the tire company, b.f. goodrich, was involved in the production of which golf ball? group of answer choices haskell gutta percha feathery titleist provi

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Answer 1

The involvement of B.F. Goodrich in the production of a golf ball. B.F. Goodrich, a well-known tire company, was involved in the production of the Pinnacle golf ball.

The Pinnacle golf ball was developed by B.F. Goodrich's chemical division in the 1970s. This ball gained popularity due to its innovative design and materials, which provided an advantage over traditional golf balls.

B.F. Goodrich used a unique blend of synthetic rubber called "ionomer" for the cover of the Pinnacle ball, which provided enhanced durability, resilience, and distance performance.

To summarize the involvement of B.F. Goodrich in the production of the Pinnacle golf ball:

1. B.F. Goodrich's chemical division developed the Pinnacle golf ball in the 1970s.


2. The Pinnacle ball featured an ionomer cover, a synthetic rubber material unique to B.F. Goodrich.


3. This ionomer cover provided the ball with enhanced durability, resilience, and distance performance.

Overall, B.F. Goodrich played a significant role in the development and production of the Pinnacle golf ball, which became a popular choice among golfers due to its innovative design and material advantages.

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The tire company, B.F. Goodrich, was involved in the production of which golf ball?


Related Questions

for 5 years, a growing corporation places a continuous stream of $50,000 per year into an account which has a continuously compounding interest rate of 1.7%. what will be the value of this continuous stream at the end of 5 years? round your answer to the nearest integer. do not include a dollar sign or commas in your answer.'

Answers

The value of this continuous stream at the end of 5 years is 54400 when the growing corporation places a continuous stream of $50,000 per year and the continuously compounding interest rate is 1.7%.

To find the continuous stream of payments for 5 years we can use the continuous compounding formula given as,

[tex]FV = P × e^(r×t)[/tex]

Where:

FV = future value

P = payment per year

r = interest rate per year

t = time in years

Given data :

P = $50,00

r = 1.7% = 0.017

t = 5

subtitling the given values in the formula, we get:

FV = P × e^(r×t)

= 50000 * e^(0.017×5)

= 50000 × 1.088

= 54400

Therefore, the value of this continuous stream at the end of 5 years is = 54400

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You begin with $100,000 in cash and want to borrow another $100,000 by issuing a coupon bond. You plan to invest the first $100,000 in a two year zero-coupon bond, and the second $100,000 in a four year zero-coupon bond. What should the duration of the coupon bond you issue be so that your portfolio has a Macaulay duration of zero?

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In the given problem, we need to issue a coupon bond with a duration of 3 years to ensure that our portfolio has a Macaulay duration of zero.

How to Solve the Problem?

To ensure a Macaulay duration of zero, we need to match the duration of the coupon bond with the weighted average duration of the zero-coupon bonds in our portfolio.

Let's start by calculating the durations of the zero-coupon bonds:

For the two-year zero-coupon bond, the duration is equal to the time to maturity, which is 2 years.For the four-year zero-coupon bond, the duration is also equal to the time to maturity, which is 4 years.

Next, we need to calculate the weights of each bond in our portfolio. Since we are investing the same amount in each bond, the weights are equal and can be calculated as follows:

Weight of the two-year bond: $100,000 / ($100,000 + $100,000) = 0.5Weight of the four-year bond: $100,000 / ($100,000 + $100,000) = 0.5

Now, we can calculate the weighted average duration of the portfolio as follows:

Weighted average duration = (Weight of the two-year bond * Duration of the two-year bond) + (Weight of the four-year bond * Duration of the four-year bond)

Weighted average duration = (0.5 * 2) + (0.5 * 4) = 3

Therefore, we need to issue a coupon bond with a duration of 3 years to ensure that our portfolio has a Macaulay duration of zero.

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Captain's Cereal is considering introducing a variation of its current breakfast cereal, Crunch Stuff. This new cereal will be similar to the old, with the exception that it will contain sugar-coated marshmallows shaped in the form of stars. The new cereal will be called Crunch Stuff n' Stars. It is estimated that the sales for the new cereal will be $21 million; however, 15% of those sales will draw from former Crunch Stuff customers who have switched to Cruch Stuff n' Stars and who would not have switched if the new product had not been introduced. What is the relevant sales level to consider when deciding whether or not to introduce Crunch Stuff n' stars?

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The relevant sales level to consider when deciding whether or not to introduce Crunch Stuff n' Stars is the incremental sales level, which is the additional sales that will be generated by the new product beyond what would have been generated by the old product.

To calculate the incremental sales level, we need to subtract the sales that will be lost from former Crunch Stuff customers who switch to Crunch Stuff n' Stars from the total estimated sales of Crunch Stuff n' Stars.

In this case, 15% of the $21 million estimated sales, or $3.15 million, will be drawn from former Crunch Stuff customers who would not have switched if the new product had not been introduced.

Therefore, the relevant sales level to consider is the estimated sales of Crunch Stuff n' Stars minus the sales that will be lost from former Crunch Stuff customers who switch, which is $21 million - $3.15 million = $17.85 million.

