Two investment options are as follows.
Choice 1: Payments of $ 2500 now, $ 3000 a year from now, and $ 3560 two years from now.
Choice 2. Three yearly payments of $ 3000 starting now.
Assume interest is compounded continuously
(a) If the interest rate on savings were 6.74 %, which would you prefer? 2
(Type in 1 for Choice 1, or 2 for Choice 2)
(b) What is the interest rate that would make both choices equally lucrative? Enter an EXACT answer using a logarithm (NO DECIMALS). |

Answers

Answer 1

(a) Two investment options are given as follows: Choice 1: Payments of $2500 now, $3000 a year from now, and $3560 two years from now. Choice 2. Three yearly payments of $3000 starting now. Assume interest is compounded continuously.

Now, the given interest rate is 6.74%.We have to find out which option is preferred.(i) Choice 1:Payments of $2500 now is worth $2500 after 0 years.$3000 a year from now is worth 3000*e^(0.0674*1) = $3208.54 after 1 year.$3560 two years from now is worth 3560*e^(0.0674*2) = $3945.70 after 2 years.

Total amount received by choosing Choice 1 = $2500 + $3208.54 + $3945.70 = $9654.24(ii) Choice 2:Three yearly payments of $3000 starting now is worth $3000+3000*e^(0.0674*1)+3000*e^(0.0674*2) = $9413.46Total amount received by choosing Choice 2 = $9413.46Therefore, Choice 2 is preferred over Choice .

To know more about investment visit:

https://brainly.com/question/14921083

#SPJ11


Related Questions

Calculating Weighted Average Cost of Capital and Economic Value Added (EVA) Ignacio, Inc, had after-tax operating income last year of $1,195,000. Three sources of financing were used by the company: $2 million of mortgage bonds paying 4 . percent interest, $4 million of unsecured bonds paying 6 percent interest, and $10 million in common stock, which was considered to be fefatively risky (with a risk premium of 8 percent). The rate on long-term treasuries is 3 percent. Ignacio, Inc., pays a marginal tax rate of 30 percent. Required: 1. Calculate the after-tax cost of each method of financing. Enter your answers as decimal values rounded to three places. For example, 4.36% would be entered as ".044". Mortgage bonds Unsecured bonds Common stock 2. Calculate the weighted average cost of capital for Ignacio, Inc. Round intermediate calculations to four decimal places. Round your final answer to foui decimal places before converting to a percentage. For example, .06349 would be rounded to .0635 and entered as "6.35" percent. Calculote the total dollar amount of capital employed for Ignacio, Inc. 3. Calculate economic value added (EVA) for Ignacio, Inc, for last year, If the EVA is negative, enter your answer as a negative amount. 2. Calculate the weighted average cost of capital for Ignacio, Inc. Round intermediate calculations to four decimal places. Round your final answer to four decimal places before converting to a percentage. For example, .06349 would be rounded to .0635 and entered as "6.35" percint. ψ 0

Calculate the total doilar amount of capital employed for Ignacio, Inc. 3. Calculate economic value added (EVA) for Ignacio, Inc, for last year. If the EVA is negative, enter your answer as a negative amount. Is the company creating or destroying wealth? 4. What if Ignacio, Inci, had common stock which was less risky than other stocks and commanded a risk premium of 5 percent? How would that alfect the wightec. average cost of capital? What is the new EVA? In your calculations, round weighted average percentage cost of capital to four decimal places. If the EVA is negative, enter your annwer as a negative amount. salculate the total dollar amount of capital employed for Ignacio, Inc. 3. Calculate economic value added (EVA) for Ignacio, Inc., for last year. If the EVA is negative, enter your answer as a nega Is the company creating or destroying wealth? 4. What if Ignacio, Inc., had common stock which was less risky than other stocks and commanded a risk premium of 5 pe average cost of capital? EVA? In your calculations, round weighted average percentage cost of capital to four decimal places. gative amount.

Answers

Answer:

Weight of Common stock (adjusted) = Common stock / Total capital employed = $10,000,000 / ($2,000,000 + $4,000,000 + $10,000,000) = 0.6667

Adjusted WACC = (0.

Explanation:

To calculate the weighted average cost of capital (WACC) and economic value added (EVA) for Ignacio, Inc., we need to follow the provided information and perform the necessary calculations. Let's go step by step:

Step 1: Calculate the after-tax cost of each method of financing.

Mortgage bonds:

After-tax cost = Interest rate * (1 - Tax rate)

= 4.4% * (1 - 0.3) = 0.044 * 0.7 = 0.0308

Unsecured bonds:

After-tax cost = Interest rate * (1 - Tax rate)

= 6% * (1 - 0.3) = 0.06 * 0.7 = 0.042

Common stock:

After-tax cost = Risk-free rate + Risk premium

= 3% + 8% = 0.03 + 0.08 = 0.11

Step 2: Calculate the weighted average cost of capital (WACC).

WACC = (Weight of Mortgage bonds * After-tax cost of Mortgage bonds) + (Weight of Unsecured bonds * After-tax cost of Unsecured bonds) + (Weight of Common stock * After-tax cost of Common stock)

Weight of Mortgage bonds = Mortgage bonds / Total capital employed = $2,000,000 / ($2,000,000 + $4,000,000 + $10,000,000) = 0.1111

Weight of Unsecured bonds = Unsecured bonds / Total capital employed = $4,000,000 / ($2,000,000 + $4,000,000 + $10,000,000) = 0.2222

Weight of Common stock = Common stock / Total capital employed = $10,000,000 / ($2,000,000 + $4,000,000 + $10,000,000) = 0.6667

WACC = (0.1111 * 0.0308) + (0.2222 * 0.042) + (0.6667 * 0.11)

= 0.00341968 + 0.00933504 + 0.0733377

= 0.08609242

WACC = 8.61% (rounded to four decimal places)

Step 3: Calculate the total dollar amount of capital employed for Ignacio, Inc.

Total capital employed = Mortgage bonds + Unsecured bonds + Common stock

= $2,000,000 + $4,000,000 + $10,000,000

= $16,000,000

Step 4: Calculate economic value added (EVA) for Ignacio, Inc.

EVA = After-tax operating income - (Total capital employed * WACC)

= $1,195,000 - ($16,000,000 * 0.08609242)

= $1,195,000 - $1,376,547.52

= -$181,547.52 (negative value indicates wealth destruction)

Ignacio, Inc. has negative economic value added, which means the company is destroying wealth.

Step 5: Adjust for common stock risk premium change (5% instead of 8%).

Common stock (adjusted):

After-tax cost = Risk-free rate + Risk premium

= 3% + 5% = 0.03 + 0.05 = 0.08

Weight of Common stock (adjusted) = Common stock / Total capital employed = $10,000,000 / ($2,000,000 + $4,000,000 + $10,000,000) = 0.6667

Adjusted WACC = (0.

Learn more about weighted average cost of capital (WACC)here: brainly.com/question/30746642

#SPJ11

Weight of Common stock (adjusted) = Common stock / Total capital employed = $10,000,000 / ($2,000,000 + $4,000,000 + $10,000,000) = 0.6667

To calculate the weighted average cost of capital (WACC) and economic value added (EVA) for Ignacio, Inc., we need to follow the provided information and perform the necessary calculations. Let's go step by step:

Step 1: Calculate the after-tax cost of each method of financing.

Mortgage bonds:

After-tax cost = Interest rate * (1 - Tax rate)

= 4.4% * (1 - 0.3) = 0.044 * 0.7 = 0.0308

Unsecured bonds:

After-tax cost = Interest rate * (1 - Tax rate)

= 6% * (1 - 0.3) = 0.06 * 0.7 = 0.042

Common stock:

After-tax cost = Risk-free rate + Risk premium

= 3% + 8% = 0.03 + 0.08 = 0.11

Step 2: Calculate the weighted average cost of capital (WACC).

