Which type of business market tends to have the most complex buying procedures? a. Reseller b. Institutional c. Retailer d. Government e. Producer.

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Answer 1

The type of business market that tends to have the most complex buying procedures is the government market (Option d).

The government market involves the procurement of goods and services by governmental entities at various levels, such as federal, state, and local governments. Government buying procedures are often complex due to the need for transparency, accountability, and adherence to specific regulations and laws.

Government contracts typically involve extensive documentation, competitive bidding processes, compliance with various requirements, and strict evaluation criteria.

The involvement of multiple stakeholders, lengthy decision-making processes, and the need to ensure fair and equitable procurement practices contribute to the complexity of government buying procedures. Therefore, among the given options, the government market is generally associated with the most complex buying procedures.

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which of the following are considered transfer payments? a. welfare payments b. defense spending c. building new public schools d.

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The following option is considered a transfer payment: Welfare payments are considered transfer payments.

Transfer payments refer to payments made by the government to individuals or groups without the expectation of receiving goods or services in return. They are typically aimed at redistributing income or providing assistance to those in need. Welfare payments, such as unemployment benefits, social security, and food stamps, fall under the category of transfer payments as they involve the transfer of funds from the government to individuals or households.
On the other hand, options b (defense spending) and c (building new public schools) are not considered transfer payments. Defense spending represents government expenditure on military and national security-related activities. Building new public schools falls under government capital investment in infrastructure rather than direct transfers to individuals or groups.

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if an agent becomes mentally incapacitated, the agency relationship is automatically terminated.
TRUE OR FALSE

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False. It is recommended to consult with legal professionals or refer to applicable laws and agreements to understand the specific implications in a given situation.

if an agent becomes mentally incapacitated, the agency relationship is not automatically terminated. instead, it depends on the specific terms of the agency agreement, applicable laws, and any provisions for such situations outlined in the agreement or legal framework.

in cases of mental incapacitation, it is common for the agency agreement to include provisions addressing the situation. these provisions may specify conditions under which the agency relationship would be terminated, such as a certain duration of incapacitation or the appointment of a legal guardian to act on behalf of the incapacitated agent.

if the agency agreement does not address mental incapacitation explicitly, the termination of the agency relationship would generally require legal intervention or the consent of the parties involved. this could involve seeking court approval to revoke or modify the agency relationship based on the incapacitation of the agent.

it's important to note that laws regarding agency relationships and mental incapacitation can vary across jurisdictions.

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g what dividend is paid on a preferred stock if investors require a 10% rate of return and the stock has a market value of 53 per share and a book value of $48 per share?

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A preferred stock if investors require a 10% rate of return and the stock has a market value of 53 per share and a book value of $48 per share. The needed rate of return on preferred stock can be calculated using the formula.

Dividend required rate of return multiplied by the par value Although the par value is not provided, we can estimate it using the book value.

If the stock's market value exceeds its book value, investors may be ready to pay more for the stock than the assets it represents are worth. So, it stands to reason that the par value must fall somewhere between the book value and the market value. Assume that the par value, which is between $48 and $53, is $50. The dividend would therefore be as follows: Dividend = 0:10 * $50 = $5 as a result, the preferred stock's dividend.

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In finding the t-value for a 60% confidence interval, we could use the value at either the 20th or 80th percentile. True O False

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False. In finding the t-value for a 60% confidence interval, you should use the value at the 80th percentile. This is because the remaining 40% (100% - 60%) is equally divided, with 20% in each tail. Thus, you need to look at the 80th percentile to capture the 60% confidence interval in the middle.

In finding the t-value for a confidence interval, we need to consider the level of confidence and the degrees of freedom. The t-distribution is used when the sample size is small and the population standard deviation is unknown. The t-value is obtained from the t-table or calculator and represents the number of standard errors away from the mean.

For a 60% confidence interval, we need to find the t-value that corresponds to the middle 60% of the t-distribution. This means that we need to find the cutoff points where 20% of the area is in the lower tail and 20% of the area is in the upper tail, leaving 60% in the middle. These cutoff points can be found using the t-table or calculator.

Therefore, we cannot use the value at either the 20th or 80th percentile to find the t-value for a 60% confidence interval. Instead, we need to find the t-value that corresponds to the middle 60% of the t-distribution.

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___________ change is inadvertent or unplanned and independent of an organization’s control.