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insider trading does not offer any advantages if the financial markets are: semi weak form efficient. inefficient. semistrong form efficient. weak form efficient. strong form efficient.

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Insider trading does not offer any advantages if the financial markets are

semi-strong form efficientstrong form efficientweak form efficientor inefficient.

Semi-strong form efficiency implies that all publicly available information is already reflected in stock prices. Thus, insider trading cannot offer any advantage as any private information is already reflected in the stock prices.

Similarly, strong form efficiency implies that all information, including insider information, is already reflected in stock prices. Inefficient markets provide opportunities for insider trading, but such trading is illegal.

Therefore, insider trading is not advantageous in any form of efficient markets or even in inefficient markets due to the illegality and potential legal consequences.

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ose who is well-liked by her peers, considered to be a thoughtful, and funny person may be high in _____ popularity. perceived sociometric status popularity peer-oriented

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Those who are well-liked by their peers, considered to be thoughtful and funny, may be high in perceived popularity among their peers.music is a part of all human communities and a cultural universal.

According to a broad definition, music is the process of combining form, harmony, melody, rhythm, and other expressive components with sound. Despite the fact that music is a part of all human communities and a cultural universal, there are many different ways that it is precisely defined around the world.

A form of art that uses timed sound is music. Another form of entertainment is music, which combines sounds in ways that listeners find pleasing, fascinating, or conducive to dancing. The majority of music is performed by people singing or playing instruments like the violin, piano, guitar, drums, or other percussion.

Hip-hop music is a rhythmic genre that was first created by DJs who took the percussion breaks from popular songs and extended them using two turntables.

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Someone who is well-liked by their peers, thoughtful, and funny is likely to be high in perceived sociometric status popularity.

This type of popularity reflects how much individuals believe they are liked and admired by others, based on their personality, behavior, and other factors. It is often associated with positive social skills, likability, and social competence.

Perceived popularity is different from sociometric status, which refers to an individual's actual social standing or position within a peer group, and from peer-oriented popularity, which is related to being popular or influential within a specific peer group or clique.

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Muggie and Lungowe Litooma, both in their 50s, have K100,000 to invest and plan to retire in 10 years. They are considering two investments. The first is a utility company common stock that costs K50 per share and pays dividends of K1 per share per year (a 2% dividend yield). Note that these dividends will be taxed. The Litoomas do not expect the value of this stock to increase. The other investment under consideration is a highly rated corporate bond that currently sells for K1,000 and pays annual interest at a rate of 2.5%, or K25 per K1,000 invested. After 10years, these bonds will be repaid at par, or K1,000 per K1,000 invested. Assume that the Litoomas keep the income from their investments but do not reinvest it (they keep the cash in a non-interest-bearing bank account). They will, however, need to pay income taxes on their investment income. They can either sell or hold onto the stock after 10 years if they buy it. If they buy the bonds, in 10 years they will get back the amount they invested. The Litoomas pay taxes according to the Zambian Tax Laws. Required: A i. Discuss the overall purpose people have for investing. Define investment. (3 Marks) B. ii. Divide a person's life from ages 20 to 70 into 10-year segments and discuss the likely saving or borrowing patterns during each period. (4 Marks) iii. As a student, are you saving or borrowing? Why? (3 Marks) Highlight on the investment policy of the Litooma's for the two investments (10 Marks) What are the pros and cons of the two investments based on your investment policy for Litooma? (5 Marks) What investment would you advise them to take and why (5) C. D.

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(A) Purpose: grow wealth over time. Investment: committing money or capital to an endeavor with the expectation of obtaining additional income or profit. (B) ii. Saving and borrowing patterns: Ages 20–30: borrowing phase; Ages 30–40: early saving phase; Ages 40–50: peak saving phase; Ages 50–60: late saving phase; Ages 60–70: retirement phase. iii. Student: borrowing to meet education costs.Investment policy: a. Utility company stock (Pros: Dividend income, potential for capital appreciation if the stock price increase. Cons: Dividends taxed, possible fluctuations in stock price, value might not increase as expected) b. Corporate bond ( Pros: Fixed interest payments, less volatile than stocks, repayment of principal at maturity. Cons: Lower yield compared to stocks, interest income taxed, vulnerable to interest rate changes). Highly rated corporate bond is suitable for Litooma.

A. The overall purpose people have for investing is to grow their wealth, preserve their purchasing power, generate income, and achieve financial goals such as retirement, education, or other life events. Investment can be defined as the allocation of money or capital into assets with the expectation of receiving future returns, such as interest, income, or an increase in value.
B ii.
Ages 20–30: borrowing time, focusing on education, starting a career, and possibly buying a first home.
Ages 30–40: Early saving time, focusing on reducing debt, starting a family, and investing for long-term goals.
Ages 40–50: peak saving time; maximizing earnings; paying off debts; and increasing investments for retirement.
Ages 50–60: late saving time, finalizing retirement preparations, and possibly helping children with their education.
Ages 60–70: Retirement time; drawing on savings and investments to support retirement living expenses.
iii. As a student, you are likely to borrow to finance your education and cover living expenses. You may also save money from part-time work or family support for future needs or emergencies.
Regarding the Litooma's investment policy, they should consider their risk tolerance, time horizon, and investment objectives before deciding between the two investments.
Pros and cons of the two investments:
- Utility company stock:
 The pros of investing in the utility company common stock include the potential for higher returns if the stock's price increases, a regular stream of dividend income, and the ability to sell the stock if needed.

