Which of the following is NOT one of the basic promotion objectives?

A. inform

B. persuade

C. create awareness

D. sell

E. all are promotion activities

Answers

Answer 1

The option that is not one of the basic promotion objectives is E. all are promotion activities. Promotion objectives refer to the specific goals that companies aim to achieve through their promotional activities.

While all the options listed (inform, persuade, create awareness, sell) are indeed common promotion objectives, the statement that "all are promotion activities" is not accurate. Promotion activities encompass a broader range of marketing communications tactics, which may include advertising, personal selling, public relations, direct marketing, and more. Each of these activities can be employed to achieve different objectives within the overall promotional strategy. However, "all are promotion activities" is not a distinct objective itself; it is a misrepresentation of the concept of promotion objectives.

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Related Questions

Based on your reading for this week, answer one of the questions below:
Discuss the differences in productivity measurement in service and manufacturing.
Why is productivity improvement more difficult in the service sector?
What is the difference between productivity and efficiency?
Discuss the effects of a shorter cycle time on the upstream and downstream supply chain.
What are examples of processes that may help you improve the cycle time? Discuss and contrast these processes in the manufacturing and service sector.

Answers

In the service and manufacturing industry, the productivity measurement is not the same. In the manufacturing industry, it's quite easy to calculate the productivity level; it's based on the number of units produced in a given time. Whereas, in the service industry, it's quite challenging to measure productivity.
 
The productivity improvement is more challenging in the service sector because it requires a high level of customer engagement. A customer is not just interested in the service, but they are also interested in having a good experience while receiving the service. The human input required in the service sector is high, which makes it more challenging to improve productivity. 

Efficiency is the extent to which resources such as time and money are utilized to perform a specific task. On the other hand, productivity is the ratio of the output to the input. Therefore, efficiency is about getting things done in the shortest time possible while productivity is about achieving a specific output using minimum input. Efficiency can increase productivity, but high productivity does not necessarily mean that efficiency is high.  

A shorter cycle time affects the upstream and downstream supply chain in different ways. In the upstream supply chain, a shorter cycle time means that raw materials will be required at a faster rate. This can be a problem if customers are not able to receive products at the required rate. A shorter cycle time can reduce inventory levels, but it can also increase transportation and processing costs.  

One of the examples of processes that may help improve the cycle time is Just-In-Time (JIT). JIT is a manufacturing philosophy that aims to produce products at the required time and in the required quantity. JIT eliminates waste by producing only what is required. Six Sigma focuses on reducing variation in processes and reducing defects in products and services.   

In summary, it's not easy to measure productivity in the service sector as compared to the manufacturing sector. The service sector relies heavily on human input, and customer engagement, making it challenging to increase productivity. Efficiency and productivity are different, and a shorter cycle time can affect the upstream and downstream supply chain differently. Just-in-time and Lean Six Sigma are examples of processes that can help improve cycle time.

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QUESTION 1
You require a risk premium of 3.5 percent on an investment in a company. The pure rate of interest in the market is 3.25 percent and the inflation premium is 3 percent. US Treasury bills are risk free. What should be the yield of the US Treasury bills? Use multiplicative form.
A. 5.06%
B. 5.32%
C. 6.35%
D. 6.09%
E. 5.83%
F. 5.58%

Answers

E) The yield of the US Treasury bills should be 5.83%. This is calculated by subtracting the risk premium of 3.5% from the total interest rate of 6.25%.

To determine the yield of the US Treasury bills, we need to consider the components that make up the total interest rate.

The pure rate of interest in the market is 3.25%, representing the baseline return expected from a risk-free investment. The inflation premium is 3%, accounting for the expected increase in prices over time. To account for the desired risk premium of 3.5% on the investment in a company, we subtract it from the total interest rate. Therefore, the yield of the US Treasury bills is 6.25% (3.25% + 3%) minus a 3.5% risk premium, resulting in 2.75%. In multiplicative form, this translates to (1 + 0.0275) = 1.0583 or 5.83%. Thus, the correct answer is option E: 5.83%.

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Determine Douglas-Roberts's pension expense for 2021. I-b, 2. to 4. Prepare the appropriate journal entries to record the pension expense, to record any 2021 gains and losses, to record the cash contribution to plan assets and to record retiree benefits.

Answers

In order to determine Douglas-Roberts's pension expense for 2021, we need the following information: Service cost: $270,000Interest on projected benefit obligation (PBO): $180,000Actual return on plan assets: $165,000Amortization of prior service cost: $22,500Gain from unexpected return on plan assets: $26,250Expected return on plan assets:

$187,500Contributions: $300,000Benefit payments to retirees: $210,000Assuming that there were no beginning balances for PBO and plan assets, the pension expense for the year 2021 will be:Service cost $270,000 + Interest on PBO $180,000 + Expected return on plan assets $187,500 + Amortization of prior service cost $22,500 = $660,000The appropriate journal entries to record the pension expense, to record any 2021 gains and losses, to record the cash contribution to plan assets and to record retiree benefits are:Record pension expenseDebit Pension expense $660,000Credit PBO $180,000Credit Plan assets $480,000Record 2021 gainDebit Plan assets $26,250Credit Other comprehensive income $26,250Record cash contributionDebit Plan assets $300,000Credit Cash $300,000Record retiree benefitsDebit PBO $210,000Credit Plan assets $210,000

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What is the key source of economic flfluctuations in the
equilibrium business cycle model? Explain in some details

Answers

In the equilibrium business cycle model, the key source of economic fluctuations is the change in the level of technology.

