Which one of the following statements BEST explains secondary market​ research?A. The research in which an interviewer asks current or potential buyers to answer written or verbal questionsB. Competitor analysisC. Data obtained from other countries that are interpreted with great cautionD. The process of collecting and analyzing original data and applying the results to current research needsE. The process of obtaining information that already exist within the company or that can be obtained from outside sources

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Answer 1

The definition of secondary market research that best describes it is the practise of gathering information that already exists within the firm or that may be gained from other sources. Option E is Correct.

The goal of market research is to examine the market for a certain product or service to determine how the target market will respond to it. The two primary sources of secondary data that assist managers in making wise decisions are interviews and focus groups.

The most popular primary market research techniques are focus groups, surveys, interviews, and observations. Research that has previously been prepared, gathered, arranged, and published by others is referred to as secondary research. It comprises research and reports from government organisations, industry trade groups, and other companies. Option E is Correct.

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Related Questions

identify the false statement regarding how product costs in a manufacturing company differ from product costs in a service or merchandising company.

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The statement is false, regarding how product costs in a manufacturing company differ from product costs in a service or merchandising company.

That product costs in a manufacturing company only include direct materials and direct labour, while product costs in service or merchandising companies only include indirect costs.

This statement is false because product costs in a manufacturing company also include indirect costs, such as factory overhead costs, which are allocated to products based on predetermined rates.

Similarly, service and merchandising companies may also have direct costs, such as the cost of goods sold or labour costs, that are directly associated with the production or delivery of their services or products.

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A particular issuer of bonds chooses to engage a managing underwriter under a negotiated, firm-commitment underwriting contract. The underwriter chooses to sell the bonds using a selling group rather than a syndicate. Who bears the financial risk of unsold bonds?

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The managing underwriter takes on the financial risk of unsold bonds under a negotiated, firm-commitment underwriting contract.

The managing underwriter and the bond issuer discuss the conditions of the offering, such as the offering price and the total number of bonds to be offered, under this form of underwriting contract. The managing underwriter consents to buy the whole offering from the issuer and resale the bonds to buyers.

The managing underwriter is required to buy the full offering from the issuer even if they are unable to sell all of the bonds to investors. As a result, the managing underwriter may end up with unsold inventory in addition to the financial risk of selling bonds. This risk is unaffected by using a selling group rather than a syndicate.

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what two tasks are important to complete when writing a business plan? multiple select question. develop a gantt chart develop a vision that sets a cultural tone calculate how much money you need to start analyze the competition

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Two important tasks to complete when writing a business plan are: Calculate how much money you need to start &
analyze the competition.

Two important tasks to complete when writing a business plan are:

1. Calculate how much money you need to start: This task involves estimating the initial investment required to launch your business, including costs for equipment, office space, marketing, inventory, and working capital. This helps you determine the financial resources needed and aids in securing funding from investors or lenders.

2. Analyze the competition: Understanding your competitors' strengths and weaknesses enables you to position your business strategically and identify areas where you can outperform them.

This involves researching their products, services, pricing, marketing strategies, and target market to gain insights that can be applied to your own business plan.
it is important to develop a clear vision that sets a cultural tone for your business, as this can help to guide decision-making and promote a positive workplace culture.

Developing a Gantt chart can also be a helpful tool for outlining the steps involved in launching your business and keeping track of progress.

Overall, taking the time to carefully plan and prepare your business plan can help to increase your chances of success and ensure that you are well-prepared for the challenges ahead.


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_________ is that mayhems real brother in the allstate commercial.

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There is no mention for Mayhem's real brother in the Allstate commercial. Mayhem is a fictional character played by actor Dean Winters in Allstate's advertising campaign.

Mayhem is a fictional character created for Allstate's advertising campaign to demonstrate the various risks and dangers that can lead to accidents or damage to vehicles or property. Mayhem is portrayed by actor Dean Winters, who presents himself as a troublemaker or a common risk factor, such as a distracted driver, a falling tree branch, or a hailstorm.

By personifying the risks and dangers that drivers may encounter, Allstate aims to encourage people to take necessary precautions and purchase insurance coverage to protect themselves from unexpected incidents. While Mayhem is a fictional character, he has become popular and recognizable in Allstate's advertising campaigns.

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double counting in the value added approach to gdp statistics is avoided by

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Hi! I'd be happy to help with your question. Double counting in the value-added approach to GDP statistics is avoided by summing up the value added at each stage of production for all goods and services in the economy.

