The goal of marketing is to a. Achieve organizational profit objectives. b. Differentiate the product offering. c. Create and maintain profitable relationships with customers by delivering superior value. d. Create needs where they did not previously exist. e. Generate awareness for the organization within the market place.

Answers

Answer 1

The correct answer is c. Create and maintain profitable relationships with customers by delivering superior value.

The goal of marketing is to create and maintain profitable relationships with customers by delivering superior value. This means that marketing aims to understand and meet customer needs and wants effectively, providing products or services that offer value and satisfaction. By delivering superior value, marketing seeks to attract and retain customers, build customer loyalty, and generate repeat business.

While achieving organizational profit objectives is an important aspect of marketing, it is not the sole goal. Marketing focuses on delivering value to customers, which in turn leads to profitability for the organization. Differentiating the product offering, creating needs, and generating awareness are strategies or activities within the broader goal of delivering superior value and building customer relationships.

The primary goal of marketing is to create and maintain profitable relationships with customers by delivering superior value. This customer-centric approach forms the foundation of successful marketing strategies and helps organizations achieve their profit objectives in the long run.

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Related Questions

Question 18 15 pts You work for a local company that is facing an internal labor SHORTAGE (given the current labor market) and have asked your advice. Bullet point 3 specific alternatives they could consider, and discuss each option's speed/cost/ease of undoing. Edit View Insert Format Tools Table 12pt ✓ Paragraph BIUA 2 T²: EMB a 0 words >

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Implement cross-training and job rotation programs to maximize the utilization of existing employees and fill critical roles. subcontracting certain functions to external vendors to alleviate the labor shortage.

Implementing cross-training and job rotation programs allows employees to develop additional skills and flexibility, enabling them to fill multiple roles within the company. This approach can be implemented relatively quickly and at a lower cost compared to external hiring, as it utilizes existing resources. Undoing this option is relatively easy, as employees can return to their original roles if necessary.

Outsourcing or subcontracting certain functions to external vendors can help address the labor shortage by leveraging external expertise and resources. While it may involve additional costs, it can provide a quicker solution compared to hiring and training new employees. Undoing this option may require terminating contracts with vendors and bringing the functions back in-house.

Investing in technology and automation can help optimize processes and reduce the reliance on manual labor. While this option may require a significant upfront cost, it can lead to long-term efficiency gains and reduce the need for additional labor. Undoing this option may involve phasing out or repurposing the implemented technology.

By considering cross-training, outsourcing, and investing in technology, the company can address the internal labor shortage through a combination of utilizing existing employees, accessing external resources, and optimizing processes. Each option varies in terms of speed, cost, and ease of undoing, allowing the company to choose the most suitable alternatives based on their specific circumstances and objectives.

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If statements are identical to While statements except: if((condition) { // true-commands } oa. When the If condition is true, ob. When the If condition is true, commands between braces : commands between braces are run and NOT repeated. are run and repeated.

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"If" statements are not identical to "While" statements. The short answer is that the If condition is true, commands between braces are run and not repeated.

An "If" statement is a conditional statement that is utilized in computer programming languages to make decisions based on the values of boolean expressions. The "If" statement is a fundamental part of most programming languages, and it is frequently one of the first things that learners are taught to write when learning how to code. A "While" statement is a looping statement that is used in computer programming to repeat a set of statements as long as a certain condition is true.

The condition that is checked for truth is placed inside the parentheses following the keyword "While."If statement vs. While statementIf statements are not identical to While statements. If statements are conditional statements that are only executed once if the condition is true. If the condition is false, the If statement will not execute. While statements are looping statements that execute until the condition is false. When the condition is false, the while loop terminates.

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QUESTION 2
A ____ is anything that can be consumed directly or used to produce something else
QUESTION 3 A price elasticity of demand coefficient of (2.5) indicates that a four percent (4%) change in the price of a good will cause a ___ percent change in the quantity. QUESTION 4 An increase in income will cause ___ in equilibrium price and in ___ equilibrium quantity for a normal good. QUESTION 5 A ___ is a limit on the amount of a good that can be imported.

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Question 2Answer:A resource is anything that can be consumed directly or used to produce something else.A resource is a substance or compound in the natural environment that can be put to use by humans to fulfill their needs or wants.

Question 3Answer: A price elasticity of demand coefficient of (2.5) indicates that a four percent (4%) change in the price of a good will cause a ten percent (10%) change in the quantity.

Question 4Answer:An increase in income will cause an increase in equilibrium price and in equilibrium quantity for a normal good.

Question 5Answer:An import quota is a limit on the amount of a good that can be imported. It restricts the amount of goods that may be imported to the country.

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For the following, please answer "True" or "False" and explain
why.
The Lerner Index is derived from the profit-maximizing condition of
a firm.

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The Lerner Index is derived from the profit-maximizing condition of a firm is True.

The Lerner Index, named after economist Abba Lerner, is a measure of a firm's market power or the ability of a firm to raise the price of its products above the marginal cost of production. The Lerner Index is the inverse of the elasticity of demand for the firm's product, multiplied by the firm's markup over its marginal cost of production. In other words, the Lerner Index formula is calculated by subtracting the marginal cost of production from the price of the good or service, and then dividing this difference by the price of the good or service.

The Lerner Index is useful for measuring market power because it indicates the extent to which a firm can increase its price without losing customers to competitors. A higher Lerner Index value indicates that the firm has more market power and can increase its prices more without losing customers. Conversely, a lower Lerner Index value indicates that the firm has less market power and must keep its prices closer to the marginal cost of production.

