a company provides the following financial information: cost of equity 20% cost of debt 8% tax rate 40% debt-to-equity ratio 0.8 what is the company's weighted-average cost of capital?

Answers

Answer 1

Weighted Average Cost of Capital (WACC) is a cost of capital calculation, which includes both equity and debt funding sources weighted by their relative proportions. WACC determines a company's expense of money.

A company's total cost of capital is used to assess new projects' feasibility, identify over-or under-valued securities, and determine the company's financial structure.

The weighted average cost of capital formula is as follows:WACC = (E/V × Re) + [(D/V × Rd) × (1 - Tc)]

where:Re = cost of equityRd = cost of debtE = market value of the company's equityD = market value of the company's debtV = E + Dtax rate = Tc

In order to calculate the company's weighted-average cost of capital, let's plug in the given financial information in the formula. Therefore,E/V = 1 / (1 + 0.8) = 0.3571D/V = 0.8 / (1 + 0.8) = 0.6429Re = 20%Rd = 8%Tc = 40%WACC = (0.3571 × 20%) + [(0.6429 × 8%) × (1 - 40%)]WACC = 7.14% + 1.54%WACC = 8.68%The company's weighted-average cost of capital is 8.68%.

To know more about cost of capital visit:

https://brainly.com/question/32192213

#SPJ11


Related Questions

Seventy-Two Inc., a developer of radiology equipment, has Shares of ownership of a corporation.stock outstanding as follows: 70,000 shares of cumulative preferred 3% stock, $20 A dollar amount assigned to each share of stock.par, and 410,000 shares of $25 par common.
During its first four years of operations, the following amounts were distributed as dividends: first year, $31,000; second year, $76,000; third year, $100,000; fourth year, $110,000.
Calculate the dividends per share on each class of stock for each of the four years. Round all answers to two decimal places. If no dividends are paid in a given year, enter "0.00".

Answers

The dividends per share on each class of stock for each of the four years are as follows:

Year 1:

Preferred stock: $0.44; Common stock: $0.08

Year 2:

Preferred stock: $1.09; Common stock: $0.19

Year 3:

Preferred stock: $1.43; Common stock: $0.24

Year 4:

Preferred stock: $1.57; Common stock: $0.27

To calculate the dividends per share for each class of stock, we need to divide the total dividends paid in each year by the number of shares of that class.

Let's calculate the dividends per share for each class of stock for each of the four years:

Year 1:

Dividends paid: $31,000

Dividends per share of preferred stock:

Total preferred shares: 70,000

Dividends per share = Dividends paid / Total preferred shares

Dividends per share of preferred stock = $31,000 / 70,000

Dividends per share of common stock:

Total common shares: 410,000

Dividends per share = Dividends paid / Total common shares

Dividends per share of common stock = $31,000 / 410,000

Year 2:

Dividends paid: $76,000

Dividends per share of preferred stock:

Dividends per share of preferred stock = $76,000 / 70,000

Dividends per share of common stock:

Dividends per share of common stock = $76,000 / 410,000

Year 3:

Dividends paid: $100,000

Dividends per share of preferred stock:

Dividends per share of preferred stock = $100,000 / 70,000

Dividends per share of common stock:

Dividends per share of common stock = $100,000 / 410,000

Year 4:

Dividends paid: $110,000

Dividends per share of preferred stock:

Dividends per share of preferred stock = $110,000 / 70,000

Dividends per share of common stock:

Dividends per share of common stock = $110,000 / 410,000

Now, let's calculate each of the dividends per share values:

Year 1:

Dividends per share of preferred stock: $0.44

Dividends per share of common stock: $0.08

Year 2:

Dividends per share of preferred stock: $1.09

Dividends per share of common stock: $0.19

Year 3:

Dividends per share of preferred stock: $1.43

Dividends per share of common stock: $0.24

Year 4:

Dividends per share of preferred stock: $1.57

Dividends per share of common stock: $0.27

To know more about Dividends per share, refer to the link below:

https://brainly.com/question/28290196#

#SPJ11

Using any of the personality test, determine the personalities of 10 employees of any local Namibian organisation

Answers

There are various types of personality tests available, including the Myers-Briggs Type Indicator (MBTI), the Big Five Personality Traits, and the DISC assessment. Each of these tests measures different aspects of an individual's personality, such as their communication style, decision-making skills, and interpersonal relationships.


