__________, a graduate of mtsu, opened his record shop in gallatin, tn spawning a mail-order business that by 1950 was selling 500,000 records a year.

Answers

Answer 1

Randy wood, a graduate of mtsu, opened his record shop in gallatin, tn spawning a mail-order business that by 1950 was selling 500,000 records a year.

Randy Wood was a graduate of Middle Tennessee State University (MTSU) who opened his record shop, Randy's Record Shop, in Gallatin, Tennessee, in 1948. The store quickly became popular among music lovers, and Wood started a mail-order business that sold records by mail to customers across the country.

By 1950, Wood's mail-order business was selling 500,000 records a year, making him one of the most successful independent record retailers in the United States at the time. Wood's store and mail-order business were particularly popular among country music fans, and he played a significant role in promoting and popularizing the genre.

In 1954, Wood started Dot Records, a record label that signed some of the biggest names in music at the time, including Pat Boone, Billy Vaughn, and Lawrence Welk. The label was hugely successful, selling millions of records and producing numerous hit songs.

Randy Wood's contributions to the music industry, particularly in the realm of country music, have had a lasting impact and continue to be celebrated today.

To know more about music visit:

https://brainly.com/question/9287051

#SPJ11


Related Questions

Any incompatibility between two or more attitudes or between behavior and attitudes results in Select one: a. personality clarification b. cognitive dissonance c. values clarification d. institutional dissonance e. affective reactance

Answers

Any incompatibility between two or more attitudes or between behavior and attitudes results in cognitive dissonance. Therefore, the correct answer is (b).

Cognitive dissonance refers to the psychological discomfort that arises from holding two or more conflicting attitudes, beliefs, or values or when there is a discrepancy between attitudes and behaviors.

This discomfort motivates people to change their attitudes or behaviors to reduce the dissonance and restore cognitive consistency.

Cognitive dissonance theory has been widely studied in social psychology and has been used to explain a wide range of phenomena, including attitude change, decision-making, and persuasion.

The theory suggests that people have a natural desire to maintain consistency between their thoughts, beliefs, and actions, and that the experience of cognitive dissonance can lead to significant psychological discomfort and tension.

Learn more about cognitive dissonance :

https://brainly.com/question/30390778

#SPJ4

B. Cognitive dissonance

A person who possesses two or more conflicting views or values or who acts in a way that opposes those beliefs or values may suffer cognitive dissonance, a psychological phrase that describes the mental discomfort they feel. When someone is presented with the knowledge that contradicts their preexisting beliefs or actions, they experience this discomfort. People may change their values, beliefs, or behaviors to alleviate this pain while still being consistent with their views. When a buyer must select between two brands or items with comparable qualities but contrasting costs or societal views, cognitive dissonance may occur. By giving their target audience additional knowledge, assurance, and social evidence, marketers may lessen this contradiction.

learn more about Cognitive dissonance here:

https://brainly.com/question/15517772

#SPJ11

sonya was selling siding and her boss told her that she could hide an extra charge for trim in the total, even though the customer was told he would not be charged for trim. sonya was told this was standard practice for the siding company. if the customer takes legal action for this, who is most likely liable?

Answers

If the customer decides to pursue legal action, all parties involved, including Sonya, her boss, and the siding company, could be held responsible for misrepresenting the product and potentially committing fraud against the customer.

Sonya and her boss may be personally responsible for their part in misleading the customer and concealing additional charges. Meanwhile, the siding company could be held vicariously responsible for the actions of its employees.

Moreover, the siding company may face legal repercussions and harm to its reputation for participating in unethical and potentially illegal business practices.

Businesses must prioritize ethical behavior and ensure that all workers comprehend the potential consequences of engaging in fraudulent or deceitful activities.

Learn more about misrepresentation :

https://brainly.com/question/29663893

#SPJ4

Spring i-Core Corporation has a stock Beta of 1.45; its shares currently sell for $78 each. Market consensus is that dividends will be $2.15 per share at year-end. If the Market Risk Premium is currently 8.2%, the historic average of T-Bills is 2.75% and the most current T-Bill sells for $987.65, what do investors predict for the stock price in one year? [Do not round interim calculations] Multiple Choice $88.28 None of the above $84.18 $82.99 $86.10

Answers

The correct answer is: None of the above. To determine the predicted stock price for Spring i-Core Corporation in one year, we need to first calculate the required rate of return using the Capital Asset Pricing Model (CAPM) formula:

Required Rate of Return = Risk-free Rate + (Beta × Market Risk Premium)

Given:
- Stock Beta = 1.45
- Market Risk Premium = 8.2%
- Historic average of T-Bills (Risk-free Rate) = 2.75%

We can now calculate the required rate of return: Required Rate of Return = 2.75% + (1.45 × 8.2%) = 2.75% + 11.89% = 14.64%

Next, we'll use the Dividend Discount Model (DDM) formula to calculate the predicted stock price in one year: Stock Price = (Dividend1 / (Required Rate of Return - Dividend Growth Rate))

We are given the dividend at year-end, which is $2.15 per share. However, we do not have the dividend growth rate. Since we cannot determine the dividend growth rate from the given information, we cannot accurately calculate the predicted stock price in one year using the DDM formula.

Therefore, the correct answer is: None of the above.

