What is the present value (PV) of $300,000 received seven years from now, assuming the interest rate is 9% per year? A. $180,000 B. $205,138 C. $164,110 D. $287,193

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Answer 1

The present value (PV) of $300,000 received seven years from now, assuming the interest rate is 9% per year is $164110. The correct answer is C. $164,110.

The present value (PV) can be calculated using the formula:
[tex]PV = FV / (1 + r)^n[/tex]

Where:
- PV is the present value
- FV is the future value ($300,000 in this case)
- r is the interest rate (0.09 for 9% per year)
- n is the number of years (7 years in this case)

Step-by-step calculation:
1. Convert the interest rate to a decimal: 9% = 0.09
2. Add 1 to the interest rate: 1 + 0.09 = 1.09
3. Raise the result to the power of the number of years: [tex]1.09^7 = 1.8281[/tex]
4. Divide the future value by the result from step 3: $300,000 / 1.8281 ≈ $164,110

So, the present value (PV) of $300,000 received seven years from now, assuming the interest rate is 9% per year, is approximately $164,110. The correct answer is C. $164,110.

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Related Questions

some economists argue that the apparent slowdown in economic growth in the united states during the mid-1970s may not really have reduced the standard of living because group of answer choices spending on new government regulations such as the clean air act increased output dramatically without increasing the standard of living of americans significant improvements in the quality of services occurred, although the quantity of these services did not increase much during this time changes in well-being are accurately reflected in statistics measuring economic growth higher production costs from higher oil prices raised production and transportation costs and reduced output

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According to some economists, the apparent slowdown in economic growth in the United States during the mid-1970s may not have actually reduced the standard of living because significant improvements in the quality of services occurred, although the quantity of these services did not increase much during this time.

Changes in well-being are accurately reflected in statistics measuring economic growth. Higher production costs from higher oil prices raised production and transportation costs and reduced output.Slowdown and economic growth: The apparent slowdown in economic growth in the United States during the mid-1970s may not have actually reduced the standard of living because significant improvements in the quality of services occurred, although the quantity of these services did not increase much during this time.

Transportation costs: Higher production costs from higher oil prices raised production and transportation costs and reduced output. Therefore, transportation costs have a significant effect on economic growth and overall standard of living of the Americans.

Statistics: Changes in well-being are accurately reflected in statistics measuring economic growth. Therefore, statistics help to measure the growth of the economy and the changes that occur in the standard of living of people in the United States.

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for early-stage ventures, which of the following is a strong reason for having an equity component in employee compensation? question 21 options: a) the expected deferred and tax-preferred compensation allows the venture to pay a lower current compensation to employees b) it reduces the percentage of ownership held by debtholders c) any dividends received as part of the equity compensation reduces taxable income d) it is a way to motivate employees to strive for a goal of low equity value

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The strong reason for having an equity component in employee compensation for early-stage ventures is option (a) the expected deferred and tax-preferred compensation allows the venture to pay a lower current compensation to employees.

Early-stage ventures often have limited financial resources and may not be able to offer competitive salaries to attract and retain talented employees. By offering equity compensation, the venture can provide employees with a stake in the company's success and motivate them to work towards achieving long-term goals. This can be an effective way to attract and retain top talent without incurring high cash compensation costs.

Equity compensation also offers the potential for deferred compensation and tax advantages for both the company and employees. Employees may be able to defer paying taxes on the equity until they sell it, potentially at a more favorable tax rate. The company may also be able to deduct the equity compensation as a business expense.

The other options, reducing the percentage of ownership held by debtholders (b), any dividends received as part of the equity compensation reduces taxable income (c), and motivating employees to strive for a goal of low equity value (d), are not strong reasons for having an equity component in employee compensation for early-stage ventures.

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under the direct write-off method, a.estimates are used. b.sometimes the allowance account is used. c.primary users are large companies with large amounts of receivables. d.bad debt expense is recorded when specific customer accounts are determined to be uncollectible.

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In the direct write-off method, bad debt expense is recorded when specific customer accounts are determined to be uncollectible. Option D is the correct answer.

Option A is not correct because estimates are not used in the direct write-off method. Option B is not correct because the allowance account is not used in the direct write-off method. Option C is not correct because the primary users of the direct write-off method are small businesses. The direct write-off method is a simple method of accounting for bad debts that is used by small businesses.

