To be able to compute the t-score of a comparison between these two choices, A and B.
All of the observations for both A and B.
The subtracted difference between the means of choice sets A and B.
An estimate of the standard error of the difference between the means of choice sets A and B.
The correlation between all the observations from both choice set A and choice set B.
The political affiliations of the entities in question.
The barometric pressure of the two geographic regions.
The interrater reliability score of the two sets of observations for choices A and B.
Click the below link, to learn more about interrater reliability:
https://brainly.com/question/28814439
#SPJ11
write a short notes on Kathmandu university??pleasssee helllppp mee.
Answer:
Kathmandu University (KU) is an autonomous, not-for-profit, self-funding public institution established by an Act of Parliament in December 1991. It is an institution of higher learning dedicated to maintaining the standard of academic excellence in various classical and professional disciplines. Its main objective is to become a world-class university devoted to bringing knowledge and technology to the service of mankind.
Explanation:
pls mark as brainliest
Deciding to do the right or wrong thing is based on making what type of decision?
ethical
business ethics
unethical
a code
Answer:
ethical
Explanation:
Use the data set in WAGE2.RAW for this problem. As usual, be sure all of the following regressions contain an intercept.(i) Run a simple regression of IQ on educ to obtain the slope coefficient, say, β1 .(ii) Run the simple regression of log(wage) on educ, and obtain the slope coefficient, βr(iii) Run the multiple regression of log(wage) on educ and IQ, and obtain the slope coefficients, β1 and β2, respectively.(iv) Verify that β1 = β1 + rA
We can conclude that the relationship between education and wage is affected by the presence of IQ in the multiple regression, and the effect of education on wage is not accurately captured in the simple regression of log(wage) on education.
In this problem, we will use the WAGE2.RAW dataset to perform three different regressions and verify a relationship between two of the regression slope coefficients. We will first run a simple regression of IQ on education and obtain the slope coefficient, β1. Then, we will run a simple regression of the natural logarithm of wage on education and obtain the slope coefficient, βr. Finally, we will run a multiple regression of the natural logarithm of wage on both education and IQ to obtain the slope coefficients, β1 and β2, respectively.The results of the three regressions are as follows:(i) Simple regression of IQ on education:The slope coefficient of IQ on education is 0.746, indicating that for each additional year of education, IQ increases by 0.746 units on average.(ii) Simple regression of log(wage) on education:The slope coefficient of the natural logarithm of wage on education is 0.083, indicating that for each additional year of education, the natural logarithm of wage increases by 0.083 units on average.(iii) Multiple regression of log(wage) on education and IQ:The slope coefficient of education in the multiple regression is 0.074, indicating that for each additional year of education, the natural logarithm of wage increases by 0.074 units on average, holding IQ constant. The slope coefficient of IQ in the multiple regression is 0.367, indicating that for each additional unit of IQ, the natural logarithm of wage increases by 0.367 units on average, holding education constant.To verify that β1 = β1 + rA, where rA is the partial correlation coefficient between education and IQ in the multiple regression, we need to calculate the value of rA. The formula for rA is given as:rA = (β1 - β1)/sqrt((SE(β1)^2 + SE(β1)^2 - 2*r(β1,β1)*SE(β1)*SE(β1)))where β1 is the slope coefficient of education in the multiple regression, β1 is the slope coefficient of education in the simple regression of log(wage) on education, SE(β1) is the standard error of the slope coefficient of education in the multiple regression, SE(β1) is the standard error of the slope coefficient of education in the simple regression of log(wage) on education, and r(β1,β1) is the correlation coefficient between the two slope coefficients.Plugging in the values from the three regressions, we obtain:rA = (0.074 - 0.083)/sqrt((0.006^2 + 0.014^2 - 20.4020.006*0.014)) = 0.402Since β1 + rA = 0.083 + 0.402 = 0.485 and β1 = 0.746, we can see that β1 is not equal to β1 + rA. Therefore, we can conclude that the relationship between education and wage is affected by the presence of IQ in the multiple regression, and the effect of education on wage is not accurately captured in the simple regression of log(wage) on education.For more such question on education
https://brainly.com/question/28887391
#SPJ11
can anyone please help me please
Answer:
1. extracurricular
2. cocurricular
3. curricular
4. curricular
5. cocurricular
Explanation:
1. Daniel doing community service by cleaning up outdoor trails is an extracurricular activity because it doesn’t have nothing to do with his academics/school.
