. Dizzy Corp. bonds bearing an annual coupon rate of 8%, pay coupons semiannually, have 3 years remaining to maturity, and are currently priced at $857 per bond. What is the yield to maturity

Answers

Answer 1

Answer:

YTM = 0.06874 or 6.874% rounded off to 6.87%

Explanation:

The yield to maturity or YTM is the yield per year that a bond is expected to provide if it is purchased today and is held till maturity. The formula to calculate the YTM of a bond is attached.

The par value of the bond is $1000.

The coupon per period = 1000 * 0.08 * 1/2 = 40

Number of semi annual periods = 3 * 2 = 6

YTM = [ (40 + (1000 - 857)/6) / (1000 + 857)/2 ]

YTM = 0.06874 or 6.874% rounded off to 6.87%

. Dizzy Corp. Bonds Bearing An Annual Coupon Rate Of 8%, Pay Coupons Semiannually, Have 3 Years Remaining

Related Questions

How many kalamata olives come on a whole salad? Enter the exact number.

Answers

Answer: 5

Explanation:

put 7 cuz he said and got it wrong. it told me 5

Have you ever had a crafting table on a first date?

Answers

Bhikkjdjjxbcb j kxjznsxj

Which of the following is an example of a skill as defined in a KSAO?
A. Changing an oil filter
B. Ability to prioritize
C. Being punctual
OD. Holding a college degree

Answers

An example of a skill as defined in a KSAO is A. Changing an oil filter.

What are skills in a KSAO?

Knowledge, Skills, Abilities, and other characteristics (KSAO) are those things that are needed to perform a job.

Being able to change an oil filter is a skill because it is something that has to be learned and practiced overtime to perfect. The other options are knowledge and abilities.

Find out more on KSAO at https://brainly.com/question/14549223

#SPJ1

please answer the questions i wasted all my points on this

1. Explain why Pine states no experiences can be one hundred percent natural.

2. Explain the correlation between Shakespeare and the economy.

3. Pine uses Starbucks as an example to illustrate how price points change as consumers move from purchasing a simple product to purchasing an experience. Explain what happens to the cost for the customer as these stages progress.

Answers

Pine states that no experiences can be one hundred percent natural because experiences are social constructions. Human experiences are shaped by culture, language, and other factors. Even if one is in a natural environment, the experience itself is shaped by the individuals who are a part of it, which means that it is never one hundred percent natural.
There is a correlation between Shakespeare and the economy because Shakespeare was a very successful business man. He was able to make money from his plays and from the publication of his works. He also used his writing to comment on the economic issues of his day, such as the rise of mercantilism and the growing gap between the rich and the poor.
As customers move from purchasing a simple product to purchasing an experience, the cost for the customer increases because the product is no longer simply a commodity but is something that provides a unique experience. For example, the cost of a cup of coffee at Starbucks increases as customers move from purchasing a cup of coffee to purchasing the “Starbucks experience”, which includes the atmosphere, the customer service, and other elements that make the experience more enjoyable.

Acompany that is organized by function will group its employees into teams based on what?
A. The type of work they do
B. The product they make
C. The location or branch they work at
D. The type of customer they serve

Answers

Function is the type of work they do

attitude is an overall favourable or unfavorable evaluation of a product or service.

Answers

Answer:

rat

Explanation:

5.6 Last month Quick Industries produced 900 units. This month they produced 1,264 units. What is the rate of change in production? a. 29.8% b. 32.8% c. 40.4% d. 60% ​

Answers

Answer: C. 40.4%

Explanation:

To find the rate of change in production, we can use the following formula:

Rate of change = (New value - Old value) / Old value * 100

Where,

Old value = Production of last month = 900

New value = Production of this month = 1264

Substituting the values in the formula,

Rate of change = (1264 - 900) / 900 * 100= 364 / 900 * 100= 0.404 * 100= 40.4%

Therefore, the rate of change in production is 40.4%, which is an option (c). I hope that this answer has helped you!

Answer:

The correct answer is C.

