For a company concentrating on final assembly, adding retail and distribution into its value chain will require forward integration. Thus option B is correct.
What is the company?A company is a legal body formed by a number of people to conduct and manage a multinational corporation, whether it be commercial or economic. Depends on the market rules of its territory, a corporation may be set up in a variety of approaches for tax and lease responsibility reasons.
Forward integration will then be necessary for a business that focuses on finished product to include retail and distribute in its product lifecycle. Forward inclusion refers to the portion of the what takes position after a firm invests in production in the production process.
Therefore, option B is the correct option.
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PLSS HELP -->> societies make decisions about who gets the goods they produce by:
A. dividing goods based on the factors of production used to make them
B. determining whether a good has a high enough level of scarcity
C. considering whether the government should distribute the goods
D. differentiating between goods created using physical and human capital
Answer: C
Explanation: it’s c
Societies decide the distribution of goods being produced by considering if the government should take control of the same.
What is distribution of goods?The allocation of goods being produced in a society, which may or may not be under authority of a person, is known as distribution of goods.
Hence, option C holds true regarding the distribution of goods.
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On November 1, the one-month T-bill rate is 4.0% and the two-month T-bill is 6.0%. Assume that fed funds futures contracts trade at a 25 basis point rate under one- month T-bill rate at the start of the delivery month. The December fed funds futures is quoted at 94.75. Assuming no basis risk between fed funds and one-month T-bill at the start of the delivery month. Assume that one-month T-bill rate on December 1 was 7%. Contract size is $5,000,000. You are going to use a cash and carry arbitrage strategy to identify whether an arbitrage opportunity is available. Be sure to illustrate the arbitrage strategy for one contract. Assuming the one-month T-bill rate observed on December 1st is 7%, what is the value of the initial two-month T-bill on December 1st? O
a. 4,995,775 b. 5033,233 c. 4,983,389 d. 5,004,033
$4,995,775 is the value of the initial two-month T-bill on December 1st. The answer is (a).
To determine if an arbitrage opportunity exists, we need to compare the theoretical futures price with the actual futures price. If there is a difference between the two prices, we can use a cash and carry arbitrage strategy to profit from the difference.
First, we need to calculate the theoretical futures price based on the one-month T-bill rate on December 1st, which is 7%. The futures price is calculated as follows:
Futures price = 100 - (one-month rate + basis) = 100 - (7.0% + 0.25%) = 92.75%
Next, we need to calculate the actual futures price, which is given as 94.75. We can see that the actual futures price is higher than the theoretical futures price, indicating an arbitrage opportunity.
To take advantage of this arbitrage opportunity, we can use a cash and carry arbitrage strategy by buying a two-month T-bill and selling a December futures contract. The steps for this arbitrage strategy are as follows:
Borrow money at the one-month T-bill rate of 7% for one month.
Buy a two-month T-bill at the current market rate.
Sell a December futures contract at the current market price of 94.75.
Hold the two-month T-bill until maturity and collect the face value.
Use the face value of the two-month T-bill to pay back the borrowed amount plus interest.
The profit from this arbitrage strategy is the difference between the actual futures price and the theoretical futures price, multiplied by the contract size.
Profit = (Actual futures price - Theoretical futures price) x Contract size
Profit = (94.75% - 92.75%) x $5,000,000
Profit = $100,000
Therefore, the arbitrage profit is $100,000.
Finally, to calculate the value of the initial two-month T-bill on December 1st, we need to use the face value and subtract the interest earned during the two-month period. Assuming a face value of $5,000,000, the interest earned at a rate of 6% is:
Interest = Face value x Interest rate x Time
Interest = $5,000,000 x 6% x (2/12)
Interest = $50,000
So, the value of the initial two-month T-bill on December 1st is:
Value = Face value - Interest earned
Value = $5,000,000 - $50,000
Value = $4,950,000
Therefore, the answer is (a) $4,995,775.
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Help me, please.
⇒ Debt you've seen in your everyday life
⇒ Potential debt you plan to get into and why. What are the potential benefits of getting into this debt? What do you hope to get out of it?