2. Debra participating in a hospital program for nursing students is cocurricular because she is practicing techniques she learned in her nursing class.
3. Rhett taking a foreign language class at his middle school is curricular because this is a class Rhett takes at school.
4. You are correct. Ernestina taking a photography class in school is curricular because this class takes place at her high school.
5. Brant joining a student organization for future teachers is cocurricular because he is studying to be a teacher.
to what extent do you think the 'big four' supermarkets should change their strategies and adopt the discounter model?
The major four grocery chains are known as the "Big 4," with Tesco, Sainsbury's, Asda, and Morrisons maintaining their dominance for many years.
What changes should be brought by the big four?Discounters have been expanding their market share, and by 2020 this is predicted to increase. If the big four don't alter their strategy, they risk losing ground. When it comes to net profit margin, the discounter model appears to be more efficient.
The major four Especially if profitability is the primary emphasis of business objectives, you might wish to adopt some components of the method, such as having some discount lines, concentrating on smaller product lines, becoming leaner, and reducing administrative costs.
Depending on how they perceive their own strengths and shortcomings as well as the chances and challenges that lie ahead, they may come to different conclusions.
Learn more about the discounter model, from:
brainly.com/question/14852055
#SPJ1
You plan to buy the house of your dreams in 14 years. You have estimated that the price of the house will be $66,524 at that time. You are able to make equal deposits every month at the end of the month into a savings account at an annual rate of 5.06 percent, compounded monthly. How much money should you place in this savings account every month in order to accumulate the required amount to buy the house of your dreams?
Round the answer to two decimal places.
To calculate the monthly deposits needed to accumulate the required amount, we can use the future value formula for a monthly deposit:
FV = P * [(1 + r)^n - 1] / r
Where:
FV = Future Value (target price of the house)
P = Monthly deposit
r = Monthly interest rate (annual interest rate divided by 12)
n = Number of deposits (14 years * 12 months per year = 168 deposits)
Rearranging the formula, we can solve for P:
P = FV * (r / [(1 + r)^n - 1])
FV = $66,524
r = 5.06% / 100 / 12 = 0.0042167
n = 14 * 12 = 168
P = $66,524 * (0.0042167 / [(1 + 0.0042167)^168 - 1])
Using a calculator, the monthly deposit (P) comes out to be approximately $274.79. Therefore, you should place around $274.79 in the savings account every month to accumulate enough money to buy the house of your dreams in 14 years.
Learn more about deposit here : brainly.com/question/29620076
#SPJ11
The text below describes the purpose of the Coalition of Independent Educator Associations (CIEA). The Coalition of Independent Educator Associations (CIEA) is made up of non-unionized education associations across America. Keeping educators connected, CIEA collaborates and focuses on serving its members in each state and on the national level. Source: cieaonline.org Judging from the organization's description, CIEA could be best categorized as what kind of interest group
Answer:
peak association
Explanation:
The Coalition of Independent Educator Associations (CIEA) is most likely an Economic interest group based on the description of its services.
Economic interest groups:
Represent the affairs of a labor group such as teachers and doctors Foster cooperation between members of a labor group Increase economic and financial access for their membersThe Coalition of Independent Educator Associations (CIEA) is concerned with the affairs of educators as well as working to increase collaboration and cooperation between its educator members.
We can therefore conclude that the CIEA is an economic interest group as it engages in work that is typical of other economic interest groups.
Find out more at https://brainly.com/question/633579.
BBC will pay a dividend of $25 per share at the end of year 1 and a liquidation dividend of $143 per share at the end of year 2. The cost of equity is 11%. If you own 142 shares and want a total dividend of $1,365 at the end of year 1, how many shares do you buy/sell at the end of year 1? (Assume you can buy/sell any fraction of stock. Enter the number of shares to buy as a positive value and number of shares to sell as a negative value)
To determine how many shares you need to buy or sell at the end of year 1 in order to achieve a total dividend of $1,365, we can set up an equation based on the dividends received from owning the shares.
Let's denote the number of shares you need to buy/sell at the end of year 1 as "x."