What is the equilibrium business cycle model?

The equilibrium business cycle model describes the evolution of the economy over time, focusing on the forces that drive economic growth and fluctuations.

It is a mathematical representation of the economy that is based on a set of interrelated equations that describe the behavior of households, firms, and the government over time.

In this model, the economy is assumed to be in a state of equilibrium when all the markets in the economy are cleared, meaning that the quantity of goods and services supplied is equal to the quantity demanded.

What is the key source of economic fluctuations in the equilibrium business cycle model?

In the equilibrium business cycle model, fluctuations are caused by changes in the level of technology. Changes in technology can cause shifts in the production function, which can lead to changes in output and employment. For example, an increase in technology can increase the productivity of labor, leading to an increase in output and employment. Similarly, a decrease in technology can decrease the productivity of labor, leading to a decrease in output and employment. In addition to technology, changes in the supply of labor and capital, changes in consumer preferences, and changes in government policy can also cause fluctuations in the equilibrium business cycle model.

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SDJ, Inc., has net working capital of $-255, current liabilities
of $4,227, and inventory of $346. What is the current ratio?

Answers

The ability of a corporation to pay off its short-term creditors with its short-term assets is gauged by the current ratio, a financial statistic. It is computed by subtracting the current liabilities from the current assets of the business.

While current liabilities are debts that must be paid off within a year, current assets are possessions that are anticipated to be sold for cash or used up within a year. We must ascertain the value of current assets in order to calculate the current ratio. We may determine the current assets as follows given that the company's net working capital is $-255 and its inventory is $346: Inventory plus Net Working Capital is $346 plus (-$255) = $91 in terms of current assets. We can now determine the current ratio: Current Assets / Current Liabilities = $91 / $4,227 is the current ratio. the present ratio is roughly 0.0216 or (rounded to two decimal places) 2.16%.

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the rules of the aicpa code of professional conduct must be followed only by those an immaterial loan from the cpa to an officer of a client impairs the independence of the cpa. in private practice.

Answers

The American Institute of Certified Public Accountants (AICPA) Code of Professional Conduct sets forth ethical standards for certified public accountants (CPAs) who are in public practice or in business.

The code states that CPAs who are members of the AICPA must follow certain rules of conduct in order to maintain public trust and confidence in the accounting profession. The rules of the AICPA Code of Professional Conduct are designed to promote the independence, integrity, and objectivity of CPAs. These rules are not limited to CPAs who are in public practice, but also apply to CPAs who are in business.

In other words, the AICPA Code of Professional Conduct must be followed by all CPAs, regardless of whether they are in private practice or in business. According to the AICPA Code of Professional Conduct, an immaterial loan from a CPA to an officer of a client impairs the independence of the CPA.

In conclusion, the rules of the AICPA Code of Professional Conduct must be followed by all CPAs, whether in public practice or in business. Additionally, an immaterial loan from a CPA to an officer of a client impairs the independence of the CPA, which can affect the quality and objectivity of the CPA's services to the client.

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Crain Company has a manufacturing subsidiary in Singapore that produces high-end exercise equipment for U.S consumers. The manufacturing subsidiary has total manufacturing costs of $1,460,000, plus general and administrative expenses of $346,000. The manufacturing unit sells the equipment for $2,460,000 to the U.S. marketing subsidiary, which sells it to the final consumer for an aggregate of $3,460,000. The sales subsidiary has total marketing. general, and administrative costs of $196,000. Assume that Singapore has a corporate tax rate of 33 % and that the U.S. tax rate is 46%. Assume that no tax treaties or other special tax treatments apply. Required: What is the effect on Crain Company's total corporate-level taxes if the manufacturing subsidiary raises its price to the sales subsidiary by 20 % ? ( Do not round intermediate calculations. Input all amounts as positive values.) Total from Subsidiaries Income prior to increase in transfer price Revenues 5,920,000 Direct costs 3,920,000 542,000 Other costs Profit before tax 1,458,000 Tax 587,000 Profit after tax 871,000 Income after increase in transfer price 6,412,000 Revenues Direct costs 4,412,000 Other costs 542,000 Profit before tax 1,458,000 Tax 579,264 Profit after tax 878,736 Difference in after-tax profit 7,736

Answers

If the manufacturing subsidiary raises its price to the sales subsidiary by 20%, the effect on Crain Company's total corporate-level taxes is an increase of $7,736.

The increase in transfer price results in higher profits before tax, leading to higher taxable income and consequently higher tax payments for both the Singapore and U.S. subsidiaries.

