A) On average a user play the game for 3 hours.
B) On average a user play the soccer game for 4 hours.
C) On average number of baseball users playing is 1,000.
D) On average a baseball game user play the game for 2 hours.
E) On average the number of soccer game users playing are 3,000.
A) On average, a user plays the game for 3 hours. This is calculated by dividing the total number of users playing (3000) by the average number of users logging in per hour
(1000): 3000 / 1000 = 3 hours.
B) On average, a soccer game user plays the game for 4 hours. This is calculated by dividing the total number of soccer game users playing (2000) by the average number of soccer game users logging in per hour (500):
2000 / 500 = 4 hours.
C) On average, there are 1000 baseball users playing. This is calculated by subtracting the number of soccer game users playing (2000) from the total number of users playing (3000):
3000 - 2000 = 1000 baseball users.
D) On average, a baseball game user plays the game for 2 hours. This is calculated by dividing the total number of baseball game users playing (1000) by the average number of baseball game users logging in per hour (500):
1000 / 500 = 2 hours.
E) After the promotional campaign, there are now 3000 soccer game users playing, on average. This is calculated by multiplying the new average playing time of 6 hours by the number of soccer game users logging in per hour (500):
6 * 500 = 3000 soccer game users.
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What is the difference between a debit card and a cash card? A. A debit card is less secure than a cash card.  B. A cash card can only be used in certain stores.  C. A cash card is not tied to a bank account.  D. A debit card carries no spending limits.
Answer:
C. A cash card is not tied to a bank account.
Explanation:
The difference between the debit cash and a card is that a cash card is not tied to a bank account.
What is a cash card?A cash card is a term for the payment that stores the cash, gift, and prepaid debts. The credit card is not consider to be a cash card and the is a conviennet way of the shareholders to make electronic payments.
The square cash card offers an app for making cash card payments. It allows the users to make transactions through the user's account and is unique to Sutton bank.
Find out more information about the cash card.
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pension fund manager is considering three mutual funds. The first is a stock fund, the second is a long-term government and corporate bond fund, and the third is a T-bill money market fund that yields a sure rate of 5.5%. The probability distributions of the risky funds are: Expected Return Standard Deviation Stock fund (S) 15 % 32 % Bond fund (B) 9 % 23 % The correlation between the fund returns is 0.15. Suppose now that your portfolio must yield an expected return of 12% and be efficient, that is, on the best feasible CAL. a. What is the standard deviation of your portfolio? (Do not round intermediate calculations. Round your answer to 2 decimal places.)
The standard deviation of the portfolio is 7.09%.
What is the proportion of stock in minimum risky portfolio?= [(0.23)² - (0.32*0.23*0.15)] / [(0.32)² + (0.23)² - (2*0.32*0.23*0.15)]
= 0.31421708452
= 31.42%
What is proportion of bond fund in minimum risky portfolio?= 1 - 0.31421708452
= 0.68578291548
= 68.58%
What is the expected return of minimum risky portfolio?= 0.3142*15% + 0.6858*9%
= 0.04713 + 0.061722
= 0.108852
What is the standard deviation of your portfolio?= ((0.6858)² * (0.23)² * (0.3142)² * (0.33)²) + ((2 * 0.6858 * 0.3142 * 0.32 * 0.23 * 0.15))^0.5
= (0.00026747972 + 0.00475776218)^0.5
= 0.0050252419^0.5
= 0.0708889406
= 7.09%
Therefore, the standard deviation of the portfolio is 7.09%.
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An estimate of a person's ability to pay off debts based on his or her history
of borrowing and making payments on time is called what?
A. Collateral
B. Capacity
C. Character
D. Charisma
Answer:
B. Compacity
Explanation:
At a recent stockholders meeting for Ignate Inc., a group of stockholders expressed disagreement with the way that the managers were using free cash flow. Because they wanted to be able to control how the cash is invested, the stockholders lobbied that the free cash flow should be:
The stockholders lobbied that the free cash flow should be distributed to them as dividends.
The Free cash flow means money that business generates from its main business activities after necessary deduction of capital expenditures.
The Free cash flow are used to make further investment to allow more cash inflow into the organization.
But here, the stockholders are expressing their disagreement with the way that the managers were using free cash flow, therefore, they prefers that dividend are paid to them rather than managers investing the Free Cash Flow.
Therefore, the Option B is correct.