WACC = (Weight of Mortgage bonds * After-tax cost of Mortgage bonds) + (Weight of Unsecured bonds * After-tax cost of Unsecured bonds) + (Weight of Common stock * After-tax cost of Common stock)

Weight of Mortgage bonds = Mortgage bonds / Total capital employed = $2,000,000 / ($2,000,000 + $4,000,000 + $10,000,000) = 0.1111

Weight of Unsecured bonds = Unsecured bonds / Total capital employed = $4,000,000 / ($2,000,000 + $4,000,000 + $10,000,000) = 0.2222

Weight of Common stock = Common stock / Total capital employed = $10,000,000 / ($2,000,000 + $4,000,000 + $10,000,000) = 0.6667

WACC = (0.1111 * 0.0308) + (0.2222 * 0.042) + (0.6667 * 0.11)

= 0.00341968 + 0.00933504 + 0.0733377

= 0.08609242

WACC = 8.61% (rounded to four decimal places)

Step 3: Calculate the total dollar amount of capital employed for Ignacio, Inc.

Total capital employed = Mortgage bonds + Unsecured bonds + Common stock

= $2,000,000 + $4,000,000 + $10,000,000

= $16,000,000

Step 4: Calculate economic value added (EVA) for Ignacio, Inc.

EVA = After-tax operating income - (Total capital employed * WACC)

= $1,195,000 - ($16,000,000 * 0.08609242)

= $1,195,000 - $1,376,547.52

= -$181,547.52 (negative value indicates wealth destruction)

Ignacio, Inc. has negative economic value added, which means the company is destroying wealth.

Step 5: Adjust for common stock risk premium change (5% instead of 8%).

Common stock (adjusted):

After-tax cost = Risk-free rate + Risk premium

= 3% + 5% = 0.03 + 0.05 = 0.08

Weight of Common stock (adjusted) = Common stock / Total capital employed = $10,000,000 / ($2,000,000 + $4,000,000 + $10,000,000) = 0.6667

Adjusted WACC = (0.

Learn more about weighted average cost of capital (WACC)  here: brainly.com/question/30746642

#SPJ11

How has increased customer focus in healthcare organizations affected project management?
Provide two detailed examples of areas in a healthcare organization in which customer focus increases the requirements of project management.

Answers

The increased customer focus in healthcare organizations has affected project management in several ways. Previously, healthcare organizations mainly focused on delivering health services, while project management was usually an afterthought.

Customer focus has increased the requirements of project management in the healthcare sector by increasing the need for project managers to be more involved in patient care. Healthcare organizations need to ensure that patients are satisfied with their services, and project management can help achieve this goal. For instance, project management can be used to coordinate patient care by ensuring that patients receive the appropriate care at the right time. This requires project managers to work closely with healthcare providers, such as doctors and nurses, to ensure that patients are receiving the care they need. Additionally, customer focus has increased the need for project managers to be more involved in improving the patient experience. Healthcare organizations are now required to provide quality services that meet the needs of patients. To achieve this, project management can be used to identify areas where improvements can be made, such as reducing wait times and improving the quality of care.

To know more about organizations visit:

https://brainly.com/question/12825206

#SPJ11

Lacy is a single taxpayer with $50,000 of taxable income. Please determine her tax liability assuming that: a. all of her income relates to salary received from her employer. b. the $50,000 of taxable income includes $5,000 of qualified dividend income. Why do you think dividend income and long term capital gain income is taxed at favorable tax rates (i.e., tax rates that are lower than what ordinarily applies)?

Answers

Lacy is a single taxpayer with $50,000 of taxable income. Please determine her tax liability assuming that:

a. all of her income relates to salary received from her employer.Lacy is a single taxpayer with a taxable income of $50,000. Since all of her income is from salary, we will calculate her tax liability based on the standard tax rates.

The tax liability of Lacy will be calculated as follows:

The first $9,950 will be taxed at 10%, which amounts to $995 ($9,950 x 10%).The amount from $9,951 to $40,525 will be taxed at 12%, which amounts to $3,669 (($40,525 - $9,951) x 12%).

Finally, the amount from $40,526 to $50,000 will be taxed at 22%, which amounts to $1,305 (($50,000 - $40,526) x 22%).Thus, Lacy's tax liability on a taxable income of $50,000, all of which relates to salary, will be $5,969 ($995 + $3,669 + $1,305).

b. the $50,000 of taxable income includes $5,000 of qualified dividend income. Qualified dividends are taxed at long-term capital gains rates. they are taxed at lower rates than other types of income. The tax rates applicable to long-term capital gains are favorable to incentivize investment, which helps support the economy in the long run.

The lower tax rates on dividends encourage people to invest in stocks, which helps businesses raise capital to grow and create jobs. When businesses expand, they create more jobs, which leads to economic growth. This is why dividends and long-term capital gains are taxed at lower rates than ordinary income.

To know more about liability visit :

https://brainly.com/question/30805836

#SPJ11

write a discussion about the politics, history, or influences of
certain musical styles , composers, and specific subjects in the
18th-century orchestra musician

Answers

Politics, history, and influences shaped 18th-century music with composers drawing inspiration from literature, mythology, and patronage systems.

The 18th century was a significant period in the development of musical styles and the role of orchestra musicians. Politics, history, and influences played a crucial role in shaping the musical landscape during this time.

One influential musical style of the 18th century was the Classical period, which saw the rise of composers such as Wolfgang Amadeus Mozart, Joseph Haydn, and Ludwig van Beethoven. The Classical style emerged as a reaction against the complexity and ornateness of the Baroque era. It emphasized clarity, balance, and symmetry in composition, reflecting the ideals of the Enlightenment movement that swept across Europe during the 18th century.

The patronage system also influenced the role of orchestra musicians during this period. Composers relied on the support and sponsorship of nobility and the aristocracy to fund their musical endeavors. This meant that composers often composed music specifically to please their patrons, tailoring their compositions to the tastes and preferences of their benefactors. The patronage system had a significant impact on the subject matter and themes explored in compositions.

In terms of specific subjects, music in the 18th century often drew inspiration from literature, mythology, and historical events. Composers like Mozart and Beethoven composed symphonies, operas, and concertos based on stories and characters from mythology and ancient literature. For example, Mozart's opera "The Magic Flute" drew upon Egyptian mythology, while Beethoven's Symphony No. 3, also known as the "Eroica," was initially dedicated to Napoleon Bonaparte as a symbol of heroism.

Politics and historical events also influenced musical compositions. For instance, Haydn's oratorio "The Creation" reflects the religious and philosophical ideas prevalent during the Enlightenment period. Additionally, Beethoven's Symphony No. 9, with its final movement featuring Friedrich Schiller's "Ode to Joy," became a powerful expression of unity and freedom, resonating with the political and social changes happening in Europe at the time.

Furthermore, the 18th-century orchestra musician played a crucial role in bringing these compositions to life. Musicians were skilled instrumentalists who played various instruments such as violins, cellos, flutes, and trumpets, among others. They were an integral part of orchestras, chamber ensembles, and opera houses. Their technical prowess and interpretation of the composer's intentions contributed to the overall impact and success of a musical performance.

In conclusion, the politics, history, and influences of the 18th century had a profound impact on musical styles, composers, and specific subjects explored in compositions. The rise of the Classical period, the patronage system, and the cultural and intellectual climate of the time all contributed to the development and evolution of music. Orchestra musicians played a crucial role in bringing these compositions to life, showcasing their technical skill and interpretive abilities. The 18th-century musical landscape reflects the intricate interplay between art, politics, and society during that era.