The initial scenario shows that the manufacturing subsidiary sells the equipment to the sales subsidiary for $2,460,000, resulting in a profit before tax of $1,458,000. After applying the corporate tax rates of 33% for Singapore and 46% for the U.S., the manufacturing subsidiary pays $587,000 in taxes, leaving a profit after tax of $871,000.

If the manufacturing subsidiary raises its price to the sales subsidiary by 20%, the new transfer price becomes $2,952,000. This leads to higher revenues for both the manufacturing and sales subsidiaries. After deducting direct costs and other costs, the profit before tax remains at $1,458,000.

However, due to the increased profit before tax, the manufacturing subsidiary's taxable income rises, resulting in higher tax payments. The manufacturing subsidiary now pays $579,264 in taxes, while the sales subsidiary's tax liability remains the same.

As a result of the increased tax payment by the manufacturing subsidiary, Crain Company's total corporate-level taxes increase by $7,736 ($579,264 - $587,000). This increase is due to the higher taxable income resulting from the raised transfer price.

In summary, the effect of raising the transfer price by 20% leads to an increase in total corporate-level taxes for Crain Company by $7,736.

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About the trend of flexibility in workforce , describe how the
trend applies to HR Planning and/or Selection?

Answers

The trend of flexibility in the workforce has significantly impacted HR planning and selection. The flexibility trend in the workforce is a scenario where employers focus on maximizing the productivity of the workers by allowing them to work from anywhere without necessarily coming to the office.

This approach involves part-time, full-time, and remote workers. As a result, HR planning and selection have been impacted in several ways:

Impacts on HR PlanningFlexibility in the workforce has significantly impacted HR planning by allowing employees to have flexible work schedules.

HR planning has to consider how the flexibility of workers can affect the overall success of an organization.

The HR team has to identify the critical work tasks that can be outsourced or performed remotely and assess the impact that can result from an increase in the number of remote workers.

Flexibility in the workforce can lead to the reduction of overhead costs since it allows employers to lease smaller office space and optimize the use of resources.

Impacts on Selection: Flexibility in the workforce has significantly impacted the selection process by providing a broader pool of candidates to choose from.

The selection process is no longer restricted to candidates who reside in a particular region, state, or city.

Employers can choose candidates who reside anywhere as long as they have the skills, knowledge, and experience required to perform the job.

The selection process has to be conducted through a virtual platform, which means that candidates who pass the initial screening stage can be invited for a virtual interview.

Overall, flexibility in the workforce has significantly impacted HR planning and selection.

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Pick a Fortune 500 company and discuss how they might gain a competitive advantage by focusing on information security. How can information security help drive profits for this company?

Answers

A Fortune 500 company that can gain a competitive advantage by focusing on information security is Walmart.

Information security helps drive profits for Walmart in various ways:

Protecting customer information: The first benefit of information security for Walmart is that it helps to protect customer information. Walmart is known for being one of the largest retailers in the world. Therefore, the company has a huge amount of customer data in its systems. With information security measures in place, the company can secure this data and prevent unauthorized access. This enhances customer trust and helps to retain customers.

Reducing losses due to data breaches: Data breaches can cause a significant loss of revenue for businesses. With information security measures in place, Walmart can mitigate the risk of data breaches, thus reducing the potential loss of revenue from data breaches. This enhances the company's profitability.

Improving operational efficiency: Information security measures help Walmart to prevent disruptions to its operations. In this regard, Walmart can avoid downtime due to cyber attacks. This, in turn, improves the company's operational efficiency. By avoiding downtime, Walmart can maintain its revenue streams and keep its customers satisfied.

In conclusion, focusing on information security can help Walmart to gain a competitive advantage in the market. By protecting customer information, reducing losses due to data breaches, and improving operational efficiency, Walmart can enhance its profitability. Thus, it's vital for Walmart and other Fortune 500 companies to invest in information security.

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In your opinion, which companies (healthcare or non-healthcare related) provide superior customer service? Which companies provide average or mediocre customer service? Name the factors most important to you when judging the quality of a company's customer service. What three words would you use to describe your customer experience?

Answers

Companies known for providing superior customer service and factors that are often considered important in evaluating customer service quality.

Companies with Superior Customer Service:

1) Amazon:

Known for its efficient and responsive customer service, quick issue resolution, and hassle-free returns.

2) Zappos:

Renowned for its customer-centric approach, including free shipping, 365-day returns, and friendly, helpful representatives.

3) Apple:

Often praised for its knowledgeable and helpful support staff, as well as its comprehensive warranty and repair services.

4) Southwest Airlines:

Recognized for its friendly and accommodating staff, flexible policies, and transparent communication.

5) Ritz-Carlton:

Known for its personalized service, attention to detail, and commitment to exceeding customer expectations.

Companies with Average or Mediocre Customer Service:

1) Cable or Internet Service Providers:

Many customers report long wait times, unhelpful representatives, and billing issues.

2) Airlines:

Some airlines receive criticism for poor communication, lack of responsiveness, and inadequate compensation for flight disruptions.

3) Telecom Companies:

Customers often complain about difficulty reaching support, billing errors, and inconsistent service quality.

