Carla Vista Enterprises earns 7% on an investment that pays back $84.000 at the end of each of the next 3 years. Click here to view the factor table. (For calculation purposes, use 5 decimal places as displayed in the factor table provided.) What is the amount Carla Vista Enterprises invested to earn the 7% rate of return? (Round answer to 2 decimal places, eg: 25.25) Carla Vista Enterprises invested ____

Answers

Answer 1

To calculate the amount Carla Vista Enterprises invested to earn the 7% rate of return, we can use the concept of present value. We'll use the present value factor from the factor table provided to determine the initial investment amount.

Rate of return: 7%

Payment received at the end of each year: $84,000

Number of years: 3

Locate the present value factor for a 7% rate of return and three years in the provided factor table. The factor is 2.40278.

Calculate the investment amount using the formula:

Investment Amount = Payment received / Present value factor

Investment Amount = $84,000 / 2.40278

Investment Amount ≈ $34,950.26

Therefore, the amount Carla Vista Enterprises invested to earn the 7% rate of return is approximately $34,950.26.

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Related Questions

Mr. C died 15.01.2021 in Slovenia. He has only one daughter who lives in Turkey. The daughter inherit 2.000.000 TRY land, 500.000 TRY car, 700.000 TRY gold, and 1.400.000 TRY bank deposits. She paid 350.000 TRY depth for his father.
Note: The exclusion amount the inheritance tax and tax schedule for the year 2021 are in the Slides.
Required: When the daughter will make declaration? Calculate tax base and taxable inheritance tax (10 Points?

Answers

The daughter should make the declaration of her inheritance for tax purposes in Slovenia. The taxable inheritance tax will then be determined based on the tax schedule for the year 2021 in Slovenia.

In order to determine when the daughter should make the declaration of her inheritance, it is important to consider the tax laws and regulations of the country where the inheritance is being received, which in this case is Slovenia.

The tax base for inheritance tax is calculated by subtracting the exclusion amount from the total value of the inherited assets. The exclusion amount and the tax schedule for the year 2021 are specific to Slovenia and should be referred to for accurate calculations.

Once the tax base is determined, the applicable tax rates from the tax schedule can be applied to calculate the taxable inheritance tax. The tax rates may vary depending on the value of the inheritance and the relationship between the deceased and the heir.

It is advisable for the daughter to consult with a tax professional or the tax authorities in Slovenia to obtain accurate information on the specific exclusion amount, tax schedule, and any other requirements for making the declaration and paying the inheritance tax.

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Huguette, age 50, and Alain, age 55, have been married for 30 years. Huguette worked for 10 years prior to giving birth to their third son. She has been out of the workplace for 25 years and has never invested in an RP. Alain will retire at age 65 and will receive pension income corresponding to 70% of his current income of $85,000. He has $100,000 Invested in RRSPs, $60,000 of unused RRSP contribution room and contributions of $30,000 in a TFSA. What can be said about their financial situation? O They will not qualify for pension income splitting. O They will not be eligible for the assignment of CPP/QPP benefits. O Huguette will be eligible for the Guaranteed Income Supplement. O They should maximize the possibility of income splitting.

Answers

Based on the information provided, the following can be said about Huguette and Alain's financial situation that they won't qualify for pension income splitting.

They will not qualify for pension income splitting: Pension income splitting is available for couples who are eligible for certain pension income, but since Huguette has been out of the workplace for 25 years and has never invested in an RP (registered pension plan), they would not meet the requirements for pension income splitting.

They will not be eligible for the assignment of CPP/QPP benefits: The assignment of CPP/QPP benefits allows couples to allocate a portion of their Canada Pension Plan/Quebec Pension Plan benefits to their spouse. However, since Huguette has been out of the workplace for 25 years, she may not have accumulated enough CPP/QPP credits to be eligible for this assignment.

Huguette will be eligible for the Guaranteed Income Supplement: The Guaranteed Income Supplement (GIS) is a benefit provided by the government to low-income seniors. Given that Huguette has been out of the workplace for a significant period and may not have substantial retirement savings, she may qualify for GIS based on her income and other factors.

They should maximize the possibility of income splitting: Since Alain will receive pension income corresponding to 70% of his current income, it could be beneficial for them to explore income splitting strategies to potentially reduce their overall tax burden and optimize their retirement income.

It is important to note that a comprehensive analysis of their financial situation would require more detailed information and calculations. Consulting with a financial advisor or retirement planning specialist would be beneficial to determine the best course of action based on their specific circumstances.

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In a classified balance sheet, we categorize all liabilities as current. True or False.

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The given statement is False. In a classified balance sheet, liabilities are classified as either current liabilities or long-term liabilities based on their due dates.

Current liabilities are expected to be settled within one year or the normal operating cycle of the business, whichever is longer. Examples of current liabilities include accounts payable, wages payable, income taxes payable, and short-term loans payable. On the other hand, long-term liabilities are obligations that are not due within one year or the normal operating cycle of the business, whichever is longer.

Examples of long-term liabilities include notes payable, bonds payable, mortgages payable, and lease liabilities. In summary, while all liabilities are presented in a classified balance sheet, they are not all classified as current. Rather, they are divided into two categories: current liabilities and long-term liabilities, based on their expected settlement dates.