Answer:
1) Auto loan - a lot of people take auto loans to purchase their dream car although it considered as a bad debt as a car usually is very expensive.
2) potential debt I wouldn't mind getting into would probably be something for myself aka self development. investing in yourself by borrowing for more education or to consolidate debt. it can increase your ability to save for the future, build wealth, etc.
Ivan has inherited his grandmother’s 1963 Chevrolet Corvette (trust me this is a hot car to own – if you watched Lucifer on TV you know it), which he values at $45,000. He decides that he might be willing to sell it so he posts it on Craigslist for $55,000. Samantha is interested and willing to pay up to $72,000. Would Ivan and Samantha want to voluntarily engage in trade? How much economic surplus is created for both of them as a result of this exchange? Show your calculations. What is the total economic surplus? Explain how you arrived at this number.
This total economic surplus is arrived at by subtracting the value that Ivan put on the car before the trade, $45,000, from the highest value that Samantha is willing to pay for the car, $72,000.
Ivan and Samantha would want to voluntarily engage in trade because there is a gap between what Ivan is willing to accept for the car ($55,000) and what Samantha is willing to pay for it ($72,000).
The economic surplus created for Ivan as a result of this exchange is $72,000 (the amount Samantha is willing to pay) minus $45,000 (the value Ivan placed on the car before the exchange) = $27,000.
The economic surplus created for Samantha is $72,000 (the amount she is willing to pay) minus $55,000 (the amount Ivan is asking for the car) = $17,000.
The total economic surplus created as a result of this exchange is the sum of the individual surpluses: $27,000 (for Ivan) + $17,000 (for Samantha) = $44,000.
This difference of $27,000 is the economic surplus for Ivan, and the difference between the amount Samantha is willing to pay, $72,000, and the amount Ivan is asking for, $55,000, is the economic surplus for Samantha. The total economic surplus is the sum of the two individual surpluses.
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Which of the following is NOT counted in the unemployment rate?
A. a person who was fired from their job and begins filling out applications to get a new
one.
B. a person who is watching T.V. all day and is not looking for a job
C. a person who just graduated from college but has not found a job yet.
D. a person who quit their job to look for a job with fewer work hours
The term “By Returns” and a corresponding credit of $80 on a statement of account mean that a sum of $80 was:
a) Paid to the seller
b) Paid to the buyer
c) Added to the amount owing
d) Deducted from the amount owing
Answer:
d) Deducted from the amount owing
Explanation:
Returns refer to the goods previously sold to a customer, but the buyer has since rejected them and returned them to the seller. A buyer may reject goods due to various reasons, such as the goods being defective.
When a buyer rejects and returns goods, they are not expected to pay for them. The seller issues a credit note worth the goods returned. That amount is deducted from the invoice issued to the buyer.
2) A deer is...
A. a kind of money.
B. a kind of animal.
C. made of shells.
D. gold or silver.
The answer is A.
Deers are animals
how would you choose to finance the firm’s growth? prepare to explain the effect of your proposal on the firm’s growth, strategic direction, and dilution in the founders’ equity interest.
Ultimately, the decision on how to finance a firm's growth depends on the company's specific circumstances and goals.
One option is debt financing, which involves taking out loans from banks or other financial institutions. This approach can provide a quick infusion of capital, but it comes with interest payments and the risk of default if the firm is unable to make the payments.
Another option is equity financing, which involves selling ownership shares in the company to investors. This approach can provide a more substantial amount of capital, but it also dilutes the founder’s equity interest. This means that the founders may own a smaller percentage of the company, which can affect their control over the firm's strategic direction.
A third option is retained earnings, which involves reinvesting profits back into the company. This approach can provide the necessary capital without diluting the founder’s equity interest, but it may also limit the firm's growth potential.
The chosen financing option will affect the firm's growth trajectory, strategic direction, and the dilution in the founder's equity interest. It is essential to consider all the options and their potential implications before making a final decision.
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Preference shares selling for $10 with an annual dividend
payment of $0.80. If the company sells a new issue the cost will be
$0.90 per share.
The estimated cost of preference shares is approximately 8.79%.
To estimate the cost of preference shares, we need to consider the annual dividend payment and the cost associated with a new issue.
