Assume that the bond's call yield is r. If the bond is called in five years, the cash flows' current value is as follows: $1,100 = $50 * (1 + r / 2)^10 + $1,000 * (1 + r)^(-5) / (1 + r / 2)^10, where the exponent 10 denotes the total number of coupon payments made over a five-year period and the coupon payment equals $50. Rounding to four decimal places, the yield to call is 0.0632, or 6.32%.
Yield to call (YTC) is a metric for the total return anticipated on a bond if it is held until the issuer calls it, as opposed to holding it until maturity. A bond that allows the issuer the choice to redeem it before the bond reaches maturity is called a callable bond. The call price, which is typically greater than the bond's face value, will be paid to the investor if the bond is called. The yield to call is the discount rate at which the market price of the bond is equal to the estimated future cash flows from the bond, including the call price.
Learn more about Yield to call here:
https://brainly.com/question/8199729
#SPJ4
suppose you and most other investors expect the inflation rate to be 6% next year, to fall to 4% during the following year, and then to remain at a rate of 3% thereafter. assume that the real risk-free rate, r*, will remain at 2% and that maturity risk premiums on treasury securities rise from zero on very short-term securities (those that mature in a few days) to a level of 0.2 percentage points for 1-year securities. furthermore, maturity risk premiums increase 0.2 percentage points for each year to maturity, up to a limit of 1.0 percentage point on 5-year or longer-term t-notes and t-bonds. calculate the interest rate on 1-, 2-, 3-, 4-, 5-, 10-, and 20-year treasury securities.
The interest rates on the treasury securities are 8.2%, 7.4%, 6.6%, 5.8%, 6.0%, 7.0%, and 9.0% for 1-, 2-, 3-, 4-, 5-, 10-, and 20-year maturities, respectively.
To calculate the interest rates on treasury securities, we need to add the expected inflation rate and the maturity risk premium to the real risk-free rate:
For 1-year treasury securities: r = r* + IP + MRP = 2% + 6% + 0.2% = 8.2%
For 2-year treasury securities: r = r* + IP + MRP = 2% + 5% + 0.4% = 7.4%
For 3-year treasury securities: r = r* + IP + MRP = 2% + 4% + 0.6% = 6.6%
For 4-year treasury securities: r = r* + IP + MRP = 2% + 3% + 0.8% = 5.8%
For 5-year treasury securities: r = r* + IP + MRP = 2% + 3% + 1.0% = 6.0%
For 10-year treasury securities: r = r* + IP + MRP = 2% + 3% + 1.0% + 0.2%*(10-5) = 7.0%
For 20-year treasury securities: r = r* + IP + MRP = 2% + 3% + 1.0% + 0.2%*(20-5) = 9.0%
Learn more about treasury securities here: https://brainly.com/question/16911952
#SPJ1
example 1: you read about a corrupt bargain by a government official on website that circulates gossips. you later relate the official to this news though the source was not authentic. example 2: you are persuaded by a likeable communicator though the information presented by him was illogical. example 3: you judge the messages passed on by a salesperson by relating them to your own beliefs and goals. example 4: you watch an advertisement that preaches the qualities of an air conditioner many times. gradually, you start believing the information though it's not reliable. a. example 1 b. example 2 c. example 3 d. example 4
The answer is example 2, it is an example that relates to superficial message processing.
What does superficial message processing entail?According to definition, superficial processing is a simple form of cognitive processing in which people don't put much thought or time into coming up with an answer (see Chaiken and Trope, 1999).
What does acting in a superficial manner mean?Someone is shallow if they don't think critically and don't understand anything serious or vital, in your opinion. [disapproval] This man has any intelligence at all and is a shallow yuppie. Synonyms include shallow, frivolous, and empty-headed. More words that could be used to describe superficial.
To know more about Superficial Message visit:
https://brainly.com/question/13984714
#SPJ4
four firms called elm, maple, oak, and cherry, produce wooden chairs. however, they also produce a great deal of garbage (a mixture of glue, varnish, sandpaper, and wood scraps). the first row of table 12.6 shows the total amount of garbage (in tons) that each firm currently produces. the other rows of the table show the cost of reducing garbage produced by the first five tons, the second five tons, and so on. first, calculate the cost of requiring each firm to reduce the weight of its garbage by one-fourth. now, imagine that the government issues marketable permits for the current level of garbage, but the permits will shrink the weight of allowable garbage for each firm by one-fourth. what will be the result of this alternative approach to reducing pollution?