Explanation:

The rate of change in production is: (1264 - 900) / 900 = 0.404 or 40.4%. So, the correct answer is c. 40.4%

U.S. manufacturing company operating a subsidiary in an LDC (less-developed country) shows the following results: U.S. LDC Sales (units) 98,000 19,980 Labor (hours) 20,600 15,600 Raw materials (currency) $ 19,950 19,750 (FC) Capital equipment (hours) 59,250 5,600 *Foreign Currency unit a. Calculate partial labor and capital productivity figures for the parent and subsidiary. (Round your answers to 2 decimal places.) b. Compute the multifactor productivity figures for labor and capital together. (Round your answers to 2 decimal places.) c. Calculate raw material productivity figures (units/$ where $1

Answers

Answer:

a. Productivity = Sales /Labour Hour

U.S

Productivity = 98000 units/20600 hours

Productivity = 4.76

LDC

Productivity = 19980 units/15600 hours

Productivity = 1.28

Capital Productivity = Sales / Capital Equipment (Hours)

U.S

Capital Productivity = 98000 units/59250 hours

Capital Productivity = 1.65

LDC

Capital Productivity = 19980 units/5600 hours

Capital Productivity = 3.57

b. Multi-factor Productivity = Total Output (Sales) / (Labour Hours + Capital Equipment Hours)

U.S

Multi-factor Productivity = 98000 units/(20600+59250)

Multi-factor Productivity = 98000 units / 79850 hours

Multi-factor Productivity = 1.23

LDC

Multi-factor Productivity = 19980 units / (15600+5600)

Multi-factor Productivity = 19980 units / 21200 hours

Multi-factor Productivity = 0.94

c. Raw Material Productivity = Sales / Raw Materials Currency

U.S

Raw Material Productivity = 98000 units/$19950

Raw Material Productivity = 4.91

LDC

Raw Material Productivity = 19980 units / (19750 /10)

Raw Material Productivity = 19980 units / $1975

Raw Material Productivity = 10.12

17-1: Many multinational and global companies use ethnocentric staffing in their operations abroad. Why do you think a company might prefer to have someone from home country in top management positions? If you were hired as a consultant, would you recommend that a multinational or global business change its policy? Explain.

17-2: Culture shock is commonly experienced by people living in an unfamiliar culture. Yet not all people experience it, and not all people feel its effects in the same way nor to the same extent. Some experts advise psychological testing to determine one's likelihood of handling such an adjustment. What psychological attributes do you suppose are advantageous in this situation? What sort of training do you think could help someone adapt more easily to a new culture? Explain.

Answers

Many multinational and global companies use ethnocentric staffing in their operations abroad for reasons such as cultural familiarity, language similarity.  psychological attributes that are beneficial in adapting are flexibility, desire to learn more and accept others openly.

In addition to encouraging consistency in management procedures, an ethnocentric staffing policy may also make communication and decision making easier. However, such a policy might also restrict diversity and make it more difficult for the business to respond to local market circumstances or capitalize on local talent. If appointed as a consultant I would suggest multinational companies to adopt a more geocentric staffing strategy that promotes diversity and inclusion while striking a balance between local and global perspectives.

The psychological qualities of openness to new experiences, flexibility, empathy, and resilience are helpful in adjusting to a new culture. These characteristics increase a person propensity to be receptive to new ideas, adaptable to novel circumstances and equipped to deal with the difficulties of integrating into a foreign culture. Intercultural communication classes and language and cultural immersion programs are all types of training that could make it easier for someone to adapt to a new culture.

Learn more about ethnocentric staffing at:

brainly.com/question/29763151

#SPJ1

Isabella and Antonio are auto mechanics. Isabella takes 6 hours to replace a clutch and 4 hours to replace a set of brakes. Antonio takes 8 hours to replace a clutch and 6 hours to replace a set of brakes. State whether anyone has an absolute advantage at either task and, for each task, identify who has a comparative advantage.

Answers

Isabella has an absolute advantage in both clutch replacement and brake replacement due to her ability to complete each task in less time.

- Isabella also has a comparative advantage in both clutch replacement and brake replacement, assuming similar skills and pay rates.

How to determine the whether anyone has an absolute advantage at either task and, for each task

To determine absolute and comparative advantages in this scenario, we need to compare the productivity of Isabella and Antonio in replacing clutches and brakes.

