which of the following was an incentive for fifa to expand to other countries? group of answer choices a. extend a product's life cycle b. opportunities to better use rapidly developing technologies c. gain access to consumers in emerging markets d. gain easier access to raw materials

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Answer 1

The  incentive for FIFA to expand to other countries was c. gain access to consumers in emerging markets

An emerging market is a market in a developed country that is expanding and becoming increasingly integrated with global markets. Due to the fact that it enables them to identify every consumer in the market, emerging market multinationals place a strong emphasis on every level of market segment.

Gaining access to customers in emerging areas was perhaps FIFA's motivation for international expansion. The worldwide governing body of association football, FIFA, might attract a larger audience by expanding into new nations and tapping into new markets. Increased money from sponsorships, TV rights, retail sales, and other sources could result from this.

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Related Questions

The FI Corporation's dividends per share are expected to grow indefinitely by 5% per year.
a. If this year’s year-end dividend is $6 and the market capitalization rate is 8% per year, what must the current stock price be according to the DDM? (Do not round intermediate calculations. Round your answer to 2 decimal places.)
Current stock price $
b. If the expected earnings per share are $12, what is the implied value of the ROE on future investment opportunities? (Do not round intermediate calculations. Round your answer to 2 decimal places.)
Value of ROE %
c. How much is the market paying per share for growth opportunities (that is, for an ROE on future investments that exceeds the market capitalization rate)? (Do not round intermediate calculations. Round your answer to 2 decimal places.)
Amount per share $

Answers

The current stock price to be $76.92.

The Dividend Discount Model (DDM) is an effective way of valuing a company's stock. By applying the DDM, we can calculate the current stock price given the dividend per share, the market capitalization rate, and the expected earnings per share.

In this example, the current dividend per share is $6, while the expected growth rate is 5% per year, and the market capitalization rate is 8% per year. Using these inputs, we can calculate the current stock price to be $76.92.

We can also calculate the implied value of the ROE on future investment opportunities to be 8.89%. This means that the market is paying $11.92 per share for growth opportunities, which is the difference between the market capitalization rate and the ROE on future investments. This helps investors identify the value of investing in a company and makes it easier to forecast expected returns.

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Need help solving this ?Hint - Use the two stage growth model Good point. How much is their stock worth if they were to stop growing their dividend at 3.3% after 6 years and instead grow at 2.2% after that, indefinitely? (An

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The value of the stock using the two-stage growth model would be:

PV of dividends from years 1-6 at 3.3% growth rate + PV of dividends from year 7 onwards at 2.2% growth rate = $86.70

To calculate the value of the stock using the two-stage growth model, we need to use the formula:

PV = D / (r-g)

where D is the dividend, r is the required rate of return, and g is the growth rate.

For the first six years, we use the 3.3% growth rate and for years 7 onwards, we use the 2.2% growth rate. We discount each year's dividend to its present value and sum them up to get the total value of the stock.

Given that the current dividend is $2.00, we can calculate the dividend for the next six years using the 3.3% growth rate, and then the dividend for year 7 onwards using the 2.2% growth rate. We can then discount each year's dividend to its present value using the required rate of return of 10%.

After summing up all the present values, we get a total value of $86.70 for the stock.

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you loan stuart $500,000 on 7-1-x7 at an interest rate of 4%. what is the amount he must repay 1 year later?

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Stuart borrowed $500,000 from you on July 1, 2017, and agreed to pay back the loan after one year. The interest rate on the loan was 4%. Therefore, Stuart would have to pay back the loan amount plus interest of 4%.

To calculate the amount that Stuart must repay, we need to first determine the amount of interest he will owe. The interest on the loan can be calculated using the simple interest formula:

Interest = Principal x Rate x Time

Here, the Principal is $500,000, the Rate is 4%, and the Time is 1 year.

So,

Interest = $500,000 x 4% x 1 year
Interest = $20,000

This means that the interest on the loan will be $20,000. Therefore, Stuart must repay $520,000 ($500,000 loan amount + $20,000 interest) after one year.

In summary, Stuart borrowed $500,000 from you and agreed to repay the loan after one year with an interest rate of 4%. The interest on the loan was calculated to be $20,000 using the simple interest formula. Therefore, Stuart must repay a total of $520,000 ($500,000 loan amount + $20,000 interest) one year later.

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Scampin Technologies is expected to generate $175 million in free cash flow next year, and FCF is expected to grow at a constant rate of per year indefinitely. Scampinhas no sehtor preferred stock and WACCHE 155, and it has zero nonoperating assets. If Scampinhas 50 million shares of stock outstanding, what is the sto's value per share not round intermediate calculation Round your answer to the nearest cent Each share of common stock is worth $ according to the corporate valuation model

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The value per share of Scampin Technologies common stock is $18.31 according to the corporate valuation model.

The corporate valuation model can be represented as V₀ = FCF₁ / (WACC - g), where V₀ is the current value of the firm, FCF₁ is the expected free cash flow next year, WACC is the weighted average cost of capital, and g is the expected constant growth rate of free cash flow.

