An increased number of media corporations control major media outlets is the correct statement about media ownership.
Over the years, the media industry has undergone significant changes in ownership. With the advancement of technology, traditional forms of media ownership have changed. There has been a shift from sole proprietorship to corporations controlling the media market.
Major media outlets like newspapers, radio, and television stations are today owned by a few large corporations. These corporations own several media outlets in different states or countries. The more outlets a corporation owns, the more market share it controls, giving it the power to control public opinion and information flow.
The current trend is towards consolidation, with fewer media corporations controlling major media outlets than ever before. The internet is the only area where media ownership is not concentrated, with no restriction on the share of the market reached by one media corporation.
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The question contains a description of four experiments we performed before.
1. For each of the three experiments, formulate the extensive form game.
2. Find the Nash equilibrium and the subgame perfect equilibrium for each experiment
Experiment 1:ultimatum overview
paired into groups of two; one is the Proposer, the other the Responder
Proposer proposes how to divide $100.
Responder chooses either Accept or Reject
if Accept, then earnings determined by accepted proposal
if Reject, then both players earn $0
Experiment 2: split the pie overview
paired into groups of two; one is randomly selected to be Divider
divider chooses how to divide $100
payoffs are determined by this choice
Experiment 3: an investment game overview
groups of two: Investor and Responder
each starts with $100
Investor chooses how much to send to Responder (the investment)
Responder gets investment × multiplier (3)
Responder chooses how much money to return to Investor
There is a Nash equilibrium in which the investor does not contribute anything, and the responder receives $0.
The given experiments and their solutions are as follows:
Experiment 1: Ultimatum Game- The extensive form game is as follows: The Nash equilibrium is when the proposer offers a 50:50 split, and the responder accepts. Subgame perfect equilibrium is the same as the Nash equilibrium.
Experiment 2: Split the Pie- The extensive form game is as follows: The Nash equilibrium is when the divider offers the other player $0, and the other player accepts the offer. Subgame perfect equilibrium is the same as the Nash equilibrium.Experiment 3: Investment Game- The extensive form game is as follows: The Nash equilibrium is when the investor invests nothing, and the responder returns nothing. Subgame perfect equilibrium is when the investor invests nothing, and the responder returns nothing.
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1. You are an economic consultant, specializing in evaluating policies quantitatively for clients. 2. The clients ask the following questions and expect to get quantitatively-robust answers. 3. You don't have the luxury of doing random controlled trials - All you can rely on is existing data. Your client can provide data to you. But what kind of data is available? You need to make reasonable assumptions and suggestions. 4. For each question, write down the simplest OLS regression equation (1 mark), and explain why such regressions would have bias in the context of this question by proposing a valid example of omitted variable. You need to explain how this omitted variable gives rise to the bias. (3 marks). 5. Propose ONE method (i.e. difference-in-difference, instrumental variables, or regression discontinuity) to address these questions. You need to write down its implementation details (the type of data you need, potential sources to get the data, equations) (3 marks). its pros and cons, when it works and when it fails, and its intuition (3 marks). 6. In particular, for difference-in-difference, you need to specify the control groups and the treatment groups. For instrumental variable method, you need to propose an instrumental variable and justify for it. For regression discontinuity, you need to specify the running variable and the cutoff. 7. If you can think of multiple methods, please write down ONLY the one you believe to be the best. Here are the clients and their questions: 1. Question 1: Philadelphia implements a youth curfew in order to reduce juvenile crime, such as robbing, stealing, and carjacking. The curfew time is midnight for those 16-19, 10:00 pm for those 14-16, and 9:30 pm for those under 14. After this curfew comes in effect for one year, the Philadelphia mayor wants to evaluate the effect of curfew on the number of juvenile crime incidents. 2. Question 2: The Ontario ministry of education wants to evaluate the effect of outdoor activities on sleeping quality for grade-1 elementary school students in Toronto. Currently, Toronto has two school boards, the Public School Board and the Catholic School Board. The Public School Board requires all students in its eleme schools to have a one-hour outdoor recess every day unless there is heavy rain, lightning, strong winds or temperature lower than -28C. The Catholic School Board allows each school to make its own decision. Assume that all parents keep accurate records on sleeping quality for each child in each night, and both school boards have access to these records.
As an economic consultant, evaluating policies quantitatively for clients, if you are not able to do random controlled trials, all you have to rely on is existing data.
The data provided by your client includes time-series data and cross-sectional data. Cross-sectional data is a type of data in which data are collected on a sample population, at a particular point in time, for example, in a survey conducted in a particular year. Time-series data, on the other hand, is data collected over a period of time, for example, from 1990-2020.
For quantitatively robust answers, you could use econometric modeling. Econometric modeling is a quantitative method that uses statistical techniques to estimate economic way and predict future outcomes. It is used to analyze data and test hypotheses in economics. Econometric modeling typically includes three steps: Model specification: Here, you select the variables that you want to include in your model and decide how to specify way between these variables.
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Make or Buy Terry Incorporated manufactures machine parts for aircraft engines. CEO Bucky Walters is considering an offer from a subcontractor to provide 2,850 units of product OP89 for $316,350. If Terry does not purchase these parts from the subcontractor, it must continue to produce them in-house with these costs: Cost per Unit Direct materials $ 45 Direct labor 35 Variable overhead 33 Allocated fixed overhead 4 Required: 1. What is the relevant cost per unit to make the product internally? 2. What is the estimated increase or decrease in short-term operating profit of producing the product internally versus purchasing the product from a supplier?