The result of issuing marketable permits for the current level of garbage is that the four firms will be able to buy and sell permits, allowing them to reduce costs while still meeting their pollution reduction goals.
This means that the firms can buy permits from other firms that are producing less garbage, or sell them to firms producing more. This creates an economic incentive for reducing pollution, as the firms have an incentive to reduce pollution in order to be able to sell their permits for a higher price.
This economic incentive encourages firms to find ways to reduce their pollution and become more efficient, rather than just paying fines for exceeding the limits.
Ultimately, this approach to reducing pollution provides a much more efficient and effective means of achieving the same environmental goals.
To learn more about incentive visit:
https://brainly.com/question/20555242
#SPJ4
how would the local economy of a coastal community most likely be impacted if a hurricane made landfall and destroyed homes and restaurants?
If a hurricane made landfall and destroyed homes and eateries, it would most likely have an effect on the local economy of a coastal community. It would have a negative effect.
As a result of the disruption to business and potential emigration of certain inhabitants, tax revenues fall right after a storm. Although an influx of relief offers a temporary respite, storm-affected communities see their revenue sources erode as residents leave and property prices and economic activity fall.
Different disasters have different economic effects. Roads, dams, bridges, factories, schools, and other capital assets and infrastructure are lost. Due to the loss of lives and skilled personnel, human capital is being drained.
To learn more about Hurricanes :
https://brainly.com/question/4218250
#SPJ4
relevant subject matter expertise helps a leader: multiple choice avoid criticism. reduce complexity. end complacency. build a team, set the right goals, and achieve results.
Major organisation leaders frequently have technical knowledge in their field, earning them the respect of their peers and the capacity to lead with credibility.
What does leadership expertise entail?The capacity for delegation, inspiration, and good communication are all important leadership traits. Honesty, assurance, dedication, and innovation are further qualities of a leader. IT leaders are sometimes expected to be masters of all trades.
Why is knowledge so crucial?The capacity to acquire expert power comes with competence. When used effectively, expert power gains the respect and trust of others, which makes it simpler to motivate people and win their support for new initiatives. This can be quite satisfying and give your work a lot of meaning.
To know more about leaders visit:-
https://brainly.com/question/15868646
#SPJ4
which of the following is not a step in the risk management process? multiple choice question. develop plans to mitigate risk. create an activity-system map. assess the potential impact of the risk. identify sources of potential disruptions.
Create an activity-system map is not a step in the risk management process.
Why do we use risk management?
The process of locating, tracking, and managing possible risks in order to lessen the negative effects they might have on a company is known as risk management in the business world. Security flaws, data loss, cyberattacks, system malfunctions, and natural calamities are a few examples of potential dangers.
What kind of risk management is that?
As an illustration, a business might decide against keeping sensitive data on its computer systems in order to limit the possible harm from a data breach.
A business could strengthen its technical controls and network supervision in order to prevent or lessen a cyber assault. A business may decide to get an insurance policy to shift the risk.
Learn more about the risk management process
brainly.com/question/30106015
#SPJ4
which of the following statements is correct? a. the balance sheet for a given year is designed to give us an idea of what happened to the firm during that year. b. the difference between the total assets reported on the balance sheet and the liabilities reported on this statement tells us the current market value of the stockholders' equity, assuming the statements are prepared in accordance with generally accepted accounting principles (gaap). c. the assets section of a typical company's balance sheet begins with cash, then lists the assets in the order in which they will probably be converted to cash, with the longest-lived assets listed last. d. the balance sheet for a given year tells us how much money the company earned during that year. e. if a company's statements were prepared in accordance with generally accepted accounting principles (gaap), the market value of the stock equals the book value of the stock as reported on the balance sheet.
The correct statement is c. the assets section of a typical company's balance sheet begins with cash, then lists the assets in the order in which they will probably be converted to cash, with the longest-lived assets listed last.
What is AssetsAssets are all assets owned by individuals or groups, both tangible and intangible.
The basic accounting equation is that Assets (Assets) = Debt (Liabilities) + Capital.
If you look at these equations, assets or assets have a close relationship with capital and debt.
This is because to get it, you can use capital or debt or a combination of the two.
In addition, the three types of accounts are also elements in the balance sheet.
