Suppose you purchased a stock a year ago. Today, you receive a dividend of $18 and you sell the stock for $97. If your return was 10%, at what price did you buy the stock

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Answer 1

You purchased the stock for $790.  ROI is calculated by dividing the profit or gain from an investment by the initial investment, and then expressing it as a percentage.

To calculate the purchase price of the stock, we can use the formula for return on investment (ROI).
In this case, the ROI is given as 10%, and the profit includes both the dividend received ($18) and the selling price of the stock ($97).
To calculate the initial investment, we need to subtract the profit from the selling price: $97 - $18 = $79.

Now, we can set up the ROI equation:
ROI = (Profit / Initial Investment) * 100
10% = ($79 / Initial Investment) * 100
To find the initial investment, we can rearrange the equation:
Initial Investment = ($79 / 10%) * 100
Initial Investment = $790


Therefore, you purchased the stock for $790.

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Related Questions

In general, the majority of a project’s time and budget is spent on project ____.

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In general, the majority of a project's time and budget is spent on project tasks and activities.

Project tasks and activities include:

1. Planning: Planning involves defining the project scope, objectives, and deliverables, as well as creating a detailed project plan that outlines the tasks, timelines, and resources required.

2. Execution: This is where the actual work is carried out, and a considerable amount of time and resources are allocated to completing the tasks outlined in the project plan.


3. Monitoring and Control: It is important to monitor progress, track performance, and make adjustments as necessary. This includes regularly reviewing the project's budget, schedule, and quality to ensure that it stays on track and meets the desired objectives.

4. Communication and Collaboration: It is essential to maintain open lines of communication among team members, stakeholders, and project managers. This includes conducting meetings, providing updates, sharing information, and resolving any issues or conflicts that may arise during the project.

5. Risk Management: Time and resources are dedicated to identifying potential risks, assessing their impact, and developing strategies to mitigate or respond to them. This may involve conducting risk assessments, implementing risk mitigation plans, and monitoring risks throughout the project.


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The difference between the maximum price a consumer is willing to pay for a product and the actual price that they do pay is known as _____.

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The difference between the maximum price a consumer is willing to pay for a product and the actual price that they do pay is known as Consumer surplus.

Consumer surplus is the difference between the maximum price a consumer is willing to pay for a product and the actual price they pay. It represents the economic benefit or value that consumers receive from purchasing a product at a price lower than what they were willing to pay.

To calculate consumer surplus, you need to know the consumer's willingness to pay (WTP) and the actual price they pay (P). The formula for consumer surplus is:

Consumer Surplus = WTP - P

For example, let's say a consumer is willing to pay $50 for a product, but they purchase it for $30. The consumer surplus would be:

Consumer Surplus = $50 - $30 = $20

In this case, the consumer surplus is $20, which represents the additional value the consumer gained from purchasing the product at a price lower than their maximum willingness to pay.

The difference between the maximum price a consumer is willing to pay for a product and the actual price they pay is known as consumer surplus. It quantifies the economic benefit or value that consumers receive when they can purchase a product at a price lower than their maximum willingness to pay.

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If a price index is 45 in 1998 and in 1999, the rate of inflation between the two years is?

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If the price index is the same in both 1998 and 1999, the rate of inflation between the two years would be 0%. This means that there is no change in the overall price level between the two years.

To calculate the rate of inflation, we compare the price index in two different years. The price index measures the average price level of goods and services in a specific time period compared to a base period. If the price index is the same in both years, it means that the average price level has not changed.

For example, if the price index is 45 in 1998 and also 45 in 1999, it indicates that the average price level in both years is the same. Therefore, the rate of inflation between the two years is 0%, as there is no increase or decrease in prices.In summary, if the price index remains constant between two years, the rate of inflation is 0%, indicating no change in the overall price level.

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__________ gives employees the integrity to blow the whistle on persistent unethical behavior in a company.

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The term that gives employees the integrity to blow the whistle on persistent unethical behavior in a company is known as "whistleblowing." Whistleblowing is the act of a person reporting any illegal, dishonest, or inappropriate activities in the workplace to someone who has the power to take action.

It is a critical component of ethical behavior in the workplace, which allows employees to report misconduct without fear of retaliation. A whistle-blower is an employee who speaks out against workplace misconduct, corruption, or illegal activity. The act of whistleblowing helps to prevent further wrongdoing and promotes accountability in organizations, ensuring that businesses operate ethically and transparently.

