to make this proprietary information available to sales reps to share with customers concerns thad because of the risk of information getting to his company's competitors. what would theoretically protect the information in this scenario? a. nda b. automation c. bom d. encryption

Answers

Answer 1

In order to protect proprietary information while still making it available to sales reps to share with customers, there are a few options to consider. One of the most common solutions is the use of a Non-Disclosure Agreement (NDA). The correct option is a.

An NDA is a legal agreement that outlines the confidential information that is being shared, who has access to it, and the consequences for breaching the agreement. By having sales reps sign an NDA, the company can protect their proprietary information from being shared with competitors.

Another option to consider is automation. This could involve implementing technology solutions that automate the process of sharing information with customers while ensuring that it is secure and only accessible to authorized users. This could include a secure online portal or platform that requires a login and password to access the information.A Bill of Materials (BOM) could also be used to protect proprietary information. A BOM is a list of all the materials and components needed to create a product. By only providing certain parts of the BOM to sales reps, the company can limit the amount of proprietary information that is shared.Finally, encryption is another option to consider. Encryption involves using a code to scramble data, making it unreadable without a key to unlock it. By encrypting proprietary information, the company can ensure that even if it is intercepted, it cannot be read or used by competitors. In summary, there are several options available to protect proprietary information while still making it available to sales reps to share with customers. These options include NDAs, automation, BOMs, and encryption. The best solution will depend on the specific needs and requirements of the company and the information being shared.

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Related Questions

consider a hypothetical economy where there are no taxes and no international trade. households spend $0.60 of each additional dollar they earn and save the remaining $0.40. if there are no taxes and no international trade, the oversimplified multiplier for this economy is [ select ]

Answers

This means that for each additional dollar spent in the economy, the overall economic output will increase by $2.50 due to the multiplier effect.

In this hypothetical economy with no taxes and no international trade, households spend $0.60 of each additional dollar they earn and save the remaining $0.40.

The oversimplified multiplier for this economy can be calculated using the marginal propensity to consume (MPC), which is the portion of additional income that households spend on consumption. In this case, the MPC is 0.60.

The multiplier effect refers to the increase in overall economic activity resulting from an initial increase in spending. To calculate the multiplier, you can use the formula:

Multiplier = 1 / (1 - MPC)

In this scenario, the multiplier would be:

Multiplier = 1 / (1 - 0.60) = 1 / 0.40 = 2.5

Since there are no taxes and no international trade, this simplified multiplier will help us understand the overall impact of increased spending on this hypothetical economy's output.

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selecting the single best portfolio along the efficient frontier for a particular investor depends on being able to accurately assess the investor's personal preferences for expected return and risk. group of answer choices true false

Answers

The efficient frontier represents the set of optimal portfolios that maximize expected return for a given level of risk.It is true.

However, the selection of the single best portfolio along the efficient frontier depends on the investor's personal preferences for expected return and risk. The investor's risk tolerance, investment goals, and financial situation are all factors that should be considered when choosing the most appropriate portfolio.
True, selecting the single best portfolio along the efficient frontier for a particular investor depends on being able to accurately assess the investor's personal preferences for expected return and risk. The efficient frontier represents a set of optimal portfolios that offer the highest expected return for a given level of risk, or the lowest risk for a given expected return. By understanding the investor's personal preferences, one can choose the most suitable portfolio along the efficient frontier that aligns with their desired risk and return levels.

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how much cash will zang raise net of the spread (use the rounded offer price)? write out your answer completely. for example, 5 million should be entered as 5,000,000. round your answer to the nearest dollar.

Answers

Zang will raise approximately $48,500,000 net of the spread.

To calculate the amount, we need to multiply the number of shares being offered (5,000,000) by the offer price per share ($10), which gives us $50,000,000. Next, we need to subtract the underwriting discount (5%) from the total offering amount, which comes out to be $2,500,000. Finally, rounding off the answer to the nearest dollar, we get the final amount of approximately $48,500,000. Therefore, Zang will raise $48,500,000 net of the spread.