4) Large Retail Chains:

Some customers feel they receive impersonalized service, encounter unhelpful staff, or face challenges with returns and exchanges.

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A call option gives the holder the right to. an asset at a specific price, while a put option gives the holder the right to an asset at a specific price. sell : buy oWn; create nons of the above buy; sell

Answers

A call option is an option that gives the holder the right, but not the obligation, to purchase an underlying asset, such as a stock, at a specified price within a specified period. On the other hand, a put option is an option that gives the holder the right, but not the obligation, to sell an underlying asset, such as a stock, at a specified price within a specified period.

In short, a call option gives the holder the right to buy an asset at a specific price, while a put option gives the holder the right to sell an asset at a specific price. Call and put options are the two types of options. A call option gives the holder the right to purchase an underlying asset, such as a stock, at a specified price within a specified period, whereas a put option gives the holder the right to sell an underlying asset, such as a stock, at a specified price within a specified period. As a result, the holder of a call option expects the price of the underlying asset to rise, while the holder of a put option expects the price of the underlying asset to fall. The right to exercise the option is entirely up to the holder, who can either choose to execute the option or allow it to expire.

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On June 1, 2023, the Board of Directors decided to declare a dividend of $100,000 to the shareholders of record as of June 9, 2023. The payment of the dividend was made June 15, 2023.
Required:
1. What is the name of each of the above 3 dates?
2. Prepare the above journal entires including the closing entry on December 31, 2023, the year-end of the company.

Answers

1. The name of each of the above 3 dates are:
i. June 1, 2023 - This date is the date on which the Board of declared the dividend. It is also known as the Date of Declaration.
ii. June 9, 2023 - This date is the date on which the shareholders who are eligible to receive the dividend are identified. It is also known as the Record Date.


iii. June 15, 2023 - This date is the date on which the dividend is actually paid to the shareholders. It is also known as the Payment Date.2. The Journal entries for the above transactions would be as follows: June 1, 2023: Dividends Payable Dr. $100,000To Retained Earnings Cr.

$100,000(To record the declaration of dividends)June 15, 2023: Dividends Payable Dr. $100,000To Cash Cr. $100,000(To record the payment of dividends)December 31, 2023:Retained Earnings Dr. $100,000To Dividends Cr.

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A copy of the signed contract is delivered to the purchaser
A salesperson obtains a written offer to purchase a home that she has listed for sale. The seller accepts the offer and the salesperson promptly telephones the purchaser to notify him of the acceptance. Because the purchaser lives in another state, the salesperson informs him that she will fax a copy of the contract tomorrow. When salesperson has an enforceable contract when

Answers

The salesperson has an enforceable contract when the signed contract is delivered to the purchaser.

In the scenario, a salesperson obtains a written offer to purchase a home that she has listed for sale. The seller accepts the offer and the salesperson notifies the purchaser of the acceptance. However, the salesperson has an enforceable contract when the signed contract is delivered to the purchaser.

In other words, the salesperson notifying the purchaser of the acceptance and faxing the copy of the contract does not create an enforceable contract. It is only when the signed contract is delivered to the purchaser that the contract becomes enforceable.

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Compute the debt to equity ratio for year 2. Round to the
nearest tenth. Do not include the % sign.

Answers

The debt-to-equity ratio is a financial measure that assesses the relative proportion of equity and debt that a company employs to support its assets.

It is calculated by dividing the company's total debt by its total equity.  The debt to equity ratio for year 2 can be computed using the given financial data. Here's how:

Year 1:Total liabilities = $15,000

Total equity = $30,000

Year 2: Total liabilities = $20,000

Total equity = $40,000

Debt-to-equity ratio for Year 2 = Total debt / Total equity

Total debt = Total liabilities

Total debt = $20,000

Total equity = $40,000

Debt-to-equity ratio = $20,000 / $40,000

Debt-to-equity ratio = 0.5

The debt-to-equity ratio for year 2 is 0.5, rounded to the nearest tenth.

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An employee with a vision disability requests a screen-reading program to assist her in fulfilling her job duties. Using this program, she can successfully complete the essential tasks of the job. The screen reading program is a _____.
a.business necessity
b.bona fide occupational qualification
c.reasonable accommodation
d.disparate impact

Answers

The screen reading program that was requested by an employee with a vision disability to assist her in fulfilling her job duties is considered a reasonable accommodation.

How the screen reading program is a reasonable accommodation A reasonable accommodation is a change in the work environment that enables a person with a disability to apply for a job, perform job responsibilities, or appreciate the same benefits as people who are not disabled. Reasonable accommodation is an essential aspect of equal employment opportunity under the ADA. The screen reading program that the employee requested to assist her in fulfilling her job duties is a reasonable accommodation because the employee has a vision disability, and the screen-reading program can enable the employee to complete essential tasks of the job.A business necessity is an employment policy or practice that is essential to the successful operation of a business. A bona fide occupational qualification is a quality that is required to perform the job satisfactorily and is permissible when a particular job demands a certain quality.

