Sellers try to avoid the entry of new rivals through the use of demand-side strategies. These demand-side strategies do NOT include: raising the cost that customers face when they switch to a new seller of the product. generating network effects. building a good reputation with customers who are loyal. raising the market demand for the product.

Answers

Answer 1

The demand-side strategies that sellers use to avoid the entry of new rivals do not include C. raising the market demand for the product.

Demand-side strategies focus on markets and consumers instead of focusing on the firm's resources and suppliers.

Using any strategies for raising the market demand for the product will not benefit a competitive seller. Instead, they will entice new entrants into the market.

Thus, to avoid the entry of new rivals, sellers' usage of demand-side strategies does not include raising the market demand for the product.

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Related Questions

The executive summary component of a business plan is to describe _____.
a. where the funds to start and operate your business will come from, when you expect to see profit, and how much profit you expect to see

b. the size of the market, how your business will fit into the market, and how your business will stand out from other businesses in the market

c. the 'big picture' behind your business, what your business has to offer the consumer, and why your business will be successful

d. how your business will be organized and what type of management or department structure your business will have



Please select the best answer from the choices provided

A
B
C
D

Answers

Answer: c. the 'big picture' behind your business, what your business has to offer the consumer, and why your business will be successful

Explanation:

Explain why different things are important for journalists from different media, with specific reference to radio, television and daily newspapers journalists. (9 marks)

Answers

Answer:

Because each of those mediums has a different logic.

Explanation:

For journalists in television, time is a great constraint, and therefore, they are interested in news reporting that is succint, and even entertaining.

In newspapers, what is limited is not time, but word space. Journalists are worried about presenting a newstory with the right words, but without an excessive amount of them.

Finally, in radio, journalists are worried about presenting a newscast with clear words, and in a way that the listener can understand, because radio lacks the visual clues that are present in newspapers and television.

A firm's marketing mix consists of 4 major components, which are generally referred to as the four

Answers

A firm's marketing mix consists of 4 major components, which are generally referred to as the four: Ps.

What are marketing mix?

Marketing mix can be defined as what a company or an organization used to distinguish its selves from other competitors so as to have a competitive advantage over others companies that sells the same or similar goods as theirs.

The four marketing mix which are the 4Ps are:

ProductPricePlacePromotion

Therefore the marketing mix are the 4Ps.

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Which of the following is NOT considered to be one of the main revenue centers at most financial institutions?
Review Later
Wealth management
Capital markets & Investment banking
Digital marketing
Commercial banking

Answers

Answer:

money and credit markets,investments,financial management

Explanation:

Finance consists of three interrelated areas: (1) money and credit markets, which deals with the securities markets and financial institutions; (2) investments, which focuses on the decisions made by both individuals and institutional investors; and (3) financial management, which involves decisions made within the ...

Freehold Foods, an Ontario organization, will be terminating the employment of Annette Rose on January 30, 2015, the last day of the pay period. Annette started with Freehold Foods on March 15, 2007. Complete the paper Record of Employment for Annette based on the information provided in the following chart. The company is not providing the equivalent of 53 weeks of pay information as part of the Variable Best Weeks initiative. Hours worked per pay = 80 Annual salary = $54,975.00 Assume a bi-weekly pay period Assume Annette works 80 hours per pay period from Monday to Friday Complete the ROE for Annette using the form below

Answers

The insurable earnings for Annette Rose equals $41,347.82.

What is an insurable earnings?

This refers to the portion of employee's income that is used to calculate their contributions and for employment insurance premiums.

In order to complete Block 15B form:

Bi-weekly pay period frequency, 14.

number of consecutive pay periods = $2,105.77

Insurable earnings =  $2,105.77 * 14

Insurable earnings =  $29,480.78.

Now, we will add vacation pay of $3,444.00 and the pay in lieu of notice of $8,423.04.

Total insurable earnings = $29,480.78 + $3,444.00 + $8,423.04

Total insurable earnings = $41,347.82.