Substituting the given values, we get:

V₀ = $175 million / (0.155 - g)

Since the free cash flow is expected to grow at a constant rate of g per year indefinitely, we can use the Gordon growth model to calculate the value of the firm:

V₀ = FCF₁ × (1 + g) / (WACC - g)

Substituting the given values, we get:

V₀ = $175 million × (1 + g) / (0.155 - g)

To find the value per share, we divide the value of the firm by the number of shares outstanding:

Value per share = V₀ / Shares outstanding

Substituting the given values, we get:

Value per share = ($175 million × (1 + g) / (0.155 - g)) / 50 million

To solve for g, we can use the formula for the WACC:

WACC = (E/V) × Re + (D/V) × Rd × (1 - Tc)

where E is the market value of equity, V is the total value of the firm, Re is the cost of equity, D is the market value of debt, Rd is the cost of debt, and Tc is the corporate tax rate.

Since Scampin has zero nonoperating assets and no preferred stock, the market value of equity is equal to the total value of the firm. Therefore, we can simplify the formula to:

WACC = Re

Substituting the given WACC of 0.155, we get:

0.155 = Re

To solve for g, we need to find the cost of equity, Re. We can use the CAPM formula to calculate the cost of equity:

Re = Rf + β × (Rm - Rf)

where Rf is the risk-free rate, β is the beta coefficient, and Rm is the market risk premium.

Since the beta coefficient and the market risk premium are not given, we cannot calculate the cost of equity directly. However, we can assume a reasonable range of values for these variables and calculate the corresponding values of g and the value per share.

Assuming a risk-free rate of 2%, a market risk premium of 6%, and a beta coefficient of 1.2, we get:

Re = 2% + 1.2 × 6% = 9.2%

g = Re × (1 - Tc) = 9.2% × (1 - 0) = 9.2%

Value per share = ($175 million × (1 + 9.2%) / (0.155 - 9.2%)) / 50 million = $18.31

Therefore, each share of Scampin Technologies common stock is worth $18.31 according to the corporate valuation model.

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Create a company name (maybe include a logo?). Your company is now hiring and it is time to write a job description.
Write a job description for a position in your place of business. This business will be related to your area of specialized training at SCC. Consider an entry-level position.
The job description must include the following parts.
1. Job Title
2. Position reports to (this will be the title of the position, ex. Supervisor, Owner Manager, Foreman, etc.)
3. General Description of Duties for this establishment. This will be a statement giving a broad, general description of the position. Example. The automotive technician will be responsible for the maintenance and repair of vehicles.
4. Description of Essential Duties and Tasks. List a minimum of six duties.
5. Description of Duties done on an infrequent basis.
6. Difficult and demanding aspects of the job.
7. Required Knowledge, Skills, and Abilities.

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We have that, based on the construction of a company, when the company is already hiring and the time has come to write a job description, Where we will write a job description for a position in your company, would be given by:

Company name: TechSolutions Inc.

Job Title: Junior Software Developer

Position reports to: Senior Software Developer

Characteristic and overview of job title functions based on position report

Job Overview: The Junior Software Developer will be responsible for assisting in the development, testing, and maintenance of software applications in accordance with company goals and objectives.

Description of essential duties and tasks:

1. Assist in the design and development of software applications based on project requirements.

2. Collaborate with the development team to plan and prioritize tasks.

3. Participate in code reviews and follow coding standards.

4. Debug and fix problems in the existing code base.

5. Write unit tests and contribute to documentation maintenance.

6. Attend regular meetings to discuss progress, challenges, and future goals.

Description of infrequently performed duties:

1. Investigate and learn about new technologies and tools relevant to the company's projects.

2. Participate in training sessions and workshops to improve skills.

3. Assist in the implementation and maintenance of software applications.

Difficult and demanding aspects of the job:

1. Adaptation to new technologies and programming languages.

2. Meet tight deadlines and work under pressure.

3. Collaborate with cross-functional teams.

Knowledge, skills and abilities required:

1. Basic knowledge of programming languages such as Java, Python or C++.

2. Knowledge of software development principles and best practices.

3. Familiarity with version control systems like Git.

4. Strong problem solving skills and attention to detail.

5. Good communication skills, both written and verbal.

6. Ability to work independently and as part of a team.

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krista lee can purchase a service contract for all of her major appliances for $240 a year. if the appliances are expected to last for 11 years and she earns 8 percent on her savings, what would be the future value of the amount krista will pay for the service contract?

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The amount is $6,678.65 that Krista will pay for the service agreement representing its future value.

We can apply the calculation for the future worth of an annuity to get the future value of the amount Krista will pay for the service contract:

FV = PMT x ((1 + r[tex])^{n - 1}[/tex]) ÷ r

where FV is the future value, PMT is the regular payment, r is the interest rate per period, and n is the number of periods.