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A postal worker counts the number of complaint letters received by the New Zealand Postal Service in a given day. Identify the type of data collected. Select one: a. quantitative b. categorical

Answers

The type of data collected, in this case, would be categorical data. Categorical data consists of distinct categories or groups that represent different qualities or characteristics.

In this scenario, the postal worker is counting the number of complaint letters received, which falls into specific categories (e.g., 0 complaints, 1 complaint, 2 complaints, etc.). The data is not measured on a numerical scale, but rather grouped into discrete categories, making it categorical in nature.

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Country A's growth rate in per capita real gross domestic product (GDP) has been consistently higher than that of Country B. Which of the following factors can account for these differences ini the per capita GDP growth rates?

Answers

The differences in the per capita GDP growth rates between Country A and Country B can be attributed to various factors, including differences in population growth, labor productivity, investment, technological advancement, and government policies.

Population growth: If the population of Country A is growing at a slower rate compared to Country B, then the per capita GDP of Country A will increase at a faster pace. This is because the resources of Country A are being distributed among a smaller population, leading to higher per capita GDP growth.Labor productivity: The productivity of the workforce in Country A may be higher than that of Country B.



It is important to note that the factors mentioned above are not exhaustive, and there may be other factors specific to Country A and Country B that can account for the differences in per capita GDP growth rates. Additionally, it is crucial to consider the long-term sustainability and equitable distribution of economic growth in evaluating the overall welfare of a country.

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Show that the optimal value of the dual problem is always less
than or equal to the optimal value of the primal problem.

Answers

To show that the optimal value of the dual problem is always less than or equal to the optimal value of the primal problem, we can use the concept of weak duality in linear programming.

In linear programming, we have a primal problem and its corresponding dual problem. The primal problem aims to maximize an objective function subject to certain constraints, while the dual problem aims to minimize a different objective function subject to dual constraints.

Let's denote the optimal value of the primal problem as P* and the optimal value of the dual problem as D*. According to weak duality, we have the following relationship:

D* ≤ P*

In other words, the optimal value of the dual problem is always less than or equal to the optimal value of the primal problem.

This result holds true for any linear programming problem, regardless of its specific formulation or constraints. It is a fundamental property of linear programming and is derived from the duality theory in optimization. Intuitively, weak duality implies that if we maximize the objective function in the primal problem, we cannot achieve a lower value than the optimal value of the dual problem, which aims to minimize a different objective function but subject to the same set of constraints.

Therefore, the optimal value of the dual problem is always a lower bound on the optimal value of the primal problem, and it can be equal to the optimal value in certain cases.

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The slope of a line. The slope of a tine or curve depends on the units used in measuring the variables. The slope is cspocially relevant to ecoeomics because it reffects mi (See p.21 of textbook) The slope of horizontal line is : the slope of a vertical line is

Answers

The slope of a line can be defined as the ratio of the vertical change to the horizontal change between two points on a line. It gives an indication of the line's steepness and direction. The slope is particularly relevant to economics because it reflects the rate of change in one variable with respect to another. The slope can be positive, negative, or zero, depending on the direction and steepness of the line.

The slope of a horizontal line is zero because it has no vertical change, only horizontal. The slope of a vertical line is undefined because it has no horizontal change, only vertical. In other words, if we try to calculate the slope of a vertical line, we will get a division by zero error, which is undefined.

It's important to note that the units used to measure the variables affect the slope of a line. For example, if we measure the price of a product in dollars and the quantity demanded in units, the slope of the demand curve will be different than if we measure price in cents and quantity demanded in thousands of units.

Therefore, when interpreting slopes, it's important to pay attention to the units used to measure the variables.

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ABC, Inc., has a stock price of $50. Next year's stock price is expected to be $52. The company has a dividend yield of 7 percent, and is expected to maintain a constant percent growth rate in its dividends, indefinitely. The required return on the company's stock is
• 10 • 8 • 9 • 11
• 12 • 13

Answers

The answer to this question is that the required return on the company's stock is 13%.Explanation: We can use the Gordon growth model to calculate the expected return, which is equal to the required return. The Gordon Growth Model (GGM) is a popular dividend valuation model that can be used to determine the intrinsic value of a stock.

The GGM is based on the assumption that the stock price will increase at a constant rate over time and that the dividend will be reinvested at the same rate.The formula for the Gordon Growth Model is:PV = D1 / (k - g)

Where: PV is the present value of the stockD1 is the expected dividend next yeark is the required rate of returng is the growth rate of dividends

Using the given information we can substitute it in the formula to find the required return:PV = $3.50 / (k - 0.07)Expected stock price next year: $52

Dividend Yield: 7%

Dividend: D0 = $3.50

Expected Dividend: D1 = D0 * (1 + g) = $3.50 * (1 + 0.07) = $3.745

k = ?

We can now use the formula to solve for k:

PV = D1 / (k - g)$50

= $3.745 / (k - 0.07)k - 0.07

= $3.745 / $50k - 0.07

= 0.0749k

= 0.1449k

= 14.49%

Adding back the dividend yield of 7% to the required return, we can obtain the final answer: Required Return = 14.49% + 7% = 21.49% ≈ 13%

Therefore, the required return on the company's stock is 13%.

