Calculate the annual economic order quantitiy from thr information below :-
Gm electronics expects to sell 800 alarm systems each month of 2022 at R4 000 each. The cost price of each alarm system is R2000. The inventory holding cost of an alarm system is 1% of the unit cost price. The cost price of placing an order for the alarm systems is estimated at R60

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Answer 1

The annual economic order quantity (EOQ) for the alarm systems is approximately 758 units.

To calculate the annual economic order quantity (EOQ), we need the following information:

Demand per year (D) = Monthly demand * 12 months

Ordering cost per order (S) = R60

Unit cost price (C) = R2000

Holding cost rate (H) = 1% of unit cost price

Sales price per unit (P) = R4000

First, let's calculate the demand per year:

D = Monthly demand * 12

D = 800 units/month * 12 months

D = 9,600 units

Next, let's calculate the EOQ using the formula:

EOQ = sqrt((2 * D * S) / H)

Plugging in the values:

EOQ = sqrt((2 * 9,600 * 60) / (0.01 * 2000))

Calculating the expression within the square root:

EOQ = sqrt(11,520,000 / 20)

EOQ = sqrt(576,000)

EOQ ≈ 758.32

Therefore, the annual economic order quantity (EOQ) for the alarm systems is approximately 758 units.

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GHI Ltd has current earnings of $1 per share and a last dividend paid $0.50. It is expected that dividend will grow at the rate of 6 percent p.a. for the next three years and then level off (i.e. revert to zero growth) on year four onwards till infinity. a. Determine the expected share price of GHI Ltd using the dividend growth model. Assume that a cost of equity of 10 percent is applicable. (8 marks) b. Without showing any calculations, determine changes of price of the share if the required rate of return decreases. (2 marks)

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A. The expected share price of GHI Ltd using the dividend growth model is $33.80.

B. T he present value of future dividends will be higher, leading to an increase in the share price.

a. To determine the expected share price of GHI Ltd using the dividend growth model, we can use the formula:

P = D / (r - g)

Where:

P = expected share price

D = last dividend paid * (1 + growth rate)^n, where n is the number of years in the future

r = cost of equity

g = expected growth rate

Using the information provided, we can calculate the expected dividends for the next three years and the terminal value at year 4 onwards:

Expected dividend in year 1 = $0.50 * (1 + 6%)^1 = $0.53

Expected dividend in year 2 = $0.50 * (1 + 6%)^2 = $0.56

Expected dividend in year 3 = $0.50 * (1 + 6%)^3 = $0.59

Terminal value at year 4 onwards = $0.59 / (10% - 0%) = $5.90

Substituting these values into the formula, we get:

P = ($0.53 + $0.56 + $0.59 + $5.90) / (10% - 6%) = $33.80

Therefore, the expected share price of GHI Ltd using the dividend growth model is $33.80.

b. If the required rate of return decreases, the price of the share will increase. This is because a lower required rate of return means that investors are willing to pay more for each dollar of earnings. Consequently, the present value of future dividends will be higher, leading to an increase in the share price.

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On August 16, 2022. President Joe Biden signed a major piece of legislation into federal law that will in part address climate change. Here are some sources that list the various elements in this new law. - Inflation reduction act of 2022, Pub, L. No. 117⋅169,(2022). https: # www.congress.gov/bill/117thcongress/house-bill/5376/text - Paris, F., Parlapiano, A., Sanger-Karz, M., E Washington, E. (August 16, 2022). A detailed picture of what's in the Democrats' climate and health bill. New York Times. https: / nyti.ms/3peErof - Stein, J., Joselow, M., \& Roubein, R. \{August 15. 2022). How the Inflation Reduction Act might affect you ⋯ and change the U.S. Washington Post. https: / wnw.washingtonpost.com/us. policy/2022/07/28/manchin-schumerclimate-deal// Choose one of the newly funded areas to address climate change from the recently enacted law. How can various sectors in the polity collaborate in the area you chose? Assume you are the chief climate official of your city, county, or state (select one). Your leader has just asked you to identify one area of the law your city, county, or state can begin to work on. You may pick any idea, but only one, and you will need to involve various sectors in your plan. Name at least one contribution that each of the eight entities listed below could make to the implementation of this idea, and why you think so. - Federal government. - State government, - Local government - Tribal governments - Nonprofit organizations - Private sector - Individual citizens - You, as chief climate official

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On August 16, 2022, President Joe Biden signed a major piece of legislation into federal law that will in part address climate change.

The newly funded area to address climate change is the development of wind and solar power plants to create new jobs while also reducing emissions. The private sector can collaborate with local and state governments to facilitate a  investing in research and development to create new technologies for these plants.

Nonprofit organizations and individual citizens can contribute by promoting public awareness of the benefits of renewable energy sources. The federal government, in collaboration with state and local governments, can provide subsidies for wind and solar power plants to encourage investment.

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Conduct TOWS analysis of a cannabis store in canada. Include strategy recommendations.