This method ensures that each stage of production is accounted for only once, preventing the overestimation of GDP. Here's a step-by-step explanation:

1. Identify each stage of production for goods and services in the economy.
2. Calculate the value added at each stage by subtracting the cost of intermediate goods from the market value of the output at that stage.


3. Sum up the value added at each stage of production for all goods and services.
4. The total value added across all stages of production is the GDP using the value-added approach, which avoids double counting.

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roy creasey​ enterprises, a machine​ shop, is planning to move to a​ new, larger location. the new building will be 60 feet long by 40 feet wide. creasey envisions the building as having six distinct production​ areas, roughly equal in size. he feels strongly about safety and intends to have marked pathways throughout the building to facilitate the movement of people and materials. see the following building schematic.

Answers

The potential measures for Roy Creasey Enterprises' include hazard analysis, safety protocols, training, emergency response plan, marked pathways, and regular inspections to ensure compliance with safety regulations.

Here are some general safety measures that could be implemented in a machine shop building with multiple production areas:

Hazard analysis: Conducting a thorough hazard analysis of each production area to identify potential hazards and risks associated with the use of specific machinery, equipment, and materials. This analysis will help develop strategies to minimize risks and hazards and ensure the safety of the workers.

Safety protocols: Developing and implementing safety protocols for each production area, such as wearing personal protective equipment (PPE), using lockout/tagout procedures, and following proper material handling and storage practices.

Training and education: Providing proper training and education to workers to ensure they are aware of the potential hazards and risks associated with their work and how to mitigate them effectively.

Emergency response plan: Developing an emergency response plan to address potential accidents and emergencies, such as fires, chemical spills, or equipment failures. This plan should include evacuation procedures, first-aid protocols, and contact information for emergency services.

Marked pathways: As you mentioned, having clearly marked pathways for the movement of people and materials to prevent accidents caused by collisions or tripping hazards.

Regular inspections: Conducting regular inspections of the building, equipment, and machinery to ensure they are functioning correctly and in compliance with safety regulations.

It is important to note that these are general measures, and each machine shop may require specific safety protocols based on their operations and machinery.

Therefore, Roy Creasey Enterprises should consult with safety experts and regulatory bodies to ensure they are implementing the most effective safety measures for their specific situation.

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The complete question is :

What safety measures will be implemented by Roy Creasey Enterprises in their new machine shop building?

ses of spring water are sold for $6 each, and the marginal product of the last unit of labor is 5. if the price of a case increases from $6 to $8, then the marginal revenue product of the last unit of labor would

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As a result, between $30 to $40 would be the final unit of labor's marginal revenue output.

Finding the marginal product of labour (MPL) is necessary before we can calculate the marginal revenue product (MRP):

MPL is the product change minus the labour change.

We may assume that MPL = 5 as the question specifies that the marginal product of the final unit of labour is 5.

MPL is multiplied by the item's price to determine MRP:

MRP Equals MPL times Price

The MRP is: at a price of $6 per unit.

MRP = 5 x $6 = $30

The new MRP would be: If a case went from being $6 to $8 in price,

MRP = 5 x $8 = $40

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according to douglas mcgregor's theory y, a manager assumes that employees ________.

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According to douglas mcgregor's theory y, a manager assumes that employees exercise self direction.

Option D is correct.

As indicated by Douglas McGregor's Hypothesis Y, a chief expects that workers practice self-heading.

Employees possess capabilities and skills, according to Theory Y. Theory Y managers assume that employees are internally motivated, enjoy their work, and work to improve themselves without receiving a direct reward.

Theory Y of McGregor:

According to psychologist McGregor's motivational theories X and Y, every leader has preconceived notions about human nature, and these preconceived notions have an impact on the leadership style they employ. If he has a positive outlook, he will adhere to theory Y; if he has a negative outlook, he will adhere to theory X.

What do Theory Y managers assume the majority of employees are capable of?

Theory Y managers make the assumption that most people can solve problems with a fair amount of imagination and creativity. Hypothesis Z addresses a crossover of Hypothesis X and Hypothesis Y ways to deal with the board in light of investigations of American and Japanese organizations.

Question incomplete:

According to Douglas McGregor's Theory Y, a manager assumes that employees ________.

A) need to be directed

B) prefer to be controlled

C) learn to accept responsibility

D) exercise self direction

E) attempt to avoid working

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if a subsidiary reports income, will it result in a decrease in the balance of the investment in subsidiary account on the parent's books?

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No, reporting income by a subsidiary will not result in a decrease in the balance of the investment in subsidiary account on the parent's books.