The estimated decrease in short-term operating profit of producing the product internally versus purchasing the product from a supplier is
The estimated increase or decrease in short-term operating profit of producing the product internally versus purchasing the product from a supplier will be;
Calculation of the Cost to Make 2,850 Units:Direct Materials: 2,850 × $45 = $128,250
Direct Labor: 2,850 × $35 = $99,750
Variable Overhead: 2,850 × $33 = $94,050
Allocated Fixed Overhead: 2,850 × $4 = $11,400
Total Cost: $333,450
Calculation of the Cost to Buy 2,850 Units:2,850 × $316,350 = $316,350
Thus, the estimated increase or decrease in short-term operating profit of producing the product internally versus purchasing the product from a supplier will be;
By making the product internally:
Total Cost = $333,450
Revenue (2850 units x $130) = $370,500
Profit = Revenue - Total Cost = $370,500 - $333,450 = $37,050
By purchasing the product externally:
Total Cost = $316,350
Revenue (2850 units x $130) = $370,500
Profit = Revenue - Total Cost = $370,500 - $316,350 = $54,150
the estimated decrease in short-term operating profit of producing the product internally versus purchasing the product from a supplier is $54,150 - $37,050 = $17,100.
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Old Antique Store prepared the following budget information for the month of May: • Sales are budgeted at $308,000. All sales are on account and a provision for bad debts is made for each month at two percent of sales for the month. • Inventory was $92,000 on April 30; an inventory increase of $14,000 is planned for May 31. • All inventory is marked to sell at cost plus 40 percent. • Estimated cash disbursements for selling and administrative expenses for the month are $56,000. • Depreciation for May is projected at $6,800. Old Antique's budgeted cost of inventory purchases for May is: Multiple Choice a. $88.000. b. $123,200. c. $190,000 d. $234,000. e. $220,000.
A company's Gross profit is its profit after deducting all costs associated with manufacturing and selling its goods or services. $123,200 is the gross profit.
A company's gross profit is the difference between its total cost of goods sold and total revenue, which is calculated by deducting the total revenue from the total cost of goods sold. It is additionally alluded to as net edge or gross pay.
Gross profit can be used to compare the performance of various businesses because it is a measure of a company's effectiveness in cost control.
The budgeted cost of inventory purchases for May for Old Antique Store can be calculated as follows:
Beginning inventory = $92,000
Inventory increase = $14,000
Cost of goods sold (COGS) = 60% of sales (100% - 40%)
COGS = 0.60 x $308,000 = $184,800
Add :ending inventory = beginning inventory + inventory purchases – COGS
$92,000 + inventory purchases - $184,800 = $14,000 + $92,000 (ending inventory)
Inventory purchases = $220,800 - $92,000 = $128,800
Therefore, the budgeted cost of inventory purchases for May is $128,800, which is closest to option (b) $123,200.
So, option (b) is the correct answer.
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Economic freedom means more than being able to buy the things you want. It means that you have the freedom to choose _________________________.
Answer:
your career, your employer, and your job location.
Explanation:
The concept of economic freedom means, in addition to the power to choose what to buy due to the variety of goods and services available in a competitive market. Economic freedom in society qualifies the individual as an economic agent capable of using the resources he has to build his professional life, his career and choose his place of work.
SHIRLEY & 4. Olympic Chemicals Ltd wants to purchase cooling systems for its new material-handling equipment in the warehouse. The warehouse is located near a residential district so management wants
Olympic Chemicals Ltd wants to purchase cooling systems for its new material-handling equipment in the warehouse. The warehouse is located near a residential district so management wants to buy a noiseless cooling system.
To fulfill the company's demand, Shirley, an HVAC sales representative, can offer a water-cooled air conditioner, which is a noiseless cooling system with an incredibly low sound level. Water-cooled air conditioning systems can reduce noise levels as they have a more efficient cooling system. It separates the refrigeration mechanism and the air distribution process. The refrigeration process takes place in a cooling tower that is far from the industrial unit, which reduces noise, the cooled water circulates through the pipes to distribute the cold air.
The main disadvantage of the water-cooled system is the initial cost, which is much higher than a traditional system. Another issue is the regular maintenance of the cooling tower. A low pH level in the water and minerals buildup can cause corrosion and reduce the system's efficiency. The company needs to consider the initial cost and maintenance requirements while selecting the cooling system for the new equipment. Despite the high costs, the noiseless water-cooled system can offer many advantages, including improved performance, comfort, and energy savings. So therefore Olympic Chemicals Ltd wants to purchase cooling systems, the warehouse is located near a residential district so management wants to buy a noiseless cooling system.
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1. Graph the following price and quantity data for a vacuum (normal good). Label the equilibrium point (E1), make sure quantity is on the x-axis and price on the y-axis, have a legend that identifies
To graph the following price and quantity data for a vacuum (normal good), we need to follow the given instructions.
Locate and label the equilibrium point (E1).Quantity will be on the x-axis, and price will be on the y-axis.Provide a legend that identifies the plotted lines. Equilibrium Point (E1) Price Quantity (Units) 100 60 200 50 300 40 400 30 500 20 600 10 A graph of the given data is as follows.