To know more about patronage, click here:

brainly.com/question/30088187

#SPJ11

If two identifiable markets differ with respect to their price elasticity of demand and resale is impossible, a firm with market power will...

set a lower price in the market that is more price elastic.

Answers

If two identifiable markets differ with respect to their price elasticity of demand and resale is impossible, a firm with market power will set a lower price in the market that is more price elastic.

What is price elasticity of demand?

The relationship between the percentage change in a product's quantity demanded and the percentage change in price is known as price elasticity of demand. It helps economists comprehend how supply and demand shift in response to changes in a product's price.

A company with market power will cut its price in the market that is more price elastic if two distinguishable marketplaces have different levels of price elasticity of demand and resale is not allowed.

Learn more about  markets   at:

https://brainly.com/question/25369230

#SPJ4

complete question;

If two identifiable markets differ with respect to their price elasticity of demand and resale is impossible, a firm with market power will...

Set price equal to marginal cost in both markets. Set price so as to equate the elasticity of demand across markets. Set a higher price in the market that is more elastic. Set a lower price in the market that is more price elastic.

How do you answer an audit question?

Answers

The audit questions requires both technical knowledge and effective communication skills. Presenting a well-structured, evidence-based response demonstrate competence as an auditor and provide valuable insights to stakeholder.

Answering an audit question requires a structured and methodical approach to provide a clear and comprehensive response. Here are some steps to effectively answer an audit question:

Understand the question: Read the audit question carefully and ensure fully understand what is being asked. Identify key components and any specific requirements or criteria mentioned in the question.

Gather relevant information: If the question relates to a specific audit engagement or process, review the relevant audit documentation, working papers, and other supporting materials to gather the necessary information.

Organize your response: Plan your answer to provide a logical and well-structured response. Consider using headings or bullet points to present information in a clear and organized manner.

Start with a brief introduction: Provide context for your answer by summarizing the relevant audit or topic briefly. This  help the reader understand the background and scope of your response.

Answer the question directly: Address the question directly and avoid going off-topic. Clearly state your response without ambiguity.

Support your answer with evidence: Back up your response with relevant evidence or information from the audit documentation or other credible sources. This  include citing specific audit procedures, results, or regulations.

Explain your reasoning: If the question requires analysis or interpretation, explain the thought process behind your response. Demonstrate your understanding of the audit subject matter and any professional judgments made.

Use professional language: Use clear and concise language appropriate for an audit context. Avoid jargon or ambiguous terms that  lead to misunderstandings.

Be objective and impartial: Provide an objective response based on the available evidence and findings. Avoid personal opinions or biases that influence your answer.

Conclude your answer: Summarize your response and reiterate your main points if necessary. If there are any implications or recommendations arising from the question, include them in your conclusion.

Review your answer: Before submitting your response, review it to ensure it is accurate, complete, and well-organized. Check for any errors or omissions that might impact the quality of your answer.

Be responsive to follow-up questions: If the question is part of a larger discussion or audit process, be prepared to engage in further dialogue or provide additional information if requested.

To know more about technical here

https://brainly.com/question/33052081

#SPJ4

Parliament Company, which expects to start operations on January 1, 2018, will sell digital cameras in shopping malls. Parliament has budgeted sales as indicated in the following table. The company expects a 10 percent increase in sales per month for February and March. The ratio of cash sales to sales on account will remain stable from January through March. Required a. Complete the sales budget by filling in the missing amounts. b. Determine the amount of sales revenue Parliament will report on its first quarter pro forma income statement. Complete this question by entering your answers in the tabs below. Required ARequired B Complete the sales budget by filling in the missing amounts. Sales Cash sales Sales on account Total budgeted sales JanuaryFebruary March $ 50,000 120,000 $ 170,000

Answers

To complete the sales budget and determine the amount of sales revenue Parliament Company will report on its first quarter pro forma income statement, we need to calculate the sales for each month and the total sales revenue.

a. Complete the sales budget by filling in the missing amounts:

Sales        Cash sales        Sales on account       Total budgeted sales
January         $50,000
February                                      
March

To calculate the sales for each month, we need to consider the 10 percent increase in sales per month for February and March. Let's start by calculating the sales for February:

Sales for February = Sales for January + (10% increase)
Sales for February = $50,000 + ($50,000 * 10%)
Sales for February = $50,000 + $5,000
Sales for February = $55,000

Now let's calculate the sales for March using the same formula:

Sales for March = Sales for February + (10% increase)
Sales for March = $55,000 + ($55,000 * 10%)
Sales for March = $55,000 + $5,500
Sales for March = $60,500

Now we can complete the sales budget:

Sales        Cash sales        Sales on account       Total budgeted sales
January         $50,000
February        $55,000
March           $60,500

b. To determine the amount of sales revenue Parliament will report on its first quarter pro forma income statement, we need to calculate the total sales revenue for the three months.

Total sales revenue = Total budgeted sales - Sales on account
Total sales revenue = $50,000 + $55,000 + $60,500
Total sales revenue = $165,500

Therefore, Parliament Company will report $165,500 in sales revenue on its first quarter pro forma income statement.

In summary, to complete the sales budget, we calculated the sales for each month by applying a 10 percent increase, and then determined the total sales revenue for the first quarter. The sales budget is as follows: $50,000 for January, $55,000 for February, and $60,500 for March. The total sales revenue for the first quarter is $165,500.

Know more about Parliament Company here:

https://brainly.com/question/28662285

#SPJ11

Listed below are a number of statements relating to the timing of claim payment: 1. The insurer is obligated by provincial and territorial insurance law to pay a ciaim within 30 days of receiving evidence that satisfies that the claim is payable 2. Under the terms of the policy there is no entitlement to interest on an unpaid claim 3. Many insurers pay interest for at least some of the time after death and before the benefit is paid 4. The death benefit under a segregated fund (individual variable insurance contract (IviC)) must be calculated after death. 5. The death benefits under ivic contracts can go up or down in value depending on market performance and other variable factors Which of the above statements are correct? Select one: a. They are all correct b. 3,4&5 c. 1,28,5 d. 1,3&4

Answers

The answer is option is d. 1,3&4. Listed below are a number of statements relating to the timing of claim payment.

What are they?

1. The insurer is obligated by provincial and territorial insurance law to pay a claim within 30 days of receiving evidence that satisfies that the claim is payable

2. Under the terms of the policy, there is no entitlement to interest on an unpaid claim.

3. Many insurers pay interest for at least some of the time after death and before the benefit is paid.

4. The death benefit under a segregated fund (individual variable insurance contract (IviC)) must be calculated after death.

5. The death benefits under ivic contracts can go up or down in value depending on market performance and other variable factors.

The statement 1, 3, and 4 are correct. The insurer is obligated by provincial and territorial insurance law to pay a claim within 30 days of receiving evidence that satisfies that the claim is payable.

Many insurers pay interest for at least some of the time after death and before the benefit is paid.

The death benefit under a segregated fund (individual variable insurance contract (IviC)) must be calculated after death.

Statement 2 is not correct as Under the terms of the policy, there is no entitlement to interest on an unpaid claim.

Statement 5 is not correct as The death benefits under ivic contracts can go up or down in value depending on market performance and other variable factors.

To know  more on Contract visit:

https://brainly.com/question/984979

#SPJ11

Describe four different types of tourism accommodations and explain why each type has a specific appeal to different travel segments?
Explain the difference between 'front-of-house' and 'back-of-house' functions in the accommodations sector of the tourism industry? Why is it important to understand the difference?
Explain the difference between eco-tourism and sustainability in tourism.
What are the four major types of transportation for tourism, and why is each mode of transportation important to tourism today?
Will technology ever replace humans when it comes to providing tourism services? Why or why not?
What ONE tourism market segment (group of tourists) do you think offers the most potential for the future of tourism? Why? How would you go about encouraging this group to travel? What kinds of services/experiences are they looking for?
Can too much tourism be a problem for a destination? Why?