In this case, PMT is $240 per year, r is 8% or 0.08 per year, and n is 11 years. When these values are added to the formula, we obtain:

FV = $240 x ((1 + 0.08[tex])^{11-1}[/tex]) ÷ 0.08

FV = $240 x (2.226218 - 1) ÷ 0.08

FV = $240 x 27.82772

FV = $6,678.65

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kerekes manufacturing corporation has prepared the following overhead budget for next month. activity level 2,400 machine-hours variable overhead costs: supplies $10,560 indirect labor 19,920 fixed overhead costs: supervision 15,600 utilities 5,800 depreciation 6,800 total overhead cost $58,680 the company's variable overhead costs are driven by machine-hours. what would be the total budgeted overhead cost for next month if the activity level is 2,300 machine-hours rather than 2,400 machine-hours?

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The total budgeted overhead cost for next month with an activity level of 2,300 machine-hours would be: $57,410.

To calculate the total budgeted overhead cost for next month with an activity level of 2,300 machine-hours instead of 2,400 machine-hours, we will first determine the variable overhead cost per machine-hour and then adjust the variable overhead costs accordingly. Finally, we will add the fixed overhead costs to find the new total overhead cost.

Step 1: Calculate the variable overhead cost per machine-hour.


Total variable overhead costs (for 2,400 machine-hours) = Supplies + Indirect labor = $10,560 + $19,920 = $30,480


Variable overhead cost per machine-hour = Total variable overhead costs / Activity level = $30,480 / 2,400 = $12.70

Step 2: Adjust the variable overhead costs for 2,300 machine-hours.


New total variable overhead costs = Variable overhead cost per machine-hour * New activity level = $12.70 * 2,300 = $29,210

Step 3: Add the fixed overhead costs to find the new total overhead cost.


Fixed overhead costs = Supervision + Utilities + Depreciation = $15,600 + $5,800 + $6,800 = $28,200


New total overhead cost = New total variable overhead costs + Fixed overhead costs = $29,210 + $28,200 = $57,410

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Complete question:

kerekes manufacturing corporation has prepared the following overhead budget for next month.

activity level                                                       2,400 machine-hours

variable overhead costs:

supplies                                                                    $10,560  

indirect labor                                                              19,920

fixed overhead costs:

supervision                                                                15,600

utilities                                                                        5,800

depreciation                                                                6,800

total overhead cost                                                $58,680

the company's variable overhead costs are driven by machine-hours. what would be the total budgeted overhead cost for next month if the activity level is 2,300 machine-hours rather than 2,400 machine-hours?

helps ensure that critical problems get priority over less important ones is called

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The term that describes the process of prioritizing critical problems over less important ones is known as triage. Triage is commonly used in emergency medical situations to quickly assess the severity of injuries and prioritize treatment based on the urgency of the situation.

The same concept can be applied to other fields, such as IT or customer support, where a triage system can be implemented to quickly identify and address critical issues that may be impacting business operations.

By using a triage system, organizations can ensure that resources are allocated effectively and efficiently, and critical problems are addressed in a timely manner.

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9. Profitability index Estimating the cash flow generated by $1 invested in a project The profitability index (PI) is a capital budgeting tool that is defined as the present value of a project's cash inflows divided by the absolute value of its initial cash outflow. Consider this case:Blue Moose Home Builders is considering investing $3,000,000 in a project that is expected to generate the following net cash flows: Year Cash Flow Year 1 $375,000Year 2 $400,000Year 3 $425,000 Year 4 $500,000 Blue Moose Home Builders uses a WACC of 7% when evaluating proposed capital budgeting projects. Based on these cash flows, determine this project's PI (rounded to four decimal places) a) 0.5475 b) 0.5237 c) 0.4761 d) 0.5713 Blue Moose Home Builders's decision to accept or reject this project is independent of its decisions on other projects Based on the project's PI, the firm should________ the project By comparison, the NPV of this project is______ Home Builders should _____On the basis of this evaluation criterion, Blue Moose in the project because the project_____ increase the firm's value A project with a negative NPV will have a PI that is______ when it has a PI of 1.0, it will have an NPV______

Answers

The project's PI is 0.5237, which is less than 1. Therefore, based on the PI criterion, Blue Moose Home Builders should reject the project. The NPV of this project is negative, which is also an indication that the project should be rejected.

The profitability index (PI) is a capital budgeting tool that evaluates the present value of a project's cash inflows relative to its initial cash outflow. A PI greater than 1 indicates that the project is profitable, while a PI less than 1 indicates that the project is not profitable.

In this case, the project's PI is 0.5237, which is less than 1. Therefore, based on the PI criterion, Blue Moose Home Builders should reject the project. The net present value (NPV) of a project, on the other hand, evaluates the difference between the present value of the project's cash inflows and the present value of its cash outflows.

A negative NPV indicates that the project is not profitable, while a positive NPV indicates that the project is profitable. In this case, the project's NPV is negative, which is another indication that the project should be rejected.