The investment in subsidiary account represents the initial investment made by the parent to acquire the subsidiary and is reported at cost. Any income generated by the subsidiary is reported separately on the subsidiary's financial statements and does not directly affect the investment account on the parent's books. However, the parent may record its share of the subsidiary's income through equity method accounting, which could result in an adjustment to the investment account.

In fact, it may actually increase the balance of the investment account if the income reported by the subsidiary is greater than any dividends paid or any other adjustments made to the investment account. The balance in the investment account represents the parent company's ownership interest in the subsidiary and is not directly affected by the subsidiary's reported income. However, the income reported by the subsidiary may impact the parent company's consolidated financial statements and overall financial performance.

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Jenn must decide which of two job offers she is going to choose. she begins her process by listing the key criteria she is looking for in a job including salary level, location, promotional opportunities, and so on. she then takes each job offer letter and carefully goes through each line assessing the offer in relationship to the criteria she established. jenn is using what type of decision making?

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When Jenn is choosing which job offers, she must opt for, she is using the rational decision-making model.

The rational model of decision-making follows logical procedures to select the best option. Making decisions based on trustworthy information or facts requires assessing many options.

The rational decision-making process entails systematically analyzing the advantages and disadvantages of many possibilities. The method is employed to take the time to consider issues and several solutions before selecting the optimal one.

When making crucial life decisions, we regularly see particular instances of logical decision-making. Examples include determining your course of action after high school, dramatically growing your business, or relocating your family.

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How do the people living in the trade areas compare with Hutch’s target customer?

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Hutch’s target customer identify the demographics and characteristics of the people, customer reviews,

To compare the people living in the trade areas with Hutch's target customers, you would need to:

1. Identify the demographics and characteristics of the people living in the trade areas. This can include factors such as age, income, occupation, and lifestyle preferences.

2. Determine Hutch's target customer profile. This can be done by analyzing the company's marketing materials, customer reviews, and any available market research data.

3. Compare the characteristics of the people living in the trade areas to Hutch's target customer profile. Look for similarities and differences in their demographics and preferences.

4. Assess the potential for Hutch's products or services to appeal to the people living in the trade areas. This can be done by analyzing the degree of overlap between the characteristics of the trade area population and Hutch's target customers.



In conclusion, the comparison between the people living in the trade areas and Hutch's target customers will help you understand how well Hutch's products or services may perform in those areas and whether there is potential for success.

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yoko is buying a car from a local car dealership. she wants to get the lowest interest rate possible. which will most likely help her get the lowest interest rate?

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If Yoko wants to get the lowest interest rate possible when buying a car from a local car dealership, she should focus on improving her credit and reducing her outstanding loans to get the lowest interest rate possible.

Positive credit history is one of the most significant factors that lenders consider when determining interest rates for loans. If Yoko can show that she has a history of making timely payments on her debts and doesn't have any missed payments, then she is likely to be seen as a less risky borrower, which could lead to a lower interest rate.

On the other hand, having many outstanding loans may negatively impact Yoko's creditworthiness and make it more challenging to secure a lower interest rate. Therefore, Yoko should consider paying off some of her outstanding loans or reducing her debt-to-income ratio before applying for a car loan.

Finally, while having a driver's license is essential for buying a car, it is not a factor that lenders typically consider when determining interest rates. Therefore, Yoko should prioritize improving her credit history and reducing her outstanding loans to get the lowest interest rate possible.

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Complete Question:

Yoko is buying a car from a local car dealership. She wants to get the lowest interest rate possible. Which will most likely help her get the lowest interest rate? Asking nicely making sure she has a positive credit history explaining that she has many outstanding loans showing her driver’s license.

Pushing decision making down the line and getting the lower-level personnel involved is referred to as:A. CentralizationB. DecentralizationC. Horizontal specializationD. Vertical specialization

Answers

Vertical specialisation, often known as centralization, is the process of moving decision-making down the hierarchy and including lower-level employees. Option A is Correct.

Decentralized organisational structures give critical decision-making responsibilities to department heads and project managers, freeing up top management and firm owners to concentrate on strategic planning and big-picture choices.

The employment of specific structures and processes for decision-making, communicating, and regulating is known as specialisation. The hierarchical levels are clearly different from one another, and individuals at the top are given far more status than those at the bottom. In a decentralised organisational management structure, key decisions are taken at the top. Option A is Correct.

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what do you believe auditing standards are mainly concerned with when they require independence in fact? in appearance?

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Auditing standards are concerned with both independence in fact and independence in appearance to maintain the integrity, objectivity, and credibility of the audit process.

Auditing standards are mainly concerned with two aspects when they require independence: independence in fact and independence in appearance.
1. Independence in Fact: This refers to the actual independence of the auditor, meaning they have no personal or financial connections with the entity they are auditing.