To determine the personalities of 10 employees in a local Namibian organization, you could consider administering one of these personality tests to each individual. This would involve providing the employees with a questionnaire or series of questions to answer. The results of the personality test could then be analyzed to identify the specific personality traits and characteristics of each employee.
However, it is important to note that personality tests should only be administered by trained professionals and with the consent of the individuals being tested. Additionally, the results of personality tests should be interpreted carefully and not used as the sole basis for making employment decisions.

To know more about personality visit:

https://brainly.com/question/32085350

#SPJ11

If the flotation cost goes up, the cost of retained earnings willa) go up. b) go down. c) stay the same. d) slowly increase.

Answers

If the flotation cost goes up, the cost of retained earnings will c) stay the same.

Flotation cost refers to the fees and expenses incurred during the process of issuing new securities, such as underwriting fees, legal fees, and registration fees. These costs are typically associated with issuing new shares of stock or bonds and are borne by the issuing company.

On the other hand, retained earnings represent the portion of a company's profits that is not distributed as dividends and is reinvested in the business. The cost of retained earnings is the opportunity cost of using these funds internally rather than raising capital externally.

Since flotation costs are associated with raising new capital and not with retained earnings, an increase in flotation costs will not directly impact the cost of retained earnings. Retained earnings are already available within the company, and therefore, do not involve any additional costs to use. As a result, even if flotation costs increase, the cost of retained earnings will stay the same, as it is not affected by the expenses related to external capital raising.

Therefore, the correct answer is c) stay the same.

Learn more about Flotation cost here: https://brainly.com/question/29992687

#SPJ11

Helpmeeeeeeeeeeeeeeeee

Helpmeeeeeeeeeeeeeeeee

Answers

Answer:c

Explanation:

In the second Evidence-Based Economics module, we discussed how Philip Oreopoulos used a natural experiment involving compulsory schooling laws to infer that the return to one additional year of schooling is a 10 percent increase in earnings. For this question, let's assume that Oreopoulos's 10 percent finding is correct and applies to all people in al circumstances. (These are strong assumptions that are made for illustrative purposes.) Compare two workers, one of whom has 12 years of schooling and one of whom has 18 years of schooling. Assume these workers are otherwise identical. In percentage terms, how much higher will the earnings of the second worker be? The second worker's earnings will be percent higher. (Round your response to the nearest whole number.)

Answers

We can see here that the earnings of the second worker would be 60 percent higher than the first worker.

What is earnings?

Earnings refer to the total amount of money that an individual receives as income for their work or investment. It represents the financial compensation or income earned by an individual from various sources, such as employment, self-employment, business profits, dividends, interest, or capital gains.

To calculate the percentage difference in earnings between the two workers, we can use the assumption that each additional year of schooling corresponds to a 10 percent increase in earnings.

For the first worker with 12 years of schooling, we can calculate the earnings increase for an additional 6 years of schooling (18 years - 12 years = 6 years).

Since each year corresponds to a 10 percent increase, the earnings increase for the second worker would be:

6 years x 10 percent = 60 percent

Learn more about earnings on https://brainly.com/question/30157678

#SPJ1

An international bank that makes short-term loans to countries experiencing balance-of-payment deficits is the?

Answers

The international bank that makes short-term loans to countries experiencing balance-of-payment deficits is the International Monetary Fund (IMF). The IMF provides financial assistance and lending programs to member countries facing economic challenges, including balance-of-payment deficits.

The International Monetary Fund (IMF) is an international financial institution established to promote global monetary cooperation, secure financial stability, facilitate international trade, and foster economic growth. One of the key functions of the IMF is to provide financial assistance to member countries facing balance-of-payment deficits.

When a country experiences a balance-of-payment deficit, it means that its international payments, including imports, debt repayments, and other obligations, exceed its foreign exchange earnings. This situation can lead to economic instability and difficulties in meeting external obligations.

In such cases, countries can turn to the IMF for short-term loans or financial assistance to help address their balance-of-payment deficits. The IMF provides financial support in the form of loan programs that aim to stabilize the country's economy, restore confidence in its financial system, and support its efforts to implement necessary economic reforms.