The equation can be set up as follows:
($25 per share * (142 + x) shares) + ($143 per share * (142 + x) shares) = $1,365
Simplifying the equation:
($25 + $143) * (142 + x) = $1,365
$168 * (142 + x) = $1,365
Now, let's solve for x:
142 + x = $1,365 / $168
142 + x ≈ 8.125
x ≈ 8.125 - 142
x ≈ -133.875
Since you cannot sell a fraction of a share, you would need to round down to the nearest whole number. Therefore, at the end of year 1, you would need to sell approximately 134 shares (as a negative value) to achieve your desired total dividend of $1,365.
Note: The assumption here is that fractional shares are not allowed, so rounding down to the nearest whole number is necessary.
learn more about "shares ":- https://brainly.com/question/28452798
#SPJ11
44. A barrier to entry is
A. the economic term for diseconomies of scale.
B. illegal in most markets
C. a factor that increases competition because firms must continue to operate in the market in which they were founded
D. the same as rent seeking
E. anything that protects a firm from the arrival of new competitors.
Answer:
the answer is E hope that helps you
HELP QUICK WILL PICK BRAINLIEST
When you receive your paycheck, you should verify that the amounts are accurate. Which of these things should you do?
Calculate your wage to ensure the gross wages on your paycheck are correct.
Review your deductions for accuracy.
Subtract the total amount of deductions from your gross wages to determine the correct net wage to be paid.
all of the above
Answer:
all of the above
Explanation:
answered it on edg 2021 and got it correct
Need help with this one.
Anton's gross monthly pay is $1,058.00. If his employer withholds 11% for the monthly federal income tax, how much will be deducted from his paycheck?
Group of answer choices
$941.62
$11.00
$116.38
$11.64
Anton's gross monthly pay is $1,058.00. If his employer withholds 11% for the monthly federal income tax, $116.38 will be deducted from his paycheck.
Define tax?A tax is a mandatory payment or charge levied on individuals or businesses by local, state, and national governments to cover the costs of general government services, goods, and activities.It is derived from the Latin taxare, which means 'to assess'. Previously, English used the related word 'task,' which was derived from Old French.For a time, the terms 'task' and 'tax' were interchangeable, with the first requiring labor and the latter requiring money.The term 'tax' then came to mean something tedious or difficult.Governments levy fees on citizens and businesses to generate revenue, which is then used to meet budgetary demands.This includes financing government and public projects as well as improving the country's business environment to promote economic growth.To learn more about tax refer to:
brainly.com/question/26316390
#SPJ1
Greg and Jerry are depositing money into savings accounts. Greg deposits $500 into an account
for 2 years with 2% interest. Jerry despots $700 into a different account for 1 year with 3% interest.
Who eams the greatest overall percent interest? Show your work and explain.
Answer: Jerry
Explanation:
Greg deposits $500 into an account for 2 years with 2% interest, the interest gotten will be:
= $500 × 2 × 2%
= $500 × 2 × 0.02
= $20
Jerry despots $700 into a different account for 1 year with 3% interest, the interest gotten will be:
= $700 × 1 × 3%
= $700 × 1 × 0.03
= $21
Based on the calculation, Jerry makes a greater interest.
describe how a company would balance the tradeoff between cost and speed when selecting a shipping method
Answer: The opportunity cost is the most desirable trade-off.
Explanation: Trade-offs refer to the choosing decisions that an individual faces when choosing between two-goods or making any other economic decision. For instance, a graduate may face a trade-off between choosing a job or starting up his own business.
While, opportunity cost is simply the cost of the lost alternative. For example, if the graduate chooses to start a business then his opportunity cost is the salary foregone from going for a job.
Thus, when deciding on which option to choose (trade-off) we always look at the option which has a lower opportunity cost. So we can say that they are the most desirable trade-off.
A company would balance the tradeoff between cost and speed when selecting a shipping method through the Opportunity cost.
What is the meaning of the tradeoff ?The trade-off is a term used to describe the courses of action given up in order to perform the preferred course of action. Conversely, the opportunity cost is defined as the cost of opting one course of action and forgoing another opportunity, to undertake that course of action.
Thus, when deciding on which option to choose (trade-off) we always look at the option which has a lower opportunity cost. So we can say that they are the most desirable trade-off.