A whistle-blower is an employee who speaks out against workplace misconduct, corruption, or illegal activity. The act of whistleblowing helps to prevent further wrongdoing and promotes accountability in organizations, ensuring that businesses operate ethically and transparently. In summary, whistleblowing is an essential aspect of promoting an ethical and transparent work environment, giving employees the courage to report any illegal or unethical activities they witness in the workplace.

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Kim placed an order with her broker for 550 shares of each of three ipos being offered this week. each of the ipos has an offer price of $27. the number of shares allocated to kim along with the closing prices on the first trading day are: stock shares allocated price a 550 $ 26.15 b 400 30.43 c 320 33.43 what is kim's total profit on these three stocks at the end of the first day of trading?

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Kim's total profit on these three stocks at the end of the first day of trading was -$347. This means that Kim lost money on her investment.

At the end of the first trading day, Kim's total profit on these three equities can be calculated as follows:

1. The total cost of the shares that Kim purchased. Kim purchased 550 shares of each of the three IPOs, so the total number of shares she purchased [tex]\displaystyle{\displaylines{550 * 3 = 1650}}[/tex].

The offer price for each share was $27, so the total cost of the shares is [tex]\displaystyle{\displaylines{1650 * $27 = $44,550}}[/tex]

2. The total revenue from selling the shares.

Kim sold

320 shares of stock C, a closing price of $33.43,

550 shares of stock A, a closing price of $26.15,

400 shares of stock B, a closing price of $30.43,

550 shares of stock B, the closing price of $30.15.

The total revenue from selling the shares is

[tex]\displaystyle{\displaylines{550 * $26.15 + 400 * $30.43 + 320 * $33.43 = $44,203.}}[/tex]

3. Subtracting the total cost from the total revenue finds the total profit.

The total profit is -

[tex]\displaystyle{\displaylines{$44,203 - $44,550 = -$347.}}[/tex]

Therefore, Kim's total profit on these three stocks at the end of the first day of trading was -$347. This means that Kim lost money on her investment.

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The need for increased amounts of a substance to achieve the desired effect, and the diminished effect with continued use of the same amount, is referred to as

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In business, the phenomenon of requiring higher quantities of a substance to achieve the desired effect, and experiencing reduced effectiveness with continued use of the same amount, is commonly referred to as diminishing returns.

Diminishing returns occur when the incremental benefits obtained from an additional unit of input decline as more of that input is used. This concept is often associated with factors of production, such as labor or capital, but it can also apply to substances or resources used in business operations.

For example, let's consider a manufacturing company that uses a certain chemical in its production process. Initially, adding a small quantity of the chemical enhances the production output.

However, as the company continues to increase the amount of the chemical, the incremental increase in output diminishes. Eventually, adding more of the chemical may even lead to a decline in production or negative effects.

Understanding the principle of diminishing returns is crucial for businesses to optimize resource allocation and make informed decisions.

By recognizing the point at which the marginal benefits start to diminish, businesses can avoid overinvestment in resources and ensure more efficient utilization, ultimately maximizing productivity and profitability.

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What is the difference between an unadjusted, adjusted and post-closing trial balance?

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The main difference between an unadjusted, adjusted, and post-closing trial balance lies in the timing and purpose of each type of trial balance.

The unadjusted trial balance is prepared at the beginning of the accounting period to check the initial accuracy of the records. The adjusted trial balance is prepared after adjusting entries to ensure the accuracy of the financial statements. Unadjusted Trial Balance:
- An unadjusted trial balance is prepared at the beginning of the accounting period.
- It lists all the accounts with their respective balances before any adjustments have been made.
- The purpose of the unadjusted trial balance is to ensure that the total debits equal the total credits, thereby ensuring the accuracy of the initial accounting records.
Adjusted Trial Balance:
- An adjusted trial balance is prepared after all necessary adjusting entries have been made at the end of the accounting period.
- Adjusting entries are made to record accrued revenues, accrued expenses, deferred revenues, and deferred expenses, among other things.
- The adjusted trial balance reflects the effects of these adjustments on the account balances.
- The purpose of the adjusted trial balance is to ensure that the financial statements prepared from these balances are accurate.

Post-Closing Trial Balance:
- A post-closing trial balance is prepared after the closing entries have been made at the end of the accounting period.
- Closing entries are made to transfer the balances of temporary accounts (revenue, expense, and dividend accounts) to the retained earnings account.
- The post-closing trial balance includes only the permanent accounts, which are not closed at the end of the accounting period.
- The purpose of the post-closing trial balance is to ensure that the closing entries have been properly recorded and that the books are ready for the next accounting period.

