competition in the form of advertising, better customer service, or longer warranties can also reduce profits by raising costs.

Answers

Answer 1

Businesses advertising that aren't on the market now but could someday compete with them. We have seen how measures used to discourage entrance might lower earnings.

Increased expenditures brought on by competition in the form of marketing, better customer support, or longer warranties can also cut into earnings. Competitive advertising is characterised as a strategy employed by businesses to set themselves out from their rivals.

Companies have utilised this style of advertising to sway customer decisions by highlighting how much better their good or service is than that of rivals. Competitive advertising, also known as combative advertising, is when a certain product or service directly mentions a rival by name with the intention of demonstrating why the rival is worse.

Learn more about advertising Visit: brainly.com/question/14227079

#SPJ4


Related Questions

the lowest priority for an osha workplace inspection is ______.

Answers

Threats refer to potential or actual circumstances, events, or actions that can negatively impact an individual, organization, system, or environment.

The lowest priority for an OSHA workplace inspection is "Complaints and Referrals." OSHA prioritizes inspections based on the following categories, in descending order of priority:

1. Imminent Danger Situations
2. Severe Injuries and Illnesses
3. Worker Complaints and Referrals
4. Targeted Inspections

Complaints and referrals are given the lowest priority when it comes to workplace inspections, as the higher priority categories involve more severe and immediate threats to worker safety.

To learn more about “threats” refer to the https://brainly.com/question/29655308

#SPJ11

question 4. can we require employees to buy their own safety equipment?

Answers

It depends on the laws and regulations in your particular jurisdiction. In some cases, employers are required to provide safety equipment to their employees.

However, if it is not mandated by law, employers may be able to require employees to purchase their own safety equipment as long as they are properly reimbursed for the expenses. Employers should also ensure that the equipment meets all necessary safety standards and that employees are properly trained in its use. Ultimately, the safety and well-being of employees should be a top priority for employers.

Learn more about "safety equipment" https://brainly.com/question/30529709

#SPJ11

variable costs: a. vary inversely with changes in sales b. change at a decreasing rate with changes in sales c. increase then decrease with changes in sales d. change directly with changes in sales

Answers

Variable costs are costs that change directly with changes in sales. This means that as the level of sales increases or decreases, the variable costs will also increase or decrease, respectively. The correct option is D.

Let's consider an example. Imagine you own a bakery, and your variable costs include the cost of ingredients such as flour, sugar, and eggs. As your sales increase, you will need to produce more baked goods to meet the demand. This requires you to purchase more ingredients, thus causing your variable costs to increase.

On the other hand, if your sales decrease, you will need to produce fewer baked goods, which means you will require fewer ingredients. This will result in a decrease in your variable costs.

In summary, variable costs change directly with changes in sales. This means that as sales increase or decrease, the variable costs will also increase or decrease in the same direction. This relationship can be observed in businesses across various industries, making it an important aspect of cost management and financial planning.

To know more about Variable costs refer here:

https://brainly.com/question/14560343#

#SPJ11

specific balance-related audit objective management assertion f. accounts receivable are appropriately aggregated and clearly described in the financial statements. g. all accounts on the list arose from the normal course of business and are not due from related parties. h. sales cutoff at year end is proper. i. receivables have not been sold or discounted.

Answers

The specific balance-related audit objectives related to management assertions for accounts receivable include ensuring that they are appropriately aggregated and clearly described in the financial statements, that all accounts on the list arose from the normal course of business and are not due from related parties, that sales cutoff at year-end is proper, and that receivables have not been sold or discounted.

Specific balance-related audit objectives are established to ensure that management assertions are valid and can be supported by evidence. For accounts receivable, the following specific balance-related audit objectives are relevant

Appropriately Aggregated and Clearly Described, this objective aims to verify that accounts receivable are presented in a clear and accurate manner in the financial statements and that they are appropriately aggregated based on their characteristics.

Existence and Completeness, this objective aims to confirm that all accounts receivable on the list actually exist and that they are not due from related parties or fictitious.

Rights and Obligations, this objective aims to confirm that sales cutoff at year-end is proper, and that the client has the legal right to collect the receivables.

Valuation and Allocation, this objective aims to confirm that the receivables have not been sold or discounted and that their value is properly recorded in the financial statements.