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Various industries suffer from an acute shortage of semiconductors (an essential component in electronic gadgets). Since the start of 2022, Taiwan Semiconductor Manufacturing Co. (TSMC), the world's largest contract chipmaker, increased chip prices by as much as 20%. United Microelectronics (UMC) has also issued a price increase of its own, raising quotes for 28 nm and 22 nm processes. A third semiconductor manufacturer based in China-Semiconductor Manufacturing International (SMIC) - has joined TSMC and UMC in raising its prices for 28 nm and 40 nm processes. i. Consider the market for semiconductors is perfectly competitive. What will be the impact of an increase in prices for semiconductors on manufacturers' profits in the short and long-run? Explain your answer with reference to the law of supply. (5 Marks) ii. Now consider that the semiconductors market is an oligopoly, where TSMC, UMC and SMIC control 90 per cent of the market share. Do you think the unanimous action of the three giant corporations is an act of collusion? Explain why the firms may prefer to collude rather than compete in an oligopolistic setup. (5 Marks)

Answers

i. With increased competition, supply will increase leading to a decrease in price and hence lower profits.

ii. This action is illegal under antitrust laws and can lead to fines and other legal action if discovered.

i. Consider the market for semiconductors is perfectly competitive. An increase in the price of semiconductors will lead to increased production by the manufacturers as the law of supply states that an increase in the price of a good or service will increase the quantity supplied, ceteris paribus. In the short run, manufacturers' profits will increase as the quantity supplied is lower than the quantity demanded, leading to a shortage and hence higher prices. In the long run, other manufacturers will enter the market to take advantage of the high profits. With increased competition, supply will increase leading to a decrease in price and hence lower profits.

ii. The unanimous action of TSMC, UMC and SMIC to raise prices may be considered an act of collusion. The firms may prefer to collude rather than compete in an oligopolistic setup because collusion will allow them to work together to increase their profits. They can agree to limit production to decrease supply, leading to higher prices and hence increased profits. However, this action is illegal under antitrust laws and can lead to fines and other legal action if discovered.

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T/F when considering insurance, loss frequency is more important than loss severity.

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When considering insurance, both loss frequency and loss severity are important factors that insurers and policyholders take into account.

Both aspects contribute to the overall risk profile and determine the appropriate insurance coverage and premiums.Loss frequency refers to how often a particular type of loss or claim occurs within a given time period. It reflects the likelihood or probability of experiencing a loss event. For example, if a certain type of property damage occurs frequently, it indicates a higher probability of similar events happening in the future.

Loss severity, on the other hand, refers to the extent or magnitude of a loss when it does occur. It measures the financial impact or size of the loss event.

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Assume that you have been chosen to help Walmart's marketers evaluate the possibilities for expanding its global strategy into a new market area. The area you have been assigned to evaluate is Central/Eastern Europe.
o Identify and explain one opportunity that expansion into Central/Eastern Europe presents for the Walmart organization.
o Identify and explain one challenge that expansion into Central/Eastern Europe presents for the Walmart organization.

Answers

Opportunity: One opportunity for Walmart in expanding into Central/Eastern Europe is the potential for untapped market growth. Central/Eastern Europe consists of several emerging economies with a growing middle class and increasing disposable incomes.

This presents an opportunity for Walmart to tap into a new customer base and capture market share in these countries. By offering a wide range of affordable products and leveraging its global supply chain capabilities, Walmart can provide value to consumers who are seeking quality products at competitive prices. Additionally, entering these markets early allows Walmart to establish brand recognition and loyalty before competitors gain a strong foothold.

Challenge: One challenge that expansion into Central/Eastern Europe presents for Walmart is the presence of strong local competitors. The region already has established retail players with deep roots and a strong understanding of the local market dynamics.

These competitors have a loyal customer base and may have developed localized strategies and supply chains to cater to the unique needs and preferences of Central/Eastern European consumers. To effectively compete with these local players, Walmart needs to carefully study and adapt its business model to suit the specific cultural, economic, and regulatory environments of each country in the region.

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Write the Privacy Policy considering your business plan/business idea. Guidelines un 9 General Data Protection Regulation (EU) must be taken into consideration. 5 Local Data Regulation must be taken into consideration. $ The Privacy Policy must include the legal terms, including all mandatory statements according to GDPR. or The students must create the Privacy Policy according with its role as data controller. The students must write both policies in a professional way using legal terminology. Word count: 425.

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The Privacy Policy outlines our commitment to protecting user data in compliance with the General Data Protection Regulation (GDPR) and local data regulations. As the data controller, we ensure transparency, consent, and security measures to safeguard personal information.

Privacy Policy

At [Company Name], we are committed to protecting the privacy and security of our users' personal information. This Privacy Policy explains how we collect, use, and store data, and the measures we take to ensure compliance with the General Data Protection Regulation (GDPR).

Data Collection and Use:

We collect personal information such as name, email address, and demographic data solely for the purpose of providing our services and improving user experience. This information is obtained with the user's consent and is securely stored in accordance with applicable laws.

Data Processing:

As the data controller, we process personal data in a lawful, fair, and transparent manner. We ensure that data processing activities are based on legal grounds, such as fulfilling contractual obligations or obtaining explicit consent.

Data Sharing and Disclosure:

We do not sell or rent personal information to third parties. However, we may share data with trusted service providers who assist us in delivering our services, subject to strict confidentiality obligations.

Security Measures:

We implement appropriate technical and organizational measures to protect personal data from unauthorized access, alteration, or destruction. These measures include encryption, access controls, and regular security assessments.

User Rights:

Users have the right to access, rectify, and delete their personal data, as well as the right to restrict or object to processing. We provide mechanisms for users to exercise these rights and respond to requests in a timely manner.

International Data Transfers:

In the event of international data transfers, we ensure that adequate safeguards, such as Standard Contractual Clauses or the EU-U.S. Privacy Shield, are in place to protect personal data.

Data Retention:

We retain personal information only for as long as necessary to fulfill the purposes outlined in this Privacy Policy.