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The change that is inadvertent or unplanned and independent of an organization's control is known as a disruptive change. This kind of change can occur due to various reasons, including shifts in technology, economic downturns, and natural disasters. Disruptive changes can have significant impacts on an organization's operations, performance, and even survival.

Unlike planned changes, disruptive changes are not within an organization's control. Therefore, organizations must be prepared to manage the impacts of disruptive changes. One way to prepare for such changes is to create a culture of agility and resilience. This includes developing the ability to adapt quickly to changing circumstances and being prepared to pivot when necessary.

Another strategy is to diversify the organization's offerings to reduce dependence on a single product or service. This will allow the organization to remain viable even if one product or service is impacted by a disruptive change.

In conclusion, disruptive changes are a significant challenge for organizations as they can have a profound impact on operations, performance, and survival. However, by creating a culture of agility and resilience and diversifying their offerings, organizations can be better prepared to manage the impacts of disruptive changes.

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if you were selecting an accounting firm for employment after graduation and hoped to work for a company that emulated the culture of goldman sachs, what aspect of its culture would be paramount in your decision? multiple choice senior executives that walk the talk of high ethical standards and manage by walking around centralized decision-making and symbolic actions a strong emphasis on accommodating a work-life balance a commitment to operating the business according to established traditions strict enforcement of established policies and procedures and steadfast unwillingness to change

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The aspect of Goldman Sachs' culture that would be paramount in my decision to select an accounting firm for employment would be senior executives that walk the talk of high ethical standards and manage by walking around.

Goldman Sachs is known for its strong ethical culture and commitment to integrity in all aspects of its business. This is reflected in the behavior of senior executives who lead by example and encourage all employees to act with integrity. In addition, the emphasis on managing by walking around promotes open communication and collaboration, which can lead to better decision-making and a more inclusive workplace culture. Therefore, I believe that an accounting firm that emulates the culture of Goldman Sachs would prioritize high ethical standards and active leadership as key values.

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consider a binomial world in which the current stock price of 80 can either go up by 10 percent or down by 8 percent. the risk-free rate is 4 percent. assume a one-period world, with an exercise price of 80. what is the theoretical value of the call?

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Therefore, the theoretical value of the call option in this binomial world is approximately 7.6923.

To calculate the theoretical value of the call option in a binomial world, we can use the risk-neutral pricing approach.

In this case, the stock price can either go up by 10% or down by 8%, and the risk-free rate is 4%. We also have a one-period world, meaning there is one time step until the option expiration.

Let's denote the up movement factor as u and the down movement factor as d:

u = 1 + 10% = 1.1

d = 1 - 8% = 0.92

The risk-neutral probability of an up movement, denoted as p, can be calculated as follows:

p = (1 + Risk-Free Rate - Down Movement Factor) / (Up Movement Factor - Down Movement Factor)

p = (1 + 4% - 0.92) / (1.1 - 0.92)

p = 0.12 / 0.18

p ≈ 0.6667

The risk-neutral probability of a down movement, denoted as q, can be calculated as:

q = 1 - p

q = 1 - 0.6667

q ≈ 0.3333

Next, we calculate the expected stock price at the end of the period, denoted as S:

S = Stock Price * (Up Movement Factor) ^ (Number of Up Movements) * (Down Movement Factor) ^ (Number of Down Movements)

S = 80 * (1.1) ^ 1 * (0.92) ^ 0

S = 80 * 1.1

S = 88

The call option value at the end of the period is the maximum of (S - Exercise Price, 0):

Call Value = Max(S - Exercise Price, 0)

Call Value = Max(88 - 80, 0)

Call Value = Max(8, 0)

Call Value = 8

To calculate the theoretical value of the call option, we discount the expected call value at the risk-free rate:

Theoretical Call Value = Call Value / (1 + Risk-Free Rate)

Theoretical Call Value = 8 / (1 + 4%)

Theoretical Call Value = 8 / 1.04

Theoretical Call Value ≈ 7.6923

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output total cost 0 $24 1 33 2 41 3 48 4 54 5 61 6 69 if the marginal cost of producing the seventh unit of output is $9, then the total cost of producing seven units is question 16 options: a) $80. b) unknown. c) $84. d) $78.

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The marginal cost of producing the seventh unit of output is $9, so the total cost of producing seven units of output is $78.

