(a) Explain the factors that can influence the pricing strategy adopted by a product/service brand of your choice. (b) Evaluate the importance of 'price' being consistent and integrating with other elements of the marketing mix. Give examples to help explain your answer.

Answers

Answer 1

(a) Factors that can influence the pricing strategy adopted by a product/service brand:The pricing strategy of a product or service is influenced by several factors which are given below:1. Marketing Objectives: The objective of the marketing strategies adopted by the company has a considerable impact on the pricing strategy.

A company that is looking to penetrate a new market will have a different pricing strategy than a company that is aiming to maintain its market share.2. The nature of the product or service: The type of product or service being offered plays a significant role in determining the pricing strategy. For example, a luxury brand will have a different pricing strategy than a budget brand.

Market Conditions: The price of a product or service can be affected by the supply and demand of the market. If the demand for a product is high and the supply is low, the price of the product will go up.4. Competitor's pricing strategy: Competitors' pricing strategy can significantly affect the pricing strategy of a company. If a company's pricing strategy is significantly higher than its competitors, it may result in a loss of market share.(b) The importance of 'price' being consistent and integrating with other elements of the marketing mix:Price is an essential element of the marketing mix, and it must be consistent with other elements of the marketing mix to create a cohesive message for the consumer. The following points describe the importance of price being consistent and integrating with other elements of the marketing mix:1. Competitive Advantage: A consistent pricing strategy that integrates with other elements of the marketing mix can give a company a competitive advantage.2. Brand Image: A consistent pricing strategy can help a company to establish a brand image.3. Customer Perception: The price of a product or service can significantly affect the customer's perception of the product.4. Market Share: A consistent pricing strategy that integrates with other elements of the marketing mix can help a company maintain or increase its market share.5. Customer Loyalty: A consistent pricing strategy that integrates with other elements of the marketing mix can help a company build customer loyalty.Example: Apple's pricing strategy has always been consistent with other elements of its marketing mix. Apple's marketing mix includes the following elements: Product, Price, Place, and Promotion. Apple's pricing strategy is consistent with the brand image and the quality of its products. Apple's premium pricing strategy has helped the company to establish a brand image of luxury and high-quality products.

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Related Questions

Sebastian purchases two pieces of equipment for $129,000. Appraisals of the equipment indicate that the fair market value of the first piece of equipment is $90,300 and that of the second piece of equ

Answers

Based on the appraised fair market values of the equipment. Sebastian's basis for the first piece of equipment is $54,730, and for the second piece of equipment is $86,270.

To determine Sebastian's basis in the two assets, we need to allocate the total cost of $141,000 based on the appraised fair market values of the equipment.

First, we calculate the total appraised fair market value:

Total fair market value = Fair market value of the first piece + Fair market value of the second piece

Total fair market value = $98,700 + $155,100 = $253,800

Next, we calculate the proportion of the fair market value for each piece of equipment:

Proportion of fair market value for the first piece = Fair market value of the first piece / Total fair market value

Proportion of fair market value for the second piece = Fair market value of the second piece / Total fair market value

Proportion of fair market value for the first piece = $98,700 / $253,800 ≈ 0.3882

Proportion of fair market value for the second piece = $155,100 / $253,800 ≈ 0.6118

Finally, we allocate the total cost based on the proportions:

Basis for the first piece = Total cost x Proportion of fair market value for the first piece

Basis for the second piece = Total cost x Proportion of fair market value for the second piece

Basis for the first piece = $141,000 x 0.3882 ≈ $54,730

Basis for the second piece = $141,000 x 0.6118 ≈ $86,270

Therefore, Sebastian's basis for the first piece of equipment is approximately $54,730, and for the second piece of equipment is approximately $86,270.

The correct question is:

Sebastian purchases two pieces of equipment for $141,000. Appraisals of the equipment indicate that the fair market value of the first piece of equipment is $98,700 and that of the second piece of equipment is $155,100. What is Sebastian’s basis in these two assets?

If required, round your interim calculations to two decimal places. Use rounded amounts in subsequent computations. If required, round final answers to the nearest dollar.

Sebastian's basis for the first piece of equipment is $______ and $______ for the second piece of equipment.

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In 2022-2023, what do you think the Federal Reserve’s policy on short-term interest rates will be? Will the Fed hold the line, or raise, or lower short-term interest rates? If they change the target rate, by what magnitude?

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It is difficult to predict with certainty what the Federal Reserve's policy on short-term interest rates will be in 2022-2023.

However, given the ongoing COVID-19 pandemic and the potential for economic uncertainty, it is likely that the Fed will maintain its current low rate policy during this time period.

The Federal Reserve uses short-term interest rates as a tool for managing inflation and promoting economic growth. In recent years, the Fed has kept interest rates historically low in an effort to stimulate economic activity. However, as the economy begins to recover from the COVID-19 pandemic, some analysts predict that the Fed may need to raise interest rates to prevent inflation from spiraling out of control.

That being said, the ongoing impact of the pandemic on the economy may complicate the Fed's decision-making process. While economic activity has rebounded in many parts of the world, the pandemic is still a major driver of uncertainty and market volatility. As a result, the Fed may opt to maintain low interest rates in order to support continued economic recovery and avoid exacerbating any financial instability that may arise due to the pandemic.

Overall, while it is impossible to know for certain what the Fed's policy on short-term interest rates will be in 2022-2023, it is likely that the Fed will err on the side of caution and maintain low interest rates for the time being.

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On August 2, 2020, SLM Company received a $5.500, 90-day, 5% note from customer Will Carr as payment on his account. Determine the maturity date and prepare the August 2 and maturity date entries, assuming the note is honoured by Carr.

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SLM Company receives $5,500 90-day, 5% note from customer Will Carr on August 2, 2020. We need to calculate the maturity date and prepare the August 2 and maturity date entries.

