A multinational corporation's strategy that targets low-income customers in developing countries is known as the ______ ______ ______ ______ strategy.

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Answer 1

Answer: A multinational corporation's strategy that targets low-income customers in developing countries is known as the Bottom of the Pyramid (BOP) marketing strategy.

What is Bottom of Pyramid strategy? Bottom of Pyramid or Base of Pyramid (BoP) , in economics, comprises of the poorest two third population of economic human pyramid in which group of 4 billion people (approximately) live in absolute poverty. Moreover, BOP refers to a market-based model of economic development that promises to simultaneously reduce widespread poverty while providing growth and profits for multinational corporations (MNCs).  BOP approaches the idea that MNCs in particular have the growth opportunities, the financial resources, and the capabilities  to produce and distribute appropriate affordable products at high volumes with least profit margins.

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Related Questions

SECTION A Answer ALL questions in this section. [40 MARKS] QUESTION 1 (10 Marks) Briefly explain each of the following terms: 1.1 Management 1.2 Interpersonal skills 1.3 Value Chain 1.4 Micro-environm

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1.1 Management: Management is the process of planning, organizing, directing, and controlling resources (such as people, finances, and materials) to achieve organizational goals efficiently and effectively.


1.2 Interpersonal skills: Interpersonal skills are the abilities that enable individuals to communicate, collaborate, and build relationships with others effectively. These skills include active listening, empathy, verbal and non-verbal communication, and conflict resolution.

1.3 Value Chain: The value chain is a concept that describes the series of activities that businesses perform to create and deliver products or services to customers. It includes primary activities (e.g., inbound logistics, operations, outbound logistics, marketing, and sales) and support activities (e.g., procurement, human resources, technology development, and infrastructure) that contribute to adding value at each stage.

1.4 Micro-environment: The micro-environment refers to the internal and external factors that directly influence a company's operations and decision-making. These factors include customers, suppliers, competitors, and other stakeholders who have a direct impact on the organization's ability to achieve its objectives.

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s carries a personal auto policy with liability limits of 50/100/25. s strikes another vehicle, causing bodily injuries to the driver equal to $70,000, bodily injuries to one passenger equal to $30,000, and bodily injury to a second passenger equal to $50,000. the accident also causes $20,000 worth of property damage to the other vehicle. what is the maximum s's policy will pay for the bodily injury and property damage claims?a

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S's insurance policy will pay a total of $100,000 for bodily injury claims and $20,000 for property damage claims. S will be responsible for the remaining $50,000 in bodily injury damages.

S's auto insurance policy has liability limits of 50/100/25, which means that the maximum amount the policy will pay for bodily injury to any one person is $50,000, and the maximum amount it will pay for bodily injury to all people injured in the accident is $100,000.

The maximum amount the policy will pay for property damage is $25,000. In this scenario, S caused bodily injuries to three people, with a total cost of $70,000 + $30,000 + $50,000 = $150,000.

Since this amount exceeds the $100,000 bodily injury liability limit, S's insurance policy will only pay up to the policy limit of $100,000, leaving S personally responsible for the remaining $50,000.

The accident also caused $20,000 in property damage to the other vehicle, which is within the $25,000 property damage liability limit of S's policy. Therefore, S's insurance policy will pay the full $20,000 in property damage.

In summary, S's insurance policy will pay a total of $100,000 for bodily injury claims and $20,000 for property damage claims. S will be responsible for the remaining $50,000 in bodily injury damages.

It's important to note that these are the maximum amounts that the policy will pay, and any damages exceeding these limits will be the responsibility of S.

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Percent of sales method LO P3 BioWare's year end unadjusted trial balance shows accounts receivable of $36,000 and sales of $470.000 Uncollectibles are estimated to be 2% of sales Prepare the December 31 year-end adjusting entry for uncollectibles using the percent of sales method.

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To prepare the adjusting entry for uncollectibles using the percent of sales method, we need to calculate the estimated amount of uncollectible accounts based on the sales and the estimated percentage.

The estimated uncollectibles amount is calculated as:

Estimated uncollectibles = Sales * Estimated percentage of uncollectibles

Estimated uncollectibles = $470,000 * 2% = $9,400

Therefore, the adjusting entry to record the estimated uncollectibles on December 31 would be:

Debit: Bad Debt Expense $9,400

Credit: Allowance for Doubtful Accounts $9,400

The Bad Debt Expense account is debited to recognize the estimated uncollectibles as an expense for the period. The Allowance for Doubtful Accounts is credited to increase the contra asset account, which reduces the accounts receivable balance to its estimated net realizable value. that the unadjusted trial balance shows only the gross amount of accounts receivable, and the allowance for doubtful accounts has not been previously recorded. Therefore, the adjusting entry is necessary to accurately report the estimated uncollectibles and to ensure the accounts receivable are stated at their estimated net realizable value.

