which product and service strategy is used to produce standard components that can be combined to customer specifications? assemble-to-order make-to-order make-to-package make-to-stock assemble-to-deliver

Answers

Answer 1

Producing standard parts that can be assembled to customer specifications is done using the product and service strategy.

Which of the following processes results in standardized items that can be swiftly delivered to the customer?

A make-to-stock procedure results in standardized goods that may be sent out right away.

Which approach to a product and service has the fastest lead time for delivery?

Among the available options, the make-to-stock product and service approach provides the lowest lead time for delivery, but the client is not involved in the product design process.

What kind of operation is utilized to create a wide variety of products with diverse process needs in general lower volumes?

A variety of products with various processing requirements are produced in lesser volumes using intermittent operations.

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Related Questions

Which of the following characteristics gives Costco a competitive advantage?

Answers

Costco's ability to offer low prices while maintaining high quality products and services is the characteristic that gives it a competitive advantage.

Costco is one of the most successful retailers in the world, thanks to its unique business model, which enables the company to provide low prices on high-quality merchandise while still making a profit. Costco is a membership-only warehouse club that sells bulk quantities of goods to its members at discounted prices. They have low overhead costs, sell in high volumes, and provide a wide variety of products, resulting in lower prices.Costco's competitive advantage stems from its unique business model, which is predicated on low prices and high quality.

By purchasing products in bulk and limiting their selection to high-quality items, they can provide lower prices than most traditional retailers while still maintaining excellent standards of quality. In addition, Costco has a reputation for excellent customer service, which is critical to building customer loyalty and word-of-mouth recommendations. With these characteristics, Costco has a competitive advantage over its competitors. In conclusion, Costco's ability to offer low prices while maintaining high quality products and services is the characteristic that gives it a competitive advantage.

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How is the housing industry related to the economy? If the economy is doing well, what types of homes are being constructed and purchased? What if the economy is doing badly? Other than housing, what additional industries might the economy impact?

Answers

The housing industry have important relation with the economy because its prices can impact residential investment and thus, affect the economic growth.

What is housing industry?

An housing industry is an industry that encompasses building of housing. construction, engaging in commercial housing activities etc.

Generally, when an economy is doing well, it will be favorable to build house of high value as its gives higher confidence in the industry and economy,

Also, the additional industries that impact an economy includes Healthcare, Technology, Retail, Manufacturing industry etc

In conclusion, the housing industry have important relation with the economy because its prices can impact residential investment and thus, affect the economic growth.

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Hi I am doing a product based on green mountain soda but I cannot find the memo please someone help me and give me context and information and everything about green mountain soda.

Answers

Answer:

Green Mountain Soda was a brand of soda that was produced by the Green Mountain Beverage Company. The company was founded in 1995 and was based in Vermont. Green Mountain Soda was known for its unique flavors, including black cherry, root beer, cream soda, and orange cream.

The company used natural ingredients and sweeteners in its products, and its soda was popular among health-conscious consumers who preferred beverages with fewer artificial ingredients. In addition to its soda line, Green Mountain Beverage Company also produced a line of teas and lemonades.

However, it appears that Green Mountain Soda is no longer in production. It is possible that the company went out of business or was acquired by another company. If you are looking to create a product based on Green Mountain Soda, you may want to consider creating a new brand with similar flavors and characteristics.

Explanation:

Lakeside Inc. is considering replacing old production equipment with state-of-the-art technology that will allow production cost savings of $10,000 per month. The new equipment will have a five-year life and cost $390,000, with an estimated salvage value of $40,000. Lakeside’s cost of capital is 10%. Table 6-4 and Table 6-5. (Use appropriate factor(s) from the tables provided. Round the PV factors to 4 decimals.)
Required:
Calculate the present value ratio of the new production equipment. (Round your answer to 2 decimal places.)

Answers

In the problem provided, Lakeside Inc. is considering replacing old production equipment with state-of-the-art technology that will allow production cost savings of $10,000 per month. The new equipment will have a five-year life and cost $390,000, with an estimated salvage value of $40,000.

