Answer:
the risk that stock loans become expensive and the risk that stock loans are recalled. We show that short selling risk affects prices among the cross-section of stocks. Stocks with more short selling risk have lower returns, less price efficiency, and less short selling.
The brand changes form part of a strategic plan the group conceived in September last year called Ekuseni (the Zulu word for “dawn”)”
“Pick n Pay and its new CEO are taking the fight to competitors in a strategy..”
“Pick n Pay yesterday launched a new strategic plan…”
Evaluate the proposed strategy that Pick n Pay is planning to implement, including in your evaluation, the potential risks attached to the proposed new strategy
Pick n Pay's proposed strategy, known as Ekuseni, aims to implement changes in their brand and take the fight to competitors. The strategy, conceived in September last year, focuses on strategic planning and was launched recently. While the strategy holds potential for success, there are risks associated with its implementation.
1. Pick n Pay's proposed strategy, called Ekuseni, includes changes to their brand and a competitive approach to rivals. This strategic plan was conceived in September last year, with the term Ekuseni referring to "dawn" in Zulu.
2. The strategy aims to revamp the brand image and position Pick n Pay as a strong competitor in the market. By taking the fight to competitors, the company intends to gain a competitive edge and attract more customers.
3. The launch of the new strategic plan indicates that Pick n Pay is committed to implementing this strategy and achieving its goals. It demonstrates the company's intention to adapt and stay relevant in the evolving market.
4. However, like any strategic plan, there are potential risks associated with its implementation. These risks include customer resistance to changes in the brand, increased competition from rivals, and potential financial strains due to the cost of rebranding and marketing efforts.
5. Customer resistance is a common risk when brands undergo significant changes. If the proposed strategy doesn't resonate with Pick n Pay's target market, it could lead to a decline in customer loyalty and affect sales.
6. Additionally, taking the fight to competitors may trigger retaliatory actions from rival companies. This could result in intensified competition, price wars, and potential market share loss for Pick n Pay.
7. Finally, implementing a new strategic plan involves financial investments. The cost of rebranding, marketing campaigns, and operational changes may strain the company's resources, potentially impacting its financial stability.
In conclusion, while Pick n Pay's proposed strategy holds promise for the company's growth and competitiveness, there are risks involved. Proper planning, market research, and effective execution will be crucial to mitigating these risks and ensuring the success of the strategy.
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2.2.1 What market structure presented above?
Answer: Super market structure presented above?
In a free enterprise economy, business firms will produce the goods that consumers want to buy. How will These Goods be produced?
In a free enterprise economy, business firms will produce the goods that consumers want to buy. The goods produced in a free enterprise economy are produced based on the principles of supply and demand.
Free enterprise economy is a type of economy where individuals, rather than the government, control the economic activities. This means that goods are produced in the quantity and quality that is demanded by the consumers. Business firms in a free enterprise economy have the freedom to produce and sell the goods that they want to produce. They are not restricted by the government, and they can produce whatever goods they think will sell in the market.
The businesses in a free enterprise economy have the freedom to innovate and create new products, and they can also adopt new technologies to improve the quality of their products. The goods produced in a free enterprise economy are produced in a competitive environment. This means that businesses have to compete with each other to attract consumers. The businesses that produce the best products at the lowest prices will attract the most customers. This competition ensures that businesses are efficient in their operations and produce high-quality products at reasonable prices.
In a free enterprise economy, businesses use their own resources to produce goods. They invest their own money in the production process, and they hire workers to help them produce the goods. The businesses are responsible for the costs of production, and they also reap the profits from the sales of their products. Overall, in a free enterprise economy, businesses produce the goods that consumers want to buy based on the principles of supply and demand, and they do so in a competitive environment.
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in business buying price is very important because of
A the impact on relationships
B automatie reordering
C group decision making
D the need to make a prohi
Answer:
I NEED THE ANSWER NOW
Explanation:
Answer:
D. The need to make a profit
Explanation:
Apex
Trident Manufacturing Company's treasurer identified the following cash flows during this year as significant. It had repaid existing debt to the tune of $425,110, while raising additional debt capital of $750,000. It also repurchased stock in the open markets for a total of $63,250. It paid $233,144 in dividends to its shareholders. What is the net cash provided (used) by financing activities?
