Take a quick look at all the market segments by clicking on the SEGMENTS/SUMMARY tab. As you analyze the opportunity for each segment, pay particular attention to the DEMOGRAPHICS for each segment. As you do so, note the SEGMENT SIZE of each market and its GROWTH RATE. From looking at the information provided about each segment, which segment represents the greatest portion of the entire market at close to 36%?

Answers

Answer 1

Question Completion:

Demographic Data on Market Segments

Segment                         Market   Growth   Purchase   Average

                                          Size        Rate     Behavior      Price  

Urban Commuters       20,000         3%          23%        $45.00

School Children            35,000         1%          20%        $24.00

Outdoor Enthusiasts     14,000         5%          12%        $90.00

Luxury Trend Followers 5,000         7%           11%        $70.00

University Students      24,000        5%           15%       $32.00

Answer:

From looking at the information provided about each segment, the segment which represents the greatest portion of the entire market at close to 36% is:

School Children.

Explanation:

a) Data and Calculations:

Demographic Data on Market Segments

Segment                         Market   Growth   Purchase   Average   Market

                                          Size        Rate     Behavior      Price       Size %

Urban Commuters       20,000         3%          23%        $45.00     20.4%

School Children            35,000         1%          20%        $24.00     35.7%

Outdoor Enthusiasts     14,000         5%          12%        $90.00      14.3%

Luxury Trend Followers 5,000         7%           11%        $70.00        5.1%

University Students      24,000        5%           15%       $32.00      24.5%

Total market size         98,000

b) Market Size in percentage is computed as a ratio of each market segment to the total market size.  Companies engage in market segmentation and sizing by dividing a target market into smaller, more defined categories that share similar characteristics such as demographics, interests, needs, or locations.  The purpose is to identify the different groups within the target market so that more tailored and valuable goods and services can be provided to meet the customers' sweet spots.


Related Questions

Refer to the portions of the 2018 and 2019 balance sheets provided below. Calculate the change in net working capital during the year 2019. 2018 2019 2018 2019 Cash $360 $710 Notes Payable $510 $550 Accts. Receivable $1,190 $1,070 Accounts Payable $720 $830 Inventory $840 $930 Long Term Debt $1,180 $1,090

Answers

Answer:

$1,330

Explanation:

Change in net working capital during the year 2019 is computed as

= Current assets - Current liabilities

Current assets 2019 = Cash $710 + Accounts receivables $1,070 + Inventory $930

Current assets = $2,710

Current liabilities 2019 = Notes payable $550 + Accounts payable $830

Current liabilities = $1,380

Therefore,

Change in net working capital during the year 2019

= $2,710 - $1,330

= $1,330

The Harris company has 3 options for a new production process. A Labor-Intensive process (A) would cost $350,000 for equipment and $35 for labor and materials for each item produced. A More Automated process (B) costs $970,000 in equipment but has a labor/material cost of $30 per item produced. A Fully Automated process (C) costs $2,510,000 for equipment and $22 per item produced. Based solely on cost, for what range of production should process B be chosen

Answers

Answer:

B is more profitable when the production level is higher than 124,000 units, but lower than 192,500

Explanation:

the difference between B and A per unit = $5

the difference in investment = $970,000 - $350,000 = $620,000

B is more profitable when total output is higher than $620,000 / $5 = 124,000 units

the difference between C and A = $8

the difference in investment = $2,510,000 - $970,000 = $1,540,000

C is more profitable when total output is higher than $1,540,000 / $8 = 192,500 units

What is the purpose of a relational database?

It stores data in multiple tables.
It checks information for accuracy.
It identifies charts for displaying data.
It prevents users from accessing a database.

Answers

Answer:

A relational database organizes data into tables which can be linked—or related—based on data common to each. This capability enables you to retrieve an entirely new table from data in one or more tables with a single query.

Answer:

It stores data in multiple tables.

Explanation:

The benefits or reviewing procedures for ordering products and services

Answers

Answer:

They provide more detail and utility than a basic expense record. ...

They're the foundation of a reliable purchasing process. ...

They improve organisation for multiple projects and processes. ...

They provide clear and highly detailed levels of communication to all parties.