Under this method, bad debt expense is recorded when specific customer accounts are determined to be uncollectible. The specific accounts are written off and the balance in the accounts receivable account is reduced accordingly. This method is not considered to be in compliance with Generally Accepted Accounting Principles (GAAP) because it does not match revenues with expenses. Therefore option D is correct.

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a lottery system has balls numbered 1 to 55 and randomly selects 6 of the lottery balls. there is only one prize of which is awarded only if a lottery player selects the correct set of 6 lottery balls. a) if a lottery ticket costs , what is a lottery player's expected value? b) how much would the lottery prize have to be worth if it was to be a fair game?

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(a) The expected value of lottery player's is  (1 / 28,989,675) * P and (b)  the lottery prize would have to be worth 28,989,675 times the cost of a ticket for the game to be fair.

A) The total number of possible combinations for selecting 6 balls out of 55 is calculated using the formula for combinations:C(n, k) = n! / (k! * (n-k)!), where n = 55 (total number of balls) and k = 6 (number of balls selected)
C(55, 6) = 55! / (6! * (55-6)!) = 28,989,675 combinations
The probability of winning is the inverse of the total number of combinations:
P(winning) = 1 / 28,989,675
Assuming the prize amount is P, the expected value for a lottery player is:
Expected Value = (P(winning) * P) - Cost of the ticket

Expected Value = (1 / 28,989,675) * P -


B) For the game to be fair, the expected value should be equal to 0. We can use the expected value formula to find the required prize amount:
0 = (1 / 28,989,675) * P -
P = 28,989,675 * . Thus, the lottery prize would have to be worth 28,989,675 times.

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because of the lack of substitutes, the market for a newly developed and freshly patented prescription drug is best considered to be:

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Because of the lack of substitutes, the market for a newly developed and freshly patented prescription drug is best considered to be monopoly.

A monopoly is a market arrangement where one producer or seller holds a disproportionate amount of power within a certain market. Monopolies are forbidden in free-market economies as they limit customer substitutes and impede competition.

Businesses can become monopolies by vertically integrating their operations to control the entire supply chain from manufacturing to sales, or by acquiring rival businesses to become the only producer. Monopolies frequently benefit from economies of scale, the capacity to produce large volumes at reduced unit prices.

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Directions and Analysis
Task 1: SER Marketing Research
Select a publicly held sports, entertainment, or recreation company that is well known for marketing its products. Review the company’s website for examples of its marketing strategy. Summarize in 300 to 500 words how the company interacts with its customers and provide examples of how it gathers data on those customers. For example, does it ask customers to join an email or newsletter list? Does it ask customers to complete a survey on the site?

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A publicly held sports and apparel company that is well known for its innovative and effective marketing strategies.

Nike's website is designed to engage customers and provide a seamless shopping experience. The company interacts with its customers through various channels, including email, social media, and mobile apps. Nike offers a loyalty program, called NikePlus, which provides exclusive benefits and personalized experiences to members.

One of Nike's main marketing strategies is to create a sense of community among its customers. The company has several social media accounts which are used to share inspiring stories, highlight new products, and engage with customers. Nike also uses influencer marketing to reach out to new audiences and build brand awareness.

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you need to order pre-cut filet mignon for your steak special this weekend. you have told the supplier the intended use, product size, and acceptable trim. what is the most important other piece of information you need to include?

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For your weekend steak special, you must order pre-cut fillet mignon. The intended purpose, product size, and allowable trim have all been communicated to the supplier. The quality rating is the most important addition to your information.

Beef tenderloin is the source of fillet mignon. The hardest steak cut to butcher is actually this one. It's crucial to cut beef tenderloin precisely so that the steaks are the ideal size because it's also Rube's most expensive steak cut. The tip of the tenderloin, a delicate and fragile region of the loin muscle, is where fillet mignon is sliced. Also, because it is a very lean portion of the animal, you can expect a steak that is fork-tender and free of fat and connective tissue. As a result, Filet Mignon has become one of the most sought-after beef cuts. Since it comes from a muscle called the tenderloin that cows hardly ever use, fillet mignon is incredibly delicate. Just 1% of the total is made up of tenderloin.

