please someone help me with this question VERY URGENT.
1. Amazon
2. ideanomic
3. Magic software enterprise
3. Net gear
2. The Securities Selection and Portfolio Construction (TOTAL: 30 marks) Limited by the boundaries that you have set in your fund theme, the investment strategy and portfolio construction strategy are

Answers

Answer 1

Understanding the objectives, constraints, and available assets is essential for determining an investment strategy and portfolio construction strategy, considering companies like Amazon, Ideanomic, and Magic Software Enterprise.

Investment strategy and portfolio construction strategies are crucial for an investor. In this particular question, we have to discuss the investment strategy and portfolio construction strategies of a fund theme that is bounded by some limitations. Various companies have created an impact on the market with their services and have a good reputation. Let us discuss a few companies: Amazon: It is an American multinational company that mainly focuses on e-commerce, cloud computing, and digital streaming. They are one of the leading companies in the market.

Ideanomic: It is a company that mainly focuses on capital investment and deals in fintech and blockchain solutions. Magic software enterprise: It is a software developing company and provides software solutions in various fields. 7. Tactical Asset allocation is a crucial decision for a fund manager. A fund manager has to decide on the proportion of stocks, bonds, and other assets that the fund has to hold. The portfolio construction process is as follows:1. Defining the objectives and constraints 2. Asset allocation 3. Selecting assets for the portfolio 4. Portfolio optimization techniques5. Implementing the portfolio and monitoring it.

In the case of this particular question, we do not have the details regarding the fund theme's limitations. Therefore, it is difficult to determine the investment strategy and portfolio construction strategy. However, with the help of the above-mentioned strategies, an investor can come up with a portfolio that can help them achieve their investment goals.

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Related Questions

The Glass-Steagall Act of 1933 OA) abolished the Federal Deposit Insurance Corporation (FDIC) B) prohibited universal banking in the U.S. OC) repealed the Gramm-Leach-Bliley Act. D) All of the above E) Only (a) and (b) of the above

Answers

Option (b) is the correct answer. The Glass-Steagall Act of 1933 prohibited universal banking in the U.S. The act did not abolish the Federal Deposit Insurance Corporation (FDIC) or repeal the Gramm-Leach-Bliley Act.

The Glass-Steagall Act of 1933 prohibited universal banking in the U.S. The Glass-Steagall Act of 1933 is a U.S. law that was passed in response to the bank failures of the Great Depression.

The act separated commercial and investment banking activities, thereby creating a barrier between traditional lending and more speculative forms of banking. This separation prevented banks from using retail deposits to fund risky investments, such as stock market speculation. However, the act did not abolish the Federal Deposit Insurance Corporation (FDIC) or repeal the Gramm-Leach-Bliley Act.

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QS 8-10 Disposal of assets LO P2 Garcia Co. Owns equipment that cost $84,400, with accumulated depreciation of $44,600. Record the sale of the equipment under the following three separate cases assuming Garcia sells the equipment for (1) $52,700 cash, (2) $39,800 cash, and (3) $34,700 cash

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The sale of equipment by Garcia Co. under three different cash amounts will be recorded in the company's books. When recording the sale of equipment, the company needs to account for the cash received and the gain or loss on the disposal of the asset.

The calculation of the gain or loss is determined by comparing the cash received with the net book value of the equipment.

Case 1: If the equipment is sold for $52,700 cash, the entry would be:

Debit: Cash $52,700

Debit: Accumulated Depreciation $44,600

Credit: Equipment $84,400

Credit: Gain on Disposal of Equipment $12,700

Case 2: If the equipment is sold for $39,800 cash, the entry would be:

Debit: Cash $39,800

Debit: Accumulated Depreciation $44,600

Debit: Loss on Disposal of Equipment $4,800

Credit: Equipment $84,400

Case 3: If the equipment is sold for $34,700 cash, the entry would be:

Debit: Cash $34,700

Debit: Accumulated Depreciation $44,600

Debit: Loss on Disposal of Equipment $9,900

Credit: Equipment $84,400

In each case, the accumulated depreciation is debited to remove the carrying value of the equipment, and the cash received is credited. The difference between the cash received and the net book value of the equipment determines whether a gain or loss is recognized and is recorded accordingly.

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what modified accelerated cost recovery system-general depreciation system (macrs-gds) property class is required for automobiles and light, general-purpose trucks?

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The Modified Accelerated Cost Recovery System-General Depreciation System (MACRS-GDS) property class that is required for automobiles and light, general-purpose trucks is the five-year property class.

This means that automobiles and light, general-purpose trucks are required to be depreciated over a period of five years using the MACRS-GDS method of depreciation. This is because they are considered to be assets that have a shorter useful life and are expected to decline in value more quickly than other types of assets.The MACRS-GDS method of depreciation allows taxpayers to take larger depreciation deductions in the early years of an asset's life and smaller deductions in later years. This is done by using an accelerated depreciation schedule that gives more weight to the early years of an asset's life. The five-year property class is one of the faster depreciation schedules under MACRS-GDS and is designed to reflect the shorter useful life of automobiles and light, general-purpose trucks.

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Build a business case for seamus o'malley to present to the senior management team at nation state in order to get their buy-in. In addition to benefits and costs, the business case must answer the "what's in it for me" question that the bu 3 presidents all have

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Seamus O'Malley can build a business case to present to the senior management team at Nation State by highlighting the benefits, costs, and addressing the "what's in it for me" question of the three presidents. The business case should focus on the positive impact the proposed initiative will have on the organization's strategic goals, financial performance, and individual career growth opportunities for the presidents.

In the business case, Seamus O'Malley should outline the benefits of the proposed initiative, emphasizing how it aligns with Nation State's strategic objectives. This could include improved operational efficiency, increased customer satisfaction, enhanced competitiveness, or expanded market reach. It is important to demonstrate how the initiative will positively impact the organization's financial performance, such as increased revenue, cost savings, or improved profitability.

To address the "what's in it for me" question, Seamus should highlight the individual career growth opportunities for the three presidents. This could involve emphasizing how the initiative will enhance their leadership skills, increase their visibility within the organization, or provide them with a competitive advantage in their professional development. Seamus can also highlight how the successful implementation of the initiative will reflect positively on the presidents and contribute to their overall success and reputation within the organization.