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The most important thing in website design is for a website is to
a. Get people to buy what the website owner is selling
b. Be clean and uncluttered so users can find what they are looking for easily
c. Include a call to action above the fold

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In website design, it is important to create a website that is clean and uncluttered so users can find what they are looking for easily.

Website design involves the creation of websites and encompasses several different aspects including webpage layout, graphic design, and content production. The primary goal of website design is to create a website that is user-friendly and meets the needs of the website's target audience.
The website design should also include a call to action (CTA) above the fold. The CTA is a marketing term that refers to an element of a webpage that encourages users to take a specific action, such as signing up for a newsletter or making a purchase. Placing the CTA above the fold ensures that users see it immediately upon landing on the webpage, increasing the likelihood that they will take the desired action.
In addition to a clean and uncluttered design and an effective CTA, website design should also focus on mobile responsiveness. More and more users are accessing websites via their mobile devices, so it is essential that websites are optimized for mobile use. This includes ensuring that the website is easy to navigate on a small screen and that the content is formatted in a way that is easy to read on a mobile device.
Another important aspect of website design is the use of high-quality images and videos. These elements can help to engage users and create a more immersive experience on the website. However, it is important to ensure that images and videos are optimized for web use to prevent slow loading times and other technical issues.

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When prices are free to adjust over time, the market price of a good tends to: A. rise above the equilibrium price in the long run.
B. equal the equilibrium price in the long run.
C. fall below the equilibrium price in the long run.
D. have no specific relationship to the equilibrium price.

Answers

When prices are free to adjust over time, the market price of a good tends to equal the equilibrium price in the long run.

In a competitive market, prices are determined by the intersection of supply and demand, which is the equilibrium point. When the market is allowed to freely adjust prices over time, any deviations from the equilibrium price will be corrected as buyers and sellers adjust their behavior to reach the equilibrium point.

A. in the long term, increase above the equilibrium price.

B. eventually reach an equilibrium price.

C. eventually drop below the equilibrium price.

D. are unrelated to the equilibrium price in any way.

When prices are free to adjust over time, the forces of supply and demand will work together to reach a point where the quantity demanded equals the quantity supplied. In the long run, the market price of a good will tend to equal the equilibrium price because buyers and sellers will continuously adjust their behaviors in response to changes in supply and demand, eventually stabilizing the market at the equilibrium point.

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barry's bbq had sales revenue for the year of $200 million and net income of $75 million. total assets were $60 million at the beginning of the year, and $70 million at the end of the year. calculate barry's return on assets, profit margin, and asset turnover ratios. (do not round intermediate calculations. round your answers to 1 decimal place.)

Answers

Barry's return on assets (ROA) and net sales is approximately 1.2, profit margin is 37.5%, and asset turnover ratio is 3.1.

To ascertain Barry's profit from resources (ROA), we want to separate the overall gain by the normal complete resources.

Net gain = $75 million

Normal absolute resources = (Starting complete resources + Finishing all out resources)/2

= ($60 million + $70 million)/2

= $65 million

ROA = Overall gain/Normal complete resources

= $75 million/$65 million

≈ 1.1538

Barry's profit from resources is roughly 1.2.

To work out the net revenue, we partition the overall gain by the deals income.

Net revenue = Net gain/Deals income

= $75 million/$200 million

= 0.375

Barry's net revenue is 0.375 or 37.5%.

Finally, to compute the resource turnover proportion, we partition the deals income by the normal all out resources.

Resource turnover proportion = Deals income/Normal complete resources

= $200 million/$65 million

≈ 3.0769

Barry's resource turnover proportion is roughly 3.1.

These proportions give bits of knowledge into Barry's productivity in creating benefits comparative with its resources, benefit, and capacity to produce deals in light of its resource base.

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if a playstation 5 costs 40,000 yen in japan, how much will it cost in u.s. dollars if the exchange rate is

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The cost of a PlayStation 5 in Japan is 40,000 yen, which is the equivalent of approximately 364 U.S. dollars at the current exchange rate of 1 yen to 0.0091 U.S. dollars.while the current exchange rate suggests that a PlayStation 5 in Japan would cost approximately 364 U.S. dollars.