Answers

Tourism accommodations can be divided into several types, each with a particular appeal to different travel segments. Here are four of them:

Bed and Breakfasts (B&Bs) - These are small lodgings that have between 4 and 10 rooms, and the owners usually reside on the property. B&Bs are popular with travelers who seek a personal touch and want to engage with the locals.
Hotels - These are for-profit lodging establishments with a range of facilities, amenities, and services, including room service, housekeeping, fitness facilities, and swimming pools. Luxury hotels are for travelers who value opulence and exclusivity, while budget hotels are for travelers who seek low-cost accommodations.
Resorts - These are self-contained properties that offer guests a variety of amenities and activities, such as swimming pools, golf courses, spas, and restaurants. Resorts are popular with families, couples, and groups who want to enjoy a vacation without leaving the premises.
Vacation Rentals - These are fully furnished homes, apartments, or villas that are rented out to guests. Vacation rentals appeal to travelers who want more space, privacy, and the ability to cook their own meals and live like a local.
Eco-tourism refers to tourism that is conducted in a way that minimizes negative environmental impact and maximizes the benefits to the local community. Sustainability in tourism refers to the concept of meeting the needs of the present generation without compromising the ability of future generations to meet their own needs. While eco-tourism is a subset of sustainable tourism, sustainable tourism encompasses a wider range of practices, such as reducing waste and energy consumption, supporting local businesses, and promoting cultural heritage.
The four major types of transportation for tourism are air, road, rail, and sea. Each mode of transportation is important to tourism today because they offer different levels of speed, comfort, convenience, and affordability, and each can take tourists to different destinations.
Air travel is the fastest mode of transportation, making it ideal for long-distance travel.
Road travel is convenient for short distances and allows tourists to explore remote areas.
Rail travel is known for its comfort and scenic routes.
Sea travel is popular for its leisurely pace and the opportunity to visit multiple destinations on a single trip.
Technology will not replace humans in providing tourism services because tourism is a service-based industry that relies heavily on human interaction and personalized experiences. Technology can enhance and streamline tourism services, but it cannot replace the value of human touch, local knowledge, and cultural exchange. Tourism is about human experiences, and tourists will always seek the human element in their travels.
The tourism market segment that offers the most potential for the future is the sustainable and responsible tourism segment. This group of tourists values authenticity, environmental responsibility, and cultural exchange. They seek unique experiences that are not mass-produced or harmful to the environment. To encourage this group to travel, tourism providers need to develop offerings that align with their values, such as ecotourism activities, community-based tourism, and sustainable accommodations. They should also market these offerings through sustainable channels, such as social media and sustainable tourism organizations.
Too much tourism can be a problem for a destination if it leads to overcrowding, pollution, cultural degradation, and economic inequality.
Overcrowding can strain the local infrastructure and resources, leading to traffic congestion, noise, and litter.
Pollution can harm the environment and wildlife, making the destination less attractive to tourists.
Cultural degradation can occur if tourism leads to the commodification of cultural practices or the displacement of local residents.
Economic inequality can occur if tourism benefits only a small group of stakeholders while the majority of the local population struggles to make ends meet.
To avoid these negative impacts, tourism stakeholders should adopt sustainable tourism practices and engage in community-based tourism initiatives that benefit the local community.

To know more about Tourism accommodations visit:
https://brainly.com/question/19126979
#SPJ11

Discuss the similarities and differences between the two in terms of their causes and impacts on the economies of the two countries and on the global economy. Discuss the similarities and differences in the solutions that were implemented to end the crises. In what ways, if any, does the current situation in Turkey and its currency, the Turkish Lira, resemble that of Asia or Mexico?

Answers

The Asian financial crisis was triggered by the devaluation of the Thai baht, while the Mexican peso crisis was caused by a sudden increase in U.S. interest rates and the devaluation of the peso. Both crises had a significant impact on their respective economies and the global economy, resulting in a sharp decline in GDP and employment.


The Asian financial crisis and the Mexican peso crisis were two of the most significant financial crises of the 1990s. The Asian financial crisis began in July 1997 when the Thai baht was devalued, causing a contagion effect that spread to other Southeast Asian countries. The Mexican peso crisis, on the other hand, was caused by a sudden increase in U.S. interest rates and the devaluation of the peso.

Both crises had a significant impact on their respective economies and the global economy. The Asian financial crisis resulted in a sharp decline in GDP and employment in many Asian countries, while the Mexican peso crisis led to a recession in Mexico and a decrease in economic growth in the United States.

The solutions implemented to end the crises were different. In the case of the Asian financial crisis, the International Monetary Fund (IMF) provided financial assistance to the affected countries in exchange for economic reforms. The Mexican peso crisis was resolved through a $50 billion bailout package from the U.S. government, the IMF, and the Bank of International Settlements.

In terms of the current situation in Turkey and its currency, the Turkish Lira, there are some similarities to the Asian financial crisis and the Mexican peso crisis.

Turkey is currently experiencing a currency crisis due to a combination of factors, including high inflation, political instability, and tensions with the United States. Like the Asian and Mexican crises, the Turkish crisis has had a significant impact on the country's economy, with a sharp decline in GDP and high unemployment.

In conclusion, the Asian financial crisis and the Mexican peso crisis were two of the most significant financial crises of the 1990s, with many similarities and differences in their causes, impacts, and solutions.

Both crises had a significant impact on their respective economies and the global economy, resulting in a sharp decline in GDP and employment. However, the solutions implemented to end the crises were different.

The Asian financial crisis was resolved through financial assistance and economic reforms from the IMF, while the Mexican peso crisis was resolved through a bailout package.

The current situation in Turkey and its currency, the Turkish Lira, is similar to the Asian and Mexican crises in terms of its impact on the country's economy and the global economy. However, the solutions to end the crisis are still uncertain.

To learn more about interest rates

https://brainly.com/question/28236069

#SPJ11

1. One interesting exemption from the Family and Medical Leave Act is that employees in the top 10% of the company’s pay scale are not eligible for these benefits.
true or false
2. In order for a progressive disciplinary action to be effective, the employee needs to
a. Know what the problem is.
b. Know what they must do to fix the problem.
c. Have a reasonable amount of time to fix the problem.
d. All of the above are needed if progressive discipline actions are to be effective.
3. In the notes, it was noted that to get employees to vote for union representation, they need to:
a.
b. believe that they are unable to influence a change in the conditions causing their dissatisfaction by themselves.
c. the costs of union representation do not outweigh the benefits.
d. a and b but not c are necessary
e. a, b, and c are all necessary
4. One of the challenges for Pay-for-Performance systems is that employees must feel that the company (mostly the supervisor) notices their extra efforts.
a. true b. false
5. The National Labor Relations Act (1935, also known as the Wagner Act) was based upon the view that collective bargaining is the preferred way to resolve differences in the employment relationship and for roughly balancing the power of management and labor.
a. true b. false
6. . In general, the selection process cannot be used to workplace violence.
a. true b. false

Answers

The sequence of answers are true, all of the above, e. a, b, and c are all necessary,  True,  True, and False.

1. True. Employees in the top 10% of the company’s pay scale are exempted from the benefits of the Family and Medical Leave Act.

2. d. All of the above are needed if progressive discipline actions are to be effective. For progressive disciplinary action to be effective, the employee needs to know what the problem is, know what they must do to fix the problem, and have a reasonable amount of time to fix the problem.

3. e. a, b, and c are all necessary. To get employees to vote for union representation, they need to believe that they are unable to influence a change in the conditions causing their dissatisfaction by themselves, the costs of union representation do not outweigh the benefits.