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If the following jobs are sequenced according to the DDATE rule then the mean tardiness (in days) for all jobs is (assume zero for today’s date)
Job Processing Time (days) Due Date
A 8 12
B 6 15
C 16 17
D 5 10
E 3 8

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The DDATE rule prioritizes the work that is due the earliest. In the given problem, there are five jobs, which have different processing times and due dates. We need to determine the mean tardiness of all jobs. Here are the given details:

Job  Processing Time (days)  Due DateA  8  12B  6  15C  16  17D  5  10E  3  8To solve the problem, we need to calculate the tardiness of each job, and then find the average tardiness for all jobs.Tardiness is the time period by which the job is delayed after its due date. It can be calculated using the following formula:Tardiness = Completion time – Due dateThe completion time for each job is calculated by adding the processing time of that job with the starting time (which is zero, as given in the question).

Here is the calculation of the tardiness for each job:Job  Processing Time (days)  Due Date Completion Time (days)  Tardiness (days)A  8  12  8  -4B  6  15  14  -1C  16  17  30  13D  5  10  19  9E  3  8  3  -5Now we can calculate the average tardiness of all jobs, which is the main answer.Average Tardiness = (Sum of tardiness of all jobs) / (Total number of jobs) = (-4 -1 13 9 -5) / 5 = 2.4 daysTherefore, the mean tardiness (in days) for all jobs is 2.4 days.

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Consider an investor who has Prospect Theory preferences and exhibits probability weighting but doesn’t exhibit diminishing sensitivity in gains/losses or loss aversion. He chooses between two assets: (i) asset pays −1 or +9 relative to the reference point, with probabilities 0.9 and 0.1 respectively, and (ii) asset pays 0 relative to the reference point, with probability 1. What is the investor’s preference between the two assets? What is driving his behaviour?

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The investor, who has Prospect Theory preferences, exhibits probability weighting but does not exhibit diminishing sensitivity in gains/losses or loss aversion. The investor faces a choice between two assets:

(i) Asset A: This asset pays either -1 or +9 relative to the reference point. The probabilities of receiving -1 and +9 are 0.9 and 0.1, respectively.

(ii) Asset B: This asset pays 0 relative to the reference point, and the probability of receiving 0 is 1.

To determine the investor's preference between these two assets, we need to analyze their behavior based on Prospect Theory. Prospect Theory suggests that individuals' decision-making is influenced by how they perceive probabilities and outcomes.

In this case, the investor exhibits probability weighting, which means they assign different weights to probabilities than what is objectively rational. However, since the question states that the investor does not exhibit diminishing sensitivity in gains/losses or loss aversion, we can assume that their probability weighting is not influenced by the magnitude of the potential gains or losses.

Given the information provided, the investor's preference can be determined by comparing the expected utility of each asset. The expected utility is calculated by multiplying the probabilities of each outcome by their respective utility values and summing them.

For Asset A:

Expected Utility of Asset A = (0.9 * -1) + (0.1 * 9) = -0.9 + 0.9 = 0

For Asset B:

Expected Utility of Asset B = 1 * 0 = 0

Since both assets have an expected utility of 0, the investor is indifferent between the two assets. This means that the investor does not have a strong preference for one asset over the other.

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The Manama Co is considering adding a new product line that is expected to increase annual sales by $342.000 and expenses by $230.000 The project will qui $29625 in fasts that wil depreciated using the straight-line method to a zero book value over the 3-year life of the project. The company has a marginal tax rate of 36 percent What is the depreciation tax shield?

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the Manama Co's new product line project has a depreciation expense of $29,625, and with a marginal tax rate of 36%, it results in a depreciation tax shield of $10,650.

The depreciation tax shield refers to the tax savings generated by deducting depreciation expenses from taxable income. It represents the amount of taxes saved due to the depreciation deduction.

To calculate the depreciation tax shield, we need to multiply the depreciation expense by the tax rate. In this case, the depreciation expense is $29,625 and the tax rate is 36%.

Depreciation Tax Shield = Depreciation Expense * Tax Rate

Depreciation Tax Shield = $29,625 * 0.36

Depreciation Tax Shield = $10,650

Therefore, the depreciation tax shield for the Manama Co's new product line project is $10,650.

The depreciation tax shield plays an important role in reducing a company's tax liability. By deducting depreciation expenses from taxable income, the company can lower its taxable income and consequently reduce the amount of taxes it needs to pay. In this case, the Manama Co's new product line project has a depreciation expense of $29,625, and with a marginal tax rate of 36%, it results in a depreciation tax shield of $10,650. This amount represents the tax savings that the company can enjoy due to the depreciation deduction.

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Draw a chart of the main interorganizational linkage mechanisms (e.g., long-term contracts, strategic alliances, mergers) that Walt Disney uses to manage its symbiotic resource interdependencies. Using resource dependence theory and transaction cost theory, discuss why Walt Disney chose to manage its interdependencies in this way. Do you think Walt Disney has selected the most appropriate linkage mechanisms? Why or why not?

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Interorganizational Linkage Mechanisms used by Walt Disney:

1.

Strategic Alliance

s: Walt Disney has formed strategic alliances with various companies in different industries, such as media, entertainment, and technology. For example, Disney has collaborated with Pixar Animation Studios, Marvel Studios, and Lucasfilm to leverage their creative capabilities and expand its content offerings.

2. Licensing and Distribution Agreements: Disney utilizes licensing and distribution agreements to extend its brand reach and monetize its

intellectual properties

. Through partnerships with other companies, Disney licenses its characters, films, and merchandise for various products and services globally.

3. Joint Ventures: Walt Disney has engaged in joint ventures to enter new markets or develop new businesses. An example is the joint venture with Shanghai Shendi Group to establish Shanghai Disney Resort, enabling Disney to tap into the growing Chinese market while sharing risks and resources with the local partner.

4. Mergers and Acquisitions: Disney has made significant acquisitions to enhance its capabilities and broaden its market presence. Notable acquisitions include Pixar Animation Studios, Marvel Entertainment, and 21st Century Fox. These mergers have allowed Disney to gain access to valuable intellectual properties and expand its content library.