Learn more about assets at
https://brainly.com/question/13848560
#SPJ1
if the central bank holds interest rates constant, an autonomous decrease of $10 million in investment spending will most likely result in
Option B is Correct. A $10 million autonomous decline in investment spending will probably result in a decline of more than $10 million in GDP if the central bank keeps interest rates unchanged.
Louis Federal Reserve determined that the investment influence of government spending on inflation is negligible to nonexistent. In fact, a 10% increase in government spending might cause inflation to fall by 0.08%.
Increased household incomes from more jobs and higher wages, along with an increase in consumer spending, boost aggregate demand and open the door for businesses to raise the price of their goods and services. Inflation rises when this takes place across a significant number of industries and businesses.
Learn more about investment Visit: brainly.com/question/27717275
#SPJ4
Correct Question:
If the central bank holds interest rates constant, an autonomous decrease of $10 million in investment spending will most likely result in
A. a decrease of exactly $10 million in gross domestic product
B. a decrease of more than $10 million in gross domestic product
C. an increase of $10 million in taxes to offset the decrease in investment
D. an increase of $10 million in aggregate supply to offset the decrease in investment
E. an increase in the cost of loans for investment purposes
do you now or in the future require sponsorship for employment in order to begin or continue employment with our company?
Yes (Generally) by international students. This is because you need funds to continue working after your work permit expires on your employment visa.
You must select “Yes” if the company requires that the company initiate the immigration or work permit process (“sponsor”) in order to employ you now or at some point in the future. Otherwise, select No.
International students generally answer “yes” to this question. This is because you need funds to continue working after your work permit expires on your student visa.
To obtain a work visa to work in the United States, your employer must apply for a visa on your behalf to the United States government and "sponsor" your travel to the United States.
In most cases, you will be asked the following questions during a job application:
“Are you currently or in the future requesting [company name] to initiate immigration procedures (“sponsorship”) to hire you? If you are asked about funding as part of your online application for a full-time job or internship that may lead to full-time employment, we encourage you to answer "yes" to indicate that you need funding.
Know more about employment here:
https://brainly.com/question/1361941
#SPJ4
you want to withdraw $5,000 each year for the next 3 years while you are in graduate school. if you can invest at 5% per year, how much must you deposit now to make this possible and end with zero in the account? use your calculator and choose the closes whole dollar answer.
Put down $13,566.67 and get $5,000 with 5% interest over 3 years.
You need to deposit $13,566.67 right away if you want to withdraw $5,000 annually for three years at 5% interest. You may withdraw this much throughout the following three years without ever having any money left in your account.
The computation is based on the concept of compound interest, which considers both the interest that was generated on the initial deposit and any interest that accrued over the three years.
You may make sure you have enough money to pay your expenditures while attending graduate school and not have to worry about running out of money by depositing $13,566.67.
Learn more about investment at
https://brainly.com/question/15353704
#SPJ4
The decision structure that has two possible paths of execution is known as?
The decision structure that has two possible paths of execution is known as a binary or two-way decision structure.
In this type of structure, a condition is evaluated and based on its outcome, one of two possible paths of execution is taken. The condition can be a simple comparison, such as "if x is greater than y," or a more complex expression. The two possible paths of execution are often referred to as the "then" path and the "else" path.This type of decision structure is commonly used in computer programming to control the flow of a program based on certain conditions or inputs. For example, a program may use a binary decision structure to determine if a user has entered a valid password or to select which path to take based on the user's choice of action.
To know more about the decision structure:
https://brainly.com/question/14520689
#SPJ4
why would frederick get angrier when his master would give him a small portion of his earnings opposed to when he received nothing at all?
Frederick's anger at receiving a small portion of his earnings from his master can be seen as a result of broken expectations and a sense of unfair treatment.
When Frederick received nothing at all, he may have had low expectations and was simply grateful for what little he received. However, when his master started giving him a small portion of his earnings, Frederick may have interpreted this as a sign of improved treatment and a step towards financial stability. Receiving a smaller amount than he expected, then, would have been a disappointment and a reminder of his lack of control over his own finances. This would have likely resulted in feelings of anger and frustration, as Frederick may have felt that he was being treated unfairly despite his hard work. The disappointment of broken expectations can often lead to greater frustration and anger than the disappointment of not receiving anything at all.