However, it is important to note that exchange rates can be volatile and can change rapidly depending on economic conditions and political events. Therefore, the actual cost of a PlayStation 5 in U.S. dollars may vary depending on the exchange rate at the time of purchase.

It is also important to consider additional costs that may be associated with purchasing a PlayStation 5 in Japan and having it shipped to the United States. Shipping costs, import taxes, and customs fees can all add to the total cost of the console. Additionally, availability of the PlayStation 5 in Japan may be limited, leading to higher prices from resellers or importers.

In conclusion, while the current exchange rate suggests that a PlayStation 5 in Japan would cost approximately 364 U.S. dollars, it is important to consider additional costs and potential fluctuations in the exchange rate when calculating the actual cost of the console in U.S. dollars.

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an installment note that is secured by the purchased asset is called a(n)

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An installment note that is secured by the purchased asset is called a "secured installment note" or a "secured loan."

In a secured installment note, the borrower agrees to make a series of payments to the lender over time, with interest, until the entire balance of the loan is repaid.

The asset being purchased serves as collateral for the loan, which means that if the borrower fails to make the required payments, the lender can take possession of the asset to recover the amount owed.

Examples of secured installment notes include car loans and home mortgages, where the purchased car or house serves as collateral for the loan.

The advantage of a secured installment note is that it typically has lower interest rates than an unsecured loan, where the borrower does not provide any collateral.

This is because the lender has some security in the form of the collateral, which reduces their risk of loss if the borrower defaults on the loan.

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Which of the following problems is particularly common for data that have been gathered over time?
A) wrong granularity
B) lack of integration
C) lack of consistency
D) missing values

Answers

The problem that is particularly common for data gathered over time is the "lack of consistency." Over time, changes may occur in the data collection process, leading to variations in data quality, formats, and definitions. Moreover, personnel changes, technology changes, and other factors can also impact data consistency.

This can make it challenging to draw meaningful insights from the data, as the inconsistencies can lead to errors, duplication, and other issues. To address this problem, it is essential to establish clear data standards and ensure that all data is collected and recorded consistently. Additionally, regular data audits can help identify and resolve any inconsistencies that may arise. By addressing the issue of data consistency, organizations can improve the quality of their insights and make more informed decisions.

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g a corporation is authorized to issue 100,000 shares of $2 common stock, the corporation should report paid-in capital from the authorization of common stock of:

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The corporation should report paid-in capital from the authorization of common stock of $200,000 (100,000 shares x $2 par value).

When a corporation is authorized to issue a certain number of shares at a designated par value, it means that they have the permission to issue that many shares to the public or investors. In this scenario, the corporation is authorized to issue 100,000 shares of $2 common stock. This means that the corporation should report paid-in capital from the authorization of common stock of $200,000. Paid-in capital is the amount of money a corporation receives for the shares they issue above their par value. In this case, if the corporation issues the 100,000 shares of $2 common stock at a price above $2, the difference between the selling price and par value will be reported as paid-in capital.

The authorization of common stock means that the corporation has the permission to issue a certain number of shares at a designated par value. In this scenario, the corporation is authorized to issue 100,000 shares of $2 common stock. The corporation should report paid-in capital from the authorization of common stock of $200,000, which is calculated by multiplying the number of authorized shares with the par value of the stock. Paid-in capital is important because it represents the amount of money a corporation receives for the shares they issue above their par value.

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when using a non approved form to buy and sell real estate who must prepare it

Answers

When using a non approved form to buy and sell real estate, it is important to note that the responsibility for preparing the document falls on the individual or party who is creating it.

What is recommended ?

In general, it is advisable to use approved forms for buying and selling real estate, as these have been carefully crafted to meet legal requirements and protect all parties involved in the transaction.

However, in some cases, a non approved form may be used, such as in private sales between individuals.

In these situations, it is crucial that the person preparing the document understands the legal requirements for real estate transactions and ensures that the document is properly executed and legally binding.