The cons include the potential for stock price volatility, the tax implications of dividends, and the uncertainty of future dividend payments.
- Corporate bond:
The pros of investing in the highly rated corporate bond include the guaranteed principal repayment at maturity, a steady stream of interest income, and lower risk compared to the stock investment.

The cons include the lower potential for returns compared to the stock investment, the potential for tax implications on the interest income, and the need to hold the bond until maturity to receive the full principal repayment.
Based on their investment policy, the Litoomas should consider the highly rated corporate bond. This investment provides more stability, less volatility, and guarantees the repayment of their principal at the end of the 10-year term, which aligns with their retirement timeline.

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Last year Janet purchased a $1,000 face value corporate bond with an 7% annual coupon rate and a 15-year maturity. At the time of the purchase, it had an expected yield to maturity of 8.97%. If Janet sold the bond today for $1,157.74, what rate of return would she have earned for the past year? Do not round intermediate calculations Round your answer to two decimal places

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Janet earned a rate of return of 22.77% for the past year on her corporate bond investment. To calculate Janet's rate of return, we need to use the formula:

Rate of Return = (Ending Value - Beginning Value + Annual Interest) / Beginning Value

In this case, the beginning value is the face value of the bond, which is $1,000. The ending value is the amount Janet sold the bond for, which is $1,157.74. The annual interest is the coupon payment, which is 7% of $1,000, or $70.

Using the formula, we get:

Rate of Return = ($1,157.74 - $1,000 + $70) / $1,000 = 22.77%

This high rate of return can be attributed to the fact that Janet purchased the bond when its yield to maturity was lower than the current market rate. As interest rates rise, the value of existing bonds decreases, leading to higher returns for investors who purchased the bonds at lower rates.

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A company reports the following information for its first year of operations: Units produced this year 650 units Units sold this year 500 units Direct materials $750 per unit Direct labor $1,000 per unit Variable overhead ? in total Fixed overhead $308,750 in total If the company's cost per unit of finished goods using variable costing is $2,375, what is total variable overhead? $237,500 $75,000 $312,500 $406,250 $97,500

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total variable overhead is $406,250 . The correct answer is option D.

To calculate the total variable overhead, we can use the formula for variable costing, which is: Variable Cost per Unit = Direct Materials + Direct Labor + Variable Overhead

We are given that the cost per unit of finished goods using variable costing is $2,375. We also know that the direct materials cost is $750 per unit and the direct labor cost is $1,000 per unit.

Substituting these values into the formula, we get:$2,375 = $750 + $1,000 + Variable Overhead.Solving for Variable Overhead, we get:Variable Overhead = $2,375 - $750 - $1,000 = $625

Since we want the total variable overhead, we need to multiply this amount by the number of units produced, which is 650. Total Variable Overhead = Variable Overhead per Unit x Units Product.Total Variable Overhead = $625 x 650 = $406,250 . Therefore, the answer is option D: $406,250.

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Growth stocks consistently outperform value stocks. Select one: O True O False The n-period discount model is also known as the Gordon-growth model. Select one: O True O False Tracking error is defined as the degree to which the portfolio's returns deviate from those of the actual index. Select one: O True O False

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1. Growth stocks consistently outperform value stocks.
Answer: False


Explanation: While growth stocks may outperform value stocks in some periods, it is not consistent. Performance depends on market conditions and other factors, and there are times when value stocks can outperform growth stocks.

2. The n-period discount model is also known as the Gordon-growth model.
Answer: True


Explanation: The Gordon-growth model, also known as the n-period discount model or the Gordon Dividend Discount Model, is a model used to determine the intrinsic value of a stock based on a series of future dividends that grow at a constant rate.

3. Tracking error is defined as the degree to which the portfolio's returns deviate from those of the actual index.
Answer: True


Explanation: Tracking error measures the consistency of a portfolio's performance relative to its benchmark index. A low tracking error indicates that the portfolio is closely following the index, while a high tracking error suggests significant deviations in returns.

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The Taylor Corporation is using a machine that originally cost $66,000. The machine has a book value of $66,000 and a current market value of $40,000. The asset is in the Class 5 CCA pool that allows 35% depreciation per year. It will have no salvage value after 5 years and the company tax rate is 40 percent.
Jacques Detaille, the Chief Financial Officer of Taylor, is considering replacing this machine with a newer model costing $70,000. The new machine will cut operating costs by $10,000 each year for the next five years and will have a salvage value in year five of $5,000.
Taylor Corporation's cost of capital is 8 percent.
Should the firm replace the asset? What is your advice to Jacques? Use the NPV methodology to solve this problem. Organize and show all your work.

