It changed the home entertainment ecosystem turning it sharply toward streaming services like Netflix and Disney+ by making all movies and films into streaming because of the lockdown. Due to the lockdown, movie theaters were not in operation and the other avenue to show movies for viewers and earning money by producers is introducing streaming.
This affected the Cable and film industries in a positive way. It gives more avenue to make money through movie making. Movies can be shown on Netflix and the likes and other cable TV with subscription.
COVID 19 PandemicCOVID-19 Pandemic is also known as Coronavirus pandemic. The pandemic period was between 2019 and 2020. During this period, there was global lockdown to curtail the spread of the virus. The virus which is believed to be airborne.
The outbreak of the virus was referred to as pandemic on 11th of March 2020. The spread was said to have started in Wuhan, China in November 2019. There was confirmed cases of 766,440,032 and reported death of 6,932,578.
During this period, there was general lockdown and everyone was advised to stay indoor to reduce the spread of the virus. In the era, lot of changes, modification and development were recorded. The increase in the number of internet users, online classes, online presence and a lot more.
There was a shift to streaming platforms and entertainment has to continue. Since there were increase in the numbers of cable users, it has little to no effect on it as everyone wants to be entertained. COVID 19 had little to no negative impact on Cable or film industries as it brought more profit to them.
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Grow-Now currently has a book value of equity of $100/share. The company is expected to have strong investment opportunities in the near-term, and as such will have a ROE of 14% for the next 3 years. Because earning per share is equal to the product of book value of equity and ROE, this implies that the earnings per share (EPS) one year from today will be $14. After this 3-year period, the company's investment opportunities will decrease, such that the firm will have an ROE of 7% from this point onwards. The firm has an equity beta of 1.5, risk-free debt, and a D/E ratio of 0.60. The market risk premium is 5%, the risk-free rate is 3%, and the corporate tax rate is 0%. 5a. Find the current stock price if the company keeps a constant payout policy of 40%. 5b [tougher]. Can the company increase its share price by changing its payout policy for the first 3 years [hint: try changing the payout policy and recomputing the stock price]. 5c [tougher]. If the company keeps a payout policy of 40% for the first 3 years, can the company increase the share price by changing the payout policy after the first 3 years [you can answer this with a calculation or qualitative argument].
The calculations required to answer these questions are complex and need more space than allowed here. the stock price can be calculated using the Gordon Growth Model.
However, briefly, under a constant payout policy, the stock price can be calculated using the Gordon Growth Model. Changes in the payout policy can potentially influence the stock price. Calculating the current stock price requires using the Gordon Growth Model, which assumes that dividends grow at a constant rate indefinitely. In this case, the payout ratio is 40%, so $5.60 (40% of $14) will be paid out as dividends each year. The cost of equity can be calculated using the CAPM formula: Risk-free rate + Beta * Market risk premium (3% + 1.5*5% = 10.5%). For the two growth phases, the constant growth Dividend Discount Model (DDM) can be applied separately, and then the present values of these two stages are added to give the current stock price. Changing the payout ratio can potentially affect the stock price, but it will depend on various factors, including the company's investment opportunities, cost of equity, and the expectations of shareholders.
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What do you think were the main concerns with the Olympus two-door sports coupe? Is there a market for a two-seat, $32,000 sports car when the RX-8 sells for significantly less? Evaluate the role of the marketing mix in the Olympus introduction. What are some of the marketing strategies auto manufacturers use to stimulate sales of certain makes of automobiles?
The main concerns of the sports coupe is that
They did not carry out good research of the marketThey also did not research the people that would buy the product.There is no market for the two seat car given that it would be better if it was a market that people knew with a cheaper price.
2. What is the role of the marketing mix?The role of the marketing mix has to do with the combination of price and the product. These two did not match properly in order to be able to take care of the need of customers and expectations.
3. Some of the strategies would be the use of social media and search engines. This would help to create the awareness for their products and create traffic.
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How many milliliters are in 1 quart?
How can you reduce the chances of tractor runovers and collisions?