Below is the solution to the given problem:

Calculation of Maturity Date: The maturity date of the note can be calculated by adding the number of days mentioned in the note to the date of note issuance.

Here, Will Carr issued a 90-day note on August 2, 2020.Therefore, the maturity date of the note will be calculated as: Maturity date = August 2, 2020 + 90 days Maturity date = November 1, 2020Prepare the August 2 and maturity date entries:

Below are the August 2 and maturity date entries: August 2, 2020: Cash account Dr. $5,500 To Notes receivable account $5,500 (Recording the note received from Will Carr) Maturity Date (November 1, 2020):

Notes receivable account Dr. $5,500To Cash account $5,675 [$5,500 + ($5,500 * 5% * 90/360)] (Recording the collection of note on maturity date)

Hence, the above-mentioned entries will be recorded if the note is honored by Will Carr.

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Marketing strategy for a restaurant focusing on using CRM tools and how to use them to retain customers and get new one's?
3,500 words

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Marketing strategy for a restaurant focusing on using Customer Relationship Management (CRM) tools involves utilizing data-driven insights to personalize customer experiences, enhance customer retention, and attract new customers.

To effectively implement a marketing strategy utilizing CRM tools in a restaurant, several key steps can be taken. Firstly, capturing customer data through various touchpoints such as online reservations, loyalty programs, and feedback forms helps build a comprehensive customer database. This data can then be analyzed to identify customer preferences, behavior patterns, and trends.

Using CRM tools, personalized marketing campaigns can be created to engage with customers on a one-to-one level. This may include targeted email marketing, personalized promotions, and tailored recommendations based on customers' previous dining experiences. Such personalized approaches foster a sense of loyalty and encourage repeat visits.

Additionally, CRM tools can enable proactive customer service by tracking and responding to customer feedback and complaints promptly. Addressing concerns in a timely and personalized manner helps improve customer satisfaction and loyalty.

To attract new customers, CRM tools can facilitate targeted advertising and customer acquisition campaigns based on demographic and behavioral data analysis. By identifying potential customers with similar characteristics to existing loyal customers, restaurants can tailor their marketing efforts to reach the right audience.

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explain the time value of money and how calculating present and future values can help in your personal or business life.

Answers

Understanding the time value of money and calculating present and future values can help individuals and businesses make better financial decisions by considering the changing worth of money over time and evaluating the profitability and feasibility of investments or financial choices.

The time value of money is a fundamental concept in finance that recognizes the principle that the value of money changes over time due to various factors such as inflation, interest rates, and opportunity costs. It is based on the idea that a dollar received or paid in the future is worth less than the same dollar received or paid today.

Calculating present and future values allows individuals and businesses to make informed financial decisions by considering the time value of money. Present value calculations help determine the current worth of future cash flows or investment returns, taking into account the interest or discount rate. This helps in assessing the feasibility and profitability of investments or evaluating the cost of financing.

On the other hand, future value calculations assist in estimating the value of an investment or an asset at a certain point in the future, considering the potential growth or compounding of funds over time. This can aid in setting financial goals, planning for retirement, or making long-term investment decisions.

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Nur Bhd is seeking a loan for a period of for six months for its intended purchase of a computer system. The system will cost RM 250,000 of which only 80% financing is required. Nur Bhd is considering two alternatives:
Alternative 1: A loan from MSU Commerce where it has a balance of RM 20,000 in its current account. Interest is charged at 7% per annum and a compensating balance of 12% is required.
Alternative 2: A loan from Perwira Affin Bank at 6% interest with a 10% compensating balance. Interest is to be paid in advance.
Required:
i. Calculate the effective annual interest rate for the two alternatives.
ii. Which alternative should Nur Bhd choose and why?

Answers

Nur Bhd is considering two alternatives for obtaining a loan to finance the purchase of a computer system. Alternative 1 involves a loan from MSU Commerce with an interest rate of 7% per annum and a 12% compensating balance requirement.

Alternative 2 is a loan from Perwira Affin Bank with a 6% interest rate and a 10% compensating balance requirement. To determine the better alternative, we need to calculate the effective annual interest rate for each option and compare them.

i. The effective annual interest rate takes into account both the stated interest rate and the impact of any compensating balance requirement.

For Alternative 1: Since a compensating balance of 12% is required, only 88% of the loan amount is available for use. Therefore, the effective annual interest rate can be calculated as (0.07 / 0.88) * 100 ≈ 7.95%.

For Alternative 2: A compensating balance of 10% is required, so only 90% of the loan amount is available. The effective annual interest rate is calculated as (0.06 / 0.90) * 100 ≈ 6.67%.

ii. Based on the calculations, Alternative 2 with Perwira Affin Bank offers a lower effective annual interest rate of approximately 6.67%, compared to Alternative 1 with an effective annual interest rate of approximately 7.95%. Therefore, Nur Bhd should choose Alternative 2 because it provides a lower cost of borrowing.

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You have won the $1,000,000 Powerball lottery. Unfortunately, the lottery pays you 20 annual payments of $50,000. You will receive your first payment one year from today. The lottery payments are pretty low risk because they are backed by multiple state governments. Thus, you use the risk-free return of 5% to value the payments.

Answers

A Powerball lottery winner receives 20 annual payments of $50,00, then the present value of the $1,000,000 Powerball lottery payments is $311,555.5.

The present value of $1,000,000 Powerball lottery payments can be found using the formula for the present value of an annuity.

The formula for present value of annuity is given by;

Present value of annuity = Pmt × [1 – (1 + r)-n] / r Where,

Pmt = $50,000r = 5% = 0.05n = 20

Using the given formula for present value of an annuity, the present value of the Powerball lottery payments is;

$50,000 × [1 – (1 + 0.05)-20] / 0.05$50,000 × [1 – 0.37689] / 0.05$50,000 × 0.62311 / 0.05

=$311,555.5

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The following data are accumulated by Patterson Inc. in evaluating two competing capital investment proposals:

Line Item Description Project C Project T
Amount of investment $125,000 $140,000
Useful life 10 years 12 years
Estimated residual value $5,000 $10,000
Estimated total income over the useful life $65,000 $108,000
Determine the expected average rate of return for each project.

