1answer.
Ask question
Login Signup
Ask question
All categories
  • English
  • Mathematics
  • Social Studies
  • Business
  • History
  • Health
  • Geography
  • Biology
  • Physics
  • Chemistry
  • Computers and Technology
  • Arts
  • World Languages
  • Spanish
  • French
  • German
  • Advanced Placement (AP)
  • SAT
  • Medicine
  • Law
  • Engineering
Varvara68 [4.7K]
3 years ago
14

What are the three primary determinants of behavior in organizations?

Business
1 answer:
Nostrana [21]3 years ago
5 0
I think it's <span>Individuals, Groups and Structures.

Hope this helps !

Photon</span>
You might be interested in
Let's take a look at precipitation over the course of a year in High Springs ( a small town north of Gainesville, near the Sante
jeyben [28]

Answer:

- The medians for the summer months of June, July, August, and September are higher than for the other months.

Explanation:

The statement prescribing 'the medians within the months of summer June, July, August, and September are higher in comparison for the other months' correctly describes the halfway for the boxplots. This displays that the precipitation during these months due were higher due to the high temperature and intense water cycle.

5 0
4 years ago
The following information about the payroll for the week ended December 30 was obtained from the records of Pharrell Co.:
nikdorinn [45]

Full question attached

Answer and Explanation:

Please find attached

3 0
4 years ago
Suppose that American firms become more optimistic and, for any given interest rate, decide to increase investment expenditure t
sladkih [1.3K]

Answer:

Following are the response to the given question:

Explanation:

Investing price falls as companies become increasingly negative about investment. Lowering prices for capital will shift the expenditure curve. When total expenditures drop, the IS curve moves to the left. It will lead to a decline in productivity and interest rates in the context of the IS-LM model. Next, consider how the current account will operate (which is the trade balance of the nation). This is what we're seeing as just a paradigm for just a real balance of currency fluctuations. The S-I line swings from S-I1 to S-I2 as expenditures decline from I1 to I2. The currency rate is down and private consumption has risen. Its idea is that even the currency is little valuable as exchange rates decline. Exports to the rest of the world are thus cheaper. Foreign exchange is appreciated as well as the domestic market needs costlier goods. Exports will therefore decrease. Export growth and import reductions are going to improve the trade balance. It will boost the bank account.

5 0
4 years ago
Microsoft presently pays no dividend. You anticipate Microsoft will pay an annual dividend of $0.60 per share two years from tod
Scorpion4ik [409]

Answer:

The value of this stock today should be $6.22

Explanation:

The company will start paying dividends 2 years from today that is at t=2. The dividends received 2 years from today can be denoted as D2. The constant growth model of DDM will be used to calculate the price of this stock at t=2 as the growth rate in dividends is constant forever.

The price at t=2 will then be discounted back to its present value today to calculate the price of this stock today.

The price of this stock at t=2 will be,

P2 = D2 * (1+g) / (r - g)

P2 = 0.6 * (1+0.04)  /  (0.12 - 0.04)

P2 = $7.8

The value of this stock today should be,

P0 = 7.8 / (1+0.12)^2

P0 = $6.218 ROUNDED OFF TO $6.22

7 0
4 years ago
Read 2 more answers
What is the main difference between a stock and a bond?
baherus [9]

A bond is a debt instrument. The company or government issuing it borrows your money and pays you a fixed amount of money for the use of the loan you have made available to the company or government. The selling price is usually what the face value of the bond is, but this can vary according to interest rates determined by the Federal Reserve.

A stock is ownership. You own a fraction of the company you've invested in. Sometimes a company pays a dividend. That means that the company has excess funds and decides to pay its shareholders a fraction of what the company brings in.  When you buy a stock, you expect to sell it at a higher price than what you bought it at. That's called a capital gain. It's another source of income.

5 0
3 years ago
Read 2 more answers
Other questions:
  • In some cases, analysts notice that groups of similar investors tend to flock to stocks that have dividend policies consistent w
    13·1 answer
  • Suppose flowering plants generate a positive externality in consumption, if so then
    9·1 answer
  • Explain each of the functions of marketing.
    6·2 answers
  • Henry Quincy wants to withdraw $30,000 each year for 10 years from a fund that earns 8% interest. How much must he invest today
    10·1 answer
  • A 5 customer retention increase can result in a profit increase of how much?
    10·1 answer
  • Please help me
    11·1 answer
  • The cash flows from operating activities are reported by the direct method on the statement of cash flows. Determine the followi
    14·1 answer
  • A company that produces pleasure boats has decided to expand one of its lines. Current facilities are insufficient to handle the
    5·1 answer
  • Cho biết hàm cầu đối với một loại hàng hóa nhất định là ( USD / đơn vị sản phẩm ) P = -0,21. Q ^ ( 2 ) -0,84.Q+ 50 Thặng dư của
    7·1 answer
  • Both, current assets and non-current assets should be reassessed in order to determine the market value of a business. Group of
    14·1 answer
Add answer
Login
Not registered? Fast signup
Signup
Login Signup
Ask question!