Lakeside’s cost of capital is 10%. The required solution is given below:Calculation of Present Value Factor using Table 6-4:The present value factor formula is:

P.V. Factor = (1+i)-n

where ,

i = interest rate

n = number of years.

Using the above formula, we can find the present value factor for five years at 10% interest rate as follows:

P.V. Factor = (1+0.10)-5

P.V. Factor = 0.6209

Calculation of Present Value Ratio of new production equipment using Table 6-5:

The present value ratio formula is:

P.V. Ratio = Present value of cash inflows / Initial investment

Let us now calculate the present value of cash inflows using the given data:

Annual savings = $10,000

Total savings over 5 years = $10,000 x 12 months x 5 years

= $600,000

Salvage value = $40,000

Let us calculate the present value of the cash inflows using the formula as follows:

P.V. of cash inflows = $600,000 x P.V. Factor + $40,000 x (1 + 0.10)-5 x P.V. Factor

= $600,000 x 0.6209 + $40,000 x 0.6209

= $372,540

Let us calculate the present value ratio using the formula as follows:

P.V. Ratio = $372,540 / $390,000

= 0.9554

Answer: Present value ratio of the new production equipment is 0.96.

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1. Why is career education so important for teens?

Answers

Because in the future it will help you decide what you want to do

Support Material
Business functions
Activity 1:
Study the following scenarios and answer the questions that flow:

1.1 The sales department is constantly running out of stock because stocks are not ordered on time. The admin clerk is new and files the documents in the wrong place. The purchasing department was not even aware that they should order more stock.

1.1.1 Which department created the problem?

1.1.2 What will the consequences be if the sales department constantly runs out of stock?

1.1.3 How can the problem be solved?

1.2 The creditors are not paid on time and added interest to the account of the business.

1.2.1 Which department created the problem?

1.2.2 What will be the consequences if this continues to happen?

1.3 The workers are always complaining of the third grade stock they have to sell to customers.

1.3.1 Which department created the problem?

1.3.2 How can the problem be solved?

1.4 Clients are constantly surprised on the new items they get on the shelves and some of which they have not seen before?

1.4.1 Which department created the problem?

1.4.2 How can this problem be prevented in future? ​

Answers

In the scenario given, the department that was said to have created the problem is the admin department because the document to show that there was low stocks was filled in the wrong place and as such, the  purchasing department was not made aware.

1.1. What will the consequences be if the sales department constantly runs out of stock?

The consequences are:

They will have issues with customers demanding product and unfulfilled orders.Complains and lastly they will lose customers.

How can the problem be solved?

There should be a computerized system on all product and their quantities should be included such that when the product is getting low on stock, the system will alert the admin and appropriate steps to new buy product will be taken

1.2. Which department created the problem?

Since the creditors  were not paid on time, the department that created the problem is also the admin department

What will be the consequences if this continues to happen?They we be close done.They will not have anyone who will sell products to them.1.3.Which department created the problem?

The purchasing department created this problem.

How can the problem be solved?

The purchasing department need to buy quality Stocks. They can hire a professional who knows the quality so that he or she can help with the purchase.

1.4.

Which department created the problem?

The sales department created this problem

How can this problem be prevented in future? ​

The sales department need to use a method that will not surprise the people such that they can be create an ad or place the new product one at a time not all new product at the same time.

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which of the following is the major product of the following reaction? a) i b) i and ii c) i and iii d) ii e) iii excess hbr

Answers

It is an example of HBr addition to triple bond to produce geminal dibromide (Option A).

What do you mean by triple bond?

In chemistry, a triple bond is a covalent single bond between two atoms that involves six bonding electrons as opposed to the typical two in a covalent single bond. With a bond order of three, triple bonds are stronger than the corresponding single bonds or double bonds.

What occurs when an alkyne is combined with HBr?

