gatto, incorporated, has declared a $6.00 per share dividend. suppose capital gains are not taxed, but dividends are taxed at 20 percent. new irs regulations require that taxes be withheld at the time the dividend is paid. the company's stock sells for $94.30 per share, and the stock is about to go ex dividend. what do you think the ex-dividend price will be? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

Answer 1

According to the Gatto, incorporated, the ex - dividend price will be $ 89.50. When a company's dividend allocations have been determined, it goes ex-dividend.

What do you mean by the ex-dividend price?

A stock is referred to as being ex-dividend if it no longer carries the value of the upcoming dividend payment. The day the stock begins trading without the value of its upcoming dividend payment is known as the ex-dividend date or "ex-date."

The day on which a stock starts trading without the subsequent dividend value is known as the ex-dividend date.

Investors who bought the stock before the ex-dividend date are eligible for the upcoming dividend payment; however, investors who bought the stock on or after the ex-dividend date are not.

Here,

After-tax dividend = $6.00(1 - 0.20) = $4.80

Ex-dividend price = $94.30 - $4.80 = $89.50

Therefore, according to the Gatto, incorporated, the ex - dividend price will be $ 89.50. When a company's dividend allocations have been determined, it goes ex-dividend.

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Related Questions

true or false: leadership is a narrow term that only refers to formal positions such as ceo and cfo.

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leadership is a narrow term that only refers to formal positions such as ceo and cfo. The statement given in question is false.

Just what is leadership?

Leading a team or an organization is "the action of doing so." Leadership is simply about taking chances and questioning the existing quo, to put it simply. Others are inspired by leaders to take on new and better challenges. Curiously, leaders pursue innovation rather than doing so out of necessity. By examining the team's accomplishments and progress, they gauge success. To limit risk and produce predictable results, management, on the other hand, entails assigning duties and motivating individuals to obey the rules. Planning, organizing, leading, and controlling are the manager's four primary responsibilities.

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pauley company needs to determine a markup for a new product. pauley expects to sell 15,000 units and wants a target profit of $22 per unit. additional information is as follows:

Answers

Using the variable cost method, the markup percentage to variable cost should be 81%.

Calculation of the appropriate markup percentage for variable costs

Using this equation

[(Target Profit + Fixed Overhead + Fixed Administrative) / Total Variable Costs]

Let's enter the formula.

[($22*15,000 units)+$13,500+$21,000]/$30*15,000] is the markup percentage.

($330,000+$13,500+$21,000)/$450,000 is the markup percentage.

Markup % = $364,500 / $450,000.

Markup percent = 0.81 times 100

81 percent markup

Total Variable Cost Calculation

$19 is the variable product cost per unit.

$1 for variable administrative expense per unit.

$30 is the total variable cost.

Therefore, 81% should be utilized as the markup percentage for variable costs.

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The complete question is:

Pauley Company needs to determine a markup for a new product. Pauley expects to sell 15,000 units and wants a target profit of $22 per unit. Additional information is as follows:

Variable product cost per unit $19

Variable administrative cost per unit 11

Total fixed overhead 13,500

Total fixed administrative 21,000

Using the variable cost method, what markup percentage to variable cost should be used?

​(cost of common​ equity) falon corporation is issuing new common stock at a market price of ​$. dividends last year were ​$ and are expected to grow at an annual rate of percent forever. what is​ falon's cost of common equity​ capital?

Answers

According to the question, the falon's cost of common equity​ capital is 12.86%. It is one of the main ways that companies get the money they need to finance their operations and overall growth.

What do you mean by the equity capital?

Equity capital is the money that a business raises from its owners and other shareholders in exchange for a stake in the business. The money raised through equity financing is not subject to repayment by the corporation.

Private equity capital and public equity capital are two of the most typical ways to raise equity funds. Both involve the public and private issuance of shares.

Given,

Growth rate = 7.4%

Stock price = $ 27.32

Last year dividend = $ 1.39

Here,

Cost of Equity = Next year dividend / Stock price + Growth rate

Cost of Equity = 1.39 × (1+0.074) / 27.32 + 7.4%

Cost of Equity = 1.49286 / 27.32 + 7.4%

Cost of Equity = 5.46 % + 7.40%

Cost of Equity =  12.86%

Therefore, according  to the question, the falon's cost of common equity​ capital is 12.86%. It is one of the main ways that companies get the money they need to finance their operations and overall growth.