To find the total cost of producing seven units, we first need to determine the cost of producing the sixth unit, which is the point where marginal cost equals $9. From the table, we can see that the cost of b five units is $61, and the cost of producing six units is $69. Therefore, the cost of producing the sixth unit is $8.

To find the total cost of producing seven units, we add the cost of producing the first six units ($24 + $33 + $41 + $48 + $54 + $69 = $269) and the marginal cost of producing the seventh unit ($9), which gives us a total cost of $278. Therefore, the correct answer is $78.

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the basic premise of the payback method is the blank , the more desirable the investment. multiple choice question. higher the net present value slower the cost of the investment is recovered faster the cost of the investment is recovered lower the internal rate of return

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The payback method's fundamental tenet is that an investment is more desirable the sooner its cost is recouped. Here option C is the correct answer.

The basic premise of the payback method is that an investment is desirable if it can recover its initial cost within a reasonable time frame. This method is used to evaluate the profitability and risk of an investment by analyzing the amount of time it takes for the initial cost of the investment to be recouped through its cash inflows.

The payback period is the amount of time it takes for an investment to generate enough cash flow to recover its initial cost. The shorter the payback period, the faster the cost of the investment is recovered, which is generally considered more desirable. A shorter payback period also reduces the risk associated with the investment as it limits the exposure of the investor's capital.

However, the payback method does not take into account the time value of money, inflation, or future cash flows beyond the payback period. Therefore, it should be used in conjunction with other investment evaluation methods such as net present value and internal rate of return to provide a more complete picture of an investment's potential.

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Complete question:

What is the basic premise of the payback method?

a) The higher the net present value, the more desirable the investment.

b) The slower the cost of the investment is recovered, the more desirable the investment.

c) The faster the cost of the investment is recovered, the more desirable the investment.

d) The lower the internal rate of return, the more desirable the investment.

tanner worked for big corp as an intern in the research and development department. the last day of his internship, he downloaded a massive amount of information on product designs and marketing plans, which he then traded to a competitor of big corp. under these circumstances, this is known as insider trading, a crime.group startstrue or false

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Tanner was an intern in the research and development division of a huge corp. He downloaded a tonne of data on product designs and marketing strategies on the last day of his internship, which he later traded to a rival of a major corp. Insider trading is illegal in these situations and is referred to as such. This statement is false.

Insider trading typically involves using non-public information to make trades on the stock market, in order to gain an unfair advantage. In this case, Tanner did not use the information to make any trades. However, Tanner's actions could potentially be considered theft of intellectual property or trade secrets, which could result in civil or criminal liability.

Furthermore, Tanner's actions could also be a breach of contract if he signed an agreement with Big Corp not to disclose confidential information. If this is the case, Big Corp may be able to seek damages in a civil lawsuit.

Overall, while Tanner's actions may not be insider trading, they are still illegal and could result in serious consequences. It is important to always act ethically and with integrity in the workplace and to respect the confidentiality of sensitive information.

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p division had sales of $250,000 and income of $10,000 and assets of $100,000 and equity of $80,000. how much was its turnover (i.e. asset turnover)?

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The turnover of P Division can be calculated by dividing its sales by its total assets.

    In this case, P Division had sales of $250,000 and assets of $100,000. Therefore, its turnover, or asset turnover, would be $250,000 divided by $100,000, which equals 2.5.

Asset turnover is a financial ratio that measures the efficiency of a company's use of its assets to generate sales revenue. A high asset turnover ratio indicates that a company is using its assets effectively to generate revenue, while a low ratio suggests that the company is not using its assets efficiently. In this case, P Division has an asset turnover ratio of 2.5, which means that for every dollar of assets it has, it is generating $2.50 of sales. This is a relatively high ratio and suggests that P Division is using its assets efficiently to generate revenue.

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When giving a presentation, Valentina conveys confidence byavoiding eye contact with the audience.speaking quickly with few pauses.avoiding the use of gestures.speaking in a relaxed way.using a loud voice.

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When giving a presentation, Valentina conveys confidence by speaking in a relaxed way. Confidence in public speaking is often demonstrated through a calm and composed demeanor, which includes speaking in a relaxed manner. By maintaining a steady and composed speaking style, Valentina projects confidence to the audience.

Avoiding eye contact with the audience is not a characteristic of confident communication. Making eye contact is a fundamental aspect of engaging with the audience and conveying confidence and connection.