Image credits: Web Content Lab The equilibrium point (E1) is the point at which the demand and supply curves intersect. It is the price and quantity at which the market clears. In this case, the equilibrium point is where the demand curve and the supply curve meet. It is labeled as E1 on the graph.
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What is the term for a legally-binding document outlining the terms and conditions of a business transaction?
Answer:
A contract.
Explanation:
The purchase of land by issuing a long-term note payable for the entire amount is reported on the investing activities section of the statement of cash flows. a. True b. False
b. False. The purchase of land by issuing a long-term note payable for the entire amount is not reported on the investing activities section of the statement of cash flows.
b. False. The purchase of land by issuing a long-term note payable for the entire amount is not reported on the investing activities section of the statement of cash flows. It is actually reported in the financing activities section. The statement of cash flows categorizes cash flows into three main sections: operating activities, investing activities, and financing activities. The investing activities section primarily includes cash flows related to the acquisition and disposal of long-term assets such as property, plant, and equipment. However, the issuance of a long-term note payable to acquire land is not considered an investing activity but rather a financing activity. Financing activities involve cash flows related to obtaining and repaying capital from investors and creditors. Issuing a long-term note payable falls under this category as it represents a borrowing of funds, which is a form of financing for the company. Therefore, the correct statement is that the purchase of land by issuing a long-term note payable for the entire amount is reported on the financing activities section of the statement of cash flows, not the investing activities section.
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Dynondo Incorporated planned to use materials of $11 per unit but actually used materials of $16 per unit, and planned to make 1570 units but actually made 1700 units.
The flexible-budget amount for materials is ________.
$25,120
$27,200
$18,700
$17,270
The flexible-budget amount for materials is $18,700 if the amount of materials used is 1700 units. Thus, option C is correct.
The estimation of flexible-budget amounts for materials is done by the product of actual units produced by the planned cost per unit of materials.
Actual units = 1700 units
Planned cost per unit of materials = $11
The flexible-budget amount = Actual units produced x Planned cost per each unit
Flexible-budget amount for materials = 1700 units x $11 per unit
Flexible-budget amount for materials = $18,700
Therefore, we can conclude that the flexible-budget amount for materials is $18,700.
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The complete question is:
Question
Dynondo Incorporated planned to use materials of $11 per unit but actually used materials of $16 per unit, and planned to make 1570 units but actually made 1700 units.
The flexible-budget amount for materials is ________.
a. $25,120
b. $27,200
c. $18,700
d. $17,270
Benitez Security Systems has an annual demand for a camera security system of 1500 units. The cost of the camera system is $400. Carrying cost rate is estimated at 30%, and the ordering cost is $30 per order. If the owner orders 100 she can get a 2% discount on the cost of the cameras. The company operates 300 days per year, therefore the daily demand is 5 units per day and the lead time to receive an order from the supplier is 5 days. What should be their ordering amount based on EOQ? What are the total costs based on EOQ? What are the total costs if they take the discount?
Based on EOQ, Benitez should order 95 camera systems. Total costs are $6,173.68. With a discount, total costs are $39,990.
The Economic Order Quantity (EOQ) can be calculated using the formula:
EOQ = √((2 * D * S) / H)
where:
D = Annual demand = 1500 units
S = Ordering cost per order = $30
H = Carrying cost rate = 30% = 0.3
Therefore, H = 0.3 * $400 = $120 (annual carrying cost)
Plugging the values into the formula, we get:
EOQ = √((2 * 1500 * 30) / 120)
= √(9000)
= 94.87
Since the ordering amount needs to be a whole number, the owner should order 95 camera systems based on EOQ.
The total costs based on EOQ can be calculated by adding the ordering cost and carrying cost.
The ordering cost for 95 units = ($30 * 1500) / 95
= $473.68.
The carrying cost = (95 * $400 * 0.3) / 2
= $5,700.
Therefore, the total costs based on EOQ are:
= $473.68 + $5,700
= $6,173.68.
If the owner takes the discount by ordering 100 units, the cost of the camera system would be reduced by 2%. Hence, the cost per unit would be:
= $400 - (0.02 * $400)
= $392.
The total costs, in this case, would be;:
= (100 * $392) + $30 + (100 * $392 * 0.3)
= $39,200 + $30 + $11,760
= $39,990.
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How does the cash flow statement assist a user trying to determine whether to invest in the business? (1 mark)
The cash flow statement is an important financial statement that shows the movement of cash into and out of an organization. The statement helps investors understand how well a business is able to generate cash. In addition, it helps them understand whether a business has enough cash to pay for its daily activities, or if it is using too much cash.
The cash flow statement is an important financial statement that shows the movement of cash into and out of an organization. The statement helps investors understand how well a business is able to generate cash. In addition, it helps them understand whether a business has enough cash to pay for its daily activities, or if it is using too much cash. The statement also gives investors an idea of how much cash is invested in the business and how that cash is being used.The statement is important for investors because it provides them with information about the amount of cash that the business has available. This helps them to determine whether they want to invest in the business. If the business has a lot of cash on hand, it is more likely to be a good investment.