The annual dividend payment for the preference shares is $0.80.
If the company sells a new issue, the cost per share would be $0.90.
To calculate the cost of preference shares, we can use the dividend discount model (DDM) approach. The cost of preference shares is equal to the dividend payment divided by the net proceeds per share from the new issue.
Cost of Preference Shares = Dividend Payment / Net Proceeds per Share
Net Proceeds per Share = Selling Price per Share - Issue Costs per Share
Net Proceeds per Share = $10 - $0.90 = $9.10
Cost of Preference Shares = $0.80 / $9.10 ≈ 0.0879
Therefore, the estimated cost of preference shares is approximately 8.79%.
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please help due in an hour
Which of the following is an example of a financing activity on the cash flow statement under U.S. GAAP?
A. Payment of interest.
B. Receipt of dividends.
C. Payment of dividends.
C. Payment of dividends is an example of a financing activity on the cash flow statement under U.S. GAAP.
Under U.S. GAAP, the payment of dividends is classified as a financing activity on the cash flow statement. Financing activities involve transactions that affect the long-term capital structure of a company, including the issuance or repayment of debt, issuance or repurchase of equity shares, and payment of dividends to shareholders. Dividends are distributions of earnings to the company's shareholders, and when they are paid out, they represent a reduction in the company's retained earnings and the return of capital to the shareholders. Therefore, the payment of dividends is considered a financing activity because it impacts the company's financing and capital distribution to its owners.
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Which of the following statements about price discrimination is TRUE?
A.Price discrimination is a way for firms to extract some consumer surplus as an additional profit.
B.Price discrimination involves offering the same food at SAME prices to different people.
C.In reality, it is much easier to implement 1st degree price discrimination than 3rd degree.
D.3rd degree price discrimination relies on the fact that multiple groups have the SAME elasticities for a product.
The statements about price discrimination that option A. Price discrimination is a way for firms to extract some consumer surplus as an additional profit is true.
Firms have always tried to make the most profit by pricing their products at different rates depending on the consumer group they are targeting, whether that group is defined by age, income, location, or other factors. Price discrimination is when a firm offers the same product or service to different groups of consumers at different prices. When a firm engages in price discrimination, it may charge higher prices to one group of consumers and lower prices to another.Price discrimination can benefit both firms and consumers. In general, price discrimination is a way for firms to extract some consumer surplus as an additional profit.
By charging different prices to different groups, firms can increase their profits while still selling to all consumers. Consumers, meanwhile, benefit from price discrimination because they can purchase goods and services at a lower price if they belong to a group that is charged a lower price than another group. Therefore, the answer to the question is option A: Price discrimination is a way for firms to extract some consumer surplus as an additional profit.
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I will mark brainliest.
Who created the music in Netflix’s Wednesday?
Answer:
Danny Elfman
Explanation:
Which of the following is usually combined with hospital and surgical insurance and referred to as Basic Health Insurance Coverage?
a) Major Medical Expense
b) Hospital Indemnity Policy
c) Health Patient Insurance
d) Deductible Coverage Insurance
e) Physician's Expense Insurance
The option usually combined with hospital and surgical insurance and referred to as Basic Health Insurance Coverage is (a) Major Medical Expense.
Basic Health Insurance Coverage generally includes hospital and surgical insurance along with other medical expenses. Major Medical Expense coverage is typically added to this basic plan, providing additional benefits for major medical procedures and illnesses such as cancer, heart disease, and organ transplants. Major Medical Expense coverage often has higher deductibles and co-pays than basic coverage but can help protect individuals and families from large medical bills. Hospital Indemnity Policy, Health Patient Insurance, Deductible Coverage Insurance, and Physician's Expense Insurance are different types of insurance policies that may provide additional coverage but are not typically included in Basic Health Insurance Coverage.
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the option that limits information that is shared based on the task you are working on is called _________.
The option that limits information that is shared based on the task you are working on is called "need-to-know" principle or "need-to-know basis."
The need-to-know principle is a concept that restricts the dissemination of sensitive or confidential information only to individuals who require it to fulfill their specific tasks or responsibilities. This principle ensures that information is shared on a strictly need-to-know basis, minimizing the risk of unauthorized access or misuse of sensitive data.
