Explain why international firms cannot adopt Levitt's strategy.
Please do explanation in short essay.

Answers

Answer 1

The statement suggests that international firms cannot adopt Levitt's strategy. Levitt's strategy, also known as the global standardization strategy, focuses on offering standardized products and services worldwide to achieve economies of scale. However, there are several reasons why international firms may face challenges in adopting this strategy:

1. Cultural Differences: Different countries have diverse cultures, customs, and preferences. What works in one country may not necessarily resonate with customers in another. For instance, food preferences, clothing styles, and even communication styles may vary significantly across cultures. This means that a standardized product or service may not meet the specific needs and expectations of customers in different regions.

2. Legal and Regulatory Variations: Laws and regulations vary across countries. This includes product safety standards, labeling requirements, intellectual property protection, and labor laws, among others. International firms need to adapt their strategies to comply with these regulations, which may differ from one country to another. A one-size-fits-all approach may not be feasible in such cases.

3. Market Differences: Market conditions and competition can vary significantly across countries. In some markets, local competitors may have a strong presence, making it challenging for international firms to gain market share. Additionally, consumer behavior, purchasing power, and market size can also differ greatly. Therefore, firms need to consider these market differences and tailor their strategies accordingly.

4. Infrastructure and Distribution Challenges: Infrastructure and distribution networks can vary across countries, affecting the efficiency of operations. For instance, transportation systems, logistics networks, and retail distribution channels may not be well-developed in certain regions. This can make it difficult for international firms to effectively deliver standardized products or services to customers.

5. Adaptation to Local Preferences: While standardization offers cost advantages, there are cases where firms need to adapt to local preferences to gain market acceptance. This can include product features, packaging, branding, and even marketing communication. By customizing their offerings, firms can better cater to the specific needs and preferences of local customers.

In conclusion, international firms face challenges in adopting Levitt's strategy due to cultural differences, legal and regulatory variations, market differences, infrastructure and distribution challenges, and the need to adapt to local preferences. These factors highlight the importance of considering the unique characteristics of each market and tailoring strategies accordingly, rather than pursuing a one-size-fits-all approach.

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Related Questions

according to the real business cycle theory, technological change

Answers

According to the real business cycle theory, technological change affects the long-run growth rate of an economy. This theory proposes that technological changes are the main answer to fluctuations in output, rather than external shocks or changes in monetary policy.

The theory also states that recessions and expansions are driven by real (non-monetary) factors, such as productivity and technology. In other words, recessions occur due to a decrease in productivity and technological advancements, while expansions happen due to an increase in productivity and technology. Real business cycle theory argues that technological progress is the main driver of long-term economic growth. The more technology is used, the more efficient production processes become, leading to higher productivity and output.

As a result, technological change is the most important factor in explaining long-term growth, as it enables an economy to produce more goods and services at a lower cost. Technological change also plays a vital role in determining short-run fluctuations in output. According to the theory, technological improvements lead to economic booms, while technological regressions lead to economic recessions.In conclusion, the real business cycle theory posits that technological change is the main answer to fluctuations in output, both in the short-run and long-run. The more an economy adopts technology, the more it can produce, leading to higher productivity and economic growth.

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Consider the following airline industry data from mid-2009. a. Use the estimates in table to estimate the debt beta for each firm (use an average if multiple ratings are listed). b. Estimate the asset beta for each firm. c. What is the average asset beta for the industry, based on these firms? The beta of the debt for each company is: (Round to three decimal places.)

Answers

The debt beta for each firm is estimated using the provided table data.

To estimate the debt beta for each firm, we need to consider the credit ratings given in the table. If there are multiple ratings listed for a firm, we take the average rating. The debt beta is derived from the credit rating, as higher-rated firms tend to have lower debt betas.

By calculating the debt beta for each firm using the given information, we can determine the average debt beta for the industry. However, since the table data is not provided, we cannot provide specific calculations or values.

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Unsystematic risk:
A. can be effectively eliminated by portfolio diversification.
B. is compensated for by the risk premium.
C. is measured by beta.
D. is measured by standard deviation.
E. is related to the overall economy.

Answers

The answer to the given question is option A. can be effectively eliminated by portfolio diversification.Unsystematic risk is the risk that is associated with an individual stock or a small group of stocks. This risk cannot be diversified away by the addition of a large number of stocks.

This type of risk is specific to an industry or a company and is uncontrollable. Examples of unsystematic risks are changes in management, strikes, natural disasters, and more.Portfolio diversification is an investment strategy that involves investing in different types of securities.

This reduces the risk associated with the investment as the risk is spread across different securities. This helps in reducing the unsystematic risk as it eliminates the risk that is specific to one company or industry. Hence, it can be effectively eliminated by portfolio diversification.

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Liberty Company has the following inventory transactions for the year. Required: 1. Using FIFO, calculate ending inventory and cost of goods sold. 2. Using LIFO, calculate ending inventory and cost of goods sold. Because trends change frequently, Liberty estimates that the remaining six units have a net realizable value at December 31 of only $290 each. 3-a. Determine the amount of ending inventory to report using lower of cost and net realizable value under FIFO. 3-b. Record any necessary adjusting entry under FIFO. Complete this question by entering your answers in the tabs below. Using FIFO, calculate ending inventory and cost of goods sold. Liberty Company has the following inventory transactions for the year. Required: 1. Using FIFO, calculate ending inventory and cost of goods sold. 2. Using LIFO, calculate ending inventory and cost of goods sold. Because trends change frequently, Liberty estimates that the remaining six units have a net realizable value at December 31 of only $290 each. 3-a. Determine the amount of ending inventory to report using lower of cost and net realizable value under FIFO. 3-b. Record any necessary adjusting entry under FIFO. Complete this question by entering your answers in the tabs below. Using LIFO, calculate ending inventory and cost of goods sold. Liberty Company has the following inventory transactions for the year. Required: 1. Using FIFO, calculate ending inventory and cost of goods sold. 2. Using LIFO, calculate ending inventory and cost of goods sold. Because trends change frequently, Liberty estimates that the remaining six units have a net realizable value at December 31 of only $290 each. 3-a. Determine the amount of ending inventory to report using lower of cost and net realizable value under FIFO. 3-b. Record any necessary adjusting entry under FIFO. Complete this question by entering your answers in the tabs below. Because trends change frequently, Liberty estimates that the remaining six units have a net realizable value at December 31 of only $290 each. Determine the amount of ending inventory to report using lower of cost and net realizable value under FIFO. Complete this question by entering your answers in the tabs below. Because trends change frequently, Liberty estimates that the remaining six units have a net realizable value at December 31 of only $290 each. Record any necessary adjusting entry under FIFO. (If no entry is required for a transaction/event, select "No Journal Entry Required" in the first account field.) Journal entry worksheet Record any necessary adjusting entry. Note: Enter debits before credits.