4. True. One of the challenges for Pay-for-Performance systems is that employees must feel that the company (mostly the supervisor) notices their extra efforts.

5. True. The National Labor Relations Act (1935, also known as the Wagner Act) was based on the view that collective bargaining is the preferred way to resolve differences in the employment relationship and roughly balance the power of management and labor.

6. False. The selection process can be used to prevent workplace violence. It is a process that allows an organization to determine the best candidate for the job and reduce the likelihood of violence in the workplace.

Learn more about Pay-for-Performance systems -

https://brainly.com/question/29556131

#SPJ11

The sequence of answers are true, all of the above, e. a, b, and c are all necessary, True,  True, and False.

1. True. Employees in the top 10% of the company’s pay scale are exempted from the benefits of the Family and Medical Leave Act.

2. d. All of the above are needed if progressive discipline actions are to be effective. For progressive disciplinary action to be effective, the employee needs to know what the problem is, know what they must do to fix the problem, and have a reasonable amount of time to fix the problem.

3. e. a, b, and c are all necessary. To get employees to vote for union representation, they need to believe that they are unable to influence a change in the conditions causing their dissatisfaction by themselves, the costs of union representation do not outweigh the benefits.

4. True. One of the challenges for Pay-for-Performance systems is that employees must feel that the company (mostly the supervisor) notices their extra efforts.

5. True. The National Labor Relations Act (1935, also known as the Wagner Act) was based on the view that collective bargaining is the preferred way to resolve differences in the employment relationship and roughly balance the power of management and labor.

6. False. The selection process can be used to prevent workplace violence. It is a process that allows an organization to determine the best candidate for the job and reduce the likelihood of violence in the workplace.

Learn more about Pay-for-Performance systems -

brainly.com/question/29556131

#SPJ11

question 8
How much must the Big Boy invest today to spend $15,000 next year on a trip to Tahiti, $45,000 for a new car three years from today, and $30,000 per year for six years beginning at the end of year 4 for other fun stuff? He can earn 6.5% on his investments.
a. $171,566.58
b. $200,350.55
c. $164,228.66
d. $179,381.45
e. None of these are correct
question 9
Bucky Bavasi just bought a new TV that cost $2,500. He plans to finance the purchase with his new credit card which has a 21% nominal interest rate. The minimum payment on the card is $49 per month. If he makes the minimum payment and makes no other charges, how many months will it take before he pays off the card?
a. 36.78
b. 128.75
c. 11.72
d. 35.23
e. None of these are correct

Answers

8.Big Boy must invest $188,360.38 today to cover all the future expenses so correct option is E 9.it will take approximately 35.23 months (rounded to the nearest whole month) for Bucky Bavasi to pay off the credit card So correct option is D

To calculate the amount Big Boy must invest today, we need to determine the present value of each cash flow:

Trip to Tahiti: $15,000 next year. Since this is a single cash flow in the future, we need to discount it back to the present value. We'll use the formula for present value:

PV = CF / (1 + r)^n

where PV is the present value, CF is the cash flow, r is the interest rate, and n is the number of periods.

PV1 = $15,000 / (1 + 0.065)^1 = $14,150.94

New car in three years: $45,000. We need to discount this cash flow back three years to find its present value.

PV2 = $45,000 / (1 + 0.065)^3 = $38,340.47

Fun stuff: $30,000 per year for six years starting at the end of year 4. This is an annuity, so we'll use the formula for the present value of an annuity:

PV = CF * [(1 - (1 + r)^(-n)) / r]

PV3 = $30,000 * [(1 - (1 + 0.065)^(-6)) / 0.065] = $135,868.97

Now, let's calculate the total present value by summing up the individual present values:

Total PV = PV1 + PV2 + PV3 = $14,150.94 + $38,340.47 + $135,868.97 = $188,360.38

Therefore, Big Boy must invest $188,360.38 today to cover all the future expenses.

None of the options provided match this amount, so none of the options is correct.

Moving on to question 9:

To determine how many months it will take for Bucky Bavasi to pay off the credit card, we can use the formula for the number of periods (months) required to pay off a loan or debt:

n = (-log(1 - (PV / PMT)) / log(1 + r))

where n is the number of periods, PV is the present value (initial debt), PMT is the monthly payment, and r is the monthly interest rate.

Given:

PV = $2,500

PMT = $49

r = 21% / 12 = 0.0175 (monthly interest rate)

n = (-log(1 - (2500 / 49)) / log(1 + 0.0175))

n ≈ 35.23

Therefore, it will take approximately 35.23 months (rounded to the nearest whole month) for Bucky Bavasi to pay off the credit card.

Option (d) "35.23" matches this result, so the correct answer for question 9 is (d).

To know more about cash flow :

https://brainly.com/question/24179665

#SPJ11

Suppose the production function for coffee (C) is C=min(B,W), where B= beans in pounds and W= water in gallons. Suppose the price of water is $.10 per gallon and the price of beans is $10 per pound. The expansion path a. depends on the price of beans only. b. depends on the price of water only c. depends on the price of neither beans nor water. d. depends of the costs of both beans and water.

Answers

The correct answer is a. The expansion path depends on the price of beans only. The expansion path refers to the combination of inputs that a firm chooses to produce at different output levels while minimizing costs. In this case, the production function for coffee is given as C = min(B, W), where B represents the pounds of beans and W represents the gallons of water.

To determine the impact of prices on the expansion path, we need to analyze the cost-minimization decision. The cost of beans is $10 per pound and the cost of water is $0.10 per gallon. The firm will choose the combination of inputs that minimizes the cost of production while meeting the desired level of output.

Since the cost of water is significantly lower than the cost of beans, it is more likely that the firm will choose to use more water and fewer beans in the production process. Therefore, the expansion path depends on the price of beans, as it has a higher impact on the cost of production compared to the price of water.

To know more about minimizing costs visit:

https://brainly.com/question/13069227

#SPJ11

which role uses an application to query a database and generate a report?

Answers

The role that uses an application to query a database and generate a report is the Database Administrator. A Database Administrator (D B A) is responsible for maintaining the performance, security, and reliability of a database.

This includes tasks such as creating and maintaining the database schema, tuning the database for optimal performance, and ensuring that the data in the database is secure and available. In addition to these responsibilities, a D B A may also be responsible for generating reports from the database. This involves using an application to query the database for specific data

The application used to generate these reports can vary depending on the database management system being used.
Some popular applications used by D B A s to generate reports include Microsoft Access, Crystal Reports, and Oracle Reports. These applications allow D B A s to connect to a database, create queries to retrieve the desired data, and then format that data into a report that can be printed or viewed on-screen.

To know more about database visit:

https://brainly.com/question/30163202

#SPJ11

You work for a small strategy consulting firm, that advises independent food markets and supermarkets across the UK. Your clients are often located in remote places, where they serve rural populations or major tourism sites, away from major supermarket chains. You are developing a report and slide deck to present to your clients about the option of increasing their sale of more ethical food products.

Answers

The concept of ethical food products has gained immense popularity in recent years.

People have become more aware of the environmental and social impact of their food choices.

As a result, there has been an increased demand for products that are organic, sustainably produced, and ethically sourced.

As a strategy consulting firm that advises independent food markets and supermarkets across the UK,

it is essential to keep up with the latest trends and cater to the evolving needs of your clients.

Rural populations and major tourism sites are the primary markets for your clients,

and they are often away from major supermarket chains.

These areas are perfect for promoting the sale of ethical food products,

which can provide a competitive advantage and drive customer loyalty.

To increase the sale of ethical food products,

you need to educate your clients about the benefits of these products.