Line Item Description Percentage
Project C fill in the blank 1%
Project T fill in the blank 2%

Answers

Expected Average Rate of Return for Project C = -0.04 or 4% (Loss)
Expected Average Rate of Return for Project T = 0.00 or 0% (Loss)

The expected average rate of return for each project is shown below:
Project C
Amount of Investment = $125,000
Estimated Residual Value = $5,000
Total Income over the useful life = $65,000
Useful life = 10 years
Expected Average Rate of Return = Percentage
Return/Amount of Investment + Residual Value / 2
Return = Total Income over useful life - Amount of Investment + Residual Value / Useful life
Return = 65,000 - 125,000 + 5,000 / 10
Return = -$55,000 / 10Return = -$5,500
Expected Average Rate of Return = ($5,500) / $125,000 + $5,000 / 2
Expected Average Rate of Return = -0.04 or 4% (Loss)
Project T
Amount of Investment = $140,000
Estimated Residual Value = $10,000
Total Income over the useful life = $108,000
Useful life = 12 years
Expected Average Rate of Return = Percentage
Return/Amount of Investment + Residual Value / 2
Return = Total Income over useful life - Amount of Investment + Residual Value / Useful life
Return = 108,000 - 140,000 + 10,000 / 12Return = -$22,000 / 12
Return = -$1,833.33
Expected Average Rate of Return = ($1,833.33) / $140,000 + $10,000 / 2
Expected Average Rate of Return = 0.00 or 0% (Loss)
Thus, Project C has a 4% loss while Project T has a 0% loss.

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Yan Yan Corp. has a $2,000 par value bond outstanding with a coupon rate of 4.7 percent paid semiannually and 13 years to maturity. The yield to maturity of the bond is 5.05 percent. What is the dollar price of the bond?
Input area:
Settlement date
Maturity date 1/1/2020
Coupon rate 1/1/2033
Coupons per year 4.70%
Redemption value (% of par) 2
Yield to maturity 5.05%
Par value $ 2000

(Use cells A6 to B12 from the given information to complete this question. You must use the built-in Excel function to answer this question. Leave the "Basis" input blank in the function. You may enter a constant as a hard coded value.) 1

Output area:
Price (% of par)
Price

Answers

The yield to maturity on this bond is 4.7 percent. The price of the bond is $1,927.66.

The bond makes semiannual payments.

Face value = $2,000

Coupon rate per period = 2.2% of $2,000 = $44

Number of periods in 18 years, n = 18 * 2 = 36

YTM per period, r = 4.7% / 2 = 2.35% = 0.0235

The entire return anticipated on a bond if it is kept until maturity is referred to as yield to maturity (YTM). Although it is expressed as an annual rate, yield to maturity is regarded as a long-term bond yield. It is, therefore, the internal rate of return (IRR) of a bond investment assuming the investor retains the bond to maturity, with all scheduled payments made and reinvested at the same pace.

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the sales specialty that involves the knowledge of regulated land use, environmental considerations, transportation, labor cost and utility charges is

a- agricultural

b- commercial

c- industrial

d- residential

Answers

The correct option is b- commercial. Commercial is the sales specialty that involves the knowledge of regulated land use, environmental considerations, transportation, labor cost, and utility charges.

A sales specialty is a targeted segment of the market in which the seller is well-versed in the consumer's specific demands, such as manufacturing, healthcare, or hospitality.Content loaded refers to the integration of multimedia content into a website to enhance user engagement. It's important to create unique and relevant content that provides value to visitors while also supporting a website's search engine optimization (SEO).Agricultural refers to everything connected to farming, such as cultivating soil, producing crops, and rearing animals. Industrial refers to the manufacture and distribution of products. Residential refers to property intended for living in.

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You bought a car with sticker price of $15,150. You took a standard car loan for the entire sticker price. The loan requires that you pay monthly payment of $350 for four years to pay off the car, with the first loan payment to be paid one month from the car purchase. What is the approximate APR of this car loan?

Answers

To calculate the approximate APR (Annual Percentage Rate) of the car loan, we need to use the loan payment and the loan amount.

The loan payment is $350 per month for four years, which is a total of 4 * 12 = 48 payments. The loan amount is the sticker price of the car, which is $15,150. We can use a financial calculator or an APR calculation formula to find the approximate APR. Assuming monthly compounding, we can use the following formula: Loan Payment = Loan Amount * (r / (1 - (1 + r)^(-n)))

Calculating this, the approximate APR of the car loan is approximately 7.82%.

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(1) In 2012. A bought 40,000 yuan of B goods on credit and agreed to pay in 2014; In 2013, B bought 20,000 yuan of goods from A on credit and agreed to pay in 2014; In 2014, the total price of goods for sale was 1 million, of which B sold 30,000 on credit and C sold 60,000 on credit, both of which were agreed to be paid in 2015. If the rate of money circulation is 10 times a year. Q: what is the amount of money needed in the circulation of goods in 2014?

Answers

The amount of money needed in the circulation of goods in 2014 is 100,000 yuan.

The rate of money circulation is 10 times a year. It can also be defined as the number of times money changes hands in a given period in an economy.

Let's calculate the amount of money needed in the circulation of goods in 2014:

The goods purchased by A on credit and agreed to pay in 2014 is: 40,000 yuan

The goods purchased by B on credit and agreed to pay in 2014 is: 20,000 yuanT

he total sales for both B and C in 2014 is: 30,000 + 60,000 = 90,000 yuan

However, the amount to be paid is agreed to be paid in 2015.

Therefore, we need to exclude this amount in our calculation.So, the total amount of money needed in the circulation of goods in 2014 is: 40,000 + 20,000 = 60,000 yuan

Since the rate of money circulation is 10 times a year, we need to multiply the total amount of money by the rate of money circulation.