To know more about Capital Asset Pricing Model, refer here:

https://brainly.com/question/30076862#

#SPJ11

Cash management' is another area of responsibility which you will have as a financial manager. What would a financial manager need to do for the business in terms of 'cash management?

Answers

As a financial manager, one of your primary responsibilities will be managing the cash flow of the business. This involves ensuring that the company has enough cash on hand to meet its financial obligations and maintain operations.

To do this, you will need to monitor and project cash inflows and outflows, create and manage a cash budget, and make strategic decisions about when and how to invest excess cash.

Additionally, you may need to negotiate with lenders or investors to secure financing or manage debt, as well as implement policies and procedures to prevent fraud or misuse of funds.

Effective cash management is critical to the success of any business, as it enables the company to meet its financial obligations, pursue growth opportunities, and maintain financial stability.

By carefully managing the company's cash flow, a financial manager can help ensure the long-term success of the business.

To know more about cash flow refer here:

https://brainly.com/question/29768594#

#SPJ11

on may 1, 2021, mosby company received an order to sell a machine to a customer in canada at a price of 2,000,000 mexican pesos. the machine was shipped and payment was received on march 1, 2022. on may 1, 2021, mosby purchased a put option giving it the right to sell 2,000,000 pesos on march 1, 2022 at a price of $190,000. mosby properly designates the option as a fair value hedge of the peso firm commitment. the option cost $3,000 and had a fair value of $3,200 on december 31, 2021. the following spot exchange rates apply: date spot rate may 1, 2021 $ 0.095 december 31, 2021 $ 0.094 march 1, 2022 $ 0.089 what was the impact on mosby's 2021 net income as a result of this fair value hedge of a firm commitment?

Answers

The impact on Mosby's 2021 net income as a result of this fair value hedge of a firm commitment was a decrease of $1,800.

To determine the impact on Mosby's 2021 net income as a result of this fair value hedge of a firm commitment, we will need to consider the changes in the value of the put option and the firm commitment. Here are the steps to calculate the impact:

Step 1: Determine the change in the value of the put option.
The put option had an initial cost of $3,000 and a fair value of $3,200 on December 31, 2021. The change in the value of the put option is:

$3,200 - $3,000 = $200 gain

Step 2: Determine the change in the value of the firm commitment.
On May 1, 2021, the spot exchange rate was $0.095, so the value of the 2,000,000 Mexican pesos firm commitment was:

2,000,000 pesos * $0.095 = $190,000

On December 31, 2021, the spot exchange rate was $0.094, so the value of the firm commitment was:

2,000,000 pesos * $0.094 = $188,000

The change in the value of the firm commitment is:

$188,000 - $190,000 = -$2,000 loss

Step 3: Calculate the net impact on Mosby's 2021 net income.
The net impact on Mosby's 2021 net income is the sum of the change in the value of the put option and the change in the value of the firm commitment:

$200 gain + (-$2,000 loss) = -$1,800

So, due to the impact on Mosby's 2021 net income their fair value hedge commitment was a decrease of $1,800.

Learn more about fair value hedge here: https://brainly.com/question/27992267

#SPJ11

Describe, in detail, the three (3) different firm's buying
situations.

Answers

1. Forward Buying: Forward buying is when a firm purchases goods from a supplier in advance of the need for those goods. The firm will usually pay for the goods upfront and take possession of them, storing them until they are needed.

This allows the firm to secure a good price on the goods while ensuring they have the supplies they need on hand when they need them.

2. Just-in-Time Buying: Just-in-time buying is a strategy where a firm purchases goods only when they are needed. This allows the firm to save on storage and inventory costs, as well as reducing the chance of over-purchasing. This strategy requires the firm to have excellent relationships with suppliers and to be able to rely on them for timely delivery of goods.

3. Spot Buying: Spot buying is when a firm purchases goods from a supplier on an ad-hoc basis. This is usually done when the firm needs a certain type of goods quickly, and does not have the time or resources to commit to a forward buying or just-in-time buying strategy. This strategy can be more expensive, as the firm is likely to pay a higher price for goods than if they had planned ahead.

Know more about Forward Buying here

https://brainly.com/question/30870583#

#SPJ11

A company had €200 million shareholders' equity on January 1, 2020.
During 2020, the company made €20 million net income and paid 63 million cash dividends. The company didn't issue any new common stod or buy had common stocks during the year. On December 31, 2020, the company reported €227 million shareholders equity in the balance sheet How much is the company's comprehensive income in 2020? A. €630 million B. €10 million. C. €20 million

Answers

The correct answer is C. €20 million. This is because the company's comprehensive income for the year is equal to its net income plus the changes in shareholders' equity.

For the given company, net income was €20 million, and the change in shareholders' equity was €27 million (227 million at the end of the year minus 200 million at the beginning of the year).

Thus, the company's comprehensive income for the year was €20 million + €27 million = €47 million. However, since the company paid out €63 million in cash dividends, the company's comprehensive income was reduced to €20 million = €47 million - €63 million. This means that the company's comprehensive income in 2020 was €20 million.

Know more about equity here

https://brainly.com/question/31518525#

#SPJ11

A deferred perpetuity begins payment on the 5th year with annual payments of this perpetuity of $500. Find the present value of this perpetuity if the annual rate of interest is 5% A) $7735.26 B) $7835.26 C) $7935.26 D) $8035.26 E) $8135.26

Answers

The present value of this deferred perpetuity is calculated by taking the annual payment of $500 and dividing it by the annual rate of interest of 5%. The present value of this deferred perpetuity is therefore $7735.26.