Explanation:

When the classical model of decision making is said to be normative, this means: The model is most useful for nonprogrammed decisions The model is best suited for conditions of high uncertainty. The model defines how people actually make decisions, under less than ideal conditions. The model defines how people should ideally make decisions

Answers

Answer:

The model defines how people should ideally make decisions.

Explanation:

A positive statement can be defined as any statement that is typically based on empirical evidence and as such can be tested, proven and verified. Also, a positive statement can be amended or rejected based on evidences that are available.

On the other hand, a normative statement can be defined as any statement that can't be tested, proven or verified because it is judgmental and based on opinions.

The classical model of decision making is a strategic process which assumes that managers (decision makers) are well furnished with large amounts of information and as such are able to practically process the information for decision making.

When the classical model of decision making is said to be normative, this means the model defines how people should ideally make decisions.

Rousey, Inc., had a cash flow to creditors of $16,380 and a cash flow to stockholders of $6,740 over the past year. The company also had net fixed assets of $49,380 at the beginning of the year and $56,740 at the end of the year. Additionally, the company had a depreciation expense of $11,940 and an operating cash flow of $50,265. What was the change in net working capital during the year?

Answers

Answer:

$7,845

Explanation:

Calculation for What was the change in net working capital during the year

First step is to calculate the Cash flow from assets

Cash flow from assets = $16,380 + 6,740

Cash flow from assets= $23,120

Second step is to calculate the Net capital spending

Net capital spending = $56,740 − 49,380 + 11,940

Net capital spending = $19,300

Now let calculate the Change in net working capital

Change in net working capital = $50,265 − 19,300 − 23,120

Change in net working capital= $7,845

Therefore the change in net working capital during the year will be $7,845

Calculate the selling price per unit charged by the outside supplier that would make ABC Company economically indifferent between making and buying the part. Enter your answer with two places after the decimal point (i.e., 78.90).

Answers

Question Completion:

ABC Company makes 40,000 units per year of a part it uses in the products it manufactures. The per unit product cost of this part is shown below:

Direct materials = $15.30

Direct labor =         27.40

Variable overhead   2.10

Fixed overhead =  24.70

Total =                 $69.50

An outside supplier has offered to sell ABC Company 40,000 units of this part a year for $66.10 per unit. If ABC Company accepts this offer, the facilities now being used to make this part could be used to make more units of a product that is in high demand. The additional contribution margin that could be earned on this other product would be $100,000 per year. If ABC Company accepts the outside supplier's offer, $21.90 of the fixed overhead cost being applied to the part would be eliminated. The remaining amount would continue to be incurred and would be allocated to the company's remaining products.

Calculate the selling price per unit charged by the outside supplier that would make ABC Company economically indifferent between making and buying the part. Enter your answer with two | places after the decimal point (i.e., $78.90)

Answer:

ABC Company

The selling price that the outside supplier would charge ABC Company to make it economically indifferent between making and buying the part is:

= $90.50

Explanation:

a) Data and Calculations:

Required annual quantity of the part = 40,000 units

Outside supplier's price per unit =                 $66.10

Total savings =                                                  24.40

Total price for ABC to be indifferent =         $90.50

Savings from outside supply:

Additional contribution ($100,000/40,000) = $2.50

Eliminated fixed costs =                                  $21.90

Total savings =                                                $24.40

b) ABC Company would be indifferent and equally satisfied if the outside supplier charges it $90.50 or it makes the part at a per-unit cost of $69.50 while it loses a benefit or savings (otherwise called opportunity cost) of $24.40.

What is the main difference between private and government consumer advocacy employers?

a. working directly with consumers
b. who is allowed to work for them
c. funding resources
d. allowance of lobbyism

Answers

Answer:

C. funding resources

Your welcome :)

You are the owner of a winter sporting goods store and recently purchased a shipment of 60 sets of snowboards and snowboard bindings at a total cost of $29,000. (You were unable to purchase separately, and the smallest order was for a set of 60.) The community in which your store is located consists of many different types of snowboarders, ranging from expert to beginners. From historical data, you know that different snowboarders value snowboards and bindings differently. However, you cannot profitably price discriminate because you cannot prevent resale (arbitrage). Market research shows there are about 20 advanced snowboarders who value snowboards at $350 and bindings at $250, 20 intermediate snowboards who value snowboards at $250 and bindings at $275, and 20 beginning snowboarders who value snowboards at $175 and bindings at $325. Compare the profits earned under the following two pricing strategies: Selling snowboards and bindings separately at the profit-maximizing prices Bundling snowboards and bindings and selling for one price

Answers

Answer:

Profits Comparison:

                Sold Separately       Bundled

Revenue          $32,500            $30,000

Costs                 29,000              29,000

Profits               $3,500               $1,000

The calculations show that it is far better to sell the snowboards and bindings separately at the profit-maximizing prices than bundling them and selling for one price.