To know more about balance-related audit:

https://brainly.com/question/29854826

#SPJ4

Using Theodore Levitt’s central thesis of "The Globalization of markets", as a starting point, provide a discussion on the following
a. Identify and defend/reject/modify Levitt’s bold assertions on the nature of the global firm:
i. The world’s needs and desires have been irrevocably homogenized. This makes the multinational corporation obsolete and the global corporation absolute.
ii. Technology drives consumers relentlessly toward the same common goals – alleviation of life’s burdens and expansion of discretionary time and spending power.
iii. Cultural preferences follow one of two paths: They eventually lose relevance to economic decision making, or they diffuse to other groups and become the substance of global trends.

Answers

Theodore Levitt's central thesis on "The Globalization of Markets" argues that the world's needs and desires have been homogenized and that technology drives consumers towards common goals. Furthermore, Levitt suggests that cultural preferences either lose relevance or diffuse to other groups and become the substance of global trends.

While there is some truth to Levitt's assertions, his thesis is not entirely accurate. Firstly, it is not entirely true that the world's needs and desires have been homogenized. While there are certainly similarities in consumer preferences across the globe, there are still significant cultural and regional differences that impact consumer behavior. For example, food preferences, fashion trends, and entertainment choices can vary significantly between regions. Secondly, while technology has certainly had an impact on consumer behavior, it is not the sole driver of global market trends. Other factors such as politics, economic conditions, and social norms also play a significant role in shaping consumer preferences. Lastly, it is not accurate to suggest that cultural preferences will inevitably lose relevance in economic decision-making. In fact, many companies have successfully leveraged cultural preferences to market their products to specific demographic groups. In conclusion, while Levitt's thesis on the globalization of markets has some merit, it is not entirely accurate. The world's needs and desires have not been completely homogenized, and cultural preferences continue to play a significant role in shaping consumer behavior. Furthermore, while technology is an important factor in shaping consumer preferences, it is not the sole driver of global market trends.

learn more about The Globalization of Markets here:

https://brainly.com/question/15283031

#SPJ11

leveraged restructurings are designed to force mature, successful, but overweight firms to
a. reduce cash
b. reduce operating costs
c. use assets more efiiciently
d. all of these options are correct

Answers

Leveraged restructurings are designed to force mature, successful, but overweight firms to reduce cash, reduce operating costs, and use assets more efficiently. (D)

These types of restructurings are often used to address issues such as declining profitability, high levels of debt, and inefficient operations. By reducing cash and operating costs, the company can improve its financial performance and become more competitive.

Using assets more efficiently can also help the company to improve productivity and reduce costs.

However, it is important to note that leveraged restructurings can be risky and may not always be successful, so companies should carefully consider the potential benefits and drawbacks before undertaking this type of strategy.(D)

To know more about operating costs click on below link:

https://brainly.com/question/15699967#

#SPJ11

true or false: when members of teams discuss their shared goals, this action helps avoid any misinterpretation of members' motivations and actions.

Answers

The statement "when members of teams discuss their shared goals, this action helps avoid any misinterpretation of members' motivations and actions" is true becasue when team members discuss their shared goals, they are able to align their individual actions and motivations with the overall goals of the team.

This can help to avoid any misinterpretation or misunderstanding of individual actions, as well as promote a shared understanding of the goals and objectives of the team. By openly discussing and clarifying their shared goals, team members can develop a shared sense of purpose and motivation, which can contribute to higher levels of collaboration, productivity, and effectiveness.

Additionally, by having a shared understanding of their goals, team members can hold each other accountable for their individual contributions and help to ensure that everyone is working towards the same objectives. Overall, discussing shared goals can be an effective way to promote clarity, alignment, and teamwork within a group or organization.

You can learn more about Employee motivation at

https://brainly.com/question/30290742

#SPJ11

compare a market in which supply and demand are very (but not perfectly) inelastic (market a) to one in which supply and demand are very (but not perfectly) elastic (market b). suppose the government decides to impose a price floor $1 above the equilibrium price in each of these markets. compare, diagrammatically, the surpluses that result. in which market is the surplus larger?

Answers

The surplus in Market B, where supply and demand are elastic, will be larger compared to Market A, where supply and demand are inelastic

To do this, let's first understand the terms inelastic and elastic, and then examine the effects of a price floor in each market.
1. Inelastic supply and demand: In this scenario (Market A), the quantity demanded and supplied are relatively insensitive to price changes. In other words, when the price changes, the quantity demanded and supplied do not change significantly.