This is calculated by taking the annual payment of $500, divided by the annual rate of interest of 5%, which equals $10,000. Then, taking the $10,000 and subtracting the first four years' worth of payments ($4,000), which equals $6,000. Finally, taking the $6,000 and dividing it by the annual rate of interest of 5%, which equals $7735.26.

In summary, the present value of this deferred perpetuity of $500 with an annual rate of interest of 5% is $7735.26.

This is calculated by taking the annual payment of $500 and dividing it by the annual rate of interest of 5%, subtracting the first four years' worth of payments, and then dividing the remaining amount by the annual rate of interest of 5%.

Know more about  present value here

https://brainly.com/question/17322936#

#SPJ11

Read the scenario, and answer the following questions.
You work for a sporting goods retailer, and you’re trying to find ways to increase customers’ interest in cycling products. You decide to write a blog post explaining the health benefits of cycling.
Which is the best opening for your blog post?
a. Sales have been down in our cycling department, which is unfortunate because cycling has many health benefits. If you equip yourself with the right gear at our stores, you could begin a new healthy, adventure.
b. Cycling improves cardiovascular fitness, strengthens muscles, burns calories, and increases your immunity.
c. Does getting back in shape seem like an impossible task? Have you given up your New Year’s resolution to drop pounds and gain stamina and strength? What if I told you getting healthy is as easy as riding a bike?
d. Cycling is good for you for many reasons. The following list explains the health benefits of cycling.

Answers

The best opening for the blog post would be option c: "Does getting back in shape seem like an impossible task? Have you given up your New Year’s resolution to drop pounds and gain stamina and strength? What if I told you getting healthy is as easy as riding a bike?"

This opening is engaging and personal, drawing the reader in and making them feel like the blog post is specifically tailored to their interests and needs. It also presents cycling as a solution to a common problem many people face: struggling to get in shape and maintain a healthy lifestyle.
This opening is engaging and invites readers to learn more about the benefits of cycling.

The introduction is more important than any other paragraph in the post. Every word counts. When you start a new piece of content, it’s easy to waste time trying to craft the perfect introduction. It’s more efficient to get started by writing your main points.

Second, you understand the topic better once you have written the meat of your content. You may find that introduction you spent hours crafting no longer fits your central thesis once you finish the rest of the piece.

If you have a moment of inspiration, write a brief introduction as a placeholder. You can return to it once you’re done with the rest of the post.

Therefore, the correct answer is option c: Does getting back in shape seem like an impossible task? Have you given up your New Year’s resolution to drop pounds and gain stamina and strength? What if I told you getting healthy is as easy as riding a bike?

Learn more about blogs here: https://brainly.com/question/13522432

#SPJ11

SBA Loans evaluate the various loan programs available. Select any two particular loan programs of your interest, what are the specific eligibility requirements for each? If you were an aspiring entrepreneur in need of start up capital, would you apply for an SBA loan? Why or why not?

Answers

SBA (Small Business Administration) offers a range of loan programs to assist small businesses in obtaining financing. Two particular loan programs are 7(a) and CDC/504. The eligibility requirements for 7(a) loans include being a for-profit business operating in the United States with a sound business purpose, good character, and the ability to repay the loan.

The Small Business Administration (SBA) offers various loan programs to assist small businesses in obtaining financing. Two particular loan programs of interest are the 7(a) loan program and the CDC/504 loan program.

The 7(a) loan program is the SBA's primary program for providing financial assistance to small businesses. Eligibility requirements include being a for-profit business operating in the United States with a sound business purpose, good character, and the ability to repay the loan.

Learn More About entrepreneur

https://brainly.com/question/353543

#SPJ11

which of the following situations would cause a shift in the demand curve, as opposed to a change in the quantity demanded? a.federal income tax rates are decreased. b.auto sales increase due to increased employment. c.gasoline consumption decreases as the taxes on gasoline increase. d.both a and b.

Answers

Situations A and B cause a shift in the demand curve, while situation C causes a change in quantity demanded. (Option D is correct)

Circumstance An and Circumstance B would cause a change in the interest bend as opposed to an adjustment of the amount requested.

Circumstance An includes a reduction in government personal expense rates. This would probably expand customers' discretionary cashflow, which thusly could increment interest for different labor and products. Since an adjustment of pay is a determinant of interest, this would cause a change in the interest bend.

Circumstance B includes an expansion in vehicle deals because of expanded work. As business expands, customers might have more trust in their future pay and be more ready to buy high end things like vehicles. This would cause an expansion popular for cars, causing a change in the interest bend.

Circumstance C, where fuel utilization diminishes as the expenses on gas increment, would cause an adjustment of the amount requested as opposed to a change in the interest bend. This is on the grounds that the cost of fuel is changing, which would cause a development along the interest bend, instead of a shift of the whole bend.

In this way, the right response is (d) both An and B. Circumstances An and B include changes in factors other than value that influence interest, prompting a change in the interest bend.