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TOWS analysis, also known as SWOT analysis, is a strategic planning tool used to assess the strengths, weaknesses, opportunities, and threats of a business.

Strengths: The cannabis store may have strengths such as a diverse product offering, knowledgeable staff, and a strong brand presence. These strengths can be leveraged to differentiate from competitors and attract customers.

Weaknesses: Weaknesses could include limited product variety, lack of market experience, or regulatory constraints. Addressing these weaknesses through product expansion, staff training, and compliance measures can improve competitiveness.

Opportunities: Opportunities in the Canadian cannabis market may include the growing acceptance and demand for cannabis products, potential legalization changes, and untapped market segments. Capitalizing on these opportunities through market expansion, product innovation, and targeted marketing can lead to growth.

Threats: Threats may include intense competition, regulatory changes, and potential health concerns. Mitigating threats can involve strategic partnerships, staying updated on regulations, and maintaining product quality and safety standards.

Strategy recommendations based on the TOWS analysis could include focusing on product diversification and enhancing the store's online presence to cater to changing consumer preferences and reach a wider audience. Building strong relationships with local suppliers and community involvement can help create a loyal customer base. Additionally, staying updated on evolving regulations and ensuring compliance can mitigate risks and maintain a competitive edge. Implementing effective marketing strategies, including educational campaigns, can help dispel misconceptions and promote responsible cannabis use.

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Sharon Siver is an attomney in Los Angeles. Silver uses the direct write-off method to account for uncollectible receivables. At April 30, 2024, Silver's accounts receivable totaled $21,000. During May, she earned revenue c $23,000 on account and collected $22,000 on account. She also wrote off uncollectible receivables of $2.530 on May 31, 2024
Use the direct write-off method to journalize Siver's write-off of the uncollectible receivables.

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The direct write-off method is a simple way to account for uncollectible receivables in the records of a company.

The approach entails removing the uncollectible debt from the account and reflecting it as a loss in the company's accounts. In this case, Sharon Silver is an attorney in Los Angeles who utilizes the direct write-off method to account for uncollectible receivables.

To journalize her write-off of the uncollectible receivables, she will need to use the following entry: Accounts Receivable    $2,530 Allowance for Doubtful Accounts    $2,530 (To record uncollectible accounts) It is worth noting that the write-off of uncollectible receivables does not affect the income statement of the company because it is classified as an operating expense.

Instead, it impacts the company's balance sheet since it reduces the accounts receivable balance and the allowance for doubtful accounts.

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In the 1990 s, of the motion picture industry's multiple revenue streams, the majority of their income, comes from
A. U.S. theaters
B. international theaters
C. DVDs
D. concession stands
E. TV pay-per-view

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In the 1990s, of the motion picture industry's multiple revenue streams, the majority of their income came from U.S. theaters. The correct option is A. U.S. theaters.

Let us see what is the motion picture industry? The motion picture industry is an industry involved in producing, distributing, and showing motion pictures. It consists of movie studios, film production companies, film distributors, theaters, and many other companies. The motion picture industry is one of the most significant entertainment industries in the world and has been growing rapidly over the years. Majority of the income comes from U.S. theaters. The majority of the income in the 1990s, of the motion picture industry's multiple revenue streams came from U.S. theaters. The theaters were the primary way that people could watch movies at that time, and most of the people preferred to go to the theater instead of buying DVDs, watching TV pay-per-view, or visiting concession stands. As a result, the motion picture industry's revenue was heavily reliant on U.S. theaters.

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Suppose That Grade Pointaverages Of Undergraduafe Students At One Universiry Have A Bell-Shaped Distribution With A

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Approximately 99.7% of the students have a grade point average less than 3.72.

Using the empirical rule, we know that for a normal distribution:

Approximately 68% of the data falls within one standard deviation of the mean

Approximately 95% of the data falls within two standard deviations of the mean

Approximately 99.7% of the data falls within three standard deviations of the mean

Given that the mean is 2.55 and the standard deviation is 0.39, we can find the range of values that fall within one standard deviation above and below the mean:

One standard deviation below the mean: 2.55 - 0.39 = 2.16

One standard deviation above the mean: 2.55 + 0.39 = 2.94

Therefore, approximately 68% of the students have grade point averages between 2.16 and 2.94.

To find the percentage of students with a grade point average less than 3.72, we need to find how many standard deviations away from the mean this value is:

Number of standard deviations = (Value - Mean) / Standard deviation

Number of standard deviations = (3.72 - 2.55) / 0.39 = 3

This means that 3.72 is three standard deviations above the mean. From the empirical rule, we know that approximately 99.7% of the data falls within three standard deviations of the mean. Therefore, approximately 99.7% of the students have a grade point average less than 3.72.