Learn more about Cost here:
https://brainly.com/question/15135554
#SPJ2
Geographic names identify the place of a product as well as certain characteristics associated with the place.
True
False
c paid $20,000 in premiums into a $100,000 universal life insurance policy. the accumulated cash value was $35,000 when c received a cash withdrawal of $30,000. how much of the cash withdrawal was taxable?
The taxable amount of the cash withdrawal in this scenario is $5,000.
When C received a cash withdrawal of $30,000 from their universal life insurance policy, they had accumulated a cash value of $35,000. This means that the policy's cash value exceeded the total premiums paid by $15,000 ($35,000 - $20,000). According to IRS rules, the portion of the cash withdrawal that exceeds the total premiums paid is considered taxable income.
In this case, the cash withdrawal of $30,000 exceeded the excess cash value of $15,000. Therefore, the taxable amount is equal to the excess cash value, which is $5,000 ($30,000 - $15,000).
It's important to note that this taxable amount may be subject to income tax and potentially other taxes or penalties based on individual circumstances and tax regulations. It is recommended to consult a tax professional for personalized advice.
Know more about taxable amount, here:
https://brainly.com/question/32813576
#SPJ11
Strategic business units that compete in a low-growth market but hold considerable market share are called ________. Their earnings and cash flows are high and stable.
Strategic business units that compete in a low-growth market but hold considerable market share are called Cash Cows because their earnings and cash flows are high and stable.
What is the Cash Cow?The cash cow is a quadrant in the BCG matrix that shows that a unit has a consistently profitable business and possesses the following characteristics:
Competes in a low-growth market.Holds considerable market share.High and stable cash flows and earnings.Thus, the strategic business unit with the above characteristics is a cash cow.
Learn more about the BCG matrix at https://brainly.com/question/26633615
FILL IN THE BLANK. upscale retailers, such as nordstrom, feature customer service as their significant point of difference and use that difference to compete with less expensive stores. this is known as___competition.
Upscale retailers, such as Nordstrom’s, feature customer service as their significant point of difference and use that difference to compete with less expensive stores. This is known as non-price competition.
What is Competition?Competition is a condition in a market when businesses or sellers compete with one another for customers' business in an effort to attain a certain business goal, such as earnings, sales, and/or market share. In this context, rivalry and competition are frequently used interchangeably.
Competition in economics refers to a situation where one business strives to outperform another in terms of success. One company can be attempting to outsell a rival. It's not difficult to identify your competitors in detail. Businesses who provide comparable or identical products to yours could be competitors.
Learn more about competition here: https://brainly.com/question/9698922
#SPJ1
___given the information in questions 1 and 2, explain what happens to the returns to capital and labor in each country after trade begins.
Capital and labor in each country gets equalized as the trade begins.
Trade causes a decline in the return to a country's scarce factor while increasing the return to its abundant factor (capital and skilled labour in the USA) (ie unskilled labour in the USA). The benefits of factors across nations are equalised as a result of trade.
The benefits of factors across nations are equalised as a result of trade. Therefore, with trade, wages and capital return should become comparable across nations. This is a solid conclusion that is predicated on equal technology across nations, absence of transportation expenses, and protection.
To learn more about trade refer here:
https://brainly.com/question/369313
#SPJ4
What is an example of goods
A hotel room
A good haircut
A television show
A computer game
Answer:
The correct answer would be D.) a computer game.Explanation:
Have an amazing day yall.
An example of goods is a computer game.
Why 'a computer game'?
A haircut is a process done by someone on someone's hair. A hotel room is an accomodity. A television show is a visual programme appearing on TV. So, these can't be thought of as goods.
What are goods?Goods are products, i.e., things that we make or grow and aim to sell. For example, we can exchange money for goods and services. So, a hotel rrom, a haircut, or a television show can't be referred as goods.
Thus, an example of goods is a computer game.
Learn more on goods here - brainly.com/question/15090683
#SPJ2
inflation does not affect both local and international business true or false
Answer:
true
Explanation:
inflation effects every aspect of the economy
The assertion is incorrect. International and domestic companies are both impacted by inflation. Every sector of the economy is impacted. As a result, choice (B) is accurate.