Learn more about frustration here:
https://brainly.com/question/12999520
#SPJ4
which of the following is likely the single most effective step that a company can take to set ethical standards? group of answer choices state that the workplace values diversity. demonstrate support from top management. suggest that employees take ethics training. offer large cash awards for whistle-blowing. post ethical rules on bulletin boards.
The single most effective action a firm can do to set ethical standards is probably for top management to set an example.
The standards of conduct that a corporation establishes can be referred to as its ethical standards. When the top management adheres to these norms religiously, it inspires the middle and lower management to do the same in order to uphold better standards within the business organization. As a result, the importance of ethical norms has already been discussed. The ethics of a workplace are the standards, norms, values, morals, and principles that apply to employers and employees at work and that everyone employed there is expected to abide by. These sets of ideals foster amicable interactions amongst them, defining potentially improved, cordial, and disciplined relationships among the staff members.
Learn more about Ethical standards here:
https://brainly.com/question/28625287
#SPJ4
john and tara have lived in their home for 23 years and are excited to move to florida for retirement. as homeowners, what right allows them to sell their home?
After 23 years at their current residence, John and Tara are eager to retire to Florida. As homeowners, they have the "disposition of property" to sell their house.
Explain the term disposition of property?In terms of trusts as well as estates law, disposition refers to the sale, gift, or transfer of property through one person to another.
Transfer of possession is typically accomplished through a transfer or will at disposition. The court's ultimate decision about a criminal charge in criminal procedure.Selling an investment in stocks here on open market, one such stock exchange, would be the most typical type of disposition.Donations to nonprofit organisations or trusts, the selling of real estate, whether it be land or a structure, or other financial asset are examples of other dispositions.After 23 years at their current residence, john and tara are eager to retire to Florida.
Thus, as homeowners, they have the "dispositionof property" to sell their house.
To know more about the disposition of property, here
https://brainly.com/question/4116996
#SPJ4
northrup grumman saved $2 million in energy costs at a single facility by installing reflective roofs and fluorescent lighting, replacing old equipment, and making minor temperature and humidity-level adjustments. this is an example of the benefit of group of answer choices increasing revenue efforts. marketing programs. sustainability efforts. process management.
Option (c), By constructing reflecting roofs, fluorescent lighting, upgrading outdated equipment, and making modest temperature and humidity-level modifications, Northrup Grumman was able to save $2 million in energy costs at a single location. This is an illustration of how sustainability efforts are advantageous.
What do initiatives for corporate sustainability involve?In the business world, sustainability refers to a company's strategy to reduce the negative environmental effects of its operations in a particular market. ESG measures, also known as environmental, social, and governance metrics, are widely used to assess a company's sustainability initiatives.
Increasing our standard of living while preserving the environment and our natural resources for future generations is possible through sustainable living. Sustainability in the business world is related to an organization's comprehensive strategy that takes into account it all from customer support to manufacturing and logistics.
Sustainable resource management aims to preserve the stability and balance of the natural system. Experts have come to the conclusion that economic, social, and environmental protection are crucial for sustainable development as more research has been done in this area.
Learn more about sustainability efforts: https://brainly.com/question/29235992
#SPJ4
from 2013 to 2014, u.s. real gross domestic product (gdp) increased by 2.4 percent and the u.s. population grew by 0.7 percent. therefore, per capita real gdp in the united states increased by a. 2.8 percent. d. 1.8 percent. b. 1.7 percent. e. 5.4 percent. c. 3.8 percent.
The correct answer is Option B - 1.7 percent.
The per capita real GDP in the united states increased by 1.7 percent.
The most often cited indication of a country's total economic activity is its gross domestic product (GDP), which is a measure of its economic output. It is the value of all finished products and services produced inside the boundaries of a nation in a specific time frame, often a year. A nation's GDP is a comprehensive indicator that accounts for net exports, government expenditure, investment, and consumer spending. It is used to compare the economic performance of various nations and to monitor long-term economic developments. A growing GDP is typically regarded as an indication of economic expansion, whereas a declining GDP is viewed as a sign of economic contraction.
Real GDP per capita is calculated by dividing real GDP overall by population. The per capita real GDP would have climbed by (2.4 - 0.7) = 1.7 percent, which is solution "b," if real GDP increased by 2.4 percent and population expanded by 0.7 percent.