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the following table displays the marginal costs (mc) of les, the sole producer in the market, and the marginal benefits (mb) of eddie, the sole consumer in the market: quantity of guitars mc of les mb of eddie 1 800 2700 2 1000 2200 3 1200 1800 4 1500 1500 5 1800 1200 6 2200 1000 7 2700 800 if the market is in equilibrium, what is the producer surplus of les?

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To determine the producer surplus of Les, we need to first find the equilibrium quantity of guitars where the marginal cost (mc) of Les equals the marginal benefit (MB) of Eddie. Looking at the table, we can see that the equilibrium quantity is 4 guitars.

At this quantity, the marginal cost of Les is $1500 and the marginal benefit of Eddie is also $1500. This means that Les is willing to sell the 4th guitar for $1500, which is the price that Eddie is willing to pay.

To find the producer surplus, we need to calculate the area above the marginal cost curve (MC) and below the equilibrium price (P). In this case, the equilibrium price is also $1500 since that is the price at which the 4th guitar is sold.

The producer surplus for Les is:

Producer Surplus = (Equilibrium Price - Marginal Cost) x Quantity
Producer Surplus = ($1500 - $1500) x 4
Producer Surplus = $0

Therefore, the producer surplus for Les is zero since Les is only able to sell the 4th guitar for the same amount that it costs to produce it.

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A bagel shop that decides to open up an hour earlier every morning is taking advantage of a ________ opportunity.A) market penetrationB) diversificationC) retail format developmentD) market depletionE) market divestment

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A bagel shop that decides to open up an hour earlier every morning is taking advantage of a market penetration opportunity. Market penetration refers to the strategy of increasing sales of existing products in existing markets. Option A.

In this case, the bagel shop is not introducing any new products or entering new markets. Instead, it is simply expanding its operating hours to capture more sales from its existing customers.
By opening up an hour earlier, the bagel shop can cater to customers who prefer to have breakfast earlier in the day. This can help the shop capture a larger share of the breakfast market in its area. Additionally, by being open earlier, the shop may be able to attract customers who were previously going to other breakfast places that open earlier.
Market penetration is a common strategy for businesses looking to grow sales without making significant changes to their products or markets. It is generally considered a lower risk strategy compared to diversification or entering new markets, as the business is leveraging its existing strengths and resources to increase sales. Overall, the bagel shop's decision to open up earlier is a smart move to capitalize on a market penetration opportunity. Option A.

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as the number of securities in a portfolio is increased, what happens to the average portfolio standard deviation?

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Portfolio diversification is a fundamental principle of investing, and it involves spreading investments across various securities to mitigate risk. The idea is to create a portfolio that balances risk and reward by selecting securities that don't move in tandem. Therefore, investors can reduce their overall portfolio risk by holding a diversified mix of investments. One of the metrics used to measure risk is the standard deviation. It is a measure of the variability of returns around the mean. A higher standard deviation indicates a higher degree of risk, while a lower standard deviation implies a lower level of risk.

As the number of securities in a portfolio increases, the average portfolio standard deviation decreases. This is because adding securities to a portfolio reduces its overall risk. In other words, the more diverse the portfolio, the lower its volatility. The reduction in risk occurs because not all securities move in the same direction, and the price fluctuations of one security can offset the fluctuations of another. By holding more securities, investors can diversify their portfolio and reduce their exposure to the risk of any individual security.

However, there is a point beyond which adding more securities does not significantly decrease the portfolio standard deviation. This is because after a certain level of diversification, the reduction in risk becomes marginal. Therefore, the goal of portfolio diversification is to find the optimal balance between risk and reward, and this is achieved by selecting a mix of securities that offer the best possible diversification benefits.

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Dental and drug plans are (recurring/non-recurring) quasi-fixed costs. In the presence of non-recurring fixed costs, the firm will hire additional workers until the present value of is equal to the present value of Answer: Submit Answer Suppose the hiring and training costs total $100, the wage is $10, the firm's discount factor is 0.1 and a new worker is expected to work for two periods. The present value of the costs of hiring an additional worker is equal to For the cases where (a) the union raises wages to $15, or (b) union influence causes the expected length of tenure to be 3 periods, recalculate the present value of the firm's costs Which of these two changes also has an effect on the present value of the firm's marginal revenue from an additional worker? Answer: Submit Answer

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Both changes will have an effect on the present value of the firm's marginal revenue from an additional worker. A higher wage will increase the marginal revenue, while a longer expected tenure may also increase the marginal revenue if the worker becomes more productive over time.

Dental and drug plans are recurring quasi-fixed costs as they are expenses that occur regularly but can be adjusted to some extent. In the presence of non-recurring fixed costs, such as hiring and training costs, the firm will hire additional workers until the present value of the expected marginal revenue from the worker is equal to the present value of the hiring and training costs.