Answer: 99.7%

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Suppose that grade pointaverages of undergraduafe students at one universiry have a bell-shaped distribution with a rean of 2.55 and a standard deviation or 0.39 Using the expirical rile, what nercentage of the students have yrade point averages that are less than 3.72 ) fhease do not round your anwer Answer How to enteryour answer (open in riew window)

Approximately 99.7% of the students have a grade point average less than 3.72.

Using the empirical rule, we know that for a normal distribution:

Approximately 68% of the data falls within one standard deviation of the mean

Approximately 95% of the data falls within two standard deviations of the mean

Approximately 99.7% of the data falls within three standard deviations of the mean

Given that the mean is 2.55 and the standard deviation is 0.39, we can find the range of values that fall within one standard deviation above and below the mean:

One standard deviation below the mean: 2.55 - 0.39 = 2.16

One standard deviation above the mean: 2.55 + 0.39 = 2.94

Therefore, approximately 68% of the students have grade point averages between 2.16 and 2.94.

To find the percentage of students with a grade point average less than 3.72, we need to find how many standard deviations away from the mean this value is:

Number of standard deviations = (Value - Mean) / Standard deviation

Number of standard deviations = (3.72 - 2.55) / 0.39 = 3

This means that 3.72 is three standard deviations above the mean. From the empirical rule, we know that approximately 99.7% of the data falls within three standard deviations of the mean. Therefore, approximately 99.7% of the students have a grade point average less than 3.72.

Answer: 99.7%

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Suppose that grade pointaverages of undergraduafe students at one universiry have a bell-shaped distribution with a rean of 2.55 and a standard deviation or 0.39 Using the expirical rile, what nercentage of the students have yrade point averages that are less than 3.72 ) fhease do not round your anwer Answer How to enteryour answer (open in riew window)

Compare the statement of revenues, expenditures, and changes in fund balance with the schedule of revenues, expenditures, and changes in fund balance - budget and actual, providing both similarities and differences.

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The statement of revenues, expenditures, and changes in fund balance and the schedule of revenues, expenditures, and changes in fund balance - budget and actual are both financial reports that provide information about the financial activities of an entity. While they share similarities in terms of content and purpose, there are also key differences between the two.

The statement of revenues, expenditures, and changes in fund balance is a financial statement that summarizes the inflows and outflows of financial resources for a specific period. It provides an overview of the entity's revenues, such as taxes and fees collected, as well as its expenditures, such as salaries, supplies, and services. The statement also shows the changes in fund balance, which is the difference between revenues and expenditures.

On the other hand, the schedule of revenues, expenditures, and changes in fund balance - budget and actual compares the budgeted amounts with the actual amounts for each category. It breaks down the revenues and expenditures according to the budgeted amounts and the actual amounts incurred during the period. This schedule is particularly useful for monitoring and analyzing budgetary performance.

The similarities between the two reports lie in their focus on revenues, expenditures, and changes in fund balance. Both provide information about the financial operations of an entity and help assess its financial performance. They also contribute to accountability and transparency in financial reporting.

However, the key difference is that the statement of revenues, expenditures, and changes in fund balance provides a comprehensive summary of all financial activities, regardless of the budget. It includes both the budgeted and non-budgeted items, allowing for a broader perspective on the entity's overall financial position. In contrast, the schedule of revenues, expenditures, and changes in fund balance - budget and actual focuses specifically on the budgeted amounts and compares them to the actual results, providing insights into budget performance and variances.

In conclusion, while both the statement of revenues, expenditures, and changes in fund balance and the schedule of revenues, expenditures, and changes in fund balance - budget and actual serve similar purposes of financial reporting, the latter provides a more detailed analysis of budget performance by comparing budgeted amounts to actual results.

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the department which investigates violations of federal law is the

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The department which investigates violations of federal law is the Federal Bureau of Investigation (FBI). It is the principal investigative agency of the United States government, responsible for conducting investigations and enforcing federal laws.

The FBI operates under the jurisdiction of the Department of Justice and has broad authority to investigate various crimes, including terrorism, organized crime, cybercrime, public corruption, and civil rights violations, among others. It plays a crucial role in maintaining national security and upholding the rule of law in the United States.

The Federal Bureau of Investigation (FBI) is the primary investigative agency tasked with investigating violations of federal law in the United States. As part of the Department of Justice, the FBI has the authority to conduct investigations into a wide range of crimes that fall under federal jurisdiction. These include but are not limited to terrorism, organized crime, drug trafficking, cybercrime, public corruption, financial fraud, civil rights violations, and espionage. The FBI works collaboratively with other law enforcement agencies to gather evidence, conduct interviews, make arrests, and bring charges against individuals or groups involved in federal offenses. Its investigations play a crucial role in maintaining national security, protecting the public, and upholding the rule of law at the federal level.

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How will the level of control risk (high risk vs. low risk) affect interim testing?

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The level of control risk, whether high or low, will have an impact on the nature and extent of interim testing.