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A logically cohesive module is one, where the activities to be executed are chosen from within the module itself. State true or false.

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It is true that a module is logically cohesive when the activities within it are chosen from within the module itself.

Logically cohesive modules are designed to perform a specific set of closely related tasks or activities. The concept of cohesion in software engineering refers to the degree of relatedness or interdependence among the elements within a module. In the case of a logically cohesive module, the activities or operations to be executed are self-contained within the module. This means that the module has control over its own operations and does not rely on external factors or dependencies to determine the activities it should perform. The goal of achieving logical cohesion is to create modular structures that are self-sufficient and have a clear and well-defined purpose. By encapsulating related activities within a module, it becomes easier to understand, test, and maintain the code, leading to better overall software quality and maintainability.

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A basic assumption of accounting that requires activities of an entity be kept separate from the activities of its owner is referred to as the a. stand-alone concept. b. monetary unit assumption. c. corporate form of ownership. d. separate entity assumption.

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d). separate entity assumption. The separate entity assumption is a basic assumption of accounting that requires the activities of an entity to be kept separate from the activities of its owner. This means that a business is considered as a separate entity from its owner(s), and its financial transactions and records should be maintained independently.


For example, let's say you own a small business. According to the separate entity assumption, you need to keep your personal transactions separate from your business transactions. This means that you should have separate bank accounts, financial statements, and records for your personal finances and your business finances. By doing so, you can accurately determine the financial health and performance of your business without any confusion or mixing of personal and business activities.


In summary, the separate entity assumption in accounting requires the activities of an entity to be kept separate from the activities of its owner. This helps maintain the integrity and reliability of financial information, allowing for accurate analysis and evaluation of a business's financial performance.

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Which of the following is NOT an element of the market demand curve for pizza? Select one: a. The price of pizza b. The price of a complementary good c. Income d. Expectations e. The price of flour

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The market demand curve for pizza is determined by factors such as the price of pizza, the price of a complementary good, income, and expectations.

The price of pizza directly affects the quantity demanded, following the law of demand. As the price of pizza increases, the quantity demanded decreases, and vice versa. The price of a complementary good, such as soda or garlic bread, also influences the demand for pizza. If the price of a complementary good decreases, the demand for pizza may increase. Income is another factor that affects the demand for pizza.

As income increases, individuals have more purchasing power, which may lead to an increase in the demand for pizza. Lastly, expectations regarding future prices, income, or any other relevant factor can also impact the market demand curve for pizza.

However, the price of flour is not directly related to the market demand curve for pizza.

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Five years ago, an investor purchased an ABC Corporation BBB-rated debenture with a coupon of 6% maturing in 2037. Currently, new BBB-rated debentures maturing in 2037 are being issued with coupons of 7%. Based on the discounted cash flow method, one could say that the present value of the investor's security is:

A. equal to the par value

B. less than par value

C. more than par value

D. negative

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The present value of the investor's BBB-rated debenture with a coupon of 6% maturing in 2037 would be less than its par value due to new debentures with higher coupon rates being issued. Here option B is the correct answer.

The investor purchased a BBB-rated debenture from ABC Corporation five years ago with a coupon of 6% maturing in 2037. Currently, new BBB-rated debentures maturing in 2037 are being issued with coupons of 7%. To determine the present value of the investor's security using the discounted cash flow (DCF) method, we need to consider the cash flows from the debenture and the appropriate discount rate.

The present value of the investor's security can be calculated by discounting the future cash flows (coupon payments and the final principal payment at maturity) at an appropriate discount rate. The discount rate is typically determined by the risk associated with the investment.

Since new BBB-rated debentures maturing in 2037 are currently being issued with a coupon of 7%, it suggests that the market's required rate of return for similar investments has increased. As a result, the investor's existing debenture with a coupon rate of 6% is less attractive compared to the new issuances.

When the market's required rate of return increases, the present value of future cash flows decreases. Therefore, using the DCF method, the present value of the investor's security would be less than its par value. This means that option B, "less than par value," is the correct answer.

In summary, based on the discounted cash flow method, the present value of the investor's BBB-rated debenture with a coupon of 6% maturing in 2037 would be less than its par value because new BBB-rated debentures with higher coupon rates are currently being issued in the market. Therefore option B is the correct answer.