This is because, if the single price is more than $500, the beginners might not buy the items and they will remain unsold.

Explanation:

a) Data and Calculations

Cost of purchase of 60 sets of snowboards and snowboard bindings = $29,000

Unit cost of a set of snowboard and binding = $483.33 ($29,000/60)

Snowboarders             Advanced    Intermediate    Beginners   Average

Number                           20                   20                   20

Snowboards                  $350              $250               $175            $258.33

Bindings                          250                 275                325            $283.33

Total                              $600              $525               $500           $541.66

Total revenue:                                                                                Total

when sold separately  $12,000         $10,500          $10,000       $32,500

Total revenue:

when bundled at a price (for example $500 for each) = $30,000 ($500 * 60)

                Sold Separately       Bundled

Revenue          $32,500            $30,000

Costs                 29,000              29,000

Profits                $3,500               $1,000

     

From the following statements, select the one that describes the effect of dividends on equity.
a) Dividends cause assets to increase.
b) Dividends have no effect on equity.
c) Dividends cause equity to increase.
d) Dividends cause equity to decrease.

Answers

Answer: d) Dividends cause equity to decrease.

Explanation:

Dividends are payments to shareholders as a way of sharing the profit that the company made with its owners. Net profit is added to the Equity of company.

In other words, dividends cause equity to decrease because they are taken from Retained Earnings (net income) which are added to Equity. By reducing the amount of Retained earnings available therefore, dividends are reducing Equity.

d) Dividends cause equity to decrease.

DividendsA dividend is a payment made by a company to its shareholders from its profits.Dividends are payments provided to shareholders as a means of sharing a company's earnings with its owners. The net profit is added to the company's equity.d) Dividends cause equity to decrease because they are deducted from Retained Earnings (net income), which are then added to Equity. Dividends reduce Equity since they reduce the amount of Retained Earnings available.

For more information:

https://brainly.com/question/13535979?referrer=searchResults

n the context of competing in the global economy, globalization suggests that: a. an organization's nationality is held strongly in consciousness. b. the world's cultural diversity is of no significance to transnational organizations. c. the world is divided by borders and diverse cultures. d. the world is free from national boundaries and is borderless

Answers

Answer:

d. the world is free from national boundaries and is borderless

Explanation:

Globalisation is defined as the increase in connectivity between different nations as a result of increased volume of trade and culture exchange that occurs between the nations.

Such increase in inter connectivity leads to a global economy where national borders do not seem to exist.

Globalisation reduces the cumbersome process of having to pay various charges when transacting between countires

Are marketing and sales the same in marketing

Answers

Answer:

marketing is building awareness of your organization and brand to potential customers. Sales is turning that viewership into a profit, by converting those potential customers into actual ones.

Explanation:

On January 1, year 2, Connor Corporation signed a $100,000 noninterest-bearing note due in three years at a discount rate of 10%. Connor elects to use the fair value option for reporting its financial liabilities. On December 31, year 2, Connor's credit rating and risk factors indicated that the rate of interest applicable to its borrowings was 9%. The present value factors at 10% and 9% are presented below.
PV factor .751 10%, 3 periods
PV factor .826 10%, 2 periods
PV factor .909 10%, 1 periods
PV factor .772 9%, 3 periods
PV factor .842 9%, 2 periods
PV factor .917 9%, 1 periods
At what amount should Connor present the note on the December 31, year 2 balance sheet?