By presenting a comprehensive business case that outlines the benefits, costs, and addresses the individual interests of the three presidents, Seamus O'Malley can effectively gain their buy-in and support for the proposed initiative.

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You have recently borrowed a loan of $50,000 from your bank. The loan is to be repaid in monthly installments over a 10-year period at an annual interest rate of 12%. a) Compute the monthly payments on this loan. 5 Marks b) Prepare an amortization schedule for the first 2 months of the loan. 3 Marks Problem 4 4 Marks Your uncle has given you a bond that will pay $500 at the end of each year forever into the future. This payment will increase by 3% every year. If the rate of return on this bond is 8.25%, how much is it worth today?

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(a) To compute the monthly payments on a $50,000 loan with a 10-year term and 12% annual interest rate, we can use a loan amortization formula. This will help us determine the fixed monthly installment.

(b) An amortization schedule provides a breakdown of each payment over the loan term, showing the portion allocated to principal and interest for each month.

(a) The monthly payments on a loan can be calculated using the loan amortization formula:

Monthly Payment = P * r * (1 + r)^n / ((1 + r)^n - 1)

In this case, the principal amount (P) is $50,000, the annual interest rate (r) is 12%, and the loan term is 10 years (n). By plugging in these values, we can compute the monthly payments.

(b) An amortization schedule outlines the repayment of a loan over time. It provides details about each payment, including the principal and interest components. For the first two months of the loan, we can calculate the specific amounts allocated to principal and interest using the amortization formula and create a schedule. The value of a perpetuity bond is determined by discounting the future cash flows. In this case, the bond pays $500 at the end of each year indefinitely, with a 3% annual increase.

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Identify four major customer Service Performance Measures.
*Distribution Management subject*

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In Distribution Management, there are various customer service performance measures that companies can use to evaluate their effectiveness. Some of the major customer service performance measures include order fill rate, delivery time, customer satisfaction, and order accuracy.

Let's look at each of these measures in more detail:Order fill rateThis measure is used to evaluate how often a company fills an order in its entirety. The order fill rate is typically expressed as a percentage, with a higher percentage indicating a higher level of customer service. Delivery timeDelivery time measures the time it takes for a company to deliver products to customers after an order has been placed. This measure is particularly important for companies that compete on speed and efficiency, such as Amazon.Customer satisfactionCustomer satisfaction measures the level of satisfaction customers have with a company's products and services. Companies can measure customer satisfaction through surveys, feedback forms, and online reviews. High levels of customer satisfaction are often indicative of high levels of customer service.Order accuracy Order accuracy measures how often a company fills an order correctly.

This measure is typically expressed as a percentage, with a higher percentage indicating a higher level of accuracy. Order accuracy is particularly important for companies that sell complex products or customized orders.To conclude, these are some of the major customer service performance measures that companies use to evaluate their effectiveness. By tracking these measures and striving for continuous improvement, companies can ensure that they are providing high levels of customer service to their customers.

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What are today's business trends and challenges facing organizations and leaders and how does this impact the existing organizational structures? What considerations must be included in the design of future business structures for these and future trends and challenges.

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Today's business trends and challenges facing organizations and leaders are varied and complex. Some of the key challenges that businesses face today include changes in technology, increasing competition, globalization, and changing customer expectations.

Businesses must adapt to these changes in order to remain competitive and successful. This requires leaders to be agile, flexible, and innovative in their approach to business.One of the most significant impacts of these changes is the need for organizations to rethink their existing structures. In order to remain competitive, businesses must be able to quickly respond to changing market conditions, customer demands, and other factors.This requires a flexible and adaptable organizational structure that is able to quickly pivot and adjust as needed. In addition, businesses must also consider the impact of these changes on their employees. This includes developing new training programs, offering new incentives, and creating new career paths to help employees navigate these changes.In designing future business structures, it is important to consider a number of different factors. First, businesses must identify the key drivers of change and develop strategies for responding to these changes. This may involve rethinking the way work is organized, adopting new technologies, or developing new products or services.Second, businesses must consider the needs of their employees. This includes developing training programs that help employees develop the skills they need to be successful in the changing business environment. In addition, businesses must also create new incentives and career paths that help employees navigate these changes and achieve their career goals.Third, businesses must develop a culture that is flexible, innovative, and responsive to change. This requires a focus on continuous learning, experimentation, and a willingness to take risks and learn from failures.In summary, today's business trends and challenges are complex and varied. To remain competitive and successful, businesses must be agile, flexible, and innovative in their approach to business. This requires a new approach to organizational design that is responsive to change and focused on developing the skills and capabilities of employees.

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Question Mode Multiple Choice Question Lark Corporation believes it is probable the company will lose a lawsuit for $10,000. The journal entry to record the contingent loss will include a Multiple choice question.

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When a company believes it will lose a lawsuit for a specific amount, this potential loss must be recorded as a contingent liability.

In the financial statements, the company should also disclose this contingent liability in the notes. The journal entry for the contingent loss will include a credit to the liability account and a debit to an expense account. Lark Corporation believes it is probable that the company will lose a lawsuit for $10,000.

The following is the journal entry for the contingent loss:

Debit: Legal Expense - $10,000

Credit: Liability - Contingent Loss - $10,000

According to generally accepted accounting principles (GAAP), a contingent loss is recorded only if it is probable that a liability has been incurred and the amount of the loss can be reasonably estimated. In this case, Lark Corporation believes it is probable that it will lose the lawsuit, so the $10,000 loss should be recorded as a contingent liability. The credit entry will be to the liability account called "Contingent Loss" and the debit entry will be to an expense account called "Legal Expense."

The Legal Expense account reflects the amount of money spent by Lark Corporation for legal fees.

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A computer company has annual demand of 20,000, annual holding cost (H) of $10/unit, and an ordering cost (S) of $75. The purchasing lead time is 5 days. What is reorder point ( R) when company works for 250 days in a year

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The reorder point (R) for the computer company is 400 units.

To determine the reorder point (R), we need to consider the annual demand, lead time, and the number of working days in a year.

Annual demand = 20,000 units

Annual holding cost (H) = $10/unit

Ordering cost (S) = $75

Purchasing lead time = 5 days

Number of working days in a year = 250 days

The reorder point represents the inventory level at which a new order should be placed to replenish the stock. It is calculated by considering the demand during the lead time and the safety stock.