An alkyne transforms into vinyl bromide when exposed to 1 equivalent of HBr in the presence of oxygen, peroxides, or UV light. Alkyl halides are produced by adding HBr to alkenes. The pi bond of the alkene functions as a weak nucleophile and reacts with the electrophilic proton of HBr, which is a helpful way to conceptualize the reaction.

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Which of these methods will remove a custom tab stop?
A. Double-click the tab stop.
B. Triple-click the tab stop.
C. Click and drag the tab stop to the left edge of the Ruler.
D. Click and drag the tab stop off the Ruler.

Answers

I think it’s B. Triple- click the tab stop

Answer:

d. Click and drag the tab stop off the Ruler.

Explanation:

What is a business cylcle

Answers

A business cycle is the periodic growth and decline of a nation's economy, measured mainly by its GDP. Governments try to manage business cycles by spending, raising or lowering taxes, and adjusting interest rates. Business cycles can affect individuals in a number of ways, from job-hunting to investing.

calculate minimum payment, amount of interest paid, and unpaid balance

Answers

The total payment is allocated between the interest and principal, and the unpaid balance is the difference between the previous balance and the payment made.

To calculate the minimum payment, amount of interest paid, and unpaid balance, we need to have some values to use. In this regard, let's assume a credit card balance of $5000 with an annual percentage rate (APR) of 18% and a minimum payment of 2% of the balance or $20, whichever is higher.

The minimum payment can be calculated by taking the maximum value between 2% of the balance and $20. In this case, 2% of $5000 is $100. Since $100 is greater than $20, the minimum payment is $100.

The interest paid is the difference between the total payment made and the principal balance. In the first month, the total payment is $100, which is the minimum payment.

The interest on the balance is calculated by multiplying the APR by the average daily balance. Since the balance is $5000, the average daily balance can be calculated as ($5000 x 30) / 30 = $5000.

Hence, the interest paid in the first month is $75 (18% of $5000/12).

Therefore, the total payment of $100 is allocated $75 for the interest and $25 to the principal.

The unpaid balance is the remaining balance after the payment has been made. In the first month, the unpaid balance is $4975 ($5000 - $25).

To calculate the second-month payment, we use the unpaid balance of $4975 as the new balance.

Therefore, the minimum payment for the second month is 2% of $4975 or $20, whichever is higher. Since $20 is less than 2% of $4975, the minimum payment is $99.5 ($4975 x 0.02).

The process continues until the credit card balance is fully paid.

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complete question: Lucy has an unpaid balance of $500 on her credit card. The credit card company requires a minimum payment of 4% and charges an annual interest rate of 27%. Calculate Lucy's minimum payment, the amount of interest paid that month, and her unpaid balance.

Consider a risky portfolio. The end-of-year cash flow derived from the portfolio will be either $60,000 or $175,000, with equal probabilities of 0.5. If you require a return of 12%, how much are you willing to pay for this portfolio?

Answers

If you require a return of 12%, you would be willing to pay up to $104,910.71 for this risky portfolio. This means that if the price of the portfolio is less than or equal to $104,910.71, it would be a good investment according to your required rate of return.

To determine the price you are willing to pay for this risky portfolio, we need to calculate its expected cash flow and then discount it at your required rate of return. The expected cash flow is the sum of each possible cash flow multiplied by its probability:

Expected cash flow = ($60,000 x 0.5) + ($175,000 x 0.5)

Expected cash flow = $117,500

Next, we need to discount the expected cash flow to account for the time value of money and your required rate of return. Using the formula for present value:

Present value = Expected cash flow / (1 + Required rate of return)^n

Assuming n equals one year, and substituting the values we get:

Present value = $117,500 / (1 + 0.12)^1

Present value = $104,910.71

Therefore, if you require a return of 12%, you would be willing to pay up to $104,910.71 for this risky portfolio. This means that if the price of the portfolio is less than or equal to $104,910.71, it would be a good investment according to your required rate of return.