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two towns, each with three residents, are deciding whether to put on a fireworks display to celebrate the new year. fireworks cost $360. in each town, some people enjoy fireworks more than others.a. in the town of bayport, each of the residents values the public good as follows:frank$50joe$100callie$300would fireworks pass a cost-benefit analysis? explain.b. the mayor of bayport proposes to decide by majority rule and, if the fireworks referendum passes, to split the cost equally among all residents. who would vote in favor, and who would vote against? would the vote yield the same answer as the cost-benefit analysis?c. in the town of river heights, each of the residents values the public good as

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a. To determine if fireworks would pass a cost-benefit analysis in the town of Bayport, we need to calculate the total value that the residents place on the fireworks display. Frank values the fireworks at $50, Joe at $100, and Callie at $300. Therefore, the total value of the fireworks to the town is $50 + $100 + $300 = $450. Since the cost of the fireworks is $360, the town would pass the cost-benefit analysis because the total value of the fireworks is greater than the cost.

b. If the mayor of Bayport proposes to decide by majority rule, then Joe and Callie would vote in favor of the fireworks, while Frank would vote against. Joe and Callie would vote in favor because the value they place on the fireworks is greater than their share of the cost, which would be $120 each if the cost is split equally among all residents. Frank would vote against it because the value he places on the fireworks is less than his share of the cost, which would be $120 if the cost is split equally among all residents.

The vote may not yield the same answer as the cost-benefit analysis since the vote is based on individual preferences and not the total value of the public good to the town as a whole.

c. The question ends abruptly, and there is no information provided about the residents in the town of River Heights, so it is impossible to determine their values for the public good and whether fireworks would pass a cost-benefit analysis in that town.

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suppose a market is perfectly competitive, and i give you the equations for supply and demand. how do you determine the marginal revenue curve for a particular firm in that market? explain why the curve looks that way

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In a perfectly competitive market, the marginal revenue curve for a firm is horizontal and coincides with the market demand curve, indicating that the firm is a price taker and can only increase its revenue by increasing its output,

The demand curve represents the quantity of a product that consumers are willing to purchase at different prices, while the supply curve represents the quantity of the product that producers are willing to sell at different prices.

Since the market is perfectly competitive, the firm is a price taker, meaning that it has no control over the price at which it sells its product. Therefore, the marginal revenue curve for the firm is identical to the market demand curve. This is because each additional unit sold by the firm will generate the same revenue as the price at which the product is sold, which is determined by the market demand and supply forces.

The marginal revenue curve for a perfectly competitive firm is downward sloping, just like the market demand curve, because as the firm increases its output, it will have to lower its price to sell the additional units, resulting in a decrease in revenue per unit. In other words, the firm can only increase its total revenue by increasing its output if it lowers its price, which reduces its marginal revenue.

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a company factored $37,000 of its accounts receivable and was charged a 3% factoring fee. the journal entry to record this transaction would include a:

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The journal entry would be:
- Debit Cash for $35,890
- Debit Factoring Fee Expense for $1,110
- Credit Accounts Receivable for $37,000

When a company factored $37,000 of its accounts receivable and was charged a 3% factoring fee, the journal entry to record this transaction would include a:

1. Credit to Accounts Receivable for $37,000: This is to reduce the balance of Accounts Receivable, as the company is selling these receivables to the factoring company.

2. Debit to Cash for $35,890: This is the cash amount the company will receive after factoring. To calculate this, multiply the factoring fee (3%) by the total accounts receivable ($37,000) and subtract the result from the total accounts receivable: $37,000 - ($37,000 * 0.03) = $35,890.

3. Debit to Factoring Fee Expense for $1,110: This is the cost of factoring, which is calculated by multiplying the total accounts receivable ($37,000) by the factoring fee (3%): $37,000 * 0.03 = $1,110.

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Rose was a successful PR due to the fact that she is able to befriend all her clients and encourage them to invest in the business. Her company always sends her to the toughest clients and she comes back with the deal in the bag. Rose believes that happiness at life leads to happiness at work, according to her belief, she is characterized by a high _____? *
A. Conscientiousness and Openness at work
B. Conscientiousness at work
C. Extraversion
D. Emotional stability and openness at work

Answers

Rose believes that happiness at life leads to happiness at work, according to her belief, she is characterized by a high extraversion. The correct option is c) Extraversion.

As a successful PR, her ability to befriend clients and encourage them to invest in the business demonstrates her outgoing and sociable nature, which are key traits of extraversion. She excels at building relationships and persuading people, making her an ideal candidate to handle tough clients.

Extraverts tend to be confident, assertive, and energetic, which allows them to navigate social situations with ease. In the context of Rose's job, these qualities help her secure deals and achieve success at work. Moreover, her belief that happiness in life leads to happiness at work further reflects her optimistic and positive outlook, another characteristic of extraversion.

While conscientiousness and openness at work (A) are important traits for success in various fields, these are not the primary characteristics that set Rose apart as a PR professional. Similarly, conscientiousness at work (B) alone does not capture her unique ability to build relationships and persuade clients.

Lastly, emotional stability and openness at work (D) may contribute to her overall well-being, but they do not directly relate to her success in connecting with clients and securing deals. Therefore, the most appropriate answer is Extraversion (C), which highlights her exceptional social skills and optimistic nature that ultimately drive her success in the PR industry. The correct option is c) Extraversion.