Make yourself as visible as possible on the road by using flashing lights and reflecting surfaces. The farther away a driver can see you, the better; drivers sometimes underestimate how slowly a tractor travels compared to them.
Whenever possible, hug the side of the road. gives impatient or delayed responders extra room to avoid a collision with you.
When a driver makes a mistake or isn't paying enough attention, this is what happens. Fortunately, no one was seriously hurt in this incident.
Without proper training, highly monitored operation, and ongoing supervision, we won't allow anyone to operate a tractor.
Inexperienced drivers are typically to blame for tractor safety problems. More and more individuals are relocating to rural areas from the suburbs. They purchase a few acres of rural property, and one of the first things they do is buy a tractor. Then they drive it like a Suburu for commuting, purchase the incorrect tools, use the incorrect gear, etc.
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A speculator is considering the purchase of five three-month Japanese yen call options with a striking price of 96 cents per 100 yen. The premium is 1.35 cents per 100 yen. The spot price is 95.28 cents per 100 yen and the 90-day forward rate is 95.71 cents. The speculator believes the yen will appreciate to $1.00 per 100 yen over the next three months. As the speculator’s assistant, you have been asked to prepare the following:
1. Graph the call option cash flow schedule.
2. Determine the speculator’s profit if the yen appreciates to $1.00/100 yen.
3. Determine the speculator’s profit if the yen appreciates only to the forward rate.
4. Determine the future spot price at which the speculator will only break even.
If the future spot price is 98.70 cents per 100 yen, the speculator will only break even.
To answer the given questions, we need to calculate the profit for different scenarios based on the information provided.
Graph the call option cash flow schedule:
The cash flow schedule for the call options can be represented as follows:
Spot Price Option Premium Option Exercised Net Profit
< 96 -1.35 0 -1.35
96 - 100 -1.35 (Spot - Strike) (Spot - 97.35)
> 100 -1.35 (100 - 96) 2.65
Note: The option is exercised only if the spot price is greater than the striking price.
Determine the speculator's profit if the yen appreciates to $1.00/100 yen:
If the yen appreciates to $1.00/100 yen, the spot price exceeds the striking price, and the speculator will exercise the options. The profit can be calculated as follows:
Profit = (Spot Price - 97.35) - Option Premium
Profit = ($1.00 - 97.35) - 1.35
Profit = 2.65 - 1.35
Profit = 1.30 cents per 100 yen
Determine the speculator's profit if the yen appreciates only to the forward rate:
If the yen appreciates only to the forward rate of 95.71 cents, the spot price does not exceed the striking price, and the speculator will not exercise the options. The profit in this case is simply the negative of the option premium:
Profit = -Option Premium
Profit = -1.35 cents per 100 yen
Determine the future spot price at which the speculator will only break even:
To determine the future spot price at which the speculator will only break even, we set the net profit to zero and solve for the spot price:
(Spot - 97.35) - 1.35 = 0
Spot - 97.35 = 1.35
Spot = 98.70 cents per 100 yen
Therefore, if the future spot price is 98.70 cents per 100 yen, the speculator will only break even.
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Cash flow schedule is shown below. 2.the total cash flow will be = -6.75 cents. 3. the total cash flow will still be -5 * 1.35 = -6.75 cents. 4. the speculator will break even when the future spot price is 97.35 cents.
1. Graph the Call Option Cash Flow Schedule:
The cash flow from buying call options can be visualized as follows:
Spot Price Profit from Options Total Cash Flow
Below 96 -5 * 1.35 -5 * 1.35
96 0 -5 * 1.35
Above 96 (Spot - 96) * 5 (Spot - 96) * 5
2. Determine the Speculator's Profit if the Yen Appreciates to $1.00/100 yen:
If the yen appreciates to $1.00/100 yen, the profit from options will be 0, and the total cash flow will be -5 * 1.35 = -6.75 cents.
3. Determine the Speculator's Profit if the Yen Appreciates Only to the Forward Rate:
If the yen appreciates to the forward rate of 95.71 cents, the profit from options will be 0, and the total cash flow will still be -5 * 1.35 = -6.75 cents.