Missing Information "Item Information Pay period type bi-weekly, Social Insurance Number 158159138, First day worked September 30, 2007, Last day for which paid February 13, 2015, Final pay period ending date February 13, 2015, Hours worked per pay 80.00, Pay period earnings 2,105.77, Vacation pay rate 6%, Vacationable earnings 57,400.00, Pay in lieu of notice weeks 8 weeks, Severance weeks 10 weeks"

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19. If line 18 is more than line 15, subtract line 15 from line 18. This is the amount you overpaid?

Answers

Answer Should be -3
The correct amount is $-3! This means u overpaid by three dollars! Hope this helped! BRANLIEST plz!

Question 1
Points out of 10.0
This year's revenue for your restaurant was
$105568. Your goal is a growth of 10% per
year. What is your revenue forecast for next
year? Round to the nearest cent.
Answer: for a restaurant

Answers

$116,124.80 dollars

You will prepare a SWOT analysis using James Avery . As a reminder, your company's strengths and weaknesses are internal, issues you have control over and can modify. Opportunities and threats are external; matters going on outside your company, in the larger global market​

Answers

James Avery's strengths lie in its strong brand image, product differentiation, and customer loyalty, but it faces weaknesses in limited international presence and production constraints, while opportunities lie in market expansion and customization, and threats include intense competition and changing consumer preferences.

SWOT Analysis of James Avery:

Strengths:

Strong Brand Image: James Avery has a well-established and recognized brand known for its high-quality craftsmanship and unique designs.

Product Differentiation: The company offers a wide range of handcrafted jewelry pieces, allowing it to stand out in the market and cater to diverse customer preferences.

Customer Loyalty: James Avery has a loyal customer base due to its reputation for superior customer service, personalized shopping experiences, and long-lasting jewelry.

Vertical Integration: The company controls its entire production process, from design to manufacturing, ensuring quality control and efficient operations.

Retail Presence: With over 90 retail stores and a strong online presence, James Avery has a widespread reach, providing convenient access to its products.

Weaknesses:

Limited International Presence: The company primarily operates within the United States, limiting its exposure to global markets and potential customers.

Relatively High Price Point: James Avery's handcrafted jewelry often comes with a higher price tag compared to mass-produced alternatives, potentially limiting its market share among price-sensitive customers.

Dependency on Traditional Designs: While the company's traditional designs have been popular, there is a need to continually innovate and adapt to changing fashion trends to appeal to a wider audience.

Production Constraints: Handcrafted jewelry production can have limitations in terms of scalability and speed, which may affect the company's ability to meet increasing demand.

Opportunities:

Market Expansion: James Avery can explore international markets and expand its retail footprint to reach a larger customer base.

Online Sales Growth: The company can capitalize on the growing e-commerce trend by enhancing its online platform and digital marketing strategies.

Customization and Personalization: Offering customizable jewelry options can attract customers seeking unique and personalized pieces.

Collaboration and Partnerships: Collaborating with fashion designers or influencers can help James Avery reach new audiences and create exclusive collections.

Threats:

Intense Competition: The jewelry industry is highly competitive, with both traditional and online retailers vying for market share.

Economic Factors: Economic fluctuations, recessions, or changes in consumer spending patterns can impact discretionary purchases like jewelry.

Counterfeit Products: The presence of counterfeit jewelry in the market poses a threat to James Avery's brand reputation and sales.

Changing Consumer Preferences: Shifting fashion trends or evolving consumer preferences may require the company to adapt its designs and offerings to stay relevant.

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To use an outline for writing a formal business document, what should you do
after entering your bottom-line statement?
O A. Write a topic sentence for every detail.
B. Enter each supporting detail from the outline on a separate line.
C. Enter each major point from the outline on a separate line.
OD. Move the bottom-line statement to the end of the document.