In various industries and organizations, the need-to-know principle is implemented as a security measure to protect sensitive information. For example, in government agencies, classified information is shared only with individuals who have the necessary security clearance and a legitimate need to access that information for their job roles. Similarly, in corporate settings, companies may apply the need-to-know principle to safeguard proprietary information, trade secrets, or confidential client data.
By employing the need-to-know principle, organizations can maintain confidentiality, reduce the potential for data breaches or leaks, and ensure that information is accessible only to authorized personnel. It helps to compartmentalize information, limiting its exposure and mitigating risks associated with unauthorized access, industrial espionage, or malicious intent.
Overall, the need-to-know principle strikes a balance between sharing information for efficient collaboration and safeguarding sensitive data by strictly limiting access to those who genuinely require it for their work-related tasks.
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As you see it, what is the importance of international organizations like the United Nations when the world is presented with new projects like the one described in this article ? Give reasons for your response.
Answer:
In my opinion I feel like there are a lot of new projects and tons of things representing new things . Majority of them are like all the same but I feel like there's always new projects being made a lot of them are the same but different due to whatever the project is
Explanation:
A company has set up an unfunded deferred compensation plan for its executives. It accrues an expense on its income statement of $5 million per year, but the income tax deduction for these expenses is not taken until deferred compensation is paid out in the future. If the company has a 40% marginal tax rate and a 32% effective tax rate, each year in which the company funds the plan it will recognize a
Answer:
Deferred tax assets = $2 million
Explanation:
Given:
Total expenses on income statement = $5 million
Marginal tax rate = 40%
Effective tax rate = 32%
Find:
Deferred tax assets
Computation:
Deferred tax assets = Total expenses on income statement x Marginal tax rate
Deferred tax assets = 5 million x 40%
Deferred tax assets = $2 million
Two identical firms compete as a Cournot duopoly. The demand they face is P = 100 - 2Q. The cost function for each firm is C(Q) = 4Q. The equilibrium output of each firm is:
a) 8
b) 16
c) 32
d) 36
The equilibrium output of each firm is b)16.
Calculate the equilibrium output?
To find the equilibrium output of each firm in a Cournot duopoly, we need to solve for the quantity that maximizes each firm's profit.
In a Cournot duopoly, each firm assumes that its competitor's output remains constant when determining its own output level. The profit-maximizing quantity for each firm is determined by considering the reaction function, which represents how each firm responds to the other's output choice.
Let's calculate the equilibrium output for each firm using the following steps:
1. Calculate the reaction function for each firm:
- Firm 1's reaction function: Q1 = (P - MC) / 2
- Firm 2's reaction function: Q2 = (P - MC) / 2
Since the cost function for each firm is C(Q) = 4Q, the marginal cost (MC) is 4.
2. Substitute the demand function P = 100 - 2Q into the reaction functions to obtain the equilibrium output for each firm:
- Firm 1's equilibrium output: Q1 = (100 - 2Q1 - 2Q2 - 4) / 2
- Firm 2's equilibrium output: Q2 = (100 - 2Q2 - 2Q1 - 4) / 2
3. Solve the system of equations to find the equilibrium quantities Q1 and Q2.
Calculating the equilibrium quantities using the above steps, we find:
- Q1 = 16
- Q2 = 16
Therefore, the equilibrium output of each firm is 16.
Option (b) 16 is the correct answer.
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19. The occupational crowding model of discrimination predicts a. why men, in some cases, earn less than women. b. that firms will compete with one another for the best employee and that discrimination will be eliminated. c. that, unless the government gets involved, discrimination will become more severe. d. that men's wages will fall and women's wages will rise when certain jobs are no longer dominated by men. e. the financial advantages for women crowding into a single occupation.
Answer:
d. that men's wages will fall and women's wages will rise when certain jobs are no longer dominated by men.
Explanation:
Barbara Bergman developed the Occupational Crowding Model in 1971 in order to try to explain why women and certain minority groups earned in average much less than white males. She even calculated any bias due to higher education, but still she was able to show flagrant labor discrimination based on gender and race.