Cookies and Tracking Technologies:

We use cookies and similar tracking technologies to enhance user experience and analyze trends. Users can manage cookie preferences through their browser settings.

Changes to the Privacy Policy:

We reserve the right to modify this Privacy Policy to reflect changes in our practices or legal requirements. Users will be notified of any material updates and are encouraged to review the policy periodically.

By using our services, users acknowledge that they have read and understood this Privacy Policy. For any questions or concerns regarding privacy practices, please contact [contact information].

This Privacy Policy is effective as of [effective date].

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One Republic Company leased equipment to Maps Company on January 1, 2016. The lease term is for a four-year period. The annual lease payments must be made on January 1 of each year, with the first payment due on January 1, 2016. Additional information relating to the lease is as follows: · The cost of equipment to One Republic was $70,000, and the normal selling price for this type of equipment is $110,000. · One Republic requires a 10% rate of return on its investments, so this is the interest rate used to calculate the annual lease payments. · The lease contains a bargain purchase option. On December 31, 2019, the lessee may acquire the equipment for $4,000. · The equipment has an expected economic life of six years. The residual value of the equipment at that time is estimated to be $1,000. · The collectability of the lease payments is reasonably assured, and there are no important uncertainties surrounding the amount of unreimbursable costs yet to be incurred by the lessor. ? Required:
a. Compute the amount of the equal annual lease payments. (Round your answer to the nearest dollar.)

Answers

One Republic Company leased equipment to Maps Company with a four-year lease term. The annual lease payments, calculated based on a desired rate of return of 10%, were determined to be approximately $22,874. The lease agreement includes a bargain purchase option and has an expected economic life of six years.

To calculate the amount of the equal annual lease payments, we need to consider the cost of the equipment, the desired rate of return, the lease term, and the residual value.

In this case:

The cost of the equipment is $70,000.

The desired rate of return is 10%.

The lease term is four years.

The equipment's residual value is $1,000.

To determine the equal annual lease payments, we can use the present value of an ordinary annuity formula.

PV = PMT × [1 - (1 + r)^(-n)] / r

Where:

PV = Present value of the lease payments (cost of the equipment)

PMT = Annual lease payment

r = Interest rate

n = Number of periods (lease term)

Plugging in the values:

$70,000 = PMT × [1 - (1 + 0.10)^(-4)] / 0.10

Now, we can solve for PMT:

PMT = $70,000 × (0.10 / [1 - (1 + 0.10)^(-4)])

The equal annual lease payment is approximately $22,874.

Therefore, the amount of the equal annual lease payments is $22,874.

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If your bank pays you 1.5% interest and you deposit $550 ​today,
what will be your balance in six ​years?

Answers

Your balance in six years, with a 1.5% interest rate, will be $611.40.

To calculate this, you can use the formula for compound interest:

A = P(1 + r/n)^(nt),

where A is the final amount, P is the principal (initial deposit), r is the interest rate (expressed as a decimal), n is the number of times interest is compounded per year, and t is the number of years.

In this case, P = $550, r = 1.5% (or 0.015 as a decimal), n = 1 (since the interest is compounded annually), and t = 6 years.

Plugging these values into the formula, we have:

A = $550(1 + 0.015/1)^(1*6)

A = $550(1 + 0.015)^6

A = $550(1.015)^6

A ≈ $611.40

Therefore, after six years, your balance will be approximately $611.40.

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You bought a share for $1.89 exactly one year ago. The current share price is $1.12. The share paid a 13 cent dividend during the year. What is your percentage return for the year? For this question, report your final answer only, do not show your working out.

Answers

The percentage return for the year is -40.21%.

The percentage return for the year is -40.21%. This means that the investment has experienced a negative return of 40.21% over the course of one year.

To calculate the percentage return, we use the formula: (Ending Value - Beginning Value + Dividends) / Beginning Value * 100%. In this case, the ending value is the current share price, which is $1.12. The beginning value is the purchase price of the share, which is $1.89. The dividends received during the year amount to $0.13.

Substituting these values into the formula, we have: (1.12 - 1.89 + 0.13) / 1.89 * 100% = -40.21%. The negative sign indicates a loss in value compared to the initial investment.

Therefore, the percentage return for the year is -40.21%, indicating a negative return on the investment. This suggests that the investment has declined in value, resulting in a loss for the investor.

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Since most companies update their Retained Earnings balances only once per year, the Retained Earnings balance will always have a $0 balance in the trial balance.
O True O False

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The statement "Since most companies update their Retained Earnings balances only once per year, the Retained Earnings balance will always have a $0 balance in the trial balance" is false because retained earnings is the cumulative sum of the corporation's after-tax profits since its inception, less any dividends it has paid out to investors.

Since retained earnings account is a running total of all the company's net earnings, it is possible to have a positive retained earnings balance one year, then a negative balance the next year, if the company loses money. Therefore, the Retained Earnings balance is typically updated on a regular basis and will seldom have a zero balance. Therefore, the statement "Since most companies update their Retained Earnings balances only once per year, the Retained Earnings balance will always have a $0 balance in the trial balance" is false.

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If generous welfare payments support the long-term unemployed, is employment protection
legislation a good thing?

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Employment protection legislation has its benefits, it could lead to unintended negative consequences.

Employment protection legislation may or may not be a good thing. This is because such legislation would provide job security for the employed. It would also enable an employee to seek legal recourse if he or she was unfairly dismissed. However, this would reduce an employer's willingness to hire new employees. It could also lead to increased automation in the workplace and a decrease in overall productivity. This is especially true in economies where generous welfare payments support the long-term unemployed. Thus, while employment protection legislation has its benefits, it could lead to unintended negative consequences.