For such more question on gross domestic product :
brainly.com/question/29031808
#SPJ4
in the current year, aveeno reported net income of $57,680, which was a 12% increase over prior year net income. compute prior year net income
The correct answer to the question above is $51,500. The prior year net income of Aveeno is $51,500.
step by-step explanation below:
given data:
Current year net income: $57,680The current year's net income above was a 12% increase over the prior year's net incomeQuestion: computer prior year net income?
First, prior yet income = X
12% X + X = 57,680
0.12x + x = 57,680
1.12x = 57,680
x = 57,680 / 1.12
x = $51,500
Based on the explanation above the prior year's net income is $51,500.
Learn more about the prior year's net income at: https://brainly.com/question/23178043
#SPJ4
A sport fan who is enticed into buying a ticket to a game by a game promotion had his consumer behavior affected by
a) a significant other
b) cultural norms
c) market behavior of the sport firm
d) the sport opportunity structure
Sports marketing is a type of marketing approach that uses an athlete or other person to showcase sporting events, gear, or goods and services.
Is it generally extremely beneficial for the field of sports marketing to position the goods to all potential customers in the same way?
Positioning the product the same manner for all potential customers is often quite successful in the realm of sport marketing. Access to potential customers is a crucial component of market segmentation. Families attend the game when a sport marketer launches a promotion to draw them.
What are the three different sports marketing categories?
There are several sorts of sports marketing, to put it briefly: marketing through sports, promoting sports as a product grassroots marketing and sports promotion. Sports marketing can take on several shapes because there are numerous methods that consumers consume sports.
To know more about sport consumer behavior visit:
https://brainly.com/question/29554834
#SPJ4
the business cycle is measured by the a. production of goods and services. b. number of people employed. c. the interest rate. d. both a and b are correct.
The business cycle is measured by the d. both a. production of goods and services and b. number of people employed.
The business cycle model depicts how a country's real GDP swings over time, passing through phases as aggregate output rises and falls. In a rising economy, the business cycle indicates a constant growth in potential output over time.
A recession's severity is determined by the three Ds: depth, diffusion, and duration. The extent of the peak-to-trough decrease in broad indices of output, employment, income, and sales determines the depth of a recession.
The extent to which it has extended across economic activities, industries, and geographical locations is used to measure its diffusion. The time period between the peak and the dip determines its duration.
To know more about business cycle:
https://brainly.com/question/30167425
#SPJ4
how do can we calculate the actual variation in the quantity of goods and services produced in an economy for a given year?
A variety of sector net changed figures can be used to calculate GDP. GDP is referred to as the total market value of all products and services generated in a nation during a specific time frame.
What is market value?Market value is the price at which an asset would trade on the open market or the appraisal that the financial industry places on a certain equity or business. Another phrase that is frequently used to express market worth is market capitalisation, which is calculated by dividing a company's outstanding shares by its current share price. The best way to determine market value for these things is to use market prices for exchange-traded securities, such as stocks and futures, which are publicly available and accessible. It is a little trickier to estimate market value for over-the-counter products, including fixed income instruments. The worth of the market ranges widely, from less than $1 million for the smallest enterprises to hundreds of billions for the largest and most successful ones in the world.
To learn more about market value, visit:
https://brainly.com/question/19131751
#SPJ4
macy is working as an engineering intern for txdot. she's been working on a monthly safety evaluation report. she knows that there is a rule stating that all safety reports must be filed by 5 pm on the last day of the each month. she also knows that there is a rule stating that safety reports must be reviewed by a fellow intern before they're submitted. her supervisor explained to her that these rules are in place to ensure that safety is always maintained and that reports are accurate and thorough. when the last day of the month comes along, macy is still working on her safety report, and knows that there won't be enough time to have it reviewed by another intern and also submitted on time. what part of dr. hanks' lecture on how rules are not enough to ensure ethical behavior is best illustrated by this example?
This example illustrates the concept that rules and procedures are not enough to ensure ethical behavior. According to Dr. Hanks' lecture, the rules and procedures in place, such as filing the safety report by 5 pm.
On the last day of the month and having it reviewed by another intern, are important but may not always lead to ethical behavior. In this case, Macy is faced with a situation where she has to make a decision between following the rules and procedures, or potentially compromising the accuracy and thoroughness of the safety report.
This example shows that while rules and procedures provide a framework for ethical behavior, they don't account for situations where individuals may have to make ethical decisions in the face of conflicting demands or challenges.