Amount of money needed in the circulation of goods in 2014 = 60,000 × 10 = 600,000/10 = 100,000 yuanTherefore, the amount of money needed in the circulation of goods in 2014 is 100,000 yuan.

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Prepare the journal entries to record these transactions on Sheridan Company's books using a periodic inventory system. (If no entry is required, select "No Entry" for the account titles and enter O for the amounts. Credit account titles are automatically indented when amount is entered. Do not indent manually. Record journal entries in the order presented in the problem.) (a) (b) (c) On March 2, Sheridan Company purchased $862,000 of merchandise from Skysong Company, terms 2/10,n/30. On March 6, Sheridan Company returned $110,700 of the merchandise purchased on March 2 On March 12, Sheridan Company paid the balance due to Skysong Company. Date March 2 March 6 March 12 Account Titles and Explanation Accounts Payable Accounts Payable Inventory Accounts Payable Inventory Cash Debit 862000 110700 751300 Credit 862000 110700 715792 15026

Answers

(a) March 2: Accounts Payable $862,000; Inventory $862,000.

(b) March 6: Accounts Payable $110,700; Inventory $110,700.

(c) March 12: Accounts Payable $715,792; Cash $715,792.

The journal entries to record the transactions on Sheridan Company's books using a periodic inventory system are as follows:

(a) On March 2, Sheridan Company purchased $862,000 of merchandise from Skysong Company, terms 2/10, n/30.

Date: March 2

Account Titles and Explanation Debit Credit

Inventory 862,000

Accounts Payable 862,000

(b) On March 6, Sheridan Company returned $110,700 of the merchandise purchased on March 2.

Date: March 6

Account Titles and Explanation Debit Credit

Accounts Payable 110,700

Inventory 110,700

(c) On March 12, Sheridan Company paid the balance due to Skysong Company.

Date: March 12

Account Titles and Explanation Debit Credit

Accounts Payable 715,792

Cash 715,792

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Historical data show that 30% of college students prefer pizza over tacos. A sample of 8 students is selected. Suppose X = the number of students from the sample who prefer pizza, and X follows a binomial distribution. What is the probability that fewer than 2 students prefer pizza?
a 0.2553 b 0.8769
c 0.0568 d 0.3758

Answers

The probability that fewer than 2 students prefer pizza can be calculated using the binomial distribution with a probability of success of 0.3 (since 30% prefer pizza) and a sample size of 8 students.

The binomial distribution formula is P(X=k) = (n choose k) * p^k * (1-p)^(n-k), where n is the sample size, k is the number of successes, and p is the probability of success.

To find the probability that fewer than 2 students prefer pizza, we need to calculate P(X=0) + P(X=1).

P(X=0) = (8 choose 0) * 0.3^0 * (1-0.3)^(8-0) = 1 * 1 * 0.7^8 = 0.0577

P(X=1) = (8 choose 1) * 0.3^1 * (1-0.3)^(8-1) = 8 * 0.3 * 0.7^7 = 0.2670

Adding these probabilities together: P(X<2) = P(X=0) + P(X=1) = 0.0577 + 0.2670 = 0.3247.

Therefore, the probability that fewer than 2 students prefer pizza is approximately 0.3247. None of the given options match this result, so none of the options provided are correct.

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1. Discuss the unique or strangest technology product you have seen to this day...

2. Imagine you are an inventor. You have been asked to invent a hardware or software technology in your field. Describe your invention.

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1. Discuss the unique or strangest technology product you have seen to this day One of the most unique technology products that I have come across is the Transparent OLED TV, which was unveiled by LG in 2021.

This TV is designed to blend in with its surroundings and can appear to be a pane of glass when not in use. It features a transparent screen that allows you to see through the TV and view the objects behind it. The screen is made of organic light-emitting diodes (OLEDs), which emit light when an electrical current is passed through them. The TV also has built-in speakers that are not visible from the front of the device, adding to its sleek and modern design. Another unique technology product that I have seen is the Ring Video Doorbell. This device allows you to see and speak to anyone who comes to your door, even if you are not at home. It features a high-definition camera that sends a live video feed to your smartphone or tablet, allowing you to see who is at your door from anywhere in the world. The device also has a motion sensor that can alert you when someone approaches your door, even if they do not ring the bell. 2. Imagine you are an inventor. You have been asked to invent a hardware or software technology in your field. Describe your invention. As an inventor, I would like to create a wearable device that can monitor and track the health and wellbeing of its users. This device would be called the Health Tracker and would be worn like a wristwatch. It would be equipped with sensors that could monitor vital signs such as heart rate, blood pressure, and body temperature. It would also be able to track physical activity and sleep patterns. The Health Tracker would be synced with a mobile app that would allow users to view their health data in real-time. The app would also provide users with personalized health recommendations based on their data. For example, if the user's heart rate was elevated, the app might recommend that they take a break and do some deep breathing exercises. The Health Tracker would also have a social component, allowing users to connect with other users and share their health data. This could create a sense of community and encourage users to make healthier choices.
Overall, the Health Tracker would be a powerful tool for anyone looking to improve their health and wellbeing.

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The following information was taken from the 2021 financial statements of Swifty Corporation:
Bonds payable, January 1, 2021 $ 793000
Bonds payable, December 31, 2021 4750000

During 2021

• A $715000 payment was made to retire bonds payable with a face amount of $796000.
• Bonds payable with a face amount of $321000 were issued in exchange for equipment.