However, if the price of the portfolio is higher than $104,910.71, it may not be worth investing in as the expected return would be lower than your required rate of return. It's important to note that this calculation does not take into account any additional risks associated with the investment.

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If my revenue is 1,000,000 and my expenses are 1,386,000, what's my profit in percentage

Answers

If my revenue is 1,000,000 and my expenses are 1,386,000, The profit in percentage is : -38.6%

Profit in percentage

Given :

Revenue = $1,000,000

Expenses = $1, 386,000

First step is to calculate the Net profit or  Net loss using this formula

Net profit or  Net loss  = Revenue - Expenses

Let plug in the formula

Net profit or  Net loss = $1,000,000 - $1,386,000

Net profit or  Net loss  = - $386,000

Now let determine the profit in percentage

Profit in percentage = -$386,000 / $1,000,000 × 100

Profit in percentage = -38.6%

Therefore the profit or loss is -38.6%.

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Ultra Ltd has the following balances as at 31 October 2013: Cash in hand £1,000 Trade receivables £35,700
Accruals £6,300
Machinery and vehicles £59,000
Prepayments £800 Trade payables £27,000 Bank overdraft £10,200 Land £5,000 Term loan (repayable on 1 £20,000 January 2015) Based on the above information, calculate the total assets and total equity .Select one:
a. Total assets = £104.300: Total equity = £48,000 b. Total assets = £96,500; Total equity = £28,000 c. Total assets = £105,000; Total equity = £45,000 d. Total assets = £101,500: Total equity = £38,000

Answers

The calculation of the total assets and total equity based on the given information is shown below.

Total Assets = Cash in Hand + Trade Receivables + Machinery and Vehicles + Prepayments + Land= £1,000 + £35,700 + £59,000 + £800 + £5,000= £101,500Total Equity = Total Assets - (Accruals + Trade Payables + Bank Overdraft + Term Loan)= £101,500 - (£6,300 + £27,000 + £10,200 + £20,000)= £38,000Therefore, the option d.

Total assets = £101,500: Total equity = £38,000 is the correct answer.Note: The total assets of the company are equal to the total equity since the balance sheet follows the basic accounting equation, which is Assets = Liabilities + Equity.

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What are the safety risks associated with using the Internet? Check all that apply.
encountering inappropriate content
finding incorrect information
getting a computer virus
having your identity stolen
talking privately with your friends

Answers

Answer:

A) Encountering inappropriate content.

C) Getting a computer virus.

D) Having your identity stolen.

The safety risks associated with using the Internet are encountering inappropriate content, getting a computer virus, and having your identity stolen.

With its limitless access to information, the Internet is both a useful tool and a potential threat to safety and security. It's crucial to keep an eye on what a youngster sees, hears, shares, or could be exposed to.

Privacy settings can restrict who can view your child's personal information, such as their name, age, and residence. However, if your child adds someone as a "friend," that person will have access to your child's private information, including, in the case of some devices, their GPS position.

Therefore, the following statements are:

Encountering inappropriate content.Getting a computer virus.Having your identity stolen.

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What type of selling presentation method is best to use when the salesperson
is inexperienced and is selling a non-technical type of product?

a. formula selling
b. consultative selling
c. one-on-one selling
d.prepared sales presentation

Answers

Answer: Prepared sales presentation.

Explanation:

prepared sales presentation is the type of selling presentation method is best to use when the salesperson is inexperienced and is selling a non-technical type of product. Hence, option D is correct.

What is selling presentation method?

A sales presentation, also known as a sales pitch, is a line of argument intended to persuade someone or something. It uses a carefully thought-out sales presentation strategy for a product or service that is intended to open and close a deal.

To allow plenty of room for the additional details, the four categories—memorized, persuasive selling, need-satisfactio, and problem-solution are presented in a zig-zag pattern.

In general, memorized or persuasive selling is preferable while giving a sales presentation. However, the requirements-satisfaction or problem-solution strategies are best if you need to comprehend customer priorities or uncover customer wants or problems.