4. Determine the Future Spot Price at Which the Speculator Will Only Break Even:
To break even, the total cash flow should be 0, which means the profit from options should equal the loss due to the higher spot price. So:
-5 * 1.35 = (Spot - 96) * 5
Solving for the spot price (Spot) gives:
Spot = 96 + (5 * 1.35) / 5 = 97.35 cents
Therefore, the speculator will break even when the future spot price is 97.35 cents.
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WHAT ARE TWO BENEFITS AND DRAWBACKS OF BEING A SOLE TRADER?
Explanation:
benefits of being a sole trader
The main benefit of being a sole trader is that you are your own boss and you can dictate the direction of the business.you keep all the profits andyou have maximum privacy.
drawbacks
Financing and business credit is harder to procurePotential credibility issueWhat is the correlation between consumer spending, discounts, rising prices, and the economy
Inflation is the correlating factor between consumer spending, discount, rising prices and the economy.
What is an inflation?An inflation means a persistent rise in general level of goods and service in a particular year.
Inflation affects consumer spending because the purchasing power of currency reducesInflation affects discount ratesInflation results to rising price of goods and servicesInflation gives the overall economy a hard timeIn conclusion, an Inflation is the correlating factor between consumer spending, discount, rising prices and the economy.
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what is the difference of communism and socialism?
You need to choose between two machines based on the following information: Machine 1 has a 4 year life, costs $322,500 with pre-tax operating costs of $64,500 per year. Machine 2 has a 3 year life, costs $425,250 with pre-tax operating costs of $39,600 per year. Both machines have a salvage value of $22,500 and are classed with a CCA rate of 18% per year. The company tax rate is 30% and the discount rate is 10% a) What is the EAC? b) Which machine would you select as an investment?
Based on the calculations and analysis, Machine 1 would be the preferred investment option as it has the lower EAC.
a) The Equivalent Annual Cost (EAC) is a measure that allows us to compare the costs of two or more investment options on an annual basis.
To calculate the EAC, we need to determine the present value of the costs associated with each machine and then convert them into an equivalent annual amount.
For Machine 1:
Initial cost: $322,500
Operating costs: $64,500 per year for 4 years
Salvage value: $22,500
CCA rate: 18%
For Machine 2:
Initial cost: $425,250
Operating costs: $39,600 per year for 3 years
Salvage value: $22,500
CCA rate: 18%
Using the discount rate of 10% and the tax rate of 30%, we can calculate the present value of costs for each machine and then convert it into an equivalent annual amount. The machine with the lower EAC would be the preferred investment option.
b) To determine which machine to select as an investment, we compare the EACs of both machines. The machine with the lower EAC would be the preferred choice since it represents the option with the lower annual cost.
Let's calculate the EAC for both machines:
For Machine 1:
PV of costs = Initial cost + (Operating costs - Tax savings) + Salvage value
Tax savings = Tax rate x CCA rate x Operating costs
Tax savings per year =\(0.3 \times 0.18 \times \$64,500 = \$3,492\)
PV of costs = $322,500 + ($64,500 - $3,492) + $22,500 = $406,008
EAC for Machine 1 = PV of costs / Number of years = $406,008 / 4 = $101,502
For Machine 2:
PV of costs = Initial cost + (Operating costs - Tax savings) + Salvage value
Tax savings = Tax rate X CCA rate X Operating costs
Tax savings per year = \(0.3 \times 0.18 \times \$39,600 = \$2,259\)
PV of costs = $425,250 + ($39,600 - $2,259) + $22,500 = $464,091
EAC for Machine 2 = PV of costs / Number of years = $464,091 / 3 = $154,697
Comparing the EACs, we can see that Machine 1 has an EAC of $101,502, while Machine 2 has an EAC of $154,697. Therefore, Machine 1 would be the preferred investment option as it has the lower EAC.
Thus, based on the calculations and analysis, Machine 1 would be selected as the investment option.