Let's analyze the tasks:

1. Clutch Replacement:

- Isabella takes 6 hours.

- Antonio takes 8 hours.

Based on the time taken, Isabella has an absolute advantage in clutch replacement because she can complete the task in less time than Antonio.

2. Brake Replacement:

- Isabella takes 4 hours.

- Antonio takes 6 hours.

Again, based on the time taken, Isabella has an absolute advantage in brake replacement because she can complete the task in less time than Antonio.

Similar to clutch replacement, if we assume similar skills and pay rates, Isabella would also have a comparative advantage in brake replacement due to her ability to complete the task more quickly.

Comparative advantage is based on a comparison of opportunity costs, and without specific information about the trade-offs involved, we can infer that Isabella's ability to complete both tasks more quickly gives her a comparative advantage in both.

Learn more Comparative advantage at https://brainly.com/question/12291750

#SPJ1

If I buy 4 books and 2 pens. 4 books: $14.29, $14.29, $13.29, and $9.29. Pens: $3.99 and $5.99. And I gave $60.00. The cashier gave me 32 cents back. Did the cashier give me the right amount of cash back?
(No need to add tax because for the 4 books and 2 pens already has tax added.)

Answers

Yes, the cashier gave the exact amount of money.

$60.14 ($14.29 + $14.29 + $14.29 + $13.29 + $9.29 + $3.99 + $5.99) is the total price of the items. The cashier gave have to return $0.14 in change if the customer had given $60.00. The client was due more change, so the clerk gave them 32 cents back instead.

This indicates that the cashier gave the appropriate amount of money and even provided extra change. Debit card cashback is a service that is available to retail customers. It involves adding money to the transaction's total purchase price and giving the customer the extra cash at the point of sale.

As a result, the significance of the cashier give me the right amount of cash back are the aforementioned.

Learn more about the cashier gave, here:

https://brainly.com/question/29299993

#SPJ1

what is a literature review

Answers

A literature review is a critical analysis of the existing research on a particular topic. It is typically written as an introduction to a research paper or thesis, and it serves to provide the reader with a background on the topic, as well as an overview of the key findings of the existing research.

A literature review should be well-organized and easy to follow. It should start with an introduction that provides a brief overview of the topic and the research question. The body of the review should then discuss the key findings of the existing research, organized by theme or topic. The review should conclude with a discussion of the implications of the existing research for the research question.

When writing a literature review, it is important to be critical of the sources that you are using. You should evaluate the quality of the research, and you should be prepared to discuss the strengths and weaknesses of the existing research. You should also be prepared to synthesize the findings of the existing research, and to draw your own conclusions about the topic.

A literature review can be a challenging task, but it is an essential part of any research project. By carefully reviewing the existing research, you can gain a better understanding of the topic, and you can develop a more informed research question.

Here are some tips for writing a literature review:

- Start by identifying the key sources on your topic. This can be done by conducting a literature search, using a variety of sources, such as academic databases, online journals, and books.

- Once you have identified the key sources, read them carefully and take notes. Be sure to summarize the main findings of each source, and to identify any gaps in the research.

- Once you have completed your reading, start to organize your thoughts. This can be done by creating an outline, or by using a mind map.

- Once you have a clear idea of what you want to say, start to write your review. Be sure to use clear and concise language, and to cite your sources properly.

- Once you have completed your review, have someone else read it and give you feedback. This can help you to identify any errors or omissions.

Writing a literature review can be a challenging task, but it is an essential part of any research project. By following these tips, you can write a literature review that is clear, concise, and informative.

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

Answers

Do not go to the link its bad

An organization that provides goods and services while seeking to operate at a profit is atn)
(Enter one word in the blank)

Answers

The organization where the goods & services should be operated for profit is known as the business.

The following information related to the business is:

It is an organization or the company where the entity should be engaged in commercial activities, industrial activities, etcIt is the efforts & activities of an individual or the company that generated the production and sale of the goods and services for the profit purpose.

Therefore we can conclude that The organization where the goods & services should be operated for profit is known as the business.