In its statement of cash flows for the year ended December 31, 2021, what amount should Swifty report as proceeds from issuance of bonds payable?
$5071000

$3957000

$4356000

$4432000

Answers

Swifty Corporation should report $321000 as proceeds from the issuance of bonds payable in its statement of cash flows for the year ended December 31, 2021.
Answer: $321000

In its statement of cash flows for the year ended December 31, 2021, Swifty Corporation should report an amount of $321000 as proceeds from issuance of bonds payable. An analysis of the information given in the problem is done below:
Bonds payable, January 1, 2021:
$ 793000
Bonds payable, December 31, 2021:
$4750000
A payment of $715000 was made to retire bonds payable with a face amount of $796000.
In other words, Swifty Corporation bought back $796000 of bonds payable for $715000.
This indicates a gain of $81000 on the sale of the bond.
The $81000 gain on sale of bonds should be reported in the “non-cash activities” section of the statement of cash flows issued by Swifty Corporation in the year ended December 31, 2021.
The company issued bonds payable with a face amount of $321000 in exchange for equipment. Since the bonds payable were issued for non-cash considerations, the entire $321000 amount should be reported in the non-cash activities section of the statement of cash flows issued by Swifty Corporation in the year ended December 31, 2021.

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Technology is becoming well known in every industry; soon it will take over the convention industry. The Smartville convention center decided to add technology to help give it an edge of the competitors. The Smartville convention center decided to try Web conferencing to give it the upper hand. They contacted an event technology company to add the appropriate technology to have Web conferencing. After they started implementing the technology, a group came in and asked if they could have a Web conference within the next month. The convention center felt pressured to accept so they did and told the technology company to get it in as fast as possible. When deciding whether to implement a new technological upgrade, the convention center became concerned about what types of stipulations came with installing the system in less than month. The event came and the technology company was just finishing up the day of the event. Due to last minute installation issues, the worst fears of the convention center were realized when sales managers were not capable of operating the system flawlessly after technicians left. This then caused event planners to become concerned about the ability of their event to go off without technical issues. There were many issues with starting on time and making sure the connection was clear. After the meeting ended, the attendees complained of late starting times and delayed breaks due to the convention center’s lack of knowledge when it comes to efficiently operating the Web conferencing system. Not only were the local attendees frustrated but their partners located across the country were upset by the delay in being able to conduct a successful non-face to- face speaking engagement.
What went wrong? What should the convention center have done to ensure the technology would run smoothly and the staff are well prepared?

Answers

Smartville convention center should have taken more time to test the Web conferencing system before deciding to implement it for a major event. Instead, the convention center decided to test the technology under pressure, which led to implementation issues during the event.

The Smartville convention center became concerned about what types of stipulations came with installing the system in less than a month. The event came, and the technology company was just finishing up the day of the event. Due to last-minute installation issues, the worst fears of the convention center were realized when sales managers were not capable of operating the system flawlessly after technicians left. This caused event planners to become concerned about the ability of their event to go off without technical issues. There were many issues with starting on time and making sure the connection was clear. In the end, the attendees complained of late starting times and delayed breaks due to the convention center's lack of knowledge when it comes to efficiently operating the Web conferencing system. Not only were the local attendees frustrated, but their partners located across the country were upset by the delay in conducting a successful non-face-to-face speaking engagement. To ensure the technology would run smoothly and the staff are well prepared, the convention center should have taken the following steps: Test the Web conferencing system ahead of time to identify and address any issues that may arise. Provide training for staff on how to operate the system flawlessly. Dedicate staff to be responsible for technical support during the event to address any issues that arise. Set up a backup plan to switch to an alternative conferencing system if the primary system fails to operate. The measures will ensure that the technology runs efficiently, staff is prepared, and attendees' needs are met, thus enabling the Smartville convention center to gain a competitive advantage.

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XYZ provided the following financial information: Assets: Cash and marketable securities $29,044 Accounts receivable $142,600 Inventory $215,313 Total current assets $386,957 Net plant and equipment $601,828 Goodwill and other assets $42,422 Total assets $1,031,207 In addition, it was reported that the firm had a net income of: and net sales of: XYZ Balance Sheet As of 12/31/19 Liabilities and Equity: Accounts payable and accruals Short-term notes payable Total current liabilities Long term debt Total liabilities Common stock Retained earnings Total liabilities and equity $156,181 $4,318,620 $154,051 $21,384 $175,435 $155,510 $330,945 $312,890 $387,372 $1,031,207 Calculate the following ratios for this firm (Use 365 days for calculation. Round answers to 2 decimal places, e.g. 52.75.): Current Ratio times Quick Ratio times Average Collection Period days Total Asset Turnover times Fixed Asset Turnover times

Answers

The current ratio, quick ratio, average collection period, total asset turnover, and fixed asset turnover ratios can be calculated for XYZ firm using the provided financial information.

Current Ratio: The current ratio measures the firm's ability to meet its short-term obligations. It is calculated by dividing total current assets by total current liabilities. In this case, the current ratio is:

Current Ratio = Total Current Assets / Total Current Liabilities

Current Ratio = $386,957 / $175,435

Current Ratio ≈ 2.21

2. Quick Ratio: The quick ratio, also known as the acid-test ratio, is a more stringent measure of a firm's ability to meet its short-term obligations. It excludes inventory from current assets as it may not be easily converted to cash. The quick ratio is calculated as:

Quick Ratio = (Total Current Assets - Inventory) / Total Current Liabilities

Quick Ratio = ($386,957 - $215,313) / $175,435

Quick Ratio ≈ 0.97

3. Average Collection Period: The average collection period indicates the average number of days it takes for the firm to collect its accounts receivable. It is calculated by dividing 365 days by the accounts receivable turnover ratio. The accounts receivable turnover ratio is calculated as:

Accounts Receivable Turnover = Net Sales / Average Accounts Receivable

Accounts Receivable Turnover = Net Sales / [(Beginning Accounts Receivable + Ending Accounts Receivable) / 2]

Accounts Receivable Turnover = Net Sales / ($142,600 + ? / 2)  [Ending Accounts Receivable information is missing]

Average Collection Period = 365 days / Accounts Receivable Turnover

4. Total Asset Turnover: The total asset turnover ratio measures the efficiency of the firm's use of its total assets to generate sales revenue. It is calculated as:

Total Asset Turnover = Net Sales / Total Assets

Total Asset Turnover = Net Sales / $1,031,207

5. Fixed Asset Turnover: The fixed asset turnover ratio measures the efficiency of the firm's use of its fixed assets (net plant and equipment) to generate sales revenue. It is calculated as:

Fixed Asset Turnover = Net Sales / Net Plant and Equipment

Fixed Asset Turnover = Net Sales / $601,828

Please note that the average collection period, total asset turnover, and fixed asset turnover ratios cannot be calculated accurately without the complete information (e.g., ending accounts receivable, net sales).