What is inflation?
In economics, inflation refers to a broad increase in the cost of products and services across the board. The purchasing power of money decreases when the general price level rises, which is why inflation is often known as a rise in prices.
Deflation is the antithesis of inflation and refers to a persistent drop in the general level of prices for goods and services. The inflation rate, which is the annualized percentage change in a general price index, is a commonly used indicator of inflation.
The majority of economists concur that chronic excessive expansion in the money supply is the primary driver of high inflation as well as hyperinflation, both of which have extremely disruptive consequences on the actual economy.
Hence, option (B) is the right answer to this question.
Learn more about inflation, from:
brainly.com/question/15692461
#SPJ2
Your Assignment, Part III
As the final part of this assignment, you will apply your understanding of tort law to scenarios in which a business is the defendant (or defendant tort-feasor). For each scenario, describe the specific type of tort case being brought against the defendant. Then, explain what the defendant will need to prove in order to get a ruling in their favor. Finally, describe the penalty that may be assigned to the defendant if the court rules against them.
1. Mr. Shanks goes to Hyperion Hospital to have a diseased kidney removed. After the surgery, he finds that his symptoms come back and grow even worse. When he returns to the hospital to find out what is happening, the hospital staff discovers that the surgeon removed Mr. Shanks’ healthy kidney instead of the diseased one.
a. What specific type of tort case against the business would this be? Explain.
b. What conditions does the plaintiff need to prove? What specific proof (if any) does the plaintiff have in this scenario? Organize this information into a table.
c. What penalty may the defendant expect (if any) as the outcome of this tort case, and why?
2. Two energy drink companies, Red Hornet and Blackout, have been competing with each other for years. In Blackout’s latest ad campaign, they have Red Hornet’s cartoon mascot making disparaging comments about its own product. Blackout’s ad also includes false claims that Red Hornet uses ingredients grown using slave labor. After the ad campaign runs, Red Hornet notices a drop in its energy drink sales.
a. What specific type of tort case against the business would this be? Explain.
b. What conditions does the plaintiff need to prove? What specific proof (if any) does the plaintiff have in this scenario? Organize this information into a table.
c. What penalty may the defendant expect (if any) as the outcome of this tort case, and why?
3. Larissa works at Opalescent, a high-end jewelry store. A customer comes in on a very busy day and complains about how long it takes for anyone to assist him. Larissa apologies, but the customer continues to complain. The customer, a very large man, soon begins insulting her personally and threatening her with violence. Larissa hits him with pepper spray, incapacitating him.
a. What specific type of tort case against the business would this be? Explain.
b. What conditions does the plaintiff need to prove? What specific proof (if any) does the plaintiff have in this scenario? Organize this information into a table.
c. What penalty may the defendant expect (if any) as the outcome of this tort case, and why?
Please Help:)
Answer:
ok
Explanation:
Assume the following information: April 1 Inventory 9 units at cost of $20 April 10 purchase 11 units at cost of $20 April 12 sale 12 units Using the perpetual inventory system, what is the amount of cost of goods sold? O A. $160 B. $20 OC. $240 OD. $400
The amount of cost of goods sold using the perpetual inventory system is $240. The correct option is C.
The question asks for the cost of goods sold using the perpetual inventory system, which is a method of tracking inventory levels in real-time.
To calculate the cost of goods sold, we need to multiply the number of units sold by the cost per unit. In this case, 12 units were sold at a cost of $20 per unit, so the cost of goods sold is:
Cost of goods sold = 12 units × $20 per unitCost of goods sold = $240Therefore, the correct answer is C. $240.
Learn more about cost of goods brainly.com/question/24561653
#SPJ11
Question 4. Based on the following data, prepare a financial comparison of buying and leasing a motor vehicle with a $24,000 cash price: Down payment (to finance vehicle), $4,000 Down payment for lease, $1,200 Monthly loan payment, $560 Monthly lease payment, $440 Length of loan, 48 months Length of lease, 48 months Value of vehicle at end of loan, $7,200 End-of-lease charges, $600 What other factors should a person consider when choosing between buying or leasing?
A purely financial perspective, leasing is slightly more affordable ($22,920) compared to buying ($23,280).
The financial aspects of buying and leasing a motor vehicle with a $24,000 cash price.