Ethical food products are produced using environmentally friendly practices that promote biodiversity, protect wildlife, and reduce carbon emissions.

Ethical farming practices also ensure that animals are treated humanely,

which is increasingly important to many customers.

You can help your clients by providing them with information on the benefits of ethical food products.

You can also suggest that they offer a wider range of ethical food products, such as free-range eggs, organic vegetables, and sustainably sourced fish.

By doing so, your clients can cater to a wider range of customers and attract new ones who are looking for ethical food options.

It is also important to promote ethical food products through marketing and advertising.

This will raise awareness and educate customers about the benefits of ethical food products.

You can work with your clients to create marketing campaigns that highlight the environmental and social impact of ethical food products.

This will help to build customer loyalty and drive sales.

To know more about popularity visit:

https://brainly.com/question/11478118

#SPJ11

Suppose that, the next day, the Apex Company finds striking
employees of the DYNO Company picketing the Apex Company plant
because it is a supplier of DYNO Company. What are the rights of
Apex Company

Answers

If the Apex Company finds striking employees of the DYNO Company picketing the Apex Company plant because it is a supplier of DYNO Company, its rights are as follows:

The rights of Apex Company would be that it cannot be legally liable for the disputes that are between the DYNO company and its employees. DYNO Company does not have the legal right to engage in the secondary boycotts.

The picketing of Apex Company is a way of forcing them to stop doing business with the DYNO Company. However, Apex Company has the legal right to refuse to end business relations with DYNO Company.

They are under no legal obligation to comply with the request that DYNO Company made through its employees.The DYNO Company’s employees are within their legal right to strike against their employer.

Nonetheless, they are breaking the law if they engage in activities such as trying to induce Apex Company to stop doing business with their employer. This is an illegal secondary boycott.

The Apex Company has the legal right to contact the law enforcement agencies to take action against the DYNO Company’s employees.

learn more about business relations

https://brainly.com/question/1443177

#SPJ11

Calculate the estimated ROI for an ERP implementation.
Calculate the estimated productivity as a result of implementing an ERP system.
Phoenix Fine Electronics (PFE) is a medium or mid-sized company, but it is growing rapidly each year. It sells technology products to retail consumers with an annual revenue of $15 million in sales. PFE started with 1 store but has grown to 25 stores and has expanded into a second state.
PFE has 1 store in a town with a population of 100,000 and 3 stores in towns with populations exceeding 200,000. The goal of the company is to continue expansion into an additional 3 neighboring states within the next 5 years. PFE wants to utilize the same population numbers to determine the number of stores it should open. It would also like a marketing firm to do an analysis of each town that meets the population criteria to determine the best cities in which to open new stores.

Answers

Step 1: Identify the cost of the ERP implementation, including the software, hardware, consulting fees, training, and other implementation costs.

Step 2: Determine the gain from the investment, such as increased productivity, reduced inventory, better decision-making, or increased revenue. In this case, we will focus on increased productivity.

Step 3: Calculate the estimated productivity increase, which can be determined by comparing the current process to the expected process with the ERP system in place. This is calculated in the next question.

Step 4: Use the formula to calculate the ROI:ROI = (Gain from Investment - Cost of Investment) / Cost of Investment. Calculate the estimated productivity as a result of implementing an ERP system. The estimated productivity as a result of implementing an ERP system can be calculated using the following formula:

Productivity Increase = (Current Productivity - Expected Productivity with ERP) / Current Productivity

Let's assume that the current productivity is 75% and the expected productivity with the ERP system is 90%.Productivity Increase = (75% - 90%) / 75%Productivity Increase = -15% / 75%Productivity Increase = -0.2 or -20%

To know more about ERP visit:

https://brainly.com/question/33366161

#SPJ11

You are promised a $28,000 bonus to be received three years from now. At that time, you invest it in a fund that yields an 8% annual return. Assuming that you add nothing more to the account, what will it be worth 27 years from now, assuming annual compounding
pv
fv
nper
pmt
rate

Answers

The formula for the Future Value of a single amount is; FV = PV(1 + i)n Where; PV = Present Value i = Interest Rate n = Number of periods FV = Future Value For this problem,

Present Value (PV) = $28,000Future Value (FV) = ?Interest Rate (i) = 8%Number of Periods (n) = 27 years

We know that FV = PV (1 + i)n

Thus, the Future Value (FV) of the $28,000 in 27 years, assuming annual compounding is; FV = $28,000 x (1 + 0.08)27FV = $28,000 x (4.5634)FV = $127,681.20

Therefore, the investment account will be worth $127,681.20 after 27 years if you invest the $28,000 and assume annual compounding at an 8% annual rate of return.

To Know more about investment account

https://brainly.com/question/28935213

#SPJ11

all else being equal, how would this increase in the expected inflation rate affect interest rates?

Answers

Inflation is defined as the rate at which the general level of prices for goods and services is rising, and, subsequently, the purchasing power of currency is decreasing.

All else being equal, interest rates and inflation have an inverse relationship; that is, as the expected inflation rate increases, the interest rates increase. This is due to the fact that lenders must compensate for the reduction in purchasing power caused by inflation, so they demand a higher interest rate as a result. Furthermore, the cost of borrowing increases as interest rates rise, so demand for borrowing falls as a result, which causes economic activity to decrease.

As a result, interest rates have a direct impact on both inflation and economic activity. The following is a sample response that includes the given terms and is more than 100 words:An increase in the expected inflation rate has a direct effect on interest rates, all else being equal. As the expected inflation rate rises, so do the interest rates. This is due to the fact that lenders must compensate for the reduction in purchasing power caused by inflation, so they demand a higher interest rate.

The cost of borrowing increases as interest rates rise, which causes demand for borrowing to fall, resulting in a decrease in economic activity. Interest rates have a direct impact on both inflation and economic activity.

To know more about inflation visit:

brainly.com/question/28136474

#SPJ11

General Tool and Automotive is a major US publicly-traded corporation with total annual sales exceeding $5billion. This corporation is most likely a:

Answers

General Tool and Automotive is a major US publicly-traded corporation with total annual sales exceeding 5 billion. This corporation is most likely a big business corporation or a large corporation that has total sales of 5 billion and is publicly traded.

Publicly traded firms are those that sell stock to the general public, and their financial statements are publicly available. They are legally required to disclose specific financial information, which makes their business activities transparent.

The significance of the distinction between large and small businesses, on the other hand, is significant since it affects their management and decision-making procedures. Small businesses are known for their adaptability and capacity to innovate quickly, whereas large businesses can scale up and mass-produce products more efficiently.

Likewise, the performance of General Tool and Automotive may be analyzed in terms of sales volume. The fact that this firm has total annual sales exceeding 5 billion indicates that it is a significant business and a major player in its industry. Because of its scale, it may have a more significant impact on the market than a smaller corporation. Its business activities may have both local and global consequences because it is a publicly traded corporation.

To know more about sales visit:
https://brainly.com/question/33119611

#SPJ11

Retake question Historically, players on the Eagles Women's Basketball team have had an average height of 5 ′
10 ′′
with a standard deviation of 2 ′′
. What is the probability of a player being between 5' 9" and 6' 3"? (Submit your answer as a whole number. For example if you calculate 0.653 (or 65.3\%), enter 65.)

Answers

The given values are:Mean height (μ) = 5′10′′Standard Deviation (σ) = 2′′

We need to find the probability of a player being between 5′9′′ and 6′3′′.

This can be calculated as follows:

Convert 5′9′′ to z-score = (69 - 70) / 2 = -0.5

Convert 6′3′′ to z-score = (75 - 70) / 2 = 2.5

Using the z-table or calculator, we can find the area/probability between these z-scores as:

P( -0.5 < z < 2.5) = P( z < 2.5) - P( z < -0.5) = 0.9938 - 0.3085 = 0.6853

The probability of a player being between 5′9′′ and 6′3′′ is 68.53% (rounded to the nearest whole number).Therefore, the required probability of a player being between 5′9′′ and 6′3′′ is 69%.