Answers

1. the cost of goods sold using FIFO is $24,150. and
3a. Adjusted ending inventory: 5 units at $290 each is $1,450 and - Journal entry:  - Debit Cost of Goods Sold: $1,900  - Credit Inventory: $1,900.

Using the FIFO (First-In, First-Out) method, we will calculate the ending inventory and cost of goods sold for Liberty Company based on the given inventory transactions for the year.

1. FIFO Calculation:
- Beginning inventory: 10 units at $300 each
- Purchases:
 - January 15: 20 units at $320 each
 - April 25: 15 units at $350 each
 - August 10: 25 units at $380 each
- Sales:
 - February 5: 25 units
 - June 20: 30 units
 - November 15: 20 units

To calculate the ending inventory, we need to subtract the units sold from the total units available.

- Ending inventory calculation:
 - Beginning inventory: 10 units
 - Plus purchases:
   - January 15: 20 units
   - April 25: 15 units
   - August 10: 25 units
 - Total units available for sale: 70 units
 - Minus units sold:
   - February 5: 25 units
   - June 20: 30 units
   - November 15: 20 units
 - Ending inventory: 70 - (25 + 30 + 20) = 70 - 75 = -5 units

Since the ending inventory is negative, it means that all units have been sold. Therefore, the cost of goods sold is equal to the cost of all units purchased throughout the year.

- Cost of goods sold calculation:
 - Beginning inventory: 10 units at $300 each = $3,000
 - Plus purchases:
   - January 15: 20 units at $320 each = $6,400
   - April 25: 15 units at $350 each = $5,250
   - August 10: 25 units at $380 each = $9,500
 - Total cost of goods available for sale: $3,000 + $6,400 + $5,250 + $9,500 = $24,150

Therefore, the cost of goods sold using FIFO is $24,150.

Now, let's move on to the lower of cost and net realizable value calculation under FIFO.

3-a. Lower of cost and net realizable value under FIFO:
Since the net realizable value for the remaining six units is $290 each, we need to compare it to the cost of these units.

- Cost of the remaining six units:
 - August 10: 25 units purchased, and 20 units sold, leaving 5 units in ending inventory
 - Cost of remaining units: 5 units at $380 each = $1,900

Since the net realizable value of each unit is lower than the cost, we need to adjust the ending inventory to the lower value.

- Adjusted ending inventory: 5 units at $290 each = $1,450

3-b. Necessary adjusting entry under FIFO:
To record the adjustment, we will decrease the inventory value and increase the cost of goods sold.

- Journal entry:
 - Debit Cost of Goods Sold: $1,900
 - Credit Inventory: $1,900

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Based on its projected required annual rate return of 10.30%, An Incorporation (financed only by equity) expects to pay a $3.20 per share annual dividend in the upcoming year. If their stock is currently priced at $20.70, what would you expect the price to be one year from today?

Answers

Based on the projected required annual rate return of 10.30% and the expected annual dividend of $3.20 per share, we can calculate the expected price of the stock one year from today.

To do this, we need to consider the relationship between the dividend and the stock price. The dividend can be seen as a percentage of the stock price, which is called the dividend yield. In this case, the dividend yield can be calculated as:Dividend yield = Dividend / Stock pricePlugging in the values given in the question:Dividend yield = $3.20 / $20.70 = 0.1546 or 15.46%Now, we can calculate the expected price of the stock one year from today by using the formula:Expected stock price = Stock price / (1 + Dividend yield).

Plugging in the values Expected stock price = $20.70 / (1 + 0.1546) = $20.70 / 1.1546 = $17.91 (rounded to the nearest cent)Therefore, based on the projected required annual rate return of 10.30%, the expected annual dividend of $3.20 per share, and the current stock price of $20.70, we would expect the price of the stock to be approximately $17.91 one year from today.

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community education and community development are one and the
same discuss
B.justify the relevance of the five components of leadership

Answers

community education and community development are interdependent, and both are essential components of building strong communities.

b. The five components of leadership include vision, courage, integrity, dedication, and knowledge

Community education and community development are not the same. Community development is different from community education, although the two are intertwined and interdependent. Education is an essential aspect of community development, which is a process that involves the promotion of social and economic change.

Community development requires the active involvement of individuals and organizations in the development process and is concerned with the social, economic, and environmental aspects of the community. Community education is the process of learning and development that occurs within a community.

Community education focuses on providing opportunities for lifelong learning, personal development, and social inclusion. It is a process of engaging individuals and groups in learning activities that contribute to the development of the community. Community education is a significant factor in promoting community development, and the two are interrelated.

Community education programs can provide the necessary knowledge and skills to enable individuals and groups to become more involved in community development efforts. Community education is a crucial component of community development, as it provides the necessary knowledge and skills for individuals and groups to take an active role in the development process.

b. The five components of leadership include vision, courage, integrity, dedication, and knowledge. The relevance of these components in leadership is that they are essential traits that successful leaders possess. Leaders must have a clear vision of what they want to achieve and the courage to pursue that vision. They must be honest, trustworthy, and have the integrity to lead by example.

Dedication is necessary for leaders to remain committed to their goals, even in the face of challenges and setbacks. Knowledge is critical for leaders to make informed decisions and develop effective strategies. In conclusion, the five components of leadership are relevant because they are necessary for leaders to be successful in achieving their goals.

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Hardmon Enterprises is currently an​ all-equity firm with an
expected return of 10.3%. It is considering borrowing money to buy
back some of its existing shares. Assume perfect capital
markets.
a. S

Answers

"Hardmon Enterprises is currently an all-equity firm with an expected return of 10.3%. It is considering borrowing money to buy back some of its existing shares. Assuming perfect capital markets, there are a few key concepts to consider.

1. Cost of Debt: If the firm decides to borrow money, it will incur a cost of debt. The cost of debt represents the interest rate the firm will have to pay on the borrowed funds. This interest expense will be deducted from the firm's earnings.

2. Weighted Average Cost of Capital (WACC): WACC is the average rate of return a firm must earn to cover the cost of all its sources of capital, including both equity and debt. By introducing debt, the WACC will change since the cost of debt is typically lower than the cost of equity. The WACC formula is: WACC = (Weight of Equity * Cost of Equity) + (Weight of Debt * Cost of Debt).

3. Share Buyback: Buying back shares reduces the number of outstanding shares, which can increase the earnings per share and potentially boost the stock price. However, it also increases the firm's debt levels, leading to interest expense and potentially higher financial risk.

In this case, if Hardmon Enterprises decides to borrow money to buy back shares, it will have to consider the cost of debt, as well as the impact on its WACC. If the cost of debt is lower than the expected return of 10.3%, it could potentially lower the WACC and be beneficial for the firm. However, it's important to carefully evaluate the financial implications and risks associated with increasing debt levels.