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when receivables are bundled and transferred to another organization that issues securities collateralized by the transferred receivables, the arrangement is defined as:

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When receivables are bundled and transferred to another organization that issues securities collateralized by the transferred receivables, the arrangement is defined as securitization.

What is Securitization?

By pooling assets, interest-bearing securities can be created by securitization. Investors that buy repackaged securities get the principle and interest payments from the underlying assets.

The securitization process starts when an issuer creates a marketable financial instrument by pooling or combining several financial assets, such several mortgages, into one entity. Investors are subsequently sold by the issuer this collection of bundled assets. The market is made more liquid by the options securitization provides for investors and the capital it frees up for originators.

Theoretically, every financial asset may be securitized, or transformed into a tradable, fungible thing with monetary worth. Everything that is a security is, in essence, this.

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question 36 neva is a partner in orchard farm. neva gives notice to quit the firm, which otherwise continues to do business. this is a. dissociation. b. dissolution. c. unethical. d. illegal.

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Neva is a partner in the orchard farm. neva gives the notice to quit the firm, which otherwise continues to do business. This is dissociation.

Dissociation" usually refers to a member's decision to leave a limited liability company(LLC) but it can also happen when the other members decide to kick out a specific member. An LLC member may freely terminate their membership at any time. The withdrawal will be a valid dissociation as long as the operating agreement does not forbid withdrawal. If there is a limitation on withdrawal, a member may still withdraw; however, as specified in the operating agreement, the other members may take certain steps against the departing member.

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an investor purchases a long call at a price of $2.80. the strike price at expiration is $41. if the current stock price is $41.10, what is the break-even point for the investor? (do not round intermediate calculations. round your final answer to 2 decimal places.)

Answers

The Break-even point for the investor will be equal to $43.80.

The call option allows the entity to buy any stock while the put option allows any entity to sell any stock. The Break even points for both the call and put options are different. If we need to find the Break even point for the call option then the price of the call is added to the strike price and when we need to find the Break even point for put option then the price of the call is subtracted from the strike price. According to the question it is the call option and

Price of call = $2.80

Strike price = $41

Break even point = Price of call + Strike price

Break even point = $2.80 + $41

Break even point = $43.80

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what is the goal of organizational design? multiple choice question. to reduce competitive advantage with other firms to ensure that each employee is placed on a specific level within the firm's hierarchy to enable managers to translate their chosen strategy into a realized one to eliminate confusion about which job covers particular tasks

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The organization's design goal is to help managers to translate their selected strategy into a realized one.

What is organizational design?

Organizational design is a step-by-step approach for identifying dysfunctional components of work flow, procedures, structures, and systems, realigning them to current business realities/goals, and developing strategies to implement the new changes. The approach focuses on both the technological and human aspects of the business. For the majority of businesses, the design process results in a more effective organisational design, considerably enhanced results (profitability, customer service, internal operations), and empowered and committed personnel. The design process is distinguished by a comprehensive and holistic approach to organizational improvement that encompasses all aspects of organizational life.

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a study of adults with a diagnosis on the autism spectrum looked at their abilities to anticipate the actions a character would take when they had a false belief. which of the following statements about the results of this study is true?

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Autistic disorder, pervasive developmental disorder not otherwise specified (PDD-NOS), and Asperger syndrome are now all included in an ASD diagnosis in addition to numerous other conditions that were formerly diagnosed individually. You can understand and navigate the diagnostic process with the aid of your doctor or another healthcare professional.

Asperger syndrome (AS), commonly referred to as Asperger's, is a former neurodevelopmental condition marked by substantial challenges in social interaction and nonverbal communication, as well as constrained and repetitive patterns of behaviour and interests. Since the syndrome was combined with other disorders to become autism spectrum disorder, it is no longer recognized as a separate diagnosis (ASD). It was believed that its largely unimpaired spoken language and IQ set it apart from other diagnoses that were combined into ASD. Hans Asperger, an Austrian pediatrician, reported youngsters in his care in 1944 who had trouble making friends, did not comprehend others' gestures or sentiments, engaged in one-sided conversations about their favourite topics, and were clumsy. These characteristics led to the syndrome's naming.When the fifth edition of the American Diagnostic and Statistical Manual of Mental Disorders (DSM-5) was released in 2013, the diagnosis of Asperger's was eliminated, and the symptoms are now categorized under autism spectrum disorder alongside classic autism and pervasive developmental disorder not otherwise specified (PDD-NOS). In the International Classification of Diseases (ICD-11), it was similarly combined with autism spectrum disease as of 2021.