Answers

To use an outline for writing a formal business document, B. Enter each supporting detail from the outline on a separate line.

How to enter the bottom - line statement ?

To create a well-constructed formal business document, the following step after composing your fundamental statement would be to denote each supportive data extracted from the outline onto separate lines.

This modus operandi will in turn aid you in sequencing your thought process resulting in producing an all-encompassing precisely formatted document. Upon completion of inserting your supportive information, commence making noted phrases in regards to each detail and systematically putting them into proper order.

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Which of the following statements is false?
a. it is possible to compare one firm's accounting data with another firm's accounting data as long as both firms used generally accepted accounting procedures
b. many managers compare the financial results from one accounting period with the results from previous accounting periods
c. most corporations include in their annual reports comparisons of important elements of their financial statements for recent years
d. the format and information contained in one firm's financial statements are most likely to differ drastically from the format and information contained in another firm's financial statements
e. many firms compare their financial results with industry averages

Answers

Answer: D

Explanation:

Not necessarily. As long as the company follows GAAP (IFRS or ASPE), the format and information should be the same. This is because the accounting standards requires firm to report financial information in a specific way.

whan deciding how to invest your money which of the following is least important to know

Answers

When deciding how to invest your money, it's essential to consider several factors such as risk tolerance, investment goals, and time horizon.

However, the least important factor to know is probably the short-term market fluctuations.

Short-term market fluctuations refer to the daily ups and downs in the stock market or other investment platforms. While it can be tempting to focus on these fluctuations, they are generally not indicative of long-term performance and can lead to emotional, impulsive decisions that may not align with your investment strategy. Instead, it's more important to focus on factors that contribute to long-term growth and stability.

A sound investment strategy takes into account your risk tolerance, which is your ability and willingness to withstand potential losses. Additionally, clearly defined investment goals help you create a tailored plan that considers your specific objectives, such as saving for retirement or funding a child's education. Your time horizon, or the length of time you plan to invest, also plays a significant role in determining suitable investment options.

By prioritizing long-term factors like risk tolerance, investment goals, and time horizon, you can make more informed decisions that will ultimately lead to better financial outcomes. Remember that short-term market fluctuations can be distracting and are less important in the grand scheme of your investment journey.

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Two companies are having a dispute over a broken real estate
contract. They argue the dispute in front of a neutral third
party, who makes a ruling in favor of one side. This is an
example of _____
O A. mediation
B. negotiation
C. arbitration
D. conciliation

Answers

Answer:

C. Arbitration

Explanation:

It heans to have an independent unbiased person settle a dispute

The two companies have a dispute over a broken real estate contract. They argue the dispute in front of a neutral third party, who makes a ruling in favor of one side. This is an example of arbitration. Thus option (C) is correct.

What is arbitration?

Arbitration is a method of dispute resolution in which parties to a dispute agree to have their case heard and decided by one or more independent arbitrators, rather than by a court of law.

In arbitration, the arbitrators listen to evidence presented by both sides and make a binding decision based on the facts and the applicable law. Arbitration can be used to resolve a wide range of disputes, including commercial disputes between businesses, disputes between employers and employees, and disputes between individuals.

When the dispute of two companies  is resolved by neutral third party is an example of arbitration. Therefore, option (C) is correct.

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A firm will fail to create a sustained competitive advantage when the a. fit between its internal strengths and the external environment is static. b. resource bundles exhibit heterogeneity and immobility. c. source of its competitive advantage is socially complex. d. source of its competitive advantage is causally ambiguous.

Answers

A firm will fail to create a sustained competitive advantage when fit between its internal strengths and the external is static.

What is Competitive advantage?

What is Competitive advantage?Competitive advantage can be a strategy or factors that allow a company to out perform another by producing goods and services better or cheaper.

This requires strategic planning and good business management hence there is need for the environment to be dynamic.

Being static is just going in one direction but ability to see things from different angle can bring about ideas that will increase a companies competitive advantage.