To know more about Deviation visit :

https://brainly.com/question/29758680

#SPJ11

Can you please help me to resolve this problem, with detailed steps, I have trouble understanding the question.
If you put $2,000 into an investment account that will earn you 8 percent per year,how much will you have in your account at the end of 10 years

Answers

To resolve the problem of calculating the value of the investment account in ten years,

with a principal amount of $2,000 and interest rate of 8%, use the compound interest formula:

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

where

A is the amount of money in the account at the end of the investment period

P is the principal amount of money invested is the annual interest rate,

expressed as a decimal is the number of times the interest is compounded per year is the number of years of the investment period.

Substitute the given values in the formula as follows:

A=2000(1+0.08/1)^(1*10)

A=2000(1.08)^10

A=2000(2.158925)

A=4317.85

at the end of ten years,

the amount of money in the investment account will be $4,317.85.

To know more about investment visit:

https://brainly.com/question/14921083

#SPJ11

The demand for peaches has increased by 6% in response to a 4% increase in income. T follows that
a. None of the other answers is correct
b. The elasticity of demand of peaches with respect to income cannot be computed given the available information
c. The elasticity of demand of peaches with respect to income is exactly 1
d. The elasticity of demand of peaches with respect to income is positive and larger than 1
e. The elasticity of demand of peaches with respect to income is negative and larger than 1 in absolute value

Answers

The answer is option is d) The elasticity of demand of peaches with respect to income is positive and larger than 1.

What is elasticity of demand?

The elasticity of demand measures the responsiveness of a change in the quantity demanded in response to a change in one of the determinants of demand, such as price, income, or price of related goods.

The elasticity of demand is calculated as the percentage change in the quantity demanded divided by the percentage change in the determinant of demand.

Peaches' demand has increased by 6% due to a 4% increase in income. The percentage increase in demand for peaches, on the other hand, is greater than the percentage increase in income.

This implies that the elasticity of demand is greater than 1. Therefore, option d is the correct answer. The following formula for elasticity of demand is used:

Elasticity of demand = (percentage change in quantity demanded) / (percentage change in income)If the resulting value is greater than 1, the demand is elastic; if it is less than 1, the demand is inelastic.

If the resulting value is exactly equal to 1, it is unit elastic.

Hence, option d. is correct.

To know more on Demand visit:

https://brainly.com/question/30402955

#SPJ11

Other Information at 30 June 2019 - The stock take showed inventories of $8000 on hand. - Commission revenue owing is $60. - Advertising expenses include $1100 that was paid on 1 February 2019 for an advertisement that will appear once a month in the newspaper over the next 11 months - Office expenses for the period is $850. - Insurance instalment outstanding is 700 - Andrew decided to create an Allowance for Doubtful debts at 10% of Debtors After taking the additional information into consideration, complete the following: a) The Income statement for the year ear ending 30 June 2019 b) Complete the Asset section of the Balance Sheet b) Complete the Asset section of the Balance Sheet Balance Sheet of Andrew's Golfing Gear as at 30 June on1a

Answers

The income statement of the given financial information is given below and shows the spending and flow of business:

The Income statement:

Total sales: $100,000

Cost of goods sold: $60,000

Gross profit: $40,000

Operating expenses: $2,650

Net income: $37,350

Asset section of the balance sheet:

Current assets: $59,060

Cash: $10,000

Accounts receivable: $40,000

Allowance for doubtful debts: $4,000

Inventory: $8,000

Non-current assets: $51,640

Equipment: $50,000

Accumulated depreciation: $8,360

Total assets: $110,700

Read more about income statement here:

https://brainly.com/question/28936505

#SPJ4

A surplus occurs when: more people want to buy a good than want to sell it. the quantity supplied is greater than the quantity demanded. workers are more productive than expected. a market is at equilibrium.

Answers

A surplus occurs when the quantity supplied in a market exceeds the quantity demanded at a given price.

It is a situation where there is an excess supply of a particular good or service. In this case, more goods are available in the market than consumers are willing to buy at the prevailing price. As a result, sellers are unable to sell all of their products, leading to a surplus. This can happen due to factors such as a decrease in consumer demand, an increase in production, or ineffective pricing strategies. A surplus often leads to price reductions as sellers try to encourage more purchases and reduce their excess inventory.

To know more about surplus :
https://brainly.com/question/30622657

#SPJ4

When Walt Disney failed to sell Mickey Mouse the first time around, he had to evaluate the features of the product to determine what would satisfy his customers' needs and wants. Disney created a voice and a personality for the mouse character that ended up making the Mickey Mouse's character a huge success. Which skill did Walt Disney apply here? Select one: a. Strategy skill b. Marketing skill c. Project-management skill d. Planning skill

Answers

Walt Disney applied the marketing skill while evaluating the features of the product and creating a voice and a personality for the mouse character that ended up making the Mickey Mouse's character a huge success. The correct answer is option B. Marketing skill.

Marketing skill is a set of practices that organizations use to market their products or services. The marketing skill involves researching, promoting, advertising, and selling products or services to consumers. Walt Disney applied the marketing skill when he had to evaluate the features of the product to determine what would satisfy his customers' needs and wants, he created a voice and a personality for the mouse character that ended up making the Mickey Mouse's character a huge success.Therefore, the correct answer is option B. Marketing skill.

To know more about marketing skill visit:

https://brainly.com/question/18910895

#SPJ11

The current price for ABC is $52.37. A financial analyst offered the following facts, opinions, and estimates concerning ABC : The expected dividend is $0.90 per share over the next year. ABC 's required return on equity is 11 percent. A one-year target price for ABC is $70.00. a) What is the analyst's one-year expected return? b) What is a target price that is most consistent with ABC being fairly valued? c) What is the expected (ex-ante) alpha from investing in ABC ?

Answers

a) To find the analyst's one-year expected return, we need to calculate the expected capital gain along with the expected dividend.

We have been provided with the following information about ABC:Current price: $52.37Expected dividend: $0.90Required return on equity: 11%Target price: $70.00Therefore, the expected capital gain is:$70.00 - $52.37 = $17.63The expected dividend is $0.90 per share.

So, the total expected income for the stock is:$17.63 + $0.90 = $18.53The one-year expected return is:$18.53/$52.37 = 35.36%Therefore, the analyst's one-year expected return is 35.36%.b) To find the target price that is most consistent with ABC being fairly valued, we can use the dividend discount model (DDM). The formula for the DDM is:P0 = (D1 / (r - g)), where:P0 = Current stock priceD1 = Expected dividend in the next yearr = Required rate of returng = Expected growth rateWe know that D1 = $0.90, and r = 11%. To calculate the growth rate, we can use the formula:g = (P1 - P0) / P0, where:P1 = Target priceg = (P1 - P0) / P0g = ($70.00 - $52.37) / $52.37g = 0.3344 or 33.44%

To more about dividend visit:

https://brainly.com/question/2960815

#SPJ11

one international environmental guideline for corporations is
PPP, which stands for?

Answers

PPP is an abbreviation for the Pollution Prevention Pays program. This international environmental guideline is designed to encourage businesses to take greater responsibility for their environmental impact by emphasizing waste reduction and pollution prevention practices.

The PPP program was created in response to the growing concern about the negative effects of industrial activities on the environment. The PPP program's goal is to promote sustainable development by minimizing the environmental effects of business activities. It is a voluntary program that provides a framework for businesses to establish their environmental goals and objectives and identify opportunities for waste reduction and pollution prevention.