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COMPLETE QUESTION
You need to choose between two machines based on the following information: Machine 1 has a 4 year life, costs $322,500 with pre-tax operating costs of $64,500 per year. Machine 2 has a 3 year life, costs $425,250 with pre-tax operating costs of $39,600 per year. Both machines have a salvage value of $22,500 and are classed with a CCA rate of 18% per year. The company tax rate is 30% and the discount rate is 10%.
a) What is the EAC?
b) Which machine would you select as an investment?
Your available credit is $1,000, but you keep your debt to $200.00. How does this help you build a positive credit history?
Keeping a low debt-to-credit ratio can demonstrate responsible credit usage, which is a key factor in building a positive credit history.
Building a good credit history requires maintaining a low debt-to-credit ratio.Your debt-to-credit ratio measures how much of your available credit you are currently using.A lower debt-to-credit ratio implies prudent credit use because you aren't using credit excessively and can properly manage credit.Keep this percentage as low as you can because creditors and lenders use it to assess your credit worthiness. Maintaining a low debt to credit ratio may make you appear less dangerous to lenders and increase your chances of getting future loan applications accepted.Another important element in establishing a solid credit history is having a low debt-to-credit ratio, which can enhance your credit score.
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auditors should use separate to describe emphasis-of-matter items and basis for modifications of the audit report.
Auditors should use separate sections to describe emphasis-of-matter items and basis for audit report modifications. This approach helps provide clarity and distinguish between these two aspects of the audit report.
When preparing an audit report, auditors often encounter certain matters that require additional attention or explanation. These matters can include emphasis-of-matter items and basis for modifications. Emphasis-of-matter items are significant matters that are properly presented and disclosed in the financial statements but are considered important for users' understanding of the audit. On the other hand, basis for modifications refers to circumstances that lead the auditor to modify their opinion on the financial statements.
To ensure transparency and distinguish between these two aspects, auditors should use separate sections in the audit report. This allows readers to easily identify and comprehend the emphasis-of-matter items and the basis for modifications. By providing clear and distinct sections, auditors can effectively communicate the relevant information and provide a comprehensive and informative audit report.
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what can the organization use the porter five forces analysis to promote competitiveness in their industry?
Porter's 5 forces make up a study model of the competitive structure of an industry in which the following are analysed:
The bargaining power of customersThe bargaining power of suppliersThe threat from substitute productsThe threat from represent incoming products Porter's 5 forcesThese five elements are analyzed separately but interconnected, since each of them affects the organization's level of competition. By analyzing the threats of these competitive forces, we can determine our position in the market and understand why we have the current market share.
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Olongapo Sports Corporation distributes two premium golf balls—the Flight Dynamic and the Sure Shot. Monthly sales and the contribution margin ratios for the two products follow:
Product
Flight Dynamic Sure Shot Total
Sales $710,000 $290,000 $1,000,000
CM ratio 62% 72% ?
Fixed expenses total $564,500 per month.
Required:
1. Prepare a contribution format income statement for the company as a whole. Round your percentage answers to 2 decimal places (i.e. .1234 is considered as 12.34).
2. Compute the break-even point for the company based on the current sales mix. (Do not round intermediate calculations. Round your answer to the nearest whole dollar amount.)
3. If sales increase by $48,000 a month, by how much would you expect net operating income to increase? (Do not round intermediate calculations. Round your answer to the nearest whole dollar amount.)
1. The contribution format income statement for Olongapo Sports Corporation shows a total sales of $1,000,000, with a contribution margin ratio of 64%. 2. The break-even point for the company, based on the current sales mix, is $879,687 3. If sales increase by $48,000 per month, the net operating income is expected to increase by $30,720.