The IMF's lending programs often come with conditions or policy requirements, known as conditionalities, that the borrowing country must meet. These conditions are designed to address the underlying causes of the balance-of-payment difficulties and promote sustainable economic growth.

Through its lending activities, the IMF aims to provide temporary financial support to countries facing economic challenges, help them overcome balance-of-payment deficits, and contribute to the stability and growth of the global economy.

Learn more about IMF: https://brainly.com/question/16073829

#SPJ11

All of the following are skills of public relations except:
A. Writing
B. Selling
C. Editing
D. Reading
E. Speaking

Answers

Answer:  B. Selling

Explanation:

fernando bank has interest expense of $150 million, earning assets of $1,400 million and a nim of 5.00 percent. the bank also has interest-bearing liabilities of $1,100 million. fernando bank's spread is 1.65 percent. 1.10 percent. 1.94 percent. 2.08 percent.

Answers

The spread for Fernando Bank is 12.27%, not 1.65%, 1.10%, 1.94%, or 2.08%.

Fernando Bank's spread can be calculated using the given information: interest expense, earning assets, net interest margin (NIM), and interest-bearing liabilities. The spread represents the difference between the interest income and interest expense as a percentage.

Step 1: Calculate the interest income by dividing the NIM by 100 and multiplying by earning assets: (5.00% / 100) * $1,400 million = $70 million.

Step 2: Calculate the cost of interest-bearing liabilities by subtracting interest income from interest expense: $70 million - $150 million = -$80 million.

Step 3: Calculate the interest rate on liabilities by dividing the cost of interest-bearing liabilities by interest-bearing liabilities: (-$80 million) / $1,100 million = -0.072727, or -7.27%.

Step 4: Calculate the spread by subtracting the interest rate on liabilities from the NIM: 5.00% - (-7.27%) = 12.27%.

For more about spread:

https://brainly.com/question/28527393


#SPJ11

As Lynn eats more pizza, we would typically expect her marginal utility from eating pizza to: Group of answer choices stay the same. Decrease. Equal the price of pizza. Increase

Answers

Therefore, the expected trend is for Lynn's marginal utility from eating pizza to decrease as she consumes more of it.As Lynn eats more pizza, we would typically expect her marginal utility from eating pizza to decrease.

According to the law of diminishing marginal utility, the more units of a good or service a person consumes, the less additional satisfaction or utility they derive from each additional unit. In the case of pizza, the first few slices may bring a high level of enjoyment and satisfaction. However, as Lynn continues to consume more pizza, her marginal utility from each additional slice will likely decrease. This means that the additional satisfaction she gains from each subsequent slice will be lower than the previous one.

learn more about decrease here

https://brainly.com/question/31806993

#SPJ11

__________ is important for devloping self-reglation and promoting language. Varying rates. Motivation. Play. Secure relationships. Challenged. Screening tool. I will mark brainlest

Answers

Answer:

Motivation.

Explanation:

please mark me brainlist

If you are at a university and someone asks "what's your MAJOR?" this is what they
want to know:
a) the secondary courses you are taking in college just for fun
b) the academic discipline to which you have formally committed so you can earn
an undergraduate degree
c) which credit cards you have maxed out to afford tuition, housing, food and books
d) which political party you will agree to join and promote on your campus

Answers

Answer:

the answer is B

Explanation:

Discuss at least five (5) ways in which response rates might be
improved.

Answers

Response rates can be improved by following ways

1. Including a cover letter A cover letter is a brief, personalized message that introduces the survey to respondents. This should be concise, yet informative and it should be able to engage the respondents.

2. Offer incentives Incentives are rewards for survey participation that encourage respondents to take your survey. Incentives might include a gift card, coupon, or prize.

3. Make it easy to participate: The survey should be designed in such a way that it becomes easy for the respondent to participate in the survey. The questions should be simple and should not require too much thinking or effort.

4. Choose an appropriate time: Timing plays an important role in getting a good response. It is better to avoid weekends or holidays and consider the time zone of your target audience when selecting the date and time to send your survey.

5. Follow-up on non-respondents: Non-respondents are people who have not responded to your survey request. A follow-up email or phone call can remind them to take the survey and encourage them to participate. This should be done in a friendly manner without being pushy.