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You must ask the user for the number of candidates and then create the appropriate arrays to hold the data

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To create the appropriate arrays to hold the data for the number of candidates specified by the user, follow these steps:

1. Ask the user for the number of candidates.
2. Store the user's input in a variable, let's call it "numCandidates".
3. Create two arrays: one for the candidate names and one for their corresponding data.
4. Initialize an empty array for candidate names, let's call it "candidateNames".
5. Initialize an empty array for the candidate data, let's call it "candidateData".
6. Use a loop to prompt the user for the name and data of each candidate, repeating "numCandidates" times.
7. Inside the loop, ask the user for the name of the candidate and store it in a variable, let's call it "name".
8. Add the "name" to the "candidateNames" array using the appropriate method (e.g., push, append).
9. Ask the user for the data of the candidate and store it in a variable, let's call it "data".
10. Add the "data" to the "candidateData" array using the appropriate method.
11. Repeat steps 7-10 for each candidate.
12. Once the loop is finished, you will have the candidate names and their corresponding data stored in separate arrays.

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Explain how a flight manager at quantas airline could use concurrent control to manage workers during an international flight from melbourne to singapore.

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The flight manager at Qantas Airlines can use concurrent control to manage workers during the Melbourne to Singapore flight by implementing real-time monitoring and immediate corrective actions.

Concurrent control involves monitoring and adjusting activities as they happen. The flight manager can utilize real-time monitoring systems, such as communication devices or flight operation software, to track various aspects of the flight, including crew performance and customer service. If any issues or deviations from standard procedures arise, the manager can take immediate corrective actions, such as providing guidance, reassigning tasks, or addressing customer concerns promptly. This proactive approach helps ensure smooth operations, maintain service quality, and address any potential problems in real-time, enhancing efficiency and customer satisfaction during the international flight.

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In the systems theory, understanding _________________ helps a manager know which sets of circumstanes dictate which management actions.

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In the systems theory, understanding the interdependencies and interactions among system components helps a manager know which sets of circumstances dictate which management actions.

Systems theory is a conceptual framework that views organizations as complex systems consisting of interrelated and interdependent components. In this context, understanding the interdependencies and interactions among these system components is crucial for a manager to determine which sets of circumstances dictate appropriate management actions.

Systems theory emphasizes that the behavior and performance of a system are influenced by the relationships and feedback loops between its elements. By comprehending these relationships, managers can identify the cause-and-effect relationships within the system and understand how changes in one component may impact other parts of the system.

By grasping the dynamics and interdependencies within the system, managers can make informed decisions about how to respond to specific circumstances and manage the system effectively. They can anticipate potential consequences, identify leverage points for intervention, and design appropriate strategies that consider the interconnectedness and interdependencies of the organization's components.

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How can detailed targets, calculations, and monitoring of sustainability efforts contribute to effective management?

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Detailed targets, calculations, and monitoring of sustainability efforts contribute to effective management by providing clear objectives, enabling accurate measurement of progress.

Identifying areas for improvement, and facilitating informed decision-making towards sustainable practices and resource optimization.

By establishing specific targets, organizations can set measurable goals that align with their sustainability objectives. Detailed calculations help quantify the impact of various actions, such as energy consumption, waste generation, or carbon emissions. Regular monitoring allows for real-time tracking of performance against these targets, enabling timely interventions and corrective measures. This data-driven approach enhances transparency, accountability, and communication among stakeholders. Additionally, detailed monitoring helps identify inefficiencies, bottlenecks, and opportunities for innovation and optimization. It enables organizations to pinpoint areas with the highest potential for improvement, allocate resources effectively, and prioritize actions for maximum impact. Furthermore, it facilitates evidence-based decision-making by providing reliable data on the effectiveness of sustainability initiatives and their alignment with broader business strategies. In summary, detailed targets, calculations, and monitoring of sustainability efforts empower organizations to drive effective management by fostering goal-oriented actions, facilitating continuous improvement, and enabling informed decision-making for a more sustainable future.

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You are looking to purchase Company A. Your projections for the EBITDA of Company A are as follows: Year 1 Year 2 Year 3 Year 4 Year 5 EBITDA $2.0 $3.0 $3.5 $4.0 $5.0 Your cost of capital is 20%. Your investment banker shows you the EBITDA multiples for the following comparable companies: Company x 5.0x Company y 5.50x Company z 6.0x Given the above information what is the price that you would like to offer to Company A shareholders?

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You should offer Company A shareholders a price of approximately $57.70 million.

To determine the price that you would like to offer to Company A shareholders, you need to calculate the enterprise value (EV) of Company A. The EV is calculated by multiplying the projected EBITDA by the EBITDA multiple.