Alignment with Resource Dependence Theory and Transaction Cost Theory:

Resource Dependence Theory suggests that organizations seek to manage their resource interdependencies to reduce uncertainty and increase their access to critical resources. By forming strategic alliances, licensing agreements, joint ventures, and engaging in mergers and acquisitions, Walt Disney aims to access and control key resources such as content, distribution channels, and market presence. These linkage mechanisms help Disney reduce its dependence on external parties for resources and maintain a

competitive advantage

.

Transaction Cost Theory emphasizes the consideration of transaction costs when choosing governance mechanisms. In the case of Walt Disney, the selection of different linkage mechanisms can be attributed to factors such as asset specificity, uncertainty, and frequency of transactions. For example, strategic alliances and licensing agreements may be suitable when the assets involved are non-specific and the transaction frequency is relatively high. On the other hand,

mergers

and

acquisitions

may be preferred when there are high asset specificity and a need for tighter coordination and integration.

Evaluation of Linkage Mechanisms:

Overall, Walt Disney has strategically chosen a mix of interorganizational linkage mechanisms to manage its symbiotic resource interdependencies. These mechanisms align with both resource dependence theory and

transaction

cost theory, allowing Disney to secure valuable resources, expand its reach, and reduce transaction costs.

However, the appropriateness of the linkage mechanisms may vary depending on specific circumstances and evolving industry dynamics. It is important for Disney to continually assess its resource

interdependencies

, monitor the effectiveness of its chosen mechanisms, and adapt to changes in the external environment. This ongoing evaluation ensures that Disney remains agile and maintains a competitive edge in managing its interdependencies.

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Suppose you have a data warehouse of 4 dimensions: customers, location (county), product category (home appliances, furniture, textile), and time (month). The fact table is centered on the number of products sold. What type of OLAP operation is needed to find the following information (slice, dice, roll-up, drill-down)
1) The number of products sold in the Middle East.
2) The number of products bought by customers (XYZ).
3) The number of air conditioners sold in Amman and Aqaba during Summer this year.

Answers

To find the number of products sold in the Middle East, the appropriate OLAP operation is slice ,To find the number of products bought by customers (XYZ), the suitable OLAP operation is slice as well  and To find the number of air conditioners sold in Amman and Aqaba during Summer this year, the appropriate OLAP operation is a combination of slice and dice.

OLAP Operation: To find the number of products sold in the Middle East, the appropriate OLAP operation is slice.

The slice operation involves selecting a specific value or range from one dimension while keeping the other dimensions intact. In this case, you would slice the "location" dimension to focus on the Middle East, while retaining the other dimensions such as customers, product category, and time. This operation allows you to analyze the sales specifically in the Middle East region.

OLAP Operation :To find the number of products bought by customers (XYZ), the suitable OLAP operation is slice as well.

By slicing the "customers" dimension, you can filter the data to include only the transactions related to the specific customer (XYZ). This operation enables you to isolate and examine the purchases made by that particular customer while retaining the other dimensions such as location, product category, and time.

OLAP Operation: To find the number of air conditioners sold in Amman and Aqaba during Summer this year, the appropriate OLAP operation is a combination of slice and dice.

You would start by slicing the "location" dimension to focus on the cities of Amman and Aqaba. Next, you would dice the "time" dimension to filter the data for the Summer season. Combining these operations allows you to analyze the specific subset of data that includes air conditioner sales in the desired cities during the specified timeframe.

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Imagine the imaginary economy of the United People's Republic of Chakalakastan has the following characteristics: Alpha: a = 0.85 Savings Rate: s= 0.45 Population Growth Rate: n = 0.015 Depreciation Rate: 8 = 0.05 Level of Technology: A = 1.01 a) (i) Write down the per-capita production function & the (ii) per-capita law of motion of capital (2 points each) b) (i) Calculate the Steady State Capital Stock, (ii) Steady State Income, and (iii) Steady State Consumption (2 points each). You must show your work. Collect the final results of your calculations in a table like the one below. Per-Capita Production Function Law of Motion of Capital per Capita Steady State Capital Stock Steady State Income Steady State Consumption

Answers

a) (i) The per-capita production function in the United People's Republic of Chakalakastan can be represented as:

Y = A * (K^α) * (L^(1-α))

Where:

Y is the output or income per capita,

A represents the level of technology,

K denotes the capital stock per capita,

L represents the labor force per capita, and

α is the share of capital in total output (0 < α < 1).

(ii) The per-capita law of motion of capital can be expressed as:

K(t+1) = s * Y(t) + (1 - δ) * K(t)

Where:

K(t+1) represents the capital stock per capita in the next period,

s is the savings rate (0 < s < 1),

Y(t) is the output or income per capita in the current period,

δ is the depreciation rate (0 < δ < 1), and

K(t) denotes the capital stock per capita in the current period.

b) (i) To calculate the steady-state capital stock, we set K(t+1) = K(t) = K* (assuming the capital stock remains constant over time in a steady state). Using the per-capita law of motion of capital equation, we have:

K* = s * Y* + (1 - δ) * K*

Simplifying the equation, we find:

K* = (s * A * (K*^α) * (L^(1-α))) / (1 - δ)

(ii) To calculate the steady-state income per capita, we substitute the steady-state capital stock (K*) into the per-capita production function:

Y* = A * (K*^α) * (L^(1-α))

(iii) To calculate the steady-state consumption per capita, we subtract the depreciation per capita from the steady-state income per capita:

C* = Y* - (δ * K*)

By plugging in the given values of α, s, A, δ, and n into the equations, we can calculate the steady-state capital stock (K*), steady-state income per capita (Y*), and steady-state consumption per capita (C*).

