$500 is the semi-annual deposit.
How is compounded annually determined?In order to compute compound interest, multiply the principle of the original loan by the annual interest rate multiplied by the number of compound periods minus one.
Explanation:
Providing the following details:
He expects to pay $3,300 for the all-inclusive holiday package. His bank will pay 6% annually compounded every two years.
Using the following formula, we can determine the semiannual deposit:
FV= [(1+i)n-1]/i A*
A= a semi-annual payment
Separating A:
A=(FV*i)/[(1 + I n]-1
A= {3,000*0.035) / [(1.035^6) - 1]
A= $458
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under purchasing power parity, the future spot exchange rate is a function of the initial spot rate in equilibrium and: a. the income differential. b. the forward discount or premium. c. the inflation differential.
Under purchasing power parity, the future spot exchange rate is a function of the initial spot rate in equilibrium and the inflation differential.
The "composition effect," or differences in the shares of the various goods and services in national consumptions, may contribute to inflation differentials observed within a currency area. These differentials result from differences in the weights of the various sub-indices in national consumer price indices. Two nations with the same sector-based inflation rates may show differing aggregate inflation rates if there are variations in household preferences between the two nations.
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marks consulting purchased equipment costing $45,000 on january 1, year 1. the equipment is estimated to have a salvage value of $5,000 and an estimated useful life of 8 years. straight-line depreciation is used. if the equipment is sold on january 1, year 5 for $22,500, the journal entry to record the sale will include a:
Debit to accumulated depreciation for $22,500.
As for the information provided,
Depreciation under straight line method for each year = ($45,000 - $5,000)/8 = $5,000 for each year.
Depreciation for 4 years = $5,000 * 4 = $20,000
Depreciation in 5th year for 6 months = $5,000/2 = $2,500
Total depreciation till 1 July Year 5 = $20,000 + $2,500 = $22,500
Carrying value of equipment in books as on date of sale = $45,000 - $22,500 = $22,500
Sale price = $20,000
Profit or loss on sale of equipment = $20,000 - $22,500 = - $2,500
So therefore, there is loss of $2,500
Thus, option c and option d are invalid.
Further cash received on sale is debited and not credited thus, option a is also invalid.
As the total accumulated depreciation = $22,500
The correct entry will include debit to accumulated depreciation of $22,500.
Thus, option b is correct.
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on january 1, year 1, mega corporation issues $100,000 of 8% bonds maturing in 10 years, when the market rate of interest is 9%. market interest rates drop to 6% by december 31, year 2. the company retires the bonds on december 31, year 2 by paying $112,561. the carrying value of the bonds as of this date is $94,383. retirement of the bonds results in a:
The retirement of the bonds will result in the loss of the company.
The market rate at the time of issue = 9%, while the coupon rate = 8%, it says bonds provide a lesser return when compared to the market rate.
At end of the year, the 2 market rate drops to 6% which is lower than the Bond's coupon rate. This means the bond provides a high return when compared to the market. So, companies to retire the bonds need to pay more than the par value. As the company should retire these bonds more than par value, the company incurs a loss. Hence Option 'B is correct which is the company incurs a loss.
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when consumers calculate the value of a product, they: a. eliminate all nontangible elements that might affect their perception of the product. b. subtract the cost of production from the market price. c. look at the benefits the product provides then subtract the cost. d. identify the variable and the fixed components of the product's benefits.
When consumers calculate the value of a product, they look at the benefits the product provides then subtract the cost.
A product's value is determined by how well it can satisfy and address the needs of customers. Pricing strategy can be changed in accordance with how valuable a product is to consumers. The value of a product to customers can also influence a product's development plan.
Product value is a helpful tool for evaluating the main advantages of a particular product. It is an extrinsic metric in that it can only be obtained from customers interacting with and using your product. Because it can fluctuate over time (i.e., perceived vs. real value) and is frequently influenced by outside factors like competitors and market conditions, product value is not a fixed measure.
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a lessor, ace corp. entered into an equipment lease with an lessee, spades inc. the terms of the lease require annual lease payments of $48,000 over a 10-year period, with the first payment due immediately upon the commencement of the lease on january 1. there is no estimated residual value. the implicit rate of the lease is 5%. what amount would the lessor report in its income statement (ignoring taxes) for the year ended december 31?
A gross profit of $60,000 and interest income of $17,059 would the lessor report in its income statement.