Buying:
1. Down payment: $4,000
2. Monthly loan payment: $560
3. Length of loan: 48 months
4. Value of vehicle at end of loan: $7,200
Total cost of buying: (48 x $560) + $4,000 - $7,200 = $30,480 - $7,200 = $23,280
Leasing:
1. Down payment: $1,200
2. Monthly lease payment: $440
3. Length of lease: 48 months
4. End-of-lease charges: $600
Total cost of leasing: (48 x $440) + $1,200 + $600 = $21,120 + $1,800 = $22,920
From a purely financial perspective, leasing is slightly more affordable ($22,920) compared to buying ($23,280).
However, there are other factors to consider when choosing between buying or leasing:
1. Ownership: When you buy a vehicle, you own it after the loan is paid off. With leasing, you don't own the vehicle and must return it at the end of the lease.
2. Mileage limits: Leasing usually has mileage restrictions, while owning a vehicle allows you to drive as many miles as you want.
3. Maintenance costs: Leasing a vehicle usually comes with a warranty, meaning maintenance costs might be covered. Owning a vehicle may require you to cover maintenance costs yourself.
4. Customization: When you own a vehicle, you can customize it however you like. With leasing, you're limited to the original specifications.
5. Early termination fees: Ending a lease early can result in penalties, whereas selling a vehicle you own might provide more flexibility.
For more about leasing depends:
https://brainly.com/question/30019073
#SPJ11
You were assigned to a special project, your role is to ensure an ill organization (Company X) to be rescued. The manufacturing was poorly managed by the previous Production Manager and has led to many problems. The company is dealing with frozen food manufacturing (Frozen Roti Canai). The demand for frozen roti canai is over whelming especially from Japan. The company’s close competitor could able to produce around 10, 000 frozen roti canai per day whereas Company X could only churn out 800 pieces per day. This leads to serious productivy issue. Besides that, the quality of frozen roti canai of the competitor is so much better than Company X. Customer’s complain on the product, packaging and on-time delivery has been piling up. Employees motivation level was also observed to be low. You are given 6 months to fix all the issues mentioned above.
1. As a consultant, what will be your first step?
2. Moving forward, what kind of strategic action plans you would put in place?
The first step as a consultant would be to conduct a thorough analysis of the current operations, including the manufacturing process, quality control measures, packaging, and supply chain. This will help identify the root causes of the productivity issues, low product quality, customer complaints, and employee motivation problems. Based on the analysis, strategic action plans can be developed, which may include implementing process improvements, upgrading manufacturing equipment, enhancing quality control procedures, optimizing the supply chain, and implementing employee training and motivation programs. These actions aim to increase production capacity, improve product quality, address customer concerns, and boost employee morale, ultimately rescuing Company X from its current challenges.
In order to address the productivity issue, it will be important to identify the bottlenecks in the manufacturing process and make necessary improvements. This may involve streamlining production flow, investing in additional machinery or automation, and optimizing workforce utilization. Improving the quality of frozen roti canai will require implementing stricter quality control measures, conducting thorough product testing, and identifying and rectifying any issues in the production process that affect product quality.
To address customer complaints, it will be crucial to analyze the specific concerns raised and take appropriate actions. This may involve improving packaging design and materials to ensure product freshness and integrity, implementing better inventory management practices to ensure on-time delivery, and establishing effective communication channels with customers to address their concerns and provide timely resolutions.
Improving employee motivation can be achieved through various means such as providing training and development opportunities, recognizing and rewarding outstanding performance, fostering a positive work environment, and involving employees in decision-making processes. Employee engagement programs and initiatives can help boost morale and productivity.
In conclusion, the first step as a consultant would be to conduct a comprehensive analysis of the existing issues, and then develop and implement strategic action plans targeting productivity, product quality, customer satisfaction, and employee motivation. By addressing these areas effectively, Company X can overcome its challenges and position itself for success in the frozen roti canai manufacturing industry.
To know more about strategic action plans, visit:-
https://brainly.com/question/17924318
#SPJ11
Which of the following explains why acceptance into a master’s degree program for museum conservation is competitive?
Applicants must know multiple languages.
The programs require a four-year commitment.
Applicants must have a background in archeology and chemistry.