Auditing standards emphasize this to ensure that auditors are unbiased and objective in their assessment of the financial statements. This helps to maintain the credibility and reliability of the audit process.

2. Independence in Appearance: This refers to how the auditor is perceived by others, such as stakeholders, regulators, or the general public.

Auditing standards focus on independence in appearance to ensure that the auditor is not only free from actual conflicts of interest but also appears to be free from such conflicts.

This is important to maintain public trust and confidence in the audit process and to avoid any doubts about the auditor's objectivity and integrity.

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The Landrum-Griffin Act requires:
a. Unions to file annual financial statements with the Department of Labor. B. Employers to not reveal information about their finances to unions. C. Prison laborers to submit identification documents before starting work. D. National labor unions to elect a new leader every year

Answers

The Landrum-Griffin Act, also known as the Labor-Management Reporting and Disclosure Act of 1959, is a federal law that requires labor organizations (unions) to file annual financial reports with the Department of Labor. The correct answer is A


Under the Landrum-Griffin Act, unions are required to file financial reports that detail their receipts and expenditures, including salaries and benefits paid to union officials. These reports must be filed with the Department of Labor and are made available to union members and the public.In addition to the financial reporting requirements, the Landrum-Griffin Act also establishes certain standards for union elections and union democracy.

For example, the law requires unions to hold regular elections of officers, and to provide for secret ballots and fair procedures for conducting elections.Employers are not required by the Landrum-Griffin Act to reveal information about their finances to unions. However, unions may seek such information through collective bargaining or other means.

Overall, the Landrum-Griffin Act serves as an important safeguard for the rights and interests of union members, by promoting transparency and accountability in union finances and elections. The correct answer is A

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using the payoff matrix, and assuming no collusion between x and y, what is the likely pricing outcome? multiple choice 2 firm x will charge $35 and firm y will charge $40. firm x will charge $40 and firm y will charge $35. both firms will set price at $40. both firms will set price at $35.

Answers

Using the payoff matrix, and assuming no collusion between x and y, The likely pricing outcome will be: Both firms will set the price at $35.

When there is no collusion,

When Y charges $40, X's best strategy is to charge $35 since the payoff is higher ($59 > $57).

When Y charges $35, X's best strategy is to charge $35 since the payoff is higher ($55 > $50).

When X charges $40, Y's best strategy is to charge $35 since the payoff is higher ($69 > $60).

When X charges $35, Y's best strategy is to charge $35 since the payoff is higher ($58 > $59).

Therefore Nash equilibrium is: ($35, $35).

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custom framing has a net profit margin of 5.6 percent, a return on assets of 12.5 percent, and an equity multiplier of 1.49. what is the return on equity? 19.67% 17.14% 18.63% 21.69% 22.30%

Answers

The custom framing business has a return on equity of 17.14%, indicating that it is generating a decent return for its shareholders.

Equity multiplier is a financial ratio that measures how much a company relies on debt to finance its assets. It is calculated by dividing the company's total assets by its total equity. In this case, the custom framing business has an equity multiplier of 1.49, which means that for every dollar of equity, it has $1.49 of assets.

Now, we can use these three ratios to calculate the return on equity (ROE) of the custom framing business. Return on equity measures how much profit a company generates for every dollar of equity invested by its shareholders.

ROE is calculated as the product of net profit margin, ROA, and equity multiplier.

ROE = Net profit margin x ROA x Equity multiplier

Substituting the values, we get

ROE = 5.6% x 12.5% x 1.49

ROE = 1.049%

Therefore, the return on equity of the custom framing business is 17.14%.

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This is an example of reducing project duration caused by a) High overhead. b) Time to market. c) Incentive contracts. d) Unforeseen project delays

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The reducing project duration caused by Time to market .

The correct option is B .

The reason for reducing project duration can vary depending on the situation. For example, it may be due to the need to get a product to market quickly, to meet a customer's deadline, or to reduce costs. Reducing project duration is a common goal in project management, as it can result in a variety of benefits, such as decreased costs, increased customer satisfaction, and improved competitiveness.

Also, Time to market refers to the amount of time it takes a company to develop and launch a new product or service. This can be a critical factor in a company's success, as being the first to market with a new innovation can provide a competitive advantage.

Hence , B is the correct option

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According to the quantity theory of money, when velocity is constant, if output is higher real balances are required, and for fixed M this means ______P a. lower, lower b. lower, higher c. higher, higher d. higher, lower

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According to the quantity theory of money, when velocity is constant, if output is higher real balances are required, and for fixed M this means higher, lower P.The correct answer in D,

According to the quantity theory of money, when velocity is constant, an increase in output requires a corresponding increase in real balances to maintain a stable price level. This means that for a fixed quantity of money (M), an increase in output will lead to an increase in demand for money, which in turn will lead to an increase in the price level (P).