Thus, option D is correct.

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first national bank has $160 million in checkable deposits, $30 million in deposits with the federal reserve, $10 million cash in the bank vault, and $10 million in government bonds. if the minimum reserve ratio is 20%, how much is the bank required to keep in reserves?

Answers

The amount that the bank is required to keep in reserves, given the minimum reserve ratio, is $32 million.

How to find the reserves ?

The reserves that a bank is required to keep is based on the minimum reserve ratio, and it is meant to ensure that a bank can handle a situation where a lot of people want to withdraw their money at once.

The amount that a bank should keep in reserve is found by the formula:

= Checkable deposits x Minimum reserve ratio

= 160 million x 20%

= $32 million

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Mr. Black Forest has $10 million invested in long-term corporate bonds. This bond portfolio’s expected annual rate of return is 8%, and the annual standard deviation is 10%. Black Forest’s financial adviser recommends that Black Forest consider investing in an index fund that closely tracks the Standard & Poor’s 500 Index. The index has an expected return of 12%, and its standard deviation is 16%. The Treasury bill yield is 6%.

i) Suppose Black Forest puts all his money in a combination of the index fund and Treasury bills. Can he thereby improve his expected return without changing the risk of his portfolio? Provide numerical answers to support your argument.

Answers

Mr. Black Forest can improve his expected return without changing portfolio risk by investing 40% in an index fund and 60% in Treasury bills, resulting in an expected return of 8.4%.

To determine if Mr. Black Forest can improve his expected return without changing the risk of his portfolio, we need to compare the expected return and risk of the current bond portfolio with a combination of the index fund and Treasury bills.

Given:

Bond portfolio:

Expected annual return: 8%

Standard deviation: 10%

Index fund:

Expected return: 12%

Standard deviation: 16%

Treasury bill yield: 6%

To find a combination that maintains the same risk, we can calculate the weighted average return of the index fund and Treasury bills.

Let's assume Mr. Black Forest invests a fraction (x) in the index fund and the remaining fraction (1 - x) in Treasury bills.

The expected return of the combined portfolio can be calculated as:

Expected return = x * Index fund return + (1 - x) * Treasury bill yield

To maintain the same risk, the standard deviation of the combined portfolio should be equal to the current bond portfolio's standard deviation (10%).

Using the given data, we can solve for x:

x * 16% + (1 - x) * 6% = 10%

16x + 6 - 6x = 10

10x = 4

x = 0.4

Therefore, Mr. Black Forest can improve his expected return without changing the risk of his portfolio by investing 40% in the index fund and 60% in Treasury bills.

Numerical calculation:

Expected return = 0.4 * 12% + 0.6 * 6% = 4.8% + 3.6% = 8.4%

By investing 40% in the index fund and 60% in Treasury bills, Mr. Black Forest can achieve an expected return of 8.4%, which is higher than the 8% return of his current bond portfolio, while maintaining the same risk level (10% standard deviation).

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Suppose that good X is one of the more heavily subsidized industries in the United States. Suppose further that as a result of intense lobbying from health-related concerns, Congress repeals the subsidies on good X. Which of the following scenarios would likely occur? O a. The supply curve for good X would shift rightward, as it would now be cheaper to produce each level of output O b. The supply curve for good X would shift leftward, since it would now cost more to produce each level of output. O c There would be no shift in the supply curve for good X, subsidies don't affect output. O d. There would be a movement along the supply curve for good X, but the supply curve would not shift

Answers

The scenarios that would likely to occur is, "The supply curve for good X would shift leftward, since it would now cost more to produce each level of output."

Suppose that good X is one of the more heavily subsidized industries in the United States. Suppose further that as a result of intense lobbying from health-related concerns, Congress repeals the subsidies on good X.

Under the scenario, it is more likely that the supply curve for good X would shift leftward, since it would now cost more to produce each level of output.The presence of a subsidy on a good or service reduces the cost of production, resulting in an increased output of the commodity in question.