Her study showed how women and minorities are consistently excluded or crowded out from high paying jobs and high corporate positions. The vast majority of high paying jobs and high corporate positions are filled with white non-Latin males (Latins are not a race, they come in all colors, they are a culture).
If this tendency is eliminated, women and minorities should be able to earn similar wages than white non-Latin males since they are capable of performing the same functions in a similar and comparable manner. I.e. all women and all men are equally capable.
This has improved a little bit in the last years, but still the bias against women and minorities still exists. Forty years ago no one would even dream that a large US corporation would be headed by someone from a minority group, but nowadays Apple, Alphabet (Google), Sprint, ADM, HP, and others, are headed by people that fit into minority groups.
This is great, but you shouldn't have to search for corporations that are headed by non-Latin heterosexual whites, it should be normal. And more women are needed in these places also. Women are capable of doing everything that any man can do.
Sunshine Smoothies Company (SSC) manufactures and distributes smoothies. SSC is considering the development of a new line of high-protein energy smoothies. SSC's CFO has collected the following information regarding the proposed project, which is expected to last 3 years:
The project can be operated at the company's Charleston plant, which is currently vacant.
The project will require that the company spend $4. 9 million today (t = 0) to purchase additional equipment. For tax purposes the equipment will be depreciated on a straight-line basis over 5 years. Thus, the firm's annual depreciation expense is $4,900,000/5 = $980,000. The company plans to use the equipment for all 3 years of the project. At t = 3 (which is the project's last year of operation), the equipment is expected to be sold for $2,300,000 before taxes.
The project will require an increase in net operating working capital of $650,000 at t = 0. The cost of the working capital will be fully recovered at t = 3 (which is the project's last year of operation).
Expected high-protein energy smoothie sales are as follows:
Year Sales
1 $2,400,000
2 7,850,000
3 3,500,000
The project's annual operating costs (excluding depreciation) are expected to be 60% of sales.
The company's tax rate is 40%.
The company is extremely profitable; so if any losses are incurred from the high-protein energy smoothie project they can be used to partially offset taxes paid on the company's other projects. (That is, assume that if there are any tax credits related to this project they can be used in the year they occur. )
The project has a WACC = 10. 0%.
What is the project's expected NPV and IRR? Round your answers to 2 decimal places. Do not round your intermediate calculations.
NPV $
IRR %
Should the firm accept the project?
-Select-The firm should accept the project. The firm should not accept the project. Correct 7 of Item 1
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Set up a time line for the free cash flow analysis.
Refer to the layout in the textbook analyzing revenues and costs in the free cash flow format.
Remember to calculate operating costs.
No interest charges are deducted.
Calculate taxes.
Don't forget to include depreciation impact on the free cash flows.
Don't forget to include the tax credit if EBIT is negative in any year. (Refer to next to last bullet. )
Don't forget to include ΔNOWC in the Year 0 outlay but remember to add it back in the Year 3 termination cash flows. (There is no tax impact. )
Don't forget to include the sale of the machinery, termination free cash flows and the tax effect of selling the machinery.
Calculate the project's NPV and IRR.
Make a decision whether to accept the project or reject it based on the calculated NPV and IRR of the project. Remember, If the project’s NPV is positive then its IRR will be greater than its WACC.
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Solution
SSC is considering another project: the introduction of a "weight loss" smoothie. The project would require a $3 million investment outlay today (t = 0). The after-tax cash flows would depend on whether the weight loss smoothie is well received by consumers. There is a 40% chance that demand will be good, in which case the project will produce after-tax cash flows of $2. 2 million at the end of each of the next 3 years. There is a 60% chance that demand will be poor, in which case the after-tax cash flows will be $0. 52 million for 3 years. The project is riskier than the firm's other projects, so it has a WACC of 11%. The firm will know if the project is successful after receiving the cash flows the first year, and after receiving the first year's cash flows it will have the option to abandon the project. If the firm decides to abandon the project the company will not receive any cash flows after t = 1, but it will be able to sell the assets related to the project for $2. 8 million after taxes at t = 1. Assuming the company has an option to abandon the project, what is the expected NPV of the project today? Round your answer to 2 decimal places. Do not round your intermediate calculations. Use the values in "millions of dollars" to ascertain the answer.