Answer:
$28,496
Explanation:
Calculation to determine the net cash provided (used) by financing activities
Cash inflows from financing activities $750,000
Less Cash outflows from financing activities ($721,504)
($425,110 + $63,250 + $233,144)
Net cash flows from financing activities $28,496
($750,000 – $721,504)
Therefore the net cash provided (used) by financing activities is $28,496
The current price of canvas messenger bags is $36 each and sales of the bags equal 400 per week. If the price elasticity of demand is 2.5 and the price changes to $44, how many messenger bags will be sold per week? Use the midpoint formula.
By using the price elasticity of demand formula, the quantity of messenger bags that would be sold per week is 240 messenger bags.
What is the price elasticity of demand?Mathematically, the price elasticity of demand can be calculated by using the following formula;
Price elasticity of demand = (Q₂ - Q₁)/[(Q₂ + Q₁)/2]/(P₂ - P₁)/[(P₂ + P₁)/2]
For the change in price, we have:
Change in price, ΔP = P₂ - P₁
Change in price, ΔP = $44 - $36
Change in price, ΔP = $8
From the midpoint formula, the midpoint price is given by:
Midpoint price, P = (P₂ + P₁)/2
Midpoint price, P = ($44 + $36)/2
Midpoint price, P = $80/2
Midpoint price, P = $40
For the change in quantity, we have:
Change in quantity, ΔQ = Q₂ - Q₁
Change in quantity, ΔQ = Q₂ - 400
From the midpoint formula, the midpoint quantity is given by:
Midpoint quantity, Q = (Q₂ + Q₁)/2
Midpoint quantity, Q = (Q₂ + 400)/2
Midpoint quantity, Q = 0.5Q₂ + 200
Now, we would substitute the parameters into the formula for price elasticity of demand:
-2.5 = (Q₂ - 400)/8 × 40/0.5Q₂ + 200
Evaluating the above, we have:
-2.5(0.5Q₂ + 200) = 5(Q₂ - 400)
-1.25Q₂ - 500 = 5Q₂ - 2000
5Q₂ + 1.25Q₂ = 2000 - 500
6.25Q₂ = 1500
Q₂ = 1500/6.25
Q₂ = 240 messenger bags.
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Complete Question:
The current price of canvas messenger bags is $36 each and sales of the bags equal 400 per week. If the price elasticity of demand is -2.5 and the price changes to $44, how many messenger bags will be sold per week? Use the midpoint formula.
I have decided to put $3000 in my investment account every year for the next 5years. I will make the first deposit one year from today. How much will I have in my account by the end of 5years if the annual interest rate is 4%.
Answer:
$3,305.88
Explanation:
A company has four vendors and the accounts payable subsidiary ledger shows the following balances.
Alpha $286,821
Beta 148,474
Gamma 81,943
Delta 41,187
Required:
Calculate the accounts payable balance in the general ledger.
The accounts payable balance in the general ledger , given the four vendors of the company in the accounts payable subsidiary ledger , is $ 558, 425
How to find the accounts payable balance ?The accounts payable balance in the general ledger refers to the total of all the accounts payable balances from the accounts payable subsidiary ledger .
This means that the accounts payable balance in the general ledger can be found by the formula :
= Alpha vendor + Beta vendor + Gamma vendor + Delta vendor
Alpha Vendor = $ 286, 821
Beta vendor = $ 148, 474
Gamma vendor = $ 81, 943
Delta vendor = $ 41, 187
The accounts payable balance in the general ledger is :
= 286, 821 + 148, 474 + 81, 943 + 41, 187
= 558, 425
= $ 558, 425
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ABC Company issues $425,000 of bonds on January 1, 2021 that pay interest semiannually on June 30 and December 31. A portion of the bond amortization schedule appears below:
Cash Interest Change in Carrying
Date Paid Expense Carrying Value Value
01/01/2021 $599,391
06/30/2021 $14,875 $11,988 $-2,887 596,504
12/31/20211 4,875 11,930 -2,945 593,559
What is the original issue price of the bonds?