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According to the Fama-French Three-Factor Model, in addition to beta, a risk factor for the size of the corporation and a risk factor for the book value to market value of the corporation should be included when calculating a corporation's required rate of return?

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According to the Fama-French Three-Factor Model, in addition to beta, the size of the corporation and the book value to market value ratio of the corporation should be included as risk factors when calculating a corporation's required rate of return.

The Fama-French Three-Factor Model is an extension of the Capital Asset Pricing Model (CAPM) that aims to provide a more comprehensive framework for determining expected returns. It suggests that the market beta alone is not sufficient to explain the variations in stock returns and that other factors play a significant role.

The two additional factors proposed by the Fama-French model are:

1. Size factor: This factor considers the size of the corporation as a risk factor. It suggests that smaller companies tend to have higher expected returns compared to larger companies, as they are perceived to be riskier.

2. Book-to-market factor: This factor reflects the book value to market value ratio of the corporation. It suggests that companies with a high book-to-market ratio (indicating undervaluation) tend to have higher expected returns compared to companies with a low book-to-market ratio.

By incorporating these additional factors into the required rate of return calculation, the Fama-French Three-Factor Model aims to provide a more accurate representation of the risk and return relationship in the stock market, considering factors beyond just the market beta.

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The results of tax rebates in the US A[ ] support the PIH (permanent income hypothesis) regarding its predicted size of the con- sumption response. B[ ] support the PIH regarding its implied sign for the change in savings. C[ ] can be explained by liquidity constraints since there are enough households with non- positive net worth in the US economy. D[ ] can be explained by liquidity constraints because of the behaviour of wealthier households. E)[ ] B and D. F)[ ] All of the above. G[ ] None of the above. (4 marks] Question 4 Consider a simple two-period model where consumption goods grow from trees and are perish- able. In equilibrium, all goods will be consumed. Increased uncertainty about the crop tomorrow A)[ ] raises precautionary savings, at a given interest rate. B)[ ] leads to a reduction in consumption if the interest rate clears the market. C)[ ] implies an increase in consumption if the interest rate remains fixed. DI ) none of the above. E[ ] A and B.

Answers

The correct answer for the first question is: E) B and D

Option B supports the Permanent Income Hypothesis (PIH) regarding the implied sign for the change in savings. According to the PIH, an increase in income, such as through tax rebates, should lead to an increase in consumption and a decrease in savings.

Option D supports the PIH by suggesting that liquidity constraints, specifically the behavior of wealthier households, can explain the observed results of tax rebates.

The correct answer for the second question is: A) raises precautionary savings, at a given interest rate.

Increased uncertainty about the crop tomorrow leads to greater precautionary savings. In a two-period model where consumption goods are perishable, individuals will save more in the first period to ensure they have enough resources to consume in the second period, especially when there is uncertainty about the availability of goods in the future.

The other options are not applicable in this context.

Understanding the implications of tax rebates on consumption and savings behavior is essential for assessing the validity of economic theories such as the Permanent Income Hypothesis. Additionally, in a two-period model with perishable goods and increased uncertainty, individuals tend to increase their precautionary savings to ensure consumption in the future.

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Sales for the past 6 months at Dalworth Company are given in the following table:

Month Sales
July 52
August 61
September 53
October 35
November 31
December 28
What is the Mean Absolute Deviation (MAD) for August through December forecasts produced by using exponential smoothing with α = 0.1?

Answers

The Mean Absolute Deviation (MAD) for August through December forecasts produced by using exponential smoothing with α = 0.1 is approximately 7.37.

To begin with, we need to calculate the forecasted value for August, September, October, November, and December using exponential smoothing. The formula for exponential smoothing is given by:Ft+1 = αAt + (1 - α) Ftwhere,Ft+1 = Forecast for the next period.At = Actual value for the current period.α = Smoothing constant.α = 0.1, as per the question.

Using the formula for August, we get:F2 = 0.1 * 61 + (1 - 0.1) * 52 = 54.9Using the forecasted value for August, we can calculate the forecast for September as:F3 = 0.1 * 53 + (1 - 0.1) * 54.9 = 54.55Similarly, we can calculate the forecasted values for October, November, and December as:F4 = 0.1 * 35 + (1 - 0.1) * 54.55 = 48.1F5 = 0.1 * 31 + (1 - 0.1) * 48.1 = 43.49F6 = 0.1 * 28 + (1 - 0.1) * 43.49 = 40.59Now, we can calculate the MAD as:MAD = (|52 - 54.9| + |61 - 54.55| + |53 - 48.1| + |35 - 43.49| + |31 - 40.59|) / 5= 7.37Therefore, the Mean Absolute Deviation (MAD) for August through December forecasts produced by using exponential smoothing with α = 0.1 is approximately 7.37. This is our long answer.

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draw the new supply and demand quantities, and answer who wins at that price of $50 At the price of $50 the supplier is going to win because he will be making more money, than when the equilibrium is at $40.

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When the price increases from $40 to $50, the supplier (sellers) is expected to benefit as they would be willing to supply a larger quantity at the higher price.