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suppose you are a euro-based investor who just sold microsoft shares that you had bought six months ago. you had invested 10,000 euros to buy microsoft shares for $120 per share; the exchange rate was $1.10 per euro. you sold the stock for $150 per share and converted the dollar proceeds into euro at the exchange rate of $1.01 per euro. first, determine the profit from this investment in euro terms. second, compute the rate of return on your investment in euro terms. how much of the return is due to the exchange rate movement? (do not round intermediate calculations. enter your answer as a percent rounded to 1 decimal places.)

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To determine the profit from this investment in euro terms, we need to convert the dollar amounts into euros.

We can use the exchange rates provided to do this:Bought Microsoft shares for $120 per share = 120/1.10 = 109.09 euros per share

Invested 10,000 euros to buy Microsoft shares = 10,000/109.09 = 91.64 shares

Sold Microsoft shares for $150 per share = 150/1.01 = 148.51 euros per share

Total proceeds from selling Microsoft shares = 148.51 x 91.64 = 13,603.91 euros

Profit = Proceeds - Initial investment = 13,603.91 - 10,000 = 3,603.91 euros. To compute the rate of return on our investment in euro terms, we can use the formula: Rate of return = (Proceeds - Initial investment) / Initial investment x 100%

Plugging in the values, we get:

Rate of return = (13,603.91 - 10,000) / 10,000 x 100% = 36.04%

To determine how much of the return is due to the exchange rate movement, we can calculate the return we would have earned if the exchange rate had remained constant. To do this, we need to convert the dollar proceeds back to euros at the initial exchange rate: Proceeds at initial exchange rate = 150/1.10 x 91.64 = 12,284.85 euros. Return without exchange rate movement = (12,284.85 - 10,000) / 10,000 x 100% = 22.85%

Therefore, the exchange rate movement contributed 36.04% - 22.85% = 13.19% to the total rate of return.

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what is the price of a treasury strips with a face value of $100 that matures in 5 years and has a yield to maturity of 11.80 percent? (do not round intermediate calculations. enter your answer in dollars rounded to 2 decimal places.)

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$1 is the price of a treasury strips with a face value of $100 that matures in 5 years and has a yield to maturity of 11.80 percent.

Treasury STRIPS are offered for sale at a discount to market value, or par. Throughout the duration of the loan, no coupons (interest payments) are made to the STRIPS' proprietors. At maturity, the STRIP is fully reimbursed at face value (FV).

The market price of a strip bond represents the issuer's credit rating and the maturity amount's present value, which is based on the remaining time until maturity and the current interest rates in the economy. The present value decreases the further away from the maturity date and vice versa. STRIPS, like all Treasury securities, are guaranteed by the U.S. government's full faith and credit.

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which of the following manipulations would understate accounts payable on the financial statements?multiple choiceleaving the cash receipts journal open after year-end.closing the cash disbursements journal prior to year-end.overstatement of purchases.omission of expenses.

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The manipulation that would understate accounts payable on the financial statements is option (b) closing the cash disbursements journal prior to year-end.

By closing the cash disbursements journal before year-end, any accounts payable that are recorded but not paid by the end of the year would not be included in the accounts payable balance on the financial statements. This would result in an understatement of accounts payable, which would make the company's financial position appear stronger than it actually is

The other options listed would not directly impact the accounts payable balance. Leaving the cash receipts journal open after year-end may result in overstatement of accounts receivable, but it would not affect accounts payable. Overstating purchases and omitting expenses could affect the company's overall profitability, but they would not necessarily impact accounts payable specifically.

Therefore, the correct option is (b) closing the cash disbursements journal prior to year-end.

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m.e. carter launched carter company, a professional services firm on march 1. the firm will prepare financial statements at each month-end. in march (its first month), carter executed the following transactions. enter the transactions, a through g, into the financial statement effects template below. a. carter (owner) invested in the company $100,000 cash and $20,000 in property and equipment. the company issued common stock to carter. b. the company paid $3,200 cash for rent of office furnishings and facilities for march. c. the company performed services for clients and immediately received $4,000 cash for these services. d. the company performed services for clients and sent a bill for $24,000 with payment due within 60 days. e. the company compensated an office employee with $4,800 cash as salary for march. f. the company recieved $10,000 cash as partial payment on the amount owed from clients in transaction d. g. the company paid $935 cash in dividends to carter (owner). use negative signs with answers, if appropriate.