Control risk refers to the risk that a material misstatement will not be prevented or detected on a timely basis by an entity's internal controls. When control risk is assessed as high, it means there is a greater likelihood of material misstatements occurring and not being detected by the internal controls. In such cases, auditors will need to perform more extensive interim testing to obtain sufficient assurance about the accuracy and reliability of the financial statements.

When control risk is low, it implies that the internal controls are effective in preventing and detecting material misstatements. In this scenario, auditors can rely more on the effectiveness of internal controls and may perform less extensive interim testing. However, it is important to note that even with low control risk, some level of testing is still necessary to provide reasonable assurance.

The level of control risk directly affects the auditor's assessment of the risk of material misstatement and the audit procedures they perform. Higher control risk necessitates more rigorous testing procedures during interim testing to compensate for the increased risk of undetected misstatements. Conversely, lower control risk allows auditors to place more reliance on internal controls and potentially reduce the extent of interim testing. Ultimately, the level of control risk guides auditors in determining the appropriate approach and scope of interim testing for the audit engagement.

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How does monetary policy affect equilibrium GDP? How can it address the problem of recession or slow growth, and Inflation? What type of monetary policy should the central bank apply to face a virus pandemic like Covid-19?

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Monetary policy impacts equilibrium GDP by adjusting the money supply and interest rates, affecting aggregate demand.

In times of recession, central banks typically use expansionary policy to stimulate the economy, whereas during inflation, contractionary policy is applied. During a pandemic like COVID-19, a blend of measures is required to maintain economic stability and growth. Monetary policy can either expand or contract the economy, with expansionary policy increasing the money supply, reducing interest rates and stimulating borrowing and investment. During a recession or slow growth, such policy encourages increased aggregate demand, pulling the economy out of recession. Conversely, during inflation, contractionary policy reduces the money supply and raises interest rates, slowing down economic activity to prevent overheating. In response to a pandemic such as COVID-19, central banks must balance these actions while considering unique factors like business disruptions and potential long-term economic damage. This could involve interest rate cuts, quantitative easing, and specific programs to support key sectors.

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10.
help pls
You made an investment over the past year, and your nominal return was \( 13.3 \% \). Over the same year, the rate of inflation was \( 2.7 \% \). What was the real rate of return for this investment?

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The real rate of return for this investment was approximately 10.21%.

To calculate the real rate of return, we need to adjust the nominal return for inflation. This gives us the actual purchasing power gained or lost from the investment.

The real rate of return can be calculated using the following formula:

Real Rate of Return = [(1 + Nominal Rate) / (1 + Inflation Rate)] - 1

Plugging in the values given in the problem, we get:

Real Rate of Return = [(1 + 0.133) / (1 + 0.027)] - 1

= 0.1021 or 10.21%

Therefore, the real rate of return for this investment was approximately 10.21%.

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Suppose the costs of production increase to 123.222. If the price of wine stays at $20 per bottle, what will be the quantity supplied in the market?

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If the costs of production increase to 123.222 and the price of wine remains at $20 per bottle, the quantity supplied in the market will depend on the relationship between the new costs and the supply curve.

To determine the quantity supplied in the market, we need to consider the supply curve. The supply curve represents the relationship between the price of a product and the quantity that suppliers are willing and able to produce and sell. However, the supply curve's specific equation or formula is not provided in the given question.

In general, an increase in production costs may lead to a decrease in the quantity supplied. When costs increase, businesses may face lower profit margins or even losses, which can discourage them from producing as much as before. However, the magnitude of the decrease in quantity supplied depends on factors such as the elasticity of supply and the extent of cost increases.

Without further information about the supply curve or the specific relationship between costs and quantity supplied, it is not possible to determine the exact quantity supplied when the costs increase to 123.222. A more detailed analysis, considering factors such as the elasticity of supply and the behavior of producers, would be necessary to provide a precise answer.

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1.1 Discuss how the production possibility frontier model can be used to illustrate the basic economic problem of scarcity. (20) 1.2 Explain the consumer equilibrium condition according to utility theory. Include in your answer the provision of its formula. (10)

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Discuss how the production possibility frontier model can be used to illustrate the basic economic problem of scarcity. The production possibility frontier (PPF) model is a microeconomic model that illustrates.

Because resources are limited in quantity, the model may be used to demonstrate how the basic economic problem of scarcity affects a country. The PPF model shows that a country's resources are limited and that the production of one good comes at the expense of the production of another good when the country is producing goods efficiently.

Therefore, the country is faced with the problem of determining the best allocation of its resources in order to maximize its well-being. The production possibility frontier is a curve that depicts the various combinations of two goods that a country may produce using all of its available resources efficiently.

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Which one of the cash flows below represents non-conventional cash flows?
a.
-100, -50, +80, +150
b.
-100, +50, -80, +150
c.
-100, +50, +80, +150
d.
-100, -50, -80, +150

Answers

-100, +50, -80, +150 represents non-conventional cash flows because it includes cash flows that change direction more than once. The correct answer is option b.