If the business is using a lot of cash to pay for its daily operations, then it may not be a good investment.Investors also use the cash flow statement to determine how much money is being spent on capital expenditures, such as equipment or buildings. This helps them to determine whether the business is investing in its future. If the business is spending a lot of money on capital expenditures, then it may be a good investment because it is investing in its future growth.In summary, the cash flow statement is important for investors because it provides them with information about the amount of cash that the business has available, how much cash is being invested in the business, and how that cash is being used. This helps them to determine whether the business is a good investment or not.
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Question 13 wered ced out of 9 en Goodwill Millennium Corporation purchases Falcon Inc. for $3.5 M. Falcon has the following assets all recorded at cost: Accounts receivable $ Inventory Land Building (net) Equipment (net) Total Assets Requirements: 125,000 350,000 500,000 350,000 50,000 $1,375,0000 The fair value of the assets is $2,350,000 and Millennium also assumes $600,000 of debt from Falcon. Determine if there is any goodwill related to Millennium's purchase of Falcon and if so what is the value of the goodwill? Show you below. $ Goodwill is captured on the (
Goodwill Millennium Corporation purchases Falcon Inc. for $3.5 M. Falcon has the following assets all recorded at cost: Accounts receivable $ Inventory Land Building (net) Equipment (net) Total Assets Requirements. Goodwill is valued is "$1.15 million".
Goodwill is captured on the balance sheet when the purchase price of an acquired company exceeds the fair value of its identifiable net assets.
To determine if there is any goodwill related to millennium's purchase of Falcon,
we need to compare the purchase price to the fair value of Falcon's identifiable net assets.
Given that,
Purchase price of Falcon = $3.5 million
Fair value of Falcon's identifiable net assets = $2.35 million
To calculate the value of the goodwill,
we subtract the fair value of Falcon's identifiable net assets from the purchase price,
Goodwill's corporation = Purchase Price of asset - Fair Value of the Net Assets
Goodwill = $3.5 million - $2.35 million
Goodwill = $1.15 million
Therefore, Millennium's purchase of Falcon's value is $1.15 million.
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The management of Vaughn Group is reevaluating the appropriateness of using its present inventory cost flow method. They request your help in determining the results of operations for 2020 if either t
The choice of inventory cost flow method can have significant implications for financial reporting and profitability. Vaughn Group should seek advice from an accountant or financial advisor to determine the most suitable method based on their specific circumstances and regulatory requirements.
Vaughn Group's inventoryVaughn Group is reconsidering its inventory cost flow method, which can impact the results of operations for 2020. The two common methods are FIFO and LIFO.
With FIFO (First-In, First-Out):
Oldest inventory items are assumed to be sold first.Cost of goods sold (COGS) is calculated by summing up the cost of the oldest inventory items sold.Ending inventory is valued based on the cost of the most recent inventory items.Gross profit, operating profit, and net profit are derived by subtracting expenses from revenue.With LIFO (Last-In, First-Out):
Most recent inventory items are assumed to be sold first.COGS is calculated by summing up the cost of the most recent inventory items sold.Ending inventory is valued based on the cost of the oldest inventory items.Gross profit, operating profit, and net profit are derived by subtracting expenses from revenue.Learn more on inventory cost flow method here https://brainly.com/question/28929779
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The complete question found is:
The management of Vaughn Inc. is reevaluating the appropriateness of using its present inventory cost flow method, which is average cost. The company requests your help on how to determine the results of operations for 2020 if either the FIFO or the LIFO method had been used.
What is the importance of smoothing consumption according to the economy?
Smoothing consumption is important for the economy because it helps to maintain stable consumer spending patterns over time. This can be beneficial for both individuals and businesses, as it reduces the volatility of the economy and can help to prevent recessions and other economic downturns.
In addition, smoothing consumption can help to increase overall economic growth by encouraging investment and innovation. When consumers are able to plan their spending more effectively, businesses can make more accurate predictions about future demand and adjust their operations accordingly.
This can help to stimulate economic growth by creating new jobs, increasing consumer spending, and driving innovation and technological development. Smoothing consumption is therefore a key factor in the health and stability of any modern economy.
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Estimates of population parameters, standard error, and confidence intervals assume unbiased sampling the foundation of unbiased sampling is the _____________________________ random sample.
Estimates of population parameters, standard error, and confidence intervals assume unbiased sampling the foundation of unbiased sampling is the simple random sample.
The foundation of unbiased sampling is the simple random sample. In statistics, a simple random sample is a subset of individuals or items selected from a larger population in such a way that every possible sample of the same size has an equal chance of being chosen. This means that each member of the population has an equal probability of being included in the sample.
Unbiased sampling is crucial because it ensures that the estimates and inferences made from the sample accurately represent the population from which it is drawn. By using a simple random sample, we minimize the potential for systematic biases and ensure that the sample is representative of the population as a whole.
The concept of unbiased sampling is essential for estimating population parameters, calculating standard errors, and constructing confidence intervals. When the sample is unbiased, the estimates of population parameters, such as means or proportions, tend to be unbiased as well.
Standard errors, which measure the variability of the estimates, rely on the assumption of unbiased sampling to provide accurate measures of uncertainty. Confidence intervals, which provide a range of plausible values for the population parameter, are also based on the principles of unbiased sampling to ensure their validity.
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below is a list of various changes in the economy. all else held constant, please match each change with the corresponding effect in the aggregate demand/supply framework.