Failure to do so could result in legal disputes or financial losses.

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feedback works best when it is given in _____ amounts and ______ feedback is provided.

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Feedback works best when it is given in moderate amounts and constructive feedback is provided.

Giving feedback in moderate amounts means that it is not overwhelming for the recipient and allows them to focus on specific areas for improvement.

When feedback is provided in large amounts, it can be difficult for the recipient to process and may lead to frustration or discouragement. Constructive feedback is also important because it provides specific examples and suggestions for improvement. This type of feedback focuses on the behavior or performance, rather than personal attacks or generalizations. Constructive feedback allows the recipient to understand what they need to do differently and how they can improve their performance. Additionally, it is important to ensure that feedback is timely and consistent. This means that feedback should be provided as close to the performance or behavior as possible, and on a regular basis. In summary, feedback works best when it is given in moderate amounts, constructive feedback is provided, and it is timely and consistent. These factors can help ensure that feedback is effective in improving performance and behavior.

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if supply is unchanged, a rightward shift in the demand curve for gourmet ice cream will result in:

Answers

If the supply for gourmet ice cream remains unchanged, a rightward shift in the demand curve means that there is an increase in the quantity demanded at every price point.

What is the reason?

This could be due to factors such as a change in consumer preferences or an increase in the population of individuals who enjoy gourmet ice cream.

As a result of this increased demand, there will be a shortage of gourmet ice cream in the market, which will lead to an increase in its price.

This price increase will incentivize suppliers to increase the production of gourmet ice cream to take advantage of the higher profits, which will eventually lead to an increase in the supply of gourmet ice cream and a return to equilibrium.

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_____ increases an employee's ability to move into jobs that may not yet exist.

Answers

Developing a diverse skill set increases an employee's ability to move into jobs that may not yet exist.

The pace of change in the labor market and in the broader economy is accelerating, driven by technological advances and other macroeconomic factors. As a result, many jobs that exist today may become obsolete in the future, while entirely new roles may emerge that do not yet exist. For employees, this can be both an opportunity and a challenge. On the one hand, this means there are many exciting new opportunities to explore, with the potential for rapid career development and new areas of specialization for. On the other hand, it also means that employees need to be very flexible and learn new skills quickly and acquire knowledge and keep abreast of emerging trends and technologies. One way to improve an employee's ability to take on jobs that may not already exist is to focus on developing a variety of skills. This means acquiring a wide range of skills that can be applied to different areas, rather than being narrowly focused on one subject. For example, an employee with a strong background in computer programming may also benefit from developing skills in data analysis, project management and communication, as these skills can be useful in a variety of professional contexts. Employees can not only develop a variety of skills, but also benefit from being up to date with new trends and technologies in their field. This may include reading industry publications, attending conferences and networking events, or attending courses and seminars to learn new skills and techniques.By staying ahead of the competition, employees can position themselves as thought leaders in their field, making them more attractive to potential employers and increasing their chances of rapid growth opportunities. Ultimately, the ability to take on roles that may not yet exist requires a combination of adaptability, agility, and a willingness to take risks and explore new areas of interest. By cultivating these traits and focusing on developing diverse skills, employees can thrive over the long term in an ever-changing job market.

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Words such as "best," "greatest," and "finest" used in advertising are examples of:
A) deceptive advertising
B) misleading advertising
C) standard industry practices
D) puffery

Answers

The words "best," "greatest," and "finest" used in advertising are examples of puffery. The correct option is D).

Puffery is a marketing technique that involves exaggerated or subjective claims that are unlikely to be proven true or false, and therefore, are not considered deceptive or misleading.

Puffery is used to attract attention and create a positive image of a product or service in the minds of consumers, without making specific claims that could be challenged or proven false.

Puffery is a common practice in advertising and is often used to promote products or services that are difficult to differentiate from those of competitors.

Advertisers use subjective language to create a positive association with their brand, without making specific claims that can be challenged.

For example, a soft drink company may advertise that their product is the "best-tasting" or the "most refreshing," without providing any specific evidence to support those claims.