Therefore, the correct answer is option (d) higher, lower. In other words, when output increases, more money is needed to maintain a stable price level, which means that the purchasing power of each unit of currency decreases, resulting in higher prices.

Conversely, if output decreases, fewer real balances are required, which means that the purchasing power of each unit of currency increases, resulting in lower prices.

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explain the changes in m1 and m2 for each of the following scenarios. a. when lily transfers $100 from her savings account into her checking account, m1 (click to select) and m2 (click to select) . b. if miguel deposits $200 cash into his money market mutual fund, m1 (click to select) and m2 (click to select) . c. if sam takes $1,000 from his savings account to purchase microsoft stock, m1 (click to select) and m2 (click to select) .

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The changes that take place in money supply are : a.  M1 increases and M2 unchanged, b.  M1 decreases and M2 unchanged, c. M1 unchanged and M2 decreases.

a. When Lily transfers $100 from her savings account into her checking account, M1 increases and M2 remains unchanged. This is because M1 includes checking accounts, while M2 includes both checking and savings accounts. Since the money is simply transferred between the two types of accounts, M2 remains unchanged.

b. If Miguel deposits $200 cash into his money market mutual fund, M1 decreases and M2 remains unchanged. This is because cash is a component of M1, and depositing it into a money market mutual fund takes it out of circulation. However, money market mutual funds are a component of M2, so the total value of M2 does not change.

c. If Sam takes $1,000 from his savings account to purchase Microsoft stock, M1 remains unchanged and M2 decreases. This is because the money is taken out of a savings account, which is a part of M2, and used to purchase stocks, which are not included in either M1 or M2. Since the money is not being moved into a checking account, M1 remains unchanged.

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in which contract does the buyer pay the supplier for allowable performance costs along with a predetermined percentage based on total costs?

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The contract in which the buyer pays the supplier for allowable performance costs along with a predetermined percentage based on total costs is called a "cost-plus-fixed-fee" contract.

In this type of contract, the supplier is reimbursed for all allowable costs incurred in the performance of the contract, including labor, materials, and other direct and indirect costs.

In addition to the allowable costs, the supplier also receives a fixed fee, which is a predetermined percentage of the total costs incurred.

This type of contract is commonly used in situations where the scope of work is difficult to define or where the level of effort required to complete the work is uncertain. It provides the supplier with a guaranteed profit margin while also giving the buyer some level of cost control.

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Leading task groups during the middle phase does not usually includeA) Facilitating fact finding about issue and concerns facing the groupB) Dealing with conflictC) Making effective decisionsD) Helping members share personal problems that may affect their work in the group

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During the middle phase of leading a task group, the focus typically shifts from establishing group norms and goals to working on the tasks at hand. The correct option is A) Facilitating fact finding about issue and concerns facing the group.

This phase is characterized by increased productivity and a sense of progress, as group members become more comfortable with each other and begin to work more collaboratively. However, it's important to note that leading task groups during this phase doesn't usually include certain activities.

Facilitating fact-finding about issues and concerns facing the group is typically done during the initial stages of group development, as group members are still getting to know each other and establishing trust. Similarly, helping members share personal problems that may affect their work in the group is more appropriate for the initial or final phases of group development, as it's important to establish a sense of openness and trust early on and to help members reflect on their experiences and accomplishments towards the end.

Dealing with conflict and making effective decisions, on the other hand, are essential tasks for leading task groups during the middle phase. As the group becomes more productive and focused on achieving its goals, conflicts and disagreements are more likely to arise.

Effective decision-making is also critical at this stage, as the group needs to make progress towards achieving its objectives while also taking into account the needs and opinions of individual members. The correct option is A) Facilitating fact finding about issue and concerns facing the group.

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a stock's dividend in 1 year is expected to be $2.4. the dividend is expected to remain the same indefinitely. the stock's required return is 11%. the estimated value of the stock today is $ .

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This means that the stock is expected to have a 2.4% return based on the expected dividend and current stock price. It is important to note that this is just an estimate and actual returns may vary.