Leases, by definition, require two parties to exist. A lease is signed as a contractual agreement outlining the details of the asset loan by one party leasing their asset/assets to the other.
One of these parties is known as the 'lessee,' and the other as the 'lessor.'
A lessor grants someone else the use of an asset; they are the legal owner of the asset. The lessor also has the sole authority to grant unique benefits to the lessee, such as early lease termination or renewal on the same terms.
The benefit of being a lessor is that by granting someone access to your property, you can earn a return on your investment without giving up ownership.
A lessee, on the other hand, is someone who pays the lessor a one-time payment or a series of periodic payments in exchange for the use of their property. They never own what they lease; they only have access to it for a limited time.
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what arethe bankruptcy abuse prevention and consumer protection act of 2005 requires both petition counseling.
To deter people from pursuing bankruptcy by making filing for it more difficult and expensive, as well as less financially advantageous.
After much debate, the Bankruptcy Abuse Prevention and Consumer Protection Act (BAPCPA) was approved by Congress in 2005. The new law was created to discourage people from filing for bankruptcy by making it more complex, costlier, and less desirable from a financial standpoint.
IPR economist Matthew and four colleagues compare bankruptcy files in the two years before and after the Bankruptcy Act took effect in order to understand what actually occurred when the law was adopted and offer insight on the argument between those who supported and opposed the law. The 2005 Bankruptcy Act's proponents said that too many people who were capable of repaying their debts were abusing the system by declaring bankruptcy, and that this was raising the cost of consumer credit.
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problem 11-8 real versus nominal returns (lo2) you purchase 100 shares of stock for $50 a share. the stock pays a $3 per share dividend at year-end. what is the rate of return on your investment if the end-of-year stock price is (i) $47; (ii) $50; (iii) $55? what is your real (inflation-adjusted) rate of return if the inflation rate is 5%?
a.Number of shares purchased = 100
Purchase price = $50
Hence total purchase value P0 = number of shares purchased x purchase price
= 100 x $50
= $5000
Dividend per share = $4
Hence total dividend paid = number of shares held during the year x dividend per share
= 100 x $4
= $400
Year-end price:
i) $46
Hence year-end value i.e. P1 = year-end price per share x number of shares held
= $46x100
= $4600
The rate of return on investment is:
= (P1-P0+ dividend)/P0 x100
= (4600-5000+400)/5000 x100
= 0/5000 x100
= 0
Hence there is a 0% return on investment for the year.
ii) year-end price = $50
Hence year-end value i.e. P1 = 100 x$50
= $5000
Rate of return on investment :
= ($5000-$5000+$400)/$5000 x100
= $400/$5000 x100
=8%
Hence return on investment is 8%
iii) year-end price = $55
Hence year-end value i.e. P1 = 100x$55
= $5500
Rate of return on investment :
= ($5500-$5000+$400)/$5000 x100
= 900/5000 x100
= 18%
Hence return on investment is 18%
b. Inflation rate = 6%
The real rate (inflation-adjusted rate) is:
= (1+nominal rate)/(1+inflation rate) -1
i) year-end price $46 with 0% nominal return
Real rate of return = [(1+0)/(1+0.06) ]-1
= 1/1.06-1
= 0.94339622642 -1
= -0.0566037736
= -5.66037736%
i.e. -5.66% (rounded off to 2 decimal)
Hence the real rate of return is -5.66%
ii) year-end price = $50 with an 8% nominal return
Real rate of return =[ (1+0.08)/(1+0.06)]-1
= 1.08/1.06-1
= 1.01886792453 -1
= 0.01886792453
i.e.1.886792453%
i.e. 1.89% (rounded off to 2 decimal)
Hence the real rate of return is 1.89%
iii) year-end price = $55 with 18% nominal return
Real rate of return =[ (1+0.18)/(1+0.06) ]-1
= 1.18/1.06 -1
= 1.11320754717 -1
= 0.11320754717
= 11.320754717%
i.e. 11.32% (rounded off to 2 decimal)
Hence the real rate of return is 11.32%
A proportion is an economic device that represents the part ownership of an organization. A share is an economic device that represents component possession in a single or greater business. The price of distinctive stocks of a company may be identical to every other.
There may be no minimum order restriction on the acquisition of a publicly-traded employer's stock. Investors may additionally consider buying fractional shares through a dividend reinvestment plan or DRIP, which doesn't have commissions.