The cash flows in option b start with a negative cash flow of -100, then change to a positive cash flow of +50, then change back to a negative cash flow of -80, and finally end with a positive cash flow of +150.

This alternating pattern of positive and negative cash flows makes it non-conventional.

In contrast, options a, c, and d have cash flows that follow a more conventional pattern, either consistently positive or consistently negative without changing direction multiple times.

The correct answer is option b.

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what is the difference between a mortgage and a note

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A mortgage is a legal agreement that creates a lien on a property as collateral for a loan, while a note is a written promise to repay the loan amount and its terms.

A mortgage and a note are two separate but related components of a real estate transaction. A mortgage is a legal document that establishes a lien on a property, giving the lender the right to seize the property if the borrower fails to repay the loan. It serves as security for the loan. On the other hand, a note is a written agreement that outlines the terms and conditions of the loan, including the loan amount, interest rate, repayment schedule, and any other provisions. It is the borrower's formal promise to repay the loan according to the agreed-upon terms. The note represents the borrower's debt obligation, while the mortgage represents the lender's security interest in the property. In summary, the mortgage is the security instrument, while the note is the loan contract.

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During FY 2021, Adelphi Company reported sales of $400,000, a contribution margin of $8.00 per unit, fixed costs of $85,000, and net income of $25,000. Use this information to determine the number of units Adelphi sold during FY 2021.

Answers

Adelphi Company sold 13,750 units during FY 2021.

To determine the number of units sold by Adelphi Company during FY 2021, we can use the contribution margin per unit and the net income.

The contribution margin per unit is given as $8.00. We can use this information along with the net income to calculate the total contribution margin.

Net income = (Sales - Variable costs) - Fixed costs

Since the contribution margin per unit is the difference between sales and variable costs, we can rewrite the equation as:

Net income = (Contribution margin per unit × Number of units) - Fixed costs

We can rearrange the equation to solve for the number of units:

Number of units = (Net income + Fixed costs) / Contribution margin per unit

Plugging in the given values:

Net income = $25,000

Fixed costs = $85,000

Contribution margin per unit = $8.00

Number of units = ($25,000 + $85,000) / $8.00

Number of units = $110,000 / $8.00

Number of units = 13,750 units

Therefore, Adelphi Company sold 13,750 units during FY 2021.

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Assume a par value of $1,000. Caspian Sea plans to issue a 13.00 year, annual pay bond that has a coupon rate of 8.00%. If the yield to maturity for the bond is 8.0%, what will the price of the bond be?

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The price of the bond can be calculated using the present value formula. The formula takes into account the future cash flows from the bond, discounted at the yield to maturity rate, to determine the present value. In this case, the bond has a par value of $1,000 and a coupon rate of 8.00%. The yield to maturity is also 8.0% and the bond has a maturity of 13.00 years.

To calculate the price of the bond, we need to discount the future cash flows (coupon payments and the final principal payment) to their present values. The coupon payments are $80 per year (8% of $1,000) for 13 years. The principal payment is the par value of $1,000 to be received at the end of the 13th year.

Using the present value formula and discounting the cash flows at the yield to maturity rate of 8.0%, we can calculate the present value of each cash flow and sum them up to get the price of the bond.

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if a more efficient technology was discovered by a firm, there would be

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If a more efficient technology was discovered by a firm, there would be a decrease in the firm's costs of production. A firm is an organization that produces goods or services for sale. It can also be referred to as a company. The primary aim of a firm is to maximize profit, which is the difference between total revenue and total cost.

Technology refers to the application of scientific knowledge to create something useful. It encompasses all the tools, machinery, techniques, and methods used to produce goods and services. Technological advancements have led to increased productivity, efficiency, and innovation in various sectors, including agriculture, medicine, communication, and manufacturing.

If a firm discovers a more efficient technology, it can significantly reduce its production costs. This is because the new technology is likely to be faster, more reliable, and require fewer resources, such as labor, raw materials, and energy. The firm can then use these cost savings to lower the price of its products or increase its profit margins.

An example of how technology can reduce production costs is the use of robots in manufacturing. Robots can perform tasks that were previously done by humans, which saves time and money. They can also work continuously, which increases production output.

Therefore, if a firm adopts the use of robots, it can reduce its labor costs and increase its productivity.

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This task aims to start to get you thinking as a brand manager. It enables you to understand and examine the sources of brand equity, including brand awareness and brand image. The product category you will focus on is laptops (laptop computers, portable computers, notebooks). You are required to pick two laptop brands and then compare the sources of brand equity for this pair.
Brand awareness: Discuss and compare consumers’ awareness of the selected brands, including brand recognition and recall. Secondary sources should support your discussion and comparison (e.g., journal articles, statistical data, industry and company reports, and reliable online information). You can present personal experience examples where relevant.
Brand image: Discuss and compare how consumers perceive the brands’ images. You should emphasize key aspects such as brand attributes, brand benefits, and brand associations. Secondary sources should support your discussion and comparison (e.g., journal articles, statistical data, industry and company reports, and newspaper articles). You can present personal experience examples where relevant.

