t movie theaters, lower prices are charged for matinees than for evening shows of the same film. The customers attending the matinees have:a. lower elasticities of demand than customers attending the evening shows.b. perfectly inelastic demand curves.c. highly inelastic demand curves.d. higher elasticities of demand than customers attending the evening shows.

Answers

Answer 1

Highly inelastic demand curves. Matinee prices are lower because movie theaters want to incentivize customers to attend the theater during less popular times of the day. The customers attending matinees are usually price-sensitive and may have a tighter budget, but they still have a strong desire to watch the movie.

Therefore, their demand for the movie is considered highly inelastic, meaning that changes in price will not significantly affect their decision to attend. In contrast, customers attending the evening shows may be less price-sensitive and may have a higher willingness to pay, resulting in a higher elasticity of demand.

You asked about movie theaters charging lower prices for matinees than for evening shows of the same film and the elasticity of demand for customers attending matinees. The customers attending the matinees have: higher elasticities of demand than customers attending the evening shows. Higher elasticity of demand indicates that the quantity demanded is more sensitive to price changes. In this case, matinee customers are more likely to respond to lower prices and attend the movie, while evening show customers might be less sensitive to price changes and attend the movie regardless of the higher prices.

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Related Questions

Payments related to a lease contract include: i. fixed payments. ii. variable payments based on an index. iii a bargain purchase option. iv. a guaranteed residual value.

Answers

The payments related to a lease contract include: i) fixed payments, ii) variable payments based on an index, iii) a bargain purchase option, and iv) a guaranteed residual value. Option v . All of these. is correct.

In a lease contract, fixed payments refer to the regular, predetermined payments made by the lessee to the lessor over the lease term. These payments typically remain constant throughout the lease period. Variable payments based on an index, on the other hand, are contingent upon the changes in an identified index, such as inflation rates or market prices. The lease contract may stipulate that the lessee's payments will vary accordingly.

A bargain purchase option is a provision in the lease contract that allows the lessee to purchase the leased asset at a price significantly lower than its expected fair value. This option provides the lessee with the opportunity to acquire the asset at a favorable price upon the lease's completion.

Lastly, a guaranteed residual value refers to the predetermined value of the leased asset at the end of the lease term, as specified in the lease agreement. This value represents the estimated worth of the asset after depreciation and usage, and it is often guaranteed by the lessee.

Overall, these various payment elements in a lease contract provide flexibility and different financial arrangements to both the lessor and the lessee. They allow for tailored lease agreements to meet the specific needs and preferences of the parties involved.

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The Complete question is

Payments related to a lease contract include:

i. fixed payments.

ii. variable payments based on an index.

iii a bargain purchase option.

iv. a guaranteed residual value.

v. all of these.

Name two global exchange services

Answers

Answer:

Western Union: western union has global presence and specializes in the delivery of transfer payments. Many people who lived in developing countries use Western Union to obtain the transfer payments that they are sent from relatives living in developed countries.

PayPal: PayPal works like Western Union but for online payments. It is the most commonly used platform for online payment in the world, has a global services, and provides an easy solution for people living in countries with capital controls for example, and who need to receive payments from abroad that originally come in foreign currency.

Answer:

wsp

Explanation:

wsp

gross domestic product is the sum of the market value of the

Answers

Answer:

The Gross Domestic Product measures the value of economic activity within a country. Strictly defined, GDP is the sum of the market values, or prices, of all final goods and services produced in an economy during a period of time.

Explanation:

The Gross Domestic Product (GDP) calculates the total economic output of a nation. GDP is, by definition, the total market values, or prices, of all the finished products and services produced in an economy during a specific time period.

What is GDP?

Gross domestic product (GDP) is a monetary indicator of the total market value of all the final commodities and services that nations generate and sell over a certain time period. This measurement is frequently changed before it can be trusted as an indicator because of how complicated and subjective it is.

To compare living standards between countries, using a basis of GDP per capita at purchasing power parity (PPP) may be more useful, whereas nominal GDP is more useful for comparing national economies on the global market. GDP (nominal) per capita does not, however, reflect differences in the cost of living and the inflation rates of the countries.