To learn more about shift in the demand curve, refer:

https://brainly.com/question/16162802

#SPJ4

regulation qa.separated commercial banking and investment banking.b.restricted interstate branching.c.set the ceiling on interest rates that banks could charge on their loans.d.set the ceiling on interest rates that banks could pay on their deposits.

Answers

The options provided are regulatory measures that were implemented in the United States as part of financial regulatory reforms.

a) Separated commercial banking and investment banking: This refers to the Glass-Steagall Act of 1933, which was a regulatory measure that separated commercial banking (taking deposits and making loans) from investment banking (underwriting and dealing in securities).

b) Restricted interstate branching: This refers to the Bank Holding Company Act of 1956, which imposed restrictions on the ability of banks to establish branches across state lines.

c) Set the ceiling on interest rates that banks could charge on their loans: This refers to the Regulation Q, which was implemented in 1933 as part of the Glass-Steagall Act.

d) Set the ceiling on interest rates that banks could pay on their deposits: This also refers to Regulation Q, which set limits on the interest rates that banks could pay on their deposits, including savings accounts and other types of deposits.

It's worth noting that some of these regulatory measures, such as the Glass-Steagall Act and Regulation Q, have been repealed or modified over time as financial regulations and policies have evolved.

Learn more about “ regulatory measures “ visit here;

https://brainly.com/question/29618669

#SPJ4

Pluto Corporation is considering an investment that will cost $210,000 and last for three years. The investment will be amortized on a straight-line basis over that period. Earnings generated by the investment before amortization and taxes over this period are as follows: Year 1 110,000 Year 2 120,000 Year 3 150,000 Pluto Corporation has a tax rate of 25 percent. What is the AAR of this project?

Answers

Answer: The average accounting return (AAR) is calculated as the average net income divided by the average book value of the investment.

First, we need to calculate the net income for each year. The investment will be amortized on a straight-line basis over three years, so the annual amortization expense is $210,000 / 3 = $70,000. The net income before taxes for each year is calculated as the earnings before amortization and taxes minus the amortization expense. The net income after taxes for each year is calculated as the net income before taxes multiplied by (1 - tax rate).

Year 1: Net income before taxes = $110,000 - $70,000 = $40,000 Net income after taxes = $40,000 * (1 - 0.25) = $30,000

Year 2: Net income before taxes = $120,000 - $70,000 = $50,000 Net income after taxes = $50,000 * (1 - 0.25) = $37,500

Year 3: Net income before taxes = $150,000 - $70,000 = $80,000 Net income after taxes = $80,000 * (1 - 0.25) = $60,000

Next, we need to calculate the average book value of the investment. The book value at the end of each year is calculated as the initial cost of the investment minus the accumulated amortization. The average book value is calculated as the sum of the book values at the end of each year divided by the number of years.

Year 1: Book value = $210,000 - $70,000 = $140,000 Year 2: Book value = $210,000 - $140,000 = $70,000 Year 3: Book value = $210,000 - $210,000 = $0 Average book value = ($140,000 + $70,000 + $0) / 3 = $70,000

Finally, we can calculate Pluto Corporation’s AAR for this project as the average net income divided by the average book value: ($30,000 + $37,500 + $60,000) / 3 / $70,000 = 0.18095.

Therefore, Pluto Corporation’s AAR for this project is 18.10%.

Answer: AAR is 42,500 AAR% is 40.47%

Explanation: 110,000+120,000+150,000=380,000/3=126,666.66

Amortization: 210,000/3=70,000

(126,667-70,000)*(1-.25)=42,500

210,000/2=105,000

42,500/105,000=40.47%

martin corporation currently sells widgets at a price of $9.00 per unit. its variable cost is $4.00 per unit while fixed costs are $400,000. at what quantity sold will the firm breakeven? a. 44,444 units b. 80,000 units c. 100,000 units d. 50,000 units

Answers

In order for the business to break even and cover all of its total costs, 80,000 units must be sold. The business will lose money if it sells fewer than 80,000 units, while making money if it sells more than 80,000 units.

The answer is (b) 80,000 units

The total cost is the sum of the variable and fixed costs.We can determine the contribution margin per unit, which is equal to the selling price less the variable cost per unit, using the information provided:

Contribution margin per unit = Selling price - Variable cost per unit
= $9.00 - $4.00
= $5.00
The contribution margin per unit to calculate the breakeven point in units:
Breakeven point (units) = Fixed costs ÷ Contribution margin per unit
= $400,000 ÷ $5.00
= 80,000 units
The answer is (b) 80,000 units

For more such questions on total costs

https://brainly.com/question/26373444

#SPJ11

By reviewing a company's common size Income Statement, one can measure a company's profitability liquidty leverage size

Answers

By reviewing a company's common size Income Statement, one can measure a company's profitability. The correct option is a.

An income statement that is expressed with each line item as a percentage of revenue or sales is known as a common size income statement. When performing a vertical analysis, each line item in a financial statement is represented as a percentage of the statement's base figure.

A company's performance across many periods with different sales numbers can be analysed and compared with the use of financial statements of a common size. The performance of the company in relation to the industry can then be assessed by comparing the common size percentages to those of rivals.

Learn more about income statement, here:

https://brainly.com/question/14890247

#SPJ12

which of the following is an advantage of using the eoq model? group of answer choices helps managers make decisions about when and how much of a product to order improving productivity and quality by reducing labor and equipment time provides information about which inventory items require the most attention increasing customer satisfaction by decreasing the time required to make and deliver the product or service

Answers

The advantage of using the EOQ model is that it helps managers make decisions about when and how much of a product to order. Option A is correct.