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Carter launched carter company, a professional services firm on march 1. the firm will prepare financial statements at each month-end. in march (its first month), carter executed the following transactions. enter the transactions, a through g, into the financial statement effects template below.

a. carter (owner) invested in the company $100,000 cash and $20,000 in property and equipment. the company issued common stock to carter.

b. the company paid $3,200 cash for rent of office furnishings and facilities for march.

c. the company performed services for clients and immediately received $4,000 cash for these services.

d. the company performed services for clients and sent a bill for $24,000 with payment due within 60 days.

e. the company compensated an office employee with $4,800 cash as salary for march.

f. the company recieved $10,000 cash as partial payment on the amount owed from clients in transaction d.

g. the company paid $935 cash in dividends to carter (owner). use negative signs with answers, if appropriate.

The $935 in transaction g represents the portion of the dividend that is not paid out of retained earnings. It is subtracted from Common Stock to reflect the reduction in equity.

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brady is drafting a message about the substandard quality of his recently purchased fitbit. what should brady put in his opening?

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Brady should begin his message by addressing the issue directly and stating the reason for his dissatisfaction.

For example, he could start by saying something like, "I am writing to express my disappointment with the Fitbit I recently purchased from your company. Unfortunately, the device has not met my expectations due to its substandard quality."

Starting the message with a clear and concise statement of the problem will help the recipient to understand the purpose of the message and the urgency of the matter. It also sets the tone for the rest of the message, making it easier to stay focused and to ensure that all of the relevant information is included.

It is important for Brady to be polite and professional in his tone, even though he is expressing dissatisfaction. This will help to ensure that the recipient takes his complaint seriously and is more likely to take action to address the problem.

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harlow stevens has an insurance policy that she and her three daughters, ages 5, 9, and 11, are entitled to benefits under. which provision in her insurance policy is defined by this list of covered members? multiple choice exclusions and limitations benefit limits guaranteed renewable assigned benefits eligibility

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The term "Eligibility" in the insurance policy of Harlow Stevens is defined by the list of members who are insured (Henley and her three daughters). Who is covered by the insurance and under what circumstances is referred to as eligibility.

Which provision in her insurance policy is defined by this list of covered members?

The "Eligibility" clause in Harlow Phillips' insurance plan is determined by the list of people who are insured (Harlow & her three daughters). This clause specifies who is covered by the insurance and what requirements they must meet in order to receive benefits. In this instance, the eligible individuals insured by the policy are Jessica and her three daughters. Age limitations, health conditions, and other criteria that determine eligibility for coverage may be included in the eligibility clause. The insurance company can determine who is eligible for benefits under the policy and make sure that claims are only paid for those who meet the requirements by specifying the covered individuals in the eligibility clause.

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jill, an economics student, has already spent 5 hours cleaning her room. in deciding whether or not to continue cleaning for another hour, she applies the economic principle of

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Marginal analysis. The economic principle of marginal analysis involves considering the additional benefit or cost of an additional unit of an activity. In this case, Jill, as an economics student, would likely apply this principle in deciding whether or not to continue cleaning her room for another hour.

Jill would weigh the marginal benefit of cleaning her room for another hour against the marginal cost of doing so. The marginal benefit could be the additional satisfaction or utility she would gain from having a cleaner room, while the marginal cost could be the opportunity cost of her time and effort spent on cleaning, which could be used for other activities like studying, leisure, or other tasks.

If the marginal benefit of cleaning for another hour outweighs the marginal cost, Jill may choose to continue cleaning. However, if the marginal cost exceeds the marginal benefit, she may decide to stop cleaning and allocate her time and effort elsewhere.

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seitz trucking's retained earnings increased $50,000 during the current year. what was seitz trucking's current year net income or loss given that seitz trucking declared $30,000 of dividends during this year? group of answer choices net loss was $80,000. net income was $20,000. net income was $80,000. net loss was $20,000.

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Seitz Trucking's current year net income was $80,000.To determine Seitz Trucking's current year net income or loss, we need to consider the increase in retained earnings and the dividends declared during the year.

The question states that Seitz Trucking's retained earnings increased by $50,000 and they declared $30,000 of dividends during the year.
Step 1: Identify the increase in retained earnings.
Seitz Trucking's retained earnings increased by $50,000 during the current year.
Step 2: Take into account the dividends declared.
Seitz Trucking declared $30,000 of dividends during the year.