To truly ensure ethical behavior, organizations need to create a culture that values ethics, provides support for ethical decision making, and holds individuals accountable for their actions. In this case, Macy may need to discuss the situation with her supervisor and find a solution that both meets the deadline and ensures the accuracy and thoroughness of the safety report.
For such more question on safety report
https://brainly.com/question/26273601
#SPJ4
elsa is working with a large data set with customer order details. she would like to quickly get a summary of average costs by product type. which excel tool will be most useful to develop this information?
Elsa can use the PivotTable tool in Microsoft Excel to quickly get a summary of average costs by product type from her large data set with customer order details.
PivotTables allow you to easily summarize and analyze large amounts of data by aggregating the data based on one or more columns and calculating a summary statistic such as an average, sum, or count. To use the PivotTable tool, Elsa will need to select the data set and then go to the Insert tab and select PivotTable. From there, she can select the columns she wants to group by (e.g. product type) and the calculation she wants to perform (e.g. average cost). The PivotTable will then automatically generate a summary of the data, showing the average costs for each product type.
To learn more about PivotTable please click on below link.
https://brainly.com/question/19787691
#SPJ4
building a is purchased for $11 million in all cash. if the net sale proceeds at the end of year 2 are $11 million, and it generated $900,000 in cash flow in years 1 and 2, what is the irr?
The internal rate of return (IRR) is a measurement utilized in monetary examination to gauge the productivity of expected speculations.
The Internal Rate of Return (IRR) is the rate at which the net present value of the cash flows from an investment is equal to zero. To calculate IRR, we need to determine the cash flows from the investment, including the initial cash outlay and the net sale proceeds, as well as the cash flows generated over time.
In this case, the initial cash outlay was $11 million, and the net sale proceeds were $11 million at the end of year 2. The total cash flows over the two-year period were $900,000, which were generated in equal amounts in years 1 and 2.
Let's call the IRR "r". Then, the net present value (NPV) of the investment is given by the following equation:
NPV = -$11 million + $450,000 / (1 + r)^1 + $450,000 / (1 + r)^2 + $11 million / (1 + r)^2
Setting NPV = 0, we can solve for the IRR "r". The IRR can be calculated using a financial calculator or spreadsheet software.
It's worth noting that the IRR calculation assumes that all cash flows occur at regular intervals and that the IRR represents a constant rate of return over the life of the investment. In practice, actual cash flows and returns may vary.
Know more about Internal Rate of Return (IRR) - https://brainly.com/question/28288572
#SPJ4
when presented with evidence of discrimination, an employer in a disparate impact case needs to show that the employment practice is a(n)when presented with evidence of discrimination, an employer in a disparate impact case needs to show that the employment practice is a(n)
The concept is Discrimination, the unfair treatment of people and groups based on characteristics The answer is a business necessity.
Discrimination is treating a person poorly or unfairly on account of a particular characteristic, similar as public, ethnical or social origin, gender, language, religion, disability . The goods of demarcation can have a dangerous impact on the victim.
Employment discrimination generally exists where an employer treats an aspirant or hand less positively simply because of a person's race, color, religion, coitus, sexual exposure, gender identity, public origin, disability or status as a defended stager.
To prove distant treatment, the hand( complainant) must present a “ prima facie ” case, meaning that he must present substantiation of demarcation. This substantiation can be either direct substantiation or circular( particular) substantiation.
To know more about Discrimination,
brainly.com/question/30477745
#SPJ4
Why might you underestimate the increase in market quantity demanded when you lower your price?
There are several reasons why a seller might underestimate the increase in market quantity demanded when they lower their price like Price Elasticity of Demand, Consumer Perception, Market Segmentation.
Price Elasticity of Demand: Price elasticity of demand refers to the responsiveness of consumers to changes in price. If the demand for a product is inelastic, meaning that consumers are not very sensitive to changes in price, the seller might underestimate the increase in market quantity demanded when they lower their price.
Consumer Perception: Consumers may perceive the product as lower quality if the price is lowered, which might reduce the increase in market quantity demanded.
Competition: The seller might not take into account the effects of competition. If there are many similar products available in the market, the increase in market quantity demanded when the price is lowered may be lower than expected because consumers have many alternatives to choose from.
Market Segmentation: The seller might not consider the differences in price responsiveness among different market segments. For example, some consumers may be very sensitive to changes in price while others may not be as responsive.