2. Elastic supply and demand: In this case (Market B), the quantity demanded and supplied are very sensitive to price changes. A small change in price leads to a significant change in the quantity demanded and supplied.
Now let's analyze the impact of a $1 price floor above the equilibrium price in each market:

Market A (inelastic):
- When the government imposes a price floor, the price rises by $1.
- Since demand and supply are inelastic, the quantity demanded and supplied do not change much.
- As a result, there will be a surplus, as the quantity supplied exceeds the quantity demanded. However, due to the inelastic nature, the surplus will be relatively small.
Market B (elastic):
- When the government imposes a price floor, the price also rises by $1.
- Because demand and supply are elastic, the quantity demanded decreases significantly, and the quantity supplied increases significantly.
- Consequently, there will be a much larger surplus in this market, as the difference between the quantity supplied and demanded is greater.

In conclusion, the surplus in Market B, where supply and demand are elastic, will be larger compared to Market A, where supply and demand are inelastic.

The more responsive the market participants are to price changes, the greater the impact of a price floor on the market surplus.

For more such questions on Market, click on:

https://brainly.com/question/25369230

#SPJ11

today, the stock price of genevo co. (based in switzerland) is priced at sf65 per share. the spot rate of the swiss franc (sf) is $0.80. during the next year, you expect that the stock price of genevo co. will decline by 3%. you also expect that the swiss franc will appreciate against the u.s. dollar by 9% during the next year. you own american depository receipts (adrs) that represent genevo stock. each share that you own represents one share of the stock traded on the swiss stock exchange. what is the estimated value of the adr per share in 1 year? do not round intermediate calculations. round your answer to the nearest cent.

Answers

Based on the mentioned informations, the estimated value of the ADR per share in one year is calculated to be approximately around $55.01.

To calculate the estimated value of the ADR per share in one year, we need to take into account the expected change in the stock price and the exchange rate:

Expected stock price in one year = Current stock price x (1 - expected decline rate)

Expected stock price in one year = SF65 x (1 - 0.03)

Expected stock price in one year = SF63.05

Expected exchange rate in one year = Spot exchange rate x (1 + expected appreciation rate)

Expected exchange rate in one year = $0.80 x (1 + 0.09)

Expected exchange rate in one year = $0.872

Estimated value of ADR per share in one year = Expected stock price in one year x Expected exchange rate in one year

Estimated value of ADR per share in one year = SF63.05 x $0.872

Estimated value of ADR per share in one year = $55.0076

Rounding to the nearest cent, the estimated value of the ADR per share in one year is $55.01.

Learn more about stock price :

https://brainly.com/question/30650886

#SPJ4

the most important determinant of consumer spending is group of answer choices consumer expectations. the level of household borrowing. the stock of wealth. the level of income.

Answers

The most important determinant of consumer spending is the level of income.

Consumer spending refers to the amount of money households spend on goods and services. Income is the primary factor influencing this spending because it directly impacts the purchasing power of individuals and households.

When people have higher levels of income, they are more likely to spend money on goods and services, leading to an increase in consumer spending. Conversely, when income levels are low, consumers are less likely to make purchases, which results in reduced consumer spending.

Higher incomes allow households to meet their basic needs and allocate additional funds towards discretionary spending, which includes non-essential items and services.

Although consumer expectations, the level of household borrowing, and the stock of wealth can also impact consumer spending, these factors are secondary to the level of income. Consumer expectations may influence spending habits, but they are shaped by people's perception of their future income prospects.

The level of household borrowing can affect spending, but borrowing is typically contingent upon consumers' ability to repay debts, which is tied to their income levels. Lastly, the stock of wealth, such as savings or investments, may provide additional financial resources for spending; however, it is the regular flow of income that primarily drives consumer spending patterns.

In conclusion, the level of income is the most important determinant of consumer spending, as it directly influences households' purchasing power and their ability to acquire goods and services. While other factors like consumer expectations, household borrowing, and wealth stock play a role, they are secondary to the impact of income levels.

Learn more about Consumer spending here: https://brainly.com/question/21550368

#SPJ11

Price cream cones $4.00 $3.50 $3.00 $2.50 Demand Quantity of ice cream cones Figure 4-1 shows Kendra's demand curve for ice-cream cones. Refer to Figure 4-1. What is the total amount that Kendra is willing to pay for 2 ice cream cones? O $1.50 O $3.00 $5.50 56.50

Answers

Kendra is willing to pay a total of $7.50 for 2 ice cream cones.

According to the demand curve in Figure 4-1, when the price of an ice cream cone is $4.00, Kendra is willing to buy 0 cones. When the price is $3.50, she is willing to buy 1 cone. When the price is $3.00, she is willing to buy 2 cones.