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One year ago, you purchased a stock at a price of $54.33 per share. Today, you sold your stock at a loss of 18.51 percent. Your capital loss was $12.35 per share. What was the total dividends per share paid on this stock over the year? 26 Multiple Choice O O O $4.22 $2.29 $3.87 $2.55 $2.09

Answers

Therefore, the total dividends per share paid on this stock over the year is $12.35.To calculate the total dividends per share paid on the stock over the year, we need to find the original purchase price per share and the loss percentage.

Given:

Purchase price per share = $54.33

Loss percentage = 18.51%

Capital loss per share = $12.35

To find the original price per share after the loss, we can use the formula:

Original price per share = Purchase price per share / (1 - Loss percentage)

Original price per share = $54.33 / (1 - 0.1851)

Original price per share = $54.33 / 0.8149

Original price per share = $66.72

The difference between the original price per share and the sale price per share represents the total dividends per share received.

Total dividends per share = Original price per share - Sale price per share

Total dividends per share = $66.72 - ($66.72 - $12.35)

Total dividends per share = $66.72 - $54.37

Total dividends per share = $12.35

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Outline any other THREE qualities of a successful entrepreneur​

Answers

Answer:

Robust Work Ethic.

Deep Passion.

Creativity. ...

Motivated Self-Starters. ...

Easygoing Attitude. ...

Eager to Learn.

you can choose any three you want :)

NEED HELP ASAP, WILL GIVE BRAINLIEST

1. Variable Costs are also known as ___________
A. Cost of Goods Sold
B. Liabilities
C. Assets
D. Equity

2. The bank purchased a desk for a new employee. What type of cost is the purchase of a new desk?
A. Fixed Cost
B. Variable Cost

3. Today I sold a new 80 inch television. The sale of this item is called________?
A. Unit of Sale
B. Asset
C. Cost of Goods Sold

Answers

Answer:

Cost of Goods Sold

variable cost

evality

1. Cost of goods sold
2. Fixed cost
3. Unit of sale

Merger Valuation with the CAPV Model Hastings Corporation is interested in acquiring Vandell Corporation. Vandell currently has 1 million shares outstanding and a target capital structure consisting of 30% debt; its current beta is 1. 10 (i. E. , based on its target capital structure). Vandell's debt interest rate is 8%. Assume that the risk-free rate of interest is 6% and the market risk premium is 5%. Both Vandell and Hastings face a 35% tax rate. Hastings Corporation estimates that if it acquires Vandell Corporation, synergies will cause Vandell’s free cash flows to be $2. 5 million, $2. 7 million, $3. 5 million, and $3. 89 million at Years 1 through 4, respectively, after which the free cash flows will grow at a constant 4% rate. Hastings plans to assume Vandell’s $9. 49 million in debt (which has an 8% interest rate) and raise additional debt financing at the time of the acquisition. Hastings estimates that interest payments will be $1. 6 million each year for Years 1, 2, and 3. After Year 3, a target capital structure of 30% debt will be maintained. Interest at Year 4 will be $1. 431 million, after which the interest and the tax shield will grow at 4%. What is Vandell’s pre-acquisition levered cost of equity? What is its unlevered cost of equity? Round your answer to two decimal places. Do not round intermediate calculations. Pre-acquisition levered cost of equity: % Unlevered cost of equity: % What is the intrinsic unlevered value of operations at t = 0 (assuming the synergies are realized)? Round your answer to the nearest cent. Do not round intermediate calculations. $ What is the value of the tax shields at t = 0? Round your answer to two decimal places. Do not round intermediate calculations. $ million What is the total intrinsic value of operations at t = 0? What is the intrinsic value of Vandell’s equity to Hastings? What is Vandell’s intrinsic stock price per share? Round your answer to two decimal places. Do not round intermediate calculations. Value of operations: $ million Equity value to acquirer: $ million Intrinsic value per share of existing shares to acquirer: $ /share

Answers

The answers are: 12.96%, 11.74%, $23,486,963.59, $2,244,609.87 million, $25,731,573.46 million, $16,000,000.00 million, $16.00/share

To compute the various valuation components using the Capital Cash Flow (CCF) or Capital Cash Flow-to-Equity (CCFE) model, we need to follow a series of steps.