Learn more about the organization here: brainly.com/question/22159975

What will produce more accurate results when giving a survey?
A. Using the word "frequently" in a question
B. Creating face-to-face interviews
C. Adding boxes to check for answers
D. Creating an open questions

Answers

Answer:

Option B; Creating face-to-face interviews

Explanation:

Research has shown that face-to-face interviews tend to produce more accurate results when giving a survey. So the correct answer is option B.

A renovation of the gift shop at Orlando Amway Center has six activities (in hours). For the following estimates of a,m, and b, calculate the expected time and the standard deviation for each activitiy.
Activities a m b
a 11 15 19
b 27 31 41
c 18 18 18
d 8 13 19
e 17 18 20
f 16 19 22
I have calculated the expected times to be:
A= 15
B= 32
C= 18
D= 13.2
E= 18.2
F= 19

Answers

As, the expected time is being calculated as, expected time for an activity is calculated as : (a+4 m+b) / 6

What is the deviation?

The term deviation is defined as, a measurement that is used to find the difference between the observed numerical quantity and the expected value of a variable quantity.

Using the above formula, the expected time for each activity are:

Activity A = [11+(15x4)+19] / 6 = 90/6 = 15

Activity B = [27+(31x4)+41] / 6 = 192/6 = 32

Activity C = [18+(18x4)+18] / 6 = 108/6 = 18

Activity D = [8+(13x4)+19] / 6 = 79/6 = 13.2

Activity E = [17+(18x4)+20] / 6 = 109/6 = 18.2

Activity F = [16+(19x4)+22] / 6 = 114/6 = 19

Standard deviation for an activity is calculated as : (b-a)/6

Using the above formula, the standard deviation for each activity are :

Activity A = (19-11) / 6 = 8/6 = 1.3

Activity B = (41-27) / 6 = 14/6 = 2.3

Activity C = (18-18) / 6 = 0/6 = 0

Activity D = (19-8) / 6 = 11/6 = 1.8

Activity E = (20-17) / 6 = 3/6 = 0.5

Activity F = (22-16) / 6 = 6/6 = 1

Therefore, As a result, the expected time and the standard deviation for each activity are as follows.

Learn more about the deviation here:

https://brainly.com/question/23907081

#SPJ1

All of the following are EXCLUDED from the definition of an agent EXCEPT an individual who represents the issuer in the:A.sale of municipal securities to the publicB.private placement of common stockC.sale of common stock to the issuer's employeesD.sale of federal covered common stock to the public

Answers

The exemption with respect to the agent is the sale of federally covered common stock to the public

According to the issuer exemption, the issuer's issuance of securities is not regarded as a "sale" within the meaning of the Securities Act and is consequently free from the Act's registration requirements. This indicates that before offering the securities to the general public, the issuer is not required to register them with the Securities and Exchange Commission (SEC).

The corporation that issues and sells the securities to the general public, or the issuer of the securities, is exempt from this requirement. The sale of federally protected common stock as well as other securities, including bonds and notes, are covered by the issuer exemption. Its goal is to make it possible for businesses to raise money by selling securities to the general public without having to go through the time-consuming and expensive process of registering those securities with the SEC.

Read more about the agent on:

https://brainly.com/question/7284696

#SPJ4

Fuel of R800 for the delivery truck was posted to the salaries and wages account, what is the accounting equation

Answers

Posting fuel expenses to the salaries and wages account is an error that disrupts the accounting equation. To rectify this mistake, the transaction should be reversed by debiting the correct account (Fuel) and crediting the incorrect account (Salaries and wages).

The accounting equation states that assets = liabilities + equity. It is a fundamental principle of accounting, and it is used to ensure that financial statements are accurate and balanced. This equation holds true for every transaction that a company makes, including the case when fuel of R800 for the delivery truck was posted to the salaries and wages account.

When fuel of R800 for the delivery truck was posted to the salaries and wages account, it is a mistake. The transaction was wrongly posted to the wrong account. Therefore, the accounting equation will not balance, as it is incorrect. To fix this error, the transaction should be reversed by debiting the salaries and wages account and crediting the fuel account, the correct account for the transaction.