Answers

Answer:

the amount that should present the note in year 2 is $84,200

Explanation:

The computation of the amount that should present the note in year 2 is shown below:

= Amount of non-interest bearing note × present value factor for 2 years at 9%

= $100,000 × 0.842

= $84,200

hence, the amount that should present the note in year 2 is $84,200

Universal Containers is rolling out a new customer service process. Customer service managers will need to edit cases for their subordinates, but not cases for other groups. Managers and users should be able to view all cases. What is the recommended solution to configure this

Answers

Answer:

I. Create standard role hierarchies.

II. Set organization-wide sharing defaults to public read/only.

Explanation:

Workflow management systems can be defined as a strategic software application or program designed to avail companies the infrastructure to setup, define, create and manage the performance or execution of series of sequential tasks, as well as respond to workflow participants. Some examples of workflow management systems used around the world; YAWL, Windows Workflow Foundation, Apache ODE, Collective Knowledge, Workflow Gen, PRPC, Salesforce.com, jBPM, Bonita BPM etc.

In this scenario, Universal Containers is rolling out a new customer service process. Customer service managers will need to edit cases for their subordinates, but not cases for other groups. Managers and users should be able to view all cases. Therefore, the recommended solution to configure this are;

I. Create standard role hierarchies: this is to represent the various end users such as managers and their subordinates.

II. Set organization-wide sharing defaults to public read/only: this settings or feature would make it impossible for any user outside of the group (owner) to edit the cases. They will only be able to view but not modify.

What are two factors used to determine a credit score? Explain how they indicate good or poor credit. Write in complete
sentences

Answers

Answer:

Payment history: Lenders are most concerned about whether or not you pay your bills on time.

Amounts owed: The amount of debt you have in comparison to your credit limits affects your credit. the higher the debt the riskier you seem to a potential creditor.

Length of credit history: Having a longer credit history is favorable because it gives them a more favorable picture that you have built credit over the years with other creditors.

New credit: In general, people who open many new credit accounts in a short amount of are considered a high risk. Too many new accounts can negatively impact your credit score.

Explanation:

3. Aztec Furnishings makes hand-crafted furniture for sale in its retail stores. The furniture maker has recently installed a new assembly process, including a new sander and polisher. With this new system, production has increased to 90 pieces of furniture per day from the previous 60 pieces of furniture per day. The number of defective items produced has dropped from 12 pieces per day to 5 per day. The production facility operates strictly eight hours per day. Evaluate the change in productivity for Aztec using the new assembly process. Please show your work and any formulas utilized.

Answers

Answer:

77.08%

Explanation:

Calculation to Evaluate the change in productivity for Aztec using the new assembly process

Using this formula

Change in productivity =[( Increased in production- Dropped in defective items produced)-(Previous pieces of furniture per day-Dropped in defective items produced)]/-(Previous pieces of furniture per day-Dropped in defective items produced)*100

Let plug in the formula

Change in productivity =[(90 pieces per day-5 per day)-(60 pieces per day-12 pieces per day )/(60 pieces per day-12 pieces per day) *100

Change in productivity =(85-48)/48*100

Change in productivity =37/48*100

Change in productivity =0.7708*100

Change in productivity =77.08%

Therefore the change in productivity for Aztec using the new assembly process will be 77.08% Increase in productivity.

AirBird is a domestic airline company that is building a Customer Relationship Management (CRM) system that focuses on providing a personalized experience to all customers. The system would be deployed on mobile phones, tablets and desktop. Customers will be allowed to search for flights, view flight routes and itineraries, filter flights based on price, destination, duration, number of stops, class (basic economy, economy, business and first class). Customers will need an account with AirBird to book a trip or purchase flights. They should

Answers

Answer:

AirBird should help their customers and provide a trial on how to run the application of the Airline on their phones. The trial or demo will help the customers to easily access their requirement.

Explanation:

Customer Relationship Management is important in todays world. There are many competitors available and the bargaining power of customers is high as they can easily switch to other airline because of available alternates. The airline company has launched a program which will help its customers to easily access all the information about the airline. The customers find it easy to access the information they require by just a click on their phone. They can search flights, routes and prices of the flight on their phones.

what is the principal purpose of charging depreciation on non current assets

Answers

Answer:

Because of wear amd tear of am asset

An asset that has gone obsolete too

Latvia and Estonia are two countries. Assume that currently there is no trade between them. Each country has 100 units of labor. Latvia produces fish, at a cost of 1 unit of labor per fish, and grain, at a cost of 2 units of labor per bushel. Estonia produces fish at a cost of 2 units of labor per fish, and grain at a cost of 3 units of labor per bushel. Both countries consume both fish and grain.a. True or False, the countries can both benefit if they can trade with each other?b. Circle any and all of the following which hold:i. Latvia will export fish if there is tradeii. Latvia will export grain if there is tradeiii. Estonia will export fish if there is tradeiv. Estonia will export grain if there is tradev. We do not have sufficient information to say what will be exported

Answers

Answer:

Assume that currently there is no trade between them. Each country has 100 units of labor. Latvia produces fish, at a cost of 1 unit of labor per fish, and grain.

Explanation:

You will receive $5,000 one year from now, 6000 three years from now, and 7000 five years from now in real terms. Each payment will be received at the end of the period with the first payment occurring one year from today. The relevant nominal discount rate is 9.625 percent and the inflation rate is 2.3 percent. What are your winnings worth today in real dollars

Answers

Answer:

$14,495.56

Explanation:

The value of the earnings today can be determined using a financial calculator.

Present value is the sum of discounted cash flows

Present value can be calculated using a financial calculator

Cash flow in year 1 = $5,000

Cash flow in year 2 = 0

Cash flow in year 3 = $6,000

Cash flow in year 4 = 0

Cash flow in year 5 = $7,000

I = 7.16%

PV =

According to the fisher equation : (1 + nominal interest rate) = (1 + real interest rate) x (1 + inflation rate)

(1.09625) = (1 + real interest rate) x (1.023)

(1 + real interest rate) = 1.09625 / 1.023

real interest rate = 7.16%

To find the PV using a financial calculator:

1. Input the cash flow values by pressing the CF button. After inputting the value, press enter and the arrow facing a downward direction.

2. after inputting all the cash flows, press the NPV button, input the value for I, press enter and the arrow facing a downward direction.  

3. Press compute  

East Bay Semiconductor, Inc., currently a small private company, plans to go public via an initial public offering (IPO) and will issue 10 million shares of stock. It is hoping to sell the shares for an offer price of $25. It hires an investment bank, which suggests that the offer price for the stock should be $20 per share to ensure that all the shares can be easily sold. 5. What is the advantage of following the advice of the investment bankers? What is the disadvantage? Is the investment bank’s incentive to sell the shares aligned with the incentives of East Bay Semi? What trade-off does East Bay Semi face in this decision regarding the issue price? Briefly explain

Answers

Answer:

What is the advantage of following the advice of the investment bankers? What is the disadvantage?

Whenever a small company decides to carry out an IPO, the risk of not selling all the stocks exists and it has happened many times before. East Bay's executives probably believe that their company is the next Apple or Microsoft, or any other super huge high tech corporation. But the reality is that it is not. If the IPO goes on and not all the stocks are sold, the stock price will plummet by the end of the trading day.

On the other hand, maybe East Bay in a couple of years will be worth more than Tesla, Amazon or any other top corporation, and pricing their stocks too low will only result in losing money.

Actually, no two analysts in the world ever agree on the exact intrinsic price of stocks. Even though math should be the same and they all use the same formulas, several factors are considered differently.

Calculate the interest and total amount due at the end of the loan for both simple and compound interest. Loan YearsRate(a)$1,00025%(b)$1,50056%(c)$10,0001010%(d)$25,0001515%(e)$47,7502020%You should have 4 values for your final answer:1. Simple interest total amount duei. Simple interest total interest 2. Compound interest total amount due 3. Compound interest total interest

Answers

Solution :

a). Interest for the simple interest [tex]$= 1000 \times 5 \times 2$[/tex]

                                                       = $ 100

    Amount due for the simple interest = $ 1000 + $ 100

                                                                = $ 1100

    Amount due for the compound interest [tex]$= 1000 \times (1.05)^2$[/tex]

                                                                       = $ 1102.50

   Interest for the compound interest = $ 1102.50 - $ 1000

                                                             = $ 102.50

b). Interest for the simple interest [tex]$= 1500 \times 6 \times 5$[/tex]

                                                       = $ 450

    Amount due for the simple interest = $ 1500 + $ 450

                                                                = $ 1950

    Amount due for the compound interest [tex]$= 1500 \times (1.06)^5 $[/tex]