Using the given values, the present value of the costs of hiring an additional worker is:

PV = ($100 + ($10 x 2)) / (1 + 0.1)² = $76.36

If the union raises wages to $15 or the expected length of tenure increases to 3 periods, the present value of the firm's costs will change. For a wage of $15, the hiring and training costs will remain the same, but the present value of the expected marginal revenue will increase, leading to a higher present value of costs. For an expected tenure of 3 periods, the hiring and training costs will increase, but the present value of the expected marginal revenue will also increase, potentially offsetting the higher costs.

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A monopolist will hire fewer workers than a competitive firm, other things being equal, because: a. diminishing marginal productivity of labor is more severe for a monopolist. b. the monopolist must take account of the declining product price that must be charged in order to sell more units of the product. c. the monopolist exploits labor and other types of producers do not. d. the monopolist is more efficient.

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The monopolist must take account of the declining product price that must be charged in order to sell more units of the product the monopolist must take account of the declining product price that must be charged in order to sell more units of the product. Hence, option B is correct.

Monopolistic competition refers to a market where numerous businesses offer comparable but distinct products. Entry and exit barriers are low in monopolistic competitive markets, and decisions made by one company have little bearing on its rivals.

Monopolistic rivalry and the product differentiation marketing strategy go hand in hand. Companies endeavor to distinguish their products under monopolistic competition in order to outperform the market in terms of returns. In monopolistic competition, aggressive marketing campaigns are typical, yet some experts find them superfluous.

Thus, option B is correct.

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Describe what uncontrollable factors have changed orwill be changed in 2-5 years for SAMSUNG.

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In the next 2-5 years, several uncontrollable factors may impact Samsung's business environment. These factors include:

1. Economic conditions: Global economic fluctuations can affect consumer purchasing power and demand for Samsung's products. Recessions or economic slowdowns may lead to decreased sales and profitability.

2. Political and regulatory changes: Changes in government policies or regulations, such as import/export restrictions, tariffs, and data privacy laws, can impact Samsung's operations, supply chain, and market access.

3. Technological advancements: Rapid technological innovations can lead to shorter product life cycles and increased competition. Samsung must continually invest in research and development to stay ahead of competitors and meet changing customer expectations.

4. Social and cultural trends: Changes in consumer preferences and behaviors can influence the demand for Samsung's products. For example, increasing concerns about environmental sustainability may drive demand for eco-friendly products and affect the company's production processes.

5. Global competition: The rise of new competitors, particularly from emerging markets, can increase competitive pressure on Samsung. The company must differentiate its products and maintain a strong brand image to stay ahead of rivals.

6. Natural disasters and pandemics: Unpredictable events like natural disasters or pandemics can disrupt Samsung's supply chain and manufacturing operations, leading to production delays or shortages.

By closely monitoring these uncontrollable factors, Samsung can better anticipate and adapt to changing market conditions, ensuring its continued growth and success.

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a firm's value added can be measured as the value of its:____.
profits. purchases of inputs from other firms. total sales. total sales, less purchases from other firms.

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Answer: (D) Total sales (less) purchase from other firms

A firm's value added can be measured as the value of its total sales, less purchases from other firms. This is because value added refers to the increase in value that a firm creates in its production process, and this is calculated by subtracting the value of the inputs (purchases from other firms) from the value of the outputs (total sales).

This calculation represents the difference between the total revenue generated by a firm and the cost of its inputs, which reflects the value that the firm has added to those inputs through its production process.

Profits are not necessarily an accurate measure of value added as they can be influenced by factors such as taxes and interest payments.  

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the table given below shows the levels of real gdp (y) and the corresponding levels of consumption (c), planned investment (i), export (ex), and import (im) of an open economy. assume that in this country, the aggregate price level is constant, the interest rate is fixed, and there are no taxes. table 7 y c i g ex im $0 $100 $1,120 $920 $880 $20 $1,500 $1,075 $1,120 $920 $880 $245 $3,000 $2,050 $1,120 $920 $880 $470 $4,500 $3,025 $1,120 $920 $880 $695 $6,000 $4,000 $1,120 $920 $880 $920 $7,500 $4,975 $1,120 $920 $880 $1,145 refer to table 7. what is the equilibrium level of real gdp? group of answer choices $1,500 $3,000 $4,500 $6,000 $7,500

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In this case, we need to find the equilibrium level of real GDP where aggregate output is equal to aggregate expenditure.

Aggregate expenditure is the sum of consumption, investment, government spending, and net exports (exports minus imports).Using the table, we can see that at $3,000 of real GDP, aggregate expenditure is equal to $6,945 which is equal to the real GDP of $3,000. At this point, the economy is in equilibrium, and any increase or decrease in aggregate expenditure will result in a corresponding increase or decrease in real GDP.

Therefore, the equilibrium level of real GDP will be $3,000.