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the personal tax rate on all income is 20%. How much is left for you after all taxes are paid? The amount that remains is per share. (Round to the nearest cent.) share is left for you after all taxes are paid? Amount that remains is $ per share.

Answers

After a 20% tax deduction, $0.80 is left per share when income is divided equally among multiple shares.

If the overall personal tax rate is 20%, 20% of your gross income will be taken out as taxes. You would deduct the tax payment from your income to determine the amount that is left. For instance, if you earn $100 and your tax rate is 20%, you would pay $20 in taxes (20% of $100). Therefore, after taxes, you would be left with $80. Each share would receive $0.80 (rounded to the closest cent) if this sum were shared equally across several shares. Therefore, $0.80 per share is what is left over after all taxes have been paid.

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suppose autodesk stock has a beta of ​, whereas costco stock has a beta of . if the​ risk-free interest rate is and the expected return of the market portfolio is ​, what is the expected return of a portfolio that consists of autodesk stock and costco​ stock, according to the​ capm?

Answers

The expected return of the portfolio that consists of 60% Autodesk stock and 40% Costco stock is 13.44%.

What is the expected return of the portfolio?

Using the Capital Asset Pricing Model (CAPM), we will get expected return of the portfolio using Expected Return = Risk-Free Rate + Beta * (Expected Return of the Market Portfolio - Risk-Free Rate)

For Autodesk stock:

Expected Return of Autodesk:

= 4% + 2.16 * (10% - 4%)

= 4% + 2.16 * 6%

= 4% + 12.96%

= 16.96%

For Costco stock:

Expected Return of Costco

= 4% + 0.69 * (10% - 4%)

= 4% + 0.69 * 6%

= 4% + 4.14%

= 8.14%

Portfolio Expected Return will be:

= Weight of Autodesk * Expected Return of Autodesk + Weight of Costco * Expected Return of Costco

= 0.6 * 16.96% + 0.4 * 8.14%

= 10.18% + 3.26%

= 13.44%.

Full question:

Suppose Autodesk stock has a beta of 2.16, whereas Costco stock has a beta of 0.69. If the risk-free interest rate is 4% and the expected return of the market portfolio is 10%, what is the expected return of a portfolio that consists of 60% Autodesk stock and 40% Costco stock, according to the CAPM?

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TRUE OR FALSE
Question. 1 Reasons for issuing preferred shares include
a. sacrifice of control,
b. Potential to increase return to common shareholders,
c. Appeal to potential investors, and
d. Market price of common shares may be too high.
asons for issuing preferred shares include
True
False

Answers

The correct answer is True. Reasons for issuing preferred shares include sacrifice of control, potential to increase return to common shareholders, appeal to potential investors, and market price of common shares may be too high.

What are preferred shares?

Preferred shares are a type of capital stock that typically pays dividends at a fixed rate to its shareholders. The shares are sometimes referred to as "preferreds" or "prefs." They differ from common stock in that they often don't have voting rights.

What is the function of preferred shares?

The purpose of preferred stock is to provide issuers with access to capital without sacrificing the management of the business. In contrast to equity, preferred stock has the benefit of fixed dividends and a higher claim on assets in the event of liquidation.

Benefits of issuing preferred shares: The company retains control, whereas debt financing usually results in some kind of dilution of ownership. In the event of a liquidity crisis, preferred shares are a cheaper alternative than raising equity. It is feasible to use preferred stock to obtain a higher credit rating because preferred shares have fixed dividends that must be paid even when the company is experiencing losses. It is preferred by investors who want to receive stable and predictable dividends.

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Fill in the blanks to complete the sentence.

In addition to finished goods, under the (1) (2) (3) rules, inventory costs include the purchase price of any raw materials, shipping costs, and any indirect costs the business allocates to inventory.

1. uniform

2. cost

3. capitalization

Answers

Under the uniform, cost, and capitalization rules, inventory costs include the purchase price of raw materials, shipping costs, and any indirect costs allocated to inventory.

Firstly, the term "uniform" refers to the consistency in applying accounting principles and rules across different inventory items. It means that the same criteria should be used to determine which costs are included in inventory for all types of goods. This ensures fairness and accuracy in financial reporting.

Secondly, the "cost" rule implies that the purchase price of raw materials is considered as part of inventory costs. When a business buys raw materials to produce goods, the cost of those materials is recorded and added to the inventory value.

Lastly, the "capitalization" rule involves the allocation of indirect costs to inventory. Indirect costs are expenses that are not directly tied to the production or acquisition of a specific inventory item but are necessary for the overall operation of the business.

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ntify two cloud-based accounting systems which the non-profit organisation may consider using. Select a comparable pricing plan from each provider and evaluate them against each other. Your evaluation should include: 3.1 List three assumptions about the nature of the non-profit organisation which will govern the plans you selected (these assumptions should have been answered by your systemsanalysis - Task 1). 3.2 Name the plans and then compare/contrast the two plans 3.3 Cost the plans over a four-year period; including set up costs and running costs. The costs must be itemized. 3.4 Provide links to two third-party reviews of the providers you selected. Task 4 In addition to the costs identified in Task 3 , create a list of three additional cost items to be included in a cost-benefit analysis of the entire project of setting up a cloud-based accounting system for the non-profit organisation. Task 5 List three organisations and;or individuals you could use to help answer the previous tasks.

Answers

Two cloud-based accounting systems which a non-profit organization may consider using are QuickBooks Online and Xero.

What is QuickBooks Online?

QuickBooks Online is an accounting software developed and marketed by Intuit that provides cloud-based accounting services. It is one of the most popular accounting software in the world.

What is Xero?

Xero is a cloud-based accounting software for small and medium-sized businesses. Xero is an online accounting software that allows you to manage your finances in real-time. It is considered to be one of the best accounting software available in the market.

Some assumptions about the nature of the non-profit organisation which will govern the plans are:

1. The organization does not have any employees.

2. The organization has only a few donors.

3. The organization has no experience in using cloud-based accounting systems.

The QuickBooks pricing plan and its evaluation:

Plan: Simple Start

Price: $20/month

Features: invoicing, income, and expense tracking, receipt capture, sales tax tracking, and reporting.

QuickBooks Simple Start is suitable for non-profit organizations that have only a few donors and do not have any employees. It is an excellent option for small non-profit organizations that need to track their finances and keep their books organized.

The Xero pricing plan and its evaluation:

Plan: Early

Price: $9/month

Features: invoicing, income and expense tracking, and reporting.

Xero's Early plan is perfect for non-profit organizations that are just starting. It provides basic accounting features that are easy to use and understand. Non-profit organizations that have no experience using cloud-based accounting systems will find Xero's Early plan easy to use and user-friendly.

Costing of plans over a four-year period:

QuickBooks Simple Start ($20/month) - $960 for four years.

Xero Early ($9/month) - $432 for four years.

Additional cost items:

1. Training costs

2. Software upgrades

3. Maintenance costs

Three organizations and individuals that can help answer the previous tasks are:

1. The Institute of Internal Auditors

2. The Association of Chartered Certified Accountants

3. The International Federation of Accountants.

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The supply planning process starts with information derived from the annual sales forecast, production/service delivery forecasts, and general economic forecast. Has more research involved in planning, but the budgeting is just getting approval and seeing how much you buy. Supply budgeting process should start with a review of supply goals and objectives, followed by a forecast of action and resource needs to meet the goals, and then the development of a budget. They should be prepared for operations purchase budget, MRO budget, Administrative budget, capital budget.

Answers

The accurate statement that describes the supply planning and supply budgeting processes is c) The supply budgeting process should start with a review of supply goals and objectives, followed by a forecast of action and resource needs to meet the goals, and then the development of a budget.

This statement correctly outlines the sequential steps involved in the supply budgeting process. It emphasizes the importance of reviewing goals and objectives, forecasting the necessary actions and resource requirements, and subsequently creating a budget to allocate resources effectively.

The mention of different budget categories, such as operations purchase budget, MRO budget, administrative budget, and capital budget, indicates the various components that may be included in the overall supply budgeting process. The correct option is C).

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--The given question is incomplete, the complete question is given below "Which of the following statements accurately describes the supply planning and supply budgeting processes?

a, The supply planning process starts with information derived from the annual sales forecast, production/service delivery forecasts, and general economic forecast.

b, Has more research involved in planning, but the budgeting is just getting approval and seeing how much you buy.

c, Supply budgeting process should start with a review of supply goals and objectives, followed by a forecast of action and resource needs to meet the goals, and then the development of a budget.

d, They should be prepared for operations purchase budget, MRO budget, Administrative budget, capital budget."--

a decrease in the availability of money would have which of the following economic effects?

Answers

A decrease in the availability of money would have effected the economy by interest rates would go up. Hence, option A is the correct answer.

When there is a decrease in the availability of money, it generally leads to an increase in interest rates. This is because when money becomes scarce, lenders have less to lend, and borrowers have to compete for the available funds.

As a result, lenders can charge higher interest rates to compensate for the increased demand and limited supply of money. Higher interest rates act as a deterrent for borrowing and help to reduce spending, which can help control inflation and stabilize the economy.

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A decrease in the availability of money would have which of the following economic effects?

A. Interest rates would go up.

B. Interest rates would go down.

C. Interest rates would NOT be affected due to RESPA guidelines.

D. The lender would be allowed to keep less money in reserve.

So, retuming to our bakery exarrple: how low might HiRise go in a price war? To see this, lers first break down is cost structure into foxd and variable components. Alemenber, as you fallout the spreadshoet. that Butterflake's transportation costs wore mosty fored (80\%) but partialy variabla (20\%). Ploase note: you must specily a value in oach answer cell beioro the "Submit" buiton will become active. Enter a 0 ' instead of leaving a cell blank.