a. $592,557
b. $440,000
c. $590,534
d. $459,800
Answer:
$599,391
Explanation:
Based on the information given we were told that the bonds amount of $425,000 which is the Face Value of Bonds were issued by the company on January 1, 2021 which means that ORIGINAL ISSUE PRICE of the bonds will be the Carrying Value or the Issues Value of Bonds of the amount of $599,391 that was issued on the same date the Company issues the face value bonds of the amount of $425,000 which is January 1, 2021 ( 01/01/2021).
Therefore the original issue price of the bonds will be $599,391
Refer to the HR Reports in the Inquirer. Through past investments in recruiting and training Digby has obtained a productivity index of 109.5%. This means that Digby's labor costs would be increased by 9.5% if it did not have these productivity improvements. This is a competitive advantage that Digby can sustain or even widen further if its competitors have no HR initiatives. Now, refer to the Income Statement in Digby's Annual Report. How much did Digby's productivity improvements save it in direct labor costs (in thousands) last year?
$3,086
$3,163
$29,668
$806
Digby's productivity improvements save it in direct labor costs (in thousands) last year is: $3,086.
Saving in labor cost last yearUsing this formula
Saving in labor cost last year = Labor cost during current year× Increase in labor cost during current year
Where:
Labor cost during current year =32,485
Increase in labor cost during current year = 9.5%
Let plug in the formula
Saving in labor cost last year = 32,485×9.5%
Saving in labor cost last year =$3,086
Therefore, Saving in labor cost last year is $3,086.
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L 5.4.2 Test (CST)!
Question 8 of 20
Which of these is a consequence of speeding?
Answer:
If you are pulled over by the police you will get a ticket for speeding.
You will go to court and be fined. In many cases, drivers can get jury duty or pay a fine depending on how much the state charges for speeding.
If you are not pulled over and are speeding the consequences can be indefinite. You can crash into another vehicle and cause physical damage to other passengers in the other vehichle not only to yourself. The damage can sometimes be irreparable like comas, paralyzed, or even brain/spinal damage.
Need more? Comment and let me know what you need.
AN Razimah has been investing in a Unit Trust for the past 10 years. She is very happy with the performance of the fund manager that enables her to get at least 15 % return annually. Razimah has estimated that she will receive a retum of RM8000 next year, RM9000 in next 2 years, and RM10,000 in the next 3 years. What is the value of these future payments?
Answer: A fund should review its use of derivatives when it updates its registration statement annually - particularly disclosures in its shareholder??
Explanation:
In a progressive tax structure, the higher a taxpayer's
income, the greater percentage he or she must pay in
taxes. This chart shows a sample progressive income tax
CEPTS for a taxpayer with total taxable income of $100,000.
Income According to the chart, what would be the total
tax on taxable income of $65,000?
Answer:According to the chart, the total tax on taxable income of $65,000 would be $16,250.
Explanation:
Why do you think most of the careers in finance or business require a four-year college degree?
Answer: Because they are hard and you definitely need something to show them that you know what you are doing especially in finance bc you are managing people’s money and could go to jail if you don't know the codes and laws and you could really hurt someone financially
Explanation:
If the supply of a good increased, what would be the effect on the equilibrium price and quantity?
Answer:
An increase in supply, all other things unchanged, will cause the equilibrium price to fall; quantity demanded will increase. A decrease in supply will cause the equilibrium price to rise; quantity demanded will decrease.
If supply increases while all other factors remain constant, the equilibrium price will fall. The quantity demanded will rise. A decrease in supply raises the equilibrium price while decreasing the quantity demanded.
What is supply?Supply is a fundamental economic concept that describes the total amount of a specific good or service that consumers have access to.
If displayed on a graph, supply can refer to the amount available at a specific price or the amount available across a range of prices. Changes in the supply curve shift the equilibrium price and quantity. If supply grows, equilibrium price falls and quantity grows.