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true or false: one indicator of an effective team is the ability to change and adapt to different situations.

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The given statement is true because one indicator of an effective team is the ability to change and adapt to different situations.

People that are rigid or inflexible struggle to adapt to novel circumstances. Employees with these qualities may come across as uninterested or uncommitted. They might be reluctant to take risks, worry that they won't succeed, push back against adjustments that might make their working lives better, and exhibit a refusal to grow from their failures. They frequently struggle to hear and take feedback into account.

Even in leaders, a lack of adaptation can be disastrous. Leaders must be able to analyze their team's processes and recognize any modifications that may be required for success in the future.

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exercise 21.8 (static) sunk costs: scrap or rework decision (lo21-1, lo21-2, lo21-3, lo21-4) road master shocks has 15,000 units of a defective product on hand that cost $80,000 to manufacture. the company can either sell this product as scrap for $6 per unit or it can sell the product for $9 per unit by reworking the units and correcting the defects at a cost of $40,000. prepare a schedule to show the effect of selling the defective units as scrap or rework.

Answers

5,000 is the correct answer, the net benefit of selling the reworked units.

Scrap value (15,000*6)  = 90,000

Net proceeds from sale of reworked units (15,000*9) - 40,000 = 95,000

Net benefit of selling the reworked units  5,000

An unrecoverable expense that has already been made is referred to as a sunk cost. Sunk costs, for instance, might include the price of machinery and equipment as well as the cost of the factory's lease for a manufacturing company. Sunk costs are not considered in a sell-or-process-further decision, which is a decision.

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coach dan gets paid $15 for each basketball practice session that he runs. if this equation represents the amount of money that he has in his bank account (t) and the number of practices (p): t

Answers

Answer:

f

Explanation:

In the short run, assume diminishing marginal product of labor sets in with the hiring of the second worker.Which of the following will remain constant as a firm produces more output?A. Average product of laborB. Total costC. Total fixed costD Total variable costE. Marginal cost

Answers

Option c is correct. The following that will remain constant as a firm produces more output is total fixed cost.

According to the theory of declining marginal productivity, productivity will eventually decline if some inputs—variable inputs—are increased during the production phase while other inputs—fixed inputs—remain constant.

Assume that in the short term, the addition of the second employee will result in a declining marginal product of labor while the fixed cost stays the same.

As a result, choice C is accurate.

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in our lecture, the professor used coca-cola, airline tickets, and amazon purchases as examples of what type of pricing strategy?

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Pricing strategies are the procedures and methods that companies employ to determine the costs of their goods and services.

Which four price schemes are there?

Depending on the sector and type of business, value-based, competition-based, cost-plus, and dynamic pricing are all regularly employed approaches.

Which pricing technique is employed when a business wants to match the prices of its rivals?

1. A pricing strategy based on competition. Competitive pricing or competitor-based pricing are other names for competition-based pricing. This pricing strategy does not take into account the cost of the product or consumer demand; instead, it concentrates on the current market rate (or going rate) for a company's good or service.

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the government regulates monopolies because part 2 a. monopolies price their output above the marginal cost of production. b. monopolies produce less than the socially desirable level of output. c. monopolies generate inefficiency by creating a misallocation of resources. d. all of the above.

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The government regulates monopolies because monopolies produce less than the socially desirable level of output, monopolies price their output above the marginal cost of production, monopolies generate inefficiency by creating a misallocation of resources. (All of the above.)

Why does the government regulate natural monopolies?

First of all, there is a good reason why natural monopolies are regulated by the government. Because the electric company has a monopoly, consumers are unresponsive to price changes; if a company doubled the price of electricity, people would have to pay it because they have no one else to buy it from.

What does governmental regulation serve to achieve?

Government laws play a significant part in ensuring a secure, equitable economy for consumers and small businesses alike, protecting them from being drained by powerful corporations and unfair business practices.

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there is a new seller-carry loan with a closing august 20 and the first payment due october 1. how is the interest adjustment calculated?

Answers

September is covered by the October payment, but interest is payable from August 20 through August 31 (31 - 19 = 12).

Where on the settlement statement does the buyer's new loan appear?