To know more about improved
visit https://brainly.com/question/33190799
#SPJ11

Under a program called the Emissions Trading​ Scheme, the governments of European Union member nations establish overall targets for greenhouse gas emissions and issue​ __________, or​ permits, authorizing companies to emit certain amounts. In​ theory, an increase in the market clearing price of​ __________ should induce firms to develop methods of​ __________ their emissions of greenhouse gases.
A. allowances; allowances; reducing
B. vouchers; pollution; eliminating
C. allowances; allowances; eliminating
D. vouchers; pollution; reducing

Answers

Answer:

A). allowances; allowances; reducing

Explanation:

According to the Question,

Except for all other option, only option A fit better in the above definition.

15 points In a paragraph of 125 words, explain the importance of market research, being sure to include the four basic steps and the two ways to gather information.

Answers

Answer: Marketing research can give a business a picture of what kinds of new products and services may bring a profit. For products and services already available, marketing research can tell companies whether they are meeting their customers' needs. By researching the answers to specific questions, small-business owners can learn whether they need to change their package design or tweak their delivery methods--and even whether they should consider offering additional services.

Collecting primary research can include:

Interviews (either by telephone or face-to-face)

Surveys (online or by mail)

Questionnaires (online or by mail)

Focus groups gathering a sampling of potential clients or customers and getting their direct feedback

Two ways to gather this information would be asking questions and gathering data from trusted sites or books.

Explanation:

Market research is crucial for businesses to make informed decisions, create products and services that meet the needs of their customers, and stay ahead of the competition. It helps to reduce business risk, improve marketing strategies, and stay up-to-date with the latest market trends.

What is the scope of marketing research?

The areas or components that are examined within marketing research are referred to as their scope. To put it another way, it suggests the domains or contexts in which marketing research can be used. Marketing research actually has an impact on practically every aspect of marketing management.

Market research is the process of gathering and analyzing information about the target market for a product or service. It is a crucial step in the business decision-making process as it helps companies to understand the needs, preferences, and behavior of their target audience.

Market research helps companies identify the needs and preferences of their target audience. This helps companies to create products and services that meet the needs of their customers, leading to increased sales and customer satisfaction.

Learn more about Market Research here:

https://brainly.com/question/30651551

#SPJ3

which is not a characteristic of asexual reproduction

Answers

Answer:

According to the search results, the answer is A. Daughter cells have the same number of chromosomes as the parent cell. This is not a characteristic of asexual reproduction in animals

suppose you buy a share for $100. at the end of one year the share price is $114 and a $1 dividend is paid. if you do not sell the share, your total annual return is . multiple choice question. 1% 15% 14% 0.93%

Answers

Suppose you buy a share of stock for $100. At the end of one year, the stock price is $114 and a $1 dividend is paid. If you do not sell the stock, your total annual return is 15%.

(1/100) + ((114-100)/100) = 15%

Shares, also known as stocks, are securities that represent partial ownership of the issuing company. A unit of stock is called a "share" and entitles the owner to a portion of the company's assets and profits equal to the shares held by the owner. Equity means a share of ownership in a company.

An example stock is 100 shares of Disney Corporation stock. Buying stock usually requires the help of a stockbroker, as you cannot call the exchange and ask them to buy the stock directly. When you use a stockbroker, whether it's a human or an online platform, you can choose which investments to buy or sell and how to trade them.

Learn more about   stock  here

https://brainly.com/question/26128641

#SPJ4

You're given a monthly budget of $400 for social media advertising. You want to set a daily budget for February to insure you don't overspend for the month. What is your daily budget? (It is not a leap year.)

Answers

Answer:

$14.28

Explanation:

you will have a couple of cents left over at the end because you cant evenly divide 400 by 28

25. A sale for which payment will be received at a later date. (p. 18)

Answers

Answer:

sale on account

Explanation:

When a sales is made and payment is expected at a future date, a sales on account occurs, e.g.:

January 2, 2020, 5,000 units sold at $10 each to ABC company, credit terms 2/10, n/30. Cost of goods sold is $30,000

Dr Accounts receivable 50,000 (5,000 x 10)

    Cr Sales revenue 50,000

Dr Cost of goods sold 30,000

    Cr Merchandise inventory 30,000

After the invoice is collected, the journal entry would be:

January 30, 2020, invoice collected from ABC company

Dr Cash 50,000

    Cr Accounts receivable 50,000

how does marmite use product differentiation

Answers

Marmite use product differentiation as viewed as having unique features, such as Marmite or the iPhone. It frequently referred to as a differentiator.