First, let's calculate the EV for each year:

Year 1: EV = $2.0 million x 5.0x = $10 million
Year 2: EV = $3.0 million x 5.0x = $15 million
Year 3: EV = $3.5 million x 5.5x = $19.25 million
Year 4: EV = $4.0 million x 5.5x = $22 million
Year 5: EV = $5.0 million x 6.0x = $30 million

Next, we need to discount the EV back to the present value using the cost of capital (20%). The formula to calculate the present value is:

PV = EV / (1 + Cost of Capital)^n

Where n is the number of years in the future.

Using this formula, we can calculate the present value of each year's EV:

Year 1: PV = $10 million / (1 + 0.20)^1 = $8.33 million
Year 2: PV = $15 million / (1 + 0.20)^2 = $10.71 million
Year 3: PV = $19.25 million / (1 + 0.20)^3 = $11.81 million
Year 4: PV = $22 million / (1 + 0.20)^4 = $12.76 million
Year 5: PV = $30 million / (1 + 0.20)^5 = $14.09 million

Finally, you need to sum up the present values of each year's EV to get the total price you would offer to Company A shareholders:

Total Price = $8.33 million + $10.71 million + $11.81 million + $12.76 million + $14.09 million = $57.70 million

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A manufacturing cost that cannot be easily traced to a specific cost object is a(n) cost. (Enter only one word per blank).

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A manufacturing cost that cannot be easily traced to a specific cost object is an indirect cost.Indirect cost:It is a cost that cannot be directly traced to a specific cost object or can be traced but cannot be done so with complete accuracy.

This cost is related to the organization as a whole, rather than to specific activities or products.Indirect costs include

RentTaxesDepreciationUtilitiesInsuranceOffice expensesEmployee salaries and wagesTraining costsMarketing expensesExplanation:Indirect cost:It is a cost that cannot be directly traced to a specific cost object or can be traced but cannot be done so with complete accuracy. This cost is related to the organization as a whole, rather than to specific activities or products.

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Managers usually suffer from marketing myopia when they disregard underlying consumer needs and overly focus on ________.

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Managers usually suffer from marketing myopia when they disregard underlying consumer needs and overly focus on  their own interests and company's productsExplanation:Marketing myopia refers to an approach to marketing in which a business or company focuses only on its own wants and needs rather than paying attention to the needs of its customers.

In this approach, the company is often more concerned with selling its products and services than it is with understanding what its customers want and need.As a result, managers often suffer from marketing myopia when they disregard underlying consumer needs and overly focus on their own interests and company's products. They may focus too heavily on their own priorities and overlook the needs of their target audience,

which can lead to a decline in sales and customer satisfaction.To avoid marketing myopia, it's important for managers to pay close attention to their customers' needs and wants. They should also be willing to adapt their products and services to better meet those needs, rather than trying to force customers to buy what they are selling.

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A static budget:________

a. is based totally on prior year's costs.

b. is based on one anticipated activity level.

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A static budget is a budget that is based on one anticipated activity level. It does not take into account any changes in costs or activity levels that may occur throughout the budget period.

Option B is correct .

Even if sales or production volumes rise or fall, a static budget—which is a forecast of revenue and expenses for a given period—does not change. Accountants or finance leaders use a static budget, which is essentially a base-case budget, as a road map for the period. Since the financial plan doesn't transform, it is a useful instrument for checking costs and income age.

The type of budget known as a static budget is one that projects all revenues and expenditures over a predetermined time period.

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which of the following could be the price elasticity of demand for a good for which a decrease in price would increase total revenue? a.0.4 b.4 c.1 d.0

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The option that represents a price elasticity of demand for a good where a decrease in price would increase total revenue is option b, which is 4.

The value flexibility of interest estimates the responsiveness of the amount requested to an adjustment of cost. Assuming that a lessening in cost prompts an expansion in complete income, it suggests that the interest is versatile, implying that the amount requested is exceptionally receptive to cost changes.

The value versatility of interest is determined by utilizing the recipe:

Value Flexibility of Interest = (% Change in Amount Requested)/(% Change in Cost)

In the event that the interest is flexible, the value flexibility of interest will be more prominent than 1.

Based on the available choices:

a. 0.4: Inelastic demand is indicated when this value is less than 1.

b. 4: This worth is more prominent than 1, demonstrating versatile interest.

c. 1: This worth is equivalent to 1, showing unitary versatility.

d. 0: This value contradicts the assertion that a decrease in price would result in an increase in total revenue because it implies that there is no change in the quantity demanded when the price changes.

In this way, the choice that addresses cost flexibility of interest for a decent where a diminishing in cost would increment complete income is choice b, which is 4.