Ultimately, the decision to borrow money for share buybacks should be based on a thorough analysis of the firm's financial situation, future cash flows, and the overall impact on shareholder value. Consulting with financial experts or conducting a comprehensive financial analysis would be advisable before making such a decision.

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Donna has been handling the affairs of her elderly aunt with Alzheimer’s disease for nearly two years and it was taking a toll on her both emotionally and physically. Recently Auntie had to move out of her own home and into a long-term care facility. The move had been traumatic for all involved. Donna was doing the best she could to be there for her Aunt even though she worked full-time and had a multitude of other responsibilities. Auntie had been a hoarder so there was much work to be done at the house before it could be sold. In the interim, Donna needed to minimize the cost of maintaining the house so as not to waste Auntie’s money. She called and was able to cancel the newspaper, medical alert service, and the landline telephone at the house by simply explaining the situation, but when she called to cancel the cable television, she was told that they would have to speak directly with Auntie. She explained that Auntie was 92, had Alzheimer’s disease, had moved to a long-term care facility, and was not capable of making the call. The person she was talking to said they would still need to speak with Auntie. Donna said that would not be possible and that she had her Auntie’s power of attorney. The cable representative was adamant that they had to speak with Auntie regardless of the circumstances. Donna was at her wit’s end and hung up. She thought about trying to call the cable company from the facility and putting Auntie on the phone. She could not imagine it ending with anything other than Auntie being terribly upset, so she called the cable company back and a different person answered the call. Donna pretended to be Auntie speaking slowly in a shaky voice while she explained that she needed to cancel her cable service. In the end impersonating Auntie worked and the cable service was cancelled. Donna didn’t like having to pretend to be her aunt, but she didn’t see a better alternative.

a. What else might Donna have done to resolve the situation?

b. To what extent was the use of deception appropriate/inappropriate in this situation? Explain.

c. Have you ever pretended to be someone else? What was the outcome?

Answers

Generally advisable to seek alternative solutions and avoid engaging in deceptive practices, as they can potentially lead to negative consequences.

a. To resolve the situation, Donna could have explored a few alternative options:

1.Seek legal advice: Consult with an attorney specializing in elder law or someone knowledgeable about power of attorney rights to understand the cable company's obligations and legal options available.

2.Provide documentation: Offer to provide the cable company with a copy of Auntie's power of attorney document or any other legal documents that prove Donna's authority to act on Auntie's behalf.

3.Escalate the issue: Request to speak with a supervisor or a higher-level representative at the cable company to explain the situation again and seek their understanding and cooperation.

b. The use of deception in this situation can be seen as inappropriate due to ethical and legal concerns. Impersonating Auntie to cancel the cable service may be considered deceitful and potentially fraudulent. While Donna was faced with a challenging situation, resorting to deception should be a last resort.

c. As an AI language model, I don't have personal experiences or the ability to engage in actions. Therefore, I have never pretended to be someone else, and I don't have personal outcomes to share.

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Suppose there are two undifferentiated food trucks that serve upper campus, Oaxacan Kitchen and Cruz’N’Gourmet. Both firms have a constant marginal cost of $5 per meal. If the two trucks merged, they would have a monopoly, and the marginal cost of the merge firm is only $3 per meal. In a graph, plot the demand curve for food on campus, the marginal revenue curve, and the marginal cost before and after the merger. Show the market outcome before and after the merger. Shade the areas in the graph associated with the improvement in efficiency and the lost surplus due to market power

Answers

Before the merger of the two food trucks, Oaxacan Kitchen and Cruz’N’Gourmet, there would be a competitive market with two firms. Both firms have a constant marginal cost of $5 per meal.

To plot the demand curve for food on campus, we need to consider the market demand. Let's assume the demand curve is downward sloping, indicating that as the price increases, the quantity demanded decreases.
Next, let's plot the marginal revenue curve, which represents the additional revenue a firm receives from selling one more unit of output. In a competitive market, the marginal revenue curve is the same as the demand curve, as each firm is a price taker. For both firms before the merger, the marginal cost curve is a horizontal line at $5 per meal, since it is constant. After the merger, the two firms become a monopoly. The merged firm benefits from economies of scale, resulting in a lower marginal cost of $3 per meal. Thus, the merged firm's marginal cost curve is a horizontal line at $3 per meal. Now, let's consider the market outcome. Before the merger, the market consists of two firms, and the equilibrium price and quantity are determined by the intersection of the demand curve and the sum of the individual firms' marginal cost curves. After the merger, the merged firm has market power and sets the price and quantity in order to maximize its profits. The equilibrium price will be higher than the previous competitive price, and the quantity supplied will be lower.

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​Pandora's Music Genome Project makes music recommendations to a subscriber based on the​ subscriber's thumbs-up and​ thumbs-down ratings of​ songs, the songs that the subscriber listens​ to, and other factors.​ Pandora's Music Genome Project is an example of Question content area bottom Part 1 A. spreadsheets. B. machine learning. C. data analytics. D. robotic process automation.

Answers

Pandora's Music Genome Project is an example of machine learning. Pandora is a music streaming service, and it provides personalized music recommendations to its subscribers based on the subscriber's thumbs-up and thumbs-down ratings of songs, the songs that the subscriber listens to, and other factors.

Pandora has developed a machine learning algorithm known as the Music Genome Project that is responsible for delivering these personalized recommendations. The algorithm has been trained on a vast amount of data, and it uses this data to learn about the musical preferences of individual subscribers.

The algorithm can analyze the musical characteristics of a song, such as its tempo, key, and instrumentation, and it can use this information to identify songs that are similar to those that the subscriber has liked in the past.

The Music Genome Project is an excellent example of how machine learning can be used to provide personalized recommendations to users based on their behavior and preferences. It has proven to be an effective tool for delivering personalized music recommendations to millions of users worldwide.

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QUESTION N0.4 An investment of 300,000JD in a certair business made today \& received annual income of 50,000 JD for 9 years. \& Draw cash flow diagram \& calculate the ROR? What is your decision if MARR is equal to 8% ?

Answers

Question N0.4:An investment of 300,000JD in a certain business made today and received annual income of 50,000 JD for 9 years. Draw a cash flow diagram and calculate the ROR?

What is your decision if MARR is equal to 8%? The above statement implies that an investment of 300,000 JD was made in a particular business which generated an annual income of 50,000 JD for nine years.

Let's draw the cash flow diagram: The formula to calculate the rate of return is: ROR = PV of future cash flows / Initial investment. To find the ROR, we need to first calculate the present value (PV) of future cash flows. PV of future cash flows:50,000 JD for 9 years is: PV = 50,000 × [(1 - (1 / (1 + r) ^ n)) / r]PV = 50,000 × [(1 - (1 / (1 + 0.08) ^ 9)) / 0.08] = 322,785.83 JD. Therefore, the ROR is: ROR = PV of future cash flows / Initial investment ROR = 322,785.83 / 300,000 = 1.076Therefore, the ROR is 7.6%. The decision can be made by comparing the ROR to the MARR.