Step 1: Calculate Pre-acquisition Levered Cost of Equity (Kce)

Given:

- Target capital structure: 30% debt

- Current beta: 1.10

- Risk-free rate: 6%

- Market risk premium: 5%

- Tax rate: 35%

We can calculate the levered cost of equity using the following formula:

Kce = Kcu + (Kcu - Kd) * (1 - Tax rate) * (Debt / Equity)

Where:

- Kce = Levered Cost of Equity

- Kcu = Unlevered Cost of Equity

- Kd = Cost of Debt

- Debt = Debt outstanding

- Equity = Equity outstanding

Using the given information, we can calculate the pre-acquisition levered cost of equity:

Kd = 8% (given)

Debt = $9.49 million (given)

Equity = $23.86 million ($9.49 million debt + $14.37 million equity)

Tax rate = 35% (given)

Kcu = Kd + Beta * Market Risk Premium

Kcu = 8% + 1.10 * 5% = 13.5%

Kce = 13.5% + (13.5% - 8%) * (1 - 0.35) * (9.49 / 14.37) ≈ 12.96%

Step 2: Calculate Unlevered Cost of Equity (Kcu)

Kcu is calculated using the following formula:

Kcu = Risk-free rate + Beta * Market Risk Premium

Kcu = 6% + 1.10 * 5% = 11.74%

Step 3: Calculate the Intrinsic Unlevered Value of Operations at t = 0

To calculate the intrinsic unlevered value of operations, we use the following formula:

Intrinsic Unlevered Value = Present Value of Free Cash Flows (FCF) + Present Value of Terminal Value (TV)

The FCF values provided are $2.5 million, $2.7 million, $3.5 million, and $3.89 million for Years 1 to 4, respectively. After Year 4, the FCF is expected to grow at a constant rate of 4%. The discount rate used is the unlevered cost of equity (Kcu).

Calculating the present value of FCFs:

PV(FCF1) = $2.5 million / (1 + 11.74%)^1

PV(FCF2) = $2.7 million / (1 + 11.74%)^2

PV(FCF3) = $3.5 million / (1 + 11.74%)^3

PV(FCF4) = $3.89 million / (1 + 11.74%)^4

Calculating the terminal value at Year 4:

TV = FCF5 / (Kcu - g)

FCF5 = $3.89 million * (1 + 4%)

g = 4% (given)

Calculating the present value of the terminal value:

PV(TV) = TV / (1 + Kcu)^4

Finally, calculating the intrinsic unlevered value:

Intrinsic Unlevered Value = PV(FCF1) + PV(FCF2) + PV(FCF3) + PV(FCF4) + PV(TV)

Step 4: Calculate the Value of Tax Shields at t = 0

To calculate the value of tax shields, we use the formula:

Value of Tax Shields = Debt * Tax rate

Value of Tax Shields = $9.49 million * 35% = $3.32 million

Step 5: Calculate the Total Intrinsic Value of Operations at t = 0

The total intrinsic value of operations is the sum of the intrinsic unlevered value and the value of tax shields:

Total Intrinsic Value = Intrinsic Unlevered Value + Value of Tax Shields

Step 6: Calculate the Equity Value to Acquirer

The equity value to the acquirer is calculated by subtracting the assumed debt ($9.49 million) from the total intrinsic value of operations:

Equity Value to Acquirer = Total Intrinsic Value - Debt

Step 7: Calculate the Intrinsic Value per Share of Existing Shares to Acquirer

The intrinsic value per share is calculated by dividing the equity value to the acquirer by the number of shares outstanding (1 million shares):

Intrinsic Value per Share = Equity Value to Acquirer / Number of Shares

Now that we have computed all the necessary values, we can summarize the results:

Pre-acquisition levered cost of equity: 12.96%

Unlevered cost of equity: 11.74%

Intrinsic unlevered value of operations at t = 0: $23,486,963.59

Value of tax shields at t = 0: $3,320,789.47

Total intrinsic value of operations at t = 0: $25,807,753.06

Equity value to acquirer: $16,317,753.06

Intrinsic value per share of existing shares to acquirer: $16.32/share (rounded to two decimal places)


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Which statement about the Federal Reserve (the Fed) is true?

O Unless a person works there, the Fed has little impact on everyday life.
O The Fed determines the criteria banks must use to evaluate loan requests.
O The Fed sets monetary policy, which affects the interest rates banks offer.
O Because it is independent, the Fed reviews and approves the national budget.

Answers

A statement that is true on the Federal Reserve is that C. The Fed sets monetary policy, which affects the interest rates banks offer.

What does the Federal Reserve do ?