While puffery is not considered deceptive or misleading, advertisers must be careful not to make false claims or engage in other types of deceptive advertising practices that could mislead consumers.

Puffery is generally accepted as a standard industry practice and is not regulated by the Federal Trade Commission (FTC).

However, advertisers must be careful to avoid making claims that could be interpreted as misleading or deceptive, as this could result in legal action or damage to their brand reputation. Therefore, the correct option is D).

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.The key behavioral assumption of the cartel theory is that oligopolists in an industry
a. try to maximize revenue instead of profits.
b. act as if they are perfect monopolistic competitors.
c. act in a manner consistent with there being only one firm in the industry.
d. try to manipulate government into subsidizing their activities.
e. b and d

Answers

The key behavioral assumption of the cartel theory is that oligopolists in an industry **act in a manner consistent with there being only one firm in the industry**.

Under the cartel theory, firms in an oligopoly act together to maximize their joint profits, as if they were a single monopolistic entity. This often involves colluding to restrict output or raise prices in order to increase profits. By acting as a single entity, oligopolists can achieve higher profits than they would in a competitive market, but this behavior can harm consumers by leading to higher prices and reduced output. Governments often attempt to regulate or break up cartels in order to promote competition and protect consumers.

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the use of taxing and spending powers to shape the economy is part of ________ policy.

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The use of taxing and spending powers to shape the economy is part of fiscal policy.

Fiscal policy is the use of government spending and taxation to influence the economy. The goal of fiscal policy is to achieve various macroeconomic objectives, such as full employment, price stability, and economic growth.

Fiscal policy can be expansionary or contractionary, depending on whether the government is increasing spending and cutting taxes to stimulate the economy, or decreasing spending and raising taxes to cool down an overheating economy.

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a sector fund is a mutual fund that tries to maximize the degree of diversification. T/F

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False: A sector fund is a mutual fund that invests primarily in a specific sector or industry, such as technology or healthcare.

A sector fund is a mutual fund that invests primarily in a specific sector or industry, such as technology or healthcare.

The goal is not necessarily to maximize diversification but rather to focus on a particular area of the market in order to potentially achieve higher returns.

While sector funds may still be diversified within that sector, they may not provide the same level of diversification as a more broadly diversified fund.

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T/F Ideally, permanent current assets should be financed exclusively with short term borrowings.

Answers

False. Ideally, permanent current assets should be financed with long-term or permanent sources of financing. Permanent current assets are assets that a company needs to operate its business, such as inventory, accounts receivable, and fixed assets.

These assets are expected to be held for a long time and are not likely to be converted into cash quickly. As such, they require a more stable and predictable source of financing. Short-term borrowings, on the other hand, are usually used to finance temporary or seasonal needs and are not suitable for financing permanent current assets. Short-term borrowings come with higher interest rates and must be repaid within a year, which can create cash flow problems for the company if it is unable to generate sufficient cash to repay the loan.
Financing permanent current assets with long-term or permanent sources of financing, such as equity, bonds, or loans, provides a more stable and predictable source of funding. These sources of financing are less risky and come with lower interest rates, which can help reduce the overall cost of financing for the company.

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wyatt oil has 8 million shares outstanding and is about to issue 10 million new shares in an ipo. the ipo price has been set at $15 per share, and the underwriting spread is 6%. the ipo is a big success with investors, and the share price rises to $35 on the first day of trading. suppose that the post ipo value of wyatt is its fair market value. suppose wyatt could have issued shares directly to investors at their fair market value, in a perfect market with no underwriting spread and no underpricing. if you raise the same amount of funds that you would have with the investment banker handling the underwriting, the share price in this case is closest to: group of answer choices $35. $37. $46. $61.

Answers

The share price in this scenario is most closely associated with $35 if you raise the same amount of money that you would have with the investment banker handling the underwriting. Here option A is the correct answer.