Therefore, the most she is willing to pay for 2 cones is $6.00 (when the price is $3.00 per cone). However, since the price for 2 cones is not exactly $3.00 each, we need to look at the next price Kendra is willing to pay for an additional cone.

At a price of $2.50 per cone, Kendra is willing to buy 3 cones. So, if she buys 2 cones at $3.50 each, she still has a willingness to pay of $2.50 for one more cone. Thus, Kendra is willing to pay a total of $7.50 for 2 ice cream cones.

For more questions like Price click the link below:

https://brainly.com/question/13565779

#SPJ11

licenses typically allow customers to use the seller's blank property. multiple choice question. real intellectual personal

Answers

Licenses typically allow customers to use the seller's real or intellectual property.

Real property refers to physical assets such as land or buildings, while intellectual property includes intangible assets such as patents, trademarks, and copyrights.

Personal property, on the other hand, refers to tangible items that are not real property or intellectual property, such as furniture or vehicles. Therefore, in the context of licensing agreements, customers are typically granted the right to use the seller's real or intellectual property, depending on the nature of the assets being licensed.

It is important for both parties to clearly define the scope of the license and any limitations or restrictions on the use of the licensed property to avoid any potential disputes in the future.

For more such questions on Licenses

brainly.com/question/30532225

#SPJ11

In order to achieve external validity, researchers need to perform their experiments in a laboratory setting.
False True

Answers

In order to achieve external validity, researchers need to perform their experiments in a laboratory setting. - False

The degree to which a research's findings may be extrapolated to people, environments, and situations other than those that were specifically considered for the study is referred to as its external validity. The study's design must be realistically reflective of the real world in order to achieve external validity, and the findings must be generalizable.

While laboratory experiments are sometimes a good approach to test certain hypotheses and control for unimportant factors, they might not always be the best strategy to achieve external validity. Laboratory settings are frequently regulated, making it possible that the results cannot be applied to real-world circumstances. Thus, researchers frequently utilize a variety of techniques, like field experiments, observational studies, etc to attain external validity.

Read more about laboratory settings on:

https://brainly.com/question/28477373

#SPJ4

compare the two plots in (a) and (b) and point out the differences between them. assuming

Answers

Firstly, Plot (a) appears to be a line graph depicting the trend of a certain variable over time, whereas Plot (b) seems to be a scatter plot that compares two different variables. This is the first major difference between the two plots.

Furthermore, in terms of content loaded, Plot (a) seems to have only one line, indicating one set of data being tracked. On the other hand, Plot (b) has multiple points plotted on the graph, suggesting that there are several data points being compared simultaneously. Another notable difference between the two plots is the way the data is presented. Plot (a) has a simple and straightforward display, with a clear x-axis and y-axis and minimal labeling. In contrast, Plot (b) has a more complex layout, with a color-coded legend and multiple labels and markers. In summary, the main differences between the two plots are the type of graph used, the amount of data being presented, and the layout and presentation of the information.

learn more about scatter plot here:

https://brainly.com/question/30646450

#SPJ11

according to the textbook, the most important barrier to entry is economies of scale.

Answers

According to the textbook, "economies of scale" refers to the cost advantages that a firm can achieve by producing on a larger scale. This can include cost savings on raw materials, machinery, and labor, as well as the ability to spread fixed costs over a larger production volume.

These cost advantages can create a significant barrier to entry for new firms, as they may not be able to match the efficiency and cost-effectiveness of established firms. This can lead to a lack of competition and reduced consumer choice, as well as potential negative effects on innovation and market efficiency. Therefore, economies of scale are considered the most important barrier to entry in many industries.

For more such questions on production , click on:

https://brainly.com/question/16755022

#SPJ11

Hilton Enterprises sells a product for $62 per unit. The variable cost is $42 per unit, while fixed costs are $58,000. Determine (a) the break-even point in sales units and (b) the break-even point if the selling price were increased to $71 per unit. a. Break-even point in sales units units b. Break-even point if the selling price were increased to $71 per unit units

Answers

(a) The break-even point in sales units can be calculated by dividing the total fixed costs by the contribution margin per unit. The contribution margin per unit is the difference between the selling price per unit and the variable cost per unit. Using the given data:

Selling price per unit = $62

Variable cost per unit = $42

Fixed costs = $58,000

Contribution margin per unit = Selling price per unit - Variable cost per unit

= $62 - $42

= $20

Break-even point in sales units = Total fixed costs / Contribution margin per unit

= $58,000 / $20

= 2,900 units

(b) If the selling price per unit is increased to $71, the contribution margin per unit would also increase, as the variable cost per unit remains the same. Let's recalculate the break-even point using the new selling price:

New selling price per unit = $71

New contribution margin per unit = New selling price per unit - Variable cost per unit

= $71 - $42

= $29

New break-even point in sales units = Total fixed costs / New contribution margin per unit

= $58,000 / $29

= 2,000 units

So, if the selling price per unit is increased to $71, the break-even point in sales units would decrease to 2,000 units.

To know more about contribution click here:

brainly.com/question/10410785

#SPJ11

builtrite has calculated the average daily cash flow to be $32,000 with a standard deviation of $5000. the store manager will lose their 4% weekly bonus if the daily cash flow falls in the bottom 3%. what is the daily cash flow amount that would lose the manager their bonus? (assume a normal distribution.)

Answers

To find the daily cash flow amount that would result in the manager losing their bonus, we need to calculate the value corresponding to the bottom 3% of the distribution.

Using a standard normal distribution table, we find the z-score corresponding to the bottom 3% as approximately -1.88. The formula to convert the z-score to the corresponding daily cash flow amount is:

X = mean + z-score * standard deviation

X = $32,000 + (-1.88) * $5,000

X = $22,600

Therefore, the manager will lose their bonus if the daily cash flow falls below $22,600.

To learn more about cash flow, visit here

https://brainly.com/question/29768594

#SPJ4

precise machinery is analyzing a proposed project. the company expects to sell 2,100 units. the expected variable cost per unit is $260 and the expected fixed costs are $589,000. the depreciation expense is $129,000. the sales price is estimated at $755 per unit. the tax rate is 25 percent. what is the operating cash flow?

Answers

The operating cash flow for the project is $273,125.

The operating cash flow may be calculated as follows:

Operating income = (sales charge * quantity of units) - (Variable cost according to Unit * number of units) - constant prices - Depreciation expense

Operating income = ($755 * 2,100) - ($260 * 2,100) - $589,000 - $129,000

operating profits = $1,585,500 - $546,000 - $589,000 - $129,000

operating profits = $321,500

Taxes = Tax price * (operating income - Depreciation expense)

Taxes = 0.25 * ($321,500 - $129,000)

Taxes = $48,375

Operating cash flow = operating profits - Taxes

Operating cash flow = $321,500 - $48,375

Operating cash flow = $273,125

Therefore, The project's operational cash flow is $273,125.

Learn more about Operating cash flows:-

https://brainly.com/question/28185713

#SPJ4

Estimate how many lemons batteries would it take to power a bread toaster.

Answers

A bread toaster would require about four or five lemon batteries to operate.

Sliced bread is browned into toast using radiant heat in a toaster, a tiny electric appliance.

The heating element is a part of the toaster. This heating element works by converting electrical energy into heat when it comes into contact with it, helping to prepare toast (bread that turns brown on exposure to heat). So, with an electric toaster, electrical energy is converted to heat energy. A piece of bread in a toaster is heated using infrared radiation (see How Thermoses Work for information on infrared radiation).

Read more about lemons batteries at

https://brainly.com/question/31440050

#SPJ4

suppose the current zero-coupon yield curve for risk-free bonds is as follows: maturity (years) 1 2 3 4 5 ytm 3.25% 3.50% 3.90% 4.25% 4.40% the price per $100 face value of a four-year, zero-coupon, risk-free bond is closest to:

Answers

The price per $100 face value of a four-year, zero-coupon, risk-free bond is closest to $78.60.

To calculate the price per $100 face value of a four-year, zero-coupon, risk-free bond, we can use the following formula:

Price = [tex]Face Value / (1 + Yield) ^ Maturity[/tex]

Where:

Face Value = $100

Yield = 4.25% (the yield to maturity for the 4-year maturity)

Maturity = 4 years

Using the yield for 4-year maturity, which is 4.25%, we can plug in the values and calculate the price as follows:

Price = $[tex]100 / (1 + 0.0425) ^ 4[/tex]

Price = $78.60 (rounded to the nearest cent)

Therefore, the price per $100 face value of a four-year, zero-coupon, risk-free bond is closest to $78.60.

For such more question on price:

https://brainly.com/question/24266033

#SPJ11

patrick's company allows employees to buy stock at a future date for a discounted price. this is referred to as a stock ______.

Answers

Patrick's company allows employees to buy stock at a future date for a discounted price, this is referred to as a stock option. A stock option is a financial contract that allows employees to buy a specific number of shares of the company's stock at a predetermined, discounted price.



Stock options provide employees with the opportunity to potentially profit from the company's growth and success. When the company's stock price rises above the strike price, employees can exercise their options to buy the shares at the discounted price and then sell them at the current market price for a profit. This can result in substantial financial gains for employees, especially if the company's stock price continues to rise over time.



Offering stock options to employees can also help companies attract and retain top talent, as they provide an added incentive for employees to stay with the company and work towards its success. Additionally, since stock options typically vest over a period of time, they encourage long-term commitment and loyalty from employees.


Know more about stock option here:

https://brainly.com/question/31464176

#SPJ11

a company estimates that the marginal cost (in dollars per item) of producing items is . if the cost of producing one item is , find the cost of producing items.

Answers

Based on the information provided, the company estimates that the marginal cost of producing items is unspecified.

However, we are given the cost of producing one item, which is also known as the average cost. This cost is also unspecified. Therefore, we cannot determine the exact cost of producing items.

To calculate the cost of producing items, we need to know the marginal cost per item. The marginal cost is the additional cost of producing one more unit. Without knowing this value, we cannot determine the total cost of producing items.

Additionally, we should note that the cost of producing items may not be linear. This means that the cost of producing 10 items may not be ten times the cost of producing one item. It could be more or less, depending on various factors such as economies of scale and production efficiency.
for more such questions on marginal cost

https://brainly.com/question/21015383

#SPJ11

a disadvantage of franchising is a. reduced risk of failure. b. restricted sales territories. c. immediate economies of scale. d. access to a proven system.

Answers

A disadvantage of franchising is: restricted sales territories. The correct option is B.

This means that the franchisor grants a specific geographic area for the franchisee to operate in, limiting their potential customer base. While this may be advantageous for some franchisees who want a smaller, more manageable market, it can also limit their growth potential.

Franchisees may be unable to expand their business beyond their designated area, even if they identify new markets with potential customers. Additionally, restricted sales territories can lead to increased competition among franchisees in the same market, potentially leading to conflicts and decreased profitability.

Despite this disadvantage, franchising still offers many benefits, including access to a proven system, reduced risk of failure, and immediate economies of scale. It is important for potential franchisees to carefully consider all aspects of franchising before making a decision, including the restrictions on sales territories.

To know more about franchising, refer here:

https://brainly.com/question/29376853#

#SPJ11

Complete question:

a disadvantage of franchising is

a. reduced risk of failure.

b. restricted sales territories.

c. immediate economies of scale.

d. access to a proven system.

markets tend to part 2 a. exist primarily in towns or cities. b. increase transaction costs. c. make exchange more difficult. d. reduce transaction costs.

Answers

Markets tend to exist primarily in towns or cities, as these areas have a larger population density and offer greater opportunities for trade.

Markets can be physical locations, such as a farmer's market or a bazaar, or they can be virtual, such as online marketplaces.

One of the advantages of markets is that they can reduce transaction costs. In a market, buyers and sellers can come together to exchange goods and services, without the need for intermediaries or middlemen. This can result in lower prices for consumers and higher profits for producers.

However, markets can also increase transaction costs in some cases. For example, if there are too many buyers and sellers in a market, it can become overcrowded and difficult to navigate. This can lead to increased competition and higher transaction costs for both buyers and sellers.

for more such questions on primarily

https://brainly.com/question/17237477

#SPJ11

emerging technologies inc.'s total corporate value is $300 million according to the corporate valuation model. the balance sheet shows $90 million of notes payable, $30 million of long-term debt, $40 million of preferred stock, and $100 million of common equity. the company has 10 million shares of stock outstanding. what is the best estimate of emerging technologies inc. stock's price per share? a.$12.00 b.$12.64 c.$13.30 d.$14.00 e.$14.70

Answers

The best estimate of Emerging Technologies Inc. stock's price per share is option (d) $14.00. Option d

To calculate the estimated stock price per share of Emerging Technologies Inc. we need to use the corporate valuation model, which is: Corporate Value = Total Debt + Preferred Stock + Common Equity

First, we need to calculate the total debt, which is the sum of notes payable and long-term debt, i.e., $90 million + $30 million = $120 million. Next, we can plug in the values given in the problem into the corporate valuation model: $300 million = $120 million + $40 million + Common Equity

Rearranging the equation, we get: Common Equity = $140 million To find the estimated stock price per share, we divide the common equity by the number of shares outstanding, i.e., Estimated Stock Price per Share = Common Equity / Number of Shares Outstanding = $140 million / 10 million = $14.00

It is important to note that this is just an estimate, and the actual market price of the stock may vary based on various factors such as market conditions, investor sentiment, and the company's future prospects.

Learn more about Emerging Technologies here:

https://brainly.com/question/27189918

#SPJ4

______ tend to receive more generous benefits than other workers. a. Public-sector workers b. Part-time workers c. Private-sector workers

Answers

Public-sector workers tend to receive more generous benefits than other workers

What does "private sector" mean?

The portion of an economy that is managed by people and businesses as opposed to a government body is known as the private sector. The majority of businesses in the private sector are operated with the goal of producing money. The public sector is the portion of the economy that is governed by the government.

What is an illustration of the private sector?

Employees are employed by the private sector through independent business owners, companies, or other non-governmental organisations. Manufacturing, financial services, professions, hospitality, and other non-government occupations are examples of jobs.

To know more about workers visit:-

https://brainly.com/question/30203906

#SPJ1

pricing secondary products that must be used with a main product is called ______________.

Answers

Pricing for auxiliary goods that must be utilized in conjunction with a primary good is known as captive product pricing.

What is the cost?

Pricing is the process of determining the cost that the supplier will receive in exchange for their goods and services. The producer uses a pricing strategy to make the cost of its products suitable for both the company that makes them and the consumer.

What is the basic price rule?

Price should be set as though the buyer's demand gradient were linear. Three criteria must be met in order for our rate rule to be applicable: the firm may calculate the highest rate it may set while still expecting sales some units.

To know more about pricing visit:

https://brainly.com/question/29241350

#SPJ1

fifteen years ago, you invested $5,000. today, it is worth $18,250. what annually compounded rate of interest did you earn? group of answer choices 9.65% 99.96% 109.01% 8.27% 9.01%

Answers

Option E.)The annually compounded interest rate you earned is approximately 9.01%.

For the annually compounded interest rate, we can use the formula for compound interest:
Future Value (FV) = Principal (P) * (1 + Interest Rate (r))^Years (n)
In your case, we have the following values:
FV = $18,250
P = $5,000
n = 15 years
We need to solve for the interest rate (r). First, we'll divide both sides of the equation by the principal:
(1 + r)^15 = $18,250 / $5,000 = 3.65
Next, we'll take the 15th root of both sides to isolate the term (1 + r):
(1 + r) = (3.65)^(1/15)
Now, we can use a calculator to find the value of (1 + r):
1 + r = 1.0901
Finally, we'll subtract 1 from both sides to find the interest rate (r) and multiply it by 100 to express it as a percentage:
r = 1.0901 - 1 = 0.0901
r = 0.0901 * 100 = 9.01%

For more such questions on compound interest

brainly.com/question/24274034

#SPJ11

The table gives descriptions of various action points in the contingency-planning process. Indicate which action point is being described.
Description
Action Point 1
Action Point 2
Action Point 3
Action Point 4
Identify a contingency event that would be highly disruptive Consider whether a natural disaster could disrupt operations. Develop contingency plans for possible events

Answers

The given description corresponds to Action Point 1, which is to identify a contingency event that would be highly disruptive.

The description suggests that the contingency planner is considering the possibility of a natural disaster that could disrupt operations. This step involves identifying potential risks and threats that could impact the organization and cause significant disruptions.

Action Point 2 is to consider the likelihood and impact of the identified contingency events. This involves assessing the probability of each event occurring and the potential consequences it could have on the organization.

Action Point 3 is to develop contingency plans for the identified events. This step involves creating strategies and procedures to minimize the impact of the contingency events and ensure business continuity.

Action Point 4 is to test and update the contingency plans regularly. This step involves testing the effectiveness of the contingency plans through simulations and drills and making necessary updates to improve the plans.

To know more about contingency plans click on below link :

https://brainly.com/question/939242#

#SPJ11

a stock has an expected return of 6.5 percent, the risk-free rate is 1.1 percent, and the market risk premium is 5 percent. what is the stock's beta? a) 1.08 b) .98 c) 1.12 d) .96 e) 1.06

Answers

The stock's beta where a stock has an expected return of 6.5 percent, the risk-free rate is 1.1 percent, and the market risk premium is 5 percent is 1.08. The correct option is a.

A financial model called the Capital Asset Pricing Model (CAPM) explains how risk and expected return relate to an asset, typically a stock. Based on the risk-free rate, the anticipated return of the entire market, and the asset's beta, which gauges the stock's volatility in relation to the market, it is used to calculate the expected return on an investment. The CAPM makes two key assumptions: that the market is efficient, meaning that asset prices accurately reflect all available information, and that investors demand higher returns for higher risk.

Using the capital asset pricing model (CAPM) formula:

r = rf + β(rm - rf)

where:

r = expected return of the stock

Rf = risk-free rate

beta = the stock's beta

Rm = market risk premium

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

E(Ri) = .065 = .011 + βi(.05)

βi = 1.08, The correct option is a.

Learn more about stock's beta at:

brainly.com/question/16811634

#SPJ4

Other Questions
4. Elusive Electronics claims that its new IQ laptop battery lasts for around 400 recharges. You take a random sample of 50 IQ laptops from Elusive Electronics and find that the average number of recharges is 370, with a standard deviation of 36.Part A: Fill in the blanks.X=S=n=Part B: Use the formula s/n to find the standard error of the sampling distribution. Round to the nearest whole number.Part C: What is the margin of error for a 95% confidence level?Part D: Find the 95% confidence interval by adding and subtracting the margin of error to/from the sample mean. Fill in the blanks to explain what the confidence interval means.95% confidence interval =You can be 95% confident that the true population mean will fall between blank and blank recharges. (fill in the blanks)Part E: Use Part D to form a conclusion about Elusive Electronics' claim that each IQ laptop battery will last for an average of 400 recharges. Explain your conclusion. Pitt performed the following Grignard reaction during lab 2) HCI IR spectra were but the student for obtained for bromobenzene (4), benzophenone (B) and triphenylmethanol (C), got to label their spectra before leaving lab! Determine which IR spectrum eo ongs to each compound and briefly justify your answer using the IR Characteristic Absorption Frequency Table. brief explanation: ft A spherical balloon is infating with helium at a rate of 72 ncreasing? How fast is the balloon's radius increasing at the instant the radius is 3 ft? How fast is the surface area m ft The balloon's radius is increasing at a rate ofm at the instant the radius is 3 ft Simplify your answer.) ft? The surface area is increasing at a rate of min at the instant the radius is 3 ft (Type an exact answer, using as needed.) what are caplans seven characteristics of effective coping behavior From the lyrics of "A Fair and Free Election," what went wrong with the 1800 presidential election? What is the significance of these contrasting ideas that yousafzai continues to explore in more depth throughout her speech? 1.11016 electrons flow through a cross section of silver wire in 310 s with a drift speed of 9.0104 m/s. What is the diameter of the wire? D = researchers can use ______ to study biases such as racial prejudices without fear that people can easily fake their answers. If you flip a coin 6 times, what is the probability of getting exactly 3 heads?Empirical Probability: Theoretical Probability: Carla Vista, Inc. reported actual sales of $2,129,000 and fixed costs of $383,220. The contribution margin ratio is 25%. Compute the company's margin of safety in dollars and the margin of safety ratio. Margin of safety in sales dollars $ Margin of safety ratio % which terrestrial and marine environments characteristically contain few species? explain why each of these environments has a low diversity. after 4.00 years, a 2.0g sample of some radioisotope remains from a sample that had an original mass of 4.00g.calculate the half life of this mystery radioisotope how much of the radioisotope remains after 20 years to prevent aliasing, a new object can be created and the contents of the original can be copied to it. t/f Categorical variables cannot be visualized because there is no way to aggregate over them.a. Trueb. False in general, what does the text argue is a crucial component regarding american indian assimilation? delia has decided that she wants to reduce the frequency of her intoxication, and her therapist suggests that she plan out her drinking behavior ahead of time. this includes what to drink, how much to drink, and when it is appropriate to drink. this type of approach to dealing with delia's alcohol issue is called: graded exposure and response prevention. behavioral self-control training. relapse-prevention training. aversion therapy. What is 8+3x=29 answer Problem #4 Use the general bearing capacity equation [Eq. (4.26)] to solve the following: Part B Di c' Foundation type a. 3f 3ft28400ft /ft b. 5 m 1.2 m 35 0 c. 3 m 2m 30 0 Continuous 17.8 kN/m3 Continuous 16.5 kN/m3 Square poker-playing cronies from harding's native state who contributed to the morally loose atmosphere in his administration has/have special rights that give it priority over other types of stock in one or more areas. multiple choice question. employee options common stock corporate stock preferred stock