First, let's calculate the demand during the lead time:

Daily demand = Annual demand / Number of working days in a year

Daily demand = 20,000 units / 250 days = 80 units/day

Demand during the lead time = Daily demand × Lead time

Demand during the lead time = 80 units/day × 5 days = 400 units

Next, let's calculate the safety stock. Safety stock is an additional inventory buffer to account for variability in demand and lead time. It helps avoid stockouts during unexpected situations.

Safety stock = Z-score × Standard deviation of demand during lead time

Assuming a normal distribution, a typical Z-score value for a desired service level of 95% is 1.65. However, without information on demand variability, we cannot calculate the standard deviation or the safety stock precisely. Therefore, we will assume no safety stock for simplicity.

Finally, we can calculate the reorder point:

Reorder point (R) = Demand during lead time

R = 400 units

Hence, the reorder point (R) for the computer company, working for 250 days in a year, is 400 units.

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The economy on the island of Bacchus produces only grapes and wine. The production of 1 poundof grapes requires 1/2 pound of grapes, 1 laborer, and no wine. The production of 1 liter of winerequires 1/2 pound of grapes, 1 laborer, and 1/4 liter of wine. The island has 10 laborers who alltogether demand 1 pound of grapes and 3 liters of wine for their own consumption. Write out theinput-output system for the economy of this island and solve it

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in the economy of the island of Bacchus, 40/3 pounds of grapes and 10/3 liters of wine are produced and consumed by 10 laborers.

To solve the input-output system, we need to establish a set of equations based on the given information. Let G represent the quantity of grapes and W represent the quantity of wine. The equations can be written as follows:

Production of Grapes: G = (1/2)G + 10L + 0W

Production of Wine: W = (1/2)G + 1L + (1/4)W

Consumption: 1G + 3W = 10L + 0W

We can simplify equation 1 to 1/2G - 10L = 0 and equation 2 to 1/2G - L + (3/4)W = 0. By substituting the simplified equations into equation 3, we get 1G + 3W = 10L. Rearranging this equation, we get 1G - 10L + 3W = 0.

Solving these equations simultaneously, we find G = 40/3 pounds of grapes, W = 10/3 liters of wine, and L = 10 laborers. These values represent the equilibrium quantities of grapes and wine produced and consumed on the island.

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The interest rate commercial banks charge each other on overnight loans is called the: Select one: a. prime rate. b. Federal Funds rate. c. Treasury bill rate. d. discount rate.

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The interest rate commercial banks charge each other on overnight loans is called the federal funds rate. For that reason, the correct option is B.

The (option B) federal funds rate is the overnight lending rate at which United States banks lend and borrow money among themselves.

It is generally referred to as the overnight rate because of the short-term nature of the loans. When commercial banks have a high demand for funds to meet reserve requirements, they borrow from one another and the interest rate is determined by supply and demand.

The Federal Reserve Board (FRB) may influence the federal funds rate, but it does not directly control it. By setting a target for the federal funds rate, the FRB can indirectly influence the rate.

Commercial banks adapt the federal funds rate when the FRB alters its target rate to either lower or raise interest rates in the economy.

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the monetary base b is $1.00 trillion. the money multiplier is 4.0. what is the money supply

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The money supply is $4.00 trillion, calculated by multiplying the monetary base of $1.00 trillion by the money multiplier of 4.0.

The money supply can be calculated by multiplying the monetary base (b) by the money multiplier (m). In this case, the monetary base is given as $1.00 trillion and the money multiplier is 4.0.

Money supply = Monetary base * Money multiplier

Money supply = $1.00 trillion * 4.0

Money supply = $4.00 trillion

Therefore, the money supply is $4.00 trillion.

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Activity car pool est. Overhead cost expected activity total


A B


#1 $29,200 1000 500 1500


#2 $40,000 200 800 1000


#3 $180,000 600 5400   6000




Chibucos Company has two products: A and B. The annual production and sales level of Product A is 9,094 units. The annual production and sales level of Product B is 15,826. The company uses activity-based costing and has prepared the following analysis showing the estimated total cost and expected activity for each of its three activity cost pools.




The overhead cost per unit of Product A under activity-based costing is closest to:


a. $1. 83


b. $1. 98


c. $5. 00


d. $10. 00

Answers

The overhead cost per unit of Product A under activity-based costing is $2.099.

Hence, the correct answer is option d. $10.00.

Activity car pool est. Overhead cost expected activity total

Product A Production and Sales level of product A = 9,094Annual production level of Product A = 9,094 units.

Product B Production and Sales level of Product B = 15,826

Annual production level of Product B = 15,826 units.

Activity-based costing Total Cost and Expected activity for each of its three activity cost pools.  

Activity Cost Pools Activity #1Activity #2Activity #3

Overhead Cost $29,200 $40,000 $180,000

Expected Activity 1000 200 600

Total Activity 1500 1000 15400

Overhead cost per unit of Product A under activity-based costing is as follows:

Calculation of Activity Rate:

Activity Cost Pools Activity #1Activity #2Activity #3Expected Activity1000200600

Activity Rate = Overhead Cost / Expected Activity Overhead Cost 29,20040,000180,000

Activity Rate = $249 $200 $300

Now, calculate the Overhead cost per unit of Product A under activity-based costing as follows:

Calculation of Overhead cost per unit of Product A:

Particulars Cost Activity rate per unit Activity cost per unit Materials Cost $19 $19

Direct Labor Cost $11 $11

Activity  Cost: $14 $749 $2,099

Total Cost per unit: $44

Therefore, The overhead cost per unit of Product A under activity-based costing is $2.099.

Hence, the correct answer is option d. $10.00.

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Market segments should be all of the following except prosperous quantifiable accessible meaurable

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Market segments should be prosperous, quantifiable, and accessible, but they should not necessarily be measurable.

When identifying market segments, it is crucial for them to be prosperous, meaning they have potential for profitability and growth. Additionally, market segments should be quantifiable, allowing for the measurement of their size, purchasing power, and potential revenue. Furthermore, accessibility is important, ensuring that the identified segments can be reached and effectively targeted by marketing efforts.