Therefore, A firm will fail to create a sustained competitive advantage when fit between its internal strengths and the external is static.

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What influences the behavior of employees and gives confidence to the strategic teams that make things happen?

Answers

Based on verifiable research, it has been shown that "goals" influence the behavior of employees and give confidence to the strategic teams that make things happen.

This is because goals setting has been found to give people a sense of purpose and a reason to accomplish a task.

This helps push employees and motivate them towards achieving the desired result.

Goals setting also gives confidence to the strategic teams that make things happen by quantifying their success.

It also helped them to have and create a shared vision which gives them the confidence to pursue the set goals.

Hence, in this case, it is concluded that goal setting is crucial to achieving success in any organization.

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Ending raw materials would appear in which of the following budgets?
(A) Debit Labor Budget
(B) Direct Materials Budget
(C) Budgeted Income Statement
(D) Sales Budget

Answers

Answer:

B

Explanation:

Raw materials will fall under a material budget as it is only for purchasing the raw materials

How can entrepreneurship improve people’s quality of life?

Answers

Answer:

Through offering unique goods and services, entrepreneurs break away from tradition and reduce dependence on obsolete systems and technologies. This can result in an improved quality of life, improved morale, and greater economic freedom.

Explanation:

New York and Ohio are among the states with the most remaining drive in movie screens . New York has 4 more screens than Ohio and there are 52 screens total in the two states . how many drive in movie screens remain in each state.

Answers

EXPLANATION:
Let the no. of screens in Ohio be n.
So, no. of screens New York = n + 4
Total no. of screens= 52

Finding the value of n:
n + n + 4 = 52
=> 2n + 4 = 52
=> 2n = 52 - 4
=> n = 48/2
=> n = 24

ANSWER: There are 24 movie screens in Ohio & (24+4) 28 movie screens in New York.

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If leaseplan continues its diversity management activities, as described in the case, select the most closely aligned statistics to ots potential outcome

Answers

Tolerate is Thomas's generic action options for managing diversity is most illustrated in the case. Thus, option D is correct.

What is diversity?

Diversity can be defined as the part of the workforce where there is a significant benefit to having a diverse workforce; this can be based on social or ethnic background; this is the state of the variety of people employed in the company.

The lease plan is satisfied that there is gender diversity, which is supported. As there are various numbers of male as well as female employees that are a part of the lease plan. As the number of women working in the company grows, this will demonstrate how the other gender is treated.

Therefore, option D is correct.

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The question is incomplete, Complete question probably will be  is:

Leaseplan Effectively Manages Diversity The term, glass ceiling, was used to represent an absolute barrier or solid roadblock that prevented women from advancing to higher-level positions. The ceiling resulted in women finding themselves stuck in lower-level jobs, ones that did not have profit and loss responsibility, and jobs with less visibility, power, and influence. This scenario is changing. This case illustrates the Leaseplan Effectively Manages Diversity The term, glass ceiling, was used to represent an absolute barrier or solid roadblock that prevented women from advancing to higher-level positions. The ceiling resulted in women finding themselves stuck in lower-level jobs, ones that did not have profit and loss responsibility, and jobs with less visibility, power, and influence. This scenario is changing. This case illustrates the impact motivated leadership and changing company policies can have on gender diversity in the workplace. According to the United States Department of Labor, compared to women comprising 21 percent of the workforce in 1920, women comprised nearly half of the workforce in the United States in 2013, making gender diversity issues more and more important. This activity asks you to identify and apply your knowledge of such aspects of diversity. Read the case below and answer the questions that follow. In 2003, the representatives of LeasePlan USA's top customers were mostly women, as was the majority of the company's employees. However, men represented a large majority of top managers at the company, reflecting the old-boys network type culture that dominated the fleet industry. New leadership decided to change this and provided career counseling to women, revised reward systems to focus on performance instead of seniority, and replaced some existing managers. Two years ago, only one of seven top executives was a woman. Now, three of the top eight executives are women. The company's new chief executive claims that these changes are motivated by strategy rather than political correctness. He says, "LeasePlan doesn't build anything...Our sustainable competitive advantages are people." LeasePlan now also implements a development program catered specifically for female employees. The program includes skills assessments, career guidance, communications, brand building, and panel discussions with female executives from other companies. Which of Thomas's generic action options for managing diversity is most illustrated in the case? Multiple Choice suppress