Speaking quickly with few pauses may indicate nervousness or anxiety rather than confidence. Confident speakers often employ a moderate pace, allowing the audience to absorb the information and ensuring clarity in their delivery.

Avoiding the use of gestures can make a presentation appear stiff and lacking enthusiasm. Confident presenters often use purposeful gestures to emphasize key points, engage the audience, and enhance their message.

Using a loud voice can be interpreted as overcompensation or aggression rather than confidence. Confident speakers typically project their voices with clarity and appropriate volume, ensuring that the audience can hear and understand them, but without excessive loudness.

In summary, while speaking in a relaxed way can contribute to conveying confidence during a presentation, it's important to consider other factors such as maintaining appropriate eye contact, employing purposeful gestures, speaking at a moderate pace with well-timed pauses, and projecting a clear and confident voice.

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Thisworldorg is a non-profit campaigning organization that has discovered that Carpediemexploits Corp. is dealing in freshly obtained elephant ivory. After demonstrations, boycotts, and advertising campaigns by Thisworldorg, Carpediemexploits agrees to an external certification process to ensure that the ivory is legal heritage ivory, obtained from elephants long ago. This social pressure is a result of Select one:
O a. private politics
O b. market demand
O c. moral suasion
O d. business intelligence

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This social pressure is an example of moral suasion, where non-profit organizations and activists use ethical arguments and public opinion to influence businesses and bring about changes in their practices.

The social pressure exerted by Thisworldorg on Carpediemexploits Corp. reflects the use of moral suasion. Moral suasion is a strategy employed by non-profit organizations and activists to influence businesses by appealing to their moral conscience and public opinion. In this case, Thisworldorg campaigns against the illegal trading of freshly obtained elephant ivory, leading to demonstrations, boycotts, and advertising campaigns.

As a result of this social pressure, Carpediemexploits Corp. agrees to an external certification process to ensure that the ivory they deal with is legal heritage ivory obtained from elephants long ago. The pressure from Thisworldorg and public opinion has influenced Carpediemexploits Corp. to align its practices with ethical considerations and comply with the demands for sustainability and responsible sourcing. This demonstrates the effectiveness of moral suasion in bringing about changes in business practices through ethical arguments and public pressure.

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e cost of making each taco is $2.50, and they plan to sell each taco for $6. if they run out of tacos, they will lose potential revenue, but they can convince their customers to buy an order of chips and salsa instead. each order of chips and salsa costs them $1, and sells for $2. assume that sagnik and yuyan never run out of chips and salsa. if sagnik and yuyan have leftover tacos, they will have to sell them at $1 per taco. (a) suppose sagnik and yuyan order supplies for 300 tacos. what is their expected profit?

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If Yuyan and Sagnik order supplies for 300 tacos, then their expected profit will be $365.

The Number of tacos that Sagnik and Yuyan's food truck sell are : 100, 200, 300, 400, 500;

The Probabilities for each number of tacos is : 0.2, 0.35, 0.25, 0.15, 0.05

The Cost to make a taco is = $2.50,

The Selling price of a taco is = $6,

The amount that order of chips and salsa cost's is = $1,

The "Selling-Price" of order of chips and salsa is = $2,

The expected revenue can be calculated as : sum of revenue from each possible outcome weighted by its probability.

They sell each taco for $6, so, revenue from selling "x" tacos will be "6x" dollars.

By using probabilities provided, we calculate expected revenue as:

Expected revenue =  (0.2 × $6 × 100) + (0.35 × $6 × 200) + (0.25 × $6 × 300) + (0.15 × $6 × 400) + (0.05 × $6 × 500)

= $4,800,

The Expected-Cost is = (0.2 × $2.5 × 100) + (0.35 × $2.5 × 200) + (0.25 × $2.5 × 300) + (0.15 × $2.5 × 400) + (0.05 × $2.5 × 500) + (0.1 × $1 × 100)

= $4,435

The Expected-Profit is calculated as = (Expected-Revenue) - (Expected Cost);

Substituting the values,

We get,

Expected-Profit = 4800 - 4435 = $365.

Therefore, the expected-profit is $365.

