The answer is Yes, Dan Price is a hero because He is the sole shareholder and board member of the company.
He gained recognition in 2015 after he raised the minimum salary for employees of his company to $70,000 and lowered his own wage to $70,000 from $1.1 million.
What is a brief definition of a company?A sort of business organization known as a company is a legal entity distinct from its owners. Because to additional reporting requirements and higher-level legal obligations, it is a complex corporate structure with greater setup and administrative costs.
What distinguishes a firm from a business?A firm can also be referred to as a "business." It is a general term that refers to all different kinds of business companies. Having said that, enterprises include fundamental entities that, in contrast to companies, aren't regarded as distinct legal entities. For instance, a sole proprietorship is not a distinct legal entity.
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You are working on the budget process for The Potemkin Group. The following information is extracted from the Financial Statements of the Potemkin Group: €'000 Ordinary Shares (€2) 62,000 Retained Earnings 96,400 6% Preference Shares (€3) 24,000 5.8% Redeemable Debentures 70,000 252,400 As part of the budgeting process your team is tasked with calculating the Weighted Average Cost of Capital (WACC) that will be used in a five-year plan. The ordinary shares are currently quoted on the National Stock Market at €12.30 - ex dividend - per share. An ordinary dividend of €0.50 per share has been announced by the board and is scheduled to be paid next week. The board has also announced that it expects to grow Ordinary dividends by 4% per annum for the foreseeable future. The Preference shares are currently trading at €4.65 per share. Dividends were paid within the last quarter. The 5.8% Debenture is redeemable at par in 5 years' time. The Debentures are trading at €98.80 ex-interest. The Potemkin Group pays a Corporation Tax rate of 15%. The Potemkin Group's Banking partner will provide short term loans at 12.75%, and the inflation rate in the economy is 5.5%. Required a. Calculate the current cost of each type of finance in the company's capital structure. (40 marks) b. Calculate the weighted Average Cost of Capital (WACC) of The Potemkin Group. (24 marks) c. Evaluate how The Potemkin Group could make changes to its WACC. (8 marks) d. Discuss the return provided to capital providers calculated in (a) above, with reference to the nominal interest rate and the general inflation rate. (28 marks)
Previous question
a. To calculate the current cost of each type of finance in The Potemkin Group's capital structure, we need to consider the different sources of financing and their associated costs:
1. Ordinary Shares:
- Number of Ordinary Shares: 62,000
- Market Price per Share: €12.30
- Dividend per Share: €0.50
The cost of ordinary shares is calculated using the Dividend Discount Model (DDM):
Cost of Ordinary Shares = Dividend per Share / Market Price per Share
Cost of Ordinary Shares = €0.50 / €12.30
2. Preference Shares:
- Market Price per Share: €4.65
The cost of preference shares is the dividend yield:
Cost of Preference Shares = Dividend per Share / Market Price per Share
Since the dividend information is not provided, we cannot calculate the exact cost of preference shares.
3. Redeemable Debentures:
- Market Price: €98.80
- Redemption Value: €100
The cost of debt (redeemable debentures) is calculated using the yield to maturity:
Cost of Debt = (Annual Interest / Market Price) + (Redemption Value - Market Price) / (Number of Years)
Annual Interest = Market Price * Interest Rate
Cost of Debt = (Annual Interest / Market Price) + (Redemption Value - Market Price) / 5
b. To calculate the weighted average cost of capital (WACC), we need to assign weights to each component of the capital structure and calculate the cost of each component. Then, we can use the formula:
WACC = (Weight of Equity * Cost of Equity) + (Weight of Debt * Cost of Debt) + (Weight of Preference Shares * Cost of Preference Shares)
The weights can be calculated by dividing the market values of each component by the total market value of the company's capital structure.
c. The Potemkin Group can make changes to its WACC by adjusting the weights of each component in the capital structure. For example, if the company decides to issue more debt or preference shares, the weight of debt or preference shares will increase, which may lower the WACC if their respective costs are lower than the cost of equity. Alternatively, if the company buys back shares or reduces debt, the weight of equity will increase, potentially increasing the WACC.
d. The return provided to capital providers is calculated based on the nominal interest rate and the general inflation rate. The nominal interest rate represents the cost of borrowing or the return expected by lenders and investors. The general inflation rate represents the erosion of purchasing power over time.