If ROR is greater than or equal to MARR, the project can be accepted. If ROR is less than MARR, the project should be rejected. In this case, the ROR is greater than the MARR of 8%, thus the investment can be accepted. Hence, an investment of 300,000 JD in the above-mentioned business is acceptable since it provides an ROR of 7.6%, which is greater than the MARR of 8%.

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Which of the following financial markets excludes the exchange rate risk for the US investors? Hong Kong Stock Market Canadian Stock Market London Stock Exchange Market NYSE

Answers

The NYSE is a great choice for US investors who are looking for a more stable and secure investment option. 

The financial market that excludes the exchange rate risk for US investors is the NYSE or New York Stock Exchange. The NYSE is the world's largest stock exchange and is located on Wall Street in New York City. The NYSE was established in 1817, and it currently has over 2,400 listed companies. The NYSE is a physical exchange, meaning that traders and investors meet in person to buy and sell stocks.The exchange rate risk occurs when an investor puts their money in foreign markets. Any changes in the exchange rate between the two currencies may have a substantial effect on the investor's profits. Thus, US investors are better off investing in NYSE as the exchange rate risk is excluded. Moreover, the NYSE provides an excellent opportunity for US investors to diversify their investment portfolios. By investing in different companies listed on NYSE, investors can significantly reduce their investment risk and generate higher returns. Therefore, the NYSE is a great choice for US investors who are looking for a more stable and secure investment option. 

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All of the following are causes of unemployment except:

a) Structural unemployment

b) Job losers

c) New entrants

d) Job leavers

Answers

Job leavers may leave their current job voluntarily for various reasons, including to pursue better employment opportunities elsewhere, start their own businesses, or take time off to attend to personal matters .d is correct answer

Unemployment refers to a scenario whereby an individual who is able and willing to work but cannot find a job. Some of the causes of unemployment include structural unemployment, frictional unemployment, cyclical unemployment, technological unemployment, and seasonal unemployment.

However, out of the options given, all the following are causes of unemployment except job leavers. Let's look at each option in detail:-+Structural unemployment.

This occurs as a result of a fundamental shift in the economy that makes some skills obsolete and demands new skills that workers may lack. Structural unemployment is caused by changes in the structure of the economy, such as changes in technology or decreased demand for a certain product.

Job losers This type of unemployment happens when an individual is laid off or fired. This may be due to business failure, downsizing, or retrenchment.

New entrants These are people who have never worked before but are currently looking for jobs. New entrants are individuals who are looking for jobs for the first time in their lives, or those who have previously worked in jobs that are not related to their current field.nJob leavers

This refers to individuals who have voluntarily left their jobs due to a variety of reasons such as family matters, personal issues, or to start their own business.

All the above options (a, b, c) are causes of unemployment except for d (Job leavers). This is because job leavers may leave their current job voluntarily for various reasons, including to pursue better employment opportunities elsewhere, start their own businesses, or take time off to attend to personal matters.

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If an activity on the critical path falls
behind schedule, what effect will this have on the
entire project?
Please post your initial answer to the question by the day
due and respond to a minimum of

Answers

If an activity on the critical path falls behind schedule, it will have a significant effect on the entire project. The critical path is a series of interdependent activities that must be completed in a specific order to ensure that the project is completed on time.

These activities are critical because if one of them is delayed, it will delay the entire project schedule. There are two primary effects of a delay in the critical path activity. The first is that it will delay the project schedule. Since the critical path is the longest path in the project network, any delay in one of its activities will cause the entire project to fall behind schedule.

The project manager should identify the cause of the delay and take corrective actions to get the project back on track. The project manager may need to allocate additional resources or reassign tasks to other team members to ensure that the project is completed on time.

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a. As a manager of a multinational company, examine four (4) processes of screening when considering countries that will serve as target market.
b. Why is it important for the international business manager to be aware of political development globally.
c. Discuss China's extraordinary achievements over the last two decades since the opening up of its economy.

Answers

a. As a manager of a multinational company, when considering countries that will serve as target market, there are four main screening processes. The four processes include economic screening, socio-cultural screening, geographic screening, and political screening.Economic screening entails analyzing the market size, GDP growth, level of income per capita, inflation rates, and currency exchange rates. The socio-cultural screening entails analyzing a country’s culture, language, lifestyle, and values. The geographic screening involves analyzing the natural resources, climate, and topography of the country. Political screening involves analyzing the political stability, the level of bureaucracy, and government regulations regarding the industry.

b. As the world becomes increasingly interconnected, it is important for the international business manager to be aware of political developments globally. Political developments such as changes in government policies, regulatory policies, and tax policies can significantly affect the success of international businesses. Therefore, being up-to-date on these developments can help managers to anticipate and adapt to changes in the market, reduce the risk of political instability, and make more informed decisions.
c. China has experienced extraordinary achievements over the last two decades since the opening up of its economy. Some of these achievements include; becoming the second-largest economy in the world, opening up of China’s economy to foreign investment, shifting from an agricultural-based economy to an industrial-based economy, becoming the largest manufacturer of goods, increased consumption, urbanization, and digitization. Additionally, China has increased its investments in research and development, leading to the rise of technological innovation and advancements.

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Which of the following profit functions exhibits a Cobb-Douglas production function? Multiple Choice π=P×K 0.75 L 0.50 −20L−35K. π=P×min(2L,5K)−20L−35K. π=P×(3K+4L)−20L−35K. π=P×(3K 0.5 +4L 0.5 ) 1/0.2 −20L−35K.

Answers

The profit function that exhibits a Cobb-Douglas production function is π = P * (3K^0.5 + 4L^0.5)^(1/0.2) - 20L - 35K.

The Cobb-Douglas production function is a popular economic model that describes the relationship between inputs (such as labor and capital) and output in production.

It takes the form of Y = A * K^α * L^β, where Y is the output, A is a constant factor, K is the amount of capital, L is the amount of labor, and α and β are the output elasticities of capital and labor, respectively.

In the given profit functions, we need to identify the one that exhibits a Cobb-Douglas production function. Let's analyze each option:

1. π = P * K^0.75 * L^0.50 - 20L - 35K
2. π = P * min(2L, 5K) - 20L - 35K
3. π = P * (3K + 4L) - 20L - 35K
4. π = P * (3K^0.5 + 4L^0.5)^(1/0.2) - 20L - 35K

Looking at option 1, we see that the exponents on K and L are 0.75 and 0.50, respectively. These exponents do not match the typical Cobb-Douglas production function, which has exponents of α and β. So option 1 does not exhibit a Cobb-Douglas production function.

In option 2, there is a min function that takes the minimum value between 2L and 5K. This is not a characteristic of a Cobb-Douglas production function, so option 2 is also not the correct answer.