Table:

Per-Capita Production Function: Y = A * (K^α) * (L^(1-α))

Law of Motion of Capital per Capita: K(t+1) = s * Y(t) + (1 - δ) * K(t)

Steady State Capital Stock: K*

Steady State Income: Y*

Steady State Consumption: C*

Please note that without specific values for L (labor force per capita), it is not possible to provide precise numerical results for K*, Y*, and C*.

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Discuss three sub- methods of discounted cash flow approach to
valuation of private companies

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The three sub-methods of the Discounted Cash Flow approach to valuation of private companies are:

Capitalization of EarningsDiscounted Future Cash FlowsAdjusted Present Value

The three sub-methods of the Discounted Cash Flow approach to valuation of private companies are:

1. Capitalization of Earnings:

This sub-method assumes that a business has a perpetual life and is profitable in the future as it is currently. The future cash flows are expected to remain constant. Therefore, the earnings generated in the future are capitalized at an appropriate capitalization rate to determine the value of the business.

2. Discounted Future Cash Flows:

This sub-method estimates the future cash flows that are expected to be generated by the business and then discounts them to their present value by using an appropriate discount rate.

3. Adjusted Present Value:

This sub-method considers the effect of the interest tax shield that results from using debt to finance the business. The tax shield from interest payments on debt is adjusted to the present value of future tax savings and added to the present value of the business’s free cash flows.

The Discounted Cash Flow approach is one of the widely used methods of business valuation as it considers the future cash flows of the business which is more relevant to a potential investor rather than relying on historical data.

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Define willingness-to-pay and willingness-to-accept for a change in environmental quality. When are the two concepts the same?

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Willingness-to-pay is the maximum amount someone is willing to spend for an improvement, while willingness-to-accept is the minimum compensation someone requires to accept degradation. They are the same when payment equals improvement.

Willingness-to-pay (WTP) refers to the maximum amount an individual is willing to spend or pay to achieve a desired improvement in environmental quality. It represents the value people place on the positive change and indicates their willingness to sacrifice resources to attain it.

On the other hand, willingness-to-accept (WTA) refers to the minimum amount of compensation an individual requires to accept a degradation or loss in environmental quality willingly. It represents the value people place on avoiding negative change and indicates the minimum compensation they demand to give up something they value.

The two concepts are the same when the compensation offered to an individual for accepting a degradation in environmental quality equals the value they place on the improvement. In other words, when the WTA for the degradation is equal to the WTP for the improvement, the two concepts align, indicating a willingness to trade off the environmental change.

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The price of a stock at the maturity of an option is ST . All options mature on the same day. If the x-axis depicts possible values of the stock on the maturity day (ST ) and the y-axis depicts the gross payoff of a portfolio on the last day (i.e. ignore cash inflows/cash outflows today), draw the payoff diagram of the following.

(a) (6pt) Long three calls of exercise price K = 100, long one put of exercise price K = 100.

(b) (6pt) Short one call with exercise price of K1 = 80, long two call with exercise price of K2 = 110.

Answers

(a) The price of a stock at the maturity of an option is ST. All options mature on the same day. If the x-axis depicts possible values of the stock on the maturity day (ST) and the y-axis depicts the gross payoff of a portfolio on the last day, the payoff diagram of the following will be as shown below:


(a) Long three calls of exercise price K = 100, long one put of exercise price K = 100Long three calls of exercise price K = 100, long one put of exercise price K = 100 is the same as a long butterfly spread with the following details:Buy one call option at $100Strike price: $100Sell two call options at $100Strike price: $100Buy one put option at $100Strike price: $100The payoff diagram of Long three calls of exercise price K = 100, long one put of exercise price K = 100 is shown below:  (b) Short one call with an exercise price of K1 = 80, long two calls with an exercise price of K2 = 110.

Short one call with an exercise price of K1 = 80, long two calls with an exercise price of K2 = 110 is the same as a short call spread with the following details:Sell one call option at $80Strike price: $80Buy two call options at $110Strike price: $110The payoff diagram of Short one call with an exercise price of K1 = 80, long two calls with an exercise price of K2 = 110 is shown below:  Therefore, we can conclude that the payoff diagrams of Long three calls of exercise price K = 100, long one put of exercise price K = 100 and Short one call with an exercise price of K1 = 80, long two calls with an exercise price of K2 = 110 are given by the above diagrams.

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(T/F) The demand function for apple juice in Davis is P=200-0.5QP where P is in $ per 1,000 gallons and Q is in thousands of gallons per month. Currently consumers in Davis drink 20,000 gallons of apple juice each month. Total revenue from apple juice sale will increase when the price goes up slightly.

Answers

False. Total revenue from apple juice sales will not increase when the price goes up slightly.

The demand function for apple juice in Davis is given as P = 200 - 0.5Q, where P represents the price in dollars per 1,000 gallons and Q represents the quantity demanded in thousands of gallons per month. Currently, the quantity demanded is 20,000 gallons per month. To determine the effect of a slight price increase on total revenue, we need to consider the price elasticity of demand. The price elasticity of demand measures the responsiveness of quantity demanded to changes in price.

In this case, the demand function shows that the price coefficient is -0.5, indicating an elastic demand. When demand is elastic, a price increase leads to a proportionally larger decrease in quantity demanded. As a result, the increase in price would lead to a more than proportionate decrease in quantity demanded, causing total revenue to decrease. Therefore, the statement that total revenue from apple juice sales will increase when the price goes up slightly is false.

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1. Which of the following statements is true?
a) learners are generally more satisfied w/online instruction relative to classroom instruction
b) online instruction has been found to be effective for all learners
c) classroom instruction is more effective than online instruction for teaching declarative knowledge
d) online instruction and classroom instruction are equally effective when similar instructional methods are used

2. A CEO is likely more concerned with summative evaluation relative to formative evaluation.
a) True
b) False

Answers

1. The statement that is true out of the following given options is "C) Classroom instruction is more effective than online instruction for teaching declarative knowledge".