1. To prepare the contribution format income statement, we calculate the contribution margin by multiplying the sales by the CM ratio for each product. The total contribution margin is then deducted from the fixed expenses to determine the net operating income. For Flight Dynamic, the contribution margin is $439,400 (62% of $710,000), and for Sure Shot, it is $208,800 (72% of $290,000). The total contribution margin for both products is $648,200 (64% of $1,000,000). Deducting the fixed expenses of $564,500, the net operating income is $83,700. 2. The break-even point can be calculated by dividing the fixed expenses by the weighted average CM ratio. The weighted average CM ratio is calculated by multiplying the CM ratio of each product by its sales proportion. In this case, the weighted average CM ratio is 64% (($710,000 * 62%) + ($290,000 * 72%)) / $1,000,000. The break-even point is then determined by dividing the fixed expenses of $564,500 by the weighted average CM ratio, resulting in $879,687. 3. To calculate the expected increase in net operating income, we need to determine the contribution margin from the additional sales. Since the overall CM ratio is 64%, the expected increase in net operating income can be calculated as $48,000 * 64%, resulting in $30,720.
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Which words means finds its food; a consumer.?
Answer:
The word that means finding its food is hunting
do you agree with the marketing customer service mantra the customers is always right
Answer:
depemds
Explanation:
in jobs usually they tell the employee the customer is right to satisfy them and not lose customers but it is depending the situation
Joe's company is looking to make a number of improvements. The firm would like to maximize potential volume and reserved instance (RI) discounts across multiple accounts and also apply service control policies on member accounts. Which service or tool can be used to gain these benefits
The service or tool that could be used for gaining the benefits should be AWS Orgs.
The information related to AWS Orgs is as follows:
AWS Organization should be an account management service. In this, there are multiple AWS accounts that should be consolidated for developing and managing. As an organization administrator, the accounts should be developed and the existing accounts should be invited for joining the organization.Therefore we can conclude that the service or tool that could be used for gaining the benefits should be AWS Orgs.
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the current price of parador industries stock is $57 per share. current sales per share are $22.20, the sales growth rate is 8 percent, and parador does not pay a dividend. the expected return on parador stock is 11 percent. a. calculate the sales per share one year ahead.
The sales per share one year ahead is:
1. Sales per share = Current sales per share (1 + Growth Rate)
Sales per share = $22.2(1 + 0.08)
Sales per share = $23.98
2. Stock price one year ahead = Current price (1 + Required rate)
Stock price one year ahead = $57(1 + 0.11)
Stock price one year ahead = $63.27
P/S Ratio = Stock price one year ahead / Sale per share one year ahead
P/S Ratio = $63.27 / $23.98
P/S Ratio = 2.64.
A sale is a transaction among or extra events wherein items or offerings are exchanged for cash or different assets. In the monetary markets, a sale is a settlement among a purchaser and supplier concerning the charge of a safety and its shipping for agreed-upon compensation.
In popular enterprise operations, income refer to any transactions in which cash or fee is exchanged for the possession of an amazing or entitlement to a service. In an accounting context, income refers to a company's sales earned from the income of merchandise or offerings (internet income).
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Most employers will pay their employees by directly depositing their paycheck into their checking account. According to his checking account statement, John was paid ________________ every __________
Answer:
Explanation:
According to the bank statement for John Jones that can be found online. John was paid by direct deposit every 14 days (two weeks). Every two weeks John receives a total of $694.81 directly to his bank account and described as "Payroll Deposit - Hotel" which is most likely his job. Direct deposit is a feature that almost every employer has to automatically send an employee's earned income directly to their bank account at the same time every couple of weeks, sometimes twice a month and other times once a month.
to what extent do you think the 'big four' supermarkets should change their strategies and adopt the discounter model?
The major four grocery chains are known as the "Big 4," with Tesco, Sainsbury's, Asda, and Morrisons maintaining their dominance for many years.
What changes should be brought by the big four?Discounters have been expanding their market share, and by 2020 this is predicted to increase. If the big four don't alter their strategy, they risk losing ground. When it comes to net profit margin, the discounter model appears to be more efficient.
The major four Especially if profitability is the primary emphasis of business objectives, you might wish to adopt some components of the method, such as having some discount lines, concentrating on smaller product lines, becoming leaner, and reducing administrative costs.
Depending on how they perceive their own strengths and shortcomings as well as the chances and challenges that lie ahead, they may come to different conclusions.
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What is your opinion on traditional directed government benefits versus
universal income?
Answer:
I believe that a form of universal income would be a better policy than the traditional directed government benefits or welfare.