By comparing the return provided to capital providers calculated in part (a) above with the nominal interest rate and the general inflation rate, we can assess the real return earned by capital providers. If the return exceeds the nominal interest rate and inflation rate, capital providers are receiving a positive real return. However, if the return is lower than the nominal interest rate and inflation rate, the real return may be negative, indicating a loss in purchasing power over time.
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If the market price is $8, how many units should the firm produce to maximize profit?.
At a price of $8 per unit, the company has to create seventy (70) units in order to make the most amount of money possible. At a price of $8 per unit, the company has to create seventy units in order to make the most amount of money possible.
What is maximizing profit?Generally, In the field of economics, the term "profit maximization" refers to either the "short run" or "long run" process that a company can use to determine the price, input and output levels that will result in the greatest possible total profit.
The term "profit maximization" draws attention to that specific point, which is the level of output at which your company generates the greatest amount of profit. "a company trying to maximize profit will produce the quantity where marginal cost' and marginal revenue' are equal to each other," as stated by the Khan Academy, a non-profit educational organization.
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You own a mobile Taco Truck. You have a short list of competitors. Which TWO would be considered your Indirect Competition?
Select 2 correct answer(s)
A.) Mobile Fish and Chips Truck
B.) A local Taco Bell franchise
C.) Walk-up Mexican Food stand
D.) A local Burger King franchise
The two options that could be considered indirect competition for a mobile Taco Truck are (A) Mobile Fish and Chips Truck (C) Walk-up Mexican Food stand
Indirect competition refers to businesses that offer different products or services but still target the same customer base or satisfy similar customer needs. In this case, the Taco Truck, Fish and Chips Truck, and Walk-up Mexican Food stand all fall under the category of mobile food vendors and offer food options to customers.
The Mobile Fish and Chips Truck is an example of indirect competition because it provides a different type of cuisine compared to the Taco Truck. While the Taco Truck focuses on Mexican food, the Fish and Chips Truck specializes in seafood. However, both food trucks target customers who are seeking quick and convenient meals on the go, making them indirect competitors.
Similarly, the Walk-up Mexican Food stand is considered indirect competition because it also offers Mexican food but operates in a different format. Unlike the mobile food trucks, the stand is stationary and doesn't have the mobility aspect. However, it caters to customers looking for Mexican cuisine and offers a similar dining experience to the Taco Truck.
On the other hand, option B (local Taco Bell franchise) and option D (local Burger King franchise) would be considered direct competitors as they both operate in the fast food industry and offer similar types of food as the Taco Truck. These franchises have established brick-and-mortar locations and compete directly with the Taco Truck for customers seeking fast food options.
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1. Organization charts help managers understand the financial situation of the company.
a. True
b. False
1. capital gains
3
money paid from a company's earnings to people who own stock in that company
2. commission
6
the income a business makes
3. dividends
5
money the bank gives you when you keep your money in one of their accounts
4. entrepreneur
4
a person who takes a risk to create a new product or develop a better way to operate a business
5. interest
1
income earned by the sale of assets, such as stocks or property, the gain of which is the difference between the price paid and the selling price
6. revenue
2
a fee paid to employees for their sale or services, the amount of which is usually based on a percentage of the sale price
Answer:
CAPITAL GAINS - income earned by the sale of assets, such as stocks or property, the gain of which is the difference between the price paid and the selling price
COMMISSION - a fee paid to employees for their sale or services, the amount of which is usually based on a percentage of the sale price
DIVIDENS - money paid from a company's earnings to people who own stock in that company
ENTREPRENEUR - a person who takes a risk to create a new product or develop a better way to operate a business
INTEREST - The income a business makes
REVENUE - money the bank gives you when you keep your money in one of their accounts
Answer:
1. capital gains
income earned by the sale of assets, such as stocks or property, the gain of which is the difference between the price paid and the selling price
2. commission
a fee paid to employees for their sale or services, the amount of which is usually based on a percentage of the sale price
3. dividends
money paid from a company's earnings to people who own stock in that company
4. entrepreneur
a person who takes a risk to create a new product or develop a better way to operate a business
5. interest
money the bank gives you when you keep your money in one of their accounts
6. revenue
the income a business makes
Explanation:
I did it
Which of the following has been a result of the higher loonie value?
a. More Canadian consumers are shopping in the United States.
b. Canada is seeing higher profit margins.
c. Canada is exporting more goods to the US.
d. More US consumers are shopping in Canada.