As a result of the elimination of a subsidy on good X, the cost of production would increase, resulting in the supply curve for good X shifting leftward, making it more expensive to produce each level of output. In the long run, this could result in a decrease in the production of good X.

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On January 1, 2021, Tropical Paradise borrows $50,000 by agreeing to a 6%, six-year note with the bank. The funds will be used to purchase a new BMW convertible for use in promoting resort properties to potential customers. Loan payments of $828.64 are due at the end of each month with the first installment due on January 31, 2021.

Required:

Record the issuance of the installment note payable and the first two monthly payments.

Answers

Answer:

January 1, 2021, vehicle purchased on credit

Dr Vehicles 50,000

    Cr Notes payable 50,000

January 31, 2021, first installment

Dr Notes payable 578.64

Dr Interest expense 250

    Cr Cash 828.64

Interest expense = $50,000 x 6% x 1/12 = $250

February 28, 2021, second installment

Dr Notes payable 579.89

Dr Interest expense 248.75

    Cr Cash 828.64

Interest expense = $49,750 x 6% x 1/12 = $248.75

Generally loans are made on a 360 day year basis, that means that the monthly interest expense is always calculated as 1/12 of the annual interest charge.

Which of the following is considered a symbol that has varying meaning across cultures? A) colors. B) animals. C) numbers. D) music. E) all of the above.

Answers

Option E, Colors, animals, numbers, and music are all considered symbols that have varying meanings across cultures.

Symbols are objects, images, or sounds that represent or convey meaning. They can have different interpretations and significance depending on the cultural context. Among the options provided, colors, animals, numbers, and music are all examples of symbols that can have varying meanings across cultures.

1. Colors: Different cultures attribute different meanings and symbolism to colors. For example, while white represents purity and innocence in Western cultures, it can symbolize mourning or death in some Eastern cultures. Similarly, the color red can symbolize luck and prosperity in some cultures, while representing danger or warning in others.

2. Animals: Animals often hold symbolic meanings that vary across cultures. For instance, the lion is commonly associated with strength and courage in many cultures, while the owl may symbolize wisdom and knowledge in some societies but represent death or bad omens in others.

3. Numbers: Numbers can also carry cultural symbolism. For instance, the number 7 is considered lucky in many Western cultures, while the number 4 is associated with bad luck in some Asian cultures due to its phonetic similarity to the word for "death."

4. Music: Music is a universal language, but its symbolism and interpretation can differ across cultures. Certain melodies or instruments may be associated with specific emotions, rituals, or cultural traditions unique to a particular society.

In conclusion, colors, animals, numbers, and music are all examples of symbols that can hold different meanings and interpretations across cultures. The diverse perspectives and beliefs of different societies contribute to the variations in symbolic meanings assigned to these elements.

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Which of the following can cause a run-time error?

A programmer anticipated a positive whole number, and the user input a negative decimal value.

A programmer anticipated text data, and the user input text data.

A programmer anticipated numeric data, and the user input numeric data.

A variable was not defined because of a typographical error in the definition of that variable.

Answers

Answer:

A programmer anticipated a positive whole number, and the user input a negative decimal value.

Explanation:

Edge : )

Answer:

A programmer anticipated text data, and the user input text data.

Which persuasive appeal do you think is the most effective in advertising? Explain.

Answers

The persuasive strategies used by advertisers who want you to buy their product can be divided into three categories: pathos, logos, and ethos.

When a buyer purchases a property that has an existing mortgage loan, the buyer does not add his or her signature to the note, meaning the buyer does not take on any personal liability. In this case, the buyer is said to:

Answers

When a buyer purchases a property that already has an existing mortgage loan, the buyer is essentially taking on the responsibility of paying off the remaining balance on the loan. However, the buyer does not need to add their signature to the note, which means that they do not take on any personal liability for the debt. This scenario is known as an assumption.