What do you mean by the product differentiation?

The feature or features that set your product or service apart from the competition for your target market are known as product differentiation.

It improves brand loyalty, sales, and growth by highlighting the differences between what you sell and what your rivals provide. These comprise vertical differentiation, mixed differentiation, and horizontal differentiation.

In the financial situation of today, product differentiation is crucial. It enables the seller to highlight the distinctive qualities that make their product outstanding by drawing comparisons between their own product and those of the market's rival products.

Therefore, Marmite use product differentiation as viewed as having unique features, such as Marmite or the iPhone. It frequently referred to as a differentiator.

To know more about the product differentiation, visit:

https://brainly.com/question/13077606

#SPJ1

Complete Live Case section in the Scenario worksheet. There are 4 scenarios in this model: Consensus, Bull, Bear, and Other. The numbers in the live case should reflect one of the cases based on cell K14, which is dynamically linked to the scenario selected in the dropdown menu at the top of the worksheet. What formula will you use to fill cell G21 (online stores for 2018E)?

Answers

To fill cell G21, which represents the online stores for 2018E in the Live Case section, a formula will be used that dynamically links to the selected scenario in cell K14. The formula will retrieve the corresponding value based on the selected scenario and display it in cell G21.

The formula to accomplish this task could be:

=IF($K$14="Consensus",$F$21,IF($K$14="Bull",$H$21,IF($K$14="Bear",$I$21,$J$21)))

This formula uses the IF function to check the value in cell K14, which represents the selected scenario. If the scenario is "Consensus," the formula retrieves the value from cell F21 and displays it in G21. If the scenario is "Bull," the value from cell H21 is retrieved. Similarly, if the scenario is "Bear," the value from cell I21 is retrieved, and for the "Other" scenario, the value from cell J21 is retrieved.

By using this formula, the value in cell G21 will automatically update based on the selected scenario, allowing for dynamic calculations and analysis in the Live Case section of the worksheet.

learn more about retrieve here: brainly.com/question/32067301

#SPJ11

A top performing used car salesman is able to sell his cars to each customer at their maximum willing to pay, a practice known as:____.
A. pricing market to market.
B. perfect price discrimination.
C. insightful pricing.
D. price tying.

Answers

Answer: B. Perfect price discrimination

You are planning a graduation trip to mexico. Other things the same, if the dollar appreciates relative to the peso, then:.

Answers

If any person are planning a graduation trip to mexico. another things the constant, if the dollar increases comparative to the peso, then the dollar buys fewer pesos. then the hotel room in Mexico will require more dollars.

What is peso?

The Petroleum and Explosives Safety Organization is the full call of PESO. It is formerly known as Department of Explosives.

It works as a nodal institution with the intention of regulating the safety of hazardous substances such as explosives, compressed gas, and petroleum across the country.

If a person want to go to Mexico for the graduation. In other words, if the dollar advances against the peso, the dollar can purchase less pesos. In Mexico, your hotel room will cost more money.

Therefore, the dollar buys fewer pesos. then the hotel room in Mexico will require more dollars.

Learn more about the dollars, refer to:

https://brainly.com/question/14982791

#SPJ4

1. How has Amazon performed leading up to its 20-year-anniversary as a public company? Over the long-term? In the near-term?
2. Why was Amazon’s 2014-16 cash flow from operations higher than its net income?
3. What did Amazon do with the cash flow that it generated between 2014 and 2016?
4. Articulate a pathway for Amazon to get from $2 billion to $20 billion in net income between 2016 and 2021 as envisioned by the Barron’s article cited in the case?

Answers

1) Amazon has shown strong performance leading up to its 20-year anniversary as a public company, both in the long-term and short  term.

Amazon's performance has been impressive over the years, with consistent revenue growth and expansion into various sectors. The company's stock price has soared, and it has become one of the most valuable companies globally.