$ millions of dollars
The expected NPV of the high-protein energy smoothie project is calculated by discounting the project's free cash flows at the weighted average cost of capital (WACC) of 10%. To calculate the free cash flows, we need to consider the initial outlay, annual operating costs, depreciation tax shield, salvage value of equipment, and the recovery of net operating working capital.
The project's cash flows are as follows:
Year 0: Initial outlay = -$4.9 million (equipment purchase) + $650,000 (increase in net operating working capital)
Year 1: Cash flow = Sales - Operating costs - Depreciation tax shield
Year 2: Cash flow = Sales - Operating costs - Depreciation tax shield
Year 3: Cash flow = Sales - Operating costs - Depreciation tax shield + Salvage value of equipment + Recovery of net operating working capital
Using the given sales and operating cost information, we can calculate the cash flows for each year and discount them to the present value using the WACC. The NPV is the sum of the present values of the cash flows minus the initial outlay.
To calculate the IRR, we need to find the discount rate at which the project's NPV becomes zero. By applying the internal rate of return (IRR) calculation, we can determine the rate at which the project breaks even.
Based on the calculated NPV and IRR, we can determine whether the firm should accept the project. If the NPV is positive and the IRR is greater than the WACC, it would indicate that the project is expected to generate positive returns and exceed the required rate of return.
Unfortunately, the given information does not provide the necessary data to calculate the NPV and IRR for the high-protein energy smoothie project. Additional information, such as the annual operating costs as a percentage of sales, tax rate, and salvage value, is required for a comprehensive analysis. Please provide the missing information to proceed with the calculation.
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Which three components are characteristic of a Pitch Deck? (Choose three) Question 34 options: Highly Visual 10-100 pages Highly Text-Based 10-20 slides Used to Get Investors Attention Used to Get Investor Buy-In
Based on marketing strategy, the three characteristics of a Pitch Deck include Highly Visual 10-100 pages.
What is Pitch Deck?Pitch Deck is a marketing term used to describe the presentation to sell firms or business ideas to targeted audiences, who are expected, investors.
Other characteristics of a Pitch Deck include the following:Used to Get Investors Attention Used to Get Investor Buy-InHence, in this case, it is concluded that the correct answer is options A, C, and D.
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Answer: The answer should be 10-20 slides, used to get investors attention, and highly visual. Please let me know know if i am wrong
Explanation:
13. A rate quote for an individual Line haul. Copy
Load quote
Spot quote
Freight quote
Carrier quote
Answer:
Spot quote
Explanation:
Intermodal transport can be defined as the transportation of goods in one and the same truck or loading medium without handling the goods themselves in a different transport modes.
A shipping container refers to a metal container made from steel and having the ability or strength to withstand all external factors during shipment or storage of materials. It is an essential part of transportation of goods or materials from one location to another, thereby boosting trade between countries.
The various types of shipping containers are, dry storage container, open-side storage container, ISO Reefer container, flat rack container, tunnel container, open top container, double doors container, thermal containers, intermodal freight container etc.
Basically, the two standard sizes of shipping containers are 20ft (6.06m) and 40ft (12.2m): which has a width of 8ft (2.43m) and height of 8.5ft (2.59m).
A spot quote for a freight refers to a rate quote for each individual Line haul. Thus, this rate is usually calculated using current market parameters without a contract.
This ultimately implies that, the spot rate is generally outside the contracted rates and is typically required to be sent immediately.
All of the following actions lead to the payment of a credit card fee EXCEPT... Using your credit card to get cash from an ATM. Using your credit card to purchase items in a foreign country. Paying your credit card bill ten days after the Due Date. Paying your credit card bill in full and on time every month.
Answer:
Paying your credit card bill in full and on time every month.
Explanation:
The other choices will most likely prompt a fee to be charged.
