms are more nimble and cannot respond quickly to competitive attacks.

Answers

The best answer that describes the competitive tendencies of small firms is small firms are more nimble and can respond quickly to competitive attacks. So, correct option is C.

This means that small firms have an advantage in responding to competitive threats because they are more agile and can make decisions more quickly than larger firms. They can respond to changes in the market or competitive environment more quickly, which allows them to adapt and compete effectively.

Small firms also tend to have fewer layers of bureaucracy and decision-making, which can make them more flexible and able to take action more quickly. In contrast, larger firms may have more complex structures, which can slow down decision-making and make it more difficult to respond quickly to competitive threats.

Furthermore, small firms often have a strong entrepreneurial spirit and a willingness to take risks. This can make them more willing to try new strategies and tactics to compete, which can give them an edge over larger, more established firms that may be more risk-averse.

In summary, small firms have a competitive advantage in their ability to be nimble and respond quickly to competitive attacks. This advantage stems from their flexibility, simpler organizational structures, and entrepreneurial spirit.

So, correct option is C.

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An amount that would equal a particular future value if deposited today at a specific interest rate is the?

Answers

When we want to determine the present value that would equal a particular future value, given a specific interest rate, we can use the concept of compound interest.

Compound interest refers to the process of earning interest not only on the initial deposit but also on the accumulated interest over time. To calculate the present value, we can use the formula for compound interest:

Present Value = Future Value / (1 + Interest Rate)^Number of Periods

In this formula, the Future Value represents the desired amount we want to achieve, the Interest Rate denotes the rate at which the investment will grow, and the Number of Periods indicates the length of time the investment will be held.

By substituting the given values into the formula, we can find the present value needed to reach the desired future amount. It is important to note that the interest rate and the number of periods should be consistent (e.g., if the interest rate is given annually, the number of periods should be expressed in years).

This calculation helps individuals and businesses make informed financial decisions by determining the present value of future cash flows, such as investments, loans, or annuities. It enables them to evaluate the profitability and attractiveness of various financial opportunities, considering the time value of money and the potential impact of interest rates.

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________________________ equalizes the prices of internationally traded goods across countries.

Answers

Answer:purchasing power parity

Explanation:

Which of the following is NOT included as an inventory holding cost? Storage facilities Pilferage (Theft) Insurance Purchasing cost of materials

Answers

Among the following inventory holding costs, the D. Purchasing cost of materials" is NOT included. Inventories are kept for fulfilling customer demand, which implies the costs of storing them are essential.

Inventory holding costs are the expenses associated with storing the stock that a company produces or purchases. It includes costs such as storage, pilferage (theft), insurance, taxes, and interest paid on funds invested in the inventory.

The purchasing cost of materials refers to the price paid by the business to acquire the goods or raw materials. The cost of purchasing raw materials is not classified as an inventory holding cost since it is regarded as an acquisition expense rather than a storage expense.

Therefore, the purchasing cost of materials is not included in inventory holding costs.

Hence, the option (D) Purchasing cost of materials is NOT included as an inventory holding cost.

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Which industry is the second-largest employer of teens
and young people?
What percentage of employed teens are employed by
the government?​

I got it
is retail trade
and 7%

Answers

Answer:

I. Retail industry

ii. 7%

Explanation:

Retail industry is the second largest employers of teen and young people next to health sector which is the largest employer.

Retailing involves buying goods either from the producers or wholesaler and selling them to the final consumers. Some services are also offered in these retailing such as call center representative, those who work in innovation lab. etc

In the United States, about 7% of teens and young people are in the employment of government , while retail industry is the largest employer of teen and young people because it provides flexibility and also do not involve much academic qualifications.

Example of these retail jobs are those who work in call center, sales representatives and those who works in stores.

Answer:

Retail Trade

7%

Explanation:

Edge 2020

the critical path for the network activities shown below is ________ with duration ________.

Answers

The critical path for the network activities shown below is A-D-E with duration 13.

What is Critical path?

Generally, The sequence A-D-E with a length of 13 seconds is the crucial route for the network activity indicated below.

Critical path activities are those activities that, if they are not finished on time, will cause a delay in the completion of the whole project.

In this particular scenario, action A serves as a direct antecedent for both activity D and activity E, which is the very last activity.