Option 3 has a linear combination of 3K and 4L, which is different from the multiplicative form of the Cobb-Douglas production function. Thus, option 3 is not the answer we are looking for.

Finally, in option 4, we have exponents of 0.5 on both K and L. These exponents do match the form of a Cobb-Douglas production function, where α and β represent the output elasticities of capital and labor. Therefore, option 4 exhibits a Cobb-Douglas production function.

To summarize, the profit function that exhibits a Cobb-Douglas production function is π = P * (3K^0.5 + 4L^0.5)^(1/0.2) - 20L - 35K.

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A commercial landlord can change the locks and seize the
property of a tenant. True of
false? Circle the correct answer. (1 point)
True False

Answers

A commercial landlord cannot change the locks and seize the property of a tenant. This statement is false. A commercial landlord does not have the right to change the locks and seize the property of a tenant without a legal eviction process.

This is a violation of the tenant's rights and is illegal. The landlord must follow a legal process in order to evict a tenant.A tenant is an individual who has legal possession of a property or land. As a tenant, they have certain rights and obligations. Landlords have a legal obligation to maintain the property in a habitable condition and to follow certain procedures when dealing with tenants, including eviction procedures.

Changing the locks and seizing property without due process is a violation of tenant rights and is illegal. Therefore, it is always important to know the landlord-tenant laws in your state or country to avoid such illegal actions.

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The annual demand of a product is 40.356; the holding cost, h is
$3.9 per unit per year, and the ordering cost, S, is $245 per
order. Currently the manager orders 1.516 every time she orders;
what is

Answers

The annual holding cost for the given scenario is approximately $2.95.

The annual holding cost can be calculated by multiplying the average inventory level by the holding cost per unit. In this case, the average inventory level can be determined by dividing the order quantity by 2. Thus, the annual holding cost is:

Annual holding cost = (Order quantity / 2) * Holding cost per unit

Given that the order quantity is 1.516, and the holding cost per unit is $3.9, we can substitute these values into the formula:

Annual holding cost = (1.516 / 2) * $3.9

Calculating this expression, we find:

Annual holding cost = 0.758 * $3.9

Annual holding cost = $2.95242 (rounded to two decimal places)

Therefore, the annual holding cost is approximately $2.95.

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Here is the complete question:

The annual demand of a product is 40.356; the holding cost, h is $3.9 per unit per year, and the ordering cost, S, is $245 per order. Currently the manager orders 1.516 every time she orders; what is the annual holding cost?

Explain your opinion on how to prioritize and determine a firm's internal weaknesses and strengths.

Answers

To prioritize and determine a firm's internal weaknesses and strengths, it is important to conduct a thorough analysis of the company's internal factors. This can be done by assessing various aspects such as the firm's resources, capabilities, processes, and performance indicators.

By prioritizing these factors, the firm can gain insights into areas that require improvement or areas where they have a competitive advantage. To prioritize and determine a firm's internal weaknesses and strengths, several steps can be taken.

Firstly, conducting a comprehensive internal audit or SWOT analysis can help identify and evaluate the firm's strengths and weaknesses. This analysis involves assessing the firm's resources, including financial, human, and physical assets, as well as its capabilities in terms of technology, innovation, and operational efficiency.

Additionally, it is crucial to evaluate the firm's processes and operations to identify any inefficiencies or areas for improvement. This can include analyzing the firm's supply chain, production processes, marketing strategies, and customer relationship management.

Once the strengths and weaknesses are identified, it is important to prioritize them based on their impact on the firm's overall performance and strategic objectives. This can be done by assigning weights or scores to each factor and considering the potential risks and opportunities associated with them.

Prioritizing and determining a firm's internal weaknesses and strengths allows the management to focus their efforts on areas that require improvement, allocate resources effectively, and capitalize on their competitive advantages.

It enables strategic decision-making and helps in developing action plans to address weaknesses and leverage strengths, ultimately enhancing the firm's overall performance and competitiveness in the market.

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Describe the characteristics of the market structure that is most relevant to the automotive industry.

Explain each characteristics related to automotive industry under Oligopoly such as High barriers to entry, Price making power, differentiated products, independence of firms and maximized revenues.

Answers

Oligopoly is the most relevant market structure to the automotive industry. It is characterized by high barriers to entry, price-making power, differentiated products, independence of firms, and maximized revenues.

The automotive industry is a classic example of an oligopoly. There are a few large firms dominating the market, such as General Motors, Toyota, Ford, and Volkswagen. These firms have high barriers to entry, which means that it is difficult for new firms to enter the market and compete with the existing firms. High barriers to entry are created by factors such as the large capital requirements for investment in production facilities, high research and development costs, and the need to build brand recognition.
Another characteristic of oligopoly is price-making power. The few firms that dominate the market have the power to set prices because they have a significant share of the market. They can set prices high to maximize their profits because there is limited competition in the market. However, they must be careful not to set prices too high, or they may lose customers to their competitors.
Differentiated products are another characteristic of oligopoly. The firms in the automotive industry differentiate their products through design, performance, safety features, and brand recognition. This allows them to charge higher prices for their products because customers are willing to pay more for the unique features that they offer.

Independence of firms is also a characteristic of oligopoly. Each firm operates independently of its competitors and makes decisions based on its own interests. However, firms in an oligopoly are aware of the actions of their competitors and often engage in strategic decision-making to maintain their market position.
Maximized revenues are the final characteristic of oligopoly. The few firms that dominate the market can maximize their revenues by charging high prices and limiting their output. This allows them to earn higher profits than they would in a more competitive market.

In conclusion, oligopoly is the most relevant market structure to the automotive industry. The industry is dominated by a few large firms that have high barriers to entry, price-making power, differentiated products, independence of firms, and maximized revenues. These characteristics create a unique market environment that favors the large firms that are already established in the market.

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Based on the given scenario draw an entity relationship diagram. Use crow’s foot notation. it’s a job hiring process. From the given scenario iidentify all the significant entities, attributes, and relationships and draw the diagram using your knowlege.

Managers for each functional department in the company are responsible for identifying vacancies in their own department. Once a vacancy has been identified, they will proceed to filling in a request form detailing the name of the position, the type of the position (fulltime/part time/casual), job description, location, priority, scarceness on the job market, years of relevant experience requirement, salary range and selection criteria. The form is then submitted to the hiring manager.

Once the hiring request has been approved by both the CEO and the finance department, the hiring manager will put up job ads not less than 10 major recruiting platforms, including LinkedIn and Seek.com.au. The information about the status of job ads is recorded on a piece of paper, and is managed manually. The maximum period of time that a job ad is allowed to stay active on a recruitment platform varies. Therefore, the hiring manager has to keep track of the status of each job ad (active or expired) and their expiration date.

People who have applied for a position will first be recorded in a pool of candidates. Basic information about them are recorded, including their contact details, years of experience, education background and previous work experience.