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The given question is incomplete, the complete question is

Sagnik and Yuyan run a food truck specializing in selling gourmet tacos. They will be participating in a food festival in a few weeks and need to order supplies, but they are unsure of how many tacos they will sell. They have estimated that the number of tacos they will sell can take the following possible values with associated probabilities:

Number Of Tacos to Sell     Probabilities

            100                                    0.20

            200                                   0.35

            300                                   0.25

            400                                   0.15

            500                                   0.05

The cost of making each taco is $2.50, and they plan to sell each taco for $6. If they run out of tacos, they will lose potential revenue, but they can convince their customers to buy an order of chips and salsa instead. Each order of chips and salsa costs them $1, and sells for $2. Assume that Sagnik and Yuyan never run out of chips and salsa. If Sagnik and Yuyan have leftover tacos, they will have to sell them at $1 per taco.

Suppose Sagnik and Yuyan order supplies for 300 tacos. What is their expected profit?

which of the following is true about firms exiting a perfectly competitive market?select the correct answer below:the price where firms exit the market shows the price where the firm would lack enough revenue to cover its variable costs.firms are only concerned with what quantity to produce and will exit otherwise, even if they are not experiencing losses.exiting the market occurs in response to a sustained pattern of losses.exiting the market occurs in response to increased industry profits.

Answers

The correct answer is: Exiting the market occurs in response to a sustained pattern of losses.

Firms exiting a perfectly competitive market typically occur in response to a sustained pattern of losses. In a perfectly competitive market, firms are price takers, meaning they have no control over the market price. If a firm is consistently experiencing losses and cannot cover its variable costs, it becomes economically unviable to continue operating in the market. In such cases, firms may choose to exit the market to avoid further losses and allocate their resources elsewhere.

The other options listed are not accurate in the context of firms exiting a perfectly competitive market:

The price where firms exit the market does not necessarily indicate whether the firm would lack enough revenue to cover its variable costs. Firms may exit even if they are making enough revenue to cover variable costs, as long as they are consistently experiencing losses.

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What happens to enterprise value if a company raises $100.0m debt and holds it on its balance sheet as cash? A.EV remains the sameB.EV increases by $100.0mC.EV decreases by $100.0mD.EV decreases by $200.0m

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The Enterprise Value (EV) remains the same if a company raises $100.0m debt and holds it on its balance sheet as cash. The correct option to this question is A.

Enterprise value (EV) is a measure of a company's total value and includes the market value of its equity, debt, and cash.

When a company raises $100.0m debt and holds it on its balance sheet as cash, the company's total value remains the same.

This is because the increase in debt is offset by the increase in cash, resulting in a net zero effect on the company's EV.

The EV of a company remains the same if it raises debt and holds it on its balance sheet as cash. The increase in debt is offset by the increase in cash, resulting in no net change in the company's total value.

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when banks obtain funds in the federal funds market, the funds are provided by a. the federal reserve. b. other depository institutions. c. consumers. d. nonfinancial corporations.

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When banks obtain funds in the federal funds market, the funds are provided by other depository institutions. The federal funds market is a market for overnight borrowing and lending of reserves among depository institutions.

Depository institutions with excess reserves lend to those that need reserves to meet their reserve requirements or to clear payments. The federal funds rate is the interest rate charged on these loans, and it is determined by supply and demand in the market. The Federal Reserve Open Market Desk conducts open market operations to influence the federal funds rate by buying or selling government securities.

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what is the objective of a strategist in the formulation stage of strategy? to transform into a scientist and collect data from the environment. to identify a defensible position in the marketplace based on the design a business model. to rely on zero-sum competition to gain an advantage. to compete to be the best in the industry. to analyze the external environment and identify threats.

Answers

Answer:

The objective of a strategist in the formulation stage of strategy is to analyze the external environment and identify opportunities and threats that the organization may face.

Explanation:

This involves collecting and analyzing data from various sources such as competitors, customers, suppliers, and the broader market. The strategist then uses this information to identify a defensible position in the marketplace and design a business model that can generate sustained competitive advantage.

In this stage, the strategist considers various strategic options and evaluates their potential impact on the organization's objectives. This may involve weighing the costs and benefits of different strategies, identifying potential risks and uncertainties, and aligning the organization's resources and capabilities to support the chosen strategy. Overall, the formulation stage is a critical step in the strategic planning process, and the strategist's objective is to create a strategic plan that positions the organization for long-term success.

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Institutional investors will rarely invest in which of these asset classes?

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Institutional investors will rarely invest in highly speculative and illiquid asset classes.