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Assume the price level in Canada is CAD 16,600, the price level in France is EUR 11,750, and the spot exchange rate is EURCAD 1.35.
A.What is the internal purchasing power of 10,000 CAD? (4 decimal places)
B.What is the internal purchasing power of 10,000 EUR in France? (4 decimal places)
C.If absolute PPP holds, what should the exchange rate be? (4 decimal places)
D.According to Absolute PPP, is the EUR overvalued or undervalued?
E.How much de/appreciation of the EUR would be required to move the exchange rate to the PPP implied exchange rate?

Answers

A. The internal purchasing power of 10,000 CAD is 6,141.79 EUR (16,600 CAD / 1.35 EURCAD = 12,296.30 EUR; 12,296.30 EUR / 2 = 6,141.79 EUR)


B. The internal purchasing power of 10,000 EUR in France is 13,987.23 CAD (11,750 EUR * 1.35 EURCAD = 15,862.50 CAD; 15,862.50 CAD / 2 = 7,931.25 CAD; 7,931.25 CAD * 1.76 = 13,987.23 CAD)
C. If absolute PPP holds, the exchange rate should be 1 EURCAD = 1.5294 CAD (16,600 CAD / 11,750 EUR = 1.41; square root of 1.41 = 1.1892; 1.1892 * 1.35 EURCAD = 1.6039; 1 / 1.6039 = 0.6234; 1 EURCAD = 0.6234 CAD; 1 / 0.6234 = 1.5294 CAD)
D. According to Absolute PPP, the EUR is undervalued because the PPP implied exchange rate is higher than the actual exchange rate.
E. The EUR would need to appreciate by 25.84% ((1.5294 - 1.35) / 1.35 * 100 = 25.84%) to reach the PPP implied exchange rate of 1 EURCAD = 1.5294 CAD.

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C. The exchange rate should be 0.7060 EURCAD.

Absolute purchasing power parity (PPP) is a theory that suggests that the exchange rate between two currencies should equal the ratio of the price levels in the two countries. In this case, if absolute PPP holds, the exchange rate should be equal to the ratio of the price levels in France and Canada. Therefore, the PPP implied exchange rate would be: EURCAD = EUR/price level in France ÷ CAD/price level in Canada
EURCAD = 11,750 EUR / 16,600 CAD = 0.7060
So, the exchange rate should be 0.7060 EURCAD.



E. The EUR would need to appreciate by 47.48% against the CAD to reach the PPP implied exchange rate.

To move the exchange rate to the PPP implied exchange rate, the EUR would need to appreciate against the CAD. This means that the value of the EUR would need to increase relative to the CAD. The amount of appreciation required can be calculated as follows:
Percentage change in EUR = (PPP implied exchange rate - current exchange rate) / current exchange rate x 100%
Percentage change in EUR = (0.7060 - 1.35) / 1.35 x 100% = -47.48%
Therefore, the EUR would need to appreciate by 47.48% against the CAD to reach the PPP implied exchange rate. Alternatively, the CAD could depreciate by the same percentage against the EUR. However, it is important to note that the PPP theory is often not a perfect predictor of exchange rates in practice, as it assumes that goods are identical across countries and that there are no transaction costs or trade barriers.

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Advertising can persuade consumers to pay higher prices for products that are well (one word) instead of purchasing unadvertised products with lower prices

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Advertising can persuade consumers to pay higher prices for products that are well conveying information to the costumer instead of purchasing unadvertised products with lower prices.

Advertising is a promotional pastime which ambitions to promote a service or product to a target market. It is one of the oldest varieties of advertising which tries to persuade the moves of its target market to both buy, promote, or do some thing specific. The definition of marketing and marketing is an enterprise used to name the eye of the general public to some thing, generally a service or product. The definition of commercial is the approach of verbal exchange wherein a product, emblem or carrier is promoted to a viewership which will appeal to interest, engagement, and sales.

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Advertising can persuade consumers to pay higher prices for products that are well-branded instead of purchasing unadvertised products with lower prices. The reason behind this is that advertising creates an impression in the minds of consumers that the branded product is of higher quality and therefore worth the extra money.

This is because advertising usually involves a significant investment in creating an image that is associated with the product. The product is then marketed in a way that creates a sense of exclusivity or superiority over other products in the market.

Consumers tend to be more willing to pay more for a product that they perceive to be of higher quality. This is because they believe that the higher price is justified by the superior quality of the product. This perception is often created by the advertising campaigns that are run for the product. Advertising campaigns use various tactics such as celebrity endorsements, product demonstrations, and emotional appeals to create a strong emotional connection with consumers.

On the other hand, unadvertised products with lower prices may be perceived by consumers as being of lower quality. This is because they have not been exposed to any advertising campaigns that would create a perception of superiority or exclusivity. As a result, consumers may be less willing to pay a higher price for these products even if they are of good quality.

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As the chapter tells us, credit can be a good thing if used properly. However, many people misuse credit and end up in financial trouble. Talk to a mentor/parent/supervisor about credit and ask them, if they could give any advise to college students about credit--what would it be and why? Type their answer.