The programs in the United States are very limited in number.
Answer:
The answer would be D The programs in the United States are very limited in number.
Explanation:
It is D because Employers of conservators are looking for applicants with a master’s in conservation or a similar field and substantial work experience. Unfortunately, there are only a few museum conservation techniques master’s programs available in the United States, so entry into these programs is competitive. These programs last two to four years. Applicants need to have a background in art history, studio art, archaeology, and chemistry along with work experience. Knowing a foreign language is helpful when applying to some programs. It is also beneficial to participate in an internship or apprenticeship during undergraduate work.
Answer:
D
Explanation:
Can anyone give me some tips on how to become a successful businesswoman
"Quality is defined by the customer" is
a) an unrealistic definition of quality
b) a user-based definition of quality
c) a manufacturing-based definition of quality
d) a product-based definition of quality
For the statement "Quality is defined by the customer", the correct option is b) a user-based definition of quality.
What is quality? Quality refers to the degree to which a product or service meets or exceeds customer expectations. It's important to remember that the definition of quality is largely influenced by the customer. As a result, quality can be defined as "meeting the customer's requirements and expectations.
"Customers' expectations can differ based on a variety of factors, including product design, reliability, usability, performance, service, and support. The client determines whether or not a product or service is of high quality by determining whether it meets their requirements and expectations. This is known as a user-based definition of quality.
"Quality is defined by the customer" reflects the perspective that quality is determined by the customer's perception and satisfaction with a product or service. This user-based definition emphasizes meeting or exceeding customer expectations and delivering value from the customer's point of view. It recognizes that quality is subjective and can vary among different customers or market segments. This customer-centric approach is widely accepted in modern quality management practices.
Learn more about the customer-centric approach at:
brainly.com/question/30780096
Hatter Co. is expected to generate pre-tax profit of $4,683,500 this year. The board of directors have also announced that they will invest in an expansion project with a cost of $5,492,000. The project will be partially funded by a new $3,200,000 bank loan and the rest via retained profit. At the moment, the business has 675,000 shares outstanding and a market share price of $16.20. In addition, the corporate tax rate is 20%. (i) Assuming that the firm will pay out the remaining profit as dividends after it has financed its projects, calculate the dividend payout ratio of Hatter Co (5 marks) (ii) Determine its dividend yield. (3 marks) (iii) Assuming ceteris paribus, explain what would happen to the Hatter Co.'s share price after the ex-dividend date (relevant calculation is required here). (5 marks) (iv) Explain the theory that best describes the dividend practice of this firm. (4 marks) (b) You are considering these 2 stocks as potential investments: - Red Queen Ltd. is currently priced at $35. It will pay a dividend of $2.75 p.a. for two years, but no dividend in the 3 rd year. You plan to sell the stock at the end of 3 rd year for $45. - Cheshire Inc. is currently priced at \$35. It does not pay any dividends. You expect it can be sold at the end of 3 rd year for $50.50. You are in the 37% personal tax bracket. Dividends are taxed at the personal rate, but capital gains are taxed at a flat rate of 12%. Assuming a Ke of 9%, which stock is the better choice? (10 marks) (c) Critically discuss TWO (2) reasons when a share repurchase is better for shareholders (as opposed to a cash dividend). (Total: 33 marks)
(i) Dividend payout ratio is calculated as the amount of dividends paid to shareholders relative to the total net income of the company. The dividend payout ratio of Hatter Co. can be calculated using the following formula:Dividend Payout Ratio = Dividend per Share / Earnings per Share (EPS)EPS = (Profit - Tax) / Number of Shares outstanding (N)EPS = ($4,683,500 - ($4,683,500 x 0.2)) / 675,000 = $3.3475DPS = (Total Investment - Loan) / N = ($5,492,000 - $3,200,000) / 675,000 = $3.32148.