Based on the given information, we can use the Gordon Growth Model to estimate the value of the stock today. The Gordon Growth Model formula is as follows:

Value of Stock = Dividend / (Required Rate of Return - Growth Rate)
In this case, the dividend is expected to remain the same indefinitely, so the growth rate (g) is equal to 0. Therefore, we can plug in the values given:

Value of Stock = $2.4 / (0.11 - 0) = $21.82
This means that the estimated value of the stock today is $21.82. However, we are told that the current value of the stock is $100, so we can calculate the stock's expected return:

Expected Return = (Dividend / Current Stock Price) + Growth Rate
Since the growth rate is 0, we can simplify the formula to:

Expected Return = Dividend / Current Stock Price

Plugging in the values given:

Expected Return = $2.4 / $100 = 0.024 or 2.4%

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Chipps Corporation Uses A Discount Rate Of 9% In Its Capital Budgeting. Management Is Considering An Investment In Telecommunications Equipment With A Useful Life Of 5 Years. Excluding The Salvage Value Of The Equipment, The Net Present Value Of The Investment In The Equipment Is -$530,985. (Ignore Income Taxes.)
how large would the salvage value of the telecommunications equipment have to be to make the investment in the telecommunications equipment financially attractive?

Answers

To determine how large the salvage value of the telecommunications equipment would have to be to make the investment financially attractive for Chipps Corporation, which uses a discount rate of 9% in its capital budgeting.

you need to find the salvage value that would result in a Net Present Value (NPV) of at least $0, since a positive NPV indicates a financially attractive investment.

Currently, the NPV of the investment in telecommunications equipment, excluding the salvage value, is -$530,985.
Here's a step-by-step process to find the required salvage value:

1. Calculate the Present Value (PV) factor for the salvage value at the end of the equipment's useful life (5 years) using the discount rate (9%):

PV factor = 1 / (1 + discount rate) ^ number of years
PV factor = 1 / (1 + 0.09) ^ 5
PV factor ≈ 0.64993

2. Find the minimum positive NPV ($0) by adding the absolute value of the current NPV to the equipment's initial NPV:
Minimum positive NPV = 0 + |-530,985|
Minimum positive NPV = $530,985

3. Calculate the required salvage value by dividing the minimum positive NPV by the PV factor:
Required salvage value = Minimum positive NPV / PV factor
Required salvage value = 530,985 / 0.64993
Required salvage value ≈ $816,590

The salvage value of the telecommunications equipment would have to be approximately $816,590 to make the investment in the telecommunications equipment financially attractive for Chipps Corporation.

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the goal of sizing is to . a. provide an accurate cost estimate for the iteration b. give the team and the customer a quick relative measure of the effort involved with delivering a particular user story c. optimize the size of each user story d. produce a detained schedule for the customer

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The goal of sizing is to give the team and customer a quick relative measure of the effort involved with delivering a particular user story. Thus option B is correct.

Sizing in Agile development aims to give a rapid and comparative assessment of the work necessary to accomplish a specific user story. Making a thorough timetable or maximising the length of each user narrative are not the goals. Sizing aids in the team's and the customer's understanding of the proportionate work and complexity needed for each narrative.

They can more efficiently manage resources and set priorities as a result. The relative complexity of a user narrative is estimated by the team members by giving points in approaches like planning poker. The following step is to prioritise and plan iterations using these points. Sizing can be used to calculate precise cost estimates, although that is not the main objective.

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Question: Emma Doyle is employed as a corporate attorney. For calendar year 2021, she had AGI of $75,000 and paid the following medical expenses: Medical insurance premiums $3,700 Doctor and dentist bills for Bob and April (Emma's parents) 6,800 Doctor and dentist bills forEmma Doyle is employed as a corporate attorney. For calendar year 2021, she had AGI of $75,000 and paid the following medical expenses:Medical insurance premiums $3,700Doctor and dentist bills for Bob and April (Emma's parents) 6,800Doctor and dentist bills for Emma 5,200Prescription medicines for Emma 400Nonprescription insulin for Emma 350Bob and April would qualify as Emma's dependents except that they file a joint return. Emma's medical insurance policy does not cover them. Emma filed a claim for reimbursement of $2,800 of her own expenses with her insurance company in December 2021 and received the reimbursement in January 2022.What is Emma's maximum allowable medical expense deduction for 2021? Complete a memo for your firm's tax files in which you document your conclusions.TAX FILE MEMORANDUMDATE: February 27, 2022FROM: Sam MasseySUBJECT: Emma Doyle's Medical Expense DeductionEmma Doyle's deductible (after any limitations) medical expense deduction is $fill in the blank 1.

Answers

Emma Doyle's deductible (after any limitations) medical expense deduction for 2021 is $4,325.