This ensures that the company has enough inventory to meet demand while avoiding excess inventory that ties up capital. By optimizing order quantities, the EOQ model can also help reduce costs associated with ordering, storage, and stockouts.

Ultimately, this can improve productivity and quality by reducing labor and equipment time and increasing customer satisfaction by decreasing the time required to make and deliver the product or service.

Additionally, the EOQ model provides information about which inventory items require the most attention, allowing managers to prioritize their efforts and focus on improving the most critical areas of the supply chain. Therefore, the correct option is A.

which of the following is an advantage of using the eoq model? group of answer choices

A. helps managers make decisions about when and how much of a product to order

B. improving productivity and quality by reducing labor and equipment time

C. provides information about which inventory items require the most attention

D. increasing customer satisfaction by decreasing the time required to make and deliver the product or service

Learn more about EOQ model https://brainly.com/question/29618851

#SPJ11

You plan to buy a share of XYZ stock today. Your do not expect a dividend at the end of Year 1, but you expect a dividend of $9.25 at the end of Year 2, $7.00 at the end of year 3, and $5.00 at the end of year 4. In addition, you expect to sell the stock for $150 immediately after you receive the dividend at the end of year 2. If your required rate of return is 6% a year, how much should you pay for this stock today? $141.73 $131.74 $107.53 $118.35 $75.29

Answers

You should pay approximately $146.63 for the stock today if your required rate of return is 6% and you expect to receive dividends of $9.25, $7.00, and $5.00 at the end of years 2, 3, and 4, respectively. So the correct answer is $141.73.

To calculate the price you should pay for the stock today, you can use the formula for the present value of future cash flows:

PV = [tex](D1 / (1 + r)^1) + (D2 + P2 / (1 + r)^2) + (D3 / (1 + r)^3) + (D4 / (1 + r)^4)[/tex]

where PV is the present value,

D1-D4 are the dividends in years 2, 3, and 4,

and P2 is the expected sale price at the end of year 2.

r is the required rate of return, which in this case is 6%.

We know that:

D1 is 0 (since there's no dividend in year 1), and we're given D2 = $9.25, D3 = $7.00, D4 = $5.00, and P2 = $150.

Plugging in the values, we get:

PV = [tex](0 / (1 + 0.06)^1) + (9.25 / (1 + 0.06)^2) + (7.00 / (1 + 0.06)^3) + (5.00 / (1 + 0.06)^4) + (150 / (1 + 0.06)^2)[/tex]

= 0 + 8.63 + 6.10 + 4.27 + 127.63

= 146.63

Therefore, you should pay approximately $146.63 for the stock today if your required rate of return is 6% and you expect to receive dividends of $9.25, $7.00, and $5.00 at the end of years 2, 3, and 4, respectively, and sell the stock for $150 immediately after receiving the year 2 dividend.


To know more about dividends refer here

brainly.com/question/29510262#

#SPJ11

materials that become an important component of the finished product whose cost can be easily and conveniently traced to the finished product are materials. (enter only one word per blank).

Answers

materials that become an important component of the finished product whose cost can be easily and conveniently traced to the finished product are direct materials.

Direct materials are materials that can be easily traced to the finished product in terms of cost. They are typically raw materials that are used in the production process and become an integral part of the finished product.

Examples of direct materials include wood in furniture production, fabric in clothing production, or steel in construction. The cost of direct materials can be easily tracked and allocated to specific products or production runs, which is important for determining the overall cost of production and setting appropriate pricing for the finished product.

learn more aboutdirect materials. here:

https://brainly.com/question/14002144

#SPJ11

The demand and the supply for a good are each neither perfectly elastic nor perfectly inelastic. If a sales tax on sellers of the good is imposed, the tax is paid by a. neither buyers nor sellers. b. only sellers O only buyers, Od both buyers and sellers.

Answers

If the demand and supply for a good are not perfectly elastic or inelastic, it means that the quantity demanded and supplied will respond to changes in price, but not in a drastic way.

This indicates that the demand and supply are somewhat inelastic. If a sales tax is imposed on sellers of the good, it will increase the cost of production for the sellers, leading to a shift in the supply curve to the left. This will cause an increase in price and a decrease in quantity demanded. However, since the demand is inelastic, the change in price will not have a significant effect on the quantity demanded. Therefore, the burden of the tax will fall mostly on the sellers, as they will have to bear the additional cost of the tax.
So, the answer is (b) only sellers.
The demand and supply for the good are neither perfectly elastic nor perfectly inelastic. If a sales tax is imposed on sellers, the tax burden is shared by both buyers and sellers. So, the correct answer is d. both buyers and sellers.

Learn more about buyers here:

https://brainly.com/question/30664586

#SPJ11

The correct option is b. only buyers. If the demand and supply for a good are each neither perfectly elastic nor perfectly inelastic, then the tax burden will be only on sellers.

This is because neither party has a significant advantage in the market to shift the burden completely onto the other. However, the degree to which each party bears the burden depends on the relative elasticity of demand and supply. If demand is more inelastic than supply, then buyers will bear all of the tax burden. If supply is more inelastic than demand, then sellers will bear a larger proportion of the tax burden.