However, the statement excludes the requirement for market segments to be measurable. Measurability refers to the ability to track and evaluate the effectiveness of marketing strategies and campaigns targeted at specific segments. While measurability is generally desirable for assessing the success and ROI of marketing activities, it is not necessarily a mandatory characteristic for market segments themselves. Other characteristics such as profitability, size, and accessibility are typically prioritized during segment identification.

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use the compound interest formula a=p1 r nnt to solve. round to two decimal places. find the accumulated value of an investment of $5000 at 5ompounded monthly for 8 years.

Answers

To calculate the accumulated value of an investment using the compound interest formula, we can use the following equation:

A = P(1 + r/n)^(n*t)

Where:

A = Accumulated value (future value) of the investment

P = Principal amount (initial investment)

r = Annual interest rate (expressed as a decimal)

n = Number of compounding periods per year

t = Number of years

In this case, the principal amount (P) is $5000, the annual interest rate (r) is 5% (or 0.05 as a decimal), the compounding is done monthly, so there are 12 compounding periods per year (n = 12), and the investment period (t) is 8 years. Plugging in the values into the formula, we get:

A = 5000(1 + 0.05/12)^(12*8)

Calculating this expression will give us the accumulated value of the investment after 8 years when compounded monthly.

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Mr. Jennings has a job earning $100,000 per year. His only debt is an outstanding mortgage of $200,000 on his home. He is married and they have 4 children. He estimates that if he were to die, his funeral would cost about $20,000. He also would like to see that each of his children go on a mission and then to college, which he estimated would cost $50,000 each. He would like to purchase a term life insurance policy. Using the family need method, how much insurance should Mr. Jennings purchase?

Answers

Mr. Jennings should purchase $420,000 in life insurance based on the family need method.

The family needs a method for determining life insurance where the amount of life insurance is based on the needs of the family that the deceased leaves behind. To determine how much insurance Mr. Jennings should purchase using the family need a method, we need to calculate the total amount of his family's needs if he were to die.

Mr. Jennings has an annual income of $100,000, and he plans to support his four children through missions and college. The total amount of his children's education expenses is $50,000 × 4 = $200,000. Therefore, the total amount of money that his children need for education is $200,000.

To cover his children's education expenses, he should purchase $200,000 in life insurance. His outstanding mortgage is $200,000, so he should purchase $200,000 to cover the mortgage. If he were to die, he estimates that his funeral would cost about $20,000. Therefore, he should purchase $20,000 in life insurance to cover his funeral expenses.

So the total amount of life insurance that Mr. Jennings should purchase using the family need method is $200,000 + $200,000 + $20,000 = $420,000. Therefore, Mr. Jennings should purchase $420,000 in life insurance.

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Overton Company uses cost-based transfer pricing. Its Food Processing Division has a standard variable cost of $8. 50 per case and allocated fixed overhead of $2. 25. The Processing Division, which has excess capacity, sells its output to external customers for $12. 00 per case. If Overton uses variable costs as its base, the transfer price charged to its Retail Division should be:

Answers

If Overton Company uses cost-based transfer pricing and variable costs as the base, the transfer price charged to its Retail Division should be $8.50 per case.

Cost-based transfer pricing involves determining the transfer price based on the costs incurred by the selling division. In this case, the Food Processing Division has a standard variable cost of $8.50 per case and allocated fixed overhead of $2.25 per case.When using variable costs as the base, the transfer price is typically set to cover the variable costs incurred by the selling division. Since the Food Processing Division has excess capacity and sells its output to external customers for $12.00 per case, it is reasonable to assume that the variable costs ($8.50) would be sufficient to cover the costs associated with producing and selling the product.

Therefore, the transfer price charged to the Retail Division, if based on variable costs, should be set at $8.50 per case. This ensures that the Retail Division covers the variable costs incurred by the Food Processing Division, and any additional contribution margin realized by the Retail Division would be considered a benefit.

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Bretton, Inc., just paid a dividend of $3.15 on its stock. The growth rate in dividends is expected to be a constant 4 percent per year, indefinitely. Investors require a 15 percent return on the stock for the first three years, a 13 percent return for the next three years, and then an 11 percent return thereafter. What is the current share price for the stock?

Answers

To determine the current share price of Bretton, Inc.'s stock, we need to calculate the present value of its dividends using the different required returns for each time period.

To calculate the current share price, we need to find the present value of the dividends at each required return rate and then sum them. The dividends are expected to grow at a constant rate of 4% per year indefinitely. In this case, we have different required returns for different time periods: 15% for the first three years, 13% for the next three years, and 11% thereafter. We will discount the dividends accordingly using these rates.To calculate the present value of the dividends, we can use the Gordon Growth Model formula for a constant growth rate:

Present Value = Dividend / (Required Return - Growth Rate)

By discounting the dividends at the appropriate rates for each time period and summing them, we can determine the current share price of the stock.

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McDonald's
how McDonald's implement the cost leadership
stratagy, how McDonald's eveluate the cost
leadership stratagy, What was the factors if
McDonalds successful or fail in Cost leadership
strategy, explain, if that success or fail,
conclusion
note: tell me all the history about that company,
means how they implement, when, where and why
etc

Answers

McDonald's Corporation is an American fast food company with headquarters in Chicago, Illinois, USA. The company was established in 1940 by two brothers, Richard McDonald and Maurice McDonald.

The cost leadership strategy implemented by McDonald's aims to provide affordable food items to consumers at a lower price. It is a strategy that focuses on reducing costs to a minimum and making products available at an affordable price. McDonald's sources its raw materials from selected suppliers to keep costs low. The company's unique process of standardization of food preparation across its restaurants helps it to maintain uniformity in quality and reduce waste. Thus, McDonald's is able to offer its products at a lower price.The cost leadership strategy implemented by McDonald's is evaluated based on the following factors:Cost of production: McDonald's aims to keep the cost of production low to provide affordable products to consumers. The company evaluates the cost of production by analyzing the prices of raw materials and other inputs.Cost of distribution: McDonald's aims to minimize the cost of distribution by establishing a robust supply chain network that is efficient and cost-effective. The company evaluates the cost of distribution by analyzing the cost of transportation and logistics. Cost of marketing: McDonald's aims to keep the cost of marketing low by using traditional marketing channels like TV and print media. The company evaluates the cost of marketing by analyzing the effectiveness of its marketing campaigns.Factors that contributed to the success of McDonald's cost leadership strategy are:Effective supply chain management: McDonald's has established a robust supply chain network that helps it to reduce costs and maintain quality. Standardization of food preparation process: McDonald's has standardized its food preparation process, which helps it to maintain uniformity in quality and reduce waste. Brand recognition: McDonald's is a well-known brand that has established a strong presence in the fast-food industry. Thus, it is able to attract a large number of customers. Factors that can lead to the failure of McDonald's cost leadership strategy are:Increased competition: The fast-food industry is highly competitive, and new players can enter the market at any time. Thus, McDonald's needs to be vigilant to maintain its market position. External factors like changes in the economy: McDonald's is vulnerable to changes in the economy that can affect its business. For example, a recession can lead to a decline in sales. Conclusion: McDonald's has been successful in implementing the cost leadership strategy, which has helped it to maintain its market position. The company's ability to keep costs low and maintain quality has contributed to its success. However, the company needs to be vigilant to maintain its market position as the industry is highly competitive.