The American central bank is known as the Federal Reserve System (FRS). It is conceivably the most potent financial organization in the entire globe and is sometimes referred to as "the Fed." It was established to give the nation a secure, adaptable, and stable financial and monetary system.

Its primary duties include controlling the money supply, establishing interest rates, and overseeing the financial system. In times of economic crisis, it also serves as a lender of last resort, as was shown during the financial crisis of 2008.

These powers of the Federal Reserve mean that it is the one which sets the monetary policy of the United States. This monetary policy will then affect the interest rates on loans, offered by banks.

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A quality control procedure at a manufacturing plant involves randomly selecting five items and accepting a whole lot of at least four of the five items are in perfect condition. From past experiences 59.049% of whole lots are perfect. What is the probability that the next lot will be excepted?

Answers

Answer:

0.32072

Explanation:

Given that :

Number of items selected, n = 5

P(x ≥ 4)

Using binomial relation :

P(x =x) = nCx * p^x * (1 - p)^(n - r)

p = 0.59049 ; 1 - p = 0.40951

P(x ≥ 4) = P(4) + P(5)

P(x = 4) = 5C4 * 0.59049^4 * 0.40951^1 = 0.24893

P(x = 5) = 5C5 * 0.59049^5 * 0.40951^0 = 0.07179

P(x ≥ 4) = P(4) + P(5)

P(x ≥ 4) = (0.24893 + 0.07179) = 0.32072

this is due today hep is needed

this is due today hep is needed

Answers

Explanation:

In order to determine the nature and type of discount to offer in our direct mail campaign, I would conduct market research to assess the customer base and determine the most attractive coupon offer. This research could be both qualitative and quantitative in nature.

For the qualitative research, I would conduct focus groups and surveys to gauge customer sentiment on the types of discounts they would prefer and the types of discounts they would be most likely to respond to. This would help us to better understand the motivations and behaviors of our customers.

For the quantitative research, I would use analytical tools such as customer segmentation, data mining, and market basket analysis to identify potential consumer groups, determine the potential customer lifetime value, and understand the buying patterns of our customers. This would help us to better understand which types of discounts would be the most effective in driving sales.

I have been asked to be a part of research in the past. The research was mainly qualitative in nature, as researchers were looking to gain a better understanding of customer preferences and attitudes towards different products and services. They asked me to participate in a survey and focus group discussions to provide insights into my buying habits and opinion on the various products and services on offer.

Ethical behavior is a subset of which skillset?

professional skills

technical skills

professional conduct

interpersonal skills

Answers

Answer:

C). Professional Conduct

Explanation:

Ethical behavior is characterized as the obedience of moral principles like fairness, honesty, and equity. Such behavior recognizes the individual diversity and offers equal rights and respect to the dignity and integrity of every individual. It is one of the significant aspects of 'professional conduct' which promotes professionalism, healthy work relationships, mutual understanding, and maximize the output. Thus, option C is the correct answer.

Answer: Professional conduct is the answer

Explanation:

I just took the quiz and got the answer right

What is unstructured, represents more than 75% of an organization's data, is not contained in databases and is easily overlooked, but helps identify patterns and provides meaningful insights

Answers

Unstructured data helps identify patterns and provides meaningful insights in an organization, representing more than 75% of its data. It is not contained in databases and is easily overlooked.

Unstructured data refers to information that does not have a predefined data model or organized structure. It includes various forms of data such as text documents, emails, social media posts, audio and video files, sensor data, and more. Unlike structured data that resides in databases with well-defined schemas, unstructured data lacks a specific format or organization.

Despite its lack of structure, unstructured data holds immense value for organizations. While it may be challenging to manage and analyze due to its diverse nature, unstructured data contains rich insights and hidden patterns that can offer significant advantages. This data can provide valuable information about customer sentiment, market trends, emerging patterns, and other crucial aspects that can drive strategic decision-making.

However, the unstructured nature of this data also presents challenges. Traditional database management systems are not designed to handle unstructured data efficiently, making it easy to overlook or underutilize. Additionally, manual processing of unstructured data can be time-consuming and prone to errors.

To address these challenges, organizations employ various technologies and techniques to extract value from unstructured data. Natural Language Processing (NLP), text mining, machine learning algorithms, and data visualization tools are commonly used to analyze unstructured data and uncover valuable insights. These methods help identify patterns, sentiment, themes, and relationships within the data, enabling organizations to make informed decisions and gain a competitive edge.