The options includes "a. used to pursue cross-border acquisitions. O b. distributed to them as dividends. O C. invested in new research and development O d. used to pay down corporate debt."
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Rowling Company produces and sells 3 products, product A, product B, and product C. Over the most recent 5 years, Rowling sold 10,000 units of A,15,000 units of B, and 25,000 units of C on average each year. The following information pertains to prices and costs of the three products. Required: Assume that the sales mix is maintained. a. What is the company's break-even point in terms of number of units of each product given the sales mix above? b. How many units of each product should be sold to earn the target income? c. If Rowling keep earning the target income every period, how many periods it will take to fully recover the investment cost of $3000,000 ?
a. The break-even point for Rowling Company, considering the given sales mix, is 22,727 units of product A, 34,091 units of product B, and 56,818 units of product C.
b. To earn the target income, the company needs to sell 24,000 units of product A, 36,000 units of product B, and 60,000 units of product C.
c. It will take 10 periods for Rowling Company to fully recover the investment cost of $3,000,000 if it keeps earning the target income every period.
a. To determine the break-even point, we need to calculate the contribution margin per unit for each product. The contribution margin is the difference between the selling price and the variable cost per unit. Given the information provided, we can calculate the contribution margin per unit for each product: product A ($20 - $12 = $8), product B ($40 - $26 = $14), and product C ($30 - $16 = $14).
b. The break-even point is reached when the total contribution margin equals the fixed costs. Assuming the sales mix is maintained, we can calculate the break-even point for each product by dividing the fixed costs ($3,000,000) by the contribution margin per unit for each product. This gives us 22,727 units of product A, 34,091 units of product B, and 56,818 units of product C.
To earn the target income, we need to calculate the total contribution margin required to cover the fixed costs and the target income. Using the same approach, we divide the total contribution margin required by the contribution margin per unit for each product. This results in 24,000 units of product A, 36,000 units of product B, and 60,000 units of product C.
c. To determine the number of periods required to fully recover the investment cost, we divide the total fixed costs by the target income per period. In this case, the target income is not provided, so we cannot provide an exact answer. However, if we assume the target income is $300,000 per period (10% of the investment cost), it will take 10 periods to fully recover the investment cost ($3,000,000 / $300,000).
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Interest earned on a savings account is _____.
Explanation:
Interest earned on a savings account is everfi
What needs to happen to the money supply to recession?
Answer:
In order for your money suppy to recession you need credit.
Explanation:
Your credit needs to be good.
In addition to awards and pna points what other factors are included in your fms for advancement?.
The other factors to be included in your FMS for advancement are Exam Score, Performance Mark Average, Education, Previous exam performance, Individual assignment tec
What is FMS advancement exam?The FMS advancement exam basically produces an unbiased factor for the Final Multiple Score algorithm which helps to rank in order the qualified candidates for advancement.
In conclusion, the other factors to be included in your FMS for advancement are Exam Score, Performance Mark Average, Education, Previous exam performance, Individual assignment tec
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Who does not make a good reference?
A. former employers
B. relatives
C. current employers
D. teachers
Answer:
b
Explanation:
cause yeajjfjfjgjgjgkgkgkg
how is revenue calculated from ticket sales
Answer:
Total revenue from ticket = Cost of one ticket x Total number of thing
Explanation:
Total revenue = Cost of one thing x Total number of thing
Assume
Cost of one ticket = A
Total number of thing = B
Total revenue from ticket = Cost of one ticket x Total number of thing
Total revenue from ticket = A x B
Total revenue from ticket = AB
question: you have a 1 million dollars inheritance, and you invest it, which earns at a 4% annual interest. how many years will it take to spend the money
Assuming that you do not add any more funds to the account and you withdraw the earned interest annually, it will take approximately 24 years to spend the entire 1 million dollars inheritance. This is because, at a 4% annual interest rate, the account will earn $40,000 in interest every year.
If you withdraw this amount annually, your initial investment of 1 million dollars will remain untouched and you can continue to withdraw the earned interest. Therefore, it will take 24 years for the account to earn $960,000 in interest, which is just below the original investment amount of 1 million dollars. It is important to note that this calculation assumes a constant annual interest rate and that there are no fees or taxes associated with the investment. Additionally, investing solely in one account may not be the most optimal way to grow your wealth as there are other investment options that can potentially provide higher returns. It is important to research and consult with a financial advisor to determine the best investment strategy for your specific financial goals and needs.