Institutional investors, such as pension funds, insurance companies, and endowments, typically have strict investment guidelines and risk management strategies. They aim to achieve long-term returns while maintaining a diversified portfolio. As a result, they tend to avoid asset classes that are highly speculative and illiquid.

Highly speculative asset classes involve significant uncertainty and volatility, making it challenging to assess their long-term value. Examples include penny stocks, certain cryptocurrencies, and highly leveraged derivatives. Institutional investors prioritize stability and risk-adjusted returns, so they tend to steer clear of such speculative investments.

Illiquid asset classes refer to investments that are not easily bought or sold in the market. These assets have limited trading activity, making it difficult to convert them into cash quickly. Examples include certain types of real estate investments, private equity funds, and venture capital. Institutional investors prefer investments with sufficient liquidity to manage their portfolios effectively, meet redemption requests, and rebalance their holdings.

To safeguard their capital and achieve their investment objectives, institutional investors typically avoid highly speculative and illiquid asset classes. Instead, they focus on more stable and liquid investments that offer long-term growth potential and align with their risk management strategies.

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a condominium owner re-sells his unit. after settlement, it is discovered that the ccrs were revised during the executory period of the contract. who was responsible for advising the buyer of the changes? select one: a. buyer's attorney b. buyer should have been aware of the changes c. unit owners' association d. seller

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Option D. Seller was responsible for advising the buyer of the changes.

The responsible party for advising the buyer of the changes in the CCRs (Covenants, Conditions, and Restrictions) during the executory period of the contract is the seller. In this scenario, the seller had the obligation to disclose any revisions to the CCRs, as they directly affect the property being sold and the buyer's rights and responsibilities as a condominium owner.

The buyer's attorney and the unit owners' association also play essential roles in ensuring the smooth transfer of the property. However, the primary responsibility for providing accurate and up-to-date information about the property, including any changes to the CCRs, falls on the seller. Failure to disclose such changes may lead to potential legal issues or disputes between the buyer and the seller.

In conclusion, the seller is responsible for advising the buyer of the changes in the CCRs during the executory period of the contract. This obligation ensures that the buyer is aware of any restrictions, conditions, or rules governing the property before finalizing the purchase. Therefore, the correct option is D.

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wilderness adventures has earnings per share of $2.45 and dividends per share of $1.05. the total equity of the firm is $850,000. there are 40,000 shares of stock outstanding. what is the sustainable rate of growth?2.14%3.31%5.68%6.59%

Answers

The sustainable rate of growth is 3.31%. Option 2 is correct.

Here we need to use the formula: g = (ROE x Retention Ratio) / (1 - ROE x Retention Ratio), where ROE is the return on equity and the retention ratio is the percentage of earnings retained by the company for reinvestment.

We can calculate the ROE as Net Income / Total Equity, which is (EPS - DPS) x Shares Outstanding / Total Equity. Plugging in the given values, we have:

ROE = (2.45 - 1.05) x 40,000 / 850,000 = 0.0588 or 5.88%

To calculate the retention ratio, we can use the formula: Retention Ratio = 1 - Dividends / Earnings. Plugging in the given values, we have:

Retention Ratio = 1 - 1.05 / 2.45 = 0.5714 or 57.14%

Now we can plug in these values into the sustainable growth formula:

g = (0.0588 x 0.5714) / (1 - 0.0588 x 0.5714)

= 0.0331 or 3.31% option 2 is Correct.

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Correct Question:

Wilderness adventures has earnings per share of $2.45 and dividends per share of $1.05. the total equity of the firm is $850,000. there are 40,000 shares of stock outstanding. what is the sustainable rate of growth?

1. 2.14%

2. 3.31%

3. 5.68%

4. 6.59%.

at the conclusion of a project, items or mistakes that still need to be taken care of are compiled on a _____. task sheet call board change order vendor check list punch list

Answers

At the conclusion of a project, it is common for there to be items or mistakes that still need to be taken care of. These items can include everything from finishing touches on installations to correcting errors in the construction process.