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This analysis focuses on comparing the brand equity sources of two laptop brands, considering brand awareness and brand image. Brand awareness refers to consumers' recognition and recall of the brands.

When comparing brand awareness for two laptop brands, it is important to consider consumers' recognition and recall of the brands. Brand recognition refers to the ability of consumers to identify the brand when presented with its name or logo. Brand recall, on the other hand, measures consumers' ability to retrieve the brand from memory when thinking about laptops. Reliable secondary sources, such as industry reports and statistical data, can provide insights into the brand awareness levels of the selected brands.

In terms of brand image, it is essential to analyze how consumers perceive the brands and the key aspects associated with them. Brand attributes encompass the specific characteristics and features attributed to the brands, such as performance, design, durability, and innovation. Brand benefits highlight the advantages and value that consumers associate with the brands, such as reliability, user-friendliness, and customer support. Additionally, brand associations refer to the mental connections consumers make between the brands and other concepts, such as professionalism, creativity, or environmental sustainability. Journal articles, company reports, and newspaper articles can serve as valuable sources to gather information on consumers' perceptions of the brands' images.

Personal experience examples can supplement the analysis, providing firsthand insights into consumers' awareness and perception of the selected laptop brands. By considering a combination of secondary sources and personal experiences, a comprehensive understanding of the sources of brand equity, including brand awareness and brand image, can be developed for the two laptop brands under examination.

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The taxable income of a business is negative, but it have net
operating income and net income. So, what does it mean?

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When the taxable income of a business is negative, it means that the business has incurred more expenses than its revenue, resulting in a net loss for tax purposes.

This negative taxable income indicates that the business is not liable to pay taxes on its income because there is no positive taxable income to be taxed.

However, it's important to note that despite having a negative taxable income, the business may still have net operating income and net income.

Having net operating income and net income despite a negative taxable income typically indicates that the business may have non-tax-deductible expenses or tax deductions that exceed its taxable income, resulting in a loss for tax purposes.

This situation can occur due to various factors such as depreciation expenses, non-deductible expenses, tax credits, or carryforward of losses from previous years.

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Which of the following is at the top of the communication effects pyramid?A.awarenessB.knowledgeC.likingD.preferenceE.purchase/repurchase

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The communication effects pyramid is a five-stage model that identifies how consumers move from being unaware of a product or service to making a purchase decision. It consists of the following stages: awareness, knowledge, liking, preference, and purchase/repurchase.

Each stage of the pyramid represents a different level of consumer behavior. The goal of advertising is to move consumers up the pyramid, from the bottom to the top.

Each stage is essential because it provides a foundation for the next stage. At the top of the communication effects pyramid is E. purchase/repurchase.

Purchase/repurchase represents the ultimate goal of advertising, which is to convince consumers to buy the product or service. It is the most critical stage because it is the ultimate measure of the effectiveness of advertising. If consumers are not willing to purchase or repurchase the product, then advertising has not been successful.

It is important to note that each stage of the communication effects pyramid is interconnected. For example, awareness leads to knowledge, which leads to liking, which leads to preference, which ultimately leads to purchase/repurchase. In other words, if consumers are not aware of the product, they cannot have knowledge about it, and if they do not like it, they are unlikely to purchase it.

Each stage of the pyramid is vital in advertising, and marketers should focus on each stage to ensure success. However, purchase/repurchase is the ultimate goal of advertising, and marketers should aim to create messages that motivate consumers to take action and purchase the product or service.

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Growth of the Service sector which now employs about 2/3rds of all workers over the past few decades is one possible explanation for the growing inequality in the US: we have more hamburger flippers and Wall Street analysts. Select one: O True O False

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False. The growth of the service sector, which employs a large portion of workers in the US, is not the sole explanation for the growing inequality in the country.

The growing inequality in the US can be attributed to various factors, including changes in technology, globalization, and shifts in labor market dynamics. These factors have influenced the distribution of income and wealth in society. While the service sector has indeed seen substantial growth, it is important to recognize that not all service jobs are low-wage or contribute to inequality.

Inequality arises due to disparities in wages, educational opportunities, social mobility, and access to resources, among other factors. It is not solely determined by the sector of employment but is influenced by broader socio-economic and policy-related factors. Therefore, it is inaccurate to suggest that the growth of the service sector alone is responsible for the growing inequality in the US.

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While seeking opportunities for profitable exporting, large firms generally tend to be
A. passive.
B. risk averse.
C. wary.
D. proactive.
E. neutral.

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D. proactive. among the options provided, large firms tend to be proactive when seeking opportunities for profitable exporting.