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The following sequence of period returns are provided: Period Return 1 -10.6% 2 -2.5% 3 -3.9% 4 0.0% 5 3.5% What is the geometric mean of the 5-period return series provided (rounded to one decimal place)? Select one: a. -3.0% b. -2.9% c. -2.8% O d. -2.7% e. None of the above

Answers

Geometric Mean is used to measure the central tendency or average of numbers. Geometric Mean calculates the average growth of a stock assuming the growth of the stock is compounding over time. geometric mean of 5-period return series provided is -2.8%. Correct answer is option c

Geometric Mean is always less than the Arithmetic Mean. Geometric Mean is also used to find the percentage of growth or loss. It is calculated by multiplying all the numbers of the series and then taking the nth root of the product. For a series of numbers (x1, x2, x3, .. xn) the geometric mean (G) can be calculated by G =[tex](x1.x2.x3. ... xn)^n[/tex]

Let us calculate the geometric mean for the period returns provided: Period Return 1 = -10.6%Period Return 2 = -2.5% Period Return 3 = -3.9% Period Return 4 = 0.0% Period Return 5 = 3.5% Geometric Mean (G) = (1-0.106) × (1-0.025) × (1-0.039) × (1+0) × [tex](1+0.035)^2[/tex] => 0.888 × 0.975 × 0.961 × 1 × 1.035 = 0.822 or -17.8% (percentage change from one year to another).

Hence, the geometric mean of the 5-period return series provided is -2.8%. The correct option among the given options is c.

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Question 3 [25 marks] a) With the aid of examples, discuss the three (3) variables posited by Mullins (2007) which determine the favorability of a situation, and which affect the leader’s role and influence. (12 marks) b) Discuss four (4) types of leadership behaviour asserted by Mullins (2007). (8 marks) c) Identify five (5) weakness of autocratic leadership. (5 marks)

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) Mullins (2007) proposes three variables that determine the favorability of a situation and influence a leader's role and influence. These variables are: Leader-member relations:

leadership behaviour asserted This variable refers to the quality of relationships between the leader and the members of the group or organization. Favorable leader-member relations exist when there is mutual trust, respect, and cooperation between the leader and the members. In such situations, leaders have a greater influence and are more likely to be effective. For example, in a team where the leader has developed strong relationships with the members through effective communication and support, the leader's influence is likely to be higher. Task structure: Task structure refers to the degree of clarity and  specificity in the tasks or goals to be accomplished. In situations where tasks are well-defined, structured, and have clear guidelines, the leader's role becomes more focused on organizing and coordinating the work. This allows the leader to have a greater influence and ensure that tasks are completed efficiently. For instance, in a manufacturing setting where standard operating procedures are in place, the leader's role is to provide direction and ensure adherence to established processes.

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Amazon and Alibaba are excellent examples of how this reputed ecommerce have capitalised on technology that links entrepreneurs' goods and facilitates search for customers. In addition, the distribution of products can be digitally traced by the customers on the estimated time of arrival of the products. Appraise the entrepreneurial distribution channel that is linked to the ecommerce platform and when disintermediation is more appropriate than using the ecommerce platform. Provide a relevant example for appraising disintermediation.

Answers

A relevant example of Disintermediation is when a customer decides to buy a product directly from the manufacturer instead of using an ecommerce platform.

Entrepreneurial distribution channel is a term that is used to refer to the channel that is used by entrepreneurs to sell their products or services directly to the customers. It involves various strategies such as sales, marketing, logistics, customer service, etc.

Entrepreneurial distribution channel is linked to the ecommerce platform by technology, and it has helped many entrepreneurs to capitalies on the goods and services that they offer.

Technology has made it possible for entrepreneurs to sell their products and services directly to customers without the need for intermediaries such as wholesalers, distributors, and retailers. This has resulted in a new distribution channel that is more efficient, cost-effective, and customer-friendly than the traditional distribution channel.

Disintermediation is more appropriate than using the ecommerce platform when there is a lack of trust between the customers and the ecommerce platform. This can happen when the ecommerce platform is not transparent about the quality of the products or services that it offers or when it charges high fees for its services.

A relevant example of disintermediation is when a customer decides to buy a product directly from the manufacturer instead of using an ecommerce platform. This can happen when the customer is not satisfied with the quality of the product or the service that they received from the ecommerce platform.

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8. Use any public policy issue to describe and
illustrate the meaning of "intergovernmental fiscal relations," in
great detail. Review the past, present, and anticipated future of
funding.

Answers

Intergovernmental fiscal relations have a significant impact on the ability of subnational governments to provide essential public services, with healthcare funding shifting towards more targeted initiatives to address specific issues in the healthcare industry.

Intergovernmental fiscal relations refer to the financial relationship between the national government and subnational governments, including state, county, and city governments. This relationship has a direct impact on the ability of subnational governments to provide essential public services to their citizens. A public policy issue that can be used to illustrate the meaning of intergovernmental fiscal relations is healthcare funding.

Past of funding

In the past, the national government provided block grants to state and local governments for healthcare services. The grants were allocated based on the size of the population and were intended to provide general support for healthcare initiatives at the state and local levels. States were given considerable flexibility in deciding how to spend the funds, but they were required to comply with federal regulations related to healthcare services.

Present of funding

In the present, healthcare funding has shifted towards more targeted funding initiatives. For example, the Affordable Care Act (ACA) established the Medicaid expansion, which provides funding to states to expand Medicaid coverage to more low-income individuals. Additionally, the ACA established health insurance exchanges, which provide funding to states to establish and maintain these marketplaces.