                                                                       = $ 2007.34

   Interest for the compound interest = $ 2007.34 - $ 1500

                                                             = $ 507.34

c). Interest for the simple interest [tex]$= 1000 \times 10 \times 10$[/tex]

                                                       = $ 100000

    Amount due for the simple interest = $ 10000 + $ 10000

                                                                = $ 20000

    Amount due for the compound interest [tex]$= 10000 \times (1.10)^{10}$[/tex]

                                                                       = $ 25937.42

   Interest for the compound interest = $ 25937.42 - $ 10000

                                                             = $ 15937.42

d).  Interest for the simple interest [tex]$= 25000 \times 15 \times 15$[/tex]

                                                       = $ 56,2500

    Amount due for the simple interest = $ 25000 + $ 56,250

                                                                = $ 81,250

    Amount due for the compound interest [tex]$= 25000 \times (1.15)^{15} $[/tex]

                                                                       = $ 203,426.54

   Interest for the compound interest = $ 203,426.54 - $ 25,000

                                                             = $ 178,426.54

e). Interest for the simple interest [tex]$= 47,750 \times 20 \times 20$[/tex]

                                                       = $ 191,000

    Amount due for the simple interest = $ 47,750 + $ 191,000

                                                                = $ 238,750

    Amount due for the compound interest [tex]$= 47,750 \times (1.20)^{20} $[/tex]

                                                                       = $ 1,830,620.40

   Interest for the compound interest = $ 1,830,620.40 - $ 47,750

                                                             = $ 1,782,870.40

 

   

In previous question, suppose the company intends to go public by selling 3,000,000 new shares. Moreover, assume the company has no debt but has an excess cash of $20 million, and the revenues for next year is estimated to be $25 million. Further assume thad the industry average forward EV-to-Sales multiple is 4, whereas the average trailing EV-to-Sales ratio is 5. What is the estimated IPO stock price

Answers

Answer:

A. $3.5 million

B. $120

Explanation:

A. Calculation for What is the post-money valuation for the last round of funding in dollars

First step is to calculate the total value of the company

Total value of the company = (200,000 + 100,000)* (150,000/100,000)

Total value of the company= (200,000 + 100,000)* $1.5

Total value of the company= 300,000 * $1.5 Total value of the company=$450,000

Now let calculate The post money valuation

Post money valuation = (200,000 + 100,000 + 400,000) * (2,000,000/400,000)

Post money valuation= (200,000 + 100,000 + 400,000) * $5

Post money valuation= 700,000 * $5

Post money valuation= $3.5 million

Therefore the post-money valuation for the last round of funding in dollars will be $3.5 million

B) Calculation for What is the estimated IPO stock price

First step is to calculate the EV

EV = $25 million * 5

EV= $100 million

Second step is to calculate the Total number of shares

Total number of shares = 700,000 + 300,000

Total number of shares = 1 million

Third step is to calculate the Equity

Equity = $100 million + $20 million

Equity = $120 million

Now let calculate the value per share

Value per share = $120 million/1 million

Value per share = $120

Therefore the estimated IPO stock price will be $120

Suppose the same facts as above, except that Kimberly-Clark incurred legal fees resulting from the execution of the lease of $5,000, and received a lease incentive from Sheffield to enter the lease of $1,000. How would the initial measurement of the lease liability and right-of-use asset be affected under this situation

Answers

Answer:

Kimberly-Clark

The initial measurement of the lease liability and the right-of-use asset would not be affected under this situation.

Explanation:

a) Data:

Legal fees resulting from the execution of the lease = $5,000

Incentive received from Sheffield to enter the lease = $1,000

b) The legal fees will be expensed, while the lease incentive will be recorded as income.  Legal fees paid to professionals for lease agreements can be deducted as operating expenses.  In this situation, the legal fees can be reduced by the lease incentive received from the lessor.