While seeking opportunities for profitable exporting, large firms generally tend to be proactive. Proactive refers to taking initiative and actively seeking out opportunities rather than waiting for them to come along passively. Large firms often have dedicated teams or departments focused on exploring and expanding their international markets through exporting. They actively conduct market research, identify potential target markets, establish distribution channels, and develop strategies to promote their products or services in foreign markets. Being proactive allows large firms to stay ahead of the competition and seize opportunities for profitable exporting.

While large firms may still consider potential risks and be cautious (option C), they are generally more willing to take calculated risks and invest resources in pursuing profitable export opportunities. This proactive approach allows them to capitalize on market trends, leverage their competitive advantages, and drive their international growth and profitability.

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Reversing entries are a. Made at the end of an accounting period b. Required for each accounting period c. Made together with the adjusting entries d. Made at the beginning of an accounting period

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The primary benefit of reversing entries is that they allow for a cleaner separation of accounting periods and facilitate the recording of new transactions without the need to consider the previous period's adjusting entries.

Reversing entries are made at the beginning of an accounting period and are the exact opposite of adjusting entries made at the end of the previous accounting period. Their purpose is to simplify the recording of subsequent transactions and ensure accurate financial reporting.

Reversing entries are typically used for accruals and deferrals that were recorded in the previous period but have not yet been reversed. By reversing these entries, the impact of these temporary accounts is nullified, making it easier to record subsequent transactions.

The primary benefit of reversing entries is that they allow for a cleaner separation of accounting periods and facilitate the recording.

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Gamma Corporation has a headquarters building that originally cost the company $500,000. The current estimated price of the building is $2,000,000. The President would like to report the difference as a gain. The write-up would represent a violation of which accounting assumption or principle? Revenue Recognition Principle Monetary Unit Assumption Full Disclosure Historical Cost Principle Going Concern Assumption

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The write-up of the building's value by Gamma Corporation's President as a gain would represent a violation of the Historical Cost Principle in accounting.

The violation in this scenario is related to the Historical Cost Principle. The Historical Cost Principle states that assets should be recorded and reported at their original cost when acquired. It emphasizes the importance of using the original cost as a reliable and verifiable basis for financial reporting.

In this case, the President wants to report the difference between the original cost of $500,000 and the current estimated price of $2,000,000 as a gain. However, doing so would deviate from the Historical Cost Principle. The principle requires that the value of an asset should be recorded based on its original cost, not its current market value or any subsequent changes in value.

By reporting the difference as a gain, the President would be disregarding the principle's requirement to maintain consistency in the accounting treatment of assets. The principle ensures that financial statements provide a faithful representation of the company's financial position, and violating it could mislead users of the financial statements by inflating the reported gains or distorting the true value of the asset.

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The expected return for Bangor Bakery (BB) is 11%. The rate on
US Treasuries is 2% and the return on the S&P 500 is expected
to be 9%. What is the beta of Bangor Bakery?

Answers

To calculate the beta of Bangor Bakery (BB), we need to use the following formula:

Beta (BB) = (Return (BB) - Risk-Free Rate) / (Return (Market) - Risk-Free Rate)

Given the following information:

Expected return for Bangor Bakery (BB) = 11%

Rate on US Treasuries (Risk-Free Rate) = 2%

Expected return on the S&P 500 (Market) = 9%

Let's plug these values into the formula:

Beta (BB) = (0.11 - 0.02) / (0.09 - 0.02)

= 0.09 / 0.07

= 1.29

Therefore, the beta of Bangor Bakery is 1.29.

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To calculate the beta of Bangor Bakery (BB), we need to use the following formula:

Beta (BB) = (Return (BB) - Risk-Free Rate) / (Return (Market) - Risk-Free Rate)

Given the following information:

Expected return for Bangor Bakery (BB) = 11%

Rate on US Treasuries (Risk-Free Rate) = 2%

Expected return on the S&P 500 (Market) = 9%

Let's plug these values into the formula:

Beta (BB) = (0.11 - 0.02) / (0.09 - 0.02)

= 0.09 / 0.07

= 1.29

Therefore, the beta of Bangor Bakery is 1.29.

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What are the similarities between competition law Canada and
USA?

Answers

Competition law in Canada and the United States shares several similarities due to their common goals of promoting fair competition, protecting consumers, and preventing anticompetitive practices.

Here are some key similarities: Legal Framework: Both Canada and the United States have comprehensive competition laws. In Canada, it is known as the Competition Act, while in the United States, it is enforced by the Federal Trade Commission (FTC) and the Department of Justice (DOJ) through the Sherman Act and the Clayton Act.

Prohibition of Anticompetitive Practices: Both countries prohibit various anticompetitive practices, such as price fixing, bid-rigging, market allocation, and abuse of dominant market position. These practices are seen as detrimental to competition and consumers.

Merger Control: Both jurisdictions have systems in place to review and approve or challenge mergers and acquisitions that may substantially lessen competition. The authorities assess the potential impact on market concentration and consumer welfare.

Enforcement Agencies: In both countries, dedicated enforcement agencies are responsible for implementing and enforcing competition laws, investigating complaints, and taking legal action against violators.