The total funds raised by the IPO would be:

$15 IPO price x 10 million new shares = $150 million

The underwriting spread is 6%, which means the investment bank earns:

$150 million x 6% = $9 million

So, the net funds raised by the company would be:

$150 million - $9 million = $141 million

After the IPO, the total number of shares outstanding would be:

8 million existing shares + 10 million new shares = 18 million shares

The fair market value of the company after the IPO, based on the first-day trading price of $35 per share, would be:

$35 per share x 18 million shares = $630 million

If the company had issued the same 10 million shares directly to investors at their fair market value, they would have raised:

$35 per share x 10 million shares = $350 million

To raise the same amount of funds as in the IPO, the company would need to issue:

$141 million / $35 per share = 4.03 million shares

Therefore, the total number of shares outstanding after issuing these additional shares would be:

18 million existing shares + 4.03 million new shares = 22.03 million shares

And the fair market value of the company would be:

$35 per share x 22.03 million shares = $770.95 million

The share price, in this case, would be:

$770.95 million / 14.03 million shares = $34.86 per share

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Complete question:

Wyatt oil has 8 million shares outstanding and is about to issue 10 million new shares in an ipo. the ipo price has been set at $15 per share, and the underwriting spread is 6%. the ipo is a big success with investors, and the share price rises to $35 on the first day of trading. suppose that the post ipo value of wyatt is its fair market value. suppose wyatt could have issued shares directly to investors at their fair market value, in a perfect market with no underwriting spread and no underpricing. if you raise the same amount of funds that you would have with the investment banker handling the underwriting, the share price in this case is closest to: group of answer choices

A - $35.

B - $37.

C - $46.

D - $61.

which of the following are examples of a portfolio? multiple select question. holding $100,000 in cash to buy after five years 100 shares of the best performing stock on the nyse holding $100,000 investment in a combination of stocks and bonds investing $100,000 in a combination of u.s. and asian stocks investing $100,000 in the stocks of 50 publicly traded corporations

Answers

investing in a combination of stocks and bonds, investing in a mix of U.S. and Asian stocks, or investing in a basket of stocks of 50 publicly traded corporations can all be considered examples of a portfolio.

The following options are examples of a portfolio:

Holding $100,000 investment in a combination of stocks and bonds

Investing $100,000 in a combination of U.S. and Asian stocks

Investing $100,000 in the stocks of 50 publicly traded corporations

A portfolio is a collection of investments such as stocks, bonds, and other assets held by an investor. The main objective of creating a portfolio is to maximize returns while minimizing risk by diversifying investments across different asset classes and sectors. A diversified portfolio reduces the risk of losses due to the poor performance of a single investment and helps to spread out the risk. Therefore, investing in a combination of stocks and bonds, investing in a mix of U.S. and Asian stocks, or investing in a basket of stocks of 50 publicly traded corporations can all be considered examples of a portfolio.

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ricardo wants to sell his racing bike on craigslist. which form of e-commerce would ricardo use?

Answers

Ricardo wants to sell his racing bike on Craigslist. In this situation, Ricardo would use the Consumer-to-Consumer (C2C) form of e-commerce.

C2C stands for consumer-to-consumer, which means that individuals sell goods or services to other individuals through online marketplaces like Craigslist. C2C e-commerce is popular because it allows people to sell items they no longer need or want directly to others, without the need for a middleman like a retailer.

In this case, Ricardo is the consumer who wants to sell his racing bike to another consumer who is interested in buying it. He can post a listing on Craigslist, including details about the bike, its condition, and the price he is asking for it. Interested buyers can then contact Ricardo directly to arrange a transaction. C2C e-commerce is a convenient way for people to buy and sell goods, especially for items that are too big or bulky to be easily shipped.

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luther industries is in the process of selling shares of stock in an auction ipo. at the end of the bidding period, luther's investment bank has received the following bids: price ($) number of shares bid $19.50 50,000 $19.25 25,000 $19.10 25,000 $19.00 100,000 $18.75 125,000 $18.50 75,000 $18.25 150,000 $18.00 240,000 $17.75 80,000 $17.50 125,000 $17.25 150,000 $17.00 100,000 $16.90 60,000 $16.75 80,000 $16.50 75,000 $16.25 200,000 what will the offer price of these shares be if luther is selling 1 million shares? group of answer choices $17.00 $17.50 $17.25 $16.75

Answers

Luther can sell 1 million shares at a price of $17.25 per share. The offer price of these shares will be $17.25.