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on january 1, 2019, durham company issued a seven-year, $10,000, 6% bond. the interest is payable annually each december 31. the issue price was $9,461 based on an 7% effective interest rate. durham uses the effective-interest amortization method. the interest expense on the income statement for the year ended december 31, 2019 is closest to:

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The interest expense on the income statement for the year ended December 31, 2019, can be calculated using the effective-interest amortization method.

To calculate the interest expense, we need to find the interest payment for the year. The bond has a face value of $10,000 and an annual interest rate of 6%. So, the interest payment for the year would be:

Interest Payment = Face Value * Annual Interest Rate
Interest Payment = $10,000 * 6% = $600

Next, we need to calculate the amortization of the bond discount. The issue price of the bond is $9,461, which is lower than its face value. The discount is the difference between the face value and the issue price:

Discount = Face Value - Issue Price
Discount = $10,000 - $9,461 = $539

Since the bond has a seven-year term, we divide the discount by the number of years to calculate the annual amortization:

Annual Amortization = Discount / Number of Years
Annual Amortization = $539 / 7 = $77

Finally, we can calculate the interest expense for the year by adding the interest payment and the annual amortization:

Interest Expense = Interest Payment + Annual Amortization
Interest Expense = $600 + $77 = $677

Therefore, the interest expense on the income statement for the year ended December 31, 2019, is closest to $677.

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review chapter 1 slides compare and contrast the focus of marketing activities during the five eras of marketing history. what were the eras? when were the eras? what were era similarities? what were era differences? quizlet marketing 231

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The five eras of marketing history are the Production Era, Sales Era, Marketing Era, Relationship Era, and Social Media Era.

The Production Era, which started in the early 1900s, was characterized by a focus on maximizing production efficiency and product availability. Companies believed that if they could produce goods at a low cost and make them widely available, customers would buy them. This era was driven by industrialization and mass production techniques.

The Sales Era, spanning from the 1920s to the 1950s, shifted the focus to aggressive selling and promotional efforts. Companies realized that simply producing goods was not enough to drive sales. They employed persuasive selling techniques, extensive advertising, and personal selling to convince customers to buy their products.

The Marketing Era emerged in the 1950s and lasted until the 1990s. During this era, companies recognized the importance of understanding customer needs and wants. They conducted market research, segmenting and targeting specific customer groups. The marketing concept was introduced, which emphasized creating customer value through product development, pricing strategies, distribution channels, and integrated marketing communications.

The Relationship Era, from the 1990s to the early 2000s, focused on building and maintaining long-term relationships with customers. Companies realized the value of customer loyalty and invested in customer relationship management strategies. The era emphasized customer satisfaction, personalized experiences, and loyalty programs to retain customers and encourage repeat purchases.

The Social Media Era, starting in the early 2000s and continuing to the present day, is characterized by the widespread use of digital platforms, especially social media. Companies leverage social media channels to engage with customers, create brand awareness, and conduct targeted advertising. The era has brought about new marketing opportunities and challenges, such as influencer marketing, content creation, and real-time customer interactions.

Each era represents a significant shift in marketing practices, reflecting changes in customer preferences, technology advancements, and business strategies. These eras have shaped the evolution of marketing and provide valuable insights into the development of marketing concepts and techniques over time.

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jackson co offers a discount on an extended warranty on its ophone when the warranty is purchased at the time the ophone is purchased. the warranty normally has a price

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Jackson Co offers a discount on an extended warranty on its Ophone when the warranty is purchased at the time the Ophone is purchased. The warranty normally has a price of $75. The discount offered for purchasing the warranty at the time of Ophone purchase is 20%.

When customers decide to purchase an Ophone from Jackson Co, they have the option to add on an extended warranty for an additional cost. The regular price of the warranty is $75. However, to incentivize customers to buy the warranty at the same time they purchase the Ophone, Jackson Co offers a discount of 20% off the warranty price. By applying the discount rate of 20% to the original price of $75, we can calculate that the discount amounts to $15. This means that customers who take advantage of the offer will save $15 on the cost of the warranty.

The discount on the extended warranty serves as an attractive incentive for customers to protect their Ophone investment at a reduced cost. By offering a price reduction for purchasing the warranty concurrently with the Ophone, Jackson Co aims to increase the likelihood of customers opting for the extended warranty. This strategy not only provides customers with added value by reducing the cost of protecting their device but also benefits the company by boosting warranty sales and potentially enhancing customer satisfaction and loyalty.

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Indicate whether each item would be added (+) or subtracted (-) in the computation of cash flow from operating activities using the indirect method.