A result of the higher loonie value is "More Canadian consumers are shopping in the United State". The correct answer is option A.
When the value of the Canadian dollar (loonie) increases, it makes imported goods relatively cheaper for Canadian consumers compared to domestically produced goods. This can lead to a higher demand for goods and services from the United States, as Canadian consumers find it more cost-effective to shop across the border. As a result, option A is the correct answer.
The higher value of the loonie can have various effects on the economy, but in this specific context, it indicates that Canadian consumers are taking advantage of the favorable exchange rate to shop in the United States. This can have implications for domestic businesses, as they may face increased competition from US retailers.
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A company is considering purchasing a machine that costs $280,000 and is estimated to have no salvage value at the end of its 8-year useful life. If the machine is purchased, annual revenues are expected to be $100,000 and annual operating expenses exclusive of depreciation expense are expected to be $38,000. The straight-line method of depreciation would be used. If the machine is purchased, the annual rate of return expected on this machine is:__________.
Answer:
19.29%
Explanation:
We can calculate Annual Rate of Return by using the following formula:
ARR = Net Income / Average Investment
Here
Net Income $27,000 Step1
Average Investment $140,000 Step2
By putting values, we have:
ARR = $27,000 / $140,000 = 19.29%
Step1: Net Income
Net Income = Annual Revenue - Depreciation - Operating Expenses
Here
Annual Revenue = $100,000 - $280,000/8 - $38,000
= $100,000 - $35,000 - $38,000
= $27,000
Step2: Average Investment
Average Investment = (Initial Investment + Scrap Value)/ 2
Average Investment = ($280,000 + 0)/2 = $140,000
Explain what a trade war is
Answer: A trade war happens when one country retaliates against another by raising import tariffs or placing other restrictions on the other country's imports.
Explanation:
A small coffee shop consumes on average 5000 bags of their most popular coffee beans each month. Demand is normally distributed with standard deviation of the monthly demand being 200 bags. The shop pays $12 for each bag to the supplier. The cost of ordering and receiving shipments is $12 per order. Accounting estimates annual inventory carrying cost is 30% of its value. The supplier lead time is a constant of 2 operating days. The shop operates 240 days per year, i.e., the shop operates 20 days each month. Each order is received from the supplier in a single delivery. The coffee shop uses continuous review (i.e., fixed-order quantity) inventory system and pays the supplier when the order is delivered (i.e., cash on delivery). There are no quantity discounts. Please keep two decimal places in all your calculations.
What quantity should the shop order with each order?
Therefore, the coffee shop should order 6,125 bags of coffee beans with each order. This will minimize the total cost of ordering and receiving shipments while ensuring that the shop has enough inventory to meet its demand.
To determine the optimal order quantity for the coffee shop, we can use the Economic Order Quantity (EOQ) model. The EOQ formula is:
EOQ = √[(2D - H) / (r - H)]
Where:
EOQ is the optimal order quantity
D is the demand for the item per month
H is the holding cost per unit per month
r is the monthly ordering cost
We can first calculate the holding cost per unit per month:
Holding cost per unit per month = (20 days * 12)/(30 *12perday)
Next, we can calculate the monthly ordering cost:
Monthly ordering cost = 1 order per month = $12 per order
We can then calculate the monthly demand:
Monthly demand = 5000 bags per month = 5000 / 20 bags per day = 250 bags per day
Finally, we can calculate the annual demand:
Annual demand = 250 bags per day x 365 days = 91,250 bags per year
We can then plug these values into the EOQ formula:
EOQ = √[(2D - H) / (r - H)]
= √[(2(91,250) - (91,250) / 12) / (12 - (91,250) / 12)]
= √[84,000 / 12]
= 6,125 units
Therefore, the coffee shop should order 6,125 bags of coffee beans with each order. This will minimize the total cost of ordering and receiving shipments while ensuring that the shop has enough inventory to meet its demand.
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What are two types of goods/services that lend themselves well to price competition? Discuss these goods/services and reasons why price competition works best for them.
Explanation:
The two types of goods / services where price competition works best are those classified by a market model of perfect competition and imperfect competition.
In perfect competition, there is a predominance of a homogeneous market, with the presence of many companies and without barriers to entry, where there is the possibility of free price competition, such as the food industry.