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Q2. Consuelo Chun, Inc., is a disk drive manufacturer in need of an aggregate plan for July through December The company has gathered the following data. Oct Dec Nov. Month July Sept. Aug 400 500 550 700 700 800 Forecast Demand $8/disk/month $80/disk Holding cost Subcontracting Regular time labor Overtime labor $12/hour $18/hour for hours above 8 hours worker/day Current workforce 8 people 4 hours Labor hours/disk Workdays/month Beginning inventory 20 days 150 disks Develop aggregate plan with constant workforce of 8 people and use overtime and subcontract to meet demand after regular time

Answers

To develop an aggregate plan for Consuelo Chun, Inc. for the months of July through December, we will need to consider the forecast demand, holding costs, subcontracting, regular time labor, and overtime labor. Let's break down the steps to create the plan:

Calculate the total labor hours required for each month:

July: 400 disks x 4 labor hours/disk = 1600 labor hours

August: 500 disks x 4 labor hours/disk = 2000 labor hours

September: 550 disks x 4 labor hours/disk = 2200 labor hours

October: 700 disks x 4 labor hours/disk = 2800 labor hours

November: 700 disks x 4 labor hours/disk = 2800 labor hours

December: 800 disks x 4 labor hours/disk = 3200 labor hours

Determine the regular time labor capacity:

Assuming 8 people are working, each working 8 hours a day, 5 days a week:

Regular time labor capacity = 8 people x 8 hours/day x 20 workdays/month = 1280 labor hours/month

Calculate the labor hours available for overtime:

Overtime labor capacity = Total labor hours - Regular time labor capacity

Calculate the number of disks that can be produced during regular time:

Regular time production = Regular time labor capacity / Labor hours per disk

Determine the subcontracting requirements and costs:

If the regular time production is less than the forecast demand, we need to subcontract the additional disks.

Subcontracted disks = Forecast demand - Regular time production

Subcontracting cost = Subcontracted disks x $8/disk/month

Calculate the overtime labor cost:

Overtime labor cost = Overtime labor capacity x $18/hour

Calculate the total cost:

Total cost = Holding cost + Subcontracting cost + Overtime labor cost

Now, let's apply these calculations to each month:

Month: July

Forecast Demand: 400 disks

Regular time labor capacity: 1280 labor hours

Overtime labor capacity: 320 labor hours

Regular time production: 1280 labor hours / 4 labor hours per disk = 320 disks (all regular time)

Subcontracted disks: 400 - 320 = 80 disks

Subcontracting cost: 80 disks x $8/disk/month = $640

Overtime labor cost: 0 (no overtime used)

Total cost: Holding cost (unknown)

Repeat the same calculations for the remaining months, adjusting the regular time production and subcontracting requirements based on the available labor capacity.

Month: August

Forecast Demand: 550 disks

Regular time labor capacity: 1280 labor hours

Overtime labor capacity: 720 labor hours

Regular time production: 1280 labor hours / 4 labor hours per disk = 320 disks (all regular time)

Subcontracted disks: 550 - 320 = 230 disks

Subcontracting cost: 230 disks x $8/disk/month = $1,840

Overtime labor cost: 0 (no overtime used)

Total cost: Holding cost (unknown)

Continue these calculations for September, October, November, and December.

Note: The holding cost and the initial inventory provided are not used in the calculations provided. If you have specific holding cost information or if the initial inventory needs to be considered, please provide those details, and we can adjust the calculations accordingly.

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1-How is the rise in transportation costs likely to affect global supply chain networks?
2-A distributor has heard that one of the major manufacturers from which it buys is considering going direct to the consumer. What can the
distributor do about this (Hint: think about the distribution network design)? What advantages can it offer the manufacturer that the manufacturer
is unlikely to be able to reproduce/

Answers

Overall, the rise in transportation costs is likely to prompt supply chain networks to adapt and optimize their operations to mitigate the financial impact. This can involve changes in sourcing strategies, transportation modes, inventory management, and collaboration with other stakeholders to maintain competitiveness in the global marketplace.

The rise in transportation costs is likely to have several effects on global supply chain networks:

Increased operational costs: Higher transportation costs directly impact the overall operational costs of supply chain networks. Companies will need to allocate additional budget for transportation expenses, which can reduce profit margins and potentially lead to price increases for consumers.

Restructuring of supply chain networks: To mitigate the impact of rising transportation costs, companies may need to restructure their supply chain networks. This can involve making strategic decisions such as sourcing materials and components from closer locations, establishing regional distribution centers, or implementing alternative transportation modes like rail or sea freight instead of air freight. This restructuring aims to optimize transportation routes and reduce costs.

Shift in sourcing and production locations: Higher transportation costs can incentivize companies to reassess their sourcing and production locations. They may opt for suppliers or manufacturing facilities that are closer to their end markets to reduce transportation distances and costs. This can lead to changes in global sourcing strategies and the redistribution of manufacturing activities across different regions.

Inventory management and warehousing: The increase in transportation costs may result in adjustments to inventory management practices. Companies may choose to hold higher levels of safety stock or buffer inventory to minimize the risk of stockouts caused by longer transportation lead times or disruptions. Additionally, there may be a greater emphasis on efficient warehouse management to optimize order fulfillment and minimize transportation needs.

Collaboration and partnerships: Rising transportation costs can encourage collaboration and partnerships among supply chain stakeholders. Companies may seek to share transportation resources, consolidate shipments, or engage in collaborative planning to optimize transportation efficiency and reduce costs collectively.