The projected inventory exceeds the target amount when aggregate demand is lower than aggregate supply. Businesses intend to restrict production output until aggregate demand and aggregate supply are equal in order to reduce the undesirable buildup in inventory.
Reduced aggregate supply worsens an economy's unemployment issues and inflation rates. A rise in the cost of manufacturing is frequently the root cause of a decline in aggregate supply. Inflation is 'pushed' higher if overall supply declines but overall demand does not. Governments that borrow must compete with everyone else in the economy for the limited amount of accessible savings. the outcome of this contest.
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The most recent financial statements for Minnie's Manufacturing Co. are shown below:
Income Statement Balance Sheet
Sales $ 89,400 Current assets $ 30,500 Debt $ 40,200
Costs 65,250 Fixed assets 92,300 Equity 82,600
Taxable income $ 24,150 Total $ 122,800 Total $ 122,800
Tax 5,555
Net Income $ 18,595
Assets and costs are proportional to sales. Debt and equity are not. The company maintains a constant 40 percent dividend payout ratio. No external equity financing is possible.
What is the sustainable growth rate? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
The sustainable growth rate for Minnie's Manufacturing Co. is 13.52%.
What is the sustainable growth rate for Minnie's Manufacturing Co.?The sustainable growth rate (SGR) is a measure of the maximum growth rate a company can achieve while maintaining its current financial structure.
It represents the rate at which a company can grow its sales, earnings, and dividends without relying on external financing.
The retention ratio is calculated as (1 - Dividend payout ratio), and the return on equity is calculated as Net Income / Equity.
In the given financial statements, the dividend payout ratio is 40% (0.40), and the net income is $18,595. To calculate the equity, we subtract the debt from the total assets, which gives us $82,600.
The retention ratio is (1 - 0.40) = 0.60, and the return on equity is ($18,595 / $82,600) = 0.2253.
SGR = 0.60 * 0.2253 = 0.1352
The sustainable growth rate is 13.52%.
Explanation:
The sustainable growth rate is a measure of the company's internal growth potential without relying on external financing.
It considers the retention of earnings and the return on equity to determine the rate at which the company can grow while maintaining its financial structure.
In this case, Minnie's Manufacturing Co. can achieve a sustainable growth rate of 13.52% based on its financial statements.
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One of the main tips to manage successful global assignment is by providing your employees the right training before the task being assigned. Suggest one training that is needed to prepare an employee for global assignment and discuss critically the systematic training process for the training that you have suggested.(500 words)
One of the main tips to manage a successful global assignment is by providing your employees with the right training before the task is assigned. One training that is needed to prepare an employee for global assignment is cultural training.
This training provides an individual with the necessary skills and knowledge to understand, respect, and interact with people from different cultures.
This training is important because when an employee is working in a foreign country, they may experience culture shock, communication barriers, and different work ethics and practices.
Therefore, cultural training prepares an employee to adapt to the new environment and be effective in their job.
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A salesperson talks to customers Vincent and Lee. During his presentation with Vincent, the salesperson asks him, "Would a new computer with advanced features resolve all your issues?" During his presentation with Lee, the salesperson asks, "How many people use your computer?" Classify the question type based on the SPIN (situations questions, problem questions, implication questions, and need payoff questions) technique used by salespeople to understand a prospect's needs. Multiple Choice The questions asked to Vincent and Lee are problem questions. The questions asked to Vincent and Lee are implication questions. The question asked to Vincent is a problem question, whereas the question asked to Lee is a need payoff question. The question asked to Vincent is a situation question, whereas the question asked to Lee is an implication question The question asked to Vincent is a need payoff question, whereas the question asked to Lee is a situation question.
Based on the given information, the question asked to Vincent, "Would a new computer with advanced features resolve all your issues?", can be classified as an implication question. Implication questions are used by salespeople to understand the potential consequences or impact of a problem or situation.
The question asked to Lee, "How many people use your computer?", can be classified as a situation question. Situation questions are used to gather information about the current state or circumstances of the prospect. Therefore, the correct answer is: The question asked to Vincent is an implication question, whereas the question asked to Lee is a situation question.
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The first step in the incorporation procedure is to a. hold the first organizational meeting. O b. begin conducting business. O c. elect a board of directors d. select a state in which to incorporate.
The first step in the incorporation procedure is to D) select a state in which to incorporate.
Incorporation is the process of creating a legal entity separate from its owners. The entity could be a corporation, a limited liability company, or a non-profit corporation. It is essential to select the state to incorporate, as different states have different requirements for incorporating. The factors to consider when selecting a state include the business structure, taxes, and laws governing corporations.
The business structure determines the state where the company incorporates. For instance, a corporation can incorporate in any state, but a limited liability company must incorporate in its home state. The tax implications in each state can also affect the state's decision to incorporate.
A corporation's articles of incorporation should be filed with the Secretary of State's office, where the corporation will be registered. Each state has different requirements for filing the articles of incorporation, so it's important to research the state's rules before filing.
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The IF for the future value of an annuity is 11.436 at 10% for 8 years. If we wish to accumulate $19,000 by the end of 8 years, how much should the annual payments be? Use Appendix C to calculate the
Using Appendix C or a financial calculator, we can calculate the value of $19,000 divided by 11.436 to find the annual payment amount.