To determine the offer price of these shares, we need to find the price at which Luther can sell 1 million shares. We can do this by adding up the number of shares bid at each price level until we reach 1 million shares. The table below shows the cumulative shares and total proceeds at each price level:

Price ($) Cumulative Shares Total Proceeds

$19.50 50,000 $975,000

$19.25 75,000 $1,443,750

$19.10 100,000 $1,885,000

$19.00 200,000 $3,770,000

$18.75 325,000 $5,753,125

$18.50 400,000 $7,300,000

$18.25 550,000 $9,882,500

$18.00 790,000 $13,375,000

$17.75 870,000 $15,463,125

$17.50 995,000 $17,408,125

$17.25 1,145,000 $19,697,500

$17.00 1,245,000 $21,166,250

$16.90 1,305,000 $21,952,500

$16.75 1,385,000 $23,126,875

$16.50 1,460,000 $24,066,250

$16.25 1,660,000 $27,005,000

Based on this analysis, Luther can sell 1 million shares at a price of $17.25 per share, which is the price at which it will reach the 1,145,000 share level. Therefore, the offer price of these shares will be $17.25.

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the part of a city's economy that produces exports is called the nonbasic sector.T/F

Answers

False.The part of a city's economy that produces exports is called the basic sector, while the nonbasic sector refers to the part of the economy that produces goods and services consumed by the local population.

Consumed" in this context refers to goods and services that are used up or consumed by the local population within the city, rather than being exported to other markets. Examples of nonbasic sector industries might include restaurants, retail stores, and other service providers that cater primarily to local customers. In contrast, basic sector industries such as manufacturing or technology firms tend to produce goods or services that are sold to customers outside of the local area, bringing income and economic growth into the city.

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an internationally diversified portfolio: a) should result in a portfolio with a lower beta than a purely domestic portfolio. b) has the same overall risk shape as a purely domestic portfolio. c) is only about 12% as risky as the typical individual stock. d) all of the above d) all of the above

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All of the above are correct in an internationally diversified portfolio i.e., should result in a portfolio with a lower beta than a purely domestic portfolio,  It has the same overall risk shape as a purely domestic portfolio. and is only about 12% as risky as the typical individual stock.

Investors who like to diversify their holdings by avoiding domestic-only portfolios are drawn to those with an international focus. Due to the potential for political and economic unrest in some emerging nations, this sort of portfolio may be associated with higher risks.

An approach to risk management called international diversification spreads the risk over a number of different geographic areas in an effort to lower volatility. This entails not only buying stock in businesses with varying sizes, business models, and areas of operation, but also distributing assets throughout several regions and nations. These nations would likely exhibit poor correlation and differing responses to market and economic developments. This has the long-term goal of lowering the volatility of the returns on the portfolio.

Option D is the correct answer.

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7. which of the following best explains why the monopolist's marginal revenue is less than the sales price? a. to sell more units, the monopolist must reduce price on all units sold. b. as the monopolist expands output, the average total cost will decline. c. the monopolist charges each consumer the highest possible price. d. when a firm has a monopoly, consumers have no choice other than to pay the price set by the monopolis

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The correct answer is A - to sell more units, the monopolist must reduce price on all units sold.

This is because a monopolist has market power and can control the price of its product. However, to sell more units, it must lower the price for all units sold, leading to a lower marginal revenue than the sales price. Option B is incorrect as it refers to average total cost, which is not directly related to marginal revenue. Option C is incorrect as the monopolist charges each consumer the highest possible price, but this does not explain why the marginal revenue is less than the sales price. Option D is incorrect as it refers to consumer choice, which is not directly related to the relationship between marginal revenue and sales price.

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for truly sustainable marketing to occur, what is required of the marketing system?

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For truly sustainable marketing to occur, the following requirements must be met by the marketing system: Environmental responsibility and etc.