PPP is based on the idea that preventing pollution is more cost-effective than cleaning up after the fact. By implementing pollution prevention practices, businesses can save money, improve efficiency, and reduce their environmental impact. These practices may include changes in production methods, recycling, reducing energy usage, and developing safer products or materials.

By focusing on waste reduction and pollution prevention, the PPP program helps businesses to protect the environment while also improving their bottom line.

To know more about environmental visit :

https://brainly.com/question/21976584

#SPJ11

In 2013, Apple Computers decided to raise a large amount of money by selling bonds (previously the company had little or no debt) and use the proceeds to repurchase billions of dollars worth of the company's shares. The decision was made after Apple stock lost more than 40% of its value in a six month period when most share prices were rising. What were the company's intentions

Answers

Apple Computers' decision to sell bonds in 2013 and use the proceeds to repurchase billions of dollars worth of the company's shares was motivated by the drop in Apple's stock value. The stock lost more than 40% of its value in a six month period when most share prices were rising.

By selling bonds and repurchasing its own shares, Apple intended to increase the value of the shares by reducing the supply of shares in the market. This would also boost the earnings per share by decreasing the number of shares outstanding.There are several reasons why Apple decided to do this. Firstly, the company had been experiencing declining profits and revenue growth, and was facing increased competition from other tech companies.

Secondly, Apple had a large cash reserve, but most of this was held overseas and would be subject to high taxes if it were repatriated to the United States. By borrowing money through bonds, Apple was able to raise funds without using its overseas cash reserves.

Thirdly, by repurchasing shares, Apple was able to return value to shareholders in a tax-efficient way, as share buybacks do not attract the same level of taxation as dividends. Finally, by reducing the supply of shares in the market, Apple was able to support its stock price and prevent further declines.

To know more about decision visit:

https://brainly.com/question/27400967

#SPJ11

4. Boeing contracted with Vought Aircraft Industries to design and build two sections of the 787's rear fuselage at Charleston, South Carolina. Boeing also contracted with an adjacent joint venture between Vought and Alenia of I taly to assemble fuselage sections. Facing technical and financial difficulties, Vought's owner, the Carlyle Group, refused to increase its investment and instead sought to sell the company. In 2008, Boeing bought Vought's share of the joint venture with Alenia, and then, in July 2009, Boeing bought the Charleston factory from Vought at a cost of $1 billion. (Source: "Boeing's buy of 787 plant will cost \$1B", Seattle Times, July 7, 2009.) a) Explain the mutual dependence between Boeing and Vought. b) Explain Carlyle Group's refusal to increase investment in terms of holdup. c) The potential for holdup by a subcontractor may lead a manufacturer to contract with two subcontractors, a practice called "second-sourcing". Explain why secondsourcing may be inefficient in terms of the experience curve. d) Suppose that the Carlyle Group had a higher discount rate (shorter time horizon) than Alenia. Would that explain why the Carlyle Group but not Alenia tried to exit their Boeing contracts? e) The Carlyle Group approached various potential buyers. Why would Boeing be willing to pay more than other potential buyers?

Answers

a) Explanation of mutual dependence between Boeing and Vought Boeing contracted with Vought Aircraft Industries to design and build two sections of the 787's rear fuselage at Charleston, South Carolina. Boeing also contracted with an adjacent joint venture between Vought and Alenia of Italy to assemble fuselage sections.

b) Explanation of Carlyle Group's refusal to increase investment in terms of holdup The Carlyle Group's refusal to increase investment can be explained in terms of holdup. Holdup occurs when a firm or an individual exploits the fact that they have more bargaining power than the other party.

c) Explanation of why second-sourcing may be inefficient in terms of the experience curve The potential for holdup by a subcontractor may lead a manufacturer to contract with two subcontractors, a practice called "second-sourcing". Second-sourcing may be inefficient in terms of the experience curve because it can lead to duplication of effort.

d) Explanation of why the Carlyle Group but not Alenia tried to exit their Boeing contracts Suppose that the Carlyle Group had a higher discount rate (shorter time horizon) than Alenia. This would explain why the Carlyle Group but not Alenia tried to exit their Boeing contracts.

e) Explanation of why Boeing would be willing to pay more than other potential buyers The Carlyle Group approached various potential buyers, but Boeing was willing to pay more than other potential buyers because they had more to gain from the purchase.

To know more about dependence visit:

https://brainly.com/question/30094324

#SPJ11

Other Questions
Determine the equation of the circle that passes through point (-3, -2) whose center is at (-3, 5) System Monitoring Using SplunkAcross the Internet, one of the most widely used monitoring systems is Splunk, which makes it easy for developers and administrators to monitor trends, anomalies, security issues, and errors. You can think of Splunk as a repository for application insights, which developers can query, graph, or use to specify conditions that generate alerts.Case Study: Research Splunk and discuss ways developers and administers can leverage Splunk for cloud solutions.Fully address the question(s) in this discussion; provide valid rationale for your choices, where applicable Suppose X = (X1, X2, ..., X,) is a random sample from a population with CDF:Fx(x) = {1- where c is a known constant. 1-e-0(x-c), x c otherwise,a) Find E(X).b) Find the maximum likelihood estimator of 0. c) Find a complete sufficient. d) Find an unbiased estimator v(0) 2(1+ce) (5) (3) that is a function of a complete sufficient statistic and find its variance. Does the variance attain the CRLB? Explain. world wide , the median incidence estimate for autisim disorders is about one in ___ The following data represent the number of student athletes visiting a physio therapist per day during last three weeks at the Bridgewater High School. 3,3,3,4,5,5,5,7,7,8,8,9,9,919 Construct a frequency distribution table for this data. Once complete, scan or take a picture and upload here.Previous question what is the advantage of a metal film resistor over a carbon resistor? do we have dynamics in temperature and rainfall in ethiopia is it warming or cooling? Flag Question What is the IP address of the DNS server using dot-decimal notation? 2) Flag Question. Which transport protocol (from the OSI model) is used? 3) Flag Question. What domain name is being looked up? Ram borrowed Rs. 250000 from sit a at the rate of 21%: per annum. At the end of monts, how much should he pay compounde half yearly ? what other methods can you use to visualize the data in the cross tab table? check all that apply. which is not an example of a reduced-risk driving practice in a low risk driving environment like a neighborhood street Let the numbers a0,a1,a2, be defined by a0=1,a1=3an=4(an1an2)(n2). Show by induction that an=2n1(n+2) for all n0. What is the equation of the line, in slope -intercept form, that is perpendicular to the line 5x - y = 20 and passes through the point (2, 3)? Fill In The Blank, It is the belief of Albert Bandura that self-____________ rather than abstract reasoning is the key to positive moral development. What are the 5 R's of retailing? when financial resources are plentiful in a marriage, arguments about money marla can exchange $200 for 300 swiss francs. at that rate, how many dollars would a 210-franc swiss watch cost? (RCRA) Where in RCRA is the administrator required to establish criteria for MSWLFS? (ref only)Question 8 (CERCLA) What is the difference between a "removal" and a "remedial action" relative to a hazardous substance release? (SHORT answer and refs) The condition "Where A Between B And C" meansGroup of answer choicesA > B AND A < CA >= B AND A = B AND A < CA > B AND A Object A has mass ma and is in SHM on the end of a spring with force constant ka- Object B has mass mp and is in SHM on the end of a spring with force constant kb. The amplitude AA for object A is twice the amplitude Ap for the motion of object B. Also, mg = 4m A and kA = 9 kb. Part A What is the ratio of the maximum speeds of the two objects, Vmax, A/Vmax,B? Express your answer to three significant figures, if needed. Part B What is the ratio of their maximum accelerations, Amax,A/Qmax,B? Express your answer to three significant figures, if needed.