In conclusion, it is possible to live off of a 1 million dollar inheritance by investing it in an account with a 4% annual interest rate and withdrawing the earned interest annually. It would take approximately 24 years to spend the entire inheritance in this scenario. However, it is important to consider alternative investment options and consult with a financial advisor to determine the best strategy for your unique financial situation.
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A firm's cost of capital is often a reflection of its activities and funding needs. Consider the case of Wizard Company and answer the following questions: Wizard Co. currently has only a real estate division and uses only equity capital; however, it is considering creating consulting and distribution divisions. Its beta is currently 1.3. The risk-free rate is 4.8%, and the market risk premium is 5.8%. This means that the firm's real estate division will have a cost of capital of: 11.04% 12.34% 9.60% 3.36% The consulting division is expected to have a beta of 1.9, because it will be riskier than the firm's real estate division. This means that the firm's consulting division will have a cost of capital of: 15.82% 16.77% 17.17% 18.32% The distribution division will have less risk than the firm's real estate division, so its beta is expected to be 0.4. This means that the distribution division's cost of capital will be: 7.12% 17.77% 16.57% 17.87% Wizard Co. expects 65% of its total value to end up in the real estate division, 25% in the consulting division, and 10% in the distribution division. Based on this information, what rate of return should its investors require once it opens the new divisions? (Note: Round your intermediate calculations to two decimal places.) 12.69% 15.54% 13.99% 17.44%
The cost of capital for Wizard Co.'s real estate division can be calculated using the Capital Asset Pricing Model (CAPM). The formula is:
Cost of Capital = Risk-Free Rate + Beta * Market Risk Premium
Given that the beta for the real estate division is not provided, we can assume it to be the same as the current beta of the firm, which is 1.3.
Cost of Capital for Real Estate Division = 4.8% + 1.3 * 5.8% = 12.34%
For the consulting division, the given beta is 1.9.
Cost of Capital for Consulting Division = 4.8% + 1.9 * 5.8% = 16.77%
The distribution division has a beta of 0.4.
Cost of Capital for Distribution Division = 4.8% + 0.4 * 5.8% = 7.12%
To determine the rate of return required by investors, we need to calculate a weighted average cost of capital (WACC) based on the divisional weights provided.
WACC = (Weight of Real Estate * Cost of Capital for Real Estate) + (Weight of Consulting * Cost of Capital for Consulting) + (Weight of Distribution * Cost of Capital for Distribution)
WACC = (65% * 12.34%) + (25% * 16.77%) + (10% * 7.12%) = 13.99%
Therefore, the rate of return that Wizard Co.'s investors should require once it opens the new divisions is approximately 13.99%.
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15 points!
You will need to revise your budget to account for a car payment.
Which expense category would be the most difficult to change or reduce?
entertainment -Not the answer
rent
savings
groceries
thank you!
Answer:
rent
Explanation:
The rent expense will be difficult to revise. Usually, the rent amount is contained in a tenancy agreement signed by both the landlord and the tenant. The rent amount does not change until the lease or tenancy agreement expires. Changing the rent amount would require the landlord's consent.
Due to the above reasons, rent is classified as a fixed cost. It remains constant in the short run.
Answer:
rent
Explanation:
is the correct answer
your company requires that all the data on your ebs-backed ec2 volumes be encrypted. how would you go about doing this?
Even if you don't use the encrypted=true request parameter, encryption by default enables you to guarantee that all newly generated EBS volumes in your account are encrypted at all times.
What holds true regarding the functionality of encryption with EBS?
What holds true regarding the functionality of encryption with EBS? When you take a snapshot of an encrypted volume, you generate an encrypted snapshot; when you restore an encrypted snapshot, you create an encrypted volume.
What steps should you take to safeguard the data on EBS volumes?
3 Important Things to Keep in Mind to Protect Data in Your Most Important EBS...
EBS Volume Encryption is the first.
Access Management, often known as how to prevent deletion of your EBS volumes, is item number two.
3 - How to Backup and Recover EBS Data Correctly
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Supply: Thinking Like a Seller — End of Chapter Problem
Jerome is working as an IT consultant. His individual labor supply curve is given in the accompanying graph. Jerome decides to enroll in college and will begin taking classes next semester.