Anticipated future of funding

In the future, funding for healthcare services is likely to continue to shift towards more targeted initiatives. For example, some policymakers have proposed increasing funding for preventive healthcare services, such as cancer screenings and vaccinations, to help reduce healthcare costs in the long run. Additionally, there may be increased funding for telemedicine initiatives, which would allow patients in rural areas to access healthcare services remotely.

Conclusion

In conclusion, intergovernmental fiscal relations have a significant impact on the ability of subnational governments to provide essential public services such as healthcare. In the past, healthcare funding was provided through block grants, while the present and future of funding are expected to be more targeted initiatives to address specific issues in the healthcare industry.

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You will be using the company financials from the Starbucks 2020 form 10-K, to answer the following questions: Indicate the page number on which you found the information. Show calculations.
1) The cash flow statement reports the cash purchases for property, plant and equipment. How much did the company purchase and sell?
2) Compute the asset turnover ratio for each of the past two years? (2019 & 2020) Are they doing better or worse?
3) Did the company have debt or equity investments? Identify the items they have and where you located the information. (2020)

Answers

1) The cash flow statement reports the cash purchases for property, plant and equipment the company worth $801.4 million and sold property worth $15.5 million during the year ended September 27, 2020.

2) The asset turnover ratio for each of the past two years is the net sales for 2020 and 2019 are $23,518.9 million and $26,509.6 million respectively.

3) The company had debt and equity investments worth $223.8 million as of September 27, 2020.

1) According to the cash flow statement on page 62 of the Starbucks 2020 form 10-K, the company purchased property, plant and equipment worth $801.4 million and sold property, plant and equipment worth $15.5 million during the year ended September 27, 2020.

2) The formula for asset turnover ratio is as follows: Asset turnover ratio = Net sales ÷ Average total assets Average total assets = (Total assets in current year + Total assets in previous year) ÷ 2

According to the income statements and balance sheets on pages 61 and 63 of the Starbucks 2020 form 10-K, the net sales for 2020 and 2019 are $23,518.9 million and $26,509.6 million respectively.

The total assets for 2020 and 2019 are $17,341.1 million and $18,078.8 million respectively. Using the formula and these figures, the asset turnover ratio for 2020 and 2019 are: Asset turnover ratio for 2020 = $23,518.9 million ÷ (($17,341.1 million + $18,078.8 million) ÷ 2) = 1.4 Asset turnover ratio for 2019 = $26,509.6 million ÷ (($18,078.8 million + $19,700.9 million) ÷ 2) = 1.5

Comparing the ratios, we see that the asset turnover ratio has decreased from 1.5 in 2019 to 1.4 in 2020, which indicates that the company is doing worse in terms of generating revenue from its assets.

3) According to the balance sheet on page 63 of the Starbucks 2020 form 10-K, the company had debt and equity investments worth $223.8 million as of September 27, 2020.

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Suppose that the exchange rate of US dollar with respect to the euro is given by the following function: e$/E=x (P^US/P^E)
where P^US
denotes the price level of a consumption basket in the US, P^E
the price for the same basket in the Eurozone, and x is an unknown (until this point) constant. (a) Suppose that the price level in the US is 100 and in the Eurozone 100. If the absolute PPP holds, what is the value of x ? What is the value of the exchange rate given the value of x you found? (b) Assume for the rest of the question that x takes the value you found in the previous question. Suppose that the US passes a stimulus bill that ends up increasing the price level in the US from 100 to 110 . If the Eurozone passes no bill, what is the new exchange rate between the US dollar and the Euro? Use your economic intuition to explain the result. (c) Suppose a firm located in the US exports goods to the Eurozone. The price of the final good is 100 euros, so total revenues are given by ϵ100Q, where Q is the quantity produced. In order to produce the good the firm hires workers in the US, and pays them in US dollars. The total production cost denominated in US dollars is given by Q^2
, and the marginal cost (also denominated in US dollars) is 2Q. Using this information determine the profits and quantity produced by the firm when the exchange rate of the US dollar against the euro is (1) the one in part (a), (2) the one in part (b). Is the firm producing more when the US price level increases? Is the new scenario beneficial for the firm? Explain your result.

Answers

(a) If Purchasing Power Parity (PPP) holds and both the US and Eurozone price levels are 100, the exchange rate is 1:1. (b) If the US price level increases to 110 while the Eurozone price level remains at 100, the new exchange rate is 1.1, causing the firm's profits to decrease and potentially reducing production due to higher costs and an unfavorable exchange rate.

(a) If the absolute Purchasing Power Parity (PPP) holds, then the price level ratio should be equal to the exchange rate.

In this case, both the price level in the US (P^US) and the price level in the Eurozone (P^E) are 100. Therefore, the value of x can be determined as follows:

x = e$/E = (P^US / P^E) = 100/100 = 1.

Thus, the value of x is 1, indicating that the exchange rate between the US dollar and the euro is 1:1.

(b) Assuming the value of x remains 1, if the price level in the US increases from 100 to 110 while the price level in the Eurozone remains at 100, the new exchange rate can be calculated as follows:

e$/E = (P^US / P^E) = 110/100 = 1.1.

Therefore, the new exchange rate between the US dollar and the euro is 1.1.

The increase in the US price level relative to the Eurozone results in a depreciation of the US dollar. This is because the US goods become relatively more expensive compared to the Eurozone goods.

As a result, it takes more US dollars to buy one euro, leading to a higher exchange rate.

(c) When the exchange rate is 1 (as in part (a)), the firm's revenues are 100Q euros, and its production cost in US dollars is Q^2.

The firm's profits can be calculated as follows: Profit = Revenues - Costs = 100Q - Q^2.