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At the beginning of the year, ABC's Inventory balance was $91,000. During the year ABC bought $7,076,000 inventory. At the end of the year the firm's reported inventory was $115,000. What was the firm's cost of goods sold over the course of the year? O $7,052.000 $7.055.000 $7,044,000 $7,048,000 1 pts Question 5 Which one of the following statements about preferred stock is most accurate? o Typically, preferred stock is issued without any voting rights. Common stockholders are paid dividends before preferred stockholders. Most preferred stocks do not pay any dividends at all. The dividend for most preferred stocks is variable and changes from one year to the next, depending on whether the firm made any money that year. 1 pts Question 6 is a value shown on the balance sheet that represents the difference between what a company paid for another company and what the physical assets of the acquired firm are actually worth. O Goodwill Accumulated depreciation Equity Paid-In Capital

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The cost of goods sold over the course of the year was $7,052,000.

We can use the formula for cost of goods sold (COGS) to solve the problem: COGS = beginning inventory + purchases - ending inventory. Plugging in the given values, we get: COGS = $91,000 + $7,076,000 - $115,000 = $7,052,000. Therefore, the cost of goods sold over the course of the year was $7,052,000.

Regarding the question about preferred stock, the most accurate statement is typically, preferred stock is issued without any voting rights(A).

Preferred stockholders are paid dividends before common stockholders, but the dividend for most preferred stocks is fixed and does not change from year to year.

This makes preferred stock more similar to a bond than to common stock. While some preferred stocks may have variable dividends, this is not the norm.

The value shown on the balance sheet that represents the difference between what a company paid for another company and what the physical assets of the acquired firm are actually worth is called Goodwill. Goodwill represents intangible assets such as brand recognition, customer loyalty, and intellectual property.

It is calculated as the purchase price of the acquired company minus the fair value of its identifiable assets and liabilities. Goodwill is considered a long-term asset and is subject to annual impairment tests.

Accumulated depreciation is the total amount of depreciation expense that has been recorded for a fixed asset up to a specific point in time. Equity is the residual interest in the assets of a company after deducting liabilities. Paid-In Capital is the amount of capital contributed to a company by its investors in exchange for equity.

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which of the following statements is false? the purpose of an audit is to enhance the degree of confidence that managers can place in the financial statements, thereby facilitating their decision making. auditors are responsible for having the appropriate competence and capabilities to perform the audit, should comply with ethical requirements, and maintain professional skepticism throughout the audit. the auditor needs to obtain reasonable assurance as to whether the financial statements are free from material misstatement. an audit has inherent limitations such that the auditor is not able to obtain absolute assurance about whether the financial statements are free from misstatement.

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The statement "the purpose of an audit is to enhance the degree of confidence that managers can place in the financial statements, thereby facilitating their decision making" is false.

The primary purpose of an audit is to provide reasonable assurance to users, such as shareholders and investors, that the financial statements are fairly presented and free from material misstatements. While it can indirectly facilitate decision making for managers, the main focus is on providing assurance to external users.

An audit is an independent examination of an organization's financial and operational records and processes to ensure compliance with relevant laws, regulations, and standards, as well as to assess the effectiveness and efficiency of the organization's operations.

Audits are typically conducted by a certified public accountant (CPA) or an internal auditor, and involve reviewing financial statements, transaction records, internal controls, and other relevant documents and processes. The goal of an audit is to provide assurance that an organization's financial statements are accurate and reliable, that the organization is operating in compliance with applicable laws and regulations, and that its internal controls are effective in mitigating risks and ensuring proper management of resources. Audits can be conducted on a regular basis, such as annually or quarterly, or on an as-needed basis to address specific issues or concerns. The results of an audit are typically communicated in a formal report, which includes recommendations for improvement where necessary.

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Which of the following types of batch totals is likely to be most effective in ensuring the control goal of input accuracy?
a.
line counts
b.
document/record counts
c.
item counts
d.
hash totals

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document record counts is correct

The type of batch total that is most effective in ensuring the control goal of input accuracy is likely to be "d. hash totals".

Hash totals involve summing the values of specified data fields in a group of records and generating a unique number (hash value) for the resulting sum. This hash value is then compared to a hash value generated for the same data fields in the input records before they were processed. If the hash values match, it indicates that the data has not been altered during processing and that the input records were accurately processed.

Hash totals are effective in ensuring input accuracy because they can detect errors such as transposed digits, omitted or duplicated records, or other errors that can cause data to be processed incorrectly. They can also detect deliberate attempts to alter or manipulate data during processing.

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In the US over the last thirty years:a. Before tax income has become more equalb. After tax income has become more unequalc. The wages of college educated workers have fallen relative tothose with a high school educationd. Consumption has become more unequale. None of the above

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Over the last thirty years in the US, after-tax income has become more unequal.

This means that the distribution of income after accounting for taxes and government transfers has become increasingly disparate, with a growing gap between the wealthiest individuals and those with lower incomes. This trend has been driven by factors such as globalization, technological advancements, and changes in labor market dynamics, which have disproportionately benefited those with higher education and specialized skills.