isolate

deny

include/exclude

tolerate

Seth Bullock, the owner of Bullock Gold Mining, is evaluating a new gold mine in South Dakota. Dan Dority, the company’s geologist, has just finished his analysis of the mine site. He has estimated that the mine would be productive for eight years, after which the gold would be completely mined. Dan has taken an estimate of the gold deposits to Alma Garrett, the company’s financial officer. Alma has been asked by Seth to perform an analysis of the new mine and present her recommendation on whether the company should open the new mine.
Alma has used the estimates provided by Dan to determine the revenues that could be expected from the mine. She also has projected the expense of opening the mine and the annual operating expenses. If the company opens the mine, it will cost $675 million today, and it will have a cash outflow of $50 million nine years from today in costs associated with closing the mine and reclaiming the area surrounding it. The expected cash flows each year from the mine are shown in the nearby table. Bullock Gold Mining has a 12 percent required return on all of its gold mines.
Year 0 = -675 000 000 Year 1= 90 000 000 Year 2= 135 000 000 Year 3= 204 000 000 Year 4= 235 000 000 Year 5= 210 000 000 Year 6= 164 000 000 Year 7= 108 000 000 Year 8= 86 000 000 Year 9= -50 000 000

A. calculate the payback period, internal rate of return, modified internal rate of return, and the net present value of the proposed mine.
B. Based on your analysis, should the company open the mine?

Answers

a)Payback Period ≈ 5.21 year. IRR, which is approximately 15.73%.MIRR ≈ 10.60%.NPV ≈ -32,709,032.36

b)The company's risk tolerance, long-term strategic goals, and market conditions, to make a final decision on whether to open the mine.

A. To calculate the payback period, internal rate of return (IRR), modified internal rate of return (MIRR), and net present value (NPV), we will use the provided cash flows and the required return of 12 percent. Here are the calculations:

Payback Period:

The payback period is the time it takes for the initial investment to be recovered. We sum up the cash flows until they reach or exceed the initial investment.

Year 0: -675,000,000

Year 1: 90,000,000

Year 2: 135,000,000

Year 3: 204,000,000

Year 4: 235,000,000

Year 5: 210,000,000

Year 6: 164,000,000

Year 7: 108,000,000

Year 8: 86,000,000

Year 9: -50,000,000

The payback period occurs between Year 5 and Year 6 when the cumulative cash flows exceed the initial investment. To calculate the exact payback period, we need to interpolate:

Payback Period = Year 5 + (Initial Investment - Cumulative Cash Flow at Year 5) / Cash Flow at Year 6

Payback Period = 5 + (675,000,000 - 874,000,000) / 164,000,000

Payback Period = 5 + (-199,000,000) / 164,000,000

Payback Period ≈ 5.21 years

Internal Rate of Return (IRR):

The IRR is the discount rate that makes the NPV of the cash flows equal to zero. We can use a financial calculator or software to find the IRR, which is approximately 15.73%.

Modified Internal Rate of Return (MIRR):

The MIRR adjusts for the reinvestment rate of the cash flows and is generally considered a more realistic measure. To calculate the MIRR, we need to specify the reinvestment rate. Let's assume a reinvestment rate of 10%.

MIRR = (Future Value of Positive Cash Flows / Present Value of Negative Cash Flows)^(1/Number of Years) - 1

MIRR = ((210,000,000 / (675,000,000 - 50,000,000))^(1/9) - 1) * (1 + 10%)

MIRR ≈ 10.60%

Net Present Value (NPV):

The NPV is the present value of cash inflows minus the present value of cash outflows, discounted at the required return of 12%.