In the near-term, Amazon has continued to innovate and expand its business, particularly in areas like cloud computing (Amazon Web Services) and online retail. Its strategic acquisitions and investments have helped fuel its growth and maintain a strong financial position.

2) Amazon's cash flow from operations between 2014 and 2016 was higher than its net income due to various factors.

Cash flow from operations represents the actual cash generated by a company's core business activities, while net income is an accounting measure that includes non-cash items such as depreciation and amortization.

During the mentioned period, Amazon's cash flow from operations was boosted by factors like efficient management of working capital, strong sales growth, and effective inventory management.

Additionally, the company's aggressive reinvestment strategy, focusing on expanding its operations and investing in new ventures, resulted in higher cash flow from operations than net income.

3) Amazon utilized the cash flow generated between 2014 and 2016 to invest in strategic initiatives and fuel its growth.

Amazon's significant cash flow during that period allowed the company to make substantial investments in various areas. It expanded its fulfillment network, invested in technology and infrastructure, and acquired companies to enhance its product and service offerings.

Additionally, Amazon directed funds towards developing new technologies like artificial intelligence and voice recognition, as well as expanding its digital content and streaming services. The company also utilized cash flow to invest in international expansion, entering new markets and establishing a global presence.

Overall, Amazon strategically allocated the cash flow generated to support its long-term growth objectives and maintain a competitive edge.

For more questions like Amazon click the link below:

https://brainly.com/question/14368952

#SPJ11

The "Heading1" paragraph style is a good choice to make a chapter name in a document stand out. False True

Answers

Answer:

The given statement is "True".

Explanation:

Content formatted with either a heading style initially appeared whenever users are using the perpendicular scroll pointer to peruse a memorandum. Headings can indeed be broadened and sometimes disappeared, as a component of Word’s overview component. Throughout the Navigation window, headings display as users check for text. Because once making a chart of material, individuals would be included.  

So the one listed above will be the right one.

If a firm wished to maximize total revenues, it should produce where: a. marginal revenue is equal to marginal cost. b. marginal revenue is zero. c. marginal cost is zero. d. marginal revenue is equal to price.

Answers

Answer:

A. marginal revenue is equal to marginal cost

If a firm wished to maximize total revenues, it should produce where marginal revenue is equal to marginal cost. Thus, option A is correct.

What is the marginal cost?

The marginal cost is the rise in production costs caused by the manufacture of more product units. It's also referred to as the marginal cost of manufacturing. Measuring the marginal cost enables businesses to determine how volume produced affects cost and, eventually, profits.

The marginal cost is the incremental cost of producing an additional item. Assume that it costs $100 to produce 100 vehicle tires. It would cost $80 to create one extra tire. This is the marginal cost: the cost of producing one more unit of an item or service. The marginal cost is determined by the costs of production.

To maximize overall revenues, a company should create where marginal revenue equals marginal cost. As a result, option A is correct.

Learn more about marginal cost here:

https://brainly.com/question/7781429

#SPJ6

what's the most common indicator of illegal property flipping

Answers

The most common indicator of illegal property flipping is when a property is rapidly bought and sold at an inflated price, often involving fraudulent practices to deceive lenders and buyers.

Illegal property flipping typically involves a scheme where a property is purchased at a low price and then quickly sold at a significantly higher price, often within a short period of time. This practice often involves fraudulent activities, such as falsifying documents, inflating appraisals, or concealing property defects, to deceive lenders and buyers. The primary objective is to make a quick profit without adding any substantial value to the property. Such activities can be indicators of illegal flipping, which is considered fraudulent and can have negative consequences for all parties involved.

Learn more about Illegal property flipping here:

https://brainly.com/question/28454967

#SPJ11

Final answer:

Illegal property flipping often involves a sudden, unjustified surge in a property's value, often facilitated by fraudulent appraisals that inflate the property's worth.

Explanation:

The most common indicator of illegal property flipping is when there's a significant and unjustifiable increase in the property's value in a very short period. This usually happens when a buyer purchases a property at a low price, makes minor or no improvements, and then resells the property at a much higher price. The crucial point is the use of fraudulent appraisals thaatl inflate the property's value. Such rapid value escalation, especially without substantial improvements or justifiable market changes, is a red flag for illegal property flipping.