By harnessing the power of unstructured data, organizations can tap into a vast source of information that may otherwise go untapped. The ability to identify patterns, derive insights, and gain a deeper understanding of customer behavior and market dynamics is invaluable in today's data-driven business landscape. Therefore, leveraging unstructured data alongside structured data can provide organizations with a comprehensive view of their operations, enabling them to make data-driven decisions and stay ahead in their respective industries.

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A distribution of a company's accumulated prior earnings is a(n) ______.

Answers

The distribution of a company's accumulated prior earnings is a dividend.

What are dividends?

Dividends are portion of money earned that are distributed to shareholders of such company.

These are offered mainly in form of cash and very crucial to shareholders for them to know the state of the finances of such business.

Hence we can conclude that the distribution of a company's accumulated prior earnings is a dividend.

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Marketing professionals have an ethical responsibility to which of the following stakeholders? (Select all
that apply.)
customers
regulators
peers
host community

Answers

Marketing professionals have an ethical responsibility to the following:

CustomersRegulatorsPeersHost community

What are marketing?

This involves activities aimed at promoting sales. It cut across buying, promoting and selling of goods and services.

It is to be noted that the role of marketing professionals is to work with communication and sales strategies that exist in a company.

Hence, marketing professionals have an ethical responsibility to the customers, regulators and peers.

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The correct options are A) customers and B) regulators. Marketing professionals have an ethical responsibility towards the stakeholders, customers, government regulators, public, industry etc.

What are the marketing ethics? What are the ethics responsibilities of the marketing professional?

Marketing ethics are the standards that are set for the purpose of guiding a company's promotional activities. The objective of the marketing ethics is to respect the rights, desires and expectations of consumers.

The ethics responsibilities of a marketing professional is to provide the right product, to the right person at right place on right time with right quantity. They must ensures that they meet the expectations of the consumer by filling their needs.

Some of the major marketing ethics are the honesty, integrity, transparency, loyalty etc.

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financial planning includes which of the following for a firm? i. determination of asset requirements ii. analysis of funding options iii. development of plans to contend with unexpected events iv. establishment of priorities

Answers

Financial planning includes determination of asset requirements, analysis of funding options, development of plans to contend with unexpected events, and establishment of priorities for a firm. This statement is true.

Financial planning refers to the process of determining how a business will afford to achieve its strategic goals and objectives. A financial plan outlines the resources a firm requires to achieve its goals, and it outlines the priorities it must establish to achieve success. Financial planning is often conducted by businesses to ensure they achieve their goals and objectives while also ensuring that they remain financially stable.

There are several components of financial planning, which are as follows:

Determination of asset requirements

Analysis of funding options

Development of plans to contend with unexpected events

Establishment of priorities

Determination of asset requirements refers to the process of determining the resources a business requires to achieve its goals. The analysis of funding options entails identifying the sources of funds a company may employ to achieve its strategic objectives. Development of plans to contend with unexpected events refers to the process of developing contingency plans to mitigate financial risks. Establishment of priorities refers to the process of setting goals and objectives in order of importance to ensure a company allocates resources properly.

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What is The movement of the economy from
one condition to another ohd bach again?

Answers

Answer:

Business Cycles is the right answer

Explanation:

Joni, a college student, has $400 worth of expenses monthly. How much should she save be financially secure?​

Answers

Answer:

200 i think sorry if im wrong

Explanation:

Draw a correctly labeled graph of a housing market in equilibrium. On your graph, illustrate an effective legal limit (ceiling) on rent. Identify the quantity of housing demanded, the quantity of housing supplied, and the size of the resulting surplus or shortage.

Answers

Answer:

In the first picture I uploaded, I show the housing market equilibrium without any effective legal ceilings on rent. In this equilibrium, the quantity demanded and the quantity supply reach an equilibrum of 70, at a price of $1,100 per rent.

In the second picture I uploaded, we can see the price ceiling in red. The price ceiling does not allow the rent to reach equilibrium, which causes a demand of eighty houses, but a supply of sixty houses, leading to a housing shortage of 20 houses.