NPV = Sum of [(Cash Flow / (1 + Required Return)^Year)]

NPV = 90,000,000 / (1 + 0.12)^1 + 135,000,000 / (1 + 0.12)^2 + ... + (-50,000,000 / (1 + 0.12)^9) - 675,000,000

NPV ≈ -32,709,032.36

B. Based on the analysis:

The payback period is approximately 5.21 years.

The IRR is approximately 15.73%.

The MIRR is approximately 10.60%.

The NPV is approximately -$32,709,032.36.

Considering the results, the payback period is shorter than the eight-year mine life, indicating a positive outcome. The IRR is higher than the required return of 12%, suggesting the project could be profitable. However, the MIRR is lower than the IRR, which may indicate less favorable reinvestment assumptions. Lastly, the NPV is negative, indicating that the project's present value of cash flows is lower than the initial investment.

Based on these findings, it is recommended to evaluate the results in conjunction with other factors, such as the company's risk tolerance, long-term strategic goals, and market conditions, to make a final decision on whether to open the mine.

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IN TEST PLEASE HELP ! Mia is the owner and CEO of a Singapore-based company that makes and exports electronic goods. Mia plans to enter the Japanese market. She decides to price her products high to get the maximum profits in the shortest possible time. Which pricing strategy is Mia using? A. geographic B. penetration C. product line D. skimming

Answers

Answer:

D. skimming

Explanation:

Skimming is the pricing strategy where a company charges the highest price that customers are initially willing to pay and then lowers the price over time. This fits the scenario here, as Mia starts out by pricing her products high. None of the other strategies involve starting out with a high price to turn a short-term profit.

he following information is for James Industries' first year of operations. Amounts are in millions of dollars.

Year Future Taxable Amounts Future Amounts Total
2020 2021 2022 2023 2024
Accounting income $90
Temporary difference:
Advance rent payment (24 ) $6.00 $6.00 $6.00 $6.00 $24.00
Taxable income $66

In 2021 the company's pretax accounting income was $76.0. The enacted tax rate for 2020 and 2021 is 25%, and it is 30% for years after 2021.

Required:
Prepare a journal entry to record the income tax expense for the year 2021.

Answers

Answer:

Date                           Account Title                                Debit              Credit

December 2021        Income tax expense             $19,000,000

                                   Deferred tax liability              $1,500,000

                                   Income tax payable                                      $20,500,000

Explanation:

Amounts are in millions of dollars so convert them.

Income tax expense for 2021 is:

= Accounting income * tax rate

= 76,000,000 * 25%

= $19,000,000

Deferred tax liability for 2021 is:

= Advance rent payment for 2021 * 25%

= 6,000,000 * 25%

= $1,500,000

You are an economics professor teaching large sections of Principles courses this semester. Within the first week of class,
several students have approached you with concerns about exam and homework due dates. They fear they won't do well
because the due dates for your class conflict with the dates for their other classes. You want to allocate exam and homework
due dates to the days most valued by students, but sifting through the opinions of hundreds of students presents a challenge.
The MOST efficient allocation would result if you:
design a predictions market for students to designate when they think the dates will be.
b. create an internal market for students to bid for their preferred dates.
C.
use your centralized power as a professor to assign the dates without student input.
d. determine that you have a knowledge problem when assigning dates

You are an economics professor teaching large sections of Principles courses this semester. Within the

Answers

The MOST efficient allocation of exam and homework due dates for students who have concerns due to conflicting schedules with other classes is to create an internal market for students to bid for their preferred dates.The correct answer is option-b.

A market is the most efficient mechanism for allocating goods and services according to the preferences of consumers. Students who have conflicting schedules can bid for their preferred exam and homework due dates through an internal market.