Therefore, an increase in the supply will cause a reduction in equilibrium price and an increase in the quantity of a good.
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Care must be taken involving capital investment decisions, since normally a long-term commitment of funds is involved and operations could be affected for many years. True False
It is a true statement that extreme care need to be exercise while making decision involving capital investment.
What are capital investment?These are investment that entails a long-term commitment of funds for business operations.
These is an investment that allows a company to further its long-term business goals and objectives.
In conclusion, an extreme care is needed while deciding on capital investment because a wrong decision will affect the firm operation in the long run.
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15. What is the net operating income for the year?
Where the above conditions are given, the net operating income for the year is $785,700
How is this so?Sales revenue - Cost of goods sold = Gross profit
Gross profit - Selling and administrative expenses = Operating income
Sales revenue - $2,970,000 Cost of goods sold - Beginning inventory - $52,800 Raw materials used in production - $608,000 Direct labor - $580,000 Manufacturing overhead applied - $647,500 (41,000 direct labor-hours $15.75 per direct labor-hour) Total cost of goods sold - $1,808,300Selling and administrative expenses - $376,000
Operating income is given as $2,970,000 - $1,808,300 - $376,000 = $785,700
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Assume that you are 25 years old today, and that you are planning on retirement at age 65. You expect your salary to be $55,000 one year from now and you also expect your salary to increase at a rate of 3% per year as long as you work. To save for your retirement, you plan on making annual contributions to a retirement account. Your first contribution will be made on your 26th birthday and will be 12% of this year's salary. Likewise, you expect to deposit 12% of your salary each year until you reach age 65. Assume that the rate of interest is 5%.
The future value (FV) (at age 65) of your retirement savings is closest to:________
a. $1,091,733.20
b. $1,246,723.80
c. $988,452.90
d. $1,225,821.20
Answer:
FV= $1,246,723.8
Explanation:
To calculate the future value of this growing annuity, we need to use the following formula:
FV= A*{[(1+i)^n - (1+g)^n] / (i-g)}
A= annual deposit= 55,000*0.12= 6,600
i= 0.05
g=0.03
n= 40 years
FV= 6,600* {[(1.05^40) - (1.03^40)] / (0.05 - 0.03)}
FV= $1,246,723.8
Discuss
any
four ways in which Specialization has
improved the economic development of Nigeria.
Answer:
fixing electricity in Nigeria.
discouraging insurgency in Nigeria.
patronizing Nigerian made products.
improvement of law and order.
The job of president of the United States falls under the Foreign Service pathway of the Government and Public Administration cluster.
True, The President of the United States has a position that comes within the Government and Public Administration cluster's Foreign Service track.
What does a US Foreign Service agent do?Foreign Service Officers are crucial connections with other governments, interact with foreign populations, inform and influence U.S. foreign policy, and advance American interests abroad. They also work on issues pertaining to the safety and security of American citizens wherever they may be.
What sets the State Department's civil service and foreign service apart?Employees of the Foreign Service represent America abroad while those of the Civil Service assist the mission from Washington, D.C. or other locations around the country. Foreign Service workers both live and work abroad.
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Wally's Walleyes wants to introduce a new product that has a start-up cost of $7,800. The product has a 2-year life and will provide cash flows of $4,500 in Year 1 and $4,300 in Year 2. The required rate of return is 15 percent. Should the product be introduced? Why or why not?
The calculated NPV is negative, indicating that the present value of expected cash flows does not exceed the start-up cost of the project. In other words, the project is expected to generate a net loss.
To determine whether Wally's Walleyes should introduce the new product, we can calculate the net present value (NPV) of the project. The NPV measures the present value of expected cash flows, taking into account the required rate of return.