Draw a correctly labeled graph of a housing market in equilibrium. On your graph, illustrate an effective
Draw a correctly labeled graph of a housing market in equilibrium. On your graph, illustrate an effective

true or false? group insurance is a type of private insurance that anticipates a large group of individuals will purchase insurance through their employer and the risk is spread among those paying individuals.\

Answers

This is untrue; group insurance is a form of private insurance that assumes a sizable number of people will purchase insurance through their employer, distributing the risk among those paying individuals.

The majority of people have some sort of insurance, whether it is for their life, their home, or their car. However, the majority of us don't really take insurance the time to consider what insurance is or how it risk operates.

Simply put, insurance is a contract, represented by a policy, under which a policyholder receives monetary protection or payment from an insurance firm against losses. To make payments more manageable for risk the insured, the company pools the risks of its clients.

Insurance policies are used as a hedge against the risk of monetary losses, both large and minor, that may arise from harm to the insured or their insurance property, or from liability for damage or injury given to a third party.

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Explain and illustrate with a figure how the short-run and long-run equilibrium levels of output and the price level are affected by legislation that increases the employer's cost of providing health care to workers.

Answers

When the cost of providing healthcare by an employer for his workers is increased due to legislation, the short-run and long-run equilibrium levels of output and price level are affected.

Here's how the figure looks like:Short-run Effects of Increased Health Care CostIn the short run, when the cost of providing healthcare is increased, it would shift the aggregate supply curve (AS) upwards and to the left, from AS to AS'. This would result in a decrease in the output level (Y) and increase in the price level (P). So, in the short run, there will be a reduction in output level and an increase in the price level. Long-run Effects of Increased Health Care CostIn the long run, there would be adjustments made in the labour market, leading to an increase in the wage rate (w). This would cause the AS curve to shift back to its original position. Hence, in the long run, the output level (Y) returns to its natural level, while the price level (P) would remain the same as in the short run. Hence, in the long run, the output level would return to its natural level, while the price level would remain the same as in the short run.

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Production is the combination of collaboration, economy, and ___________.
A) outsourcing
B) creativity
C) efficiency
D) skills

Answers

Answer:

C) efficiency

Explanation:

Efficiency means the reduction or elimination of wastages in the production process. Efficient production describes a scenario where goods and services are manufactured with minimal waste in materials, time, effort, and other resources.  Efficiency is a mark of competency.

The production process requires a business collaboration of outside parties. The business requires raw material, supplies, distribution network, among other things, for production to succeed.,These requirements are offed by other companies, which means collaboration is essential.

You made investment in Firm B’s stock. The market shows the following annual returns on Firm B’s stock over the past five years: 27%, 13%, 18%, -14%, and 9%.
a) Calculate the holding period return.
b) Calculate the average return (mean) over this 5-year period.
c) Calculate the standard deviation of stock returns over this 5-year period.

Answers

a) The holding period return is 19.1%. b) The average return over this 5-year period is 10.6%. c) The standard deviation of stock returns over this 5-year period is 15.6%.

a) The holding period return is the total return earned by an investor over the entire holding period of an investment. To calculate the holding period return, we can use the formula:

Holding period return = (Ending value - Beginning value + Income) / Beginning value

where,

Ending value = Value of investment at the end of the holding period

Beginning value = Value of investment at the beginning of the holding period

Income = Any income received from the investment, such as dividends.

In this case, we don't have the actual beginning and ending values of the investment or any income received from the investment. Therefore, we can assume a beginning value of $100 and calculate the holding period return based on the given annual returns on Firm B's stock over the past five years.Using the above formula, we get:Holding period return = [(1 + 27%) x (1 + 13%) x (1 + 18%) x (1 - 14%) x (1 + 9%)] - 1= 1.191 - 1= 19.1%

b) To calculate the average return (mean) over the 5-year period, we can add up all the annual returns and divide by the number of years. Using the formula for mean, we get:

Mean = (27% + 13% + 18% - 14% + 9%) / 5= 53% / 5= 10.6%

c) To calculate the standard deviation of stock returns over this 5-year period, we can use the following formula:

Standard deviation = [(Sum of (Annual return - Mean annual return)²) / (Number of years - 1)]½

Using the given annual returns and the mean annual return calculated in part (b), we get:

Standard deviation = [(27% - 10.6%)² + (13% - 10.6%)² + (18% - 10.6%)² + (-14% - 10.6%)² + (9% - 10.6%)²] / (5 - 1)½= [305.16 + 5.76 + 47.56 + 616.36 + 2.56] / 4½= 242.8 / 4½= 15.6% (rounded to one decimal place)

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What is Bloom’s Taxonomy?
( no c0py from g00+gle)

Answers

Answer:

a set of three hierarchical models used to classify learning objectives into levels of complexity and specificity

Answer:

Bloom's Taxonomy is a Hierarchal Pyramid used to classify the objectives when learning something into: creating, evaluating, analyzing, applying, understanding, and remembering.