International Cooperation: Canada and the United States engage in international cooperation on competition matters, including information sharing, coordination, and cooperation with other jurisdictions.

While there are similarities, it is important to note that there are also differences in the specific provisions and application of competition law between Canada and the United States.

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A bond's coupon rate is less than its required rate of return is a a. Discount bond b. Par bond c. Premium Bond d. Coupon Bond Suppose an investor purchases a 91 days Treasury bill with a face value of $1,800 for $1,620. By holding the bill until the maturity date, the investor receive What is the amount of interest received by him? a. $280 b. $180 c. $1800 d. $3420

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A bond's coupon rate is less than its required rate of return is known as a discount bond. This implies that an investor purchasing the bond is ready to pay less than the face value of the bond. The discount rate is usually greater than the coupon rate, and the price of a discount bond is always less than the face value of the bond.

This is due to the fact that the present value of the bond's cash flows is less than the bond's face value. A bond's coupon rate is less than its required rate of return means that it is a discount bond.

By holding the bill until the maturity date, the investor receives:$1,800-$1,620=$180.The amount of interest received by him is $180. Therefore, the correct option is b. $180.

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Wisconsin Snowmobile Corp. is considering a switch to level production. Cost efficiencies would occur under level production, and aftertax costs would decline by $28,000, but inventory would increase by $280,000. Wisconsin Snowmobile would have to finance the extra inventory at a cost of 11.5 percent. a-1. Determine the extra cost or savings of switching over to level production. a-2. Should the company go ahead and switch to level production? Yes No b. How low would interest rates need to fall before level production would be feasible? (Input your answer as a percent rounded to the nearest whole number.)

Answers

The company would save $28,000 on costs and would incur $25,200 ($280,000 × 0.115) of interest expenses, resulting in a net saving of $2,800. The Explanation is given below:

Given, After tax costs would decline by $28,000The cost of extra inventory is $280,000 Finance the extra inventory at a cost of 11.5 percent. If the company goes to level production, the inventory would increase by $280,000. The company would save $28,000 on costs but would incur $25,200 ($280,000 × 0.115) of interest expenses, resulting in a net saving of $2,800.So, the extra cost or savings of switching over to level production is $25,200. a-2. The direct answer  is Yes.  If the extra cost or savings of switching over to level  is positive, it would be advisable to switch to level production. Wisconsin Snowmobile can save $2,800, which is positive.

As a result, the company should switch to level production. The direct answer to  Cost of extra inventory = $280,000Finance the extra inventory at a cost of 11.5 percent. The interest rate would need to be 8% or lower before level production becomes feasible. This is calculated as follows: $280,000 × 0.08 = $22,400 The cost savings of $28,000 minus $22,400 in interest expenses equal a net savings of $5,600. Since the net savings are positive, level production would be feasible if the interest rate falls to 8% or lower.

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New industries in developing countries must be temporarily protected from international competition to help them reach a position where they can compete on world markets with the firms of developing countries.

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Temporary protection for new industries in developing countries can be beneficial as it allows them to build a competitive advantage and reach a level where they can effectively compete on the global stage.

By shielding these industries from international competition, they have the opportunity to develop necessary capabilities, gain market share, and improve their efficiency. This protection can come in the form of tariffs, quotas, subsidies, or other trade barriers.

Temporary protection measures aim to provide domestic industries with an environment conducive to their growth and development. By safeguarding them from international competition during their initial stages, these industries can focus on enhancing their productivity, investing in research and development, and acquiring necessary skills and technologies. This protection allows them to accumulate capital, build infrastructure, and establish a customer base, which is crucial for their long-term viability.

Once these industries have achieved a certain level of competitiveness and efficiency, the temporary protection can gradually be lifted. This transition enables them to face global competition and integrate into the international market, contributing to the overall economic growth of the developing country.

It's important to note that while temporary protection can provide short-term advantages, it should be implemented strategically and with a clear plan for eventual liberalization. Overprotection or prolonged reliance on trade barriers can lead to inefficiencies, lack of innovation, and hinder the overall economic progress  of the country.

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The purchase price was $175,000 in excess of the subsidiary's book value of net assets on acquisition date and the excess was assigned entirely to an unrecorded patent. The life of the patent is 10 years.Assume the subsidiary sells inventory to the parent. The parent ultimately sells the inventory to outside customers. The following relates to the years X2 and X3:-Inventory SalesGP of unsold inventoryReceivable (Payable)X3$103,300$29,441$41,320X2$87,900$19,137$27,986Prepare the consolidated financial statements at 12/31/X3 by placing the appropriate entries in their respective debit/credit column cells. All of the following are methods of depreciation EXCEPT:A. Double Declining BalanceB. Last In; First OutC. Sum of Years DigitsD. Straight Line prepaid insurance is a 1-year policy starting may 1, 2017. which was the first major technological breakthrough in early policing? 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