According to research studies, classroom instruction is more effective for teaching declarative knowledge, such as facts and concepts. Online instruction is more effective for teaching procedural knowledge, such as how to perform a task or solve a problem. Although online instruction can be effective, it is not always the best option for teaching all types of material.

2. The statement "A) True" is correct that a CEO is likely more concerned with summative evaluation relative to formative evaluation. Summative evaluation refers to the final evaluation or assessment of an individual's performance in a program. It assesses whether or not the desired outcomes of the program have been achieved. Summative evaluation aims to provide a judgment on the quality of a program, product, or performance. In contrast, formative evaluation provides feedback to the individual throughout the learning process and helps to improve performance.

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Assumptions and requirements for Goal Seeking . Calculate Gross Profit and Totals in the yellow cells of the table. Use "Goal Seeking" worksheet for the following Goal Seeking What-if Analysis: a) If you want the gross profit to be $150,000 when the Target Units Sold for products B and C are given (4500 and 2300 units each) and they cannot be changed. Use Goal Seeking feature to find out how many units of Product A you need to sell to reach the $150,000 Total Gross Profit goal. Copy and paste as values your answer to J14 (highlighted in orange) in worksheet "Goal Seek & Scenario Manager". b)1) If you want the gross profit to be $200,000 when the Target Units Sold for products B and C are given (4500 and 2300 units each) and they cannot be changed Use Goal Seeking feature to find out how many units of Product A you need to sell to reach the $200,000 Total Gross Profit goal. Copy and paste as values your answer to J15 highlighted in orange) in worksheet "Goal Seek & Scenario Manager"

Answers

Goal Seeking is a tool that is used to identify the input required to reach a particular goal or output. One can use the Goal Seek feature to find out how many units of Product

A must be sold to achieve the $150,000 and $200,000 Total Gross Profit goals. Given the Target Units Sold for products B and C (4500 and 2300 units each), we will calculate the Gross Profit and Totals in the yellow cells of the table. We can use the Goal Seeking worksheet for the following Goal Seeking What-if Analysis:a)

We want the Gross Profit to be $150,000 when the Target Units Sold for products B and C are given (4500 and 2300 units each) and they cannot be changed. To reach the $150,000 Total Gross Profit goal, we can use Goal Seeking and find out how many units of Product A we need to sell.

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The profitability index is the ratio of
a) Average net income to average net investment b) Internal rate of return to current market interest rate c) Net present value of cash flows to internal rate of return d) Present value of cash flows to initial investment cost e) Net present value of cash flows to present value of cash flows

Answers

The profitability index (PI) is a ratio used in capital budgeting to assess the desirability of an investment. It is computed by dividing the present value of cash inflows by the present value of cash flows. The correct answer is e).

The formula for calculating PI is given below:

Profitability Index = (PV of Cash Inflows) / (PV of Cash Outflows)Where PV stands for the Present Value.

In simpler terms, the profitability index (PI) measures the amount of return that can be expected per dollar invested. It is an effective tool for determining whether an investment should be undertaken by a company or not. The profitability index is used to determine the worth of an investment in a given project based on its present value of expected future cash flows.

The higher the profitability index, the more desirable the investment is and vice versa. If the profitability index is greater than one, then the investment is considered profitable and if it is less than one, the investment is considered unprofitable.

The PI helps in ranking the different investment proposals based on their returns and in choosing the most profitable one. It is an essential tool for capital budgeting, as it helps businesses to decide whether to accept or reject a project or investment.

By calculating the profitability index, businesses can evaluate their potential investments, weigh the risks and benefits, and make informed investment decisions that will ultimately lead to greater profits.

Therefore,  The correct answer is e).

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A new investment opportunity for you is an annuity that pays $3,300 at the beginning of each year for 3 years. You could earn 5.5% on your money in other investments with equal risk. What is the most you should pay for the annuity?

Answers

The most you should pay for the annuity that pays $3,300 at the beginning of each year for 3 years, considering an alternative investment opportunity with a 5.5% return, can be calculated using the present value of an annuity formula. The value is approximately $9,135.

To determine the most you should pay for the annuity, you need to calculate its present value based on the alternative investment opportunity's return rate of 5.5%. The present value of an annuity formula can be used for this calculation.

The formula for the present value of an annuity is:

PV = PMT × [(1 - (1 + r)^(-n)) / r],

where PV is the present value, PMT is the annuity payment, r is the interest rate per period, and n is the number of periods.

In this case, the annuity payment is $3,300, the interest rate is 5.5%, and the number of periods is 3.

Using the formula, the calculation would be:

PV = $3,300 × [(1 - (1 + 0.055)^(-3)) / 0.055],

which results in a present value of approximately $9,135.

Therefore, the most you should pay for the annuity is approximately $9,135 to make it a fair investment compared to earning a 5.5% return on your money through other investments with equal risk.

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what are benefits reused book kiosk which get paid in
library?
saving for the students
2.Affordable price give to reused books( can save the money)
Explain the number 1 and 2?
(20 marks)

Answers

1. One of the benefits of reusing book kiosks in the library is that it helps to save money for the students.

2. Another benefit of the reused book kiosk in the library is that it offers affordable prices for reused books.

1. Benefits of reused book kiosks in the library that save for the students: One of the benefits of reused book kiosks in the library is that it helps to save money for the students. Students can access textbooks, reference books, and other materials at a very affordable price. This is a good way to save money, especially for students who cannot afford to buy new books. Moreover, this program can promote academic success and help students to excel in their studies. It is a great way to encourage reading and learning.