Learn more about illegal property flipping here:

https://brainly.com/question/32512082

#SPJ6

explain the consumer purchase decision-making process when purchasing a suv.

Answers

The consumer purchase decision-making process for purchasing an SUV involves recognizing the need, conducting information search, evaluating alternatives, making a purchase decision, completing the purchase, and conducting post-purchase evaluation.

What are the steps involved in the consumer purchase decision-making process for purchasing an SUV?

The consumer purchase decision-making process when purchasing an SUV typically involves the following steps:

1. Need Recognition: The process begins with the consumer recognizing a need or desire for an SUV, which could be driven by factors like lifestyle changes, family size, or specific requirements like off-road capabilities.

2. Information Search: The consumer then gathers information about different SUV models, brands, features, prices, and available options. This can involve online research, reading reviews, seeking recommendations, or visiting dealerships.

3. Evaluation of Alternatives: The consumer compares different SUV options based on factors such as price, fuel efficiency, safety features, cargo space, performance, brand reputation, and customer reviews. This evaluation helps narrow down the choices.

4. Purchase Decision: After considering the alternatives, the consumer makes a decision on which specific SUV model to purchase. Factors influencing this decision can include personal preferences, budget constraints, perceived value, reliability, and availability.

5. Purchase: The consumer completes the purchase transaction, which may involve negotiating the price, arranging financing if needed, and filling out necessary paperwork.

6. Post-Purchase Evaluation: After buying the SUV, the consumer evaluates their satisfaction with the purchase. They may compare their expectations to the actual performance of the SUV, assess its features, comfort, reliability, and overall ownership experience. Positive experiences may lead to brand loyalty and word-of-mouth recommendations.

Learn more about decision-making

brainly.com/question/30697303

#SPJ11

The function f(x) = 2,000(1 + )12t models the balance in a savings account.

The savings account had an initial balance of _ and compounds
_ at an interest rate of _

Answers

? wat class this for

Answer:

In the exponential function f(x) = P(1 + )nt :

P = principal value

r = the annual interest rate

n = number of compounding periods in a year

t = time in years

For the given function, P = 2,000, r = 0.0225, or 2.25%, and n = 12. So, the interest compounds 12 times a year, or monthly.

Therefore, the savings account had an initial balance of $2,000 and compounds monthly at an interest rate of 2.25%.

Explanation:

Explanation from PLATO

if a company has annual credit sales of 345,279 and accounts receivable of 10,000, using a 365-day year, what is its average collection period?

Answers

The average collection period of a company with annual credit sales of 345,279 and accounts receivable of 10,000, using a 365-day year is 33.8 days.

The formula for calculating the average collection period is:

Average collection period = (Accounts receivable ÷ Total credit sales) × Number of days in the period

To apply this formula, convert the accounts receivable and total credit sales into daily averages. For this, need to divide the accounts receivable by the number of days in the period and the total credit sales by the number of days in the period. Use 365 days to convert everything to the same time frame as the days of the year in this problem.

Average collection period:

= (Accounts receivable ÷ (Total credit sales ÷ Number of days in the period)) × Number of days in the period

Average collection period = (10,000 ÷ (345,279 ÷ 365)) × 365Average collection period

= 33.8 days

Therefore, the average collection period is 33.8 days.

Learn more about collection period https://brainly.com/question/16008873

#SPJ11

PLEASEEEE HELPPPPP.!!!!What is the term applied to an integrated approach to managing a company's
interaction with its customers?
A. Innovation
B. Customer relationship management
C. Big data
D. Customer support
SUBMIT

Answers

Answer:

the answer is B

Explanation:

I have did that before just trust me

The term applied to an integrated approach to managing a company's interaction with its customers is Customer relationship management. Thus, the correct answer is option B.

What is Customer relationship management?

Customer relationship management (CRM) is the process by which a company or other organization manages its interactions with customers, typically by analyzing large amounts of data.

CRM systems collect information from a variety of communication channels, such as a company's website, phone, email, marketing materials, and, more recently, social media. They enable businesses to learn more about their target audiences and how to best meet their needs, resulting in customer retention and sales growth.

Therefore, Customer relationship management is an integrated approach to managing a company's interaction with its customers.