Consider the decision to purchase either a 5-year corporate bond or a 5-year municipal bond. The corporate bond is a 12% annual coupon bond with a par value of $1,000. It is currently yielding 11.5%. The municipal bond has an 8.5% annual coupon and a par value of $1,000. It is currently yielding 7%. Assume that your marginal tax rate is 35%. What is the after tax yield to maturity (YT

Answers

Answer:

MUNICPAL BOND YTM;   r= 7.00%

CORPORATE BOND YTM; r= 7.35%

Explanation:

Given the data in the question;

To get the after tax yield to maturity (YTM)

MUNICPAL BOND

Purchase price                          PV of coupons + PV of Face value at maturity

                                                   [(1000×8.5%) × (1 - 1.07⁻⁵] / 0.07) + (1000/1.07⁵)

                                                    348.516 + 712.98 =  1061.5

After-tax coupon payment       1000 × 8.5% = 85

                                                        COUPONS RECORD ON MUNICIPAL ARE

                                                         TAX-EXCEMPT.

Par value                                       1000

Calculated YTM                        1061.5 = (85× (1-(1+r)⁻⁵)/r) + (1000/(1+r)⁵)

                                                      r= 7.00%

CORPORATE BOND

Purchase price                         PV of coupons +PV of Face value at maturity

                                                ((1000×12%) × (1-1.115⁻⁵)/0.115) +(1000/1.115⁵)

                                                      437.985 + 580.264 =  1018.25

After-tax coupon payment       1000 × 12% × (1 - 35%) =  78

Par value                                    1000

Calculated YTM                     1018.25 = (78× (1-(1+r)⁻⁵)/r) + (1000/(1+r)⁵)

                                                   r= 7.35%  

MUNICPAL BOND YTM;   r= 7.00%

CORPORATE BOND YTM; r= 7.35%  

A retailer is an
example of a(n) *
O
extractor
O producer
O intermediary
O service business

Answers

Answer: Service business.

Explanation: Retailers are shop clerks that run a supermarket. Retailers sell goods and services to people in need to the public. They sell it in small quarantines to use or consumption rather than for resale.

In marketing, there are intermediaries between the distribution channel. A retailer is an example of an intermediary

Producers most times do not sell products or services directly to consumers and as such uses these marketing intermediaries to execute an the functions of getting the product to the final consumer.

These intermediaries are called middlemen and they include wholesalers, retailers, agents, and brokers. These intermediaries do enter into longer-term agreement with the producer and make up the marketing channel.

Conclusively, retailer acts as middleman to get product to target consumers.

Learn more from

https://brainly.com/question/24648463

EEE Corp. reports the following information for the fiscal year. (in $ million) Revenue $7,015 Expenses $3,890 Beginning retained earnings $4,615 Liabilities at year-end $5,225 Contributed capital at year-end $820 Dividends $500 Effective tax rate 0% What is the total assets of EEE Corp. at the end of the fiscal year

Answers

Answer:

See below

Explanation:

First we will compute the ending retained earnings

= Beginning retained earnings $4,615 + Revenue $7,010 - Dividends $500

= $11,125

Then , the total assets of EEE corp. would be

= Capital contributed $820 + Retained earnings $11,125 + liabilities at year end $5,225

= $17,170

The management accountant at Lang Manufacturing Co. collected the following data in preparation for a life-cycle analysis on one of its products, a leaf blower: Item This Year Change Over Last Year Average Annual Change Over the Last Four Years Annual sales $2,700,000 1.8% 23.5% Unit sales price 450 2.4% 8.3% Unit profit 100 -1.0% 3.0% Total profit 600,000 -1.2% 30.0% The stage of the sales life cycle the product is in is: Withdrawal. Introduction. Decline. Maturity. Growth.

Answers

Answer: Decline stage

Explanation:

The stage of the sales life cycle the product is in the Decline stage of the product cycle. We can see that the average performance of the product over its past life is higher than that of its last year's performance.

Under the decline stage, there will be a reduction in the quantity of goods that's sold thereby leading to a reduction in profits until it gets to a point that producing the goods will not be profitable anymore.