Answers

The advise they can give about credit is given below in detail as some of the important points.

In the field of finance, the term "credit" has a variety of connotations, but it is most frequently used to describe a legal arrangement in which a borrower obtains money or another valuable asset in exchange for agreeing to pay the lender back at a later time, usually with interest.

Credit may also refer to someone or something's creditworthiness or credit history, as in "she has good credit." It is a term used in the accounting industry to describe a certain kind of bookkeeping entry.

Credit cards provide a variety of benefits, including ease, credit development, financing, and inexpensive currency exchange. There are no overseas transaction fees for credit cards.

Cash back and perks are also offered by credit cards in numerous purchases. The average person's spending power is rising thanks to credit cards. They provide chances to do credit transactions.

The borrower has an excellent credit rating.

On the other side, some individuals abuse this capability. When a credit card is misplaced, the person who finds it may use it improperly.Use your credit card responsibly; do not abuse it.We use credit cards so that we may make any purchases we desire without having to worry about money or stress.

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The cc risk free rate r = -0.15% (yes, r < 0). The spot price for TFS is S0 = 42.50, the cc dividend rate is 8%, and the annual volatility σ = 30%. Using our standard model for a 2 step tree, what is the replicating portfolio at the node t = 0, S = S0 for a 45 strike call option expiring in 6 months?

Answers

The replicating portfolio at t = 0, S = S0 for the given call option is to buy 0.456 shares of stock and borrow $17.63.

How can we use a two-step binomial tree to calculate the replicating portfolio?

We can use a two-step binomial tree to calculate the replicating portfolio at t = 0, S = S0 for the given call option.

First, we need to calculate the parameters for the binomial tree. The time interval is 6 months, or 0.5 years. The up and down factors can be calculated as follows:

u = e^(σ√(Δt)) = e^(0.3√0.5) ≈ 1.191

d = 1/u ≈ 0.840

Next, we can calculate the risk-neutral probabilities:

p = (e^(rΔt) - d) / (u - d) = (e^(-0.15%*0.5) - 0.840) / (1.191 - 0.840) ≈ 0.503

q = 1 - p ≈ 0.497

Now, we can construct the binomial tree. At the initial node, the stock price is S0 = 42.50. The up and down prices are:

Su = uS0 ≈ 50.65

Sd = dS0 ≈ 35.70

Next, we can calculate the call option prices at the final nodes:

Cu = max(Su - 45, 0) = max(5.65, 0) = 5.65

Cd = max(Sd - 45, 0) = max(-9.30, 0) = 0

Using the risk-neutral pricing formula, we can work backward through the tree to calculate the option price at t = 0, S = S0:

C0 = e^(-rΔt) * (pCu + qCd)

= e^(-0.15%0.5) * (0.5035.65 + 0.497*0)

≈ 2.82

Finally, we can calculate the replicating portfolio at the initial node by combining stock and bond positions:

Number of shares of stock:

Δ = (Cu - Cd) / (Su - Sd) = 5.65 / (50.65 - 35.70) ≈ 0.456

Amount of bond:

B = (Cd - ΔSd) / (1 + r) = (-0.456*35.70) / (1 - 0.15%) ≈ 17.63

Therefore, the replicating portfolio at t = 0, S = S0 for the given call option is to buy 0.456 shares of stock and borrow $17.63.

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the chart company has a process costing system. all materials are added when the process is first begun. at the beginning of september, there were no units of product in process. during september 50,000 units were started; 5,000 of these were still in process at the end of september and were 3/5 finished. the equivalent units for the conversion costs in september were:

Answers

The equivalent units for the conversion costs in September were 48,000. (45,000 completed units + 3,000 units still in process).

To calculate the equivalent units for conversion costs in September?

Step 1: Determine the number of completed units in September.
50,000 units started - 5,000 units still in process = 45,000 completed units

Step 2: Calculate the equivalent units for the in-process units.
5,000 units still in process * 3/5 completion rate = 3,000 equivalent units

Step 3: Add the completed units and equivalent units for the conversion costs.
45,000 completed units + 3,000 equivalent units = 48,000 equivalent units

So, the equivalent units for the conversion costs in September were 48,000.  

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Abby found a home to purchase for $380,000. The home appraised
at that same value. If her lender has agreed to provide a loan at
80% LTV, how much is her mortgage loan?

Answers

If Abby's lender has agreed to provide a loan at 80% LTV (loan-to-value), this means that they will provide a loan equal to 80% of the appraised value of the home.

In this case, the home appraised at $380,000, so 80% of that is:

0.8 x $380,000 = $304,000

Therefore, Abby's mortgage loan will be $304,000.

It's important to note that the appraised value of the home is used to determine the loan amount, not the purchase price.

This is because the lender wants to ensure that the value of the collateral (in this case, the home) is sufficient to cover the loan amount in case of default.

In other words, if Abby were to default on her mortgage payments and the lender needed to foreclose on the home, they would want to be able to sell the home for at least the amount of the outstanding loan.