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In 2017, Boeing reported inventory of $44.344 billion and annual sales of $93.392 billion.
Round your answer to one decimal place.
What were the annual turns for Boeing?

Answers

The annual turns for Boeing can be calculated by dividing the annual sales by the inventory. Therefore, the annual turns for Boeing in 2017 were 2.1 times (rounded to one decimal place).

This means that Boeing sold and replaced its inventory 2.1 times during the year. A high annual turns ratio generally indicates that a company is efficiently managing its inventory, as it is selling its products quickly and replenishing inventory frequently. However, it's important to note that the optimal turns ratio can vary depending on the industry and specific company circumstances. Overall, a lower turns ratio may suggest that a company is carrying excess inventory, which can be costly and negatively impact its financial performance.
Hi! To calculate the annual inventory turns for Boeing in 2017, we'll use the following formula:

Inventory Turns = Annual Sales / Average Inventory

Given the information provided, Boeing had annual sales of $93.392 billion and inventory of $44.344 billion. We can now plug these values into the formula:

Inventory Turns = $93.392 billion / $44.344 billion

Now, divide the annual sales by the inventory:

Inventory Turns ≈ 2.1 (rounded to one decimal place)

So, the annual inventory turns for Boeing in 2017 were approximately 2.1. This means that Boeing sold and replaced its inventory about 2.1 times during that year.

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EFT, Inc. EFT, Inc. wants to empower and engage its employees. They have several teams consisting of highly skilled employees and no one person on these teams has a specifically assigned position. Instead, employees lead each other as the occasion arises so there is no formal hierarchy or organizational chart. This type of leadership is most effective when:

Answers

Answer:

This question is incomplete, the options are missing and the final sentence is written wrong.

The options are the following:

a) People-oriented leadership

b) Managerial leadership

c) Shared leadership

d) Servant leadership

And the correct answer is the option C: Shared leadership

That type of leadership is known as Shared leadership.

Explanation:

To begin with, the "Shared leadership" is the name given to a style of leadership that is used in the companies with the purpose of letting the members of a team to work together as there were no leader at all but instead every member lead each other as the occassions arises and the project goes on. Therefore that this style matches with the description given in where the team members help each other to resolve the situations that evolve as long as the project keeps to continue.

You need to schedule a meeting with your boss. Which of these options would most likely be both efficient and effective? check all that apply.

Answers

Scheduling a meeting with your boss: Call the boss's assistant and request a meeting. Future meetings can be planned using scheduled meetings, either as one-time events or recurrent ones.

You can send an email invitation to create the meeting or access your calendar (or manually open the calendar of any contacts) to plan upcoming meetings. However, if you're searching for a broad window of time, our research indicates that mid-morning, between 10 am and 12 pm, is the tried-and-true optimum time to plan a meeting. Everyone should remember this, regardless of their position, field, or location. A schedule is a plan that outlines a series of activities.

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who is johnny sins?
A - a doctor
B -dentist
C -firefighter

Answers

Answer:

A-doctor

Explanation:

when the supreme court judges vote unanimously on a case, this usually indicates a _____ model of decision-making.

Answers

Legal.