Step 3: Calculate the net income or loss.
Since retained earnings represent the accumulated net income of the company that has not been distributed as dividends, we can calculate the net income by adding the increase in retained earnings and the dividends declared.
Net Income = Increase in Retained Earnings + Dividends Declared
Net Income = $50,000 + $30,000
Net Income = $80,000.Therefore, Seitz current year net income was $80,000.

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n 2022, maria who is 66, had adjusted gross income of $32,000, paid the following medical expenses: prescription medicines $ 875 dentist and doctor expenses 1,350 health insurance premiums 700 two pair of eyeglasses 185 what amount can maria deduct as medical expenses (after the adjusted gross income limitation) in calculating her itemized deductions for 2022?

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The amount can maria deduct as medical expenses (after the adjusted gross income limitation) in calculating her itemized deductions for 2022 is B. $2,400.

When it comes to income tax returns in the United States, certain costs that are directly linked to health care are tax-deductible as medical expenses.

The Adjusted gross income (AGI) limitation is calculated by subtracting 7.5% of the AGI from the total amount of medical expenditures.

Maria's AGI is $32,000, therefore the 7.5% reduction would be $2,400 ($32,000 multiplied by 7.5 percent).

Then, to determine the amount that Maria can deduct as medical expenses, $4,110 (the total of her medical expenses) minus $2,400 (the 7.5 percent of her AGI) equals $1,710 ($4,110 - $2,400 = $1,710).

This implies that the amount that Maria can deduct as medical expenses when calculating her itemized deductions for 2022 is $1,710. Therefore, the correct option is B. $2,400.

The question was incomplete, Find the full content below:

In 2022, maria who is 66, had adjusted gross income of $32,000, paid the following medical expenses:

prescription medicines $ 875

dentist and doctor expenses 1,350

health insurance premiums 700

two pair of eyeglasses 185

what amount can maria deduct as medical expenses (after the adjusted gross income limitation) in calculating her itemized deductions for 2022?

A. $3,110

B. $2,400

C. $710

D. $0

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under the temporal method, inventory at net realizable value would be remeasured for the balance sheet at what rate? group of answer choices current rate. historical rate. beginning of the year rate. average rate. composite amount.

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The correct option is "current rate."

The current rate is the exchange rate that is applied at the time of inventory valuation.

As per the temporal method, inventory at net realizable value would be remeasured for the balance sheet at the current rate.Under the temporal method, the functional currency is used as the basis for translating financial statements into the reporting currency.

The translation of the financial statements into the reporting currency is dependent on the exchange rates in effect at the time of the transactions, as well as the exchange rates in effect at the end of the reporting period. Under the temporal method, monetary items are translated at the current exchange rate, while non-monetary items are translated at the exchange rate at the time of the transaction.

The inventory valuation method is referred to as a temporal method under which the inventory is accounted for at the current exchange rate.  So, under the temporal method, inventory at net realizable value would be remeasured for the balance sheet at the current rate.

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currently, 3-year treasury securities yield 5.8%, 7-year treasury securities yield 5.4%, and 10-year treasury securities yield 5.9%. if the expectations theory is correct, what does the market expect will be the yield on 7-year treasury securities three years from today? group of answer choices 5.54% 5.94% 6.14% 5.74% 5.34%

Answers

The expected yield on 7-year Treasury securities three years from today is 5.94%. Therefore, the correct option is option 2.

To find the expected yield on 7-year Treasury securities three years from today, we'll use the expectations theory. The expectations theory suggests that the yield of a long-term bond is an average of expected future short-term interest rates.

Here are the given yields:
- 3-year Treasury securities yield: 5.8%
- 7-year Treasury securities yield: 5.4%
- 10-year Treasury securities yield: 5.9%

Using these yields, we can find the expected yield on 7-year Treasury securities three years from today as follows:

Step 1: Calculate the yield for a 10-year period.

(3-year yield * 3 years) + (expected 7-year yield * 7 years) = (10-year yield * 10 years)

Step 2: Plug in the given values.

(5.8% * 3) + (expected 7-year yield * 7) = (5.9% * 10)

Step 3: Solve for the expected 7-year yield.

17.4 + (expected 7-year yield * 7) = 59

Step 4: Subtract 17.4 from both sides of the equation.

(expected 7-year yield * 7) = 41.6

Step 5: Divide both sides by 7 to find the expected 7-year yield.

expected 7-year yield = 41.6 / 7 = 5.94%.