Make the appropriate change to the graph to show the most likely effect on Jerome's labor supply curve of his decision to attend college. If Jerome's decision to attend college results in a change in supply, shift the supply curve appropriately but leave the wage line unchanged. If Jerome's decision to attend college results in a change in quantity supplied, adjust the wage line appropriately, but leave the supply curve unchanged.
The supply curve will shift to the left.
The supply curveThe most likely effect on Jerome's labor supply curve of his decision to attend college is that the quantity supplied of labor will decrease.This is because Jerome will have less time to dedicate to working and will have to prioritize school over his job.The supply curve will remain unchanged, but the wage line will shift downward, indicating that Jerome is willing to accept a lower wage for the same amount of labor.This is because Jerome will have to balance his workload between his job and school, so he will be willing to accept a lower wage in exchange for the same amount of labor.Therefore, on the graph, the wage line will shift downward, but the supply curve will remain unchanged.Jerome's decision to attend college is likely to have an effect on his labor supply curve.Although his decision to attend college is unlikely to have an effect on the supply curve itself, it is likely to have an effect on the quantity supplied.To learn more about The supply curve refer to:
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Suppose that the consensus forecast of security analysts of your favorite company is that earnings next year will be E1 = $5.00 per share. Suppose that the company tends to plow back 50% of its earnings and pay the rest as dividends. If the Chief Financial Officer (CFO) estimates that the company's growth rate will be 8% from now onwards, answer the following questions. (a) If your estimate of the company's required rate of return on its stock is 10%, what is the equilibrium price of the stock? (b) Suppose you observe that the stock is selling for $50.00 per share, and that this is the best estimate of its equilibrium price. What would you conclude about either (i) your estimate of the stock's required rate of return; or (ii) the CFO's estimate of the company's future growth rate? (c) Suppose your own 10% estimate of the stock's required rate of return is shared by the rest of the market. What does the market price of $50.00 per share imply about the market's estimate of the company's growth rate?
a. The equilibrium price of the stock can be calculated using the Gordon growth model. The model can be represented as: P = D₁ / (r - g), where P is the equilibrium price of the stock, D₁ is the dividend paid at the end of the first year, r is the required rate of return, and g is the expected growth rate. In this case, D₁ can be calculated as 50% of E₁, or $2.50.
Therefore, using a required rate of return of 10% and a growth rate of 8%, the equilibrium price of the stock can be calculated as $50.00.
b. If the stock is selling for $50.00 per share, and that is the best estimate of its equilibrium price, then it implies that the market believes the required rate of return on the stock is equal to the CFO's estimate of the company's future growth rate of 8%.
This would mean that the market believes the company will be able to continue growing at a rate of 8% in the future, which is consistent with the CFO's estimate.
c. If the market price of the stock is $50.00 per share, and the market's estimate of the required rate of return on the stock is 10%, then using the Gordon growth model, the market's estimate of the company's growth rate can be calculated as 2%.
This is because if r = 10% and P = $50.00, then D₁ = $2.50, and plugging these values into the Gordon growth model, we get: 50 = 2.5 / (0.1 - g), which yields a growth rate of 2%.
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The consensus forecast of security analysts of your favorite company is that earnings next year will be E1 = $5.00 per share. shareholders the Gordon growth model can be used to determine the stock's equilibrium price.
The Gordon growth model can be used to determine the stock's equilibrium price. P = D,/(r - g), where P is the equilibrium price of the stock, D, is
the dividend paid at the end of the first year, r is the required rate of return, and g is the anticipated growth rate, can be used to illustrate the model. In this scenario, D is equal to $2.50 or 50% of E.
The stock's equilibrium price can be computed as $50.00 utilising a 10% needed rate of return and an 8% growth rate. If the best estimate of the stock's equilibrium price is $50 per share,
then this suggests that the market is in a state of equilibrium. This would imply that the market agrees with the CFO's prediction that the business will be able to grow at a rate of 8% going forward.
c. Using the Gordon Growth Model, it is possible to determine the market's estimated annual growth rate of the company as 2% if the market price of the stock is $50 per share and the required rate of return on the stock is estimated by the market to be 10%.
This is due to the fact that when these variables are entered into the Gordon growth model, we obtain the following result: 50 = 2.5/ (0:1 - g), which results in a growth rate of 2% if r=10% and P=$50.00, then D, = $2.50.
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Name the Airline that Officially Flew springboks
Answer: FlySafair
Explanation:
FlySafair is a domestic airline in South Africa that is the official sponsor of the South African national rugby team, the Springboks.