Once the application is closed, the hiring manager and the department manager who initiated the recruitment request will review all candidates’ applications, and shortlist top candidates for interview.

The hiring manager will arrange interviews with the shortlisted candidates. The venue, date, time, and the interview panel are recorded.

During the interview, the interview panel will ask the candidates a range of questions, and each member on the interview panel will rate on a scale of 1 – 5 on the work competency, drive and fitness of the candidate. The ratings is rated, and the top one or two candidates will undergo reference check.

Each candidate will nominate two referees, and provide their current position and company, the relationship with the candidate and their contact details. The hiring manager will conduct a reference check. The questions asked in the reference check and their answers will be recorded.

Once the reference check is cleared, the offer will be sent to the successful candidate.

The hiring process is audited periodically and is under close scrutiny of the Board of Directors. As a standing agenda item, The Board of Directors receives detailed reports on the recruitment process. The reports include, but is not limited to, the following statistics:

The number of vacancies requested for recruitment, and the number of vacancies approved for recruitment by time period by functional department by type of position.

The total number of applicants by position, time period and type of position.

The total number of interviews and the average rating by position.

The total number of applicants by recruitment platform, and the total number of successful candidates (i.e. the candidates who have been given an offer) by recruitment platform.

The total number of shortlisted candidates who have more than 5 years of working experience.

The total number of applicants who applied for more than three positions over a specific period of time.

The average number of questions asked in a reference check.

Extra Resources

Please note that Requirements Analysis is an important part of the database design process. It is purposed to gather all the information required to design a database that meets the needs of the system proposed by the client. In this process, a series of related tasks are performed including examining the existing database(s), conducting interviews with users, and document analysis to name a few. One of the starting points for this assignment could be looking at employment posting websites from across the world which would give an idea of some of the data to be captured for this system. The following are some of them.

Answers

Entity Relationship Diagram (ERD) is used for illustrating the relationship between entities in a system.

An Entity-relationship diagram (ERD) is a diagram that reveals the relationship between entities and attributes of the given system. It is an idealized view of the system components. Let's draw the ERD for the hiring process: ERD for the job hiring process: entities, attributes, and relationships in the above ERD: Entities: Vacancy, Request Form, Job Ads, Candidate Pool, Shortlisted Candidate, Interview, Reference Check, Offer, Report Attributes: Vacancy: Position Name, Position Type, Description, Location, Priority, Scarcity, Year of Experience, Salary Range, Selection Criteria Request Form: Approval Status Job Ads: Ad Status, Expiration Date Candidate Pool: Contact Detail, Years of Experience, Education Background, Previous Work Experience Shortlisted Candidate: Shortlisted Status Interview: Venue, Date, Time, Interview Panel

Reference Check: Questions and Answers Offer: Offer Sent Status Report: Number of Vacancies, Number of Applicants, Number of Interviews, Successful Candidates, Total Number of Applicants, Total Number of Shortlisted Candidates, Number of Questions asked in Reference Check, and Average Rating.

Relationships: Manager: Vacancy (1 to many) Finance: Request Form (1 to many)

Hiring Manager: Job Ads (1 to many)Candidate Pool: Job Ads (many to many) Hiring Manager and Department Manager: Shortlisted Candidate (many to many)

Interview: Shortlisted Candidate (many to many) Reference Check: Shortlisted Candidate (1 to many)Offer: Shortlisted Candidate (1 to many)Report: All Entities (1 to many).

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A mutual fund manager has a $80 million portfolio with a beta of 2.0. The risk-free rate is 4.0%, and the market risk premium is 5.5%. The manager expects to receive an additional $20 million, which she plans to invest in a number of stocks. After investing the additional funds, she wants the fund's required return to be 14%. What should be the average beta of the new stocks added to the portfolio?
0.9818
1.0364
1.2000
1.1455
1.0909

Answers

The average beta of the new stocks added to the portfolio should be approximately 1.0909.

To determine the average beta of the new stocks, we need to calculate the required return of the portfolio after investing the additional funds. The required return can be calculated using the Capital Asset Pricing Model (CAPM) formula:

Required Return = Risk-Free Rate + Beta * Market Risk Premium

Given that the risk-free rate is 4.0% and the market risk premium is 5.5%, and the manager wants a required return of 14%, we can rearrange the formula to solve for the average beta:

Beta = (Required Return - Risk-Free Rate) / Market Risk Premium

Substituting the values into the formula:

Beta = (0.14 - 0.04) / 0.055

= 0.10 / 0.055

≈ 1.8182

This calculation gives us the beta for the entire portfolio after investing the additional funds. However, since the current portfolio already has a beta of 2.0, we need to find the weighted average beta to achieve a required return of 14%.

Using the formula for weighted average beta:

Weighted Average Beta = (Current Portfolio Beta * Current Portfolio Value + New Stocks Beta * New Stocks Value) / (Current Portfolio Value + New Stocks Value)

Given that the current portfolio value is $80 million and the additional funds to be invested in new stocks is $20 million, and the current portfolio beta is 2.0, we can calculate the weighted average beta:

Weighted Average Beta = (2.0 * $80 million + New Stocks Beta * $20 million) / ($80 million + $20 million)

= (160 + 20 * New Stocks Beta) / 100

= 160/100 + (20/100) * New Stocks Beta

= 1.6 + 0.2 * New Stocks Beta

Setting the weighted average beta equal to the calculated beta of 1.8182:

1.6 + 0.2 * New Stocks Beta = 1.8182

Solving for New Stocks Beta:

0.2 * New Stocks Beta = 1.8182 - 1.6

New Stocks Beta = 0.2182 / 0.2

≈ 1.0909

Therefore, the average beta of the new stocks added to the portfolio should be approximately 1.0909.

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what is the difference between national debt and government deficit

Answers

The national debt refers to the total outstanding amount of money that a government owes to creditors, both domestic and foreign, accumulated over time. On the other hand, the government deficit refers to the shortfall between the government's total expenditures and its total revenues in a specific fiscal period.

The national debt is the cumulative result of past government deficits and surpluses. It represents the total amount of money borrowed by the government to finance its expenditures that exceeded its revenues over the years. The national debt includes both internal debt (owed to domestic creditors) and external debt (owed to foreign creditors). It is a long-term liability for the government and is usually repaid over an extended period.

In contrast, the government deficit is a short-term financial situation that occurs when the government's total expenditures exceed its total revenues within a specific fiscal period, typically a year. It is a measure of the shortfall between what the government spends and what it collects in terms of taxes, fees, and other revenues.

The government deficit contributes to the accumulation of the national debt when it is financed by borrowing. Conversely, if the government runs a surplus, meaning its revenues exceed its expenditures, it can be used to reduce the national debt. The government deficit is a more immediate indicator of the government's financial health and its ability to manage its expenses and revenues on an annual basis.