This method has the advantage of providing the exam and homework due dates to those who are willing to pay the most for them. By using the internal market, the professor can allocate the dates in the most efficient manner without sifting through the opinions of hundreds of students.

This method is also fair as it gives students the opportunity to choose their preferred dates based on their schedule constraints, and it reflects the value that students place on certain exam and homework due dates.

Therefore, the correct answer is option-b.

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this is for Accounting 1

this is for Accounting 1

Answers

Answer:

B

Explanation:

secretaries

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Dillon Company incurred the following costs while producing 480 units: direct materials, $9 per unit; direct labor, $22 per unit; variable manufacturing overhead, 12 per unit; total fixed manufacturing overhead costs, $7,680; variable selling and administrative costs, $4 per unit; total fixed selling and administrative costs, $4,320. There are no beginning inventories.

What is the unit product cost using variable costing?
A. $72 per unit
B. $59 per unit
C. $47 per unit
D. $43 per unit

Answers

Answer:

The unit cost is $43 per unit

Explanation:

Required

Determine the unit product cost?

Using variable costing, the unit product cost is:

\(Unit = DM+ DL + VMO\)

\(DM = Direct\ Materials =\$9\)

\(DL = Direct\ Labor =\$22\)

\(VMO = Variable\ Manufacturing\ Overhead = \$12\)

So, we have:

\(Unit = \$9 + \$22 + \$12\)

\(Unit = \$43\)

Hence, the unit cost is $43 per unit

Daniel's Sound Systems has 210,000 shares of common stock outstanding at a market price of $36 a share. Last month, Daniel's paid an annual dividend in the amount of $1.593 per share. The dividend growth rate is 4%. Daniel's also has 6,000 bonds outstanding with a face value of $1,000 per bond. The bonds carry a 7% coupon, pay interest annually, and mature in 4.89 years. The bonds are selling at 99% of face value. The company's tax rate is 34%. What is Daniel's weighted average cost of capital

Answers

Answer:

0.0038 %

Explanation:

WACC = Cost of Equity x Weight of Equity + Cost of Debt x Weight of Debt

where,

Cost of Equity Calculation

Cost of Equity = ($1.593 x 1.04) ÷ $36 + 0.04 = 11.33 %

Cost of Debt Calculation

PMT = 1000 x 7 % = $70

N = 4.89

PV = $ 1,000 x 99 % = $990

FV  = 1,000

P/YR = 1

YTM = ?

Therefore Pre- tax cost of debt is 7.25 %

After tax cost of debt = 7.25 % x ( 1 - 0.34)

                                    = 4.79 %

Weight of Equity = 210,000 x $36 / (210,000 x $36 + 6,000 x $1,000)

                            = 0.0010

Weight of Debt = 6,000 x $1,000 / (210,000 x $36 + 6,000 x $1,000)

                            = 0.00079

Now

WACC = 11.33 % x 0.0010 + 4.79 % x 0.00079

Therefore

Daniel's weighted average cost of capital is 0.0038 %

Common stock is corporate equity, a type of security as ownership in a corporation. The weighted average cost of capital (WACC) will be 0.0038 %.

What is WACC?

The weighted average cost of capital (WACC) is the amount a corporate is expected to pay its deposit holders for funding their assets. It is calculated as:

\(\rm WACC = \text{Cost of Equity} \times \text{Weight of Equity} + \text{Cost of Debt }\times \text{Weight of Debt}\)

The cost of equity is calculated as:

\(\begin{aligned}\text{Cost of Equity} &= \dfrac{(\$1.593 \times 1.04)}{\$36 + 0.04}\\\\&= 11.33 \%\end{aligned}\)

The cost of debt is calculated as:

Given,

Maturity year = 4.89 years

Face value = $1000

The pre-tax cost of the debt is 7.25% and after-tax the cost will be,

\(7.25 \% \times ( 1 - 0.34) = 4.79 \%\)

The weight of equity is calculated as:

\(\dfrac{210,000 \times \$36}{ (210,000 \times \$36 + 6,000 \times \$1,000)} = 0.0010\)

The weight of debt is calculated as:

\(\dfrac{6000\times \$1000}{ (210,000 \times \$36 + 6,000 \times \$1,000)} = 0.00079\)

WACC is calculated as:

\((11.33 \% \times 0.0010)+ (4.79 \% \times 0.00079)= 0.0038 \%\)

Therefore, Daniel's WACC is 0.0038 %.