The expected yield on 7-year Treasury securities three years from today is approximately 5.94%. So, the correct answer is option 2: 5.94%.

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when a shoe manufacturer purchases fabric, rubber, and other raw materials, then adds all the direct labor and manufacturing costs used to produce those shoes, that is:

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When a shoe manufacturer purchases fabric, rubber, and other raw materials, and then adds all the direct labor and manufacturing costs used to produce those shoes, that is known as the cost of goods manufactured (COGM).

Cost of goods manufactured (COGM) is a financial accounting term used to describe the total cost of producing and completing a batch of finished goods during a specific period of time. It is a critical component of determining the cost of goods sold (COGS) for a business.

To calculate COGM, a company adds up all of the costs incurred during the production process, including direct materials, direct labor, and overhead expenses. These costs are then combined to determine the total cost of goods manufactured. COGM is an important metric for manufacturing companies because it helps management understand the true cost of producing their products. By knowing the COGM, they can set prices that will generate a profit and make strategic decisions regarding production and inventory management.

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vikram opened a shoe store and signed a lease on the property. he also signed an agreement with the manufacturer on the amount of merchandise he will sell and the promotions he will conduct. based on this description, which aspect of the marketing mix does he still need to work on?

Answers

Determining the appropriate price is a crucial step for Vikram to successfully launch and operate his shoe store. Here option B is the correct answer.

Based on the given information, Vikram has already signed a lease on the property and agreed with the manufacturer on the amount of merchandise he will sell and the promotions he will conduct. Therefore, he has taken care of the aspects of the marketing mix related to the physical store location, product selection, and promotional activities.

However, it is not mentioned whether Vikram has determined the price of his merchandise or not. Price is a crucial aspect of the marketing mix that needs to be carefully considered as it affects the profitability and competitiveness of a business. Therefore, Vikram still needs to work on determining the appropriate prices for his products.

Determining the right price involves considering various factors, such as production costs, competitor prices, and consumer demand. By setting the right price, Vikram can maximize his revenue and attract more customers to his store.

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Complete question:

Vikram opened a shoe store and signed a lease on the property. he also signed an agreement with the manufacturer on the amount of merchandise he will sell and the promotions he will conduct. based on this description, Which aspect of the marketing mix does Vikram still need to work on?

A) Product

B) Price

C) Place

D) Promotion

E) None of the above

you have $17,000 to invest. you want to purchase shares of alaska air at $43.26, best buy at $52.12, and ford motor at $8.91. how many shares of each company should you purchase so that your portfolio consists of 10 percent alaska air, 40 percent best buy, and 50 percent ford motor?

Answers

We should purchase 39 shares of Alaska air, 130 shares of best buy and 953 shares of Ford Motor to have a portfolio consisting of 10% Alaska air.

A portfolio is a collection of financial assets, such as securities, bonds, commodities, cash, and cash equivalents, such as closed-end funds and exchange-traded funds (ETFs). The majority of individuals think that cash, bonds, and equities make up the cornerstone of a strategy. An individual, a financial institution, or an investing group can all have a portfolios, which is a collection of financial assets and buy a share.

For Alaska air, we want to invest 10% of our total portfolio, which is 0.1*$17,000=$17,00.

For Best buy, we want to invest 40% of our total portfolio, which is 0.4*$17,000=$6,800

For Fort Motor, we want to invest 50% of our total portfolio, which is 0.5*$17,000=$8,500

For Alaska air, we can purchase $17,00/$43.26=39.31 shares.

For Best buy, we can purchase $68,00/$52.12=130.57 shares.

For Fort Motor, we can purchase $85,00/$8.91=953.47 shares.

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the strategy underlying price discrimination is to group of answer choices charge higher prices to customers who have better access to substitutes. charge everyone the same price but limit the quantity they are allowed to buy. increase total revenue by charging higher prices to those with the most inelastic demand for the product and lower prices to those with the most elastic demand. reduce per-unit cost to the firm by charging higher prices to those with the most inelastic demand and lower prices to those with the most elastic demand.

Answers

The strategy which is involved with price discrimination is to increase the total revenue which is done by charging higher amount of prices to the ones with inelastic demand while lower prices to ones with elastic demand.

The correct option is option c.

Price discrimination is basically defined as a selling strategy in which the customers are basically charged with different prices for the same service or the product and this is based on what is thought by the seller as to what they can get a particular customer to agree to.