An assumption is a process where the buyer takes over the existing mortgage loan of the seller, without the need to obtain a new loan. This process can occur in various situations, such as when the seller wants to sell their property but still has an outstanding mortgage on it. In this case, the buyer can assume the mortgage and take over the payments, which helps to simplify the buying process.

Assuming a mortgage can be beneficial for both the buyer and the seller. For the buyer, they do not have to go through the lengthy process of obtaining a new mortgage, which can be time-consuming and stressful. Additionally, the terms of the existing mortgage loan may be more favorable than what the buyer could obtain on a new loan.

For the seller, an assumption can make their property more attractive to potential buyers, as it can make the buying process smoother and quicker. Additionally, if the seller has a low-interest rate on their mortgage, the buyer can assume that rate, which could make the property more desirable.

In conclusion, when a buyer purchases a property with an existing mortgage loan and does not add their signature to the note, they are said to have assumed the mortgage. This process can be beneficial for both the buyer and the seller, as it can simplify the buying process and provide favorable loan terms.

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A 30-year maturity bond making annual coupon payments with a coupon rate of 12% has (Macauley) duration of 11.54 years and convexity of 192.4. The bond currently sells at a yield to maturity of 8%. a) Find the price of the bond if ytm falls to 7% (use financial calculator or spreadsheet).

Answers

The price of the bond if the yield to maturity falls to 7%, based on the period and amount will be $1,620.45.

What is the price of the bond at 7%?

We shall assume that the bond has a face value of $1,000.

The coupon is:

= 12% x 1,000

= $120

The price is:
= (Coupon x Present value interest factor of annuity, 30 years, 7%) + Face value of bond / ( 1 + rate) ^ number of periods

= (120 x 12.409) + (1,000 / (1 + 7%)³⁰)

= $1,620.45

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A man in San Rafael County was discovered committing workers' compensation fraud. He had been observed working while at the same time receiving disability benefits. Surveillance showed the man working at an automobile auction. The investigator interviewed the owner of the auction and found that the claimant was being paid $200 per week in cash for washing vehicles and performing other shop tasks. Surveillance video showed the man carrying 25-pound bags of pet food, loading boxes, and rummaging through a trash dumpster. Obviously, he was not hurt very badly. 1. Was surveillance the proper method to use in this case? Why? 2. What are some restrictions to be careful about in conducting surveillance?

Answers

Answer:

1. Yes

2. - privacy concerns

- may lack full details.

Explanation:

1. In this scenario the automobile auction house would need to show video evidence of his (San Rafael's) fraud activities to the investigator.

2. Privacy concerns such as how the information gotten from video surveillance is used may pose a challenge.

There's also the reality of a lack of full details. For instance, San Rafael may be deaf a disability that cannot be reflected well on a surveillance video that shows him working.

what is stock exchange?​

Answers

It is a place where shares of pubic listed companies are traded.A stock exchange facilitates stock brokers to trade company stocks and other securities. A stock may be bought or sold only if it is listed on an exchange. Thus, it is the meeting place of the stock buyers and sellers

Perform an Internet search to obtain information about slotting fees. Make a list of at least 5 advantages and 5 disadvantages from a manufacturer's and retailer's perspective.

Answers

Slotting fees, also known as listing fees or stocking fees, are charges that retailers demand from manufacturers in exchange for allocating space on their shelves for their products. Here are some advantages and disadvantages from both a manufacturer's and a retailer's perspective:

Advantages for manufacturers:

Increased visibility: Paying slotting fees can help manufacturers secure shelf space for their products, increasing their visibility to consumers.

Improved market share: By gaining access to additional shelf space, manufacturers may increase their market share and sales.

Promotion support: Slotting fees can help manufacturers gain additional promotional support from retailers, such as in-store advertising, end-cap displays, and sales.

Improved product positioning: Paying slotting fees can help manufacturers secure more prominent product placement on store shelves, which can increase product appeal and sales.