To find the annual payments needed to accumulate $19,000 by the end of 8 years, we can use the future value of an annuity formula:
FV = P × IF,
where FV is the desired future value, P is the annual payment, and IF is the interest factor.
Given:
FV = $19,000,
IF = 11.436.
Substituting these values into the formula, we have:
$19,000 = P × 11.436.
To solve for P, divide both sides of the equation by 11.436:
P = $19,000 / 11.436.
Using Appendix C or a financial calculator, we can calculate the value of $19,000 divided by 11.436 to find the annual payment amount.
Assuming you have access to Appendix C or a financial calculator, please perform the calculation to find the exact annual payment amount.
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Competition is high in the fast-food industry, particularly in
the busy areas such as the central business districts. A healthy
food company with a range of healthy fast-food items is evaluating
its b
Competition is high in the fast-food industry, particularly in the busy areas such as the central business districts. A healthy food company with a range of healthy fast-food items is evaluating its business's suitability for entering the fast-food market in the busy areas.
This is a crucial move that requires a lot of thought and planning to succeed. It is critical to recognize and fulfill clients' requirements, including fast food that is healthy, tasty, and readily available. As a result, the healthy food company must investigate the sector and create strategies that will help it survive in the competitive fast-food industry. Long Answer:Healthy fast food items are in high demand, and the market for such products is expanding. The healthy food company must begin by identifying its target audience and analyzing their preferences. They should identify the consumer's taste and dietary requirements to identify the most popular food items.The second step is to evaluate competitors and the strategies they use to succeed in the industry. The analysis should include determining the competitors' strengths, weaknesses, opportunities, and threats.
The analysis will assist in determining the market size, price points, and consumer needs.Finally, the healthy food company must create a marketing strategy that focuses on the food items' unique qualities. They should advertise the food as healthy, delicious, and readily available to attract consumers. The advertising strategy should concentrate on the company's core competency, healthy food. Competition is high in the fast-food industry, particularly in the busy areas such as the central business districts. A healthy food company with a range of healthy fast-food items is evaluating its business's suitability for entering the fast-food market in the busy areas. The healthy food company must investigate the sector and create strategies that will help it survive in the competitive fast-food industry. The company must identify the target audience, analyze their preferences, evaluate competitors and the strategies they use to succeed in the industry, and create a marketing strategy that focuses on the food items' unique qualities.
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the norwegian government uses $500,000 of previously obtained u.s. dollars to buy $500,000 of police cars from a
In this case, the purchase of $500,000 of police cars by the Norwegian government using previously obtained U.S. dollars will have an impact on the U.S. net exports (NX) and net capital outflow (NCO).
Firstly, the purchase of $500,000 worth of police cars from a U.S. company will increase U.S. exports, leading to a positive change in net exports (NX). The transaction represents an export of goods from the U.S., contributing to an increase in the value of U.S. exports and thus boosting NX.
Secondly, since the Norwegian government is using previously obtained U.S. dollars to make the purchase, there will be no change in the U.S. net capital outflow (NCO).
NCO measures the net flow of capital from a country to the rest of the world, taking into account investments and purchases of foreign assets. In this case, there is no new capital outflow from the U.S. as the Norwegian government is utilizing existing U.S. dollars, and therefore, NCO remains unchanged.
In conclusion, the transaction of the Norwegian government purchasing $500,000 of police cars from a U.S. company using previously obtained U.S. dollars will result in an increase in net exports (NX) for the U.S., while the net capital outflow (NCO) remains unaffected.
This transaction contributes positively to the U.S. trade balance by increasing exports and highlights the importance of considering both NX and NCO when analyzing international transactions.
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Complete Question:
Consider the following cases and indicate for each case the direction and amount of changes in NX and NCO for the U.S. (e.g. NX decreases by $2, NCO increases by $3. etc.). The Norwegian government uses $500,000 of previously obtained U.S. dollars to buy $500,000 of police cars from a U.S. company.
DESCRIBE how Financial Markets are organized in relation to
Maturity of Securities.
The financial markets are organized in relation to the maturity of securities based on the Money market and Capital market.
Financial Markets are organized based on the security's maturity. The primary and secondary financial markets are organized based on securities maturity. Here is a brief description of how financial markets are organized in relation to the maturity of securities:
Money market: Money market securities are short-term securities with maturities of up to one year. They are commonly referred to as short-term debt instruments because they mature in less than one year. The primary participants in the money market are banks, corporations, government entities, and other large financial organizations. Treasury bills, commercial paper, and certificates of deposit are examples of money market securities. The money market is a crucial part of the financial market, and it serves as a source of short-term funding for financial organizations.
Capital market: Capital markets are long-term investment markets that deal with stocks, bonds, and other long-term securities. Stocks, for example, represent an ownership interest in a corporation, while bonds represent a promise to pay a predetermined rate of interest. The capital market includes public offerings of securities, trading activities, and all associated mechanisms for allocating capital. The capital market's primary purpose is to provide a mechanism for long-term capital allocation to finance long-term projects.
According to maturity, capital market instruments are classified into two categories: debt securities and equity securities. Debt securities have a fixed maturity, and the issuer must pay a predetermined rate of interest. On the other hand, equity securities represent ownership in the company, and their value is determined by the company's market value. Stocks are a common example of equity securities.
Finally, it is worth mentioning that the secondary financial market is organized in the same way as the primary financial market.