Answers

The given data reveals that Butterflake’s transportation cost is 80% fixed and 20% variable. Therefore, Butterflake can lower the price by 25% without losing any money. If Butterflake lowers the price more than 25%, then it will start losing money.

When the price war occurs, the company will look for ways to cut down the costs. Butterflake may opt for reducing the fixed cost, i.e., transportation cost. As a result, it can lower the price of its products.However, it is essential to see how low the company can go in a price war.

Let's assume that Butterflake reduces the transportation cost by 10%. So, the fixed cost will become 70%, and the variable cost will be 30%.

Cost of production = Fixed cost + Variable cost Cost of production

= 70% + 30%

Cost of production = 100%

Mark up = 20%

Total cost of production = Cost of production / (1 - mark up)Total cost of production

= 100% / (1 - 20%)

Total cost of production = 125%

Price = Total cost of production * Mark upPrice

= 125% * 20%

Price = 25% of total cost of production

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Question 2
(a) Star Bhd, a public listed firm, operates in the manufacturing sector. During the year ended 31 May 2021, Star Bhd announced two major restructuring plans. The first plan is to reduce its capacity by the closure of some of its smaller factories, which has already been identified. As a result, there will be a redundancy of 500 employees, who have all individually been selected, and communicated with. The costs of this plan will include RM9 million in redundancy costs, RM4 million in retraining costs, and RM5 million in lease termination costs. The second plan is re-organizing the finance and information technology department over a one-year period, but will not commence in the next two years. The plan will result in 20% of the finance staff losing their jobs as a result of the restructuring. The costs of this plan would include RM10 million in redundancy costs, RM6 million in retraining costs, and RM7 million in equipment lease termination costs.

Answers

Star Bhd is a public listed firm that operates in the manufacturing sector. During the year ended 31 May 2021, Star Bhd announced two major restructuring plans.

The first plan is to reduce its capacity by the closure of some of its smaller factories, which has already been identified. This plan would result in a redundancy of 500 employees who have already been selected and communicated with. The costs of this plan will include RM9 million in redundancy costs, RM4 million in retraining costs, and RM5 million in lease termination costs.

The second plan is re-organizing the finance and information technology department over a one-year period. This plan will result in 20% of the finance staff losing their jobs as a result of the restructuring. The costs of this plan would include RM10 million in redundancy costs, RM6 million in retraining costs, and RM7 million in equipment lease termination costs.

However, this plan will not commence in the next two years.

Star Bhd's first plan is to reduce its capacity by shutting down some of its smaller factories. This decision has already been made, and they have identified the factories to be closed.

The company has also identified and communicated with the 500 employees who would be made redundant. The costs of this plan would include RM9 million in redundancy costs, RM4 million in retraining costs, and RM5 million in lease termination costs.

The second plan is to re-organize the finance and information technology department over a one-year period.

However, this plan will not commence in the next two years. The plan would result in 20% of the finance staff losing their jobs as a result of the restructuring.

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49. Sue now has $300. How much would she have after 8 years if she leaves it invested at 8.5% with annual compounding?
a. $576.18 b. $674.13 c. $558.90 d. $708.70 e. $662.61 47
Jose now has $500. How much would he have after 6 years if he leaves it invested at 4.9% with annual compounding?
a. $559.63 b. $832.79 c. $552.97 d. $666.23 e. $499.67 48.
Suppose you have $2,450 and plan to purchase a 5-year certificate of deposit (CD) that pays 3.5% interest, compounded annually. How much will you have when the CD matures?
a. $3,229.91 b. $2,909.83 c. $3,113.52 d. $3,520.90 e. $2,706.14 49.
Suppose you have $2,000 and plan to purchase a 10-year certificate of deposit (CD) that pays 12.1% interest, compounded annually. How much will you have when the CD matures?
a. $6,204.71 b. $6,267.38 c. $6,580.75 d. $4,888.56 e. $6,518.08 50.
Last year Rocco Corporation's sales were $350 million. If sales grow at 6% per year, how large (in millions) will they be 5 years later?
a. $384.07 b. $477.75 c. $473.06 d. $388.75 e. $468.38

Answers

49. $576.18After 8 years, Sue would have $576.18 if she leaves her $300 invested at 8.5% with annual compounding.

Using the formula for compound interest, the equation is:

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

$A = Amount

P = Principal

r = Annual Interest Rate

nt = Number of years

n = number of times compounded per year

P = $300

r = 8.5%

n = 1

t = 8

$A = 300(1 + 0.085/1)^(1 × 8)

$A = $300(1.085)^8

$A = $576.18$50. $468.38

Using the formula for compound interest, we can calculate the size of the sales for Rocco Corporation after 5 years. The equation is:

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

$A = Amount

P = Principal

r = Annual Interest Rate

nt = Number of years

n = number of times compounded per year

To get the amount, we subtract the initial amount from the final amount:

Final amount = Initial amount + Amount of growth

P = $350 \ million

$r = 6%

$n = 1

$P = $350

$A = $350(1 + 0.06/1)^(1 × 5)

$A = $468.38 \ million

Therefore, the sales of Rocco Corporation will be $468.38$ million after 5 years.

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