It is a ways extra not unusual for dividends to be paid quarterly or annually, however, some shares and other kinds of investments pay dividends month-to-month to their shareholders. Simplest approximately 50 public businesses pay dividends month-to-month out of some 3,000 that pay dividends on a normal foundation.
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Which of the following actions is most likely to be taken by a company in order to implement the value pricing objective?a. Distributing free samples of the product to create awareness about the product among the consumersb. Convincing consumers that the quality of their lower-priced product is the same as that of a comparatively higher-priced product sold by a competitorc. Convincing consumers of the prestige associated with the productd. Distributing free gifts along with the product during its introductory stage
Convincing consumers of the prestige associated with the product.
Prestige or image pricing is a branding and advertising method that uses top-class pricing to suggest superior fines.
In different phrases, an organization will set an intentionally excessive charge to draw potential clients interested by associating themselves with a luxurious emblem.
Examples of markets in which prestige pricing is used are watches, perfumes, and luxury cars.
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which entry mode into a foreign market best serves a high-tech firm because it reduces the risk of losing that competence?
The entry mode into a foreign market best serves a high-tech firm because it reduces the risk of losing that competence wholly owned subsidiaries
What is wholly owned subsidiaries?
A corporation whose common stock is 100% held by another company is referred to as a wholly owned subsidiary.
A parent corporation may acquire a firm and turn it into a wholly owned subsidiary. A corporation whose common stock is 51% to 99% held by a parent company is referred to as a majority-owned subsidiary.
Hence, we can say that A high-tech company is best served by entering a foreign market through one of its fully owned subsidiaries since it lowers the danger of losing that expertise.
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assume that the interest parity condition holds. also assume that the u.s. interest rate is 8% while the u.k. interest rate is 6%. given this information, financial markets expect the pound to:
Assume that the interest parity condition holds. also assume that the u.s. interest rate is 8% while the u.k. interest rate is 6%. given this information, financial markets expect the pound to appreciate by 2%.
What Kinds of Financial Markets Are There?The stock market, bond market, foreign exchange market, commodities market, and real estate market are a few examples of financial markets and their functions. Financial markets can also be divided into listed vs. OTC markets, primary vs. secondary markets, capital markets, money markets, and listed vs. money markets.
How Do the Financial Markets Function?All financial markets operate primarily by bringing together buyers and sellers of some asset or contract and allowing them to transact with one another, despite encompassing a wide range of asset classes and having a variety of structures and laws. A process for price discovery or an auction is frequently used for this.
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for an airline, the marketing function will involve: group of answer choices dispatching crew. cash control. crew scheduling. managing general ledger. pricing tickets.
Pricing tickets is a part of an airline's marketing function.
An "act, process, or service by which the product and the final consumer are tied together" is the definition of the marketing function.
Promotion, selling, product/service management, marketing information management, pricing, finance, and distribution make up the seven elements of marketing. You may more effectively focus your efforts and develop plans to support your organization if you are aware of the fundamental components of marketing.
Pricing is the process of figuring out the value that an organization receives in exchange for its goods or services. It plays a significant role in helping an organization make money. As a result, an organization's pricing choices directly affect its success.
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our discount brokerage firm charges $8.55 per stock trade. how much money do you need to buy 290 shares of pfizer, inc. (pfe), which trades at $37.12? (round your answer to 2 decimal places.)
Each stock trade at our discount brokerage costs $8.55. How much money is required to purchase 290 shares of Pfizer, Inc. (PFE), $ 10,773.35 at $37.12.
A stock market, equity market, or share market is the gathering of buyers and sellers of stocks (also known as shares), which represent ownership claims on businesses; these may include securities listed on a public stock exchange as well as stock that is only traded privately, such as shares of private companies sold to investors through equity crowdfunding platforms. Investments are typically made with an investment strategy in mind. A stock market trade is the transfer of a stock or security from a seller to a buyer. This requires these two parties to reach an agreement on a price. Equities represent a stake in a specific company.
Small individual stock investors to large institutional investors all participate in the stock market.
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which of the following is true regarding risk management? all risks must have a contingency plan. risks should be reviewed at every team meeting. risks are more likely to impact the schedule than the budget. risk identification only occurs in the planning phase of the project.
The risk management is true regarding "risks should be reviewed at every team meeting".