However, the difference is that the secondary market deals with securities that have already been issued and traded in the primary market.
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a. [2 marks] Using the paragraph preceding question 1 above, draw a
detailed cash flow diagram, from Heidrun’s perspective, that captures
the details of Heidrun’s transactions.
b. [2 marks] Using the paragraph preceding question 8 above, draw a
detailed cash flow diagram, from Priscilla’s perspective, that captures
the details of Priscilla’s transactions.
c. [2 marks] A student answering question 9, above, wants to convert the
effective annual rate of Priscilla’s transactions into a nominal rate of
interest, payable quarterly (i.e., a j4 rate). The student is using Excel
to do the calculation. She has your answer in cell A1 of her spreadsheet.
Write down detailed instructions how she can go from the data in cell
A1 to the correct j4 rate, which is to be located in cell C4.
d. [2 marks] Using the paragraph preceding question 10 above, draw a
detailed cash flow diagram, from Rajesh’s perspective, that captures
the details of Rajesh’s transactions.
e. [2 marks] Using the two paragraphs and table preceding question 13
above, draw a detailed cash flow diagram, from the perspective of AMZ
Life, that captures the details of the issue of one of its life annuities.
a. To draw a detailed cash flow diagram from Heidrun's perspective, we need to capture the details of her transactions. The diagram would include the following:
Initial Investment: An arrow pointing downwards representing the initial cash outflow made by Heidrun to purchase the investment.Coupons/Interest: Arrows pointing upwards at regular intervals representing the cash inflows from the coupon payments or interest received by Heidrun during the investment period.Principal Repayment: An arrow pointing upwards at the end of the investment period representing the cash inflow when Heidrun receives the principal amount back.Sale Proceeds: An arrow pointing upwards if Heidrun decides to sell the investment before maturity, representing the cash inflow from the sale proceeds.b. To draw a detailed cash flow diagram from Priscilla's perspective, capturing the details of her transactions, the diagram would include the following:
Initial Investment: An arrow pointing downwards representing the initial cash outflow made by Priscilla to purchase the investment.Coupons/Interest: Arrows pointing upwards at regular intervals representing the cash inflows from the coupon payments or interest received by Priscilla during the investment period.Principal Repayment: An arrow pointing upwards at the end of the investment period representing the cash inflow when Priscilla receives the principal amount back.Early Redemption Penalty: An arrow pointing upwards if Priscilla decides to redeem the investment before maturity, representing the cash outflow due to any penalty charges.c. To convert the effective annual rate of Priscilla's transactions into a nominal rate of interest payable quarterly, the student can follow these steps in Excel:
In cell C4, use the formula "=A1^(1/4)-1". This will calculate the quarterly interest rate based on the effective annual rate in cell A1.Format cell C4 as a percentage to display the result as a percentage value.d. To draw a detailed cash flow diagram from Rajesh's perspective, capturing the details of his transactions, the diagram would include the following:
Initial Investment: An arrow pointing downwards representing the initial cash outflow made by Rajesh to purchase the investment.Coupons/Interest: Arrows pointing upwards at regular intervals representing the cash inflows from the coupon payments or interest received by Rajesh during the investment period.Principal Repayment: An arrow pointing upwards at the end of the investment period representing the cash inflow when Rajesh receives the principal amount back.Early Redemption Penalty: An arrow pointing upwards if Rajesh decides to redeem the investment before maturity, representing the cash outflow due to any penalty charges.e. To draw a detailed cash flow diagram from the perspective of AMZ Life, capturing the details of the issue of one of its life annuities, the diagram would include the following:
Initial Investment: An arrow pointing downwards representing the initial cash inflow received by AMZ Life from the purchaser of the life annuity.Annuity Payments: Arrows pointing downwards at regular intervals representing the cash outflows from AMZ Life to the annuitant as annuity payments.Death Benefit: An arrow pointing upwards representing the cash inflow to AMZ Life in the event of the annuitant's death before the annuity term ends.Surrender Value: An arrow pointing upwards if the annuitant decides to surrender the annuity before maturity, representing the cash inflow to AMZ Life due to surrender charges or penalties.For such more questions on cash flow
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In order to convert the effective annual rate (EAR) of Priscilla's transactions into a nominal rate of interest payable quarterly (j4 rate) in Excel, you can follow these steps:
How to explain the stepsIn cell B1, enter the number of compounding periods per year. Since the interest is payable quarterly, the compounding periods per year will be 4.
In cell C1, enter the formula =(1+A1)^(1/B1)-1. This formula raises the EAR to the power of 1 divided by the number of compounding periods per year, and then subtracts 1 to get the nominal rate of interest per compounding period.
In cell C4, enter the formula =(1+C1)^(B1/4)-1. This formula raises the nominal rate per compounding period to the power of the number of compounding periods in a year divided by 4 (since interest is payable quarterly), and then subtracts 1 to get the j4 rate.
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Cherry Corporation had 600,000 shares of common stock outstanding during 2020. In addition, it had 80,000 stock options outstanding, which had been granted to certain executives on January 1, 2020, and which gave them the right to purchase shares of Cherry's stock at an option price of $40 per share. The average market price of Cherry's common stock for 2020 was $50. Net income was $1,000,000.
Compute EPS.
Compute DEPS.