1. Juan i enrolled in marketing education coure and i 17 year old. Juan ha been hired by an electrical contractor. Juan i hoping to ue thi job a a cooperative work ite placement. You are told that Juan’ job i to pull electrical component out of inventory and drive them to the job ite
Juan is a 17-year-old enrolled in marketing education courses who has been hired by an electrical contractor as an inventory component puller and delivery driver for job sites.
Juan's job as an inventory component puller and delivery driver for an electrical contractor involves taking electrical components out of the company's inventory and driving them to job sites. This job is a cooperative work site placement for Juan, who is pursuing a marketing education and is hoping to use this experience to further his career.
The job requires Juan to be responsible for ensuring that the components are properly pulled and loaded onto the vehicle, and that they are delivered to the job site in a timely and efficient manner. This position will give Juan valuable hands-on experience in the electrical contractor industry, as well as the opportunity to apply the marketing education he is currently studying.
This question should be written as:
Juan is enrolled in marketing education courses and is 17 years old. Juan has been hired by an electrical contractor. Juan is hoping to use this job as a cooperative work site placement. You are told that Juan’s job is to pull electrical components out of inventory and drive them to the job site.Learn more about marketing here: brainly.com/question/25640993
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Which economic tool would most likely be used as part of a contractionary
monetary policy?
A. Lowering the reserve requirement
O B. Raising interest on reserves
C. Buying treasury securities
D. Reducing the discount rate
SUBMIT
Answer:
O B. Raising interest on reserves
Explanation:
The Federal Reserve expects banks to keep a percentage of customer deposits as reserves. The reserves cater to both the normal and unexpected withdrawals. The Federal Reserve (Fed) also uses reserve requirements as a monetary policy tool.
Interest on reserves is one of the monetary policy tools that the Fed uses regularly. The Fed pays interest on any excess reserves held by the banks. Increasing the interest paid on reserves encourages banks to hold more money. Decreases the interest prompts the banks to lend out more. Contractionary monetary policies are measures aimed at decreasing the money supply in the economy. Increasing interest on reserves increases money held in the banking sectors, thereby slowing down money circulation.
Answer: B. Raising interest on reserves
Explanation:
Just got it right!!!
Instructions: This workshop has a theoretical part and an image construction part, you must follow the rubric at the end with which this activity will be evaluated. Solve the following exercises (1-4) 1.A concave spherical mirror has a radius of curvature of 20.0 cm. a) Determine the image location for object distances of (i) 40.0 cm, (ii) 20.0 cm, and (iii) 10.0 cm. In each case, say whether the image is b) real or virtual and c) whether it is vertical or inverted. d) Determine the magnification for each case
A concave spherical mirror has a radius of curvature of 20.0 cm. We have to determine the image location for object distances of 40.0 cm, 20.0 cm, and 10.0 cm. In each case, we have to determine whether the image is real or virtual and whether it is vertical or inverted.
We also need to determine the magnification for each case.The formula that we need to determine the image location is:1/f=1/do+1/diWhere,f = Focal length of the mirror (m)do = Object distance from the mirror (m)di = Image distance from the mirror (m)We know that the focal length of the mirror is half of the radius of curvature.
Hence,f = -10.0 cm = -0.1 m. For do = 40.0 cm = 0.4 m,1/f = 1/0.4 + 1/diSo,di = -0.133 mAs do and di are of opposite sign, the image is real and inverted. For do = 20.0 cm = 0.2 m,1/f = 1/0.2 + 1/diSo,di = -0.1 mAs do and di are of opposite sign, the image is real and inverted.
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a stock will pay dividends of $3, $6, and $10 over the next three years, and then increase dividends at a rate of 4% afterwards. its required rate of return is 19%. what is the value of the stock?
A stock will pay dividends of $3, $6, and $10 over the next three years, and then increase dividends at a rate of 4% afterwards. its required rate of return is 19%. The value of the stock is $50.74.
A stock, also known as equity, represents a portion of ownership in a corporation. Dividends, capital gains, or both can provide a return on stocks. The company's assets, earnings, and future growth prospects all contribute to the price of the stock. A stock will pay dividends of $3, $6, and $10 over the next three years, and then increase dividends at a rate of 4% afterwards. Its required rate of return is 19%.