Where on the settlement statement does the buyer's new loan appear? Buyer with credit—The buyer's debit column contains all of the costs owed to him or her, while the buyer's credit column outlines the buyer's payment plan. The loan is a source of funds rather than a charge, making it a credit to the buyer.

How do you figure out how much money to bring to the closing?

The exact amount a buyer is required to pay at closing is determined by deducting the buyer's total credits (such as prepaid earnest money or the remaining amount of a loan that was preapproved for).The buyer will believe that the seller is from the total debits of the buyer.

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the projected benefit obligation was $80 million at the beginning of the year. service cost for the year was $10 million. at the end of the year, pension benefits paid by the trustee were $6 million and there were no pension-related other comprehensive income accounts. the actuary’s discount rate was 5%. what was the amount of the projected benefit obligation at year-end?

Answers

Initially in the year, the anticipated benefit obligation was $80 million. $10 million was spent on services throughout the year.

How do you determine your estimated benefit obligation at year's end?

The Process for Calculating Projected Benefit Obligation

On the balance sheet of the company, you can see how financed the pension plan is.

The assets of the pension plan should be valued fairly.

To calculate the projected benefit obligation, deduct the funded status of the pension plan from the fair market value of the assets in the pension plan.

How is PBO calculated at the end of the year?

Benefits from earlier years (1 plus the discount date) divided by PBO at the start of the year.

decades until retiring

Opening obligation is equal to benefits accrued in preceding years plus the discount rate.

decades until retiring

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hermosa vista company issued $290,000 5-year, 5.75% bonds and received $296,235 in cash. the market rate of interest when the bonds were issued was 5.25%. what is the amount of interest expense to be recorded for the first annual interest period if the company uses simplified effective-interest amortization?

Answers

The amount of interest expense Hermosa Vista Company should record for the first annual interest period if the company uses simplified effective-interest amortization is $15,552.

How is the interest expense determined?

Since the bonds were issued at a premium, under the effective-interest amortization method, the interest expense is the difference between the cash (coupon) payment and the premium amortization.

Another way of computing the interest expense for bonds issued at a premium is to apply the effective market rate to the bonds payable balance.

Face value of bond = $290,000

Sales proceeds = $296,235

Bond premium = $6,235

Coupon interest rate = 5.75%

Market interest rate = 5.25%

Maturity period = 5 years

First coupon payment = $16,675 ($290,000 x 5.75%)

Interest Expense = $15,552 ($296,235 x 5.25%)

Bond premium amortization = $1,123

Bond Payable end-of-the-year balance = $295,112 ($296,235 - $1,123)

Transaction Analysis for Interest Expense:

Interest Expense $15,552 Premium amortization $1,123 Cash $16,675

Thus, Hermosa will debit Interest Expense for $15,552, Premium Amortization for $1,123, and credit Cash for $16,675.

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wright market research is able to borrow money at a rate of 6.8 percent per year. this interest rate is called the:

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Wright market researchcano borrows money at a rate of 6.8 percent per year. this interest rate is called the Compound rate.

What is the Compound rate?

The compound rate is estimated by summing the annual interest rate increased towards the number of compounded periods and subtracting one after multiplying the initial principal amount by one. The resulting value is subsequently deducted from the loan's entire original amount. P stands for principal, I stands for interest rate, and n stands for compounding periods.

To compute the compound rate multiply the principle of the original loan by the annualized rate multiplied by the number of consecutive compound periods less one. You will then be left with the principal amount of the loan plus compound interest.

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this type of assumption/principle requires a business to disclose all information about the business that is important for a lender or investor to know in financial statements or in the financial statement notes.

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Full disclosure principle requires a business to disclose all information about the business that is important for a lender or investor to know in financial statements of in the financial statement notes.

Full Disclosure Principle is one of Accounting Principles and states that a business has to includes all relevant and necessary information for the understanding of a company's financial statements in public company fillings.

Full disclosure principle ensures that the readers and users of a business' financial information will not be mislead by any lack of information. This principle also ensures stakeholders, creditors and investors to be aware of the any relevant information and are fully informed about the company when making business decisions related to the company.

In accounting, full disclosure principle is a part of GAAP or Ganerally Accepted Accounting Principles. The key components of GAAP are

Principle of regularityPrinciple of consistencyPrinciple of sincerityPrinciple of permanence of methodsPrinciple of non-compensationPrinciple of prudencePrinciple of continuityPrinciple of periodicityPrinciple of materiality or full disclosurePrinciple of good faith

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what are the estimated percentages of innovation and diffusion responsible for bringing cultural items to a society?