To ensure that all of these items are taken care of before the project is officially completed, they are typically compiled on a punch list.A punch list is a document that lists all of the items that need to be completed or corrected before the project can be considered fully finished. It is typically created by the project manager or contractor and includes items that were not completed during the final walkthrough of the project. These can include issues with construction quality, missing equipment or fixtures, or problems with the installation of specific systems or components.Once the punch list is compiled, it is distributed to the various contractors, vendors, and other parties involved in the project. Each party is responsible for completing the items on the punch list that relate to their area of expertise. For example, if there is an issue with the electrical wiring in a room, the electrician will be responsible for correcting it.As each item on the punch list is completed, it is checked off the list. Once all of the items on the punch list have been completed, the project can be considered officially finished. At this point, the project manager will typically conduct a final inspection to ensure that everything has been completed to their satisfaction. Once this is done, the project can be turned over to the owner or client.

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as an organization’s purchasing systems generate purchase orders and the items ordered are received, information is sent to the _____ system to manage the amounts owed by the organization.

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As an organization's purchasing systems generate purchase orders and the items ordered are received, information is sent to the Accounts Payable system to manage the amounts owed by the organization.

Accounts Payable (AP) is a liability account in a company's financial records that tracks the amounts owed to suppliers, vendors, or creditors for goods or services received on credit. It represents the company's outstanding obligations to pay for goods or services that have been purchased but not yet paid for.

Managing Accounts Payable effectively is important for maintaining good supplier relationships, ensuring timely payment of obligations, and managing cash flow.

Companies may use accounting software or enterprise resource planning (ERP) systems to streamline the Accounts Payable process, automate invoice processing, and facilitate efficient payment management.

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a municipality would defease its debt with which of the following? i u.s. government securities ii u.s. government agency securities iii aaa municipal securities iv bank certificates of deposit

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A municipality would defease its debt with AAA municipal securities.

Defeasance refers to the process of setting aside assets to secure and retire existing debt. When a municipality defeases its debt, it typically invests in securities that will generate sufficient income to cover the future debt service payments. In this case, AAA municipal securities would be used for defeasance.

AAA municipal securities are bonds or securities issued by highly rated municipal entities that carry the highest credit rating (AAA) from rating agencies. These securities are considered low-risk investments and provide a reliable stream of income. By investing in AAA municipal securities, the municipality ensures it has sufficient funds to meet its debt obligations and retire the existing debt.

There is no specific calculation involved in understanding the use of AAA municipal securities for defeasance. It is a strategic decision made by the municipality based on the available investment options and the specific terms and conditions of the debt being defeased.

Using AAA municipal securities for defeasance allows the municipality to secure and retire its debt by investing in low-risk securities that provide a reliable income stream. This approach provides financial stability and ensures that the municipality can meet its debt service obligations. The choice of AAA municipal securities reflects the municipality's preference for safe and reliable investments within the municipal sector.

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as retailers decrease the level of safety inventory they carry, the distributor will have to

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As retailers reduce their safety inventory levels, the distributor will need to adjust its inventory management practices to accommodate the changes and ensure the continued availability of products to meet customer demand.

Safety inventory is additional stock held by retailers or distributors to mitigate the risk of stockouts and disruptions in the supply chain. When retailers decrease their safety inventory levels, it implies that they are relying more on just-in-time inventory management or more frequent and reliable deliveries from distributors.

In response to this shift, the distributor will need to make corresponding adjustments to its inventory management practices. The distributor may need to enhance its demand forecasting capabilities to accurately predict retailers' needs and ensure sufficient stock availability. This may involve closer collaboration and communication with retailers to understand their inventory requirements and respond accordingly.

Additionally, the distributor may need to optimize its distribution network and logistics to efficiently deliver products to retailers in a timely manner. Streamlining processes, improving transportation efficiency, and implementing effective inventory tracking systems can help the distributor adapt to the reduced safety inventory levels of retailers while maintaining satisfactory service levels.

Overall, the distributor's ability to adapt and align its inventory management practices with retailers' decreased safety inventory levels is crucial to ensure a smooth and efficient supply chain operation.

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enterprise resource planning (erp) systems integrate traditioinal ais functions together with other information systems to provide a single comprehensive information system for a company. a properly designed and implemented erp eliminates the traditional problem of

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Enterprise Resource Planning (ERP) systems integrate traditional AIS functions together with other information systems to provide a single, comprehensive information system for a company redundancy across separate systems. So the option C is correct.

AIS services like financial accounting, inventory control, and human resources are all integrated into enterprise resource planning (ERP) systems, comprehensive information systems that give a business access to a single system. By removing redundancy, this system integration enhances the effectiveness of corporate operations.

ERP systems help businesses run more smoothly and efficiently by centralizing various tasks including resource planning, project management, and customer relationship management. Additionally, real-time data access offered by ERP systems enables managers to take prompt and correct decisions.