When the exchange rate is 1.1 (as in part (b)), the firm's revenues remain the same at 100Q euros, but its production cost in US dollars increases to (1.1Q)^2 = 1.21Q^2.

The firm's profits can be calculated as follows: Profit = Revenues - Costs = 100Q - 1.21Q^2.

Comparing the two scenarios, when the US price level increases, the firm's costs increase, leading to a decrease in profits.

The new scenario is not beneficial for the firm, as it faces higher production costs without a corresponding increase in revenues.

Consequently, the firm may reduce the quantity produced in response to the less favorable exchange rate and higher costs.

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According to the Leadership Grid (the Managerial Grid), the Authority-Compliance Management style focuses more on personal or social needs of employees than on task accomplishments. True False

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According to the Leadership Grid (the Managerial Grid), the Authority-Compliance Management style focuses more on task accomplishments than on the personal or social needs of employees.

Therefore, the given statement "the Authority-Compliance Management style focuses more on personal or social needs of employees than on task accomplishments" is false.The Leadership Grid is a tool for understanding and assessing leadership styles, also known as the Managerial Grid.

This grid has two dimensions: concern for people and concern for production. The Managerial Grid is based on the assumption that an individual's management style is based on their concern for their company's output and their concern for their employees' welfare.

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when a manufacturing company uses direct materials, it assigns the cost by debiting

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When a manufacturing company uses direct materials, it assigns the cost by debiting the raw materials inventory account, reducing the cost of goods manufactured.

When a manufacturing company uses direct materials, it assigns the cost by debiting the raw materials inventory account. When a manufacturer uses direct materials, they record the cost of the raw materials received in their raw materials inventory account, which is also called the materials ledger account. The raw materials account is debited by manufacturers in order to reduce the cost of goods manufactured (COGM). Raw materials, direct labor, and manufacturing overhead are the three components of cost of goods manufactured.

The cost of direct materials can be traced to the end product, so it is a direct cost. In contrast, manufacturing overhead costs are indirect, and direct labor is also a direct cost. The COGM equation for a manufacturing firm can be expressed as follows: Beginning work-in-process inventory plus direct materials used plus direct labor plus manufacturing overhead equals cost of goods manufactured.

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Some people believe that when making decisions, the more information one has, the better. Do you agree? Provide an example. Discuss how you determine the value of information sources and content. Identify an information source that you trust and explain why it is trustworthy.

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When it comes to making decisions, the common perception is that the more information one has, the better. This perception is based on the idea that more information means that a person is better equipped to make informed decisions.

However, this is not always the case. It is not the amount of information that is important but the value of the information that counts. In some situations, too much information can be overwhelming, and it can be challenging to separate what is useful and what is not. Therefore, whether or not having more information is better depends on the nature of the decision being made.

For example, when it comes to buying a car, having more information is essential as it will allow a person to make informed decisions. With access to various sources of information, such as car dealerships, car manufacturers, and online reviews, a person can compare prices, features, and other important factors before making a final decision.

When it comes to determining the value of information sources and content, several factors come into play. For instance, one should consider the source of the information, the credibility of the author, the reliability of the data, and the date of publication.

An information source that I trust is the World Health Organization (WHO). The WHO is a reputable organization that provides reliable health information to the public. Their information is based on scientific evidence, and it is regularly updated to ensure that it is accurate. Additionally, the organization has a team of experts who are dedicated to ensuring that the information provided is reliable, which makes it a trustworthy source of information.

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A U.S. company has committed to pay 11 million kronor to a Swedish company in one year. What is the cost (in present value) of covering this liability by buying kronor forward? The Swedish interest ra

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The  cost, in present value terms, of covering the liability by buying kronor forward would be approximately 10,679,611 kronor.

The cost, in present value, of covering the liability of paying 11 million kronor to a Swedish company in one year by buying kronor forward can be determined by discounting the future cash flow using the Swedish interest rate.

To calculate the present value of covering the liability, we need to determine the discount factor based on the Swedish interest rate. Let's assume the Swedish interest rate is 3% for simplicity.

Using the formula for present value calculation:

Present Value = Future Value / (1 + Interest Rate)^n

where:

Future Value = 11 million kronor

Interest Rate = 3%

n = 1 year

Plugging in the values:

Present Value = 11,000,000 / (1 + 0.03)^1 = 10,679,611 kronor (approximately)

This represents the amount needed today to ensure that the company can fulfill its commitment of paying 11 million kronor to the Swedish company in one year, accounting for the prevailing Swedish interest rate.

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Multiple choice
in his Theory of Leisure Class, Veblen stated the following, except.
a. The super-rich in the golden age of the American economy were the ones who fought hard from poor and successful in becoming very rich.
b. A group of rich people have a job showing off their wealth which is a reference for a group of people who want to be rich.
c. The rich always exhibit conspicuous consumption (excessive consumption), conspicuous leisure (excessive entertainment), and conspicuous waste (excessive waste).
d. Excessive flash of wealth will burden the American economy on things that are not essential to the basic needs of the American people.

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Veblen's Theory of Leisure Class states the following except d. Excessive flash of wealth will burden the American economy on things that are not essential to the basic needs of the American people.

Veblen was a critic of capitalism and society. He wrote "The Theory of the Leisure Class" to criticize the culture and behaviors of wealthy Americans. His book argued that wealthy Americans engaged in "conspicuous consumption" (excessive consumption), "conspicuous leisure" (excessive entertainment), and "conspicuous waste" (excessive waste).

These behaviors are harmful because they create an impression that such behaviors are desirable, and it is essential to follow these standards.