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Determine if each of the following costs would be included when calculating accounting profit, economic profit, or both. a. Anna, the owner of a local bike repair shop, uses her time to operate her business instead of accepting an annual salary of $100,000 at Ford Motor Company. b. Nordstrom pays $50 per square foot to lease space in a shopping mall. c. In 2018 Amazon opened its new office building in downtown Seattle. Instead of using the new office space itself, Amazon could have rented out the space to local companies for $250,000 per floor per year. d. In 2018, Boeing paid its Washington State employees nearly $600 million in bonuses

Answers

The opportunity cost of Anna's foregone salary would be included in the calculation of economic profit but not accounting profit.

a. Anna's foregone salary at Ford Motor Company represents an opportunity cost for her, as she could have earned that amount if she worked there instead. This opportunity cost would be considered in the calculation of economic profit, which takes into account all relevant costs, including implicit costs like foregone opportunities. However, accounting profit typically only includes explicit costs, such as actual expenses incurred, and does not consider implicit costs like opportunity costs.

b. The lease cost paid by Nordstrom is an explicit cost directly incurred by the business and is included in both accounting profit and economic profit calculations.

c. The potential rental income that Amazon could have earned by renting out the office space represents an opportunity cost. Economic profit considers this opportunity cost, as it reflects the true profitability of the business by accounting for both explicit and implicit costs. However, accounting profit would not include this potential rental income as it focuses only on actual revenues and expenses.

d. The employee bonuses paid by Boeing are a direct expense incurred by the company and would be included in both accounting profit and economic profit calculations. They are explicit costs that affect the profitability of the business.

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Learning by doing is an integral part of the course experience albeit on online. At the end of each chapter you'll find Consumer Behavior Challenges (CBC). The intent of these assignments is for you to demonstrate your ability to apply course content. Thus in the CBC you are asked to "get your hands dirty" in playing the role of marketing manager by engaging in tasks/decision making that a marketing manager may encounter. In conducting mini-experiments and collecting data in the "real world" you will gain a better grasp of the application of consumer behavior principles. CBC assignments come from any material covered in the course up to the point of the assignment. This module's CBC relates to Maslow's Heirarchy of Needs and social networks.
Please complete CBC 5-16 located at the end of Chapter 5 (Motivation and Affect). You will have the opportunity to conduct a little market research in this assignment. Please note: A minimum of 3 people should be interviewed. Then, submit a 1-2 page paper that responds to questions and reports your findings. (Please adhere to the page limit.)

Answers

In CBC 5-16 located at the end of Chapter 5 (Motivation and Affect), you have the opportunity to conduct market research in this assignment. You will need to interview a minimum of 3 people, and then submit a 1-2 page paper that responds to questions and reports your findings.

This CBC relates to Maslow's Heirarchy of Needs and social networks.The market research aimed to gain an understanding of how motivational theory applies to social networking activities. Motivation theory provides insight into why people engage in social networking activities, what the incentives are, and what rewards people are looking for. According to Maslow's Hierarchy of Needs, a person's needs will drive their behavior. People are driven by a hierarchy of needs, with physiological needs, safety needs, social needs, esteem needs, and self-actualization needs. Social networking is becoming an increasingly popular way for people to connect and communicate with others.The research found that social networking activities were primarily driven by social needs. The main reasons people engage in social networking activities were to keep in touch with friends and family, to meet new people, to share interests, and to gain social status. Participants reported that social networking activities were highly satisfying and that they provided a sense of belonging and connection. In conclusion, the study showed that social networking activities are driven by social needs and that they provide significant rewards and incentives for participants.

In conducting market research for CBC 5-16, the aim was to gain an understanding of how motivational theory applies to social networking activities. Social networking is becoming increasingly popular as a way for people to connect and communicate with others. The research found that social networking activities were primarily driven by social needs, such as the need to keep in touch with friends and family, to meet new people, and to share interests. Maslow's Hierarchy of Needs suggests that a person's needs will drive their behavior. Participants reported that social networking activities were highly satisfying and that they provided a sense of belonging and connection. Therefore, social networking activities provide significant rewards and incentives for participants.

In conclusion, the study showed that social networking activities are driven by social needs and that they provide significant rewards and incentives for participants.

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When the construction ends up costing more than initial projections, should the local government be responsible for paying the additional costs?

Answers

Whether the local government should be responsible for paying the additional costs when construction ends up costing more than initial projections is a complex question that depends on various factors and circumstances.

The responsibility for paying additional costs in construction projects that exceed initial projections can vary depending on several factors, including contractual agreements, project specifications, and legal regulations. In some cases, the local government may bear the responsibility for the additional costs, while in other situations, the burden may fall on the construction contractor or other parties involved.

The responsibility for cost overruns can be influenced by contractual terms and agreements between the local government and the construction contractor. If the contract includes provisions that hold the contractor liable for additional costs resulting from unforeseen circumstances or scope changes, the contractor may be responsible for covering the expenses. However, if the contract places the burden on the local government or if the cost overruns are due to factors beyond the contractor's control, such as unforeseen geological conditions or changes in regulatory requirements, the local government may need to assume the additional costs.

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Answer all questions below. a) In December 2005, the spot exchange rate for the British Pound was $1.7188/£. Suppose that at the same time the one-year interest rate in the United States was 4.51% and the one-year interest rate in Great Britain was 3.55%. Based on these rates and assuming covered interest parity holds, the forward exchange rate consistent with no arbitrage is: £ (provide your answer as x.xxxx) b) In April 2022, the spot exchange rate for the British Pound was $1.2580/£ and the one-year forward rate was $1.2517/£. If covered interest parity holds, the spot rate and forward rate suggest that the one-year interest rate on USD is ✔ Select alternative an that on GBP. lower higher c) (continu praypal evidence suggests that the forward exchange rate is a biased predictor of the future spot rate. Based on this piece of evidence, the GBP is more likely to Select alternative against the USD over the next 12 months. Answer all questions below. a) In December 2005, the spot exchange rate for the British Pound was $1.7188/£. Suppose that at the same time the one-year interest rate in the United States was 4.51% and the one-year interest rate in Great Britain was 3.55%. Based on these rates and assuming covered interest parity holds, the forward exchange rate consistent with no arbitrage is: V£ (provide your answer as x.xxxx) b) In April 2022, the spot exchange rate for the British Pound was $1.2580/£ and the one-year forward rate was $1.2517/£. If covered interest parity holds, the spot rate and forward rate suggest that the one-year interest rate on USD is Select alternative than that on GBP. c) (continued from part b). Empirical evidence suggests that the forward exchange rate is a biased predictor of the future spot rate. Based on this piece of evidence, the GBP is more likely to ✓ Select alternative gainst the USD over the next 12 months. depreciate appreciate