To calculate the NPV, we need to discount the cash flows using the required rate of return (15 percent). The formula for calculating NPV is:
NPV = Cash Flow Year 1 / (1 + Required Rate of Return)^1 + Cash Flow Year 2 / (1 + Required Rate of Return)^2 - Start-up Cost
\(NPV = $4,500 / (1 + 0.15)^1 + $4,300 / (1 + 0.15)^2 - $7,800\)
\(NPV = $4,500 / 1.15 + $4,300 / (1.15)^2 - $7,800\)
NPV = $3,913.04 + $3,537.41 - $7,800
NPV = -$350.55
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Assume that a gourmet food manufacturer has considered renting a booth at a local mall to sell gift boxes of candy, nuts, and cookies during the holiday season. The fixed costs to rent and operate the booth would be $27,900. The unit contribution margins and sales mix anticipated by the company are as follows: Unit Contribution Margin Sales Mix Candy $1.50 50% Nuts $2.00 30% Cookies $1.00 20% What would be the weighted average contribution margin
Which results are expected in a personality test but not a skills assessment?
O patience, problem-solving, human relations
openness, conscientiousness, extraversion
O public speaking, assessment, computer skill
computer training, technical writing, business oriented
Answer:
The answer is A
Explanation: I have just taken this test and A was the right answer I took a good guess but that is what it is
Answer:
a.) on edg.
Explanation:
just did it
good luck
When oligopolies act jointly as a monopoly, they are acting as a:
Answer:
Misread the first time. It would be a cartel.
When oligopolies act jointly as a monopoly, they are acting as a cartel.
What is an oligopoly ?A market structure known as an oligopoly occurs when a few large sellers or manufacturers control a sizable portion of a market or an entire sector. The aim to maximize profits frequently creates oligopolies, which can result in corporate collaboration.
In oligopolies, profit-maximizing competitors plan their moves by carefully observing how their rivals are likely to respond. Under these circumstances, businesses may differentiate their products, which may be advantageous to some consumers but at a cost.
A cartel is a group of separate companies or organizations that band together to fix prices on goods or services. Cartels, which compete against one another in the same market, aim to lessen that competition by coordinating price controls.
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Which is better, quantitative research or qualitative research?
Answer:
Quantitative research is more preferred over qualitative research because it is more scientific, objective, fast, focused and acceptable. However, qualitative research is used when the researcher has no idea what to expect. It is used to define the problem or develop and approach to the problem.
Explanation:
If a city of 100,000 people invests 1 billion dollars in a major electrical improvement project, What is the direct impact for businesses?
Answer:
A. is correct
Explanation:
Which is the first step in preparing a message either written or verbal?
Consider the audience
Create an outline
Choose a delivery method
Determine the purpose of the message
Answer: Determine the purpose, I believe. This is my specific order:
Explanation:
1. Determine the purpose of the message
What is your message going to be about?
2. Choose a delivery method
Are you trying to persuade your audience?
3. Consider the audience
Think about what ways you can get your specific audience to pay attention to you and hear you out throughout your message.
4. Create an outline
An outline is similar to a pre-write. Choose the order of events you will be delivering your message in.
Which controls almost all of the media industry?
a few large companies
government agencies
small broadcasters
innovative entrepreneurs
convertible bonds meaning
Answer:
A convertible Bond is a fixed-income corporate debt security that yield interest payments but also can be converted into a predetermined number of common stock or equity shares
If a firm accepts Project X it will not be feasible to also accept Project Z because both projects would require the simultaneous and exclusive use of the same piece of machinery. These projects are considered to be:
The inability of a firm to accept two projects at a time due to the simultaneous and exclusive use of the same piece of machinery is considered a mutually exclusive project.
To understand this question, we must know the concept of capital budgeting.
What is capital budgeting?
Capital budgeting is the process through which a company evaluates possible large projects or investment opportunities. Capital budgeting strategies are used by business managers to assess which initiatives will generate the highest return over a certain time period.
Mutually Exclusive Projects is a concept that is commonly used in the capital budgeting process when firms pick a single project based on specific characteristics from a range of projects where approval of one project results in rejection of the other projects.
Therefore, the inability of a firm to accept two projects at a time due to the simultaneous and exclusive use of the same piece of machinery is considered a mutually exclusive project.
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