Competitive advantage: By securing shelf space, manufacturers may be able to keep their products in front of consumers and outmaneuver competitors who don't pay slotting fees.

Disadvantages for manufacturers:

High cost: Slotting fees can be very expensive, especially for small or new manufacturers, which may struggle to afford them.

Risk of failure: Paying slotting fees is no guarantee of success, and manufacturers may not see the return on investment they were hoping for.

Potential for conflict: Manufacturers may feel pressured to pay slotting fees to maintain relationships with retailers, leading to conflicts of interest and potentially damaging long-term relationships.

Difficulty in predicting ROI: It can be challenging for manufacturers to predict the return on investment for slotting fees, making it difficult to justify the expense.

Exclusivity agreements: Retailers may require exclusivity agreements, meaning that manufacturers cannot sell their products through other retailers or channels, limiting their market reach.

Advantages for retailers:

Additional revenue: Slotting fees generate additional revenue for retailers, helping to offset costs associated with maintaining their stores.

Improved product assortment: By charging slotting fees, retailers can carefully curate their product assortment, ensuring that they offer the products that consumers are most interested in.

Stronger supplier relationships: Retailers may use slotting fees as a way to build stronger relationships with manufacturers and suppliers, improving collaboration and support.

Better product performance: Slotting fees can incentivize manufacturers to put more effort into promoting and advertising their products, leading to better product performance.

Competitive advantage: Retailers can use slotting fees to gain a competitive advantage by securing the best products and brands for their stores.

Disadvantages for retailers:

Limited flexibility: Charging slotting fees can limit the flexibility of retailers, as they may be pressured to keep underperforming products on their shelves to avoid losing the fees.

Risk of supplier conflicts: Demanding slotting fees can put retailers at risk of conflicts with suppliers who refuse to pay or feel the fees are unreasonable.

Inflated prices: Slotting fees can increase product prices, which can be passed on to consumers, potentially leading to negative perceptions of the retailer.

Negative brand image: Retailers charging slotting fees may be viewed negatively by consumers, who may see the practice as exploitative or unfair.

Limited product variety: Charging slotting fees can limit the product variety that retailers offer, as they may only stock products from manufacturers who are willing to pay.

Write a paragraph explaining what kind of assessment works best for you to really be able to show what you know. (Consider standardized tests, open ended responses, essays, projects, speeches, labs). Explain how your learning style may influence your success on each kind of assessment. 100 POINTS PLZ HELP TODAY

Answers

Answer:

In my experience, essays work best for me to be able to show what I know. I feel that they are more effective than taking, say, a standardized test for example. This is because they are often multiple choice, and I find myself sometimes guessing rather than doing the intended work. In an essay, I have no option other than to type/write out what I know with little-to-no guesswork, making writing out an essay a superior option when it comes to displaying my knowledge on a topic. My preferred learning style is of the visual sort, and that means I learn best by taking notes, seeing examples, using charts and diagrams, etcetera. These skills influence my success on many different types of assessments, including essay writing, test taking, and project making. I am able to visually take notes on the topic at hand, often with examples, which, in my experience, greatly influences my success on these different types of assessments.

Which of the following is NOT a characteristic of effective promotion? *
Appropriate
O Misleading

Which of the following is NOT a characteristic of effective promotion? *AppropriateO Misleading

Answers

Answer:

i think no.1

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How is managerial accounting different from financial
accounting? Describe the work that a managerial accountant and
financial accountant perform.

Answers

Managerial accounting and financial accounting differ in various ways. These differences are given below. Managerial accounting is the study of recording, measuring, and reporting financial data for internal use by management.

Financial accounting, on the other hand, is the study of recording, classifying, and summarizing financial transactions for external use by various stakeholders, such as creditors, investors, and regulatory agencies. Managerial accounting deals with the company's internal accounting process.

The focus is on decision-making and management performance measurement, control, and evaluation. Financial accounting is concerned with the company's external accounting process. Its focus is on the development of financial statements to provide information for external stakeholders.

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