To learn more about Customer relationship management, click here:

https://brainly.com/question/29843998

#SPJ2

Other Questions
driving too slow is against the law as it would block or impede other traffic. true or false Tami is growing a species of algae in a test tube containing a trace amount of phosphate. The algae multiply until all the phosphate runs out. If Tami adds more phosphate, the algae will start multiplying again. What is the role of the phosphate in this system? a. Consumer b. Limiting factor c. Constant d. Biotic factor "A consumer wanted to purchase a new computer. However, she used the money to pay her rent instead. In this case, housing is what type of competitor?" a semi-colon can be used where a period would be appropriate in the sentence because it signals a long pause. for example: i went swimming yesterday; my body is still tired. True or False ? QuestionType the correct answer in the box. Use numerals instead of words. If necessary, use / for the fraction bar.What is a value of 7 inches to the nearest hundredth? a traveler's check is a personal check that has been certified as being good by the financial institution on which it is drawn. What is the exponent of this variable?: X HURRYY PLEASE!! Which two neighbors of the Italian city-states were the biggest obstacles to the Italian risorgimento?A. Ottoman Empire and Austria-HungaryB. France and Austria-HungaryC. Tunisia and Ottoman EmpireD. Yugoslavia and France Euchromatin (a) stains lightly ( b ) is partially condensed ( c ) genetically active chromatin with genes ( d ) all of the above Consider the following game, which occurs after a major disaster where money is being raised for a charity to help people in need. There are two identical players, and they are people deciding how much money to donate to the charity. They can donate $0, $25 or $100 to the charity. Their value of donating is $35 only if the total raised (from all donors) meets or exceeds 100$; otherwise it is zero This means their payoffs are the value minus donation amount (e.g. 35-25 if they donated $25 and the total raised was $100 or more.) The last player is the Government which decides whether to announce it will match donations or not . Similarly to the donors, the Government has a value of $55 only if the total raised (from all donors) meets or exceeds 100$; otherwise it is zero. The game proceeds as follows: 1. First, the government announces whether or not it will match donations by the individuals 2. Second, the first individual donates 3. Third, the second individual donates 4. Finally, the pay-offs are realized Answer the following two questions; they are worth the balance of the assignment, if you skipped a question. (a) Model this situation as a sequential game by drawing its game tree. (b) Find the subgame perfect Nash equilibrium when spring arrives in the north pole, it ushers in six months of what? Complete the steps to find the value of X. (8x+6) Under appraisal independence requirements, a financial institution is permitted to? in an ocean ecosystem, which is necessary to begin a food web? Can someone tell me how many beats are in 2/4, 3/4 , and 4/4 Troy's financial records for the year reflect the following: Interest income from bank savings account $1,440 Taxable annuity receipts 2,880 City ad valorem property tax on investments 216 Investment interest expense 5,040 Calculate Troy's net investment income and his current investment interest deduction. How is a deduction for any potential excess investment interest treated?Troy's net investment income is $_____and his investment interest deduction is $______investment interest expense not deducted this year is_____. (1 point) Use the method of undetermined coefficients to find a solution of a y" 8y' + 297 = 48e4t cos(3t) + 80e4t sin(3t) + 3 - Use a and b for the constants of integration associated with the homogeneous solution. Use a as the constant in front of the cosine term. y = yh + yp = - = (1 point) Find y as a function of x if ' y" 6y" + 8y' = 3e", - - = y(0) = 14, y'(0) = 29, y"(0) = 25. 33 4x y(x) = 37 91 e2x - tet 8 e 8 4 Which expression is equivalent to z+z+z+z+3? A. 7z B. 4z + 3 C. 3z +4 D. z3 Using the numbers 2,7,13,11,5 can you get the total of 23? (You must use all numbers, no negatives, no using each number more than once, and only use Subtraction, Multiplication, addition, and division, you can also group numbers) suppose that in plants, smooth seeds (s) are dominant to wrinkled seeds (s) and tall plants (t) are dominant to short plants (t). if an f1 plant from a mating between homozygous plants that were tall/smooth and short/wrinkled was backcrossed to the short/wrinkled parent what proportion of the progeny would be expected to be heterozygous for tall and homozygous for smooth?