2. Benefits of reused book kiosk in the library that give affordable price to reused books: Another benefit of the reused book kiosk in the library is that it offers affordable prices for reused books. This program encourages students to recycle old textbooks and other reading materials. The students can sell their used books to the library and get some money back. This is a great way to encourage recycling and sustainability. Additionally, students can access affordable books, which can help them save money for other needs. Overall, reused book kiosk in the library provides a great opportunity for students to access books and reading materials at an affordable price. It also promotes academic success, encourages recycling, and contributes to sustainability.

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With a 3.0% inflation rate (Spreadsheet 21.2), by how much would your retirement annuity grow if you increase the savings rate by 0.9%? (Round your percentage answer to 2 decimal places.) Growth in retirement annuity % a-2. Is the benefit greater in the face of inflation? Yes O No A real retirement plan 1 2 3 4 5 9 19 29 39 40 A Retirement Years 25 Age 30 31 35 45 55 65 Total B Income Growth 0.07 Income 50,000 53,500 70,128 137952 271,372 533.829 7,445,673 с Rate of Inflation 0.03 Deflator 1.00 1.03 1.16 1.56 2,09 2.81 D Savings Rate 0.15 Saving 7.500 8,025 10.519 20,693 40,706 80,074 1,116,851 E ROR 0.06 Cumulative Savings 7,500 15,975 61,658 308,859 943,477 2.457.518 Real Annuity F TROR 0.0291 Consumption 42,500 44,150 51.419 75.264 110,167 161.257 49.668 1 2 3 4 5 39 A Retirement Years 25 Age 30 31 65 B с Income Growth Rate of Inflation 0.07 0.03 Income Deflator SOC00 1 =B4 (1+SBS2) ECA (I+SC$2) -B38*(1+SBS2) -C38 (14$C$2) SUM(B4:39) D E Savings Rate ROR 0.15 0.06 Savings Cumulative Savings -B4 SDS2 -D4 -B5 SDS2 =E41+SES2)+DS -B39"SDS2 -E38'(1+SES2)+D39 SUM(4:39) Real Annuity F TROR =(E2-C2/(1+C2) Consumption =(B4-D4/C4 =(B5-DS/CS (B39-D39)/C39 =PMT(SF$2.SA$2,- SES39/SC$39,0,0) 40 Total

Answers

Explanation:The savings rate is increased by 0.9%, therefore it becomes 0.15 + 0.009 = 0.159 or 15.9%.Using the formula:

New savings = Old savings * (1 + Savings rate)Year 1 savings = $7,500 * (1 + 0.159) = $8,642.50Year 2 savings = $8,642.50 * (1 + 0.159) = $9,962.54Year 3 savings = $10,961.54 * (1 + 0.159) = $12,668.61Therefore, the growth in the retirement annuity = (12,668.61 - 7,500)/7,500= 0.69 = 69%.

Hence, the growth in the retirement annuity is 69% when the savings rate is increased by 0.9% even in the face of inflation. So, the main answer is as follows.The growth in retirement annuity is 69% if you increase the savings rate by 0.9%. Is the benefit greater in the face of inflation? Yes.

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Each student will prepare a PowerPoint presentation (8 slides minimum) that presents a synopsis of an article from a peer reviewed academic journal. The article should focus on organizational leadership and will be integrated into your capstone research paper. The article needs to have been published within the past 10 years. These assignments will be due by 11:59 PM (Eastern) on Sunday of each Module in which they are assigned.

Answers

As per the given statement, students will have to prepare a PowerPoint presentation that must be 8 slides minimum and presents a synopsis of an article from a peer-reviewed academic journal.

The article should focus on organizational leadership and will be integrated into the capstone research paper. The article needs to have been published within the past 10 years. These assignments will be due by 11:59 PM (Eastern) on Sunday of each Module in which they are assigned.In summary, the students are asked to prepare a PowerPoint presentation that must contain 8 slides minimum and presents a summary of an article from a peer-reviewed academic journal. The article should be published within the past 10 years and the topic must focus on organizational leadership. These assignments are to be submitted before 11:59 PM (Eastern) on Sunday of each Module in which they are assigned.

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Consider the following annual returns for Stocks A and B and the Market over the past four years. Which of the possible answers best describes the historical betas for A and B? Years Market Stock A Stock B 2018 0.03 0.10 -0.17 2019 0.02 0.10 -0.05 2020 -0.02 0.10 0.11 2021 0.01 0.10 -0.02 = < = a. bA= 0; bB < 0 O b.bA= 1; bB <-1 Oc.bA= 0; bB > +1 d.bA= 1; bB < 0 =

Answers

Given the annual returns for Stocks A and B and the Market over the past four years as shown in the table below: Years Market Stock A Stock  To determine which of the possible answers best describes the historical betas for A and B.

We will calculate the betas for A and B as follows: Beta is the measure of a stock's volatility in relation to the overall market. Beta measures the market risk of an investment that cannot be eliminated through diversification. We can calculate the beta of a stock with the following formula:β = Covariance of the security's returns with the market's returns / Variance of the market's returns. For Stock A, we have: Year Market Return, r Market Return, βA = 312.18 (Very high beta)

Therefore, the best answer for the historical beta of Stock A is c. bA = 0; bB > +1. For Stock B, we have: Year Market Return, r Market Return, rB Market-Mean Market Return, rM-rcB Stock B Return, rB-rBc Covariance, (rM-rcB) x (rB-rBc)

βB = 0.01086 / 0.00734

βB = 1.48 (Very high beta) Therefore, the best answer for the historical beta of Stock B is c. bA = 0; bB > +1

c. bA = 0; bB > +1. To determine which of the possible answers best describes the historical betas for A and B, we calculated the betas for A and B as follows: For Stock A, we had:

βA = [0.008216+0.003521+0.001444+0.000595] / [4 x 0.001835]

βA = 2.29 / 0.00734

βA = 312.18 (Very high beta) Therefore, the best answer for the historical beta of Stock A is  

bA = 0; bB > +1. For Stock B, we had:

βB = [0.008688+0.000962+0.001518-0.000305] / [4 x 0.001835]

βB = 0.01086 / 0.00734 βB = 1.48 (Very high beta) Therefore, the best answer for the historical beta of Stock B is c. bA = 0; bB > +1.