In imperfect competition, there is also the presence of many industries in the market, but there is a differentiation of products, which causes price competition but depending on the benefits, functionality and degree of differentiation of the good perceived by the consumer.
The two types of goods/services that lend themselves well to price competition are those that are classified by a market model of perfect competition and imperfect competition.
It should be noted that in perfect competition, there is a homogeneous market. Also, no one can influence the price. There's also free entry and exit.
On the other hand, in imperfect competition, there is also the presence of many industries in the market, but there is a differentiation of products, which causes price competition. Also, the producers can influence the price.
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this is for you so i dont feel bad
why does spaghetti taste good?
Answer:
cuz why not,its bery taesty
fixed expenses definition
Fixed expenses are expenses that do not vary with changes in a business's level of production or sales.
They are typically long-term costs that a business incurs regardless of how much revenue it generates or how many products it sells. Fixed expenses are also referred to as "overhead" and can include items such as rent or lease payments, salaries, insurance premiums, property taxes, and equipment maintenance costs.
Unlike variable expenses, such as the cost of materials or shipping fees, fixed expenses remain constant over time. This means that the total amount of fixed expenses remains the same, regardless of the level of production or sales.
For a business, it is important to understand and manage its fixed expenses. These expenses represent a regular drain on the company's resources, and any inefficiencies or excess costs can negatively impact the company's bottom line. By keeping fixed expenses under control, a business can improve its profitability and better manage its cash flow.
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choose the best word or phrase to complete each sentence
The best word or phrase to complete each sentence is option D. in. There’s no point in staying up all night if your exam is tomorrow. The correct answer is in.
What is a preposition?A preposition is a word that shows relationship between two nouns. Preposition also indicate relationship between the elements of a clause or words. Preposition also indicates position, location and direction. For examples, in, of, at, into, above, over, etc.
Therefore, in the above sentence, preposition 'in' is used to express involvement in an activity.
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There’s no point _________ staying up all night if your exam is tomorrow.
a) On
b) With
c) Of
d) In
The yield to maturity on 1-year zero-coupon bonds is currently 4.5%; the YTM on 2-year zeros is 5.5%. The Treasury plans to issue a 2-year maturity coupon bond, paying coupons once per year with a coupon rate of 6%. The face value of the bond is $100.
The price of the 2-year maturity coupon bond is approximately $99.06.
To calculate the price of the 2-year maturity coupon bond, we need to consider the present value of the coupon payments and the present value of the face value.
The coupon payments are $6 per year for 2 years, and the face value is $100. We can calculate the present value of the coupon payments using the yield to maturity (YTM) of the 2-year zero-coupon bonds, which is 5.5%.
Using the formula for the present value of an annuity, we can calculate the present value of the coupon payments as follows:
Present Value of Coupon Payments = Coupon Payment x [1 - (1 + YTM)^(-n)] / YTM
Where:
Coupon Payment = $6
YTM = 5.5%
n = number of years = 2
Plugging in the values, we get:
Present Value of Coupon Payments = $6 x [1 - (1 + 0.055)^(-2)] / 0.055
= $6 x [1 - (1.055)^(-2)] / 0.055
≈ $11.27
The present value of the face value ($100) can be calculated using the YTM of the 1-year zero-coupon bonds, which is 4.5%. Using the formula for the present value of a single amount, we can calculate:
Present Value of Face Value = Face Value / (1 + YTM)^n
Where:
Face Value = $100
YTM = 4.5%
n = number of years = 2
Plugging in the values, we get:
Present Value of Face Value = $100 / (1 + 0.045)^2
≈ $87.79
Finally, we can calculate the price of the bond by adding the present value of the coupon payments and the present value of the face value:
Price of the Bond = Present Value of Coupon Payments + Present Value of Face Value
≈ $11.27 + $87.79
≈ $99.06
Therefore, the price of the 2-year maturity coupon bond is approximately $99.06.
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Review your states guidelines and regulations pertaining consumer loans and credit. And a 500 word report, describe how they compare to the federal laws. Tennessee.