The risk management in the business are the forecasting and evaluation of financial risks together with the identification of the procedures to avoid or minimize the impact. The risks should be reviewed at every team meeting and risks identification only occur in the planning of the project phase. The risks review process is a crucial part of any project. and the team is responsible for the project's success can come together to handle associated risks before they happen.
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use the following information to determine direct materials cost per unit: total direct materials costs are $147,900, fixed costs are $86,700, and units produced are 17,000. a.$3.60 b.$8.70 c.$13.80 d.none of these choices are correct.
The Direct material cost per unit is $8.70.
Given in the Question,
Total direct materials cost = $147,900
Fixed costs = $86,700
Units produced = 17,000 units.
Now, we will use the formula to find direct material cost per unit:
Direct material cost per unit is calculated as total direct material costs divided by units produced.
= Total direct materials costs ÷ Number of units produced
= $147,900 / 17,000
= $8.70.
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What was the original name of the restaurant chain now known as boston market? boston ham.
Answer: Boston Chicken
Explanation: Boston Market was known as Boston Chicken until 1995.
Say IAM YOUR BOSS THEN I WILL GIVE YOU BRAINLIEST AND 100 POINTS ADD ME AS YOUR FRIEND
Answer:
im your boss
Explanation:
What are the primary responsibilities
for financial and insurance records
processing professionals regarding
handling documents for easy retrieval?
A. retrieving and dating
B. collecting and filing
C. making and retrieving
The main duties of financial and insurance records processing specialists when handling documents for simple retrieval are making and retrieving. Retrieval exercise is crucial since it improves students' learning and helps to develop their schema. Option C
By allowing pupils to recall previously studied material and fortify their memory traces, it helps students' memories. Additionally, it makes it more likely that information will be retained in long-term memory. Students' schemas are strengthened by retrieval practise, which enables them to commit the knowledge to long-term memory.
Retrieval practise increases learning effectiveness; creating and using concept maps, flashcards, or any other retrieval practise tool will promote greater learning than underlining or rereading.
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tapley dental supplies inc. is in a stable, no-growth situation. its $1,000,000 of debt consists of perpetuities that have a 10% coupon and sell at par. tapley's ebit is $500,000, its cost of equity is 15%, it has 100,000 shares outstanding, all earnings are paid out as dividends, and its federal-plus-state tax rate is 40%. tapley could borrow an additional $500,000 at an interest rate of 13% without having to retire the original debt, and it would use the proceeds to repurchase stock at the current price, not at the new equilibrium price. the increased risk from the additional leverage will raise the cost of equity to 17%. if tapley does recapitalize, what will be the new stock price?
The new stock price after Tapley's recapitalization will be $17.20. Hence the correct answer is $17.20.
Value of the Firm = Net Operating Profit after tax / Cost of Equity
= [ $500,000 – ($10,00,000 x10% x 0.60) ] x0.60 / 0.15
= $240,000 / 0.15
= $16,00,000
Stock Price = Value of the firm / Number of shares outstanding
= $16,00,000 / 100,000 shares
= $16 per share
Stock Price – After capitalization
Value of the Firm = Net Operating Profit after tax / Cost of Equity
= [ { $500,000 – ($10,00,000 x10%) – ( 500,000 x 13% ) } x 0.60) ] x0.60 / 0.17
= $201,000 / 0.17
= $11,82,352.94
Stock Price = Value of the firm / Number of shares outstanding
= $11,82,352.94 / [ 100,000 shares– ( 500,000 / $16) ]
= $11,82,352.94 / [ 100,000 shares – 31,250 shares ]
= $11,82,352.94 / 68,750 shares
= $17.20 per share
Hence, the price of new stocks is $17.20 per share.
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The toxicity that was reported to exist at the management level within uber made rachel whetstone’s job of communicating to others more difficult because it acted as.
It acted as Noise, the toxicity that was reported to exist at the management level of Uber made it harder for Rachel Whetstone to communicate with other people.
It's psychological noise, and it's hard to get away from it when you know it exists in the organization, causing people to lose focus at work and not work well with others.
What is the meaning of psychological noise?
Psychological noise is caused by internal thoughts of the receiver that interrupt the speaker's message. For instance, it can be challenging to fully concentrate on comprehending a message when you are preoccupied with personal issues.
Psychological noise is caused by internal thoughts of the receiver that interrupt the speaker's message. For instance, it can be challenging to fully concentrate on comprehending a message when you are preoccupied with personal issues.