Therefore, the correct answer to the question is b. only buyers will pay the sales tax, but the degree to which each party bears the burden depends on the relative elasticity of demand and supply.

To learn more about elasticity: https://brainly.com/question/24596748

#SPJ11

ravinder has created a bar chart showing product category and product name. he has hidden the legend and displayed the caption at the bottom. how did he do this? a tableau window displays a bar chart with a caption box below it. the ribbon has options that include file, data, worksheet, dashboard, story, and analysis. select an answer: he right-clicked in the caption box, and then selected show cards. he selected worksheet on the ribbon, and then selected show caption. he right-clicked in the caption box, and then typed the summary. he selected worksheet on the ribbon, and then selected show summary.

Answers

He selected 'Worksheet' on the ribbon, and then selected 'Show Caption'. This process allowed Ravinder to customize the appearance of his bar chart and effectively communicate the desired information to his audience.


In the Tableau window, he created a bar chart by dragging the product category and product name fields to the appropriate shelves. To hide the legend, he right-clicked on the legend and selected 'Hide Card' or clicked the 'x' button on the top right corner of the legend card. To display the caption at the bottom, he selected 'Worksheet' on the ribbon, and then clicked on 'Show Caption'. This added a caption box below the bar chart.


This is because the caption is the text that appears below the chart, and by selecting "show caption," Ravinder was able to display it at the bottom. He may have hidden the legend because it was not necessary or was taking up too much space on the chart. Tableau is a data visualization tool that allows users to create various types of charts and graphs, including bar charts

Know more about Tableau  here:

https://brainly.com/question/25531734

#SPJ11

true or false: the longer the maturity of the bond, the more a fall in the interest rate in the economy will raise the price of the bond.

Answers

The given statement is true because the price of a bond is determined by the present value of the cash flows (interest payments and principal repayment) that the bond will generate over its life.

When interest rates fall in the economy, the price of a bond will increase. However, the effect of a fall in interest rates on the price of a bond will be more significant for bonds with longer maturities compared to those with shorter maturities.

This is because longer-term bonds are more sensitive to changes in interest rates, as investors must wait a longer period to receive their return. Therefore, a fall in interest rates will increase the present value of future cash flows, which will result in a greater increase in the price of the bond with a longer maturity.

Learn more about bond https://brainly.com/question/29667007

#SPJ11

"A company has the following capital structure: $5 million from
bonds, $25 million from preferred stock, and $100 million from
common stock. The cost of each source of funding is as follows:
Bonds = 6.000%; Common = 9.75%; Preferred = 6.50%. Compute the company's WACC.

Answers

The company's weighted average cost of capital (WACC) is 8.69%.

To compute the WACC, follow these steps:

1. Determine the proportions of each source of funding:
  - Bonds: $5 million / $130 million = 0.0385
  - Preferred stock: $25 million / $130 million = 0.1923
  - Common stock: $100 million / $130 million = 0.7692

2. Multiply the proportions by their respective costs:
  - Bonds: 0.0385 * 6.000% = 0.231%
  - Preferred stock: 0.1923 * 6.50% = 1.250%
  - Common stock: 0.7692 * 9.75% = 7.500%

3. Add up the weighted costs to obtain the WACC:
  - WACC = 0.231% + 1.250% + 7.500% = 8.69%

In summary, the company's WACC is 8.69%, which represents the average cost of capital from all three sources, weighted by their proportions in the capital structure.

To know more about weighted average cost of capital click on below link:

https://brainly.com/question/28561354#

#SPJ11

Bridgewater Inc. is expecting sales of $620 in April, $640 in May, $800 in June, and $800 in July. The firm collects 30% of sales in the month of the sale, 50% in the month after the sale, and 20% in the second month after the sale. What will be the accounts receivable balance at the end of June? Express your answer to the nearest dollar and do not include the $ sign. Your Answer:

Answers

The accounts receivable balance at the end of June would be $540.

To calculate this, first find the amount of sales that will still be outstanding at the end of June. For April sales, 50% will still be outstanding (since 30% was collected in April and 20% will be collected in May). So April sales outstanding will be $620 * 50% = $310.

For May sales, only 20% will still be outstanding at the end of June (since 30% was collected in May and 50% will be collected in June). So May sales outstanding will be $640 * 20% = $128.

June sales will not have any outstanding amount at the end of June since all of it will be collected in July.

Adding up the outstanding sales for April and May, we get $310 + $128 = $438. This is the accounts receivable balance at the end of June. However, the question asks us to express our answer to the nearest dollar, so rounding up, the accounts receivable balance at the end of June is $540.

to know more about the accounts:

https://brainly.com/question/25818207

#SPJ11

QUESTION 6The APR on a financial security is 12 percent. If the inflationpremium is 4 percent and the pure rate is 3 percent, what riskpremium is required by the market? b) A bank wishes to earn 4.74% 4.56% 5.00% 3.81% 5.37%

Answers

The risk premium required by the market is 5%.

Find the risk premium required by the market?

To find the risk premium required by the market, we need to use the following formula:

APR = Pure Rate + Inflation Premium + Risk Premium

We are given the APR (12%), the inflation premium (4%), and the pure rate (3%). We will now solve for the risk premium.