Answer:
Texas state laws are highly concerned with third-party collection agencies hassling consumers. State laws require that debt collectors prove they are bonded and licensed to collect delinquent funds. A debt collector must validate or prove it is the legitimate owner of a debt and provide the consumer with specific information about the debt. The Texas finance code states that collection agencies must tell you the name of the original creditor, the original date of default or non-payment, the date the debt was transferred from the original creditor to the third-party debt collector, and the original balance and current balance. If the debt collector refuses to provide the information, state law views it as an admission of inaccurate debt collection. The consumer then has the right to have all debt collection efforts stop and to have the debt permanently removed from any consumer credit reports. The debt collector must be bonded in the state of Texas and have legal authority to collect fees, interest, and expenses. Texas offers programs to monitor credit reports, help repair credit history, and make payment plans.
While federal credit and loan laws are more concerned with fair and accurate business practices, Texas state law is more concerned about debt collection by third parties and repairing credit history. It indicates that when it comes to credit and loans, the biggest problems Texans experience are high debt, debt collections, and poor credit ratings. Texas is less concerned with fair credit practices by creditors and more concerned with how to keep its consumers from defaulting on loans. They also seem to be concerned with fraudulent collection agencies going after consumers and with false financial information being placed on consumer credit reports. The Fair Credit Reporting Act tells consumers to alert CRAs to investigate disputed claims, and the CRAs then have 30 days to investigate a claim and determine if it is inaccurate, incomplete, or unverifiable. In Texas, the state advises consumers to contact the collection agency and request information to validate the collection. Texas gives the collection agency 30 days to respond. If the collector doesn’t respond, the case must be removed, if the agency does respond, the debt is considered legitimate. The state does not refer to CRAs at all.
The state’s website does address identity theft, which can lead to fraudulent use of credit. Texas recommends its citizens invest in an identity protection plan for $10 a month. It also encourages people to invest in a credit report service for $14.95 a month. The Fair and Accurate Credit Transactions Act advises people that they have the right to access three free credit reports a year. The act also states that consumers have the right to have their account flagged by CRAs in the event of identity theft. Texas does not mention any of these rights and services. However, the state provides a lot of links and pages advertising businesses that consumers can pay to help them with credit history and identity theft. The state does not alert people to any free rights and services guaranteed by federal law.
Explanation:
PLATO
The father of a young child whose life was saved by doctors at a hospital emergency room called the president of the hospital and told her that he will donate $50,000 to the hospital, payable in 90 days, in consideration of the doctors' saving his child's life. The president recognized the father's name as a wealthy philanthropist who had donated generously to other worthy causes, and accepted the offer. The president promptly informed the hospital's board of directors of the father's offer and her acceptance of the offer. The board approved the purchase of a new respirator for $50,000 and authorized the president to enter into a written contract with a medical devices company to make the purchase, which she did. Once the child recovered, the father changed his mind and refused to give the hospital the $50,000. If the hospital sues the father, what would the hospital's best theory be to recover the $50,000
Answer:
promissory estoppel
Explanation:
Common law recognizes promissory estoppel as an enforceable promise. In order for promissory estoppel to be enforceable, it must comply with the following:
The promisee (the hospital) must have believed that the promise was real. The promisor (the father) must be a person capable of carrying out the promise. The promisee must have acted assuming that the promise was true (purchased the respirator).Pierson Industries has a beginning retained earnings balance of $42,500. An adjusted trial balance shows total expenses of $97,300 and revenue of $104,800. If dividends for the year were $3,500, determine the ending retained earnings balance for the year. $7,500. 0
The ending retained earnings balance for Pierson Industries cannot be determined from the given data.
The basic accounting equation states that assets must equal liabilities plus equity. Retained earnings is a component of equity, and is calculated as beginning retained earnings plus net income minus dividends. While we are given beginning retained earnings, revenue, expenses, and dividends, we are not given net income. Net income is calculated as revenue minus expenses, and is necessary to calculate the ending retained earnings balance. Without this information, we cannot ascertain the final retained earnings balance for the year.
The ending retained earnings balance for Pierson Industries cannot be determined without the net income for the year. This is because retained earnings is calculated as beginning retained earnings plus net income minus dividends. The adjusted trial balance provides some information about the company's financial performance, but it is incomplete without the net income figure. Therefore, we cannot determine the final retained earnings balance without additional information.