ERP systems also provide a variety of reporting options, allowing managers to keep tabs on performance, see trends, and pinpoint areas that need improvement. Finally, ERP systems can help to reduce costs by automating certain tasks and streamlining processes. So the option C is correct.

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The complete question is:

Enterprise Resource Planning (ERP) systems integrate traditional AIS functions together with other information systems to provide a single, comprehensive information system for a company.

A properly designed and implemented ERP eliminates the traditional problem of

A. a single dedicated storage and retrieval system

B. debits and credits in an AIS.

C. redundancy across separate systems

D. flowing transaction information automatically to all affected parts of a company

maria is the ceo of a company that has been a market leader for more than 20 years. her company is starting to lose its market share to smaller companies that are new to the market. these smaller companies have products that the company cannot easily imitate. what does maria's company need to do? a. become more entrepreneurial and utilize its established strategic capabilities b. become more strategic and utilize its established entrepreneurial capabilities c. become less entrepreneurial and focus on its strategic capabilities d. become less strategic and focus on its entrepreneurial capabilities

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The smaller companies have products that the company cannot easily imitate become more strategic and utilize its established entrepreneurial capabilities, would be the best approach for Maria's company.

As the market leader, the company likely has established strategic capabilities but needs to adapt to the changing market and incorporate its entrepreneurial capabilities to create innovative products and services that meet the needs of customers. By becoming more strategic, the company can identify opportunities for growth and develop a plan to execute those opportunities. At the same time, by utilizing its established entrepreneurial capabilities, the company can create new products and services that differentiate it from competitors and help it regain its market share.

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last year, chester company's cone product had a higher contribution margin percentage compared to their creak product. however, creak contribution margin (in dollars) is much higher. this is because:

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The reason the for this is A. Creak's labor and material costs were substantially higher than Cone's.

How does labor cost affect contribution margin ?

Labor costs are one of the movable expenditures that go into the computation of contribution margin. The more elevated the labor cost, the lower the contribution margin will be.

This is because contribution margin is determined by subtracting the total variable outlays from the full sales. Consequently, if labor expenses rise, the aggregate variable costs increase, decreasing the contribution margin.

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Last year, Chester company's cone product had a higher contribution margin percentage compared to their creak product. however, Creak contribution margin (in dollars) is much higher. this is because:

a. Cedar's labor and material costs were substantially higher than Cake's.

b. Cake has no inventory.

c. Cedar's sales were substantially higher than Cake's.

kmm company's checkbook currently has a balance of $295.10. the bank statement shows a balance of $205.10. the statement revealed interest income of $10.03 along with check charges of $2.95. kmm company recorded a $200 check as $150. deposits in transit were $402.80. check numbers 85, 88, and 92 for $90.80, $108.10, and $156.82 were not returned with the statement. the reconciled balance is:

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To reconcile the bank statement, we need to adjust the balance in the check-book to account for any transactions that have not yet cleared the bank.

We begin by adding deposits in transit and any interest income to the balance in the checkbook, which gives us $707.93 ($295.10 + $402.80 + $10.03). Next, we subtract any outstanding checks that have not yet cleared the bank, which are check numbers 85, 88, and 92 for $90.80, $108.10, and $156.82 respectively, giving us an adjusted balance in the checkbook of $352.21 ($707.93 - $355.72).

Finally, we subtract any bank service charges or check charges, which is $2.95, and add any errors or corrections, which is the $50 overstatement of the $200 check, to get the reconciled balance of $665.27 ($352.21 - $2.95 + $50).

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when walmart offers a remarkable sale on a few items to encourage people to shop there, what pricing strategy is being used?

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When Walmart offers a remarkable sale on a few items to encourage people to shop there, it is likely using a pricing strategy called "price skimming."

Price skimming is a pricing strategy in which a company sets a high initial price for a new product or service, and then gradually reduces the price over time as the product becomes more accepted and the demand for it decreases. The purpose of price skimming is to recoup the initial investment in the product or service as quickly as possible, while also generating a profit.

In this case, Walmart is offering a sale on a few items to encourage people to shop there. By offering the sale, Walmart is likely trying to increase the demand for the items and attract more customers to its store. The sale price may be significantly lower than the regular price, making the items more attractive to customers and encouraging them to make a purchase.

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