The corrected journal entry will be: Debit Fuel account R800, Credit Salaries and wages account R800. This will balance the accounting equation and ensure that the financial statements are accurate. It is important to always ensure that transactions are posted to the correct accounts to maintain the accuracy of financial records.

For more such questions on accounting equation

https://brainly.com/question/1347011

#SPJ8

Alan tells Sherry that he will pay her $5,000 if she runs the Boston Marathon. Once Sherry starts running the marathon, Alan, legally, ________. Group of answer choices can revoke the contract as informal verbal agreements are not binding. can reduce the amount of money offered from $5,000 to $4,500, but only if Sherry doesn't place in the Boston Marathon. cannot revoke the contract. can sue for equitable damages only.

Answers

Answer:

can revoke the contract as informal verbal agreements are not binding

Explanation:

Since in the question it is mentioned that sherry would pay her $5,000 in the case when she runs marathon now once she starts running so here alan can revoke the contract legally as there is only verbal agreements not the written agreement also they are not binding to each other

So as per the given situation, the above statement should be considered

on 9 OT 25
Which type of checking account charges a small fee for every check that
clears the account?
A. Cost-per-check account
B. Average balance account
C. Minimum balance account
o
D. Free account

Answers

free accounting suppose
step-by step

Answer:

A. Cost-per-check account

Explanation:

Ap3x

on 9 OT 25Which type of checking account charges a small fee for every check thatclears the account?A.

what step in the rational decision-making process involves assessing what worked and did not work about the process and solution

Answers

The  step in the rational decision-making process which involves assessing what worked and did not work about the process and solution is defining the problem.

What is rational decision-making process?

Rational decision  can be described as the opposite of intuitive decision making.

It can be described as the  strict procedure utilizing objective knowledge and logic and this also involves identifying the problem to solve, it hence The  step in the rational decision-making process which involves assessing what worked and did not work about the process and solution is defining the problem.

In conclusion, Decision making serves as the process that involves consideration of  choices through the identification of a decision.

Find out more on decision-making at https://brainly.com/question/25870371

#SPJ1

Answer:

the last step

Explanation:

\(\huge\fbox\color{green}{Question}\)

What do you understand by a balanced budget?​


Thank you in advance~ + Nonsense = Reported

Answers

\( \: \: \: \: \: \: \: \: \: \: \huge{ \red{\boxed{\mathfrak{ \color{orange}{answer}}}}}\)

A balanced budget in which government estimated receipts (revenue and capital) are shown equal to government estimated expenditure.

#CarryOnLearning

Answer:

A balanced budget occurs when revenues are equal to or greater than total expenses. A budget can be considered balanced after a full year of revenues and expenses have been incurred and recorded. Proponents of a balanced budget argue that budget deficits burden future generations with debt.

Explanation:

Answer of your Question and good afternoon and please mark me as brainliest and thank u and have a great good fine nice and amazing day

How would you do this problem using excels PV formula and the PMT function?

Here's the question:
You want to accumulate $1 million by your retirement date, which is 25 years from now. you will make 25 deposits in your bank, with the first occurring today. The bank pays 8% interest, compounded annually. You expect to receive annual raises at 3%, which will offset inflation, and you will let the amount you deposit each year also grow by 3% (i.e, your second deposit will be 3% greater than your first, the third will be 3% greater than the second, etc.) How much must your first deposit be if you are to meet your goal.

Answers

Answer:

$18,497.43

Explanation:

Enter the information given in the problem into a new Excel worksheet. The information you will need includes the present value (PV), future value (FV), number of periods (N), interest rate (I/Y), and periodic payment (PMT).

Calculate the future value (FV) of the savings you need at retirement. In this case, the FV is $1 million.

Calculate the number of periods (N) you have to save for retirement. In this case, N is 25 years.

Calculate the interest rate (I/Y) of the savings account. In this case, the interest rate is 8% compounded annually.