Answers

The NPV value is $1,872.31

The firm should replace the asset, as the NPV of the new machine is positive. My advice to Jacques is to proceed with the replacement.

To determine if Taylor Corporation should replace the machine, we'll calculate the Net Present Value (NPV) of the new machine and compare it to the old machine's NPV.

1. Calculate the tax shield from the depreciation of the new machine:
Depreciation expense = ($70,000 - $5,000) / 5 = $13,000 per year
Tax shield = Depreciation expense * Tax rate = $13,000 * 0.4 = $5,200 per year

2. Calculate the annual cash flows for the new machine:
Annual cash flow = Operating cost savings + Tax shield = $10,000 + $5,200 = $15,200

3. Calculate the NPV of the new machine:
NPV = Σ [Cash flow / (1 + Cost of capital)^t] - Initial investment
NPV = ($15,200 / 1.08) + ($15,200 / 1.08²) + ($15,200 / 1.08³) + ($15,200 / 1.08⁴) + (($15,200 + $5,000) / 1.08⁵) - $70,000
NPV ≈ $1,872.31

Since the NPV of the new machine is positive, it is a financially sound decision to replace the old machine with the new one.

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In 1840, what percentage of Americans lived west of the Appalachian Mountains? (See Foner, p. 333-35)40 percent50 percent60 percent70 percent

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According to historian Eric Foner in his book "Give Me Liberty!: An American History", in 1840, approximately 60 percent of Americans lived west of the Appalachian Mountains.

This was a significant increase from just a few decades earlier, when the majority of Americans lived in the eastern part of the country. The opening of new territories and the expansion of transportation networks, such as canals and railroads, contributed to this westward migration and settlement.The westward migration of Americans in the mid-19th century was driven by a combination of economic, social, and political factors. Many Americans were drawn to the opportunities for land ownership and agricultural production in the western territories, as well as the promise of new markets and resources for industry and trade. Others were seeking new beginnings and adventure, or were pushed westward by economic or social pressures in their home regions.

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Approximately 60% of Americans lived west of the Appalachian Mountains in 1840, according to historian Eric Foner's book "Give Me Liberty! : An American History."

When compared to a few decades ago, when the majority of Americans resided in the east, this was a significant increase. This westward movement of people and their settlement was facilitated by the opening of new lands and the development of transportation infrastructure like canals and railroads. Many Americans were drawn to the opportunities for land ownership and agricultural production in the western territories, as well as the promise of new markets and resources for industry and trade. Others were seeking new beginnings and adventure, or were pushed westward by economic or social pressures in their home regions.

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If you have questions regarding the list of required Data elements for prescriptions, you should refer to the ___ on ___

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If you have questions regarding the list of required data elements for prescriptions, you should refer to the "National Council for Prescription Drug Programs (NCPDP) SCRIPT Standard Implementation Guide" on the NCPDP website.

This guide outlines the required data elements for prescriptions and provides detailed information on the standards and procedures for transmitting prescription information electronically. It also includes instructions on how to format prescription data, ensuring that it is consistent and accurate across all pharmacies and healthcare providers.

By referring to this guide, you can ensure that your prescriptions meet the necessary requirements and are easily transmitted to the appropriate parties. The guide also provides helpful information on how to troubleshoot any issues that may arise when transmitting prescription data electronically.

In addition, it is important to stay up-to-date on any changes or updates to the NCPDP standards, as they are regularly updated to reflect changes in healthcare regulations and technology.

Overall, the NCPDP SCRIPT Standard Implementation Guide is a valuable resource for healthcare providers, pharmacists, and anyone involved in the prescription process. It provides clear guidelines and instructions on how to ensure that prescription data is accurate, consistent, and easily transmitted between all parties involved.

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what would happen to the equilibrium price and quantity of books if consumer incomes rise? (assume that books are a normal good.)

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If consumer incomes rise and books are considered a normal good, the equilibrium price and quantity of books would be Increase.
As consumer incomes increase, the demand for normal goods like books also increases. This is because people have more disposable income to spend on goods they desire. With an increase in demand for books, the demand curve shifts to the right. As a result, a new equilibrium point is established at a higher price and quantity level. Consequently, the equilibrium price of books would increase as there is now a higher willingness to pay for books. Additionally, the equilibrium quantity of books would also increase since more books are being demanded at the new equilibrium price.
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Is the Philippine state still relevant amid global
economic and political integrations? State 2 economic arguments and
counter arguments, and 2 political arguments and
counterarguments

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Contextualising the atrocities of slavery at the beginning of the essay includes information such as slavery how many people were taken from Africa to America and how they were treate is a rhetorical question that should be asked.

Include your thesis statement in the response if you can prove that slavery was established and perpetuated for economic reasons.Extend your argument by claiming that if it weren't for the need to make money, slavery would not have existed or been practised for so long.