______1. Accrued expenses (increase).

______2. Inventories (increase).

______3. Accounts receivable (decrease).

______4. Accounts payable (decrease).

______5. Depreciation, depletion, and amortization.

Answers

1. Accrued expenses (increase): Added (+) 2. Inventories (increase): Subtracted (-)
3. Accounts receivable (decrease): Added (+) 4. Accounts payable (decrease): Subtracted (-)
5. Depreciation, depletion, and amortization: Added (+)

Indicate whether each item would be added (+) or subtracted (-) in the computation of cash flow from operating activities using the indirect method.
1. Accrued expenses (increase):
Accrued expenses represent expenses that have been incurred but not yet paid. In the computation of cash flow from operating activities using the indirect method, an increase in accrued expenses is added (+) because it indicates that cash payments for expenses have not been made yet and need to be accounted for.
2. Inventories (increase):
An increase in inventories means that more goods have been purchased or produced but not yet sold.

In the computation of cash flow from operating activities using the indirect method, an increase in inventories is subtracted (-) because it implies that cash has been used to acquire the inventory and this needs to be adjusted to calculate the cash flow from operating activities.
3. Accounts receivable (decrease):
A decrease in accounts receivable implies that cash has been received from customers who previously owed money. In the computation of cash flow from operating activities using the indirect method, a decrease in accounts receivable is added (+) because it indicates an increase in cash flow from operating activities as cash has been collected from customers.
4. Accounts payable (decrease):
A decrease in accounts payable means that payments have been made to suppliers or creditors for goods or services purchased on credit.

In the computation of cash flow from operating activities using the indirect method, a decrease in accounts payable is subtracted (-) because it reflects a cash outflow that needs to be adjusted to calculate the cash flow from operating activities.
5. Depreciation, depletion, and amortization:
Depreciation, depletion, and amortization are non-cash expenses that represent the allocation of the cost of assets over their useful lives.

These expenses are added (+) back in the computation of cash flow from operating activities using the indirect method because they do not involve actual cash outflows.

Adding them back allows for the adjustment of net income to reflect the cash flow generated by operating activities.
In summary:
1. Accrued expenses (increase): Added (+)
2. Inventories (increase): Subtracted (-)
3. Accounts receivable (decrease): Added (+)
4. Accounts payable (decrease): Subtracted (-)
5. Depreciation, depletion, and amortization: Added (+)

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by hedging currency risk, businesses can ensure that they will still be able to profit from their overseas operations even if the value of their home currency decreases.

Answers

By hedging currency risk, businesses can protect their overseas operations' profitability even if the value of their home currency decreases.

Currency risk poses a potential threat to businesses operating internationally due to the fluctuation in exchange rates. When a business operates in different currencies, a decrease in the value of the home currency can negatively impact revenue and profitability. However, by implementing currency hedging strategies, businesses can mitigate this risk. Hedging involves using financial instruments like forward contracts or options to lock in exchange rates, ensuring a consistent value for future transactions. This way, even if the value of the home currency decreases, the hedging strategy provides a predetermined exchange rate that protects the business's profitability. By managing currency risk through hedging, businesses can maintain stability, make informed financial decisions, and sustain profitability in their overseas operations.

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For the past year, Momsen, Ltd., had sales of $47,357, interest expense of $4,244, cost of goods sold of $17,534, selling and administrative expense of $12,241, and depreciation of $7,140. If the tax rate was 35 percent, what was the company's net income

Answers

The company's net income for the given period was $4,030.

For the past year, Momsen, Ltd., had sales of $47,357, interest expense of $4,244, cost of goods sold of $17,534, selling and administrative expense of $12,241, and depreciation of $7,140.

Calculation of net income is given below:

Sales = $47,357

Cost of goods sold = $17,534

Gross profit = $29,823

Selling and administrative expense = $12,241

Depreciation = $7,140

Interest expense = $4,244

Taxable income = $6,198

Income tax = (35% x $6,198) ($2,168)

Net income = $4,030

Therefore, the company's net income for the given period was $4,030.

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If+you+were+to+begin+investing+$5,000+each+year,+beginning+one+year+from+today,+into+an+account+that+paid+15%+per+year,+then+how+much+will+the+account+be+worth+after+35+years?

Answers

The account will be worth approximately after investment $1,033,796.82 after 35 years.

To calculate the future value of the account, we can use the formula for compound interest. The formula is given as: FV = P * (1 + r)^n, where FV is the future value, P is the initial investment, r is the interest rate per period, and n is the number of periods.