The strategy which is happened to be involved with this strategy of price discrimination is basically to increase the total revenue which is generated and this is done basically by charging higher amount of prices to the ones with inelastic demand while lower prices to ones with elastic demand.

Hence, the correct option is option c.

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products used in the production of other items.products purchased by the ultimate consumer.products an industrial buyer will make an effort to seek out and buy.items purchased frequently and with a minimum of shopping effort.products that assist directly or indirectly in providing products for resale.

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Products used in the production of other items is inputs. The first meaning refers to "raw materials" or "inputs" used in the manufacture of other products.

products purchased by the ultimate consumer is consumer goods. The second meaning refers to "consumer goods" or "final goods" that are bought for personal use or consumption by the eventual customer.

products an industrial buyer will make an effort to seek out and buy is industrial goods. The third meaning refers to "industrial goods" or "capital goods" bought by businesses or organizations to help with output or operations.

Items purchased frequently and with a minimum of shopping effort is convenience goods. The fourth meaning refers to "convenience goods" or "staple goods," which are products bought frequently and with little effort, such as milk, bread, and cosmetics.

products that assist directly or indirectly in providing products for resale is support products. The fifth meaning refers to "support products" or "ancillary products" that help provide products for resale, either directly or tangentially, such as packaging materials or marketing services.

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true or false: recently, the cost of labor in and transportation from international sources has begun to rise and, as a result, some companies now source goods and services domestically again.

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True. Recently, the cost of labor and transportation from international sources has begun to rise. As a result, some companies are now choosing to source goods and services domestically again.

This shift can be attributed to various factors, such as increasing wages in developing countries, higher fuel costs, and trade tensions.
To elaborate further, here are the steps that explain the situation:
1. Increasing wages: As the economies of developing countries grow, their labor costs tend to increase, making it more expensive for companies to source goods and services internationally.
2. Higher fuel costs: Transportation costs are directly impacted by fuel prices. When fuel prices rise, it becomes more expensive to transport goods from international sources to domestic markets.
3. Trade tensions: Global trade disputes and tariffs can make it more challenging and costly to import goods and services from international sources, encouraging companies to consider domestic alternatives.
These factors, combined, have contributed to the recent trend of companies sourcing goods and services domestically. This shift not only helps them save on labor and transportation costs but also enables them to mitigate risks associated with international sourcing, such as political and economic uncertainties.

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in a monopolistically competitive market, a firm should advertise to the point at which group of answer choices it is selling the most units it can possibly sell. the extra revenue from an additional dollar spent on advertising just equals the marginal cost of producing one more unit of the good. it can raise price to the highest level possible. the additional revenue generated by one more dollar of advertising just equals the extra dollar cost of advertising.

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In a monopolistically competitive market, where firms differentiate their products through branding, advertising, or other means, the optimal level of advertising expenditure is determined by balancing the marginal revenue from advertising with the marginal cost of advertising.

The statement 'extra revenue from an additional dollar spent on advertising equals marginal cost of producing one more unit of good'

This implies marginal benefit from advertising.

In terms of increased revenue, is equal to the marginal cost of producing one more unit of the good.

This suggests that the firm has reached a point of advertising expenditure where the incremental revenue from advertising.

It is just enough to cover the cost of producing an additional unit, resulting in a net gain in profit.

Furthermore, 'it can raise price to the highest level possible' suggests that the firm has some degree of market power.

As it can increase prices without losing all of its customers.

This could be due to product differentiation or brand loyalty that allows the firm to have some control over pricing.

Lastly, 'the additional revenue generated by one more dollar of advertising just equals the extra dollar cost of advertising' indicates that the firm has reached an optimal level of advertising expenditure.

The marginal benefit is equal to the marginal cost.

This implies that the firm has maximized its advertising efforts to achieve the highest possible sales without incurring excessive costs.

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after the accounts are adjusted and closed at the end of the fiscal year, accounts receivable has a balance of $733,631 and allowance for doubtful accounts has a balance of $19,072. what is the net realizable value of the accounts receivable?

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After the accounts are adjusted and closed at the end of the fiscal year, the net realizable value of the accounts receivable is $714,559

Total balance received = $733,631

Balance for doubtful accounts = $19,072

The quantity that the business anticipates to receive from its clients after deducting any questionable accounts or uncollectible sums is known as the net realisable worth of accounts receivable. It is determined by subtracting the provision for doubtful accounts from the overall amount of accounts outstanding.