Explanation:

If the japanese government imposes tariffs on imported foreign rice, the result will be….

Answers

Answer:

Explanation:

If the Japanese government imposes tariffs on imported foreign rice, the result will be... an decrease in employment in the Japanese rice industry.

2. Have you ever experienced what you thought to be an attempt at phishing, or have you ever
received a phone call that sounded like a scam? Describe the situation below and what you did to
protect your personal or financial information.
If you don't recall an experience like this, write a fictional scenario of a scam that might be used to
get someone's personal information, and what can be done to avoid it.
(8 points: 4 points to describe the act of phishing or scam; 4 points to describe what was done to
avoid the situation)

Answers

One possible scenario of a scam to get someone's personal information is a phishing email scam.

What happens in an email scam ?

In this scenario, a person receives an email that appears to be from a legitimate company, such as a bank or an online retailer. The email may claim that there is a problem with the person's account or an unauthorized transaction has been made.

The email will then provide a link or attachment for the person to click on to resolve the issue. However, the link or attachment will direct the person to a fake website or download malicious software that can steal the person's personal information, such as their login credentials or credit card details.

To avoid falling victim to this scam, there are several things that can be done. First, always be cautious of unsolicited emails or messages. Second, do not click on any links or attachments in emails or messages, especially from unknown sources.

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g 1. discuss techniques to communicate persuasive, data-driven business insights supported by data visualization.

Answers

Data visualization is about communicating an idea that will drive action.

Data-driven, appealing business Keep the attention of the viewer, communicate crucial points swiftly, Improve your decisions and those of others, Organize your data better and Data encourages people to act

Data visualization is the process of displaying data using common images like infographics, charts, and even animations. These comprehensible visual information displays communicate complex data relationships and insight based on data. Data visualization is the process of presenting information graphically or visually. Decision-makers can better understand difficult concepts or see new trends when analytics are understood as being the way.

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The functional areas of business ethies include

Answers

Answer:

Production, Marketing and employment.

Explanation:

Business ethics refers to the policies which govern how a business would operate. It is the moral behaviour upon which a business entity revolves.

The functional areas of business ethics are;

1. Production. Businesses must produce goods which is part of the reason of being in existence. The business ethics here are the rules and policies that governs production in an organization.

2. Marketing. Businesses would advertise the goods and services they deal in to the outside world. The business this here is the moral relationship between the business employees and the perspective customers.

3. Employment. The business ethics in employment is the policy that governs how people are employed in an organization.

(b)
Your warehouse manager reports that there were four king-size sheets and three queen-size sheets returned, along with five packages of queen pillow cases. Calculate the revised total due (in $).
$
(c)
The vendor has offered a 8% early payment discount that applies only to the merchandise, not the shipping or insurance. What is the amount of the discount (in $)? (Round your answer to the nearest cent.)
$
(d)
What is the new balance due after the discount (in $)? (Round your answer to the nearest cent.)
$

Answers

The revised overall due is $6,117.60. The early fee bargain amount is $416.88, and the new stability due after the bargain is $5,700.72.

(a) After correcting the mistakes within the itemization, the revised invoice desk must be as follows:

QTY. Ordered QTY. Shipped Description Unit Amount

44 ea. Sheets, king $45.10 $1,984.40

65 ea. Sheets, queen $39.60 $2,574.00

28 pkg. Pillow Cases, queen $17.85 $498.80

55 pkg. Pillow Cases, std. $17.35 $954.25

6 ea. Shams $33.25 $199.50

Invoice Subtotal $5,210.95

Shipping Charges of $131.50

Insurance $23.35

Invoice Total $5,365.80

(b) The variety of king-size sheets back is 4, and the quantity of queen-size sheets returned is three. The total cost of the back sheets may be calculated as follows:

4 * $45.10 (king-length sheet fee) + 3 * $39.60 (queen-length sheet rate) = $180.40 + $118.80 = $299.20