Compute DEPS assuming that the options were granted on September 1, 2020, not January 1.
EPS = $1.67 per share
- DEPS = $0.71 per share
- DEPS (assuming options granted on September 1) = $1.15 per share
1. Compute EPS:
EPS = Net income / Weighted average number of common shares outstanding
Weighted average number of common shares outstanding is calculated by considering the time-weighted proportion of common shares outstanding.
In this case, there were no changes in the number of common shares outstanding during the year, so the weighted average is simply the common shares outstanding.
EPS = $1,000,000 / 600,000 = $1.67 per share
2. Compute DEPS (Diluted Earnings per Share):
DEPS takes into account the potential dilution of earnings from the exercise of stock options.
To calculate DEPS, we need to determine the potential common shares that would be issued if all stock options were exercised. Then, we add these potential shares to the weighted average number of common shares outstanding and recompute EPS.
Number of potential common shares from stock options = Number of stock options * (Fair market value - Option price)
Number of potential common shares = 80,000 * ($50 - $40) = 80,000 * $10 = 800,000
Weighted average number of common shares outstanding (including potential shares) = Common shares outstanding + Potential common shares
Weighted average number of common shares outstanding = 600,000 + 800,000 = 1,400,000
DEPS = Net income / Weighted average number of common shares outstanding DEPS = $1,000,000 / 1,400,000 = $0.71 per share
. ComputeDEPS assuming options were granted on September 1, 2020:
If the options were granted on September 1, 2020, we need to calculate the weighted average number of common shares outstanding considering the time period.
The number of common shares outstanding for January 1 to August 31, 2020, remains the same (600,000 shares). From September 1, 2020, to the end of the year, the potential common shares need to be considered.
Weighted average number of common shares outstanding = (Common shares outstanding * Weighted time period) + (Potential common shares * Weighted time period)
Weighted average number of common shares outstanding = (600,000 * 8/12) + (1,400,000 * 4/12)
Weighted average number of common shares outstanding = 400,000 + 466,667 = 866,667 shares
DEPS (assuming options granted on September 1) = Net income / Weighted average number of common shares outstanding
DEPS = $1,000,000 / 866,667 = $1.15 per share
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A firm has a capital structure with $100 million in equity and $100 million of debt. The cost of equity capital is 11% and the pretax cost of debt is 7%. If the marginal tax rate of the firm is 25%, compute the weighted average cost of capital of the firm.
Weighted average cost of capital (WACC) is the weighted average cost of all capital invested in a company.
WACC is the average rate of return that an organization is expected to pay to all of its investors and financiers.
The formula for WACC is expressed as follows:
WACC = E/(E + D) * Re + D/(E + D) * Rd * (1 - T)Where:WACC = weighted average cost of capitalRe = cost of equity capitalRd = pretax cost of debtE = market value of the firm’s equityD = market value of the firm’s debtT = corporate tax rate
Given values are:Market value of equity = $100 million Market value of debt = $100 millionCost of equity capital (Re) = 11%Pretax cost of debt (Rd) = 7%Corporate tax rate = 25%WACC = E/(E + D) * Re + D/(E + D) * Rd * (1 - T)WACC = ($100 million / $200 million) * 11% + ($100 million / $200 million) * 7% * (1 - 25%)WACC = 0.5 * 11% + 0.5 * 7% * 0.75WACC = 0.055 + 0.02625WACC = 0.08125 or 8.125%
Therefore, the weighted average cost of capital of the firm is 8.125%.
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Which company is a leader in rating bonds?
a. Goldman Sachs
b. Bloomberg
c. ValueLine
d. Moody's Investor Service
Moody's Investor Service is a leader in rating bonds. Option D is the correct answer.
Bond ratings are a specialty of Moody's Investor Service, a well-known and well-recognized credit rating organization. They offer evaluations and ratings of the creditworthiness and risk attached to various bonds issued by corporations, governments, and other entities.
Insights on the likelihood of timely interest and principal payments on the bonds are provided by these ratings, which aid investors in making wise judgments. ValueLine is well-known for its investment research and analysis, Goldman Sachs is a well-known investment bank, and Bloomberg is a well-known provider of financial data and media.
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A company just issued $195000 of perpetual 7% debt and used the proceeds to repurchase stock. The company expects to generate 113000 of EBIT in perpetuity. The company distributes all its earnings as dividends at the end of each year. The firm’s unlevered cost of capital is 15% and the tax rate is 30%. Use FTE to calculate the value of the company’s equity.
The value of the company's equity using the FTE approach is approximately $726,033.
To calculate the value of the company's equity using the Flow to Equity (FTE) approach, we need to determine the present value of the expected cash flows to equity holders.
First, let's calculate the interest expense on the perpetual debt. The interest expense is given by the perpetual debt amount multiplied by the interest rate, which is $195,000 * 7% = $13,650.
Next, we need to calculate the tax shield from the interest expense. The tax shield is the interest expense multiplied by the tax rate, which is $13,650 * 30% = $4,095.
The unlevered net income is the EBIT minus the tax shield, which is $113,000 - $4,095 = $108,905.
Now, we can calculate the value of the equity using the FTE approach. The value of equity is the unlevered net income divided by the unlevered cost of capital, which is $108,905 / 15% = $726,033.
Therefore, the value of the company's equity using the FTE approach is approximately $726,033.
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