Calculating the net realizable value of accounts receivable -

Net realizable value = Accounts receivable - Allowance for doubtful accounts

= $733,631 - $19,072

= $714,559

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during the planning phase of the systems development life cycle (sdlc), a systems designer must define the symptoms before the underlying problem that an organization might be facing. true false

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The statement "during the planning phase of the systems development life cycle, a systems designer must define the symptoms before the underlying problem that an organization might be facing" is true because it defines the symptoms is the first step in identifying the root cause of the problem, and this is essential for developing an effective solution.

The Systems Development Life Cycle (SDLC) is a series of phases or stages involved in developing an information system. It involves a systematic approach to designing, building, and maintaining a system. Each stage in the SDLC has its own unique objectives, activities, and deliverables.

The planning phase is the first phase of the SDLC, where the requirements of the system are gathered, and the project plan is developed.

For instance, an organization might be facing a problem of low productivity. This symptom might be due to various reasons, such as poor communication, lack of motivation, or outdated technology. By defining the symptoms, the designer can identify the root cause of the problem and develop a solution that addresses the underlying cause.

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an external auditor finds that the financial statements contain material misstatements that are not pervasive. which audit opinion is appropriate? unqualified opinion. qualified opinion. adverse opinion. disclaimer of opinion.

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If an external auditor finds that the financial statements contain material misstatements that are not pervasive, the appropriate audit opinion is a qualified opinion (option B).

When an external auditor finds that the financial statements contain material misstatements that are not pervasive, the appropriate audit opinion is a qualified opinion. A qualified opinion indicates that the financial statements are fairly presented except for the effects of the misstatements identified by the auditor.

This opinion is given when the misstatements are material but not pervasive enough to require a disclaimer of opinion or an adverse opinion. The auditor will provide a description of the nature and scope of the misstatements in the audit report.

Option B is the correct naswer.

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buyer susie's a little nervous about the $20,000 earnest money check she just deposited with the title company. when should she expect to see this money applied toward her purchase of the property?

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Earnest money is a deposit made by the buyer in good faith to demonstrate their intention to purchase a property.

It is typically held in an escrow account by a third-party, such as a title company. The exact timing of when the earnest money will be applied towards the purchase of the property may vary depending on the terms of the purchase agreement and local laws. However, generally, the earnest money is applied towards the purchase price at the closing of the sale, when all parties involved sign the necessary documents and the transfer of ownership is completed.

Susie can check with her real estate agent or attorney for more specific information regarding the timing of the earnest money application.

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ming is visiting her company's headquarters in germany, which has a highly assertive culture. she is likely to observe her coworkers multiple choice allowing silence to linger in meetings. expressing respect for others but letting issues go unresolved. using competitive language when evaluating ideas. expressing themselves in controlled, measured ways. using subtle, indirect language in meetings.

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Ming is visiting her company's headquarters in Germany, which has a highly assertive culture. Therefore, she is likely to observe her coworkers using subtle, indirect language in meetings.

In such cultures, people tend to express themselves in controlled, measured ways, avoiding confrontations or conflicts as much as possible. The use of indirect language is common in such cultures, as it helps maintain harmony and avoid hurting others' feelings.

Moreover, Ming may also observe her coworkers allowing silence to linger in meetings. This is because in assertive cultures, people believe that silence is an essential part of communication. It is used to reflect on what has been said, and it is also a way to signal disagreement or disapproval.

Furthermore, her coworkers may express respect for others but let issues go unresolved. In such cultures, people often prioritize maintaining good relationships over resolving issues, and thus they may avoid conflicts by letting issues go unresolved. This can be frustrating for Ming, who comes from a more direct culture, but it is an essential aspect of assertive cultures.

Finally, Ming may notice that her coworkers use competitive language when evaluating ideas. This is because assertive cultures value competition, and people are expected to compete with each other to achieve the best results. Ming should be aware of this and not take it personally when her coworkers use competitive language, as it is merely a cultural norm.

In conclusion, Ming is likely to experience culture shock when visiting her company's headquarters in Germany. The assertive culture of her coworkers will be different from what she is used to, and she may need to adapt her communication style accordingly.

However, if she can appreciate the differences and respect the cultural norms, she can learn a lot from her experience and build stronger relationships with her coworkers.

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