Answers

Cultural diffusion refers to the process by which various aspects of one culture are incorporated into other cultures. The widespread use of cell phones is an illustration of cultural dissemination.

What are the differences between invention and discovery as catalysts for cultural change?

Technology is the foundation of invention, while culture is typically the foundation of discovery. While creation involves putting things together in novel ways, discovery entails discovering something that already exists. While discovery, like the principles of physics, can be both theoretical and tangible, invention pertains to material culture.

What is the effect of cultural dispersion on society?

Cultural fusion and mutual understanding are made possible through cultural dispersion. This merging of cultures has both advantages and disadvantages. A few of the advantages are,

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as someone interviewing for a project management role, you ask questions about sick days and vacation, working from home, and if the company supports employees sharing their identity in the workplace. which part of a company’s culture do these questions help you learn more about?

Answers

The part of a Company's culture that the question is teaching us is (b) Policies.

What is a company policy?

A company policy is a set of guidelines and rules that employers can use to formalize their expectations and standards for the "health and safety of employees, accountability, best practices, and internal business procedures".

What are the 4 elements that go into making a policy?A description of what the organization wants to accomplish for its customers. Supporting beliefs, values, and philosophies. Broad service goals that outline the areas of focus for the organization. Methods for achieving each goal.

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The following data relate to direct materials costs for February:Materials cost per yard: standard, $1.91; actual, $2.04Yards per unit: standard, 4.62 yards; actual, 4.98 yardsUnits of production: 9,000The direct materials quantity variance isa.$6,188.40 favorableb.$6,188.40 unfavorablec.$6,609.60 favorabled.$6,609.60 unfavorable

Answers

The following data relate to direct materials costs for February: Materials cost per yard: standard, $1.91; actual, $2.04Yards per unit.

Direct material costs that are readily identifiable by production unit. For example, the cost of glass is a direct material cost in manufacturing a light bulb. Materials are the most important factor in the manufacture of products and goods.

Material cost is the cost of materials used to manufacture a product or provide a service. All indirect materials such as B. Cleaning agents used in the manufacturing process.

Direct material costs are the costs of raw materials or parts used directly in the manufacture of a product. For example, if Company A is a manufacturer of toys, an example of a direct material cost would be the plastics used to make the toys.

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The offices and committee hearing spaces for texas legislators is best described as.

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The offices and committee hearing spaces for Texas legislators is best described as excellent.

What is Texas legislators?

The state legislature of the US state of Texas is called the Texas Legislature. It is a bicameral body with a 150-member House of Representatives and a 31-member Senate. At the Capitol in Austin, the Texas legislature convenes. In addition to its strong constitutional ties to the Lieutenant Governor of Texas and its influence over and direction of state government's actions, it is a potent branch of Texas government thanks to the state's plural executive.

Since Texas's admission to the Union in 1845, the Legislature has been the Republic of Texas's legally recognized successor to the Congress. The first regular session of the legislature took place from February 16 to May 13, 1846.

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According to the ______________________, debt collectors are not allowed to use their positions to collect a debt using any manner of work performance that is found to be abusive, deceptive, or unethical

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Fair Debt Collection Practices Act (FDCPA)  Debt collectors are not allowed to use their positions to collect a debt using any manner of work performance that is found to be abusive, deceptive, or unethical.

FDCPA (Fair Debt Collection Practices Act):

The Fair Debt Collection Practices Act is a federal law passed in 1977 to protect consumer rights from abusive, unfair, or deceptive debt collection practices.

The fair debt collection practices act prohibits abusive, unfair, or deceptive debt collection practices.

This act imposes certain restrictions on debt collectors, including the following:

They are unable to contact you at an inconvenient time or location.They cannot harass or threaten you over the phone or in person.In case you have an attorney, then they must contact your attorney

Fair debt collection practices act covers the debts such as mortgages , medical debts, credit cards etc

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___________ is the stage of new product development that involves promoting the product to distributors and developing advertising and sales campaigns to generate and maintain consumer interest in the product.
Commercialization

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Commercialization is the stage of new product development that involves promoting the product to distributors and developing advertising and sales campaigns to generate and maintain consumer interest in the product.