FlySafair officially flies the Springboks to locations within and around South Africa and they have been credited with being one of the most punctual airlines there is and have drawn massive praise from Jurie Roux who is the CEO of SA Rugby.
How could government – sponsored grants for the private development of new technologies result in a lower national debt?
Answer: Making initial development private saves the government from funding all of the research.
Explanation:
A grant refers to an amount of money that is financial assistance thats given by the government or an organization to an individual or firm for a specific purpose. A grant is different from a loan as it isn't meant to be paid back.
Government award grants for the development of technologies, community projects, home insulation etc.
With regards to the question, a government – sponsored grants for the private development of new technologies may result in a lower national debt when the government makes the initial development private thereby saving the government from funding all of the research.
One of the determinants of employees' willingness to exert effort is the degree to which they value the rewards offered by the organization.
Answer:
True.
Explanation:
An employee can be defined as an individual who is employed by an employer of labor to perform specific tasks, duties or functions in an organization.
Basically, an employee is saddled with the responsibility of providing specific services to the organization or company where he is currently employed while being paid a certain amount of money hourly, daily, weekly, or monthly depending on the contractual agreement between the two parties (employer and employee).
Hence, while an employer may be the owner of a business firm or company, an employee is a subordinate employed to provide unwavering services to the employer while also, being professional and diligent at all times.
An equality norm refers to a reward system in which the employer or human resource manager decide to compensate or pay the entire workforce the same amount of money without discrimination or favoritism.
Basically, it's paid regardless of individual productivity levels, in order to promote the ability to work effectively in groups.
However, one of the determinants of employees' willingness to exert effort is the degree to which they value the rewards offered by the organization. These rewards usually includes salary, overtime, transportation (car), house, pension, healthcare, allowances, etc.
Hence, the willingness of an employee to put in his best at his place of work by exerting more effort, is largely dependent on the reward system designed and being implemented in the organization.
For example, an employee who's given an official car with a driver, apartment, healthcare and work bonus is more inclined to perform excellently and loyal to his employer.
Which group is legally responsible for implementing
protection and controls that ensure your workplace
meets safety standards?
A. Employers
B. Unions
C. Employees
D. Government
Answer:
A
Explanation:
Answer:
It SHOULD be employers but i may be wrong... if i'm not CAN I PLES HAVE BRAINLYIEST
Explanation:
Also, if i'm right there is no need to thank me unless you want too
Please help solve this
Answer:
The Gross Domestic Product of the territory is $ 172 million.
Explanation:
The Gross Domestic Product (GDP), measured in monetary units, is the market value of all goods and services within a territory in a given period of time, usually annual, which is estimated by the following expression:
\(GDP = C+BI+GEx+GEn+E-I\) (1)
Where:
\(C\) - Consumption.
\(BI\) - Business investments.
\(GEx\) - Government expenditures.
\(GEn\) - Government entitlements.
\(E\) - Exports.
\(I\) - Imports.
Please notice that positive sign represents money that has entered into the economy of the territory.
If we know that \(C = 50\times 10^{6}\), \(BI = 10\times 10^{6}\), \(GEx = 75\times 10^{6}\), \(GEn = 38\times 10^{6}\), \(E = 12\times 10^{6}\) and \(I = 13\times 10^{6}\), then the GDP of the territory is:
\(GDP = 50\times 10^{6}+10\times 10^{6} + 75\times 10^{6}+38\times 10^{6}+12\times 10^{6}-13\times 10^{6}\)
\(GDP = 172\times 10^{6}\)
The Gross Domestic Product of the territory is $ 172 million.
Calculate the surplus that exists on the market at a price of 6 dollars. What is the difference between this surplus and the equilibrium quantity
To calculate the surplus that exists on the market at a price of $6, we need to compare the quantity supplied and the quantity demanded at that price.
Let's assume that the equilibrium quantity is Qe, and the quantity supplied at a price of $6 is Qs, while the quantity demanded at a price of $6 is Qd.
If Qs > Qd, it means that the quantity supplied exceeds the quantity demanded, resulting in a surplus.
The surplus can be calculated by subtracting the equilibrium quantity (Qe) from the quantity supplied (Qs) at the given price:
Surplus = Qs - Qe
The difference between this surplus and the equilibrium quantity (Qe) would be:
Surplus - Qe
Please note that to provide a specific numerical answer, we would need the actual values of Qs and Qe. Without those values, we can only provide the general formula and explain the concept.