Slaves symbolised low-cost, nearly free labour. Their output did not match that of those who were being paid. They were not paid in any way and were not allowed to relax because they had no rights at all. The first objection would be that racial and societal factors contributed to slavery. Here, your argument can claim that when white people realised they could benefit more by freeing slaves, race was no longer a problem.Race was an issue before, but not now.

Complete question:

Is the Philippine state still relevant amid global

economic and political integrations? State 2 economic arguments and counter arguments, and 2 political arguments and counterarguments

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Way back in Week 6 recall the purchase of your truck on credit at a rate of 8%, For our purposes today and in Week 11 of the course, the rate will be now referred to as:
Way back in Week 6 recall the purchase of your truck on credit at a rate of 8%, For our purposes today and in Week 11 of the course, the rate will be now referred to as: 
a.
interest rate
b.
cost of capital
c.
ordinary annuity
d.
cost of debt

Answers

The purchase of a truck on credit at a rate of 8% from Week 6, and now in Week 11, this rate is referred to as either cost of capital or cost of debt.

In the context of financing, the 8% rate associated with the purchase of the truck on credit can be referred to as the cost of debt. The cost of debt is the effective interest rate a company pays on its debts, such as loans, bonds, or lines of credit.

In this case, the truck was purchased on credit, and the interest rate charged for borrowing the money is 8%.

Cost of capital, on the other hand, refers to the weighted average cost of a company's debt and equity. It represents the required return a company needs to generate in order to satisfy its investors, both debt and equity holders.

While the cost of debt is a part of the overall cost of capital, it is essential to consider other sources of financing (such as equity) to calculate the complete cost of capital.

In summary, the 8% rate from Week 6, associated with purchasing the truck on credit, can be referred to as the cost of debt in Week 11. This is because it represents the interest rate charged on the borrowed money for the purchase.

Cost of capital is a broader term that includes both the cost of debt and the cost of equity, reflecting the overall required return for a company's investors.

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What are the impact, implications, advantages, and disadvantagesof acquisition via stock exchange?

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Acquisition via stock exchange can have significant impacts on the companies involved, with advantages such as financial benefits and increased market share, but also disadvantages like high costs and culture clashes.

What are the impact, implications, advantages, and disadvantagesof acquisition via stock exchange?

The impact, implications, advantages, and disadvantages of acquisition via stock exchange are as follows:

Impact:
Change in company control: The acquiring company gains control over the target company, leading to changes in management, policies, and business strategies.
Market reaction: The stock prices of both the acquiring and target companies may be affected, potentially benefiting or harming shareholders.

Implications:
Synergy: The combined company may achieve better operational efficiency, cost savings, or market reach.
Integration challenges: Merging two companies can be complex and time-consuming, potentially causing disruptions to daily operations.

Advantages:
Financial benefits: Acquisitions can lead to cost savings, higher revenues, and improved financial performance for the combined company.
Increased market share: The acquiring company can expand its market presence by gaining access to the target company's customer base and distribution channels.
Diversification: Acquiring a company in a different industry or market segment can help spread risk and reduce the impact of market fluctuations.

Disadvantages:
High cost: Acquisitions can be expensive, and there's a risk of overpaying for the target company.
Culture clashes: Differences in corporate culture between the two companies may lead to conflicts and reduced employee morale.
Regulatory hurdles: Mergers and acquisitions may be subject to regulatory approval, which can delay or prevent the transaction.

In summary, acquisition via stock exchange can have significant impacts on the companies involved, with advantages such as financial benefits and increased market share, but also disadvantages like high costs and culture clashes.

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Question 20 (3.3 points) Saved Robert constantly makes money on his stock investments by analyzing financial statements. This piece of evidence does not violate market efficiency. A) The semistrong-fo rm B) The weak-form C) All forms of D) The strong form

Answers

Saved Robert constantly makes money on his stock investments by analyzing financial statements. This piece of evidence does not violate market efficiency is B. the weak-form.

The weak-form of market efficiency states that all past trading information, such as stock prices and volume, is already reflected in current stock prices. Therefore, investors cannot consistently generate excess returns by analyzing historical price patterns. However, the weak-form does not account for fundamental analysis, which involves examining financial statements and other company-related information. In contrast, the semi-strong form of market efficiency suggests that all publicly available information, including financial statements, is already incorporated into stock prices. If the market were semi-strong form efficient, Robert would not be able to consistently make money through financial statement analysis.

The strong form of market efficiency posits that all information, public and private, is reflected in stock prices, making it even more difficult for investors like Robert to consistently generate excess returns. In conclusion, Robert's success in stock investments by analyzing financial statements does not violate the weak-form of market efficiency, as it only considers past trading information and not fundamental analysis. Saved Robert constantly makes money on his stock investments by analyzing financial statements. This piece of evidence does not violate market efficiency is B. the weak-form.

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canent global is interested in selling products on amazon. what is the first thing they should confirm?