In the field of business, commercialization can be described as a process by which new products are brought into the market and promoted.

Through commercialization, efforts are made to promote the product to distributors so that the product can be sold via the distributors.

Methods such as advertising are a part of commercialization as they play an active part in promoting the product.

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in this decision point activity, you explored how our differences lead us to be better suited for certain tasks and how those differences, if used to our advantage, can cause us all to be better off. now, you will see how these same ideas can be applied not just to individuals, but also to economies as a whole. the supply of labor in china is much higher than the supply of labor in the u.s. which has resulted in much cheaper wages for the average chinese worker compared to the average u.s. worker. additionally, the u.s. labor force tends to be trained for higher skilled, more specialized tasks. using this information and what you leaned in this decision point, complete the following statement. given that china and the united states are large international trading partners, the manufacturing industry in china is likely the manufacturing industry in the united states since chinese companies have a opportunity cost and a advantage in manufacturing compared to american companies.

Answers

Complete statement Given that China and the United States are large international trading partners.

The manufacturing industry in China is likely larger than the manufacturing industry in the United States since Chinese companies have a lower opportunity cost and a comparative advantage in manufacturing compared to American companies.

China having a labor-intensive economy has a larger manufacturing industry overall than any other country in the world. So naturally, its opportunity cost is low in this aspect which gives them the comparative advantage in producing more. China's population and large labor force give them an edge over others in the united states since Chinese companies have an opportunity cost.

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after the firm has piques the interest of its target market, the goal of subsequent IMC messages should move the consumers from "i like it" to "i want it"
desire

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Desire is when the firm has piques the interest of its target market, the goal of subsequent IMC messages should move the consumers from "i like it" to "i want it"

The particular demographic you want to reach with your marketing message is known as a target market. They are the people who are most likely to purchase your goods or services, and they share some traits like behaviors and demographics.

It's important to make a clear distinction between target markets and target audiences because they connect to different people and can easily be mistaken with one another.

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jane is considering investing in three different stocks or creating three distinct twostock portfolios. jane considers herself to be a rather conservative investor. she is able to obtain forecasted returns for the three securities for the years 2015 through 2021. the data are given in the following table

Answers

Expected return of stock A = (0.1+0.13+0.15+0.14+0.16+0.14+0.12)/7 = 0.1343

The expected return of stock B = 0.1157

The expected return of stock C = 0.1071.

The expected rate of return is the amount of profit or loss an investor can expect on an investment. The expected rate of return is calculated by multiplying the potential outcomes by the probabilities of them occurring and then summing those outcomes. Expected returns cannot be guaranteed.

Investment markets are so volatile that the expected return is just one of many possible returns. Since the investment's past performance is taken into account, the expected return can be calculated as a weighted average result. Multiply each asset's expected rate of return by the weight of that asset as part of the portfolio. Divide the expected dividend by the current stock price.

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when corporations account for their taxes, they estimate their taxes quarterly and accrue them for payment. in such a transaction, the account income tax expense receives

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Then they accrue their taxes for payment and estimate them quarterly. As a result of such a transaction, the account's income tax expenditure is . A debit

Tax expenditures are specialized parts of the tax system, such exclusions, deductions, deferrals, credits, and tax rates, that benefit certain activities or categories of taxpayers. For instance, state and local taxes, mortgage interest costs, and individual itemized deductions for charitable contributions are all tax expenditures. According to the rules of the Income-Tax Act, 1961 (the "Act"), it is a well-established legal concept that the income tax that a taxpayer pays on its income is not permitted as a deductible expense.

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contests addie is entering a contest in which she needs to make a piece of clothing entirely out of duct tape. if her budget for tape is $100 and each roll costs $2.50 after sales tax, how many rolls of tape can addie buy?

Answers

If contests addie is entering a contest in which she needs to make a piece of clothing entirely out of duct tape. if her budget for tape is $100 and each roll costs $2.50 after sales tax. The number of  rolls of tape that addie can buy is 40.

How to find the number of rolls of tape?

Using this formula to find the number of rolls of tape

Number of rolls of tape = Budget for Tape / Roll costs after sales tax

Where:

Budget for Tape = $100

Roll costs after sales tax = $2.50

Let plug in the formula

Number of rolls of tape = $100 / $2.50

Number of rolls of tape = 40 rolls

Therefore the Number of rolls of tape  is 40 rolls.

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