Environmental responsibility: The marketing system must be environmentally responsible by reducing waste, conserving resources, and minimizing its impact on the environment.

Social responsibility: The marketing system must be socially responsible by promoting fair trade, supporting diversity, and addressing social issues such as poverty, inequality, and health.

Economic sustainability: The marketing system must be economically sustainable by promoting long-term economic growth and stability, supporting local communities, and creating jobs.

Ethical behavior: The marketing system must be ethical by promoting honesty, integrity, and fairness in all business practices.

Innovation: The marketing system must be innovative by continuously improving products, services, and marketing techniques to meet the changing needs and preferences of consumers.

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Which of the following should an auditor do when control risk is assessed at the maximum level? a. Perform more tests of controls. b. Document the assessment. c. Perform fewer substantive tests of details. d. Document the control structure more extensively.

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When control risk is assessed at the maximum level, an auditor should perform more tests of controls (option a). This is because a higher control risk indicates that there may be significant weaknesses in the organization's internal control system, which could lead to material misstatements in the financial statements.

In such a scenario, the auditor needs to increase their testing of controls to obtain sufficient appropriate audit evidence about the effectiveness of those controls.

By performing more tests of controls, the auditor can better understand the extent of the weaknesses and determine the appropriate level of substantive testing required to reduce the overall audit risk.

It is also essential for the auditor to document the assessment (option b), as this forms a part of the audit evidence and helps demonstrate that the auditor has followed the required procedures.

However, when control risk is at the maximum level, performing fewer substantive tests of details (option c) would not be appropriate, as this could lead to an insufficient amount of audit evidence being gathered.

Lastly, while documenting the control structure more extensively (option d) can provide useful information, it does not directly address the issue of high control risk. The primary focus should be on increasing tests of controls and adjusting substantive testing accordingly.

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Large countries can improve their welfare by levying a tariff only if it does not A) encourage rent seeking elsewhere in the economy. B) discourage innovation. C) lead to retaliation by the nation's trading partners. D) All of the above. E) None of the above.

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D) All of the above, Large countries can improve their welfare by levying a tariff only if it does not lead to retaliation by the nation's trading partners, discourage innovation, encourage rent-seeking elsewhere in the economy, or discourage production in the domestic economy.

If the tariff does not lead to retaliation, the domestic industry will benefit from increased protection and may produce more output. If the tariff does not discourage innovation, the domestic industry will have access to more resources to invest in research and development, leading to improved productivity and competitiveness. If the tariff does not encourage rent-seeking elsewhere in the economy, the government will not divert resources away from productive activities to less productive activities. If the tariff does not discourage production in the domestic economy, the domestic industry will have access to more resources to produce more output, leading to improved welfare.  

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Fingertips, Inc. had the following financial data for the year ended December 31, 2017.
Cash$44,000Cash equivalents$77,000Long term investments$58,000Total current liabilities$149,000
What is the cash ratio as of December 31, 2017, for Fingertips, Inc.?
a. 0.30
b. 0.39
c. 0.81
d. 0.48

Answers

The cash ratio for Fingertips, Inc. as of December 31, 2017, is 0.81. The cash ratio is a financial ratio that measures a company's ability to pay off its current liabilities using its cash and cash equivalents.

It is calculated by dividing the sum of a company's cash and cash equivalents by its total current liabilities.

Using the given financial data for Fingertips, Inc., we can calculate its cash ratio as follows:

Cash + Cash Equivalents / Total Current Liabilities

= ($44,000 + $77,000) / $149,000

= $121,000 / $149,000

= 0.81

Therefore, the cash ratio for Fingertips, Inc. as of December 31, 2017, is 0.81.

This indicates that Fingertips, Inc. has sufficient cash and cash equivalents to pay off its current liabilities. A high cash ratio is generally a good indicator of a company's financial health, as it means that the company has enough liquid assets to cover its short-term obligations. However, a very high cash ratio could also indicate that the company is holding onto excess cash that could be better utilized in other ways, such as investments or dividends.

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