In this case, the initial investment is $5,000 each year, the interest rate is 15% (or 0.15), and the number of periods is 35 years. Since the investment is made annually, we can use the formula: FV = P * [(1 + r)^n - 1] / r.

Plugging in the values, we have:

FV = $5,000 * [(1 + 0.15)^35 - 1] / 0.15

FV ≈ $1,033,796.82

After 35 years, the account will be worth approximately $1,033,796.82. This calculation assumes that the interest rate remains constant throughout the investment period, and no additional withdrawals or deposits are made apart from the annual $5,000 investment. It's important to note that actual returns may vary, and this calculation is purely based on the given assumptions.

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put the following states in order of their loan rejection percentage based on the count of rejected loans (from high [1] to low [11]) of the total rejected loans.

Answers

To determine the order of states based on their loan rejection percentage, you will need the count of rejected loans for each state.

Unfortunately, you did not provide the list of states or the count of rejected loans for each state. Without this information, it is not possible to accurately order the states based on their loan rejection percentage.
However, if you have the count of rejected loans for each state, you can follow these steps to determine the order:
1. Calculate the loan rejection percentage for each state by dividing the count of rejected loans for that state by the total count of rejected loans.
2. Arrange the states in descending order based on their loan rejection percentage. The state with the highest rejection percentage should be listed first, followed by the next highest, and so on.
3. Assign a number from 1 to 11 to each state in the order determined in step 2, with 1 being the state with the highest rejection percentage and 11 being the state with the lowest rejection percentage.
Remember, this process can only be completed with the actual count of rejected loans for each state.

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explain the required steps to complete a work sheet by placing the following steps in the correct order. (put the first step at the top.)

Answers

1. Gather all relevant data and information.

2. Determine the purpose and objective of the worksheet.

3. Organize the data into appropriate sections and categories.

4. Input the data into the worksheet using appropriate formulas and functions.

5. Verify the accuracy of calculations and cross-check the data.

6. Apply formatting and styling to enhance readability and presentation.

7. Review and analyze the results obtained from the worksheet.

8. Make any necessary adjustments or corrections.

9. Finalize the worksheet by adding necessary labels, titles, and explanations.

10. Save the worksheet for future reference or distribution.

 

To complete a worksheet, it is important to follow a systematic approach. Here are the required steps in the correct order:

1. Gathering all relevant data and information is crucial. This includes any numbers, figures, or text that will be used in the worksheet.

2. Determine the purpose and objective of the worksheet. Clearly define what the worksheet aims to accomplish or communicate.

3. Organize the data into appropriate sections and categories. Group related information together to ensure clarity and ease of understanding.

4. Input the data into the worksheet using appropriate formulas and functions. Perform calculations and utilize formulas to derive meaningful results.

5. Verify the accuracy of calculations and cross-check the data. Review the entered data and double-check calculations to ensure accuracy.

6. Apply formatting and styling to enhance readability and presentation. Utilize formatting options such as bolding, color-coding, and adjusting column widths to make the worksheet visually appealing.

7. Review and analyze the results obtained from the worksheet. Interpret the data and analyze the outcomes in relation to the worksheet's purpose.

8. Make any necessary adjustments or corrections. Identify any errors or discrepancies and rectify them promptly.

9. Finalize the worksheet by adding necessary labels, titles, and explanations. Provide clear and concise descriptions for each section to facilitate understanding.

10. Save the worksheet for future reference or distribution. Store the completed worksheet in a secure location and consider making copies for backup or sharing purposes.

By following these steps in the given order, you can effectively complete a worksheet and ensure its accuracy and usability.

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A visual representation of where all the prospects are in the purchasing process is called the?

Answers

A visual representation of where all the prospects are in the purchasing process is called the sales funnel. A sales funnel is a marketing concept that illustrates the customer journey from initial awareness to the final purchase. It represents the different stages that a prospect goes through before becoming a customer.

The sales funnel typically consists of four main stages:

1. Awareness: This is the stage where prospects become aware of your product or service. They may come across your brand through various marketing channels such as social media, search engines, or advertisements.

2. Interest: Once prospects are aware of your offering, they may show interest by exploring more about it. They might visit your website, read customer reviews, or engage with your content.

3. Decision: At this stage, prospects evaluate your product or service and compare it with alternatives. They consider factors like price, features, and benefits to make a decision.

4. Action: The final stage of the sales funnel is when prospects convert into customers by making a purchase.

By visualizing the sales funnel, businesses can understand the conversion rates at each stage and identify areas for improvement. It helps in optimizing marketing strategies and sales efforts to effectively move prospects through the purchasing process.

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