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The demand curve and supply curve for one-year discount bonds with a face value of $900 are represented by the following equations Bd: Q = -0.25 + P + 200, BS: P = 2Q - 100. What is the expected equilibrium price and quantity of discount bonds in this market? What is the yield to maturity in this market?

Answers

The equilibrium price in the market is expected to be $299.5. The equilibrium quantity of discount bonds is expected to be 499.25. The yield to maturity in this market is 0% or 0.

The equilibrium price is determined by setting the quantity demanded (Qd) equal to the quantity supplied (Qs). Using the given demand (Bd) and supply (BS) equations, we equate them as follows:

Qd = -0.25 + P + 200

Qs = (P + 100) / 2

By substituting the expression for Qs into the equation for Qd, we get:

-0.25 + P + 200 = (P + 100) / 2

Simplifying the equation, we multiply both sides by 2:

-0.5 + 2P + 400 = P + 100

Combining like terms and solving for P:

2P - P = -0.5 - 100 + 400

P = 299.5

Therefore, the expected equilibrium price in the market is $299.5.

To find the equilibrium quantity, we can substitute the value of P back into either the demand or supply equation. Let's use the demand equation (Bd) and calculate Qd:

Qd = -0.25 + 299.5 + 200

Qd = 499.25

Hence, the expected equilibrium quantity of discount bonds in this market is 499.25.

The yield to maturity is the interest rate that equates the present value of cash flows from a bond to its price. Since it is a one-year discount bond, its price is equal to its face value, which is $900. The yield to maturity can be calculated using the formula:

Yield to maturity = (face value - price of bond) / face value * (1 / time to maturity)

Substituting the values, we get:

Yield to maturity = (900 - 900) / 900 * (1 / 1) = 0

Therefore, the yield to maturity in this market is 0% or 0.

In summary, based on the given demand and supply equations, the expected equilibrium price in the market is $299.5, and the expected equilibrium quantity of discount bonds is 499.25. The yield to maturity in this market is 0% or 0. These calculations provide insights into the expected outcomes in this specific bond market scenario.

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The maintenance cost of a certain equipment is P40,000 per year for the first 5 years, P60,000 per year for the next 5 years, cost of overhaul at the end of the 5th and 8th year is P140,000. Find the equivalent uniform annual cost of maintenance if money is worth 6% compounded annually.

Answers

The equivalent uniform annual cost of maintenance is P1,995.25.

In order to calculate the equivalent uniform annual cost of maintenance we have to calculate the present value of the costs and overhaul costs and find the equivalent uniform annual cost of maintenance.

Let the equivalent uniform annual cost be X. Then the present value of the costs and overhaul costs is given by,PV = X(A/P, i%, 5) + 40000(A/P, i%, 5) + 60000(A/P, i%, 5, 10) + 140000(P/F, i%, 5) + 140000(P/F, i%, 8)

Where A/P is the annual equivalent worth factor and P/F is the present worth factor.

Given, i = 6%

Let's evaluate the terms of the above equation

PV = X(A/P, 6%, 5) + 40000(A/P, 6%, 5) + 60000(A/P, 6%, 5, 10) + 140000(P/F, 6%, 5) + 140000(P/F, 6%, 8)PV = X × 3.4651 + 40000 × 3.4651 + 60000 × 5.7598 + 140000 × 0.7473 + 140000 × 0.6302

PV = 3.4651X + 138,604.83

Now, let's equate the present worth to the present worth of the equivalent uniform annual cost, that is,

PV = X(A/P, i%, n) / i X = (PV × i) / (A/P, i%, n) X = (138604.83 × 0.06) / (4.9877) X = P1,995.25

Therefore, the equivalent uniform annual cost of maintenance is P1,995.25.

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Which of the following most involves a sequence of activities and organizations that is involved in producing and delivering a good or service

A. pollution control
B. quality management
C. supply chain management
D. competition from foreign manufacturers
E. budget management

Answers

The following involves a sequence of activities and organizations that are involved in producing and delivering a good or service: C- supply chain management.

Supply chain management involves a sequence of activities and organizations that are involved in producing and delivering a good or service. It encompasses a wide range of activities, including procurement, production, transportation, warehousing, and delivery, among others.

Supply chain management is the coordination and management of all the activities and organizations involved in producing and delivering a good or service. It includes the coordination of activities such as procurement, production, transportation, warehousing, and delivery, among others.

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Wilson, Inc., has a current stock price of $43.00. For the past year, the company had net income of $6,550,000, total equity of $21,640,000, sales of $39,600,000, and 4.7 million shares of stock outstanding. a. What are earnings per share (EPS)? (Do not round Intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. What is the price-earnings ratio? (Do not round Intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) c. What is the price-sales ratlo? (Do not round Intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) d. What is the book value per share? (Do not round Intermediate calculations and round your answer to 2 decimal places, e.g., 3216.) e. What is the market-to-book ratio? (Do not round Intermediate calculations and round your answer to 2 decimal places, e.g. 32.16.) $ a. Earnings per share b. Price-earnings ratio c. Price-sales ratio d. Book value per share e. Market-to-book ratio 1.39 30.94 times times times Prey 1 of 10 Next >

Answers

To calculate the various financial ratios, use the given information: Current stock price = $43.00 ,Net income = $6,550,000,Total equity = $21,640,000,Sales = $39,600,000,Number of shares outstanding = 4.7 million

a. Earnings per share (EPS):