Calculate the periodic payment (PMT) that you need to make each year to reach your savings goal. To do this, use Excel's PMT function, with the following inputs:

Rate: 8% (the annual interest rate)

Nper: 25 (the number of years)

Pv: 0 (the present value, which is 0 because you have not yet made any deposits)

Fv: -$1,000,000 (the future value, entered as a negative value because it represents money you will owe)

Type: 0 (since the payments are made at the end of each period)

Use the PV formula to calculate the amount of the first deposit you need to make today. The PV formula is:

PV = PMT * [(1 - (1 + r)^-n) / r] + FV / (1 + r)^n

where:

PV is the present value of the deposits you need to make today

PMT is the periodic payment you need to make each year

r is the annual interest rate

n is the number of years

In this case, the PMT is calculated in step 5, r is 8%, n is 25, and FV is $1 million. Therefore, the PV formula becomes:

PV = PMT * [(1 - (1 + r)^-n) / r] + FV / (1 + r)^n

PV = $18,497.43

Question 7 of 10
If you borrow $2,000 at 5 percent simple interest, how much will you owe
after one year?
A. You will owe 5 percent of the principal only.
OB. You will owe the principal of $2,000 only.
C. You will owe the principal of $2,000 plus 5 percent of the principal.
D. You will owe the principal of $2,000 minus 5 percent of the
principal.

Answers

You will owe the principal of $2,000 plus 5 percent of the principal.The correct answer to this question is C.

Simple interest is calculated by multiplying the principal by the interest rate and the time period. In this case, the principal is $2,000 and the interest rate is 5 percent. After one year, the interest accrued would be $100 (5% of $2,000).

Therefore, the total amount owed after one year would be $2,100 ($2,000 principal + $100 interest). It is important to note that simple interest is calculated only on the principal amount borrowed, and not on any interest that has already accrued.

Additionally, the interest rate is usually expressed as an annual rate, so it is important to adjust the time period accordingly if the loan term is less than one year. The correct answer to this question is C.

For more such questions on principal visit:

https://brainly.com/question/30163719

#SPJ11

What information do you get from taking inventory?

A: How fast a certain product is selling
B: How much money was earned
C: Demographic data on customers

Answers

C por que no entiendo inglés

Question 1: Refer to lecture PowerPoint slides on organizational culture and discuss how Noor bank transformed on seven dimensions?
Seven dimensions are

Detail-oriented
Innovative
Aggressive
Outcome-oriented
Stable
People-oriented
Team-oriented

Answers

Noor Bank, a UAE-based Islamic bank, underwent a significant transformation across seven dimensions to enhance its competitiveness in the market.

The first dimension was customer-centricity, where the bank focused on delivering personalized experiences to customers through digital channels. The second was innovation, where the bank introduced new products and services such as mobile banking and digital payments to cater to the evolving needs of customers.

The third was operational efficiency, where the bank streamlined its processes to reduce costs and improve productivity.

The fourth dimension was risk management, where the bank implemented a robust risk management framework to mitigate potential risks. The fifth was talent management, where the bank invested in employee training and development to build a high-performing workforce.

The sixth was sustainability, where the bank demonstrated its commitment to social and environmental responsibility through various initiatives.

Finally, the seventh dimension was collaboration, where the bank formed partnerships with other institutions to expand its reach and offerings. Through these transformations, Noor Bank has become a leading player in the UAE's banking industry and continues to innovate and grow.

To learn more about seven dimensions click on,

https://brainly.com/question/30187035

#SPJ1

Complete question is:

Discuss how Noor bank transformed on seven dimensions?

assume that the united states and france are the only two countries in the world and that exchange rates between the two countries are flexible. a. assume that there is an increase in the united states demand for french goods. explain how this increase in demand will affect each of the following: i. the supply of dollars ii. the international value of the dollar

Answers

There is an increase in the united states' demand french goods. increase in demand will affect the following :

i. Supply of dollars increases to buy French goods

ii. The value depreciates due to the increase in the supply of dollars

How does value depreciation work?

Depreciation is the value loss that occurs as an item is utilized or ages over time. The total depreciated value of an object is how value is expressed once depreciation is taken into consideration.

You will determine this value by applying a complex equation that takes into consideration the item's original cost, its salvage value, and its predicted age.

Therefore, When you utilize your goods for purposes other than business, how much they depreciate is typically essential.