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The money supply represents the amount of money the Federal Reserve Bank makes available for people to buy goods a
True or false

Answers

Answer:

True

Explanation:

The federal reserve ensures that the bank has enough money by the end of the night in case anyone needs money so that the market crash problem in the 1920s won’t happen again

which one of the following is abasic concepts of probability?​

Answers

A probability is a number that reflects the chance or likelihood that a particular event will occur. Probabilities can be expressed as proportions that range from 0 to 1, and they can also be expressed as percentages ranging from 0% to 100%. A probability of 0 indicates that there is no chance that a particular event will occur, whereas a probability of 1 indicates that an event is certain to occur. A probability of 0.45 (45%) indicates that there are 45 chances out of 100 of the event occurring.

The concept of probability can be illustrated in the context of a study of obesity in children 5-10 years of age who are seeking medical care at a particular pediatric practice. The population (sampling frame) includes all children who were seen in the practice in the past 12 months and is summarized below.

(5 points)
Willie's Hot Dogs had sales last year of $250,300 and a guest count of 76,079.
Sales this year were $280,750 with a guest count of 83,556.
What was Willie's guest count percentage variance?

Answers

Willie's guest count percentage variance is 9.82%.

How to calculate guest count percentage

To calculate the guest count percentage variance

Use the following formula:

Guest count percentage variance = [(current year guest count - prior year guest count) / prior year guest count] x 100%

Guest count percentage variance = [(83,556 - 76,079) / 76,079] x 100%

Guest count percentage variance = (7,477 / 76,079) x 100%

Guest count percentage variance = 0.0982 x 100%

Guest count percentage variance = 9.82%

Therefore, Willie's guest count percentage variance is 9.82%.

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Which one has the objective of "long-term financial success"?
A. Plotting
B. Spending
C. Saving
D. Investing

Answers

Answer:

C saving

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The list price of an item is $96.60. The supplier is offering a series trade discount of 10/10/19. Find the net cost.
The net cost of the item is $
(Round to the nearest cent as needed.)

Answers

The net cost of the item, after applying the series trade discount, is $63.41.

To calculate the net cost of the item, we need to apply the series trade discount provided. The series trade discount is given as 10/10/19, which means there are three successive discounts applied.

Let's break down the discounts:

The first discount is 10%.The second discount is 10%.The third discount is 19%.

To find the net cost, we need to calculate the price after each discount.

Step 1: Apply the first discount of 10%

List price - (10% of list price)

List price - (10/100 * List price)

List price - 0.1 *

List price = 0.9 * List price

Step 2: Apply the second discount of 10%

0.9 * List price - (10% of 0.9 * List price)

0.9 * List price - (10/100 * 0.9 * List price)

0.9 * List price - 0.09 * List price

0.81 * List price

Step 3: Apply the third discount of 19%

0.81 * List price - (19% of 0.81 * List price)  

0.81 * List price - (19/100 * 0.81 * List price)

0.81 * List price - 0.1539 * List price

0.6561 * List price

Now, to find the net cost, we multiply the list price by the result of the series of discounts:

Net cost = List price * 0.6561

Given that the list price is $96.60, we can calculate the net cost:

Net cost = $96.60 * 0.6561

Calculating this, we find:

Net cost = $63.41 (rounded to the nearest cent)

Therefore, the net cost of the item, after applying the series trade discount, is $63.41.

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