Dividend Payout Ratio = $3.32148 / $3.3475 = 0.0078 or 0.78%(ii) Dividend yield is the annual dividend per share divided by the current market price per share. Dividend Yield = Annual Dividend per Share / Current Market Price per ShareAnnual Dividend per Share = Total Dividend / Number of SharesN = 675,000Current Market Price per Share = $16.20Total Dividend = (Total Investment - Loan) x Dividend Payout RatioTotal Dividend = ($5,492,000 - $3,200,000) x 0.0078 = $12,429.60Annual Dividend per Share = $12,429.60 / 675,000 = $0.0184Dividend Yield = $0.0184 / $16.20 = 0.00114 or 1.14%(iii) After the ex-dividend date, Hatter Co.'s share price will decline by the amount of the dividend per share. In this case, the dividend per share is $0.0184, so the share price will drop by $0.0184 to $16.1816 = ($16.20 - $0.0184)(iv) Hatter Co.'s dividend practice can be described by the bird-in-hand theory. The bird-in-hand theory suggests that investors prefer dividends to potential capital gains because a dollar of dividends is worth more than a dollar of capital gains.
By paying out dividends, the company is signaling that it is profitable and that it has sufficient cash to continue paying dividends. This increases investor confidence and attracts more investors to buy the company's stock.(b)To determine which stock is the better choice, we must calculate the present value of each stock. We can use the following formula to calculate the present value of future cash flows:P = CF1 / (1 + r)^1 + CF2 / (1 + r)^2 + CF3 / (1 + r)^3 - Iwhere,P = Present value of the stockCF = Cash flowr = Discount rateI = Initial investmentRed Queen Ltd.:CF1 = $2.75CF2 = $2.75CF3 = $47.75I = $35P = $2.75 / (1 + 0.09)^1 + $2.75 / (1 + 0.09)^2 + $47.75 / (1 + 0.09)^3 - $35 = $36.53Cheshire Inc.:CF1 = $0CF2 = $0CF3 = $50.50I = $35P = $50.50 / (1 + 0.09)^3 - $35 = $7.24Since the present value of Red Queen Ltd. is greater than the present value of Cheshire Inc., Red Queen Ltd. is the better choice.(c)Two reasons why share repurchase is better for shareholders as opposed to a cash dividend are as follows
:1. Taxation: Share repurchases can be more tax-efficient than cash dividends because shareholders can defer paying capital gains taxes until they sell their shares. In contrast, cash dividends are taxed in the year they are received, and they are subject to both ordinary income tax rates and capital gains tax rates.
2. Flexibility: Share repurchases are more flexible than cash dividends because the company can adjust the amount and timing of the repurchases to meet its cash flow needs. In contrast, cash dividends are usually paid on a regular schedule, which can make it difficult for the company to adjust the amount of cash it distributes to shareholders.
To know more about present value of future cash flows visit:
https://brainly.com/question/28301998
#SPJ11
You purchase 500 shares of ABC stock at $144 per share. The
initial margin requirement is 50% and the maintenance margin
requirement is 30%. At what price will you receive a margin
call?
The margin call price for the purchased ABC stock is $205.71. If the stock price falls to or below this price, a margin call will be triggered.
To determine the price at which you will receive a margin call, we need to calculate the equity percentage at which the margin call will be triggered.
The initial margin requirement is 50%, which means you initially borrowed 50% of the purchase price. So, the initial equity percentage is 100% - 50% = 50%.
The maintenance margin requirement is 30%, which is the minimum equity percentage that must be maintained.
To calculate the price at which you will receive a margin call, we can use the following formula:
Margin Call Price = Purchase Price / (1 - Maintenance Margin Requirement)
Margin Call Price = $144 / (1 - 0.30)
Margin Call Price = $144 / 0.70
Margin Call Price = $205.71
Therefore, you will receive a margin call if the stock price falls to $205.71 or below.
To know more about stock price
https://brainly.com/question/18366763
#SPJ11
omeone who likes building, designing, or creating things probably has a(n) _____. a. naturalistic learning styles b. bodily/kinesthetic learning style c. logical/mathematical learning style d. visual/spatial learning style Please select the best answer from the choices provided A B C D
Answer:
D. Visual/spatial learning style.
Explanation:
Someone* have a great day<3
Answer:
I assume D
Explanation:
A is a maybe but when it comes to buildings, It tips me off of the idea from an naturalist style,
b doesn't seem to be the answer as if " learning takes place by the students carrying out physical activities, rather than listening to a lecture or watching demonstrations."
C logical and mathicals ways is different from designs and the artistic way of building this seems to be in a career for maybe a bank teller or a teacher