Answers

The first thing Canent Global should confirm before selling products on Amazon is their eligibility to sell on platform. This includes understanding Amazon's policies, product restrictions, and registering for a seller account. By doing so, they can establish a strong foundation.


Amazon has specific requirements for sellers, so it's important for Canent Global to review the Amazon Services Business Solutions Agreement, which outlines their obligations and responsibilities as a seller. Additionally, they should familiarize themselves with Amazon's performance metrics and customer service standards to ensure they can meet the expectations of the marketplace.



Next, Canent Global should confirm if their products are allowed on Amazon by checking the platform's restricted products list. This list includes items that are prohibited or require approval before listing. Ensuring their products meet these guidelines will prevent potential issues with Amazon's policy enforcement.


Once Canent Global confirms their eligibility and product restrictions, they should register for a seller account. This process involves providing their business details, tax information, and bank account information for payment processing. During registration, they can choose between an individual or professional selling plan based on their anticipated sales volume and needs.

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Brady pays $37,450 for a new car, including a federal excise tax of $700 and a state sales tax of $1,750. The indirect business tax value added to GDP under the income approach for this purchase is a. $1,750 because only state taxes are included in indirect business taxes; federal taxes are excluded. b. $2,450 because this is income for the government. c. $700 because only federal taxes are included in indirect business taxes; state taxes are excluded. d. $2,450 because this is profit for the firm.

Answers

The indirect business tax value added to GDP under the income approach for this purchase is c. $700 because only federal excise taxes are included in indirect business taxes; state sales taxes are excluded.

Indirect business taxes are taxes that businesses pay on their production and that are not directly included in the price of the product. In this case, the federal excise tax is included in the indirect business taxes, but the state sales tax is not. Therefore, only the federal excise tax of $700 is added to the GDP under the income approach.

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9 A stock sells for $75 and a call and put together cost $9. The two options expire in one year and have an exercise price of $70. what is the current rate of interest?

Answers

The current rate of interest is 12.86%.To calculate the current interest rate we can use the formula for the cost of carry.

The cost of carry is the difference between the cost of holding an asset and the income earned from that asset, and it is calculated as the interest rate plus storage costs minus any income earned from the asset.In this case, we know that the stock sells for $75 and the options cost $9 together. The exercise price for the options is $70, which means that the options are in-the-money. To calculate the cost of carry, we need to find the income earned from holding the stock and subtract any storage costs.


Since we don't have information on storage costs, we can assume that they are negligible. The income earned from holding the stock is the difference between the current stock price and the exercise price, which is $75 - $70 = $5. Therefore, the cost of carry is $9 - $5 = $4.
To find the current rate of interest, we can rearrange the cost of carry formula as follows:
Interest rate = (Cost of carry - Storage costs + Income earned) / Exercise price
Assuming that storage costs are zero, we can substitute in the values we have:
Interest rate = ($4 + $5) / $70 = 0.1286 or 12.86%. Therefore, the current interest rate is 12.86%.

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Assignment/Report Guidelines: 1. Select a product or service 2. Write a marketing mix (4 P's) of the selected product or service 3. Identify the communication mix 4. Role of advertising especially social media 5. Identify the role of personal selling 6. Evaluate the influence of sales environment on sales strategy of the selected product or service 7. Write competitive analysis 8. Sales turnover and profitability in Sultanate of Oman for the year 2020 and 2021 9. Roles and responsibilities of Sales Employee 10. Compensation and performance assessment process 11. References

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The assignment requires the student to select a product or service, develop a marketing mix (4 P's), identify the communication mix, evaluate the role of advertising and personal selling, analyze the sales environment, conduct competitive analysis, and assess sales turnover and profitability in Oman for the years 2020 and 2021.

Additionally, the student is expected to describe the roles and responsibilities of sales employees and the compensation and performance assessment process.

This assignment is a comprehensive exercise that requires the student to apply marketing concepts to a real-world scenario. By selecting a product or service and developing a marketing mix, the student will gain an understanding of how product, price, promotion, and place interact to create a successful marketing strategy.

The communication mix and advertising strategy will help the student to understand how to reach the target audience effectively. Additionally, evaluating the influence of the sales environment and analyzing the competition will help the student to develop a successful sales strategy.

The assessment of sales turnover and profitability will provide valuable insight into the performance of the business in Oman, and the roles and responsibilities of sales employees and compensation and performance assessment process will help the student to understand the importance of a motivated sales team.

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Suppose Omni Consumer Products's CFO is evaluating a project with the following cash inflows. She does not know the project's initial cost; however, she does know that the project's regular payback period is 2.5 years. If the project's weighted average cost of capital (WACC) is 796, what is its NPV? Year Cash Flow Year 1 $275,000 Year 2 $475,000 Year 3 $500,000 Year 4 $450,000 O $486,847 O $359,843 O $423,345 O $465,680 Which of the following statements indicate a disadvantage of using the discounted payback period for capital budgeting decisions? Check all that apply. The discounted payback period does not take the project's entire life into account. The discounted payback period does not take the time value of money into account. The discounted payback period is calculated using net income instead of cash flows.