On August 13, 2016, Bonita Services Co. purchased office equipment for $1390 and office supplies of $230 on account. Which of the following journal entries is recorded correctly and in the standard format? a. Equipment 1390 Supplies 230 Accounts Payable 1620 b. Accounts Payable 1620 Equipment 1390 Supplies 230 c. Equipment 1390 Supplies 230 Accounts Payable 1620 d. Equipment 1390 Account Payable 1620 Supplies 230

Answers

Answer:

a. Equipment 1390 Supplies 230 Accounts Payable 1620

Explanation:

Based on the information given if On August 13, 2016 the Company purchased office equipment for the amount of $1390 and office supplies of the amount of $230 on account. The journal entries that is recorded correctly and in the standard format will be :

Dr Equipment $1,390

Dr Supplies$230

Cr Accounts Payable $1,620

($1,390+$230)

Compute the charitable contribution deduction (ignoring the percentage limitation) for each of the following C corporations. a. Amber Corporation donated inventory of clothing (basis of $24,000, fair market value of $30,000) to a qualified charitable organization that operates homeless shelters. $fill in the blank 9a9067069fa000e_1

Answers

Answer:

$27,000

Explanation:

Computation for the charitable contribution deduction

Using this formula

Charitable contribution deduction = (Adjusted basis )+[ 50% (Fair Value – Adjusted Basis)]

Let plug in the formula

Charitable contribution deduction= 24,000 + [50% (30,000 – 24,000)]

Charitable contribution deduction= 24,000+ (50%*6,000)

Charitable contribution deduction= 24,000+3,0000

Charitable contribution deduction = 27,000

Therefore the charitable contribution deduction will be $27,000

Other Questions
PLEASE ANSWER FAST!!!Which characteristic of the U.S. Constitution was also included in the Texas Constitution?judges are appointed by the presidenta Bill of RightsSenate members are elected for lifeconstitutional conventions are necessary to change laws if you were asked to describe an orange to someone who had never see an orange what would you tell the person? help mehhhhhhhhh please ;-; also use your own words Solving steps and answer! Which line explains why Jodi wanted to stand guard over the cans? (1 point)Group of answer choicesSitting at the edge of the woods across the highway, they were a safe distance away, for both Jodi and the family.Jodi always felt like someone should speak up to defend the bears.She fell to sleep listening out for the rumble in the garbage bins that was a sure sign bears were visiting.Jodi had spent one too many mornings picking up the tiniest morsels of aluminum foil, paper napkins, and other bits of trash from the yard. Bill has been given a project that should take him two and a half hours to complete. What is the best way for him to schedule his time?A. Allow for breaks anytime he needs them but work hardB. Break the time into chucks, each lasting for 50 minutes.C. Use a stop watch to time himself, and work for 2 hours and 30 minutes.D. Work for an hour, take a break, repeat, and work for 30 minutes. What is S=39=?Find the answer then show all work! it is very important in a sentence paragraph or text it helps the author in establishing connection between and among concepts presented The book is called among the hidden The French conquered many colonies and forced the citizens of these new places to practice French language and culture, this is an example of which type of rule? What is 720 converted to radians? Who was the person MOST directly responsible for the survival of the Jamestown colony?John RolfeWilliam Byrd IINathaniel BaconJohn Smith Name 4 body structures composed of protein 1)Describe the difference between anenergy transfer and energy store.2)Give 3 examples of an energy transfer.3)Give 3 examples of an energy store. The following system answer is no solution. Change one number to make the system an infinite solution and explain why it is now an infinite solution. 12y = 17 - 9x-4y - 3x = 31 1. Find the value of x.Please I need help now - The Whiskey Rebellion- The Bank of the United States- The Alien and Sedition Acts- Marbury v. Madison The list provides examples of - A: weaknesses of the government under the Articles of Confederation.B: issues leading to the ratification of the Constitution.C: domestic issues faced by the leaders of the new republic.D: topics discussed during the Second Constitutional Convention. wich of these statements best describes an outcome of uranium mining Map image of the congressional districts of Texas. District 1 is located in eastern Texas. It is a small district that is relatively uniform in size and shape. District 11 is located in central Texas. The district is fairly large and comprises several Texas counties. District 13 is a large district that takes up much of the panhandle in northern Texas. District 23 is largest district in Texas in terms of physical size. This district spans across much of its southwestern region. District 25 is located in southern Texas. It is a long, narrow district that spans from the southern border to central Texas. 2011 The Exploration CompanyWhich of the following districts could be the result of gerrymandering? (4 points) aDistrict 4 bDistrict 10 cDistrict 15 dDistrict 2 eDistrict 14 eseasdasdsadasdadasdar