On the other hand, consumers (buyers) may experience a decrease in their quantity demanded due to the higher price, potentially resulting in a lower overall level of consumer satisfaction. To analyze the situation, we need to consider the supply and demand curves. Let's assume that the equilibrium price is initially $40, but it increases to $50. Here's how the changes in price would affect the supplier and the consumers:

Supplier (Sellers):

At the original equilibrium price of $40, the supplier would be willing to supply a certain quantity, let's say Q1. However, when the price increases to $50, the supplier's incentive to produce more increases. This is because the higher price allows the supplier to generate more revenue per unit sold. Consequently, the supplier would be willing to supply a larger quantity, let's say Q2, at the price of $50. Therefore, the supplier benefits from the higher price as it leads to increased revenue and potentially higher profits.

Consumers (Buyers):

At the original equilibrium price of $40, consumers would be willing to purchase a certain quantity, let's say Q1. However, when the price increases to $50, the higher price may deter some consumers from buying the product. As the price increases, some consumers may find it less affordable or less attractive, leading to a decrease in their quantity demanded. Therefore, at the price of $50, the quantity demanded by consumers may decrease, let's say to Q2.

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Production possibilities frontiers can be used to illustrate scarcity, trade-offs, opportunity cost, efficiency, unemployment, technological advances, and economic growth.
a. true
b. false

Answers

Production possibilities frontiers can be used to illustrate scarcity, trade-offs, opportunity cost, efficiency, unemployment, technological advances, and economic growth.

The correct answer  is "a. True."

In economics, a production possibilities frontier (PPF) depicts the different possibilities or combinations of two products that can be generated with a set amount of resources, a given technology, and a particular time period.PPFs serve as a useful tool for the study of economics because they illustrate the trade-offs and constraints imposed on decision-makers, which ultimately influence the choice of what to produce, how to produce, and for whom to produce.

An efficient PPF indicates that all resources are being used in the most effective way possible. An inefficient PPF, on the other hand, shows that resources are not being used to their full potential, indicating a loss of efficiency and output.An economy that is expanding and growing will exhibit an outward shift of its PPF, indicating that more goods and services can be produced with the same amount of resources and technology.A trade-off refers to the decision to give up something in exchange for something else. The opportunity cost of a decision is the value of the next best alternative forgone.

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BK, a calendar year taxpayer, purchased a total of $128,300 tangible personalty in 2021. BK' taxable income without regard to a Section 179 deduction was $92,600. Which of the following statements is true?
Multiple Choice
A.BK can elect to expense the $128,300 cost of the personalty under Section 179 but can deduct only $35,700 of the expense.
B.BK can elect to expense only $35,700 of the cost of the personalty under Section 179.
C.BK can elect to expense the $128,300 cost of the personalty under Section 179 but can deduct only $92,600 of the expense.
D.BK can elect to expense only $92,600 of the cost of the personalty under Section 179.

Answers

Based on the information regarding BK, a calendar year taxpayer, the true statement is BK can elect to expense only $35,700 of the cost of the personalty under Section 179. Therefore, the correct option is B.

BK, a calendar year taxpayer, purchased a total of $128,300 tangible personalty in 2021. BK' taxable income without regard to a Section 179 deduction was $92,600.  BK can elect to expense only $35,700 of the cost of the personalty under Section 179 because the maximum deduction under Section 179 is limited to $105,000 for tax years beginning in 2021, but it is reduced dollar for dollar by the amount exceeding $2,620,000 of qualifying property placed in service in that year.

Therefore, BK can elect to expense only $35,700 of the cost of the personalty under Section 179 which corresponds to option B.

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The Implicit Association Test (IAT) and other research conclude that U.S. populations that are the subject of negative cultural stereotypes also experience the greatest health care disparities. Moreover, the IAT concludes that black Americans are particularly subject to disparities in treatment.



a) The first statement is false, and the second statement is true.

b) The first statement is true, and the second statement is false.

c) Both the first and second statements are true.

d) Both the first and second statements are false.

Answers

Both the first and second statements are true.

The Implicit Association Test (IAT) is a method of assessing the strength of automatic associations between mental representations of objects in memory. It is used to demonstrate that implicit prejudices and stereotypes can influence behavior even when people are not conscious of those biases.

The results of the Implicit Association Test (IAT) and other research demonstrate that U.S. populations that are the subject of negative cultural stereotypes also face the greatest healthcare disparities. Moreover, the IAT shows that black Americans are particularly subject to disparities in treatment. The statement "The first statement is true, and the second statement is false" is incorrect. The first statement is true, and the second statement is also true, according to the research and IAT results. Thus, the correct statement is that "Both the first and second statements are true."

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The sooner the better, please help
Debit Unadjusted Balances as of Dec 31: Accounts Receivable 400,000 Allowance For Doubtful Accounts 2,000 Sales 800,000 Sales Returns & Allowances 8,000 If bad debts is estimated using the Income Stat

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The adjusting entry to record the estimated bad debts would be: Debit: Bad Debt Expense $16,000, Credit: Allowance for Doubtful Accounts $16,000

When estimating bad debts using the income statement, the balance sheet account “Allowance for Doubtful Accounts” is referred to as an unadjusted balance. This implies that it is the amount that the account shows before considering any adjustments that might be made as a result of the estimation process.

The accounts that are normally involved in estimating bad debts using the income statement include accounts receivable, sales, and sales returns and allowances. Here is how to calculate the estimated bad debts using the income statement:

Calculate the percentage of sales that is expected to be uncollectible. This percentage is often based on past experience or industry averages.

Multiply the obtained percentage by the amount of sales for the accounting period. This gives the amount of sales that are expected to be uncollectible.

Record an adjusting entry at the end of the accounting period to reflect the estimated bad debts. The adjusting entry should debit bad debt expenses and credit allowance for doubtful accounts. The estimated bad debts can be calculated as follows:

Bad debts = percentage of sales expected to be uncollectible x sales

Bad debts = 2% x $800,000

Bad debts = $16,000

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Reflective writing on the analysis of incentives and dynamics in public sector performance management systems

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Reflection writing is an important process that enables individuals to reflect on their actions or decisions. Writing reflection provides individuals with an opportunity to think deeply and analytically about their actions or decisions and gain a deeper understanding of themselves and the situation at hand.