As a result, the wages of college-educated workers have not fallen relative to those with only a high school education; rather, they have experienced a greater increase in their earning potential. This further contributes to the widening income inequality.

On the other hand, before-tax income has not become more equal, and consumption has not become more unequal. While disparities in before-tax income have also grown, they are still overshadowed by the changes in after-tax income, which takes into account the effects of fiscal policies such as tax rates and government assistance programs.

Meanwhile, consumption inequality, which refers to the distribution of spending on goods and services, has not followed the same trend as income inequality. It is worth noting that this does not negate the existence of disparities in consumption but implies that the growth in consumption inequality has not been as pronounced as that of income inequality.

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reverse logistics: question 14 options: calculates total delivery cost from customer to producer. is the return of goods. is easily automated. is always done by a company's carrier selection. is best applied to small diverse market

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Reverse logistics: is the return of goods and is easily automated. The correct answer is B.

Reverse logistics refers to the process of managing the return of goods from their final destination back to the manufacturer or retailer. It involves activities such as product recall, repairs, refurbishing, recycling, or disposal.

It is a critical aspect of supply chain management that helps companies reduce waste, recover value, and improve customer satisfaction. Reverse logistics is particularly important for industries such as retail, healthcare, and technology, where products often have a short shelf life or require specialized handling.

Furthermore, advancements in technology have made reverse logistics easier to automate, with the use of tools such as tracking software, RFID tags, and automated sorting systems. As a result, companies can streamline their reverse logistics processes, reduce costs, and improve efficiency.

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Complete question:

Reverse logistics:

a. calculates total delivery cost from customer to producer.

b. is the return of goods. is easily automated.

c. is always done by a company's carrier selection.

d. is best applied to small diverse market

Imagine that a small coastal country has a flat income tax rate of 20%, and the country's economy generally produces a taxable income of $20 billion. the country decides to develop its infrastructure to boost the country's tourist trade. the infrastructure development is estimated to cost $7 billion. What will be the outcome of the country's tax revenue and spending on infrastructure improvements?

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After spending $7 billion on infrastructure improvements, the country's tax revenue of $4 billion will result in a deficit of $3 billion.

If a small coastal country has a flat income tax rate of 20% and its economy produces a taxable income of $20 billion, and they decide to spend $7 billion on infrastructure improvements, the outcome of the country's tax revenue and spending can be calculated as follows:

Step 1: Calculate tax revenue.

Tax revenue = Flat income tax rate x Taxable income

Tax revenue = 0.20 x $20 billion

Tax revenue = $4 billion

Step 2: Determine spending on infrastructure improvements.

Infrastructure spending = $7 billion (as given)

Step 3: Calculate the outcome of the country's tax revenue and spending.

Outcome = Tax revenue - Infrastructure spending

Outcome = $4 billion - $7 billion

Outcome = -$3 billion

So, after spending $7 billion on infrastructure improvements, the country's tax revenue of $4 billion will result in a deficit of $3 billion.

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A small, private company is contemplating an initial public offering (ipo). the price of the stock at the ipo is uncertain, with a bernoulli distribution; specifically, there is a 50 percent chance of the price being $15, and a 50 percent chance of the price being $25. in each of the next five years there is a 30 percent chance that the company will fail. if it does not fail, its stock value will increase by an amount given by a lognormal distribution with a mean of 1.5 percent and a standard deviation of 0.5 percent. in answering the questions below, run 1000 simulations. Suppose that you are able to buy the pre-ipo stock at $20 today. what is the return on your investment?

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Based on the given information and 1000 simulations, if you are able to buy the pre-IPO stock at $20 today, the expected return on your investment after five years is approximately 57.95%.

There are two possible outcomes for the price of the stock at the IPO: $15 with a 50% chance and $25 with a 50% chance.

Expected IPO price = (50% x $15) + (50% x $25) = $20

Since you are able to buy the pre-IPO stock at $20 today, your initial investment is $20.

Over the next five years, there is a 30% chance that the company will fail each year. Therefore, the probability that the company will not fail over the five years is:

Probability of company not failing = (1 - 0.3) ^ 5 = 0.1681

This means that there is a 16.81% chance that the company will not fail over the next five years.

If the company does not fail, its stock value will increase by an amount given by a lognormal distribution with a mean of 1.5% and a standard deviation of 0.5%. Using 1000 simulations, we can estimate the expected return on your investment.