To calculate her deduction, follow these steps:

1. Add up all medical expenses:


  - Medical insurance premiums: $3,700
  - Doctor and dentist bills for Bob and April: $6,800
  - Doctor and dentist bills for Emma: $5,200
  - Prescription medicines for Emma: $400
  - Nonprescription insulin for Emma: $350
  Total medical expenses: $16,450

2. Subtract the insurance reimbursement Emma received in January 2022 from her own expenses:


  - Emma's expenses: $5,200 + $400 + $350 = $5,950
  - Reimbursement: $2,800
  Adjusted Emma's expenses: $5,950 - $2,800 = $3,150

3. Calculate the adjusted total medical expenses by adding the adjusted Emma's expenses and her parents' expenses:


  Adjusted total medical expenses: $3,150 + $6,800 = $9,950

4. Calculate the threshold for the medical expense deduction, which is 7.5% of Emma's AGI:
  Threshold: $75,000 x 0.075 = $5,625

5. Subtract the threshold from the adjusted total medical expenses to find the maximum allowable medical expense deduction:


Maximum allowable deduction: $9,950 - $5,625 = $4,325

Emma's maximum allowable medical expense deduction for 2021 is $4,325.

TAX FILE MEMORANDUM
DATE: February 27, 2022
FROM: Sam Massey
SUBJECT: Emma Doyle's Medical Expense Deduction

Emma Doyle's deductible (after any limitations) medical expense deduction for 2021 is $4,325.

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Which =FDS code is written correctly to pull the latest closing price for a company in cell A1?
A. =FDS(A1, "P_PRICE(0)")
B. =FDS(A1, "P_PRICE(NOW)")
C. =FDS("PFE", "P_PRICE(0)")
D. =FDS(A1, "P_DATE(0)")

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The correct =FDS code to pull the latest closing price for a company in cell A1 is =FDS(A1, "P_PRICE(0)"). The correct option is A.

This formula specifies the use of the FDS (Financial Data Services) function, which is used to retrieve data for a specified security. The first argument, A1, specifies the cell containing the company's ticker symbol. The second argument, "P_PRICE(0)", specifies the type of financial data to retrieve - in this case, the latest closing price.

Option B, =FDS(A1, "P_PRICE(NOW)"), is not correct because "NOW" is not a valid parameter for the P_PRICE function.

Option C, =FDS("PFE", "P_PRICE(0)"), is not correct because it specifies the company ticker symbol as "PFE" instead of referencing cell A1. Finally, option D, =FDS(A1, "P_DATE(0)"), is not correct because it specifies the retrieval of the latest date, rather than the latest closing price.

In summary, to pull the latest closing price for a company in cell A1 using the =FDS function, use the formula =FDS(A1, "P_PRICE(0)").

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Complete question:

Which =FDS code is written correctly to pull the latest closing price for a company in cell A1?

A. =FDS(A1, "P_PRICE(0)")

B. =FDS(A1, "P_PRICE(NOW)")

C. =FDS("PFE", "P_PRICE(0)")

D. =FDS(A1, "P_DATE(0)")

a plan for being innovative that requires a company to integrate its innovation activities and business strategies is a(n) .

Answers

A plan for being innovative that requires a company to integrate its innovation activities and business strategies is a strategic innovation plan.

A strategic innovation plan is a comprehensive approach to innovation that aligns a company's innovation efforts with its overall business strategy. It involves identifying and pursuing opportunities for innovation that are closely tied to the company's strategic objectives, as well as creating processes and structures that support ongoing innovation efforts.

By integrating innovation activities with business strategies, companies can ensure that their innovation efforts are focused and effective, and that they are able to achieve their long-term goals through innovation.

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Inferring Missing Amounts Based on Income Statement Relationships:
Supply the missing dollar amounts for the income statement of Lewis Retailers for each of the following independent cases:
Case A.
Sales Revenue $700
Beginning Inventory $100
Purchases $800
Costs of Goods Available for Sale ?
Cost of Goods Sold $300
Cost of Ending Inventory $?
Gross Profit $?
Case B :
Sales Revenue $900
Beginning Inventory $200
Purchases $800
Costs of Goods Available for Sale ?
Costs of Goods Sold ?
Cost of Ending Inventory 150
Gross Profit ?
Case C :
Sales Revenue ?
Beginning Inventory $100
Purchases ?
Costs of Goods Available for Sale ?
Costs of Goods Sold $200
Costs of Ending Inventory $300
Gross Profit $400
Case D :
Sales Revenue $1,000
Beginning Inventory $50
Purchases $900
Costs of Goods Available for Sale ?
Cost of Goods Sold ?
Cost of Ending Inventory ?
Gross Profit $500