The value of the stock: Dividend payments in Year 1, Year 2, and Year 3 will be $3, $6, and $10, respectively. After the third year, the dividend payment will increase at a rate of 4 percent.19% is the required rate of return. We must calculate the value of the stock.
Valuation of stock by the constant growth model: D1 = D0 (1 + g)
D0 = Dividend payment this year; G = Rate of growth in dividends; r = Required rate of return
Gordon Growth Model: V0 = (D1 / r - g) + P0
where, V0 is the current value of the stock; D1 is the expected dividend payment next year; r is the required rate of return; P0 is the current market price of the stock.
$3.00(1+0.04) / 0.15 - 0.04 = $28.63
$6.00\((1+0.04)^{2}\) / 0.15 - (0.04*1.04) / (0.15 - 0.04) = $35.60
$10.00 \((1+0.04)^{3}\)/ 0.15 - (0.04*\((1.04)^{2}\)+\(0.04^{2}\)) / (0.15 - 0.04) = $50.74
Therefore, the value of the stock is $50.74.
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Callahan, inc. , sells a forward on ounces of gold to remove uncertainty regarding the revenue it will recognize when it sells its gold inventory. The forward represents a perfect cash flow hedge. When callahan settles the forward, it pays $100,000 to the counterparty. Required: what journal entry(ies) should callahan make prior to and at the settlement date?
Prior to the settlement date, Callahan Inc. should record the fair value of the forward contract as a journal entry, and at the settlement date, they should record the settlement by debiting the Gold Receivable and crediting Cash.
At the settlement date, Callahan Inc. should make the following journal entry to record the settlement of the forward contract:
Dr. Gold Receivable (or Forward Contract Asset) $100,000
Cr. Cash $100,000
The net effect of these journal entries is to record the fair value of the forward contract prior to settlement and then to recognize the cash settlement when it occurs.
By doing so, Callahan Inc. is able to remove uncertainty regarding the revenue it will recognize when it sells its gold inventory, as the gain or loss on the forward contract will offset any changes in the fair value of the gold inventory.
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According to much of the neuromarketing research, one particular part of the brain is responsible for most of the (buying) decisions consumers make. Which best describes that understanding
According to much of the neuromarketing research, the part of the brain which is responsible for most of the buying decisions that consumers make is the limbic system. The understanding that describes this is that the human brain is responsible for purchasing decisions made by consumers.
Neuromarketing is a field of research that involves the application of neuroscience tools and techniques to better understand consumers' behavior and cognitive responses to marketing stimuli. This technology assists businesses in creating and improving their marketing campaigns.
Neuromarketing's findings have shown that consumers' decisions are not exclusively driven by logic or reason. Instead, most of their decision-making is based on their emotions, which are controlled by the limbic system of the brain. The Limbic System: The limbic system is a collection of brain structures that are responsible for the regulation of emotional responses, long-term memory, and social and sexual behavior. This area of the brain plays a critical role in processing emotions, such as fear, happiness, and pleasure, as well as decision-making. The amygdala, which is a part of the limbic system, is associated with emotional responses, including the so-called "fight or flight" reaction, whereas the hippocampus is primarily responsible for long-term memory retention and the processing of spatial information.
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What actions will you take to protect your organization's cloud assets systems and applications on the cloud )?
The action will take to protect organisation's could assets system amd application on the coloud are update shoftware, implement multi-factor, moniter activity etc.
What is system?System is an organized set of components that interact to achieve a specific purpose. It can also refer to a group of related elements or parts that form a complex whole.
1. Update software regularly: Ensure that all software, applications, and systems are up to date with the latest security patches and fixes.
2. Implement multi-factor authentication: Use multi-factor authentication for all user accounts to add an extra layer of security.
3. Use encryption: Encrypt sensitive data and communications sent to and from the cloud.
4. Monitor activity: Monitor user activity on the cloud and set up alerts for any suspicious activity.
5. Implement access control: Use access controls to limit who can access and change data on the cloud.
6. Train employees: Educate employees on the risks associated with cloud computing and best practices for security.
7. Use secure networks: Ensure that all networks used to access the cloud are secure and protected.
8. Perform regular backups: Regularly back up cloud data and store it in a secure location.
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