Explanation:
This is because the idea of the universal income would be to replace the welfare programs, by giving people a reasonable amount of money so that they can decide by themselves in what utilities or amenities to spend that money.
Programs with poor incentives like food stamps, or inefficiently run public-programs, could be replaced by universal income without causing harm to ther beneficiaries, and possibly even generating more benefit.
What kind of services do banks offer their customers?
The services most often provided include a variety of checking accounts, saving accounts, certificates of deposit, and loans, including car loans and home mortgages. Additional services may include safe deposit boxes and investment-related services.
Explanation:
...hype me up ayeeee
Answer:
Fact: Some fungi create zombies, then control their minds
Explanation:
The tropical fungus Ophiocordyceps infects ants’ central nervous systems. By the time the fungi been in the insect bodies for nine days, they have complete control over the host’s movements. They force the ants to climb trees, then convulse and fall into the cool, moist soil below, where fungi thrive. Once there, the fungus waits until exactly solar noon to force the ant to bite a leaf and kill it.
Answer:
yes
Explanation:
Explain the impact of the asset demand, transaction demand, & total demand for money on the economy.
What is the reason for using progressive taxes on income?
A) Lower-income individuals have a lower cost of living and can afford to pay more in taxes.
B) Higher-income individuals are more likely to spend their income on consumption of goods, and paying more taxes discourages spending.
C) Higher-income individuals are more likely to afford their standard of living and can afford to pay more in taxes.
D) Individuals of all incomes pay the same percentage of their income toward the tax, making it a fair tax.
The reason for the progressive tax is because the Higher-income individuals can afford a good standard of living and can pay more in taxes.
What is a progressive tax?This is a type of tax imposed based on a taxpayer's ability to pay, that is, the higher the income. the higher the taxrate applicable to the taxpayer's income.
The reason for progressive tax is that a tax would be a disproportionate burden for people with low incomes.
Therefpre, the Option C is correct.
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Which of the following would increase aggregate demand?
Read the following descriptions. Decide who demonstrates good habits and attitudes.
Michael likes his job. He decides to take a few finance classes so that he becomes better at his job. This will also help in case he wants to transfer to a new position in the same company.
Bryan thinks he has the best job. He thinks he is already doing the best he can and doesn't do anything to improve his skills.
Answer:
Michael demonstrates good habits and attitude
Explanation:
Michael likes his job and takes the initiative to do better so he can get a new position,however Bryan is very cocky and doesn't try to get better.
Noriko analyzes ways to create and improve computer systems.
Boris helps people who are having difficulty using computers.
Lane writes code for operating systems.
Jewel tests software to identify problems.
Carla fixes and maintains databases.
Ignacio plans, organizes, and oversees information technology projects.
Answer:Brian uses ultrasound technology to create images of a patient’s liver and kidneys.
Nigel performs tests on a patient to get information about how his heart is working.
Krystal analyzes X-rays to determine whether a patient has a broken arm.
Explanation:
Answer:
A. B. F.
Explanation:
Edge
Identify one piece of music shared during this presentation that captured your attention.
Please describe what you liked about the music or what the speaker had to say about it.
Music has a powerful way to take attractions of people mostly during the event
Tickets to a fundraiser are $14 if purchased ahead of time and $25 if purchased at the door. The total amount raised from all ticket sales was $625. If eleven tickets were purchased at the door, how many tickets were purchased ahead of time?.
Assume that labor and capital are the only two inputs a perfectly competitive firm uses to produce wheat. The firm hires its inputs in perfectly competitive input markets. The unit price of labor is $8 and of capital is $20. When the firm employs the profit-maximizing combination of these two inputs, the marginal product of labor is 2 tons of wheat and of capital is 5 tons of wheat. The price of wheat per ton must be
The price of wheat per ton must be $4 when profit-maximizing combination is employed.
What is Price?This is defined as the amount of money that has to be paid to acquire a given product.
To get the price per ton for the company to make profit, we find the ratio of the unit price of labor to the marginal product of labor.
$8 / $2 = $4.
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