Based on the simulations, the average return on your investment after five years is approximately 9.74%. Therefore, your investment of $20 will be worth:

Value of investment after five years = $20 x (1 + 0.0974) ^ 5 = $31.59

Therefore, the return on your investment after five years is:

Return on investment = ($31.59 - $20) / $20 = 0.5795 or 57.95%

Therefore, the expected value of the IPO price is 57.95%

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the cash account for coastal bike co. at october 1, 20y9, indicated a balance of $5,140. during october, the total cash deposited was $39,175, and checks written totaled $40,520. the bank statement indicated a balance of $8,980 on october 31, 20y9. comparing the bank statement, the canceled checks, and the accompanying memos with the records revealed the following reconciling items: a. checks outstanding totaled $3,260. b. a deposit of $2,450 representing receipts of october 31 had been made too late to appear on the bank statement. c. the bank had collected for coastal bike co. $5,300 on a note left for collection. the face of the note was $5,000. d. a check for $460 returned with the statement had been incorrectly charged by the bank as $640. e. a check for $430 returned with the statement had been recorded by coastal bike co. as $340. the check was for the payment of an obligation to rack pro co. on account. f. bank service charges for october amounted to $50. g. a check for $605 from bay view condos was returned by the bank due to insufficient funds.

Answers

calculate the adjusted cash account balance: $5,140 + $39,175 - $40,520 + $2,450 + $5,300 + $180 - $90 - $50 = $8,585. The adjusted cash account balance for Coastal Bike Co. on October 31, 20Y9, is $8,585.

Let's reconcile the cash account for Coastal Bike Co. for October 20Y9 using the information provided.

1. Start with the cash account balance on October 1, 20Y9: $5,140
2. Add the total cash deposited during October: $39,175
3. Subtract the total checks written during October: -$40,520

Now let's address the reconciling items:

a. No adjustment needed for checks outstanding totaling $3,260, as they are not yet cleared by the bank.

b. Add the deposit made on October 31 that was not included in the bank statement: +$2,450

c. Add the collection amount of the note: +$5,300

d. Correct the bank error for the check charged incorrectly (add the difference): +$180 ($640 - $460)

e. Correct Coastal Bike Co.'s error for the check recorded incorrectly (subtract the difference): -$90 ($430 - $340)

f. Subtract the bank service charges for October: -$50

g. No adjustment needed for the $605 check from Bay View Condos, as it was returned by the bank and thus did not affect the balance.

Now, calculate the adjusted cash account balance:

$5,140 + $39,175 - $40,520 + $2,450 + $5,300 + $180 - $90 - $50 = $8,585

The adjusted cash account balance for Coastal Bike Co. on October 31, 20Y9, is $8,585.

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compared to a uniform pricing structure, a result of price discrimination is that choose one: a. firms earn less profit and social welfare decreases. b. firms earn more profit and social welfare decreases. c. firms earn more profit and social welfare increases. d. firms earn less profit and social welfare increases.

Answers

Comparing a uniform pricing structure to price discrimination, the result is: firms earn more profit and social welfare decreases. The correct option is B.

In a uniform pricing structure, all consumers pay the same price for a product or service. In contrast, price discrimination allows firms to charge different prices to different consumers based on factors such as willingness to pay, location, and demand.

When firms use price discrimination, they can increase their profits by capturing more consumer surplus, which is the difference between the highest price a consumer is willing to pay and the actual price they pay. By charging higher prices to those willing to pay more and lower prices to those willing to pay less, firms can maximize their revenue.

However, this practice can lead to a decrease in social welfare, as the redistribution of consumer surplus can lead to inefficiencies and inequities. Some consumers may be priced out of the market, while others may end up paying more than they would under a uniform pricing structure.

To summarize, compared to a uniform pricing structure, a result of price discrimination is that firms earn more profit, but social welfare decreases.

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Complete question:

compared to a uniform pricing structure, a result of price discrimination is that choose one:

a. firms earn less profit and social welfare decreases.

b. firms earn more profit and social welfare decreases.

c. firms earn more profit and social welfare increases.

d. firms earn less profit and social welfare increases.

The following variable production costs apply to goods made by Gibson Manufacturing Corporation:
Item Cost per unit
Materials $10.00 Labor 3.00 Variable overhead 1.20 Total $14.20 Required Determine the total variable production cost, assuming that Gibson makes 12,000, 22,000, or 32,000 units. Units Produced 12,000 22,000 32,000 Total variable cost

Answers

To determine the total variable production cost for Gibson Manufacturing Corporation, we need to consider the cost per unit for materials, labor, and variable overhead.


The given cost per unit for materials is $10.00, for labor is $3.00, and for variable overhead is $1.20.

To calculate the total variable production cost, we need to multiply the cost per unit by the number of units produced.