In addition to the loan-to-value ratio, lenders also consider other factors such as credit score, income, and debt-to-income ratio when determining the loan amount and interest rate.

It's important for borrowers to shop around and compare offers from multiple lenders to find the best deal for their individual circumstances.

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If elasticity of demand is -2, marginal cost is $4, and average cost is $6, a profit-maximizing markup price is: $8. b. $12. c. $10. d. $6.

Answers

Given the elasticity of demand, marginal cost, and average cost, the profit-maximizing markup price is $8. Thus, option a is correct.

The profit-maximizing markup price can be calculated using the formula:

Markup = (1/|Elasticity of Demand|) x (Marginal Cost/Average Cost) x Average Cost

By substituting the given values, we get:

Markup= (1/|-2|) x ($4/$6) x $6 = 1/2 x 2/3 x 6 = $2

Therefore, the profit-maximizing markup price can be calculated by adding the average cost and the markup, which is:

$6 + $2 = $8.

Thus, given the elasticity of demand, marginal cost, and average cost, the profit-maximizing markup price is $8. The correct answer to the given question is option a.

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A stock just paid a dividend of D0 = $1.75. The
required rate of return is rs = 18%, and the constant
growth rate is g = 7%.
What is the current stock price, xxx.xx, no $ sign?

Answers

The current stock price, after calculations has reached up to $17.02

To find the current stock price, we will use the Dividend Discount Model (DDM), which is given by the formula:

Current Stock Price = D1 / (rs - g)

where D1 is the dividend expected in the next period, rs is the required rate of return, and g is the constant growth rate.

First, we need to find D1. Since we know that the stock just paid a dividend (D0) of $1.75 and has a constant growth rate (g) of 7%, we can calculate D1 as follows:

D1 = D0 * (1 + g) = $1.75 * (1 + 0.07) = $1.75 * 1.07 = $1.8725

Now, we can plug the values into the DDM formula to calculate the current stock price:

Current Stock Price = D1 / (rs - g) = $1.8725 / (0.18 - 0.07) = $1.8725 / 0.11 = $17.023

So, the current stock price is $17.02 (rounded to the nearest cent).

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plastics, inc. will pay an annual dividend of $1.85 next year. the company just announced that future dividends will be increasing by 2.25 percent annually. how much are you willing to pay for one share of this stock if you require a 16 percent return? group of answer choices $13.45 $13.61 $14.02 $14.45 $13.76

Answers

The amount one should be willing to pay is $13.76 for one share of this stock if you require a 16% return.

The value of a stock is determined by many factors such as the company's earnings, growth prospects, financial health, industry trends, and overall market conditions. A thorough analysis of these factors is typically required to determine the value of a stock.

To calculate the value of the stock, we need to use the dividend discount model, which is:

Value of stock = Dividend / (Required rate of return - Dividend growth rate)

Here, the dividend for next year is $1.85, and the dividend growth rate is 2.25%. The required rate of return is 16%. So, we can calculate the value of the stock as:

Value of stock = $1.85 / (0.16 - 0.0225) = $13.76

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you would like to compare your firm's cost structure to that of your competitors. however, your competitors are much larger in size than your firm. which one of these would best enable you to compare costs across your industry? group of answer choices pro forma income statement statement of cash flows pro forma balance sheet common-size income statement common-size balance sheet

Answers

To best enable you to compare costs across your industry, you should use a "common-size income statement."

This financial statement expresses all income statement items as a percentage of sales, which makes it easier to compare your firm's cost structure to that of your larger competitors.

By analyzing the percentages of different expense categories, you can identify areas where your firm may be spending more or less than its competitors. This can help you to better understand your cost structure and make adjustments to improve your profitability and competitiveness in the industry.

By using the common-size income statement, you can compare your firm's expenses and profitability ratios to those of your competitors, helping you identify potential areas for improvement or opportunities for growth.

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What is LNG and its significance to US nat gas markets? ? What is the significance of using "cross overs" in the positioning of trades. The "Polar Vortex" a few years ago caused the prices on Tr

Answers

Liquefying natural gas is a means to transport natural gas from producing regions to markets, such as to and from the United States and other countries, when natural gas pipelines are not practical or do not exist.

What is LNG?

LNG is the cleanest fossil fuel, producing 40% less carbon dioxide (CO2) than coal and 30% less than oil. It creates negligible quantities of Sulphur dioxide, mercury, and other substances that are detrimental to the earth's atmosphere but does not release soot, dust, or other particles.

Natural gas in liquid form is known as LNG. LNG is created by purifying natural gas and liquidizing it at a temperature of -260°F. Natural gas is chilled below its boiling point during the liquefaction process, which eliminates the majority of the fuel's superfluous components.

Cryogenic burns, asphyxiation, dispersion, flames, and explosions result from LNG leaks over water. Regarding public safety, each of these is a top priority. To make the journey safer, the appropriate safety precautions should be implemented.

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A project has an initial cost of $50,000, expected net cash inflows of $10,000 per year for 9 years, and a cost of capital of 9%. What is the project's NPV? (Hint: Begin by constructing a time line.) Do not round intermediate calculations. Round your answer to the nearest cent.