Hope this answers your question
Other Questions
The peoples party was least successful in pursuing which goal?Perssuring states to allow referendums and inniativesrequiring the rich trophy a higher income tax Enacting the direct election of U.S. senatorsforcing the adoption of the silver standard if 4x+8x=64 what is 2x A short sellerQuestion 30 options:1)anticipates that the price of the stock sold short will increase.2)earns the difference between what they initially paid for the stock versus what they later sell the stock for.3)makes a profit equal to the difference between the original sell price and the price paid for the stock, after subtracting any dividend payments made.4)is essentially lending the stock to another investor and will ultimately receive that stock back from that investor.5)none of the above use the adjusted trial balance accounts and balances at its december 31 year-end for stark company to prepare an adjusted trial balance. Select the scenario in which a diagnostic argument could be most helpful:1. A product manager is revising an outdated marketing plan.2. An accounting manager must report on why Selling, General, and Administrative expenses have jumped recently.3. An accounting manager needs to write a report about the updated costs of three information technology systems.4. None of the above The idea that our past experiences lead us to see the world in a particular way that is difficult to change is called Group of answer choices Stubbornness Cultural selection Selective retention Perceptual constancy What functional area of the Cisco Network Foundation Protection framework uses protocols such as Telnet and SSH to manage network devices At the end of the year, the records of Duo Corporation provided the following selected and incomplete data:Common stock: $ 1,500,000 ($ 1 par value; no changes in account during the year).Shares authorized: 5,000,000 .Shares issued: ________(all shares were issued at $ 80 per share).Shares held as treasury stock: 100,000 shares (repurchased at $ 60 per share).Net income: $ 4,800,000 .Dividends declared and paid: $ 2 per share.Retained earnings beginning balance: $ 82,900,000 .Required:(d) What was the total dividend paid during the year? The graph shows the distribution of the lengths (in seconds) of videos on a popular video-streaming site. The distribution is approximately Normal, with a mean of 264 seconds and a standard deviation of 75 seconds.A graph titled Streaming Videos has length (seconds) on the x-axis, going from negative 36 to 564. The highest point of the curve is at 264.What percentage of videos on the streaming site are between 264 and 489 seconds?0.15%49.85%95%99.7% Trobrianders recounted to an anthropologist that at the dawn of time animals came out of the earth in a certain order, and that order explains the ranks of the various clans in Trobriand society. This is an example of please answer all requirements and follow any rounding instructionsor whole number instructionsMurden Corporation has three divisions: pulp, paper, and fibers. Murden's new controller, Marco Becker, is reviewing the allocation of fixed corporate-overhead costs to the three divisions. He is pres Meteora, Inc., has an issue of preferred stock outstanding that pays a dividend of $6.95 every year, in perpetuity. This issue currently sells for $90 per share. What is the required return Which sentence is punctuated correctly? Responses Marcus and Amir, really played well in last nights soccer match no? Marcus and Amir, really played well in last nights soccer match no? It feels fantastic to spend time outdoors exploring nature, yes? It feels fantastic to spend time outdoors exploring nature, yes? We can donate these clothes, that we no longer wear, to others yes? We can donate these clothes, that we no longer wear, to others yes? Antonia, you baked these delicious peanut butter cookies just for me no? Which New York State location is most likely to experience the heaviest winter snowfall when the surface winds are blowing from the west or north-west In Irving Fisher's two-period consumption model, if Y1 = 20,000, Y2 = 15,000, and the interest rate r is 0.50 (50 percent), then the maximum possible consumption in period one is: Rules of behavior that are defined both formally and informally are ________. law folkways mores norms Your friend is looking to launch a new hotel chain, Roxy Inc., designed to serve the traveling needs of the budget-minded millennial traveler. To launch Roxy Inc., she is expected to invest $500 million this year (year=0). The hotel chain is expected to generate free cash flows of $27 million per year, starting in year 1. Thereafter, these free cash-flows are expected to grow at 3 percent per year in perpetuity. For simplicity, assume these cash-flows are received at the end of each year. Your friend knows you've been taking this class, so she asked you to assess the potential value of the new hotel chain. To help you, she gives you the following reports for a handful of publicly-traded firms, as well as the expected returns on the government bond (Treasury), and the risk premium on the value-weighted market portfolio: Market Market Value of Value of Equity Company Equity Debt Beta Dropbox 900 150 2 Ikea 1,000 100 2.3 Intercontinental Hotels Group 7,500 2,500 10-year Treasury rate 2.0% Expected Market Risk Premium 5.0% 1.6 Assume throughout that the CAPM holds for all assets, and that the debt of Dropbox, Ikea, and Intercontinental Hotel Group is risk-free. None of these firms hold (excess) cash asset Which mechanism accounts for the reaction of 4-bromotoluene with sodium amide to form a mixture of 3- and 4-aminotoluene The painting above uses light to create the main focus ona. the faces of the men sitting at the table C. the items on the tableb. the windowd. the standing menPlease select the best answer from the choices providedOAMark this and returnSave and ExitNext 5.4 ADDING A MULTIPLE OF THE ith ROW TO THE jth row. Example 6: Create a 5 by 5 matrix, E by typing: Type: =[11 2-134:10-1-2-1; 8 3 2 11:10-2-3-2:1112-1]. Find det(E) by typing: Type DE =det(E)