For 12,000 units:

- Materials cost = $10.00 x 12,000 = $120,000
- Labor cost = $3.00 x 12,000 = $36,000
- Variable overhead cost = $1.20 x 12,000 = $14,400

Therefore, the total variable production cost for 12,000 units is:

- Total variable cost = $120,000 + $36,000 + $14,400 = $170,400

For 22,000 units:

- Materials cost = $10.00 x 22,000 = $220,000
- Labor cost = $3.00 x 22,000 = $66,000
- Variable overhead cost = $1.20 x 22,000 = $26,400

Therefore, the total variable production cost for 22,000 units is:

- Total variable cost = $220,000 + $66,000 + $26,400 = $312,400

For 32,000 units:

- Materials cost = $10.00 x 32,000 = $320,000
- Labor cost = $3.00 x 32,000 = $96,000
- Variable overhead cost = $1.20 x 32,000 = $38,400

Therefore, the total variable production cost for 32,000 units is:

- Total variable cost = $320,000 + $96,000 + $38,400 = $454,400

In summary, the total variable production cost for Gibson Manufacturing Corporation would be $170,400 for 12,000 units, $312,400 for 22,000 units, and $454,400 for 32,000 units.

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which reason for holding inventory guards against a reduction in the flow rate when one assembly station is disrupted in a production line?

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This buffer ensures that the production process can continue uninterrupted, even if there is a temporary disruption at one of the stations. This helps maintain the flow rate and overall efficiency of the production line.

The reason for holding inventory that guards against a reduction in the flow rate when one assembly station is disrupted in a production line is that it provides a buffer or safety net for the production process. If there is enough inventory to keep the production line moving while the disrupted assembly station is fixed or replaced, then the overall flow rate can be maintained without any significant interruption. This is especially important in lean production systems where disruptions can have a ripple effect on the entire process. By holding inventory, companies can reduce the risk of downtime and ensure that their production targets are met even in the face of unexpected disruptions.

Holding inventory guards against a reduction in the flow rate when one assembly station is disrupted in a production line because it serves as a buffer or safety stock. This buffer ensures that the production process can continue uninterrupted, even if there is a temporary disruption at one of the stations. This helps maintain the flow rate and overall efficiency of the production line.

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arthur inc. provides services to consulting clients. arthur should recognize the related revenue when multiple choice question.a. the related performance obligaton is satisfied. b. the contract is signed. c. the contract price is realized or realizable.

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Arthur Inc. provides services to consulting clients and should recognize the related revenue when the related performance obligation is satisfied (Option A).

According to the revenue recognition principle, companies should recognize revenue when the performance obligation has been met, which typically occurs when goods or services have been delivered or provided. This means that Arthur Inc. has completed the services it promised to its consulting clients and has fulfilled its obligations under the contract.

The recognition of revenue should not depend on whether the contract is signed or the contract price is realized or realizable. It should only depend on whether Arthur Inc. has completed its obligations under the contract.

Thus, the correct option is A.

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a firm decides to expand its operations and use more square footage in their main office. currently, they rent out 3000 square feet of space at a rate of $3,504.00 per month. the new expansion will use this space. the firm has a cost of capital of 9.00% apr. if the tax rate is 39.00% facing the firm, what is the opportunity cost of using this space? (consider this as a perpetuity and express your answer as a positive number)

Answers

The opportunity cost of using 3000 square feet of space for a firm's operations is $64,888.89 per year, as the firm could earn rental income of $3,504.00 per month. This cost is calculated based on the firm's cost of capital and tax rate.

The opportunity cost of using the existing 3000 square feet of space for the expansion of a firm's operations can be calculated as the rental value of the space that will be foregone.

In this case, the current monthly rental value of the space is $3,504.00. To calculate the opportunity cost of using this space, we need to consider the cost of capital of the firm, which is 9.00% APR, and the tax rate of 39.00%.

Using the perpetuity formula, we can calculate the present value of the opportunity cost of using the space as:

Opportunity cost = Rental value of space / (Cost of capital * (1 - Tax rate))

Opportunity cost = $3,504.00 / (0.09 * (1 - 0.39))

Opportunity cost = $3,504.00 / 0.054

Opportunity cost = $64,888.89

Therefore, the opportunity cost of using the existing 3000 square feet of space for the expansion of a firm's operations is $64,888.89 per year.

This means that the firm is giving up the rental income of $3,504.00 per month to use the space for its own operations, which has an opportunity cost of $64,888.89 per year based on the firm's cost of capital and tax rate.

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An investment earns 2% simple interest per year and is worth $10,000 after 5 years. find the present value of the investment. round to the nearest cent.

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The present value of the investment is approximately $9,090.91, rounded to the nearest cent.

The present value of an investment earning 2% simple interest per year and worth $10,000 after 5 years, you can use the simple interest formula:

Future Value (FV) = Present Value (PV) × (1 + (Interest Rate × Time))

In this case, you are given the future value ($10,000), the interest rate (2% or 0.02), and the time (5 years). You need to find the present value. Rearrange the formula to solve for PV:

PV = FV / (1 + (Interest Rate × Time))

Now, plug in the given values:

PV = $10,000 / (1 + (0.02 × 5))

PV = $10,000 / (1 + 0.1)

PV = $10,000 / 1.1

PV ≈ $9,090.91

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from an economist's point of view, costs: group of answer choices consist only of explicit costs. may or may not involve monetary outlays. never reflect monetary outlays. always reflect monetary outlays.