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The NPV of the project has a payback period of 2.5 years and the weighted average cost of capital (WACC) of 796 is $423,345. The statement indicating the disadvantage of using the discounted payback period for capital budgeting decisions is - The discounted payback period does not take the project's entire life into account.

A capital budgeting technique used to assess a project's profitability is the discounted payback period.

By discounting future cash flows and taking into account the time value of money, a discounted payback period calculates how many years it will take to recover the initial investment.

The metric is employed to assess a project's viability and profitability. The detailed calculation for NPV is attached below.

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1) Why is a change in required yield for a preferred stock likely to have a greater impact on price than a change in required yield for bonds?
2) These valuation models are based on investors’ required rates of return and their reflection in the prices of the assets. Does the change in price always occur according to the model?

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1) A change in required yield for a preferred stock is likely to have a greater impact on price than a change in required yield for bonds because preferred stocks have characteristics of both stocks and bonds.

They have fixed dividend payments like bonds, but also have the potential for appreciation like stocks. Therefore, changes in required yield will have a greater impact on the perceived risk and return of preferred stocks, causing a larger change in price.

2) The change in price does not always occur according to the model because valuation models are based on investors' assumptions and expectations, which can change rapidly due to various factors such as economic events, news, and market sentiment.

Additionally, market efficiency can cause prices to quickly adjust to new information, which may result in prices deviating from the valuation model. Therefore, while valuation models provide a framework for understanding asset prices, they are not always accurate predictors of actual prices.

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business firms that compete with each other not only in one business unit, but in a number of related business units are said to be engaging in

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Business firms that compete with each other not only in one business unit, but in a number of related business units are said to be engaging in "related diversification".

Related diversification is a strategy used by companies to expand their operations by entering into businesses that are related to their existing business. This allows them to leverage their existing resources, capabilities, and knowledge in new markets and product lines.

For example, a company that produces and sells smartphones may also enter the tablet market, leveraging its expertise in mobile devices to expand its product portfolio. Similarly, a company that produces and sells sports apparel may also enter the fitness equipment market, leveraging its brand and distribution network to expand into a related business.

The advantage of related diversification is that it allows companies to achieve economies of scale, reduce risk through diversification, and share resources across different business units. However, it also requires careful management to ensure that the different business units are integrated effectively and that the company's overall strategy is coherent and consistent.

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Foreign currency warrant
In what circumstances is this option useful to an MNC for
hedging FX risk exposures?

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A foreign currency warrant is a type of financial derivative that gives the holder the right, but not the obligation, to buy or sell a specified amount of a foreign currency at a fixed price on or before a specific date in the future

This option is useful to multinational corporations (MNCs) for hedging foreign exchange (FX) risk exposures in a variety of circumstances, including:

Future Payment: When an MNC has to make a payment in a foreign currency in the future, it can use a foreign currency warrant to lock in an exchange rate today, thereby avoiding the risk of adverse movements in the exchange rate before the payment is due.

Hedging Investment: When an MNC invests in a foreign country, it is exposed to exchange rate risk. A foreign currency warrant can be used to hedge against such risk by fixing the exchange rate at the time of investment, thereby eliminating any potential loss due to adverse exchange rate movements.

Foreign Debt: MNCs that borrow in a foreign currency face the risk of exchange rate movements. A foreign currency warrant can be used to hedge this risk by fixing the exchange rate at the time of borrowing.

Speculation: MNCs can use foreign currency warrants to speculate on the direction of exchange rates, thereby taking advantage of potential gains from favorable exchange rate movements.

In summary, foreign currency warrants can be a useful tool for MNCs to hedge FX risk exposures in various circumstances, including future payments, investment, foreign debt, and speculation. By locking in exchange rates, MNCs can avoid the risk of adverse movements in exchange rates and protect their cash flows and profits.

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the u.s. rule is seldom used in today's workplace. true or false

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False. The U.S. rule is still used in today's workplace. The U.S. rule is a legal principle that governs the payment of attorney's fees in lawsuits.

Under the U.S. rule, each party to a lawsuit is responsible for paying their own attorney's fees, regardless of who wins or loses the case. However, there are some exceptions to this rule, such as when a contract or statute provides for the payment of attorney's fees or when a party engages in bad faith conduct during the litigation.

The U.S. rule is still the default rule in most jurisdictions in the United States, although some states have adopted other approaches, such as the English rule, which allows the prevailing party to recover attorney's fees from the losing party.

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The given statement "the u.s. rule is seldom used in today's workplace" is False.

The "U.S. rule," also known as the employment-at-will doctrine, is still commonly used in today's workplace. This rule states that an employer can terminate an employee for any reason as long as it is not discriminatory or illegal. While some states have added exceptions to this rule, such as public policy or implied contracts, it remains the default in most states.Employment-at-will provides flexibility for both employers and employees.