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if a sales-person is working on commission and they have a very unappealing product to sell, but the commission rate is quite high, what does expectancy theory say about their likely level of motivation?
Expectancy theory predicts that a salesperson working on commission with a very unappealing product to sell but a high commission rate will likely be motivated to perform well in order to receive something they value.
What exactly is expectancy theory?Expectancy theory is a thought process that emphasizes personal preference and the selection process. An outline of the process that people go through when making decisions is given by expectancy theory. These options could include decisions for daily living, academic pursuits, or recreational activities.
These people base their decisions on expectations of how those decisions will turn out. We frequently make clothing choices based on what will make us feel comfortable and ready for the day's events. We must put on a rain jacket on a wet day. We frequently require a full breakfast when we have a busy day ahead.
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Shawn lost $15,000 on his stock investments this past year. Which is true? (5 points)
He can deduct the loss from his property taxes.
He can recover the loss through his insurance.
He can deduct the loss from his taxable income.
He has to pay an administrative fee on the loss.
The TRUE statement about Shawn, who lost $15,000 on his stock investments this past year, is that C. He can deduct the loss from his taxable income.
Shawn's taxable income (capital gains) will be reduced by the amount of the investment loss. However, he can only recover $3,000 in each year while the remaining will be carried forward to subsequent years.
Shawn cannot recover the investment loss:
From his property taxesThrough his insuranceBy paying an administrative fee.
Thus, the true statement is C.
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Why is it so hard to find essentials during times of crisis?
Answer:
because they are in high demand because so many other people want them
what occurs when a company can significantly increase its market share by being first with a new competitive advantage?
A corporation might see a considerable rise in market share by being the first to develop a new competitive advantage.
When a firm provides a new competitive advantage, such as a new product or service, it might attract a big number of clients who are interested in this new offering. If the business is the first to provide this benefit, it will have a distinct edge over rivals and be able to take in a bigger portion of the market. This can lead to higher revenues, earnings, and long-term success. A corporation might see a considerable rise in market share by being the first to develop a new competitive advantage. But, the corporation must continue to develop and strengthen its advantage to preserve its position in the market and remain ahead of competitors who may try to copy the same advantage.
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when an employee can perform well without a leader, what is indicated?
When an employee can perform well without a leader, it indicates a high level of self-motivation, autonomy, and proficiency in their job. It suggests that the employee possesses the necessary skills, knowledge, and confidence to work independently and achieve their goals effectively.
An employee's ability to perform well without a leader demonstrates a sense of self-direction and initiative. They are capable of setting their own priorities, making decisions, and taking responsibility for their work. This level of self-sufficiency can lead to increased productivity, as the employee is not reliant on constant guidance or supervision.
Furthermore, it indicates a certain level of expertise and experience in the job role. When an employee can navigate tasks and challenges independently, it suggests they have acquired a deep understanding of their responsibilities and have developed efficient work methods.
The ability to perform well without a leader also signifies a strong sense of accountability. The employee takes ownership of their work and understands the impact their contributions have on the overall success of the organization.
However, it is important to note that while an employee's ability to work independently is valuable, effective leadership still plays a crucial role in providing guidance, support, and mentorship. Even self-sufficient employees benefit from a leader who can provide strategic direction, facilitate collaboration, and create a supportive work environment.
In summary, when an employee can perform well without a leader, it indicates self-motivation, autonomy, proficiency, expertise, accountability, and a strong work ethic. It showcases their ability to work independently, make sound decisions, and contribute effectively to the organization's success. However, a balance between independent work and supportive leadership is still essential for optimal performance and growth.
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In the calculation of the CPI, teas is given greater weight than beer if
GirlyJ welcome and for other people
Answer:
hi mate how ya doing it been a good day
When shopping for life insurance, the best strategy is to:
a.
Follow your agent’s recommendations. They are the experts and it is the agent's job to make sure you get the products that are right for you.
b.
Buy your coverage through your employer, if possible.
c.
Figure out how much you need, then comparison shop using the Web and other resources.
d.
Wait until you are older so that you can buy a cheaper, shorter term policy.
Answer:
c.
Figure out how much you need, then comparison shop using the Web and other resources.
Explanation:
I took the test
Answer:
C
Explanation: