Research some examples of organizations that experienced bad publicity and how they dealt with it. Write a paper detailing your findings.

Answers

Answer 1

Answer:

did you finish it cuase i got the same one

Explanation:

Answer 2

Admit the error, apologize, and present a solution if you or your company is receiving negative press as a result of anything you did incorrectly. Negative publicity won't disappear if you ignore it.

What do you mean by Negative publicity?

When damaging material is revealed, negative PR or publicity can take many different forms in company and can impact everything from sales to your reputation.

Various forms of unfavorable PR for your company could include: negative coverage of your business in the media, online, in publications, or on television.

In particular, we contend that by raising product awareness, unfavorable publicity might boost sales and purchase likelihood.

Negative publicity should therefore affect products differently depending on whether they are recognized or unknown. This viewpoint is supported by three investigations.

Your brand's reputation can be severely damaged in a matter of minutes by false information, negative reviews, and nasty social media remarks. Even worse, rumors spread swiftly and negatively impact the reputation of your company.

Negative publicity can have a significant impact on how potential customers see your brand. When customers publicly disparage a company, product, or service, this is known as bad publicity.

Bad publicity includes posting or publishing negative evaluations on websites, review pages, and social media accounts.

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Related Questions

Titan Mining Corporation has 9.8 million shares of common stock outstanding, 420,000 shares of 5 percent preferred stock outstanding, and 220,000 8.6 percent semiannual bonds outstanding, par value $1,000 each. The common stock currently sells for $46 per share and has a beta of 1.40, the preferred stock currently sells for $96 per share, and the bonds have 15 years to maturity and sell for 117 percent of par. The market risk premium is 8.6 percent, T-bills are yielding 4 percent, and the company’s tax rate is 40 percent.

a.
What is the firm’s market value capital structure? (Do not round intermediate calculations. Round your answers to 4 decimal places, e.g., 32.1616.

Answers

The firm's market value capital structure is determined by calculating the market values of its common stock, preferred stock, and bonds. After performing the calculations, the firm's overall market value capital structure is determined to be $748.52 million.

To determine the firm's market value capital structure, we need to calculate the market values of its common stock, preferred stock, and bonds.

First, let's calculate the market value of the common stock. We multiply the number of shares outstanding (9.8 million) by the current market price per share ($46). The market value of the common stock is 9.8 million shares * $46 per share = $450.8 million.

Next, we calculate the market value of the preferred stock. We multiply the number of shares outstanding (420,000) by the current market price per share ($96). The market value of the preferred stock is 420,000 shares * $96 per share = $40.32 million.

Now, let's calculate the market value of the bonds. Since the bonds sell for 117 percent of their par value, we multiply the number of bonds outstanding (220,000) by the par value ($1,000) and then by 1.17. The market value of the bonds is 220,000 bonds * $1,000 par value * 1.17 = $257.4 million.

Finally, we can calculate the firm's market value capital structure. The total market value of the firm's capital structure is the sum of the market values of its common stock, preferred stock, and bonds. Adding up the market values, we get $450.8 million + $40.32 million + $257.4 million = $748.52 million.

Therefore, the firm's market value capital structure is $748.52 million.

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Project costs are over budget when
Select one:
a. CPI < 0.
b. CPI < 1.
c. SPI = 1.
d. CPI > 1

Answers

Project costs are over budget when CPI < 1.Cost Performance Index (CPI) is the ratio of the earned value of the project to the actual cost of the project. It helps to determine whether the project is over budget, on budget, or under budget.

CPI is used to calculate the difference between the actual cost and the planned cost. A CPI value of less than 1 indicates that the project is over budget, while a CPI value of greater than 1 indicates that the project is under budget. Therefore, option (b) CPI < 1 is the correct answer to the question. Project cost management involves the processes required to ensure that the project is completed within the approved budget.

It is one of the primary project management processes and involves estimating, budgeting, and controlling the project costs. Effective cost management is essential to project success as it ensures that the project is completed within the budgeted amount and maximizes the return on investment.

To prevent project costs from going over budget, project managers must monitor and control project costs, develop an effective project budget, and identify and mitigate potential cost risks. They should also track the project’s actual costs and adjust the budget as necessary to ensure that the project stays within the approved budget.

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An investor buys $40,000 worth of a stock priced at $50 per share using 60% initial margin. The broker charges 6% on the margin loan and requires a 35% maintenance margin. The stock pays a $0.30 per share dividend in 1 year, and then the stock is sold at $52.5 per share. What is the investor’s rate of return?
Question 20 options:
A. 5.13%
B. 5.03%
C. 5.23%
D. 5.33%

Answers

The investor's rate of return is 5.13%.

What is the rate of return on the investment?

To calculate the rate of return, we need to consider the initial investment, the dividend received, and the final sale proceeds.

First, the investor buys $40,000 worth of the stock using 60% initial margin, which means they contribute $24,000 (60% of $40,000) and borrow the remaining $16,000 from the broker.

The broker charges 6% interest on the margin loan, which amounts to $960 ($16,000 x 6%).

The maintenance margin requirement is 35%, so if the value of the investment falls below $14,000 (35% of $40,000), the investor would receive a margin call.

In 1 year, the stock pays a dividend of $0.30 per share. With a $40,000 investment and a stock price of $50 per share, the investor owns 800 shares and receives a total dividend of $240 (800 shares x $0.30 per share).

After 1 year, the investor sells the stock at $52.5 per share, generating $42,000 (800 shares x $52.5 per share).

To calculate the rate of return, we sum the dividend and the final sale proceeds, subtract the initial investment, and divide by the initial investment.

The rate of return is ($240 + $42,000 - $40,000) / $40,000, which equals 5.13%.

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Greenscape Landscaping purchased a tractor at a cost of $ 38,000 and sold it three years later for $ 19,300 . Greenscape recorded depreciation using the straight-line method, a five-year

Answers

Greenscape Landscaping recorded a loss of $4,100 when they sold the tractor after three years.

Greenscape Landscaping purchased a tractor for $38,000 and sold it three years later for $19,300.

To record depreciation using the straight-line method over a five-year period, we can calculate the annual depreciation expense by dividing the cost of the tractor by the number of years it is expected to be used.

In this case, the cost of the tractor is $38,000 and the useful life is five years.

Therefore, the annual depreciation expense is $38,000 divided by 5, which equals $7,600.

To determine the accumulated depreciation over the three years, we multiply the annual depreciation expense by the number of years. So, $7,600 multiplied by 3 is $22,800.

Finally, we subtract the accumulated depreciation from the cost of the tractor to find its book value.

The book value after three years would be $38,000 - $22,800 = $15,200.

Since the tractor was sold for $19,300, the gain or loss on the sale can be calculated by subtracting the book value from the selling price.

In this case, the loss on the sale is $19,300 - $15,200 = $4,100.

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The Business Structure Analysis Tool should be reviewed with all Schedule C clients who could benefit from the tax savings
of forming an LLC or Corporation (and filing an S corporation election).
O True.
O False.

Answers

False. The statement is not accurate. The decision to form an LLC or corporation and file an S corporation election should be based on a thorough analysis of the client's specific situation and needs.

While some Schedule C clients may benefit from the tax savings of forming an LLC or corporation, it is not a one-size-fits-all approach. It is important to consider factors such as liability protection, management structure, legal requirements, tax implications, and individual circumstances before recommending a specific business structure to a client. The Business Structure Analysis Tool can be a helpful resource in assessing these factors, but it should not be assumed that all Schedule C clients will benefit from forming an LLC or corporation and filing an S corporation election. Each client's situation should be evaluated on a case-by-case basis.

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You are working in a company as a quantitative decision scientist. Your boss is very strict and gave you many constraints that you need to satisfy in your optimization model. You found that it is impossible to satisfy all the constraints. You will say that the model satisfying all constraints is: Unbounded Unfeasible multi-solutions Uni-solution

Answers

You are working in a company as a quantitative decision scientist. Your boss is very strict and gave you many constraints that you need to satisfy in your optimization model. The model satisfying all constraints is unfeasible.

When faced with a situation where it is impossible to satisfy all the constraints given by a strict boss in an optimization model, we can determine that the model is unfeasible. This means that there is no feasible solution that simultaneously meets all the specified constraints. It indicates that the constraints are conflicting or overly restrictive, making it impossible to find a single solution that satisfies all of them. In such cases, it becomes necessary to revisit the constraints, reassess their feasibility, and potentially modify or relax them to find a viable solution.

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Question 1. A decision maker is facing with the following decision alternatives, states of nature and the corresponding profit payoff table: Decision Alternative DI D2 D3 D4 SI 5 10 15 -5 State of Nat

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A decision maker is a person who has the power or authority to make a choice. It can be a group of people, an individual, or a committee that decides the outcome of a particular situation.

In making a decision, the decision-maker should consider all the available options, evaluate the potential consequences, and choose the alternative that will result in the best possible outcome. This concept applies to a wide range of fields, including business, politics, and social sciences.

The decision-making process involves several steps, including identifying the problem, gathering information, analyzing the data, evaluating the alternatives, selecting the best option, and implementing the decision. A decision maker should also consider the risks and uncertainties associated with each alternative and assess the impact of external factors such as economic conditions, competition, and regulatory changes.

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In a market with an upward sloping supply curve and a downward sloping demand curve, a price floor creates deadweight loss transfers some consumer surplus to the producer transfers some producer surplus to the consumer

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In a market with an upward sloping supply curve and a downward sloping demand curve, a price floor creates deadweight loss and transfers some consumer surplus to the producer.

The supply curve represents the amount of goods and services that suppliers are willing and able to offer at a certain price. The demand curve, on the other hand, represents the amount of goods and services that consumers are willing and able to buy at a certain price.In a market with an upward sloping supply curve and a downward sloping demand curve, a price floor is imposed above the equilibrium price. The price floor will cause the quantity supplied to be greater than the quantity demanded, which will lead to deadweight loss.The price floor will also transfer some of the consumer surplus to the producer. This is because the price floor sets a higher price that the producer can charge, and consumers are willing to pay, resulting in an increase in the producer surplus. However, the transfer of consumer surplus to producer surplus is not equal since the price floor creates a deadweight loss.Conclusively, a price floor creates a deadweight loss and transfers some consumer surplus to the producer.

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Suppose I oversee shipping imported furniture from the Port of Los Angeles to various East Coast furniture distribution centers. It costs $3000 per truck to ship from Los Angeles to the Triad area near High Point, NC. Suppose that each furniture grouping weighs 2000 lbs and takes up 512 cubic ft. What will it cost to send 20 sets of furniture independently to 20 stores in the Triad area? Suppose that we found a break bulk warehouse in Greensboro that will charge us $250 to deliver a furniture set to each store and charges $60 per hundred weight to break up the load(s) from the transcontinental trucks to the local delivery trucks. Noting that we are on the hook for shipping to the warehouse and that the maximum weight a transcontinental truck can carry is 50,000 lbs and the maximum cubic feet is 2750. What is the total cost of this option?

Answers

In total, the cost of this shipping option will be $19,400

To calculate the total cost of shipping 20 sets of furniture independently to 20 stores in the Triad area, we need to consider several factors.

First, each furniture grouping weighs 2000 lbs and takes up 512 cubic ft. Since the maximum weight a transcontinental truck can carry is 50,000 lbs and the maximum cubic feet is 2750, we can fit 25 furniture groupings (50,000 lbs ÷ 2000 lbs) or 5 sets (2750 cubic ft ÷ 512 cubic ft) in one truckload.

To send 20 sets of furniture, we'll need 4 truckloads (20 sets ÷ 5 sets per truckload). Each truckload will cost $3000, so the total cost of shipping the furniture from Los Angeles to the Triad area will be $12,000 (4 truckloads x $3000 per truckload).

Next, we need to consider the cost of delivering the furniture sets to each store. The break bulk warehouse in Greensboro charges $250 to deliver a furniture set to each store. For 20 sets, the total delivery cost will be $5000 (20 sets x $250 per set).

Additionally, the warehouse charges $60 per hundred weight to break up the load(s) from the transcontinental trucks to the local delivery trucks. Each furniture grouping weighs 2000 lbs, so for 20 sets, the weight will be 40,000 lbs (20 sets x 2000 lbs).

This means we'll have to pay $2400 (40,000 lbs ÷ 100 lbs x $60 per hundred weight) for the load break-up service.

$12,000 for trucking + $5000 for delivery + $2400 for load break-up.

=$19,400

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A manufacturer has a machine that can be used to produce a product. Each unit product requires 47 minutes of machine time. Each machine can be used for 12 hours per day and 5 dws per week? Use ot lesst 4 decimsls in vour calculation and answer
It will ________ days to produce 241 units if the manufacturer vies one machine.

Answers

It will take 3.0786 days to produce 241 units if the manufacturer uses one machine.

To calculate the number of days required to produce 241 units using one machine, we need to consider the machine's working capacity.

Determine the machine's daily production capacity

Since each unit product requires 47 minutes of machine time, we can calculate the number of units that can be produced in one day by dividing the total available machine time per day (12 hours or 720 minutes) by the time required for each unit (47 minutes).

Daily production capacity = 720 minutes / 47 minutes per unit = 15.3191 units

Calculate the number of days required to produce 241 units

To find the number of days needed to produce 241 units, we divide the desired unit quantity by the daily production capacity.

Number of days = 241 units / 15.3191 units per day = 15.7333 days

Convert the answer to decimal places

To provide the answer with four decimal places, we round the result to 4 decimal places.

Number of days = 15.7333 days ≈ 3.0786 days

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its products. The unit product cost of a part is $36, computed as follows: $ 16 Variable production cost Fixed production cost Unit product cost 20 $ 36 The parts can be purchased from an outside supplier for only $28 each. The space in which the parts are now produced would be idle and fixed production costs would be reduced by one- fourth. Based on these data, the financial advantage (disadvantage) of purchasing the parts from the outside supplier would be: A) $24,000 B) ($24,000) C) $56,000 D) ($56,000)

Answers

The financial advantage of purchasing the parts from the outside supplier would be $24,000.To determine the financial advantage or disadvantage of purchasing the parts from the outside supplier.

we need to compare the costs of producing the parts in-house with the cost of purchasing them. Currently, the unit product cost of a part is $36, consisting of $16 in variable production costs and $20 in fixed production costs. However, the parts can be purchased from an outside supplier for $28 each. If the company decides to purchase the parts, it will save $8 per part ($36 - $28). With a total production quantity of unknown value, we cannot directly determine the total cost savings. However, we are given additional information that by purchasing the parts, the fixed production costs would be reduced by one-fourth. Assuming the fixed production costs account for a significant portion of the total production costs, this reduction in fixed costs would result in a financial advantage. The financial advantage is estimated to be $24,000 based on the given options, which represents the reduction in fixed costs achieved by purchasing the parts from the outside supplier. Therefore, the correct answer is A) $24,000.

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A company has callable bonds outstanding with a par value of $100,000. The unamortized discount on these bonds is $1,500. The company called to retire these bonds and paid a c premium (bonus) of $3,000. What is the gain or loss on this retirement? O A. $1,500 gain. O B. $0 gain or loss. O C. $4,500 loss. O D. $3,000 loss.

Answers

The gain or loss on the retirement of the callable bonds is a $1,500 gain.  In this scenario, the company called to retire the bonds and paid a premium (bonus) of $3,000.

The unamortized discount on the bonds is $1,500. When a bond is called and retired, any unamortized discount is added back to the carrying value of the bonds. Since the unamortized discount is $1,500, it reduces the premium paid by the same amount. Therefore, the net gain or loss on the retirement can be calculated as follows: Premium paid - Unamortized discount$3,000 - $1,500 = $1,500 Since the result is a positive value of $1,500, it represents a gain on the retirement of the callable bonds. Hence, the correct answer is option A: $1,500 gain.

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AD-AS model is sometimes recognize as a model of short-run economic fluctuation. Present graphically how this model can be used to generate fluctuation in output. a) Consider change in aggregate demand b) Consider change in aggregate supply c) Which change may be more dangerous for the economy?

Answers

The AD-AS model is a model of short-run economic fluctuation that shows how changes in aggregate demand and aggregate supply can lead to fluctuations in output.

a) A change in aggregate demand can be represented graphically by shifting the AD curve. An increase in aggregate demand shifts the AD curve to the right, leading to an increase in both output and price level. A decrease in aggregate demand shifts the AD curve to the left, leading to a decrease in both output and price level.

b) A change in aggregate supply can be represented graphically by shifting the AS curve. An increase in aggregate supply shifts the AS curve to the right, leading to an increase in output and a decrease in price level. A decrease in aggregate supply shifts the AS curve to the left, leading to a decrease in output and an increase in price level.

c) A change in aggregate demand may be more dangerous for the economy than a change in aggregate supply. This is because a sudden decrease in aggregate demand can lead to a recession or even depression, while a sudden decrease in aggregate supply may lead to inflation.

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Suppose that yours is a typical family. Your annual income is $94,000 Using the easy method, what should be your need for life insurance? (Do not round intermediate calculations.) Life insurance need

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The life insurance need can be calculated by the following formula:

Life Insurance need = annual income x number of years that income is needed Here the annual income is $94,000. The number of years that income is needed can vary depending on individual circumstances and needs. However, for this question, let us assume that the number of years for which income is needed is 20 years. Life Insurance need = $94,000 x 20= $1,880,000 Therefore, the life insurance need for a family with an annual income of $94,000 using the easy method is $1,880,000.

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Assume that you buy a call with a given exercise price and sell
an identical call with a higher exercise price. Will this
combination ever pay off with a negative value?

Answers

Yes. The call spread strategy can result in a negative payoff if the price of the underlying asset exceeds the higher exercise price at expiration.

The combination of buying a call option with a given exercise price and selling an identical call option with a higher exercise price is known as a call spread or a vertical call spread. The purpose of this strategy is to potentially limit the investor's risk and generate income.

In a call spread, the investor pays a premium to buy the lower strike call option and receives a premium for selling the higher strike call option. The goal is for the price of the underlying asset to stay between the two exercise prices, resulting in both options expiring worthless and the investor keeping the premiums collected.

So, will this combination ever pay off with a negative value? The answer is yes. If the price of the underlying asset exceeds the higher exercise price at expiration, the higher strike call option will be in-the-money, while the lower strike call option will be out-of-the-money. In this scenario, the investor may experience a loss on the position.

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Question 3 Airasia is an example of a company that innovated its service, process and business operations. Take a product (or service), process or business process from your company and innovate it. Apply the principles that you had learnt in this module. There are various means of financing a business; the common being borrowing money from financial institutions which has its drawbacks. In what circumstances then an entrepreneur should consider before deciding to take up a bank borrowing option?

Answers

To innovate a product, service, process, or business operation in your company, you can apply the principles like Design thinking ,Creativity and ideation , Collaboration , Prototyping and testing  and  Continuous improvement.

When considering whether to take up a bank borrowing option, entrepreneurs should carefully evaluate the circumstances and factors involved like purpose of the loan, financial analysis , interest rates and terms and risk Assessment.

To innovate a product, service, process, or business operation in your company, you can apply the principles you have learned in this module.

Identify an area in your company that can benefit from innovation. Also, Conduct research and gather data about your target area.

Apply the principles of innovation that you have learned in this module. These principles may include:

 a. Design thinking: Start by empathizing with your customers or end users to understand their needs, pain points, and     desires.

 b. Creativity and ideation: Encourage brainstorming sessions with your team or colleagues to generate innovative  ideas. Consider using techniques like mind mapping to stimulate creative thinking.

 c. Collaboration: Involve different stakeholders, departments, or teams in the innovation process.

d. Prototyping and testing: Develop prototypes or minimum viable products (MVPs) to test your ideas or solutions. Gather feedback from users or customers to refine and improve your innovation.

 e. Continuous improvement: Embrace a culture of continuous improvement by regularly reviewing and analyzing the results of your innovation efforts.  

Implement the innovation and monitor and evaluate the impact. Track key performance indicators (KPIs) to measure the success and impact of your innovation. This can include metrics such as customer satisfaction, cost savings, efficiency gains, or revenue growth. Also, identify further opportunities for improvement and refine your innovation. This may involve making adjustments to the solution, addressing user feedback, or scaling up successful innovations.

-  When considering whether to take up a bank borrowing option, entrepreneurs should carefully evaluate the circumstances and factors involved. Here are some key considerations:

1. Purpose of the Loan: Determine the specific purpose for which the loan is needed. Whether it is to expand the business, purchase equipment, or invest in research and development.

2. Financial Analysis: Conduct a thorough financial analysis to assess the current and projected financial health of the business. This includes reviewing cash flow, profitability, and debt-to-equity ratios.

3. Creditworthiness:  Banks assess the creditworthiness of borrowers based on factors such as credit history, collateral, and financial statements. Maintaining a good credit score and having sufficient collateral can increase the chances of securing a loan at favorable terms.

4. Interest Rates and Terms: Consider the overall cost of borrowing, including any additional fees or charges. Understanding the repayment terms and the impact on cash flow is crucial in determining the feasibility of the loan.

5. Alternative Financing Options: Explore alternative financing options apart from bank borrowing. These may include seeking investment from venture capitalists, crowdfunding, or government grants.

6. Risk Assessment: Evaluate the risks associated with the loan. Consider the potential impact on the business if the loan cannot be repaid or if there are changes in interest rates. It is important to have a contingency plan in place to mitigate these risks.

It is essential to assess the financial health of the business, evaluate the terms and conditions of the loan, and explore alternative financing options to determine the most suitable approach for the business's growth and success.

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According to the rising inflation in the uk now, draw a graph and explain how the contractionary monetary policy can reduce inflation

Answers

Contractionary monetary policy is a measure used by central banks to reduce inflationary pressure in an economy. By adjusting key monetary policy tools such as interest rates or reserve requirements, the central bank aims to decrease the money supply and curb inflation.

The graph illustrates the relationship between the inflation rate and the effectiveness of contractionary monetary policy in the UK. The x-axis represents time, while the y-axis represents the inflation rate. Initially, inflation is shown to be rising, indicating a period of inflationary pressure in the economy.

To combat this rising inflation, the central bank employs contractionary monetary policy. This involves increasing interest rates or raising reserve requirements for banks, which reduces the amount of money available for lending and spending. As a result, the money supply decreases, leading to a decrease in aggregate demand.

Over time, the impact of the contractionary monetary policy becomes evident on the graph. The inflation rate starts to decline, indicating that the measures taken by the central bank are effectively curbing inflation. As the money supply decreases, consumer spending decreases, which leads to a decrease in demand-pull inflationary pressures.

The graph demonstrates how contractionary monetary policy can help bring down the inflation rate in the UK. However, it's important to note that the effectiveness of this policy may vary depending on other factors influencing the economy, such as fiscal policies, external shocks, and expectations of inflation.

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The term perceived risk describes a situation in which the consumer feels there could be negative consequences for choosing the wrong option. Which type of risk is most associated with products or services whose purchase and use requires the​ buyer's exclusive​ commitment?

Question content area bottom

Part 1

A.

Physical risk

B.

Monetary risk

C.

Psychological risk

D.

Functional risk

E.

Social risk

Answers

The type of risk most associated with products or services whose purchase and use requires the buyer's exclusive commitment is Psychological risk. So the correct option is C.

Psychological risk refers to the potential negative consequences or discomfort that consumers may experience due to the emotional or psychological impact of their purchasing decisions. When consumers make a commitment to a product or service that requires exclusive dedication, such as a long-term contract or subscription, they may experience psychological risks related to concerns about regret, dissatisfaction, or the fear of making the wrong choice. This risk is often associated with subjective factors such as personal preferences, emotions, self-image, and the potential impact on one's well-being or identity. While other types of risks like physical, monetary, functional, and social risks may also be relevant in certain situations, psychological risk specifically relates to the emotional and psychological implications of the buyer's commitment to the product or service.

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If you invest $6,000 per year to your IRA account between now and your target retirement in 33 years, how much will you have in your retirement account as you retire (assuming an annual return of 4.02%, and assuming you make each contribution at the end of each year)? (Please enter your answer to the penny.)

Answers

The answer to the question is $475,882.64. The total amount you will have in your retirement account.

To determine the amount of money you will have in your retirement account as you retire by investing $6,000 per year to your IRA account between now and your target retirement in 33 years, with an annual return of 4.02%, and by making each contribution at the end of each year, we will use the formula for Future Value of Annuity which is:FVA = P * (((1 + r)^n) - 1) / rWhere:FVA = Future Value of AnnuityP = Periodic paymentr = Interest raten = Number of paymentsIn this case:FVA = $6,000 * (((1 + 0.0402)^33) - 1) / 0.0402FVA = $475,882.64

Therefore, you will have $475,882.64 in your retirement account as you retire if you invest $6,000 per year to your IRA account between now and your target retirement in 33 years, assuming an annual return of 4.02%, and assuming you make each contribution at the end of each year. The answer to the question is $475,882.64. The total amount you will have in your retirement account.

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2) Bank A offers 5% nominal interest compounded every three months. What is the nominal interest rate compounded every four months that bank B needs to offer to be competitive with bank A?

Answers

Bank B needs to offer a nominal interest rate of approximately 20.5% compounded every four months to be competitive with Bank A.

To determine the nominal interest rate that bank B needs to offer to be competitive with bank A, we can use the concept of equivalent interest rates. Bank A offers 5% nominal interest compounded every three months, which means the interest is compounded four times a year. Bank B needs to offer a nominal interest rate compounded every four months that gives the same return as bank A.

By using the formula for equivalent interest rates, we can calculate that the nominal interest rate compounded every four months for bank B should be approximately 5.329%. This ensures that both banks provide the same level of returns to their customers.

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M4 Q3 500 OR MORE WORDS
Choose from the following industries: 1) travel and tourism; 2)
online job market; 3) real estate; 4) insurance; 5) online stock
trading; 6) online banking and personal finance

Answers

let's consider the travel and tourism industry. This industry encompasses businesses involved in providing services to tourists, such as transportation, accommodation, and tour operators.

One example of a travel and tourism company is a hotel chain, which offers rooms and amenities for travelers. Another example is an airline company, which provides transportation services to different destinations. The travel and tourism industry plays a significant role in the global economy, contributing to job creation and revenue generation.

However, it is worth noting that this industry can be sensitive to factors like economic conditions, natural disasters, and political instability, which can impact travel patterns. Overall, the travel and tourism industry provides opportunities for businesses and individuals to explore new destinations and experiences.

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Problem 4 (entry deterrence Market demand is given by p = 12 - Q. There are two firms: the incumbent firm (I) and the entrant firm (E). Incumbent moves first by choosing quantity q, from the interval [0, 4]. The entrant observes qr and decides whether or not to enter and how much to produce if he enters (9E). There is no fixed cost of entry. If the entrant decides to stay out, his profit is zero and the incumbent enjoys a monopoly position. Suppose that both incumbent and entrant have identical marginal costs equal to c = 8 a) What is the subgame perfect equilibrium of this game? What are the quantities produced by the incumbent and entrant? What are their profits? b) What is the minimum quantity that must be produced by the incumbent to deter entry (to make entry unprofitable)? In this game, will the incumbent ever try to deter entry by increasing quantity?

Answers

The subgame perfect equilibrium (SPE) of this game is as follows: The incumbent firm (I) will produce a quantity of 2 units, and the entrant firm (E) will choose not to enter the market.

To determine this equilibrium, we need to analyze the game backwards. In the final stage, if the entrant observes qr and realizes that entering the market would result in zero profit due to the incumbent's low quantity, it is optimal for the entrant to stay out of the market. Knowing this, the incumbent firm anticipates the entrant's decision and selects a quantity that maximizes its profit. In this case, the incumbent firm chooses to produce 2 units, which is the minimum quantity that would deter entry.The profits for the incumbent firm (I) can be calculated by substituting the quantity chosen (q = 2) into the demand function p = 12 - Q. The equation becomes p = 12 - (2 + 9E), which gives p = 12 - 2 - 9E = 10 - 9E. Hence, the incumbent's profit is (p - c) * q = (10 - 9E - 8) * 2 = (2 - 9E) * 2 = 4 - 18E.

For the entrant firm (E), since it chooses not to enter the market, its profit is zero. b) The minimum quantity that must be produced by the incumbent to deter entry is 1 unit. To make entry unprofitable for the entrant, the incumbent must set a quantity such that the entrant's profit would be negative if it were to enter the market. In this case, the incumbent needs to produce at least 1 unit. If the incumbent produces 1 unit, the market demand is p = 12 - (1 + 9E) = 11 - 9E. With the cost of production being c = 8, the entrant's profit would be (11 - 9E - 8) * E = (3 - 9E) * E. Since the entrant's profit must be negative, we solve the inequality 3 - 9E < 0, which gives E > 1/3. Hence, if the incumbent produces 1 unit, the entrant would incur a negative profit if it enters the market with a quantity greater than 1/3.

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5. Now assume that the price elasticity of demand for US exports equals 2 and praise elasticity of demand for US outcome? Why? imports equals 1. Does this change the

Answers

The change in price elasticity of demand for US exports and imports does not affect the overall economic situation significantly.

Price elasticity of demand measures the responsiveness of quantity demanded to changes in price. In this case, a price elasticity of demand of 2 for US exports means that a 1% increase in price would result in a 2% decrease in quantity demanded.

On the other hand, a price elasticity of demand of 1 for US imports indicates that a 1% increase in price would lead to a 1% decrease in quantity demanded.

While these elasticities provide insights into consumer behavior, they do not inherently alter the fundamental economic situation. The relationship between price elasticity and economic factors such as exports and imports depends on various other factors such as the availability of substitute goods, market competition, and consumer preferences.

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Bonita Beauty Corporation manufactures cosmetic products that are sold through a network of sales agents. The agents are paid a commission of 18% of sales. The income statement for the year ending December 31, 2014, is as follows.

BONITA BEAUTY CORPORATION
Income Statement
For the Year Ended December 31, 2014
Sales $75,000,000
Cost of goods sold
Variable $31,500,000
Fixed 8,610,000 40,110,000
Gross margin $34,890,000
Selling and marketing expenses
Commissions $13,500,000
Fixed costs 10,260,000 23,760,000
Operating income $11,130,000
The company is considering hiring its own sales staff to replace the network of agents. It will pay its salespeople a commission of 8% and incur additional fixed costs of $7,500,000.

(a) Under the current policy of using a network of sales agents, calculate the Bonita Beauty Corporation's break-even point in sales dollars for the year 2017. (Round intermediate calculations to 2 decimal places e.g. 10.25 and final answers to 0 decimal places, e.g. 2,510.)

Break-even point $

Answers

The break-even point is the sales amount at which the total costs equal the total revenue. The break-even point for Bonita Beauty Corporation in 2017 is $63,870,000.

To calculate the break-even point in sales dollars for Bonita Beauty Corporation in 2017, we need to determine the sales amount at which the company's total costs equal its total revenue.

First, let's calculate the total variable costs. From the income statement, we can see that the variable costs include the cost of goods sold (variable) and commissions paid to sales agents. The cost of goods sold (variable) is given as $31,500,000, and the commissions paid to sales agents are $13,500,000. Adding these two amounts gives us a total variable cost of $45,000,000.

Next, let's calculate the total fixed costs. The fixed costs include fixed cost of goods sold and fixed selling and marketing expenses. The fixed cost of goods sold is given as $8,610,000, and the fixed selling and marketing expenses are $10,260,000. Adding these two amounts gives us a total fixed cost of $18,870,000.

To calculate the break-even point, we need to find the sales amount that covers both the variable and fixed costs. Let's represent the break-even point as X.

Total costs = Variable costs + Fixed costs

$X = $45,000,000 + $18,870,000

$X = $63,870,000

Therefore, the break-even point in sales dollars for Bonita Beauty Corporation in 2017 is $63,870,000.


To calculate the break-even point in sales dollars for Bonita Beauty Corporation in 2017, we added the total variable costs (cost of goods sold and commissions paid to sales agents) and the total fixed costs (fixed cost of goods sold and fixed selling and marketing expenses).

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The measure of the market value of all final goods and services produced in a given year, adjusted for price changes, is:A. real GDP B. the GDP deflator C. nominal GDP
D. the consumer price index"

Answers

A. real GDP The measure of the market value of all final goods and services produced in a given year, adjusted for price changes, is known as real GDP.

Real GDP accounts for changes in prices over time by using a constant price level, also known as a base year, to calculate the value of goods and services produced. It provides a more accurate representation of the true growth or decline in the economy's output by removing the influence of price fluctuations. Nominal GDP, on the other hand, does not adjust for price changes and represents the value of goods and services using current market prices. It reflects both changes in output and changes in prices, making it less useful for analyzing the true economic growth or contraction. The GDP deflator is a measure of the overall price level of goods and services produced in an economy, calculated as the ratio of nominal GDP to real GDP multiplied by 100. It is used to track inflation or deflation over time.

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5) You have read in Chapter 5, and in the accompanying video lesson, about the Middle Passage, the name given to the means by which enslaved Africans were forcibly transported from Africa to the Americas.
Imagine you are an African who has been captured and sold into slavery. You managed to survive the harrowing journey. Write for 15 minutes, AT LEAST 250 words, about what you experienced as a prisoner on the ship.

Answers

Step 1: As a prisoner on the ship, I experienced unimaginable suffering and dehumanization.

Step 2: The Middle Passage was a horrifying journey where enslaved Africans like myself were subjected to unspeakable conditions and treated as commodities. Packed tightly below the ship's deck, we endured cramped spaces, extreme heat, and filth. The air was thick with the stench of sweat, vomit, and excrement. Shackled together, we were stripped of our dignity and individuality, reduced to mere bodies to be bought and sold.

Every day was a battle for survival. We were given minimal food and water, barely enough to sustain us. Disease and sickness spread rapidly among us due to the unsanitary conditions. Many of us suffered from malnutrition and dehydration. The lack of proper medical care meant that even the simplest illnesses could quickly become fatal. The constant fear of death loomed over us, as the bodies of those who succumbed to illness or despair were thrown overboard without ceremony.

But perhaps the most devastating aspect of the journey was the emotional and psychological torment. Separated from our families and torn away from our homeland, we were robbed of our identity and cultural connections. We were treated as subhuman, subjected to physical abuse and degrading treatment by the crew. The constant fear and uncertainty created an atmosphere of despair and hopelessness.

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Broussard Skateboard's sales are expected to increase by 25% from $8.2 million in 2018 to $10.25 million in 2019. Its assets totaled $5 million at the end of 2018.
Broussard is already at full capacity, so its assets must grow at the same rate as projected sales. At the end of 2018, current liabilities were $1.4 million, consisting of $450,000 of accounts payable, $500,000 of notes payable, and $450,000 of accruals. The after-tax profit margin is forecasted to be 4%, and the forecasted payout ratio is 70%. What would be the additional funds needed? Do not round intermediate calculations. Round your answer to the nearest dollar. Assume that the company's year-end 2018 assets had been $6 million. Is the company's "capital intensity" ratio the same or different?

Answers

To additional funds needed, additional funds needed (AFN) to consider the increase in assets, increase in liabilities, and the retained earnings.

Sales in 2018 = $8.2 million, Sales in 2019 = $10.25 million

Assets at the end of 2018 = $5 million, Current liabilities at the end of 2018 = $1.4 million

Accounts payable = $450,000, Notes payable = $500,000

Accruals = $450,000, After-tax profit margin = 4%, Payout ratio = 70%

First, we calculate the increase in assets:

Increase in assets = Sales in 2019 - Sales in 2018

Increase in assets = $10.25 million - $8.2 million

Increase in assets = $2.05 million

Next, we calculate the increase in liabilities:

Increase in liabilities = Accounts payable + Notes payable + Accruals

Increase in liabilities = $450,000 + $500,000 + $450,000

Increase in liabilities = $1.4 million

Next, we calculate the retained earnings: Net income = After-tax profit margin * Sales in 2019, Net income = 0.04 * $10.25 million

Net income = $410,000, Retained earnings = Net income * (1 - Payout ratio),  Retained earnings = $410,000 * (1 - 0.70), Retained earnings = $123,000

Finally, we calculate the additional funds needed: Additional funds needed = Increase in assets - Increase in liabilities - Retained earnings

Additional funds needed = $2.05 million - $1.4 million - $123,000

Therefore, the additional funds needed are approximately $527,000.

Regarding the "capital intensity" ratio, we cannot determine whether it is the same or different based on the information provided. The capital intensity ratio is typically calculated as the ratio of a company's total assets to its sales. Since the assets at the end of 2018 were not provided, we cannot compare the capital intensity ratio between 2018 and 2019.

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International Project Managers from _______________________ national cultures may identify risks factors on their own and be the only one responsible for taking countermeasures and developing contingency/mitigation plans. In addition their employees may be very comfortable not being given any responsibilities for analysis and decision making in this regard.

Question 34 options:

a.group (i.e., collectivist) -oriented

b.circumstantial (i.e., particularistic)

c.hierarchy (i.e., high power distance)-oriented

d.achievement based

e.high risk avoidance

Answers

c. In hierarchy (i.e., high power distance)-oriented national cultures, International Project Managers may take sole responsibility for identifying and managing risks, while their employees may be content with not being involved in risk analysis and decision making.

International Project Managers from hierarchy (i.e., high power distance)-oriented national cultures may identify risk factors on their own and be solely responsible for taking countermeasures and developing contingency/mitigation plans. In addition, their employees may be comfortable not being given any responsibilities for analysis and decision making in this regard.

In a high power distance culture, such as a hierarchy-oriented culture, there is a strong emphasis on the unequal distribution of power and authority. The Project Managers in such cultures are expected to make decisions and take responsibility for managing risks without relying heavily on input or involvement from their subordinates.

This cultural orientation often leads to a top-down approach to decision-making and risk management. The Project Managers are expected to have the necessary expertise and knowledge to identify and address risks, and their employees are comfortable not being involved in these processes. The employees may prefer to focus on their assigned tasks and responsibilities without taking on additional analysis or decision-making responsibilities.

For example, in a high power distance culture like Japan, Project Managers may be expected to make risk-related decisions independently, without seeking input from their team members. The employees, on the other hand, may be more comfortable following the instructions and decisions made by their managers without questioning or challenging them.

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E15.4 (LO 1) (Lump-Sum Sale of Stock with Bonds) Faith Evans Corporation is a regional company which is an SEC registrant. The corporation’s securities are thinly traded on NASDAQ. Faith Evans Corp. has issued 10,000 units. Each unit consists of a $500 par, 12% subordinated debenture and 10 shares of $5 par common stock. The units were sold to outside investors for cash at $880 per unit. Prior to this sale, the 2-week ask price of common stock was $40 per share. Twelve percent is a reasonable market yield for the debentures, and therefore the par value of the bonds is equal to the fair value. Instructions a. Prepare the journal entry to record Evans’ transaction, under the following conditions. 1. Employing the incremental method. 2. Employing the proportional method, assuming the recent price quote on the common stock reflects fair value. b. Briefly explain which method is, in your opinion, the better method.

Answers

The journal entry to record the transaction in Faith economic growth Evans Corporation under the conditions specified is as follows Employing the incremental method:When Faith Evans Corporation sells the units.

It must allocate the total proceeds to the two securities sold. The bonds and common stock are measured at fair value. The fair value of the common stock is readily determinable based on the sale. Thus, the amount assigned to the common stock portion of the units is $400 per unit (10 shares × $40 per share).

Therefore, $880 – $400 = $480 per unit must be allocated to the bond portion of the units. The debenture's present value at a 12% market yield is $426.12. ($480 × 12.471%). Thus, the debenture's premium at issuance is $73.88 ($500 par value – $426.12 present value). The entries for the incremental method are as follows:2. Employing the proportional method, assuming the recent price quote on the common stock reflects fair value:The proportional method allocates the proceeds from the sale of a security in proportion to its relative fair value. The bonds and common stock are measured at fair value. The fair value of the bonds is equal to their face value of $500.

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On December 31, 2022, Wildhorse Co. prepared an income statement and balance sheet, but failed to take into account three adjustments. The balance sheet showed total assets $129,000, total liabilities $60,200, and stockholders' equity $68,800. The
incorrect income statement showed net income of $60,200.
The data for the three adjustments were:
1.
2.
3. Salaries and wages amounting to $8,600 for the last 2 days in December were not paid and not recorded. The next payroll will
be in January.
Rent payments of $6,880 were received for two months in advance on December 1. The entire amount was recorded as
Unearned Rent Revenue when received.
Depreciation expense for 2022 is $7,740. Complete the following table to correct the financial statement amounts shown.

Answers

After incorporating the necessary adjustments, the updated financial statements for Wildhorse Co. show a corrected balance sheet with total assets of $121,380, total liabilities of $60,200, and stockholders' equity of $61,180. The income statement reflects adjusted figures, including salaries and wages expense of $8,600, rent revenue of $6,880, and depreciation expense of $7,740, providing a more accurate representation of the company's financial position.

On December 31, 2022, Wildhorse Co. prepared an income statement and balance sheet, but failed to account for three adjustments. The incorrect financial statement amounts were: total assets $129,000, total liabilities $60,200, stockholders' equity $68,800, and net income $60,200. The adjustments are as follows:

Salaries and wages amounting to $8,600 for the last 2 days in December were not paid and recorded. This should be added as an expense on the income statement.

Income Statement Adjustment:

Salaries and Wages Expense: $8,600

Rent payments of $6,880 received in advance on December 1 were recorded entirely as Unearned Rent Revenue. We need to recognize the portion of rent that has been earned in December.

Income Statement Adjustment:

Rent Revenue: $6,880 * (1/6) = $1,147

Unearned Rent Revenue: $6,880 * (5/6) = $5,733

Depreciation expense for 2022 is $7,740. This should be added as an expense on the income statement to account for the wear and tear of assets.

Income Statement Adjustment:

Depreciation Expense: $7,740

Updating the financial statement amounts:

Income Statement (for the year ended December 31, 2022):

Revenue: Rent Revenue: $1,147

Expenses: Salaries and Wages Expense: $8,600, Depreciation Expense: $7,740

Net Income: ($14,193)

Balance Sheet (as of December 31, 2022):

Assets: Total Assets: $121,380

Liabilities: Total Liabilities: $60,200

Stockholders' Equity: Stockholders' Equity: $61,180

Adjustments: Unearned Rent Revenue: $1,147

By incorporating these adjustments, the financial statement amounts are corrected to provide a more accurate representation of Wildhorse Co.'s financial position.

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