Brand Loyalty: Consumers who have a strong brand loyalty to a particular product may not respond to a price change as much as expected.
To know more about elasticity of Demand:
https://brainly.com/question/15010897
#SPJ4
These activities on the statement of cash flows represent the cash flows that arise out of notes payable. a.) Investing Activities
b.) Financing Activities
c.) Operating Activities
d.) Earnings Activities
These activities on the statement of cash flows represent the cash flows that arise out of notes payable c.) Operating Activities.
Operating activities are really the things a business undertakes to consistently advertise its goods and services. Non-operating activities are such occurrences that may have an impact on sales, costs, or cash flow but are unrelated to the regular, main activity of the company. Operational actions consist of: deciding on a plan.
The tasks a company performs that are directly relevant to offering its products and/or services here to market are referred to as operating activities. A product or service is manufactured, distributed, marketed, and sold. Those are the company's primary commercial activities.
The first section of a company's financial statement is the cash flow by operating operations portion. It is used to describe how a business obtains money from ongoing, routine commercial operations, such as sales and manufacturing.
Learn more about operational activities here:
https://brainly.com/question/29481283
#SPJ4
vivian's been put in charge of a few clients interested in running app campaigns. some campaigns will use target cost-per-action (tcpa), while others use target cost-per-install (tcpi). which two statements are correct when it comes to setting daily budgets within app campaigns? (choose two.)
A. Daily TCPA budgets should be set higher than TCPI budgets to ensure enough users are exposed to the campaign.
B. Daily TCPI budgets should be set higher than TCPA budgets to optimize for more installs.
What is budgets?A budget is a plan of how to manage money. It is a financial plan that outlines the expected income and expenses over a period of time, usually a month or a year. By creating and regularly tracking a budget, individuals and businesses can ensure that they are spending their money responsibly and are in line with their financial goals.
A. is correct because TCPA campaigns require more impressions in order to be successful, so a higher daily budget is necessary.
B. is correct because TCPI campaigns are designed to get more installs, so a higher daily budget is needed to optimize for those installs.
To learn more about budgets
https://brainly.com/question/1619150
#SPJ4
synovec company is growing quickly. dividends are expected to grow at a rate of 22 percent for the next three years, with the growth rate falling off to a constant 6 percent thereafter. if the required return is 12 percent, and the company just paid a dividend of $3.25, what is the current share price?
After three years, the growth rate drops to a constant 5 percent, or g = 0.05, and the required return is 12 percent, or R = 0.12, the price of the shares is determined by:
What is a share dividend?Stock dividends are payments provided to shareholders in the form of new shares, as opposed to cash dividends. A portion of the payments are paid out to each existing share. Let's say a business distributes a 5% stock dividend.
A stock market dividend example is what?A benefit provided to shareholders by publicly traded companies is known as a dividend, and it is paid for by the latter's net profit. Such payment may be made in the form of cash, cash equivalents, or stock.
To know more about growth rate visit:
https://brainly.com/question/13870574
#SPJ4
Obligation to transfer cash or other resources as a result of a past transaction is ?
Obligation to transfer cash or other resources as a result of a past transaction is Liability.
By cash, what do you mean?What Is Money? You can pay for things using legal currency, settle debts with it, or use it to receive services. It occasionally also contains the worth of assets that, according to a corporation, may be quickly transformed into cash.
Can cash lose value?Fiat money runs the danger of losing value due to inflation or maybe losing it all in the case of hyperinflation since it is not backed with real reserves.
To know more about cash visit;
https://brainly.com/question/10714011
#SPJ4
what is the value today of $6,700 per year, at a discount rate of 6 percent, if the first payment is received three years from today and the last payment is received 25 years from today? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
The present value of the payments is $4,823.39, taking into account the time value of money and the discount rate of 6%. This is calculated by discounting each payment by the discount rate over the period of time.
To calculate the present value, the formula for the present value of an annuity is used. This formula takes into account the amount of each payment, the discount rate, and the number of payments. In this case, the payment amount is $6,700, the discount rate is 6%, and the number of payments is 22. By plugging these values into the formula, the present value of the payments is found to be $4,823.39. This is the amount that should be paid today in order to receive the $6,700 payments over the 25-year period.
Learn more about present value: https://brainly.com/question/20813161
#SPJ4