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which element of lean is described as a system based on making little changes on a regular basis, anywhere changes can be made, to reduce process, delivery, and quality problems?
Element of lean is described as a system based on making little changes on a regular basis, anywhere changes can be made, to reduce process, delivery, and quality problems is Uniform Plant Loading.
A buy requisition form is an inner report utilized by a worker to buy items or offerings on behalf in their firm. These purchases can be for commercial enterprise operations (together with workplace supplies), inventory, or production inputs.
Push type" means "make-to-stock," wherein the manufacturing isn't always primarily based totally on real demand. " Pull type" means "make-to-order," wherein the manufacturing is primarily based totally on real demand. A powerful shopping approach can keep your commercial enterprise money. A shopping approach defines how your agency buys things.
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Imagine you operated a shipping and packaging service within new york city. You slowly expanded to include shipments and deliveries between new york, new jersey, and connecticut. After the expansion, could you be subject to regulation by either or all of the states and the federal government? which court case outlines this? explain your answer.
You would be subject to federal government regulations. The Gibbons V. Ogden case from 1824 served as the legal precedent for this. Option A
What is Gibbons V. Ogden?Generally, The US Supreme Court ruled in the Gibbons v. Ogden decision that the states in the nation cannot impede the federal government's ability to control trade in the nation.
In this instance, Ogden had requested the court to enjoin Gibbons from conducting commercial activity in the state waterways. He claimed to have exclusive ownership of the waterways.
In conclusion, This lawsuit served as more evidence that the federal government had greater control over the nation's states.
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CQ
Imagine you operated a shipping and packaging service within New York City. You slowly expanded to include shipments and deliveries between New York, New Jersey, and Connecticut. After the expansion, could you be subject to regulation by either or all of the states and the federal government? Which court case outlines this? Explain your answer. Gibbons v. Ogden (1824) , McCulloch v. Maryland (1819) , Marbury v. Madison (1803)
if the present value of $480 to be paid at the end of one year is $400, what is the one-year discount factor?
The one-year discount factor is 0.8333.
What is a “Discount Factor”?
In financial modeling, the phrase "discount factor" is most frequently used to calculate the present value of future cash flow values. The future cash flow is multiplied by this weighting factor in order to discount it to the present value. The rate of return that a capital expenditure project must reach in order to be accepted is known as a company's discount factor.
Discount factor is used to determine the net present value of projected future cash flows and to assess how much the investment was worth. The net future value of an investment is calculated using the discount factor, which is also used to calculate the expected profits and losses based on future payments.
Given:
Present value = $480
To be paid at the end of one year = $400
So the discount factor = 400/480
= 0.8333
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companies that ask new hires to do on-the-job training, or shadowing current sales reps, intend for the new hires to:
Job shadowing is a kind of on-the-job employee job training in which a new employee or an employee wishing to become familiar with a different job, abides and sees a trained and experienced employee. Job shadowing is a productive form of job training for some jobs.
Job shadowing lets a student, employee, or intern obtain comprehensive knowledge about what an employee who holds a specific job does every day. Job shadowing gives a more affluent experience than reading a job description or performing an informational interview through which an employee report their work.
Job shadowing assists the observer to see and realize the subtle distinction of a particular job. The job-shadowing employee is able to see how the employee does the job.
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which is more likely to be negative? sales (net) or net income? multiple choice 3 sales (net) net income
Net revenue Negative sales are never possible. Negative sales are never the case.
Negative net income is commonly referred to as net loss. Net income is negative when revenues are lower than expenses.
Can a company have negative net income?A negative net income indicates a loss rather than a profit during an accounting period. A company may have positive sales, but its expenses and other costs will have outstripped the revenue it generated.
When net sales are negative, what does that mean?Negative net profit indicates no profit and, consequently, no tax liability. However, this isn't much of a consolation because the money you're losing is significant in comparison to the money you might save on taxes.
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Determine the amount of taxes owed on a taxable income of $49,652. $4,735.38 $6,600.44 $7,709.92 $10,293.44
Answer:
I believe the correct answer is $4,735.38.
Explanation:
The marginal tax rate on this amount is 12%. You would be taxed $4,253 for the 2021 tax year, and $4.7k is way closer to this figure.
Total income tax for someone living in San Diego, CA would be $9,502. this would be pretty close to the $10.2k number, so it depends what it is asking. Just Federal tax, or Federal & State? If so, what state?