Learn more about Depreciation from the given link.

https://brainly.com/question/28541005

#SPJ4


The competitive threat that outsiders will enter a market is weaker when

Answers

The competitive threat that outsiders will enter a market is weaker when the incumbents enjoy substantial cost advantages.

The competitive threat that outsiders will enter a market refers to the possibility that new firms will enter a market to compete against existing firms. It is the degree of competition in a market that is determined by the ability of other companies to enter the same market and offer similar goods or services at a lower cost.

There are certain factors that determine the competitive threat of outsiders, these are:Ease of Entry: When the cost of entering a market is low, the threat of new entrants is high and vice versa.Brand loyalty: In markets where consumers are more loyal to the existing brands, the competitive threat of new entrants is weaker.

Patents: In markets where incumbents hold many patents, the competitive threat of new entrants is weaker.Cost advantage: The competitive threat of outsiders is weaker when incumbents enjoy substantial cost advantages.Cost advantage is the answer to your question.

The competitive threat that outsiders will enter a market is weaker when incumbents enjoy substantial cost advantages.

For more such question on competitive visit:

https://brainly.com/question/28967395

#SPJ8



Question 4 (2 points)
Burnell organized his gift shop, Ebony Artifacts, as a corporation. He created 500
shares of stock, each worth $100. Burnell held 360 of the shares for himself. He sold
the rest in equal amounts to seven investors. How many shares does each investor
own?

Answers

Answer:

Each investor has 20 shares (worth $2,000.)

Explanation:

Given the information below, calculate the net cash provided from operating activities for Baskin Peter Pty. Ltd.

Receipts from customers $279,247

Payments for property, plant & equipment $42,310

Interest paid $4,231

Proceeds from issue shares $25,836
Payments to supplier and employees $220,013

Repayment of borrowings $53,331

GST paid $16,924

Payments for motor vehicle $37,985

Interest received $6,770

Select one:

$61,773

$44,849

$55,345

$49,080

Answers

To calculate the net cash provided from operating activities, we need to add up the cash inflows from operating activities and subtract the cash outflows from operating activities.

The cash inflows from operating activities are:

Receipts from customers: $279,247

Interest received: $6,770

Total cash inflows from operating activities: $286,017

The cash outflows from operating activities are:

Payments to suppliers and employees: $220,013

GST paid: $16,924

Total cash outflows from operating activities: $236,937

Therefore, the net cash provided from operating activities is:

Net cash provided from operating activities = Cash inflows from operating activities - Cash outflows from operating activities
Net cash provided from operating activities = $286,017 - $236,937
Net cash provided from operating activities = $49,080

Therefore, the net cash provided from operating activities for Baskin Peter Pty. Ltd. is $49,080.