Plug in the values into the formula.
12% = 3% + 4% + Risk Premium

Combine the known percentages.
12% = 7% + Risk Premium

Solve for the Risk Premium.
Risk Premium = 12% - 7%

Risk Premium = 5%

The risk premium required by the market is 5%.

Learn more about risk premium.

brainly.com/question/28235630

#SPJ11

contribution margin per unit product a $ 40 product b 32 product c 45 the product mix is 51%/25%/24%. required:

Answers

The weighted average contribution margin for the given product mix is $39.2. This means that on average, the business earns $39.2 in contribution margin for every unit of product sold in this product mix.

To calculate the weighted average contribution margin for the given product mix, we need to first find the contribution margin per unit for each product. As given in the problem statement, the contribution margin per unit for product A is $40, for product B is $32, and for product C is $45.

Next, we need to calculate the weighted average contribution margin by multiplying the contribution margin per unit of each product with its corresponding product mix percentage and then adding up the results. The formula for weighted average contribution margin is:

Weighted Average Contribution Margin = (Contribution Margin of Product A x Product A Mix Percentage) + (Contribution Margin of Product B x Product B Mix Percentage) + (Contribution Margin of Product C x Product C Mix Percentage)

Substituting the given values, we get:

Weighted Average Contribution Margin = ($40 x 0.51) + ($32 x 0.25) + ($45 x 0.24)

= $20.4 + $8 + $10.8

= $39.2

It is important to note that contribution margin is not the same as profit. It only accounts for the variable costs associated with producing and selling a product and does not take into consideration the fixed costs and overhead expenses. However, knowing the contribution margin per unit can help businesses make informed decisions regarding pricing, production, and product mix.

Click the below link, to learn more about Contribution margin:

https://brainly.com/question/29534784

#SPJ11

1) When considering the investor's desired outcome, if you have
generated very large returns in the first five or ten years, what
should your rebalancing strategy be?
**can rebalance portfolio ever

Answers

Hi! When considering the investor's desired outcome, when you have generated large returns in the first five or ten years, you should regularly review and rebalance your portfolio to maintain your desired outcome, while also considering risk levels, diversification, and any life events that may impact your investment goals.

1) Review your investment goals: Reassess your desired outcome and determine if your current portfolio allocation still aligns with your objectives.

2) Assess portfolio risk: Evaluate the risk levels of your portfolio based on the large returns generated, and consider adjusting the allocation to maintain an appropriate risk level.

3) Rebalance periodically: Regularly review your portfolio and rebalance as needed to maintain the desired asset allocation. This can be done either at a fixed interval (e.g., annually) or when the allocation deviates from the target by a certain percentage.

4) Diversify investments: Ensure that your portfolio remains diversified across different asset classes, sectors, and regions to minimize risk and protect against potential market downturns.

5) Adjust for life events: As you approach major life events, such as retirement, you may need to adjust your desired outcome and rebalancing strategy to align with your new goals and risk tolerance.

To know more about rebalancing strategy refer here:

https://brainly.com/question/29992631#

#SPJ11

geno manages an irish pub. he encourages his employees to participate in decision making because he believes that imagination, ingenuity, and creativity can help solve organizational problems. he also believes that workers like to work and that under proper conditions, employees will seek out responsibility to satisfy their social, esteem, and self-actualization goals. which theory of management has geno adopted?

Answers

Geno has adopted the Theory Y management approach.

What's Theory Y management approach

This theory assumes that employees are intrinsically motivated and enjoy work, and that management should provide them with opportunities to be creative, use their imagination, and participate in decision making.

Theory Y also suggests that workers will seek out responsibility and challenge themselves if given the chance to do so.

Geno's belief that employees can contribute to problem-solving and that they have social, esteem, and self-actualization goals aligns with the Theory Y approach.

By adopting this theory, Geno is likely to create a positive work environment that encourages employee engagement, collaboration, and personal growth, which can lead to increased job satisfaction and productivity.

Learn more about management theory at

https://brainly.com/question/30509758

#SPJ11

Lai's great aunt left him $20,000 when she died. He can invest the money to earn 12% per year. If he spends $3,540 per year out of this inheritance, how long will the money last?

Answers

The money will last approximately 17.54 years if Lai spends $3,540 per year and earns 12% interest annually on his inheritance.

Lai's great aunt left him $20,000 when she died, and he can invest the money to earn 12% per year. If he spends $3,540 per year out of this inheritance, you'd like to know how long the money will last.

Here's a step-by-step explanation:

1. Calculate the annual interest earned: $20,000 * 12% = $2,400
2. Calculate the net annual loss: $3,540 (annual expenses) - $2,400 (annual interest) = $1,140
3. Divide the initial inheritance by the net annual loss to determine how long the money will last: $20,000 / $1,140 ≈ 17.54 years

So, the money will last approximately 17.54 years if Lai spends $3,540 per year and earns 12% interest annually on his inheritance.

To know more about inheritance, refer here:

https://brainly.com/question/29456546#

#SPJ11

if a company has net income of $5,700,000, weighted average shares of common stock of 1,500,000, and retained earnings of $37,900,000, what is its eps?

Answers

The company's Earnings Per Share (EPS) is $3.80.

EPS = Net Income / Weighted Average Shares of Common Stock

EPS = $5,700,000 / 1,500,000

EPS = $3.80 per share

Note that retained earnings is not used in the calculation of EPS.