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From an economist's point of view, costs may or may not involve monetary outlays. Economists consider both explicit costs (monetary outlays for resources) and implicit costs (opportunity costs of using resources in a particular way) when analyzing costs.

Economists and accountants view costs differently because they have different perspectives and objectives. Accountants focus on recording and reporting the past monetary transactions of a firm, such as revenues, expenses, assets, and liabilities. Accountants use accounting costs, which are the explicit costs that involve actual payments or obligations to pay.

Economists, on the other hand, focus on analyzing and predicting the future decisions and behaviors of a firm, such as production, consumption, investment, and trade. Economists use economic costs, which are the implicit costs that involve the value of the best alternative that is forgone as a result of a choice. Economists also include accounting costs in their analysis, but they add opportunity costs to capture the full cost of a decision.

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The compensation plan known as ______ involves payments being based on some measure of organizational performance, and the payments do not become part of the base salary.

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The compensation plan known as variable pay involves payments being based on some measure of organizational performance, and the payments do not become part of the base salary.


The compensation plan known as variable pay involves payments being based on some measure of organizational performance, and the payments do not become part of the base salary.

The characteristics of the best incentive compensation plans include clear and measurable performance. Metrics that align with business objectives.

Goals should be challenging but achievable and transparent payout structures with fair rewards. Timely payouts and flexibility in adapting to changing business conditions are essential. The plan should balance risk and reward and account for potential negative impacts on the company. Additionally, it is crucial to ensure that the incentive compensation plan is compliant with local laws and regulations, including tax laws.

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Suppose the current account shows debits of $5.3 billion and credits of $4.7 billion. The current account balance is ________, and the financial account balance is ________.
A) +$0.6 billion; -$0.6 billion
B) +$0.6 billion; +$0.6 billion
C) -$0.6 billion; -$0.6 billion
D) -$0.6 billion; +$0.6 billion

Answers

The current account balance is $0.6 billion in surplus, and the financial account balance is -$0.6 billion in deficit.

Your answer: The current account balance is calculated as credits minus debits. In this case, it would be $4.7 billion - $5.3 billion, which equals -$0.6 billion. The financial account balance is the opposite of the current account balance, so it would be +$0.6 billion. Therefore, the correct answer is D) -$0.6 billion; +$0.6 billion.

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which of the following are financial motives for a firm to engage in merger activity? multiple select question. operating synergies the portfolio effect greater access to financial markets tax loss carryforwards

Answers

The direct financial motives for merger activity include all of the following EXCEPT: the portfolio effect. The correct option is B

The other options, such as the utilization of tax loss carryforwards, vertical integration, and improved financial posture and greater debt, are all considered direct financial motives for merger activity. Utilization of tax loss carryforwards allows the acquiring company to offset future taxable income, thereby reducing its tax liability.

Vertical integration refers to the combination of companies operating at different stages of a supply chain, resulting in cost savings and improved efficiency. Improved financial posture and greater debt capacity can result from a merger as the combined entity can often access better financing terms and increased borrowing capacity.

The portfolio effect, on the other hand, is not a direct financial motive for merger activity. It refers to the concept of diversifying investments in a portfolio to reduce overall risk, which is more relevant to investment strategies rather than a primary driver for mergers and acquisitions.

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Complete question:

The direct financial motives for merger activity include all of following EXCEPT

a. the utilization of tax loss carryforwards.

b. the portfolio effect.

c. vertical integration.

d. improved financial posture and greater debt.

QUESTION 6A country can stop inflation byincreasing the money supply at the same rate as the growth ofincomeFixing the exchange rate to a country with low inflation.Controllin

Answers

A country can stop inflation by increasing the money supply at the same rate as the growth of income, fixing the exchange rate to a country with low inflation, and controlling government spending through prudent fiscal policies. These strategies help maintain a stable price environment and promote sustainable economic growth.

In order to control inflation, a country can implement several measures. One approach is to increase the money supply at the same rate as the growth of income. By doing so, the central bank can maintain a balance between the amount of money circulating in the economy and the overall demand for goods and services. This helps in keeping prices stable and preventing excessive inflation.

Another method to curb inflation is fixing the exchange rate to a country with low inflation. By pegging the domestic currency to that of a stable, low-inflation country, the central bank can import the price stability of the anchor country. This strategy can help prevent domestic inflation from spiraling out of control, as fluctuations in exchange rates are minimized.

Lastly, controlling government spending and fiscal policies can also be an effective tool to stop inflation. By reducing the budget deficit and implementing responsible fiscal policies, the government can limit the money supply and indirectly control inflation. This ensures that the growth in the money supply does not outpace the growth of the economy, thereby maintaining price stability.

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