So the answer is D) $49,080.
Other Questions
What did Woody use for temporary-weather stripping farewell to manzanar Deliverable - Please work individually on this assignment - Submit a MS Word or document file that includes your answers to each question. - Keep answers concise but be sure to provide enough detail to convey understanding. 1. Give either a market scenario or your personal experience with the impact of competitive advantage using network-based strategies. We covered a few examples in class, so please provide a unique scenario. 2. In the context of a break-even analysis and Porter's competitive forces, provide your observations for the following caselet: I believe that high-speed electric motors are the next greatest thing for boating. I estimate that initial fixed cost for rotor casting and assembly, the frame manufacturing, and process control system will cost $3,500,000. Each unit requires two electric motors, two counterrotating propellers, rod assembly and casing, as well as other overhead, which I estimate will cost $32,500. Order fulfillment for each motor will cost $3,250. I will be first-to-market, so I think I can sell it for at least $42,000 each! For each prospective product: a. Given the values above, how many should I sell at minimum and why? Use the formula provided in Lecture 01 to show your work. b. Comment on one competitive force from Porter's that is relevant. Be sure to note if its high/low. 3. Recall our Lecture 02 discussion: provide a few sentences on your personal interaction as a consumer with a business process. Be sure to share some insight on one other "aspect" of this interaction as discussed in class. 4. Regarding Supply chain awareness: provide an outcome that could result from push-based supply chain model (i.e. build-to-stock)? Provide one improvement that is offered by a pullbased supply chain model (i.e. demand-driven)? You must prepare an analysis of how each customer's monthly charges will change under the updated cost and price. Ideally, profitability will remain the same. Create a spreadsheet that shows the monthly charges under the current monthly cost and price, the updated monthly cost and price, the euro amount of change with the updated pricing, and the percent of change with the updated pricing. Use the data in the spreadsheet. Be sure to follow the spreadsheet guidance provided in the last two lectures. a) Please complete the template using "VLOOKUP" formulas for the current monthly cost, current monthly price, and updated monthly cost, with reference to values (ie. not embedding static numbers) b) Please complete the template using an "IF" formula for updated monthly price with reference to values (ie. not embedding static numbers). c) Create a graph to compare the percent change for each customer. It will provide Crepitas LNG Distribution (CGD) a good visual indicator of how much the updated cost and pricing will impact each customer. Use customers as the X axis (horizontal) and percentages as the Y axis (vertical). d) Interpret the results. Does this make sense for Crepitas LNG Distribution (CGD)? Why or why not? Explore what you know from class. Layout for your Reference (i.e. graph uses example data; it does NOT provide the answer) SunShine Agricultural Group is introducing a program that will be focused on managers to increase their skill levels by providing educational opportunities and allowing them to rotate through different jobs in the company. Which type of program does this describe In The Quest of the Holy Grail, Galahad's grandfather is initially identified as a Fisher King; in a later section, Galahad's grandfather is identified as King Pelles. This is an example of Jade has learned that listening to customers, learning about their needs, and communicating with them over a prolonged period of time is key toward making large business sales. Jade is most likely using can some help 10 points and brainllest for the first answer 4. Limiting drawing ratio depends on yield strength. True O False a nurse is gathering information about a health history of a person who has experienced violence. which are important caring behaviors a nurse should implement during the interview? select all that apply. student mixes vinegar and baking soda inside a sealed plastic bag would the reaction be the same if baking soda and vinegar were mixed outside the plastic bag? BRAINLIEST QUESTION ON PIC THANK YOU which of the following was a change made in japan after world war II Why is it false to say that single-family mortgage foreclosures cause violent crimes to occur? help!!!!!!!!!!! plsssssssssss The Beef-Up Ranch feeds cattle for Midwestern farmers and delivers them to processing plants in Topeka, Kansas, and Tulsa Oklahoma. THe ranch must determine the amounts of cattle feed to buy so that various nutritional requirements are met while minimizing total feed costs. The mixture fed to the cows must contain different levels of four key nutrients and can be made by blending three different feeds. The amounts of each nutrient (in ounces) found in each pound of feed is summarized as follows:Nutrients (in ounces) per Pound of FeedNutrientFeed 1Feed 2Feed 3A324B313C102D684The cost per pound of feeds 1,2, and 3 are $2.00, $2.50, and $3.00, respectively. The minimum requirement per cow each is 4 pounds of nutrient A, 5 pounds of nutrient B, 1 pound of nutrient C, and 8 pounds of nutrient D. However, cows should not be fed more than twice the minimum requirement for any nutrient each month. (Note that there are 16 ounces in a pound.) Additionally, the ranch can only obtain 1,500 pounds of each type of feed each month. Because there are usually 100 cows at the Beef-Up Ranch at any given time, this means that no more than 15 pounds of each type of feed can be used per cow.a. Formulare a linear programming problem to determine how much of each type of feed a cow should be fed each month.b. Create a spreadsheet model for this problem, and solve it using Solver.c. What is the optimal solution? on the interval determine which angles are not in the domain of the given functions. what angles are not in the domain of the tangent function on the given interval? given in order from least to greatest. Read the sentence.Before we make plans for a vacation, we need to calculate the rest of our expenses.Why is the adverbial clause included?to show a time relationship Those in favor of using the atomic bomb argued that a mainland invasion of Japan wouldfail to demonstrate the power of the US Navy. lead to massive death and destruction in civilian areas.open the United States to criticism from Allied partners. cost hundreds of thousands of American soldiers lives. pls answer the picture What could be the next line in the solution of the equation 3 (x - 2) = 15 ? Write an explicit formula for an, the nth term of the sequence 33, 30, 27