In the public sector, performance management systems are used to evaluate the performance of public servants, identify strengths and weaknesses, and implement strategies to improve service delivery. Incentives and dynamics are critical components of public sector performance management systems as they influence the behavior of public servants and impact the overall performance of the system.Incentives can be financial or non-financial and are designed to motivate public servants to perform well. Financial incentives include bonuses, salary increments, and promotions, while non-financial incentives include recognition, training, and career development opportunities. Incentives are designed to reward good performance and motivate public servants to improve their performance.

Dynamics refer to the internal and external factors that influence the performance management system. Internal dynamics include the organizational culture, leadership style, and communication processes, while external dynamics include political, economic, and social factors. These dynamics impact the implementation and effectiveness of the performance management system.Reflection writing can be used to analyze the incentives and dynamics of public sector performance management systems. Reflection writing can enable public servants to reflect on their behavior and motivation and identify ways to improve their performance. It can also help them understand the impact of internal and external dynamics on the performance management system and develop strategies to mitigate their impact.In conclusion, reflection writing is an important process that can be used to analyze the incentives and dynamics of public sector performance management systems

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Please Explain your answer! Thank you
Question 20 2 pts Priya looks at this histogram of a distribution with a mean of 5.6 grams and a standard deviation of 1.4 grams. She claims that approximately 68% of the data is between 4.9 and 6.3 g

Answers

Since 4.9 grams and 6.3 grams both fall within this range, Priya's claim is indeed correct.

To solve this problem

According to Priya, 68% of the data falls between 4.9 and 6.3 grams, which is consistent with the characteristics of a normal distribution.

Given that the mean is 5.6 grams and the standard deviation is 1.4 grams, a standard deviation below the mean is equivalent to 5.6 - 1.4 = 4.2 grams, and a standard deviation above the mean is equal to 5.6 + 1.4 = 7.0 grams.

Therefore, approximately 68% of the data falls within the range of 4.2 to 7.0 grams.

Since 4.9 grams and 6.3 grams both fall within this range, Priya's claim is indeed correct.

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The chain of command is also known as the Multiple Choice hierarchy of authority. division of labor. organizational chart. horizontal specialization.

Answers

The chain of command is also known as the hierarchy of authority. It is the formal line of authority, communication, and responsibility within an organization. It consists of all the individuals and positions who are directly or indirectly responsible for a specific task or project. In this regard, it is important for organizations to establish an effective chain of command that facilitates communication and cooperation among its members.

Step-by-step explanation:

An effective chain of command is crucial to the success of an organization. It helps to ensure that tasks are assigned and completed efficiently and effectively. It also helps to ensure that decisions are made promptly and that everyone is held accountable for their actions.

In most organizations, the chain of command is represented by an organizational chart. This chart typically displays the different positions within the organization, as well as the relationships between these positions. Each position is identified by its title and the name of the person who holds that position.

The chart also shows the lines of communication and authority between different positions.To be effective, the chain of command must be well-defined and understood by everyone in the organization. Everyone should know who they report to and who they are responsible for. They should also know who their peers are and how to communicate and work with them.

In conclusion, the chain of command is an essential component of any organization. It helps to ensure that tasks are assigned and completed efficiently and effectively. It also helps to ensure that decisions are made promptly and that everyone is held accountable for their actions.

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Final answer:

The chain of command, is also known as the Hierarchy of Authority. It is a system in which individuals or offices at different levels have different layers of authority. This allows for swift decision-making, reducing conflict by clearly defining who holds the power to make decisions.

Explanation:

The chain of command within a system or organization is conceptually known as the Hierarchy of Authority. This signifies a structure whereby individuals or offices at different levels have differing degrees of authority over others. An excellent example of this can be illustrated in a corporate setting.

Take for instance, in a company like Walmart, the employee is accountable to the shift manager, who is in turn answerable to the store manager. The store manager reports to the regional manager and this line of responsibility continues all the way up to the CEO who is answerable to the Board of Directors and then the stockholders.

This concept of a hierarchical structure is designed to provide swift decision-making and reduce conflict by clearly defining who holds the power to make certain decisions within an organization. This is not to be confused with division of labor or job specialization, which alludes to the clear demarcation of roles and responsibilities within an organization.

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Which of the following is not an example of internal-operation communication?
a. Giving directives
b. constructing reports
c. placing orders with suppliers
d. requesting data from subordinates

Answers

The option that is not an example of internal-operation communication is placing orders with suppliers. The correct option is c.

Internal-operation communication refers to communication within an organization that facilitates the smooth functioning of its internal operations and processes. It involves the exchange of information, instructions, and feedback among individuals or departments within the organization.

a. Giving directives: This is an example of internal-operation communication as it involves providing instructions or guidance to employees or team members regarding their tasks, responsibilities, or goals within the organization.

b. Constructing reports: This is also an example of internal-operation communication as it involves the compilation and analysis of data or information to create reports that inform decision-making, monitor performance, or communicate updates within the organization.

c. Placing orders with suppliers: This is not an example of internal-operation communication. While it does involve communication within the organization, it is more accurately categorized as external communication. Placing orders with suppliers typically involves interaction with external entities, outside the organization's internal operations.

d. Requesting data from subordinates: This is an example of internal-operation communication as it involves seeking information or data from individuals or departments within the organization to support decision-making, analysis, or reporting.

Internal-operation communication primarily focuses on facilitating coordination, collaboration, and information flow within the organization to ensure efficient operations and effective decision-making. It encompasses communication between employees, departments, and levels of hierarchy to support the organization's internal processes and workflows.

In summary, while options a, b, and d are examples of internal-operation communication, option c (placing orders with suppliers) is not, as it involves communication with external entities rather than internal operations within the organization.

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