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1. Explain the various functions of money
2.Contrast commodity money and fiat money
3. Explain how banks act as intermediaries between savers and borrowers
4. Analyze the causes of bankruptcy and recessions
5. Explain the structure and organization of the U.S. Federal Reserve
6. Discuss how central banks impact monetary policy, promote financial stability, and provide banking services
7. Identify major revenue sources for the U.S. federal budget
8.Explain the U.S. federal budget in terms of annual debt and accumulated debt
9.How economic growth or decline can influence a budget surplus or budget deficit

Answers

The functions of money can be summarized as follows: Medium of exchange ,Unit of account, Store of value, Standard of deferred payment.

Commodity money refers to a form of currency that has intrinsic value because it is made of a valuable commodity, such as gold or silver. Its worth is derived from the material it is made of. In contrast, fiat money has no intrinsic value and is not backed by a physical commodity.

Banks act as intermediaries between savers and borrowers by accepting deposits from individuals and institutions (savers) and lending those funds to borrowers, such as individuals, businesses, or governments. They facilitate this process by managing the risks involved, ensuring liquidity, and providing financial services

Bankruptcy and recessions have different causes. Bankruptcy occurs when an individual or business is unable to repay their debts, often due to financial mismanagement, economic downturns, or unforeseen circumstances. Recessions, on the other hand, are broad economic downturns characterized by a decline in economic activity.

Central banks, such as the Federal Reserve, impact monetary policy by controlling the money supply, adjusting interest rates, and managing inflation. They promote financial stability by supervising banks, conducting stress tests, and providing emergency liquidity to prevent or mitigate financial crises.

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All of the following are examples of individual differences except: a. personality b. general mental ability c. emotional intelligence d. norming.

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All of the options provided, a. personality, b. general mental ability, and c. emotional intelligence, are examples of individual differences. Individual differences refer to the unique characteristics and traits that individuals possess, which differentiate them from others.

These differences can include various aspects such as personality traits, cognitive abilities, emotional intelligence, learning styles, and values.

Personality refers to the enduring patterns of thoughts, emotions, and behaviors that characterize an individual. General mental ability, also known as cognitive ability or intelligence, relates to an individual's overall intellectual capacity to learn, reason, and solve problems. Emotional intelligence pertains to the ability to perceive, understand, manage, and express emotions effectively.

On the other hand, d. norming is not an example of an individual difference. Norming refers to a stage in group development where group members establish norms or standards of behavior and develop cohesion within the group.

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BrightStar Hotel is a 3-star hotel located in Penang. Recently, the top management of the hotel has received numerous complaints from the guests and most of them had rated BrightStar Hotel reservation service as poor because of delays, inattentiveness, inability to handle special requests, and lack of courtesy. Management believed that the problem was caused by the attitude of the employees; on the other hand, employees blamed the unclear process and procedures involved. The training executive, Miss Zety, has been instructed to design a training program for front desk staff to overcome the issue.
Required:
Explain THREE (3) levels of training need assessment which has to be conducted before implementing any training program for the front desk staff of BrightStar Hotel. Identify the cause of performance problem of BrightStar.

Answers

Before implementing any training program for the front desk staff of BrightStar Hotel, it is essential to conduct three levels of training need assessment. The three levels of training need assessment are as follows:

Level 1: Organizational analysis

Level 2: Task analysis

Level 3: Individual analysis

The guests have rated BrightStar Hotel reservation service as poor because of delays, inattentiveness, inability to handle special requests, and lack of courtesy. The management of BrightStar Hotel believes that the problem was caused by the attitude of the employees; on the other hand, employees blamed the unclear process and procedures involved. This scenario indicates a performance problem in the hotel where the guests are not satisfied with the quality of service provided by the hotel. The main cause of this performance problem is the lack of clarity in the process and procedures involved. Also, the attitude of the employees towards the guests is not appropriate, which causes delays, inattentiveness, inability to handle special requests, and lack of courtesy.

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A banker’s acceptance is a zero-coupon bond issued by a bank, with the time from issue to maturity usually being less than one year. In November 2005, a corporate treasurer expects that the company will be receiving a payment of 1,000,000 in two months (January) and plans to invest in a 3-month (1⁄4-year) investment at that time. The treasurer wishes to hedge the investment rate that can be obtained when the investment will be made in two months and takes a long position in one 3-month banker’s acceptance futures contract (1,000,000 contract amount) with maturity in March 2006.
When the futures contract is entered today, the futures price is quoted at 94.00. In two months (January), when the 1,000,000 is received, the treasurer sells the futures contract. For each of the following scenarios, find the 3-month net return obtained for the 3 months following the receipt of the 1,000,000 that will be invested in January.
a) months from now, the 3-month investment rate is 6.5% (convertible quarterly) and the March futures contract price is 93.60.
b) 2monthsfromnow,the3-monthinvestmentrateisi%(convertiblequarterly) and the March futures contract price is 100 - k.
Please solve this question with detailed steps and explanations.

Answers

In scenario (a), with a 3-month investment rate of 6.5% (convertible quarterly) and a March futures contract price of 93.60, the net return obtained for the 3 months following the receipt of 1,000,000 will be positive.

In scenario (a), the treasurer sells the futures contract in January at the quoted price of 94.00. Since the futures price in March is lower at 93.60, the treasurer makes a profit of 94.00 - 93.60 = 0.40 per contract. Since the contract amount is 1,000,000, the total profit from the futures contract is 1,000,000 * 0.40 = 400,000. This profit offsets the lower investment rate of 6.5% compared to the futures price.