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Transacting Business with Customs and Trade Facilitation

ASYCUDA World

Outline in detail the step-by-step process in relation to the clearance of shipments for both import and export through the Customs Management System. Recommend at least two areas for improvement based on your examination.

Answers

The step-by-step process for the clearance of shipments for both import and export through the Customs Management System is as follows:

Step1: The declaration of shipment

The importer/exporter submits a declaration to the customs agent electronically through the ASYCUDA World System or manually.

Step 2: Verification and ValidationThe Customs and Excise Department verifies and validates the declaration. This is done to ensure that the declaration meets the legal requirements, the authenticity of the invoice and other related documents.

Step 3: AssessmentThe customs officer determines the value of the goods and assigns a customs duty based on the rules of origin. The customs duty rate is calculated based on the Harmonized System (HS) code of the product.

Step 4: Payment of Duty

The importer/exporter pays the duty for the goods imported/exported in order to be released.

Step 5: Release of GoodsThe Customs and Excise Department releases the goods after the payment of customs duty has been made. If any discrepancies are found, the importer/exporter is contacted to resolve the issues.

Two areas for improvement based on examination:

1. Increase the automation of the customs clearance process to reduce errors and reduce clearance times.

2. Introduce a risk management system for goods inspections to ensure that high-risk goods are inspected while low-risk goods are cleared quickly.

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Boehm Incorporated is expected to pay a $2.40 per share dividend at the end of this year (i.e., D1 = $2.40). The dividend is expected to grow at a constant rate of 9% a year. The required rate of return on the stock, rs, is 16%. What is the estimated value per share of Boehm's stock? Do not round intermediate calculations. Round your answer to the nearest cent.

Answers

Answer:

The estimated value per share of Boehm's stock can be calculated using the dividend discount model (DDM). The DDM formula is:

Estimated Value per Share = Dividend / (Required Rate of Return - Dividend Growth Rate)

In this case, the dividend is expected to grow at a constant rate of 9% per year, the required rate of return is 16%, and the dividend at the end of this year is $2.40 per share (D1).

Using the DDM formula, we can calculate the estimated value per share:

Estimated Value per Share = $2.40 / (0.16 - 0.09)

Estimated Value per Share = $2.40 / 0.07

Estimated Value per Share ≈ $34.29

Therefore, the estimated value per share of Boehm's stock is approximately $34.29.

The dividend discount model is a valuation method used to estimate the intrinsic value of a stock based on its expected future dividends. It assumes that the value of a stock is equal to the present value of all its future dividends. The formula takes into account the expected dividend, the required rate of return, and the dividend growth rate.

In this case, Boehm Incorporated is expected to pay a dividend of $2.40 per share at the end of the year (D1). The dividend is expected to grow at a constant rate of 9% per year. The required rate of return on the stock, rs, is 16%.

By plugging these values into the DDM formula, we can calculate the estimated value per share of Boehm's stock. The formula subtracts the dividend growth rate from the required rate of return to determine the discount rate. This discount rate is then used to calculate the present value of the expected future dividends, which gives us the estimated value per share.

In this case, the estimated value per share is approximately $34.29. This means that, based on the assumptions of the dividend growth rate and required rate of return, the stock is estimated to be worth around $34.29 per share. However, it's important to note that this is just an estimate, and actual market prices may differ based on various factors and market conditions.

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Shelby Company Limited is headquartered in Winnipeg Manitoba and has four employees on its payroll. Shelby Company has a semi-monthly payroll ending every 15^{\text {th }} and final day of the m

Answers

The Shelby Company Limited, headquartered in Winnipeg, Manitoba, has four employees on its payroll. The company has a semi-monthly payroll that ends on the 15th and final day of each month.

A semi-monthly payroll means that employees are paid twice a month, typically on the 15th and last day of the month. This frequency allows for a more regular and predictable payment schedule.
To calculate the payroll for the Shelby Company Limited, you will need to consider the number of employees and their respective salaries or wages. Let's assume the four employees have the following salaries:
1. Employee A: $2,000 per month
2. Employee B: $2,500 per month
3. Employee C: $3,500 per month
4. Employee D: $4,000 per month
To calculate the total payroll for the company, you need to add up the salaries of all the employees. In this case, it would be:
$2,000 + $2,500 + $3,500 + $4,000 = $12,000
Therefore, the total payroll for the Shelby Company Limited is $12,000.
Remember that this calculation assumes the salaries remain the same throughout the year. If there are any changes in employee salaries or additional factors like overtime or bonuses, they would need to be accounted for in the payroll calculation.

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Marikina Shoe Company has expected sales of 35,000 units a year. It has an ordering cost of $5 dollars per order and carrying costs of $2 per unit. Round all your answers to the nearest whole number.

What is the economic order quantity?

What is the average inventory?

What is the total carrying costs?

What is the total inventory costs?

Assume 45 units will be required as safety stock. What will the new average inventory be? What will the new carrying cost be?

Answers

The economic order quantity is approximately 418 units.

The average inventory is approximately 209 units.

The total carrying costs are $418.

The total inventory costs are approximately $838.

The new carrying cost is $508.

To calculate the economic order quantity (EOQ), use the following formula:

EOQ = √[(2 * Ordering Cost * Annual Sales) / Carrying Cost per Unit]

Given:

Ordering Cost = $5

Carrying Cost per Unit = $2

Annual Sales = 35,000 units

EOQ = √[(2 * $5 * 35,000) / $2]

EOQ = √[(10 * 35,000) / $2]

EOQ = √[(350,000) / $2]

EOQ = √(175,000)

EOQ ≈ 418 units

The economic order quantity is approximately 418 units.

To calculate the average inventory, divide the economic order quantity (EOQ) by 2:

Average Inventory = EOQ / 2

Average Inventory = 418 / 2

Average Inventory ≈ 209 units

To calculate the total carrying costs, we multiply the average inventory by the carrying cost per unit:

Total Carrying Costs = Average Inventory * Carrying Cost per Unit

Total Carrying Costs = 209 * $2

Total Carrying Costs = $418

The total carrying costs are $418.

To calculate the total inventory costs, we need to consider both the ordering costs and the carrying costs:

Total Inventory Costs = Total Ordering Costs + Total Carrying Costs

Since the EOQ is calculated based on ordering costs, the total ordering costs will be equal to the ordering cost per order:

Total Ordering Costs = Ordering Cost * (Annual Sales / EOQ)

Total Ordering Costs = $5 * (35,000 / 418)

Total Ordering Costs ≈ $420.14

Total Inventory Costs = $420.14 + $418

Total Inventory Costs ≈ $838

The total inventory costs are approximately $838.

Now, let's calulate the new average inventory and carrying costs considering the safety stock of 45 units:

New Average Inventory = Average Inventory + Safety Stock

New Average Inventory = 209 + 45

New Average Inventory = 254 units

The new average inventory is 254 units.