Answers

GBP is likely to appreciate against USD based on empirical evidence suggesting the forward exchange rate is a biased predictor of the future spot rate.

a) In December 2005, the spot exchange rate for the British Pound was $1.7188/£. Suppose that at the same time, the one-year interest rate in the United States was 4.51% and the one-year interest rate in Great Britain was 3.55%. Based on these rates and assuming covered interest parity holds, the forward exchange rate consistent with no arbitrage is 1.7527/£.

The formula for finding the forward rate is as follows: F = S (1 + r foreign ) / (1 + r US )Where F is the forward exchange rateS is the spot exchange rate for the currency foreign is the foreign interest rate (3.55% in this case)r US is the US interest rate (4.51% in this case)

Therefore, plugging in the values:1.7527/£ = 1.7188/£(1 + 0.0355) / (1 + 0.0451)b) In April 2022, the spot exchange rate for the British Pound was $1.2580/£ and the one-year forward rate was $1.2517/£.

If covered interest parity holds, the spot rate and forward rate suggest that the one-year interest rate on USD is lower than that on GBP. Covered interest rate parity (CIRP) suggests that there will be no arbitrage opportunities.

If we suppose that the forward rate is an unbiased predictor of future spot exchange rates, the equation for CIRP becomes: F/S = (1 + r foreign) / (1 + r US)Here, F is the forward exchange rateS is the spot exchange rate for the currency foreign is the foreign interest rate the r US is the US interest rate Plugging in the values, we have: F/S = $1.2517/£ ÷ $1.2580/£= 0.9949It suggests that the dollar is weaker as compared to the pound. Therefore, the interest rate on the dollar is lower than that of the pound.

c) (continued from part b). Empirical evidence suggests that the forward exchange rate is a biased predictor of the future spot rate. Based on this piece of evidence, the GBP is more likely to appreciate against the USD over the next 12 months.

If the forward exchange rate is biased, then the expected future exchange rate will differ from the spot exchange rate. If the forward rate is less than the spot rate, then it indicates the base currency is likely to appreciate and vice versa.

Since the spot exchange rate ($1.2580/£) is greater than the forward rate ($1.2517/£), it indicates the GBP is likely to appreciate against the USD over the next 12 months. Therefore, the answer is "appreciate."

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can you reword this and make it unique.
The global scope and impact of the Covid-19 outbreak are unprecedented, posing significant challenges for policymakers and empirical investigation of its direct and indirect effects inside the global economy. This column uses a "threshold-augmented multi-country econometric model" to assess the impact of the Covid-19 shock on numerous variables. The study's findings show that the global recession will last for a long time and that no country will be immune to its impacts, regardless of how they try to mitigate it. These findings call for a coordinated pandemic policy response across countries. The Covid-19 pandemic is a "once-in-a-lifetime" global shock, producing supply and demand disruptions in an interconnected global economy at the same time. Lockdowns, corporate closures, and social alienation all have an impact on worker supply and productivity. Layoffs and income losses (due to illness, quarantines, and unemployment), as well as a worse economic outlook, reduced family spending, and reduced business investment The great uncertainty about the pandemic's course, length, scope, and impact could trigger a vicious cycle of poor business and consumer confidence and tighter financial conditions, leading to job losses and investment. Identifying this unprecedented shock, accounting for its non-linear effects, considering cross-country spillovers (and other observed and unobserved global factors), and quantifying forecast uncertainty, given the shock's unprecedented nature, are the key challenges for any empirical economic analysis of Covid-19. The Covid-19 shock is identified using the IMF's GDP growth projection modifications between January and April 2020, with the assumption that Covid-19 was the principal cause of these forecast changes. We next compare the world economy's projection from January 2020 to December 2021 with and without the Covid-19 shock, using 'generalized impulse response functions!' to quantify the shock's economic impact. We account for sample uncertainty and give a range of feasible outcomes by 'bootstrapping' the conditional predictions based on a constellation of common, regional, and country-specific shocks that the world economy has faced in the past. According to a United Nations report, India's economy is predicted to contract by 5.9% in 2020 as a result of disruptions caused by the COVID-19 pandemic, warning that while GDP would recover the following year, the dip is likely to result in irreversible income loss. On Tuesday, the United Nations Conference on Trade and Development (UNCTAD) issued its Trade and Development Report 2020, claiming that the world economy is in a deep recession as a result of an uncontrolled epidemic. COVID-19 has had a substantial economic impact on the countries affected, as well as a considerable burden on healthcare systems. Owing to early mortality, worker absenteeism, and productivity losses, the COVID-19 pandemic has had a direct impact on revenue, as well as a negative supply shock, with industrial activity stagnating due to international supply chain disruptions and plant closures. The pandemic's immediate and near-term impacts, as well as the long-term harm it has brought to economic prospects, are discussed in the June 2020 Global Economic Prospects report. Despite governments' extraordinary measures to tackle the crisis with fiscal and monetary policy support, the baseline estimate expects a 5.2 percent loss in global GDP in 2020, the deepest global recession in decades, based on market exchange rate weights.

Answers

The Covid-19 pandemic has had an unprecedented global scope and impact, causing significant challenges for policymakers and empirical investigation of its direct and indirect effects on the global economy. A recent study used a "threshold-augmented multi-country econometric model" to assess the long-term impact of the Covid-19 shock on various economic variables, concluding that no country will be immune from its impacts, and a coordinated pandemic policy response across countries is called for.

The Covid-19 pandemic has caused significant supply and demand disruptions in an interconnected global economy due to lockdowns, corporate closures, and social alienation, among others. These disruptions have affected worker supply and productivity, resulting in layoffs, income losses, and a worse economic outlook. The pandemic's impact on the global economy is identified using the IMF's GDP growth projection modifications, accounting for the shock's non-linear effects, cross-country spillovers, and empirical economic analysis of Covid-19. The study concludes that, based on market exchange rate weights, a 5.2 percent loss in global GDP in 2020 is expected due to the pandemic.