Answer:
$6,600.44
Explanation:
$49,652 is within the $41,176–$89,075 tax bracket. The marginal tax rate for this bracket is 22%.
First, you have to determine your taxable income. To do this, subtract the tax brackets.
Tax Bracket Taxable Income Solution
$0–$10,275: 10,275 $10,275 - $0 = $10,275
$10,276–$41,175 30,900 $41,175 - $10,276 = $30,900
$41,176–$89,075 8477 $49,652 - $41,176 = $8477
Next, multiply each taxable income with it's tax rate to get your taxes owed.
10% • 10,275 = 1027.5
12% • 30,900 = 3708
22% • 8477 = 1864.94
Now, add your taxes owed together.
1027.5 + 3708 + 1864.94 = $6600.44
a new trend in the secondary market occurred when wall street developed a market for collateralized mortgage obligations (cmo). these cmos generally consisted of
As a result of Wall Street creating a market for collateralized mortgage obligations, the secondary market underwent a new trend (CMO). This CMOS typically included loans with short-term interest rates attached.
What is a collateralized mortgage obligation?A collateralized mortgage obligation (CMO) is a fixed-income security made up of a group of mortgage loans that are comparable in a number of respects, such as loan size or credit score, and are bundled together and offered to investors as a single investment known as a security.
Securities for CMOs are sold off-exchange, not on the stock exchange. The structure of a CMO is comparable to stock dividends: investors purchase the investment and receive payments (money from principal and interest) in accordance with a predetermined schedule following the completion of the mortgage borrowers' monthly mortgage payments.
Investors receive a return in the form of principal and interest payments, and CMOs can be a wonderful method for investors to diversify their holdings and boost cash flow.
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the main difference between wholesalers and marketing agents is: group of answer choices agents generally perform more marketing functions wholesalers sell to consumers, agents do not wholesalers take title to goods, agents do not none of the above
The main difference between wholesalers and marketing agents is:
Agents sells their products directly to their customer whereas wholesales provide contact support to the customers
Hence, Option D is correct
What do you mean by wholesalers and marketing agents ?
Wholesalers are merchants who buy the goods in bulk quantities from the manufacturers and sell these goods in relatively smaller quantities to retailers and at times to semi- wholesalers. They also sell goods in bulk quantities to institutional buyers, but they do not sell goods to consumers for final consumption.
Marketing Agents means those distributors, dealers, resellers, representatives, affiliate who deal with customers.
Hence, from the above definition we can conclude that Agents sells their products directly to their customer whereas wholesales provide contact support to the customers
Hence, Option D is correct
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What are the main advantages of the Free market system in relation to Economic Goals
and Societal Values?
Answer:
Advantages of this market system include efficient resource allocation, competition, innovation, and product variety. Sellers in a free market have a right to adjust prices to match the demand for their products. Further, consumers are allowed to decide where they will spend their money
the market capitalization rate for admiral motors company is 8%. its expected roe is 10% and it expected eps is $5. if the firm's plowback ratio is 60%, what will be its p/e ratio?
The P/E ratio is 20 at 8% of market capitalization rate, 10% of expected roe, $5 eps and 60% plowback ratio.
The market capitalization rate 8% = 8/100
= 0.08
The expected is roe 10% = 10/100
= 0.1
The expected eps is $5
The Plowback ratio is 60% = 60/100
= 0.6
The growth rate is calculated as:
= Plowback ratio × ROE
= 0.6 × 0.1
= 0.06×100
= 6%
The P/E ratio is calculated as,
=1- Plowback ratio/ market capitalization rate - growth rate
= 1-0.6/0.08-0.06
= 0.4/0.02
= 20
Hence the P/E ratio is 20
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visual identification systems that were developed in the 1950s went beyond trademarks, which had been used since the medieval guilds; corporate-wide consistent design systems were produced. these systems needed to project cohesive images because .
many corporations were becoming multinational in scope
What Is a Multinational Corporation?
A multinational corporation (MNC) is a company that has business operations in at least one country other than its home country. By some definitions, it also generates at least 25% of its revenue outside of its home country.
Generally, a multinational company has offices, factories, or other facilities in different countries around the world as well as a centralized headquarters which coordinates global management.
Multinational companies can also be known as international, stateless, or transnational corporate organizations or enterprises. Some may have budgets that exceed those of small countries.
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