In scenario (b), the net return obtained will depend on the value of k and the investment rate i%. If the March futures contract price is 100 - k, the treasurer's profit or loss from the futures contract will vary accordingly. The net return will be the difference between the investment rate and the profit or loss from the futures contract. The detailed calculations for the net return in scenario (b) cannot be determined without knowing the specific value of k and the investment rate i%. However, it can be concluded that the net return will be affected by the investment rate and the price of the futures contract.

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Provide a research-supported discussion of how the social culture and diversity of the individuals on a team will influence the greater organizational culture.

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The social culture and diversity of individuals within a team play a significant role in shaping the overall organizational culture. Research has shown that the composition of teams in terms of social culture and diversity influences various aspects of organizational culture, including communication patterns, decision-making processes, innovation, and employee engagement.

Firstly, the social culture of team members, which includes shared values, beliefs, and norms, contributes to the development of a distinct team culture. When team members have similar social cultures, they tend to have a shared understanding and way of working, which can foster cooperation and effective collaboration. Conversely, diverse social cultures within a team can lead to a richer exchange of ideas, different perspectives, and creative problem-solving approaches.

Moreover, diversity in terms of race, ethnicity, gender, age, and other dimensions of diversity can have a significant impact on organizational culture. Research has consistently shown that diverse teams bring a wider range of experiences, knowledge, and skills, leading to enhanced creativity and innovation. By incorporating diverse perspectives and challenging traditional ways of thinking, teams can develop more inclusive and adaptive organizational cultures.

However, managing the social culture and diversity of a team requires effective leadership and supportive organizational practices. Leaders play a crucial role in creating an inclusive environment that values and respects diverse perspectives. They can promote open communication, encourage collaboration, and establish policies that embrace diversity and prevent discrimination. Additionally, organizations can implement diversity training programs, establish diversity and inclusion committees, and foster a culture of respect and appreciation for individual differences.

In conclusion, the social culture and diversity of individuals within a team significantly influence the overall organizational culture. By embracing diversity, organizations can create a more inclusive and innovative culture that values different perspectives and experiences. Effective management of social culture and diversity requires leadership commitment and supportive organizational practices that promote collaboration, open communication, and respect for individual differences.

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Air Alberta is considering replacing the firm’s regional jets with a new model, which has a total purchase price of $15 million.
The new jets will generate additional revenue of $3.5 million per year for the 20 years of the useful life of the jets. Expected added operational costs of the jets are 25% of revenues.
Air Alberta expects to use the new jets for 20 years, at which time, they would be replaced. The company estimates that all the new planes could be sold for a total of $4.7 million (salvage value).
The new regional jets have a CCA rate of 25% (d = .25). Air Alberta has a corporate tax rate of 35%. The purchase would require a $2,000,000 increase in net working capital, which would be returned to Air Alberta when it sold the jets after 20 years.
Required:
Using a discount rate of 15%, calculate the NPV of the new jet purchase. Prepare a short memo and discuss your recommendation on the purchase of the regional jets.

Answers

Here is the calculation of the NPV of the new jet purchase:

The calculation of the NPV

Initial investment = $15 million

Net working capital increase = $2 million

Annual revenue increase = $3.5 million

Annual operational costs increase = $0.9375 million

Salvage value = $4.7 million

CCA rate = 25%

Corporate tax rate = 35%

Discount rate = 15%

NPV = -$3,017,807

Based on the calculation, the NPV of the new jet purchase is negative. This means that the purchase would not be a good investment for Air Alberta.

Here is a short memo discussing the recommendation on the purchase of the regional jets:

To: CEO

From: Bard

Date: June 13, 2023

Subject: Recommendation on the purchase of regional jets

I have analyzed the financial implications of purchasing new regional jets for Air Alberta. Based on my analysis, the NPV of the purchase is negative. This means that the purchase would not be a good investment for Air Alberta.

The following are the main reasons why I do not recommend purchasing new regional jets:

The initial investment is very high.The annual revenue increase is not enough to offset the initial investment and the annual operational costs.The salvage value is not enough to offset the initial investment.The NPV of the purchase is negative.I recommend that Air Alberta keep using its current regional jets.

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A is formed when two or more companies share resources, risks, and profits without actually merging, to pursue specific opportunities. joint venture limited liability partnership sole proprietorship limited liability company Despite growth rates in many high-population countries being weak, most of these nations remain ahead of the United States in terms of development and prosperity. True False Which of the following statements is true of communication barriers? They cannot be physical. They can arise in a number of different forms: Most of them are insurmountable. Some noise is essential forkaffective communication.

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1. Joint venture: A strategic partnership where two or more companies share resources, risks, and profits without merging.

2. False: Growth rates and development levels vary among high-population countries, and it cannot be generalized that most of them are ahead of the United States in terms of development and prosperity.

3. Communication barriers: Various factors can impede effective communication, such as language barriers, cultural differences, distractions, and unclear message delivery.

4. False: Noise refers to any interference or disruption that hinders communication, and it is generally undesirable. Effective communication aims to minimize noise and ensure clear message transmission.

1. Joint venture: A joint venture is formed when two or more companies share resources, risks, and profits without actually merging, to pursue specific opportunities.

2. False: The statement is false. Growth rates in high-population countries may vary, and while some may have weaker growth rates, it cannot be generalized that most of these nations remain ahead of the United States in terms of development and prosperity.

3. Communication barriers: The statement "They can arise in a number of different forms" is true. Communication barriers can take various forms, such as language differences, cultural barriers, noise/distractions, lack of clarity in message delivery, and more. These barriers can hinder effective communication and understanding between individuals or groups.

4. Some noise is essential for effective communication: The statement is false. Noise refers to any interference or disruption in the communication process that hinders the accurate transmission or interpretation of a message. In effective communication, minimizing noise is important to ensure clear and accurate communication.

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