EPS = Net income / Number of shares outstanding

EPS = $6,550,000 / 4,700,000

EPS ≈ $1.39

b. Price-earnings ratio:

Price-earnings ratio = Stock price / Earnings per share

Price-earnings ratio = $43.00 / $1.39

Price-earnings ratio ≈ 30.94 times

c. Price-sales ratio:

Price-sales ratio = Stock price / Sales

Price-sales ratio = $43.00 / $39,600,000

Price-sales ratio ≈ 0.0011 times

d. Book value per share:

Book value per share = Total equity / Number of shares outstanding

Book value per share = $21,640,000 / 4,700,000

Book value per share ≈ $4.61

e. Market-to-book ratio:

Market-to-book ratio = Stock price / Book value per share

Market-to-book ratio = $43.00 / $4.61

Market-to-book ratio ≈ 9.32 times

Summary of results:

a. Earnings per share (EPS): $1.39

b. Price-earnings ratio: 30.94 times

c. Price-sales ratio: 0.0011 times

d. Book value per share: $4.61

e. Market-to-book ratio: 9.32 times

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On June 1st, 2022, McJunkin Industries paid $120,000 to its landlord for one year of rent. The rental fee was $10,000 per month and the prepaid rent would expire on May 31st 2023. On McJunkin’s income statement for the year ended December 31st, 2022, what was McJunkin’s rent expense?

Answers

In the year ended December 31st, 2022, McJunkin's rent expense will be $60,000. It is because the payment of $120,000 made on June 1st, 2022, for one year of rent is a prepaid expense, and as a result, it is treated as an asset on McJunkin's balance sheet until it expires on May 31st, 2023.

It is a prepayment since the company paid for the entire year ahead of time.
To calculate the rent expense for 2022, you will need to know the portion of the prepaid rent that expires during that year. Here's how to calculate it:
Total prepaid rent for one year = $120,000
Prepaid rent for June 2022 - May 2023 = $10,000 x 12 = $120,000
Prepaid rent for June 2022 - December 2022 = $10,000 x 7 = $70,000
Rent expense for June 2022 - December 2022 = $70,000 / 7 = $10,000 per month
Rent expense for the year ended December 31st, 2022 = $10,000 x 6 = $60,000
Therefore, McJunkin's rent expense on the income statement for the year ended December 31st, 2022, will be $60,000.

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Consider the demand and supply curves D = 240 -1/4 P and S = 2P-30. (a) Find the equilibrium price P and the corresponding quantity Q'. (b) Suppose a tax of 4.50 per unit is imposed on the producer. How will this influence the equilibrium price?

Answers

(a) To find the equilibrium price and corresponding quantity, we need to set the demand equal to the supply and solve for P. Equating the demand and supply equations, we have:

240 - 1/4 P = 2P - 30

Multiplying through by 4 to eliminate fractions:

960 - P = 8P - 120

Combining like terms:

9P = 1080

Dividing both sides by 9:

P = 120

Substituting this value back into either the demand or supply equation, we can find the corresponding quantity Q':

Q' = 240 - 1/4 * 120

= 240 - 30

= 210

Therefore, the equilibrium price is $120 and the corresponding quantity is 210 units.

(b) When a tax of $4.50 per unit is imposed on the producer, the equilibrium price will increase by the amount of the tax. In this case, the equilibrium price will rise from $120 to $120 + $4.50 = $124.50. This increase in price occurs because the tax increases the cost for producers, which in turn affects the supply curve. As a result, the new equilibrium price will be higher to account for the higher production costs.

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Trace the evolution of media forms and explain how the new
digital era is different from previous media environments.

Answers

The evolution of media forms can be traced from the earliest oral traditions to the latest digital era.

During the evolution of media forms, the environment and the media used have continued to change, adapting to the social and technological advancements of their time.Previous media environments, such as the print era, were characterised by a one-to-many communication model, where mass media corporations controlled the information that was disseminated to the masses. The control of the information led to a limited scope of discourse, and the masses had little to no input in the information that was being disseminated. In this era, communication was slow and could take several days to weeks before getting to its intended recipient.The digital era is different from the previous media environments in several ways. The communication model is no longer one-to-many but many-to-many, which means that anyone with an internet connection can disseminate information. The digital era has led to the democratisation of information and a more decentralised communication model. This has allowed for a more diverse scope of discourse and a broader spectrum of ideas to be discussed. The digital era has made communication faster and more efficient than previous media environments as information can be disseminated in real-time.The digital era has also led to the rise of social media platforms that have revolutionised the way people communicate. Social media platforms allow individuals to connect with each other from anywhere in the world, breaking down the geographical barriers that existed in previous media environments. Social media has also led to the rise of citizen journalism, where ordinary individuals can document and disseminate information that would have gone unnoticed in the past.

the digital era has revolutionized the way people communicate, allowing for a more democratic and decentralized communication model, breaking down geographical barriers and allowing for the democratization of information.

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Is there a limit to government spending in regards to keynesian
economics?
Can we print as much money to increase consumer spending and
allow the aggregate to shift to the right

Answers

There is a limit to government spending in Keynesian economics, and printing money excessively to increase consumer spending is not a sustainable or effective approach.

Keynesian economics emphasizes the role of government spending in stimulating aggregate demand and boosting economic activity during times of recession or low growth.

However, this does not imply that there are no limits to government spending. Excessive government spending can lead to inflation, as the increased money supply reduces the value of each unit of currency. Inflation erodes the purchasing power of consumers, leading to negative consequences such as higher prices and reduced economic stability.

While increasing consumer spending can stimulate the economy, it is crucial to maintain a balance and avoid excessive money creation.

Printing too much money can lead to hyperinflation, which ultimately undermines the effectiveness of the policy and can have severe economic consequences. Therefore, prudent fiscal and monetary policies are necessary to ensure sustainable economic growth and stability.

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