Employers can easily adjust their workforce as business needs change without the burden of proving just cause for termination. Employees, on the other hand, can leave their job for any reason at any time without penalty.However, employment-at-will has been criticized for being too favorable towards employers and leaving employees vulnerable to unjust termination.

This has led to the development of employment laws and regulations that protect workers from discrimination, retaliation, and wrongful termination.Overall, while the U.S. rule may not be as absolute as it once was, it remains an important legal principle in today's workplace.

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ABC Corp has a strange dividend policy. They will not pay any dividends until 3 years from now. In year 3, they will pay $4/share. In year 4, they will pay $6/share. In year 5, they will pay $10/share. Then afterward, they will increase their dividend payments by 4%/year, forever. R=14%. Calculate the stock price.

Answers

The stock price of ABC Corp is approximately $20.47. To calculate the stock price, we need to find the present value of all the future dividends and the future stock price. We can use the dividend discount model for this purpose.

Let D1, D2, and D3 be the dividends per share that ABC Corp will pay in years 3, 4, and 5, respectively. Then, using the constant growth model, we can find the expected dividend per share in year 6 and beyond as:

D4 = D3 * (1 + 4%) = 10 * 1.04 = 10.4

D5 = D4 * (1 + 4%) = 10.4 * 1.04 = 10.81

D6 = D5 * (1 + 4%) = 10.81 * 1.04 = 11.24

and so on

Now we can use the dividend discount model to calculate the present value of all the future dividends and the future stock price:

P0 = (D1/(1+R)¹) + (D2/(1+R)²) + (D3/(1+R)³) + (D4/(1+R)⁴) + (D5/(1+R)⁵) + ((D6/(R-g))/(1+R)⁵)

where R is the required rate of return and g is the expected growth rate of dividends after year 5.

Plugging in the values, we get:

P0 = (4/(1+0.14)³) + (6/(1+0.14)⁴) + (10/(1+0.14)⁵) + (10.4/(1+0.14)⁶) + (10.81/(1+0.14)⁷) + ((11.24/(0.14-0.04))/(1+0.14)⁵)

P0 = 20.473

Therefore, the stock price of ABC Corp is approximately $20.47.

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What two stitching techniques are used to prevent stretching of the edges of the seamlines?​

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The two stitching techniques that are commonly used to prevent stretching of the edges of seamlines are staystitching and understitching. Staystitching is a line of stitching that is sewn within the seam allowance to stabilize the fabric and prevent it from stretching or distorting. Understitching is a line of stitching that is sewn on the facing side of a garment or other sewn item to help the facing lay flat and prevent it from rolling to the outside of the garment.

In a general sense, "cash flow can be said to equal A. Operating income minus taxes plus depreciation B. Operating income minus taxes C. Operating income before depreciation and taxes plus depreciation D. Operating income after taxes minus depreciation

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The correct answer is B. Operating income minus taxes.

Cash flow is the amount of money that is actually flowing in and out of a business, and it is a critical measure of a company's financial health.

Operating income is the amount of revenue a company generates from its normal business operations, minus the associated operating expenses.

Taxes are the mandatory payments a company has to make to the government based on its income.

When you subtract taxes from operating income, you get a figure that represents the company's operating cash flow, which is the amount of cash the company generates from its core business activities.

This measure is critical because it provides insight into the company's ability to generate cash from its operations, which is a key factor in determining its overall financial health.

Options A, C, and D are all variations of the formula for calculating cash flow, but they are not the correct answer to the question asked.

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A firm that plans to use a(n) ________ will add higher priced, higher quality items to its product line.
A) upward line stretch
B) limited-line strategy
C) undifferentiated strategy
D) marketing mix contraction
E) cannibalization strategy

Answers

A firm that plans to use an upward line stretch will add higher priced, higher quality items to its product line.

An upward line stretch involves adding products at the high end of a product line, which can help the firm appeal to customers who are looking for higher quality or more luxurious items. This strategy can help the firm differentiate itself from competitors and capture a larger share of the market.A limited-line strategy involves offering a narrow range of products, while an undifferentiated strategy involves offering a broad range of products with little differentiation. A marketing mix contraction involves reducing the number of products or marketing efforts in a product line, while a cannibalization strategy involves introducing a new product that competes with an existing product in the same product line.

Therefore, the correct answer is (A) upward line stretch.

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A firm that plans to use an "upward line stretch" will add higher priced, higher quality items to its product line. This strategy allows the firm to target new segments of the market, offering a wider range of products at varying price points and quality levels. Option A is correct.

Firms manufacture and offer a variety of products to their customers. A product line is when a business offers a set of related and similar products. Companies keep changing their product line with time and need of the customers.

Businesses and firms following the upward product line strategy usually operate the business at the lower-level product market. They follow the upward product line strategy when they start offering premium level products. An upward stretching decision is an ideal position and dream of many businesses. It’s because the businesses usually start with lower-level product line stretching and target the mass audience. When their business reaches the maturity stage, they introduce premium level products.

Thus, option A is the correct answer.

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