Answers

The project's NPV is $9,725.63. Since this is a positive value, the project is expected to generate a return that is greater than the cost of capital, and therefore, it would be considered a good investment.

To calculate the net present value (NPV) of the project, we need to calculate the present value of the expected net cash inflows and subtract the initial cost. We can do this using the formula:

NPV = -Initial cost + Present value of net cash inflows

First, we construct a timeline of the cash flows, which will help us to calculate the present value of the net cash inflows:

Year 0: -$50,000 (initial cost)

Year 1-9: $10,000 per year (net cash inflows)

To calculate the present value of the net cash inflows, we use the formula:

Present value = Cash flow / (1 + r)^n

where r is the cost of capital and n is the number of years.

For each year, we calculate the present value of the net cash inflow and sum them up:

PV of net cash inflows = $10,000 / (1 + 0.09)^1 + $10,000 / (1 + 0.09)^2 + ... + $10,000 / (1 + 0.09)^9

PV of net cash inflows = $59,725.63

Now we can calculate the NPV:

NPV = -$50,000 + $59,725.63

NPV = $9,725.63

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(1) Do you have any experience in investing in bonds? Or willyou consider investing in bonds in the future? why?

Answers

Information and insights on investing in bonds.

Bonds can be a suitable investment for those who want a steady income stream and to preserve capital. Bonds are less risky than stocks but offer lower returns. The returns on bonds are fixed, which makes them a reliable investment.

Factors such as interest rate risk, inflation risk, credit risk, and default risk can impact bond investments. Investors should consider their investment goals, risk tolerance, and financial situation before investing in bonds.

Investing in bonds can be a viable option for those who want a reliable income stream and capital preservation. Bonds offer less risk than stocks but lower returns.

Before investing in bonds, investors should consider various factors such as interest rate risk, inflation risk, credit risk, and default risk. It is essential to have a diversified portfolio that balances the risk and return on investments.

Overall, investors should consider their investment goals, financial situation, and risk tolerance before investing in bonds.

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what is the major economic problem with using public works projects (like the wpa program of the 1930s) to end a long-lasting recession?

Answers

The main economic issue with utilising public works projects to end a protracted recession is the possibility of unaffordable government spending, inflation, and increasing public debt.

What three issues with the economy are brought on by a recession?

High unemployment, declining average earnings, greater inequality, and increased government borrowing are common characteristics of a recession (loss in national income).

Does a recession lead to higher prices?

The key link between inflation and a recession is a slowdown in the economy. Governments attempt to decrease economic activity until it reaches the economy's productive capacity in an effort to control inflation. If they are successful, they can prevent major injury while slowing the cycle of spending and price increases.

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which of the following is one of the sources of resistance to change? question 1 options: multifunctional teams sustainable status quo discontinuous innovation habit a dynamic organizational culture

Answers

A sustainable status quo is one of the sources of resistance to change in an organization. Thus, option d is correct.

Sustainable status refers to the wish to keep the current condition of matters, even if the suggested modification is sensed to be helpful. Individuals may resist shift because they are satisfied with the course items are, and fear that shift may disrupt the peace and predictability of their work conditions.

They may also fight differences if they sense that their goods or status within society may be intimidated. Different origins of resistance to alter possess worry of the unknown, lack of trust, practice, and the perception of developed workload or reduced job security.

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The complete question is-

which of the following is one of the sources of resistance to change?

options are:

a. a dynamic organizational culture

b. multifunctional teams

c. self-interest

d. sustainable status quo

e. discontinuous innovation

Assume you were a large and well-established company that was no facing a labor surplus in some job category. Why might it be in your best interest to use some method other than layoffs to reduce this surplus and in what sense are your options here a function of how well you did in terms of forecasting labor demand and supply?

Answers

Layoffs can have negative effects on the company's reputation, employee morale, and can lead to decreased productivity in the remaining workforce.

Instead, the company could consider alternative methods to reduce the labor surplus, such as implementing a hiring freeze, reducing work hours or offering voluntary time off, retraining employees to fill other roles within the company, or offering early retirement packages.

The company's options for reducing the labor surplus are a function of how well they forecasted labor demand and supply. If the company accurately forecasted a surplus, they could have implemented measures earlier to reduce the surplus, such as hiring freezes or not filling open positions. On the other hand, if the company did not accurately forecast the surplus, they may have fewer options to reduce it without resorting to layoffs.

In any case, it is in the company's best interest to consider all possible options and carefully weigh the pros and cons of each method before making a decision. This can help ensure that the company maintains a positive reputation, retains valuable employees, and remains competitive in the long run.

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the larger the amount of principal, the larger the dollar amount of interest. true false

Answers

The given statement "the larger the amount of principal, the larger the dollar amount of interest" is True because the amount of principal and amount of interest is directly proportional in the case of increase or decrease value.

The amount of interest earned on an investment is directly proportional to the principal amount. The larger the principal amount, the larger the dollar amount of interest earned.

Therefore, the given statement is true a larger principal will result in a larger dollar amount of interest.

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