They represent the cumulative profits that the company has earned and kept over time, rather than the current year's earnings.

Earnings per share, or EPS, is a crucial financial metric that shows a company's profitability. It is determined by dividing the net income of the business by the total number of outstanding shares.

(Net Income - Preferred Dividends) / Weighted Average Shares Outstanding is the formula for EPS. The first formula calculates EPS using the total number of shares outstanding, but in reality, analysts might compute the denominator using the weighted average shares outstanding.

Learn more about Earning per share :- https://brainly.com/question/27815958

#SPJ11

Indicate whether the following statement is true or false. Having all economic decisions made by centralized planning or decentralized decision making is the key factor determining the success of a government's role in economic markets. A. False B. True

Answers

The statement "Having all economic decisions made by centralized planning or decentralized decision making is the key factor determining the success of a government's role in economic markets" is True.


While there are many factors that can influence a government's success in economic markets, the approach to decision-making is indeed a key factor. Centralized planning involves the government making all economic decisions and controlling resources, while decentralized decision making allows for more individual and market-based choices.


In a centrally planned economy, the government decides on the production and distribution of goods and services. This can lead to efficiency in resource allocation and addressing social needs, but may also result in a lack of innovation and limited choices for consumers. On the other hand, a decentralized system allows for more competition and innovation, but may lead to income inequality and externalities that negatively impact society.

To know more about economic decisions click here

brainly.com/question/14395351

#SPJ11

Other Questions
_____ is a network standard that defines how high-speed cellular transmissions use broadcast radio to transmit data for mobile communications. FROM THE GREAT DEBATERS. Should the Wiley college debate team have agreed to debate Oklahoma City college at a location off campus? Why or why not? how do gasses interact within the plant cell which of the following words best replaces conspired as it is used in the passage below (paragraph 49)? a few weeks later, old chong and my mother conspired to have me play in a talent show which would be held in the church hall. by then, my parents had saved up enough to buy me a secondhand piano, a black wurlitzer spinet with a scarred bench. it was the showpiece of our living room. answer choices for the above question a. refused b. hinted c. plotted d. construed g 8. in 2022 the u.s. trade deficit was about 12% larger than the year before (2021). the increase in the trade deficit in 2022 means that u.s. consumption: group of answer choices is larger and there is more borrowing from and/or selling assets to the rest of the world. is larger and there is a a lower household savings rate. is smaller and there is a smaller federal government budget deficit is smaller and there is less borrowing from and/or selling assets to the rest of the world.g Had to split question #16 into two photos for words to remain clear and visible.What is the earnings credit rate? Assume the following: Ledger Balance = $300,000 Deposit Font - $100,000 Monthly Earnings Credit = $507 Days in Month 30 days Reserve Requirement Ratio * 10% No express your answer as a decimal (example: Nyour or a 4:33then enter it as 0.043) Thank you. true or false: search engines discover the content on a website by following links to other pages. true false What volume of chlorine gas at 46.0C and1.60 atm is needed to react completely with5.20 g of sodium to form NaCl? What are the implications for anthropology with regard to globalization? These people, places, and innovations played a major role in revolutionizing America'sA) communications industry.B) meat-packing industry.C) agricultural production.D) steel and iron industry.-Andrew Chase-Gustavus Swift-Chicago, Illinois-Refrigerated box car what is the central idea of Should we scoff at the idea of love at first sight? 1.if the actual unemployment rate is 8% and the natural rate of unemployment is 5%, then the cyclical unemployment rate is? an infant is born six weeks premature in rural arizona and the pediatrician in attendance intubates the child and administers surfactant in the et tube while waiting in the er for the air ambulance. during the 45-minute wait, he continues to bag the critically ill patient on 100 percent oxygen while monitoring vs, ecg, pulse oximetry and temperature. the infant is in a warming unit and an umbilical vein line was placed for fluids and in case of emergent need for medications. how is this coded? An ice cream stand uses the expression 1 + 0.75x to determine the cost (in dollars) of an ice cream cone that has x scoops of ice cream. How much does an ice cream cone with 3 scoops cost? Please help i'm so confused which is true of the molecule shown below? choose one or more: it is found in the membranes of virtually all living cells. it is a lipid. it is amphipathic. it makes the bilayer less fluid. it is a phospholipid. it makes the bilayer more permeable. One way to establish credibility is to become more dependent ofgovernment when designing policySelect one:TrueFalse a company has accounts named purchases, purchases discounts, purchases returns and allowances, and freight-in as part of its chart of accounts. this company is using which system of inventory The owner compiled and provided the following list of acceptable investment opportunities: Investment IRR (%) Initial investment (R)E 23 200 000C 22 100 000G 21 300 000A 19 200 000H 12 100 000I 9 400 000B 8 300 000The company aims to raise R1 000 000 for long-term investments. Capital budgets will be financed as per below: Log-term debt (40%): The company will borrow R400 000 at an after-tax cost of 8%. Ordinary shares (40%): The company will issue ordinary shares at the cost of 10%. Preferred shares: The company will finance the rest of the money by issuing preference shares at the cost of 13%. Calculate the company's weighted average cost of capital. (8 marks) Which quote from this excerpt best supports Wiesels clear claim that we must intervene when someone elsewhere is suffering from violence?