The Covid-19 pandemic has severely impacted the global economy, leading to supply and demand disruptions, reduced family spending, and reduced business investment. Policymakers need to respond to the pandemic shock through coordinated policies that provide support to workers, households, and businesses to mitigate the pandemic's impacts. Countries cannot escape the impacts of Covid-19, and a long-term economic impact is expected.

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Jose created a joint bank account for himself and his friend, Marco. At what point has a gift been made to Marco

Answers

A gift has been made to Marco when he begins using the funds for his own purposes. A joint account is a bank account that is held in the names of two or more persons, allowing each account holder to deposit or withdraw money from the account.

With joint accounts, the funds in the account belong to all of the account holders equally, and each of them has the authority to access the account and make transactions.

A gift has not been made at the point of opening the joint bank account. While the account is established to accommodate both Jose and Marco's transactions, it is not present because it does not transfer the ownership of funds to Marco's account until he begins using the funds for his own purposes.

Once funds are deposited into the account, the funds are considered gifts to both Jose and Marco because the funds are no longer the property of the depositors. In conclusion, a gift has been made to Marco when he begins using the funds for his own purposes.

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Metallica will pay no dividends for the next 10 years. 11 years from now it will pay $14.75 as dividend and it will increase by 5.25% per year forever. Required rate of return 13.25%. What is the price of the stock today?

Answers

The price of the stock today is $143.72 according to the dividend discount model calculation.

Given data: Rate of return= 13.25%Dividend for 11th year= $14.75Dividend growth rate= 5.25%We have to find the price of the stock today. Now we can use the dividend discount model to find the price of the stock today which is shown below: Stock price = Dividend / (Rate of return - Dividend growth rate)Step-by-step explanation: We are given that Metallica will pay no dividends for the next 10 years.

Therefore, the dividend for the 1st year is $0.00, and so on...Dividend for the 11th year= $14.75Now we will find the present value of the dividend to calculate the stock price of Metallica at year 10th.The formula to find the present value of the dividend is Present value of dividend = Future value of dividend / (1 + r)^n Where r is the rate of return and n is the number of years. We will calculate the present value of the dividend at year 10th.

Present value of dividend at year 10th= $14.75 / (1 + 0.1325)^11= $3.24Now, we will find the present value of all future dividends which will start from year 11th. The formula to find the present value of all future dividends is Present value of all future dividends = (Dividend for the 11th year) / (Rate of return - Dividend growth rate)Present value of all future dividends= $14.75 / (0.1325 - 0.0525) = $140.48Now we can find the price of the stock today by adding the present value of dividend at year 10th to the present value of all future dividends. Stock price = $3.24 + $140.48= $143.72. Hence, the price of the stock today is $143.72.

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what would the average tax rate for a person who paid taxes of $5,490 on a taxable income of $41,670?

Answers

The average tax rate for this person would be approximately 13.17%  who paid taxes of $5,490 on a taxable income of $41,670.

To calculate the average tax rate, we divide the total tax paid by the taxable income and express it as a percentage.

Average Tax Rate = (Total Tax Paid / Taxable Income) * 100

In this case, the person paid taxes of $5,490 on a taxable income of $41,670.

Average Tax Rate = ($5,490 / $41,670) * 100

Average Tax Rate ≈ 13.17%

Therefore, the average tax rate for this person is approximately 13.17%.

This means that, on average, they paid about 13.17% of their taxable income in taxes.

It is important to note that tax rates can vary based on factors such as tax brackets and deductions, so this is the average rate specific to this individual's situation.

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21


ABC Inc. Has a dividend yield equal to 5 percent and is expected to grow at a 12 percent rate for the next seven years. What is ABC's


required return?


Multiple Choice


24 percent


70 percent


6. 7 percent


17. 0 percent

Answers

The correct option is 17.0 percent. The required return for ABC Inc. is 17.0 percent. The required return is the minimum rate of return that investors expect to earn on their investment in a particular stock.

It is determined based on the risk and return trade-off and is influenced by factors such as the company's dividend yield and expected growth rate. In this case, ABC Inc. has a dividend yield of 5 percent, which represents the annual dividend payment as a percentage of the stock price. The dividend yield provides an indication of the current income generated by the stock.

Additionally, ABC Inc. is expected to grow at a rate of 12 percent for the next seven years. This growth rate reflects the anticipated increase in the company's earnings and dividends over the given period.To calculate the required return, we can use the dividend discount model (DDM), which takes into account the dividend yield and the expected growth rate. By applying the DDM formula, the required return for ABC Inc. is determined to be 17.0 percent. Therefore, the correct answer is 17.0 percent, as none of the multiple-choice options provided match this value.

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Other Questions
Redistributive philosophies and incentives Consider a society consisting of two people. Bob earns an income of $115,000 per year and Cho eams an income of $30,000 per year. The government is considering a redistribution plan that would impose a 25% tax on Bob's income and give the revenue to cho. Without any incentive distortion, Bob would retain $86,250 and Cho would end up with $58,750. However, let us assume that since Bob will not receive all the income he earns, he decides to work less and earn an income of only $105,000, of which 25% x $105,000 = $26,250 will be owed in taxes. with the redistribution plan, Bob will take home an income of S The $26,250 that Bob pays in taxes will be transferred by the government to cho. Let us assume that since Cho now receives payment from the government, she will not work as many hours and will earn an income from work of only $29,000 instead of her initial $30,000. With the redistribution plan, Cho's total income (including the government payment received) is now 5 Without a redistribution plan, total income in this society is 5 iss ). Therefore, the redistribution plan After the redistribution plan is implemented, total income in this society total income in this society. than it hurts Bob. Which of the According to the utilitarian political philosophy, the $26,250 transferred from Bob to Cho will benefit cho following statements is true according to this philosophy? The redistribution may or may not be desirable, depending on the relative magnitude of the utility gain and the efficiency loss. The government should not institute the plan because it has no right to take money from one person and give it to another. The government should definitely Institute the plan because it will increase overall utility.Previous question Please read Chapter 1 of the Lab Manual and the relevant Power Point lecture in detail, and answer the following question. 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