Answers

Income statement of Lewis Retailers

Case A:
Cost of Goods Available for Sale = $900
Cost of Ending Inventory = $600
Gross Profit = $400

Case B:
Cost of Goods Available for Sale = $1,000
Cost of Goods Sold = $850
Gross Profit = $50

Case C:
Cost of Goods Available for Sale = $500
Purchases = $400
Sales Revenue = $600

Case D:
Cost of Goods Available for Sale = $950
Cost of Goods Sold = $500
Cost of Ending Inventory = $450

Case A:
Cost of Goods Available for Sale = Beginning Inventory + Purchases = $100 + $800 = $900
Cost of Ending Inventory = Cost of Goods Available for Sale - Cost of Goods Sold = $900 - $300 = $600
Gross Profit = Sales Revenue - Cost of Goods Sold = $700 - $300 = $400

Case B:
Cost of Goods Available for Sale = Beginning Inventory + Purchases = $200 + $800 = $1,000
Cost of Goods Sold = Cost of Goods Available for Sale - Cost of Ending Inventory = $1,000 - $150 = $850
Gross Profit = Sales Revenue - Cost of Goods Sold = $900 - $850 = $50

Case C:
Cost of Goods Available for Sale = Beginning Inventory + Purchases = $100 + X
Purchases = Cost of Goods Available for Sale - Beginning Inventory = Y - $100
Cost of Goods Sold + Cost of Ending Inventory = Cost of Goods Available for Sale = $200 + $300 = $500
Purchases = $500 - $100 = $400
Sales Revenue = Gross Profit + Cost of Goods Sold = $400 + $200 = $600

Case D:
Cost of Goods Available for Sale = Beginning Inventory + Purchases = $50 + $900 = $950
Cost of Goods Sold = Sales Revenue - Gross Profit = $1,000 - $500 = $500
Cost of Ending Inventory = Cost of Goods Available for Sale - Cost of Goods Sold = $950 - $500 = $450

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Find the future values of the following ordinary annuities: a. FV of $400 paid each 6 months for 5 years at a nominal rate of 15% compounded semiannually. Do not round intermediate calculations. Round your answer to the nearest cent. $ b. FV of $200 paid each 3 months for 5 years at a nominal rate of 15% compounded quarterly. Do not round intermediate calculations. Round your answer to the nearest cent. $ c. These annuities receive the same amount of cash during the 5-year period and earn interest at the same nominal rate, yet the annuity in part b ends up larger than the one in part a. Why does this occur? -Select- -Select- The nominal deposits into the annuity in part (b) are greater than the nominal deposits into the annuity in part (a) The annuity in part (a) is compounded less frequently; therefore, more interest is earned on previously-earned interest. aining) The annuity in part (a) is compounded more frequently; therefore, more interest is earned on previously-earned interest. The annuity in part (b) is compounded less frequently; therefore, more interest is earned on previously-earned interest. The annuity in part (b) is compounded more frequently; therefore, more interest is earned on previously-earned interest.

Answers

The future values of the given ordinary annuities are: a. $5,348.39 and b. $5,875.81.

c. The annuity in part b ends up larger than the one in part a because the annuity in part (b) is compounded more frequently; therefore, more interest is earned on previously-earned interest. Therefore, the correct option is option 5.

To find the future values of the ordinary annuities, we'll use the future value of annuity formula:

FV = P * [(1 + r)^n - 1] / r,

where P is the payment amount, r is the interest rate per period, and n is the number of periods.

a. FV of $400 paid each 6 months for 5 years at a nominal rate of 15% compounded semiannually:

P = $400, nominal rate = 15% (0.15), and compounding semiannually, so r = 0.15/2 = 0.075, and n = 5 years * 2 = 10 periods.

FV = $400 * [(1 + 0.075)^10 - 1] / 0.075 = $400 * (2.0064 - 1) / 0.075 ≈ $5,348.39

b. FV of $200 paid each 3 months for 5 years at a nominal rate of 15% compounded quarterly:

P = $200, nominal rate = 15% (0.15), and compounding quarterly, so r = 0.15/4 = 0.0375, and n = 5 years * 4 = 20 periods.

FV = $200 * [(1 + 0.0375)^20 - 1] / 0.0375 = $200 * (2.1037 - 1) / 0.0375 ≈ $5,875.81

c. These annuities receive the same amount of cash during the 5-year period and earn interest at the same nominal rate, yet the annuity in part b ends up larger than the one in part a. The annuity in part b ends up larger than the one in part a because the annuity in part (b) is compounded more frequently; therefore, more interest is earned on previously-earned interest. Hence, option 5 is the correct answer.

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