(c) The early fee bargain provided via the vendor is 8% of the product's fee. To calculate the bargain, we need to subtract the value of shipping and insurance from the invoice subtotal and practice the bargain percent:

Discount = 8% * (Invoice Subtotal - Shipping Charges - Insurance)

Discount = 8% * ($5,210.95 - $131.50 - $23.35) = 8% * $5,056.10 = $404.49

(d) The new balance due after making use of the cut price may be calculated by using subtracting the discount quantity from the bill overall:

New Balance Due = Invoice Total - Discount

New Balance Due = $5,365.80 - $404.49 = $4,961.31

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The correct question is:

"INVOICE Hamilton Mills No. 49485 INVOICE DATE July 9, 20xx 115 Rock Creek Road CUSTOMER'S Charlotte, North Carolina 28235 ORDER NO. 49485 SOLD TO: SHIP TO: SAME The Bedding Warehouse 406 Maple Road Franklin, VA 23851 SALESMAN SHIPPED VIA Federal Express TERMS Net 30 Days F.O.B. Charlotte, N.C. QTY. ORDERED QTY. SHIPPED DESCRIPTION UNIT AMOUNT 44 ea. Sheets, king $45.10 $1,984 40 65 ea. Sheets, queen $39.60 $2,57400 28 pkg. Pillow Cases, queen $17.85 $44980 55 pkg. Pillow Cases, std. $17.35 $954 25 6 ea. Shams $33.25 $299 50 $6,261.95 INVOICE SUBTOTAL SHIPPING CHARGES $131.50 Insurance $23.35 INVOICE TOTAL $6,416.80 Invoice Table QTY. Ordered QTY. Shipped Description Unit Amount 44 ea. Sheets, king $45.10 $1,984.40 65 ea. Sheets, queen $39.60 $2,574.00 28 pkg. Pillow Cases, queen $17.85 $449.8 55 pkg. Pillow Cases, std. $17.35 $954.25 6 ea. Shams $33.25 $299.5 Invoice Subtotal $6,261.95 Shipping Charges $131.50 Insurance $23.35 Invoice Total $6,416.80 (a) You notice several errors in the itemization of the invoice. Correct the errors in the itemization ing the fol table $). QTY. Ordered QTY. Shipped Description Unit Amount 44 ea. Sheets, king $45.10 $ 65 ea. Sheets, queen $39.60 $ 28 pkg. Pillow Cases, queen $17.85 $ 55 pkg. Pillow Cases, std. $17.35 $ 6 ea. Shams $33.25 $ $ Invoice Subtotal $ Shipping Charges $131.50 Insurance $23.35 Invoice Total $                                            (b)

Your warehouse manager reports that there were four king-size sheets and three queen-size sheets returned, along with five packages of queen pillow cases. Calculate the revised total due (in $).

$

(c)

The vendor has offered a 8% early payment discount that applies only to the merchandise, not the shipping or insurance. What is the amount of the discount (in $)? (Round your answer to the nearest cent.)

$

(d)

What is the new balance due after the discount (in $)? (Round your answer to the nearest cent.)

$ "

The governance mechanism MOST closely connected with deterring unethical behaviors by holding top management accountable for the corporate culture is:

Answers

When top management need to be held accountable for unethical behavior, the best way is to use a Board of Directors.

What does a Board of Directors do?

These are the representatives of the shareholders in the leadership of the company.

They are the highest authority in the company and the policies they implement are meant to hold top management accountable for unethical behavior that might threaten the shareholders.

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A plan for a career starting in two years:
a) Will give you less opportunities than a career starting right away
b) Means that no plans or training are necessary, since the goal is two years away
c) Cannot benefit from talking to a counselor or consulting a book
d) Will give you more opportunities than a career starting right away
It’s on knowledge matters for my business class !

Answers

Answer:a) Will give you less opportunities than a career starting right away

wrong

Explanation:

A plan for a career starting in two years d) Will give you more opportunities than a career starting right away.

How can this career give more opportunities ?

Choosing a plan for a career starting in two years can potentially provide more opportunities compared to starting a career right away.   Taking the time to plan for a career starting in two years allows for more preparation, skill development, and networking opportunities, which can ultimately lead to a wider range of career options.

You will have more time to research your options and find the right career for you. You will have more time to gain the necessary skills and experience. You will have more time to network with people in your field and build relationships.

In conclusion, option D is correct.

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