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Note that common activities are listed toward the top, and less common activities are listed toward the bottom. According to O*NET, what are common work activities performed by Construction Carpenters? Check all that apply. O. Inspecting equipment, structures, or material O. Writing computer programs to perform calculations O. Using knowledge of historical events and their effects on cultures O. Performing general physical activities O. Getting information O. Speaking and writing in a foreign language
Answer:
The answer is "Choice 1,4, and 5"
Explanation:
The numbering of the choices are missing, which can be defined in the attached file please find it.
Carpenters developers are restoring systems or structures for wooden buildings, like stairs, windows, and doors. It uses the equipment for cutting and shaping wood, plastic, fiberglass, or wallboard. As per O*NET, Building Carpenters could identify the typical work tasks as following:
Equipment, frameworks or material inspection Overall physical activity Knowledge obtainedAnswer:
2,3,4,5
Explanation:
which best deceived the nature of cause and effect in the context of the business cycle?
A. Each effect has other effects
B. Causes and effects cannot be easily defined
C. A cause has multiple independent effects
D. Each effect has a cause
"How do you access the Expression Builder to add a calculated field to a report? in the Report Wizard in the Format tab through Control Source in the Property Sheet through the Group & Sort function in Design tab through the Design View dialog box under Controls
B through control source in the property sheet
Answer: absnaja
Explanation: ekaksjen
fiscal policy refers to the idea that aggregate demand is affected by changes in
Fiscal policy refers to the idea that aggregate demand is affected by changes in Government spending and taxes.
What is fiscal policy?Fiscal Policy refers to government policy of using tax and spending to meet economic goals.
Here, a government adjusts its spending levels and tax rates to monitor and influence a nation's economy.
Hence, Fiscal policy refers to the idea that aggregate demand is affected by changes in Government spending and taxes.
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_______ is an important step of the marketing process because it involves the process of systematically collecting, recording, and analyzing data on what consumers want and need, their consumption habits, trends, and changes in the marketing environment.
a. Marketing strategy
b. Marketing information system
c. Sales forecast
d. Marketing research
Answer:
Customer relationship management
ABC Company's sales are $100,000, fixed costs are $50,000, and variable costs are $30,000. ABC Company's contribution margin and operating income are __________ and __________ respectively.
$50,000; $20,000
$20,000; $70,000
$70,000; $50,000
$70,000; $20,000
To calculate the contribution margin, we need to subtract the variable costs from the sales:
Contribution Margin = Sales - Variable Costs
Contribution Margin = $100,000 - $30,000
Contribution Margin = $70,000To calculate the operating income, we need to subtract the fixed costs from the contribution margin:Operating Income = Contribution Margin - Fixed Costs
Operating Income = $70,000 - $50,000
Operating Income = $20,000 Therefore, ABC Company's contribution margin is $70,000 and its operating income is $20,000. The correct answer is $70,000; $20,000.
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Assume your company’s sales increased from $3 million last year to $10 million this year. However, your biggest competitor is still the market leader with a 40% share of the $200 million widget market. Your other four competitors had sales this year of $53 million, $38 million, $12 million, and $7 million, respectively. For this year, what is your company’s MARKET SHARE? Type only a number along with a $ or % (if appropriate). Dollar amounts should be rounded to the nearest cent; percentages to the nearest tenth. *
Answer: 5%
Explanation:
The market share for the company will be gotten using the formula:
= Sales generated by company / Total industry sales × 100
= 10/200 × 100.
= 5%
Therefore, the company's market share is 5%
What will be the end result for the taxpayer who filed his federal income tax return.
If your federal gross income was $12,950 or more and you're under 65, you must submit a single status tax return. If your federal gross income was $14,700 or more and you are 65 years of age or older, you must file.
What is the status of federal filing?
Determines the tax rate applied to income. Head of household, married filing jointly, married filing separately, single, and qualified widow(er) with dependent child are the five filing statuses. A tax year is the 12-month period of time that a tax return covers. The tax year for people in the US is from January 1 to December 31 and includes taxes due on income earned during that time. The Where's My Return? feature is the easiest method to find out if you've received a tax refund. After receiving an e-filed return, taxpayers have 24 hours to start monitoring the status of their refund. After the return is processed and a refund is approved, the program also offers a customized refund date.
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Question 1 of 40
What of these statements best describes the purpose of a logo?
A. It consists of the words the audience will read first on an
advertisement.
B. It supports a marketing message by grabbing attention and
making an emotional appeal.
C. It lists information and other details needed to develop audience
interest and credibility.
D. It reminds the audience of the advertiser's identity.
SUBMIT
Answer:
D. It reminds the audience of the advertiser's identity.
Explanation:
Marketing can be defined as the process of developing promotional techniques and sales strategies by a firm, so as to enhance the availability of goods and services to meet the needs of the end users or consumers through advertising and market research.
Advertisement refers to the promotional multimedia messages designed and developed to make the products or services of a company known to its customers and potential customers. It is generally considered to be one-sided because it focuses on painting a brand as the best and devoid of any negative issue.
A logo is simply a graphical symbol, emblem or illustration that serves as a means of identity and trademark of a particular company saddled with the responsibility of manufacturing goods and services for its customers. Logos are usually placed or inscribed in all products, so as to differentiate the brand from it's competitors and to make the customers aware of the identity of the manufacturer (advertiser) during an advertisement.
Hence, the statement which best describes the purpose of a logo is that it reminds the audience of the advertiser's identity.
Four ways in which schools could promote entrepreneurship as a viable option to counteract unemployment
Answer:
Entrepreneurship is an important alternative to counteract unemployment. It not only gives provides employment to the entrepreneur but also provides jobs to others as well.
Explanation:
Entrepreneurship may be defined as the setting up of a business or a work looking out for making profit dealing with the risks and the challenges on its own.
Four ways in which the school can promote entrepreneurship as a viable option to counteract unemployment are :
build awareness and promote entrepreneurship among the students.Provide the benefits of being an entrepreneur and showing them the possibilities of setting up a business that can even provide jobs to others.Providing with valuable ideas and guidance regarding setting up a business and giving an overview of the current market trends and market study.Helping the students reach out to other entrepreneurs and also providing ways to get any financial aid to set up a business.Four Ways through which Schools can promote Entrepreneurship include the following
Creation of entrepreneurship centres to provide consulting to non-profits and small businesses.Awareness creation through seminars and lectures on the importance of entrepreneurship as an alternative to paid employment. Host entrepreneurship contests where incentives are given.Inviting influential and professional entrepreneurs to give lectures.What is Entrepreneurship ?Entrepreneurship is defined as the process of starting up a business, and taking up the responsibility of financial risk with the hope of making profit.
Entrepreneurship is a potent means of reducing unemployment to the lowest minimum.
Entrepreneurship brings about creativity and as such value is created which leads to more wealth.
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How do you profit from rising interest rates?
Purchase Treasury Inflation. Safeguarded Securities (TIPS) The U.S. government's full faith + credit are used to support these special bonds.
Describe TIPS.
The U.S. government issues Treasury securities, including Treasury inflation-protected securities (TIPS). To shield investors from a decrease in the purchasing value of their money, TIPS usually indexed to inflation.
What kinds of Treasury securities are there?
The term "Treasuries" is frequently used to describe Treasury securities. The Bureau of the Product And service offerings, which replaced the Division of the Public Debt, has been in charge of managing U.S. government debt since 2012. Marketable Treasury Bonds come in four different varieties.
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"We promise to leverage our customer-centric management model to keep listening to our customers. This is how we will repay the massive support we have received from customers around the globe." In light of the statement of above, evaluate two leadership styles/theories or models in terms of its effectiveness in context of Samsung. N.B. Students are required to conduct online desktop research in order to complete assignment questions.
Evaluate two leadership styles/theories or models in terms of their effectiveness in the context of Samsung, while including the terms "leadership" and "style" .
1. Transformational Leadership Style: Transformational leadership is a style that focuses on inspiring and motivating employees to achieve their full potential and exceed their own expectations. In the context of Samsung's commitment to a customer-centric management model, this leadership style can be highly effective. By fostering an environment where employees are encouraged to think creatively and take risks, Samsung can stay ahead of the competition and continue to provide innovative products and services.
2. Servant Leadership Style: Servant leadership is a style in which leaders prioritize the needs and well-being of their employees, focusing on creating a supportive and inclusive environment. This leadership style can also be effective for Samsung as it aligns with their customer-centric approach.
In summary, both transformational and servant leadership styles can be effective for Samsung in the context of their customer-centric management model. Transformational leadership can inspire and motivate employees to innovate and exceed customer expectations, while servant leadership can foster a supportive environment that leads to improved customer service. By leveraging these leadership styles, Samsung can continue to repay the support they receive from customers around the globe.
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