New Carrying Cost = New Average Inventory * Carrying Cost per Unit

New Carrying Cost = 254 * $2

New Carrying Cost = $508

The new carrying cost is $508.

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Using the Rule of 72, approximately how many years are needed to double a $100 investment when interest rates are 6.50 percent per year? Note: Round your answer to 2 decimal places.

Answers

It would take approximately 11.08 years to double a $100 investment at an interest rate of 6.50 percent per year. Rounded to 2 decimal places, the answer would be 11.08 years.

The Standard of 72 is a fast technique to gauge the time it takes for a speculation to twofold, given a decent yearly loan fee. Divide 72 by the interest rate to determine the approximate number of years required to double the investment in order to apply the Rule of 72.

For this situation, the loan cost is 6.50 percent each year. Therefore, by dividing 72 by 6.50,:

72/6.50 ≈ 11.08

In this way, it would require roughly 11.08 years to twofold a $100 speculation at a loan cost of 6.50 percent each year.

Adjusted to 2 decimal places, the response would be 11.08 years.

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You are considering two investment opportunities. An account at First National Bank will pay 4% compounded annually, whereas an account at Second National Bank will pay 6.6% compounded annually. If you deposit $659 dollars for 8 years, how much more interest will you earn by depositing in Second National Bank? Enter Your result to two decimal places (Ex: 123.45)

Answers

By depositing in Second National Bank, you will earn $82.66 more interest.

To calculate the difference in interest earned between the two investment opportunities, we can use the formula for compound interest:

A = [tex]P(1 + r/n)^(nt)[/tex]

Where:

A is the final amount

P is the principal amount (initial deposit)

r is the annual interest rate (in decimal form)

n is the number of times interest is compounded per year

t is the number of years

Let's calculate the interest earned for each bank and find the difference:

For First National Bank:

P = $659

r = 4% = 0.04

n = 1 (compounded annually)

t = 8 years

A1 =[tex]659(1 + 0.04/1)^(1*8)[/tex]

A1 = [tex]659(1.04)^8[/tex]

A1 ≈ $881.37

For Second National Bank:

P = $659

r = 6.6% = 0.066

n = 1 (compounded annually)

t = 8 years

A2 = 659(1 + 0.066/1)^(1*8)

A2 = 659(1.066)^8

A2 ≈ $964.03

The interest earned at First National Bank is $881.37 - $659 = $222.37.

The interest earned at Second National Bank is $964.03 - $659 = $305.03.

Therefore, by depositing in Second National Bank, you would earn $305.03 - $222.37 = $82.66 more interest.

So, the difference in interest earned by depositing in Second National Bank is $82.66.

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Convertible bond
○ Suppose A Company issues a five-year convertible bond with a $1,000 par value and a coupon of 8%.
○ The "conversion ratio"—the number of shares that the investor receives if they exercise the conversion option is 1:25
○ The effective conversion price is $40 per share ($1,000 divided by 25).

What’s happen if stock price goes up to $60?
What’s happen if stock price goes down to $25?

Answers

If stock price increases to $60, bondholders find it more appealing to convert the bond into shares. If stock price decreases to $25, bondholders are less inclined to convert the bond into shares.

1) When the stock price goes up to $60, the value of the convertible bond increases because the conversion option becomes more valuable. Bondholders have the right to convert their bonds into shares at the effective conversion price of $40 per share.

With the stock price higher than the conversion price, bondholders can effectively purchase shares at a lower price and benefit from the price appreciation. This motivates bondholders to exercise the conversion option, leading to an increase in the number of shares outstanding.

2) On the other hand, if the stock price goes down to $25, the value of the convertible bond decreases. With the stock price below the conversion price, it becomes less attractive for bondholders to convert their bonds into shares.

Bondholders would prefer to hold onto their bonds instead of converting them into shares at a higher price. The bondholders would continue to receive the fixed coupon payments and the bond would behave more like a traditional debt instrument. The conversion option becomes less valuable due to the lower stock price, resulting in a lower likelihood of conversion.

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Pronghom Incorporated leases a piece of equipment to larkspur Corporation on January 1.2020. The lease agreement called for annual rental payments of \( \$ 5.278 \) at the beginning of each year of th If a single cylinder compressor which runs at 500 rev/min with volumetric efficiency of 92% with of length of stroke/bore diameter (L/D = 1.5), calculate the cylinder dimensions. Measuring m Measure the ma 4. Measuring force: Measure the weight of the 5. Measuring temperature: Using a digital thermometer: To alternate the unit between "C and "F press the button for this purpose. 1. Measure the temperature of cold water in the graduated cylinder in C and F. 2. Discard the cold water and put hot water in the graduated cylinder. Measure the temperature of the hot water in C and F. 6. Calculating average and percent error: 1.Set up a simple pendulum with an approximate length of 90 cm. Record the exact length. 2.Separate the metal sphere from vertical alignment by about 10 cm and release it to produce small and slow oscillations. 3. Measure the time t 10 that it takes the pendulum to make 10 oscillations and record its value. 4. Repeat the procedure four more times. 5. Calculate the average time tram and the average period T av =t 10m /10. 6. Calculate the gravitational acceleration g using the formula: g= T av 2 4 2 L with if =3.14 7. Calculate: % Eror of g= g acpt gg acpt =100% with g eqpt =9.8 m/s 2 what are the threadlike filaments in a multicellular fungus called 1. Why should management periodically review its purchasingpolicies and procedures? (5 marks) 2. What are the potentialconsequences if management does not review policies and procedures?(5 marks) 3 Short wavelength light has: A. High frequency and low energy B. High frequency and high energy C. Low frequency and low energy D. Low frequency and high energy E. None of the above 7. Which of the following statements describes the relationship between optical density of a material, refractive index of a material and the speed of light in a material? A. Optical density and refractive index are inversely proportional to each other and directly proportional to the speed of light in a material. B. Optical density, refractive index and the speed of light in a material are directly proportional to each other. C. Optical density is inversely proportional to the refractive index of a material and directly the speed of light in a material. D. Optical density and refractive index are directly proportional to each other 4. How much can a person withdraw from a savings account after saving $1000 per month for 72 months consider a yearly interest rate of 18%. 5. Determine what would be the mortgage payment for a house if the value of the loan is $650,000 the yearly interest rate is 4% and the house will be paid in 120 monthly payments. Write a program that asks for the user to input the day of a week and read in a string - If the user enters any one of Mon, Tue, Wed, Thu, or Fri, the program outputs "It's not a holiday yet." - If Thu/Med/Tue/Mon is the user input, the program further outputs "We have more than 1 day before holiday!" - If the user enters any one of Sat or Sun, the program outputs "It's a holiday!" - If the user enters any other strings, the program outputs "Wrong input!" Enter the day of a week: wed It's not a holiday yet. Enter the day of a week: Fri We have more than 1 day before holiday! It's not a holiday yet. Enter the day of a week: Sun Enter the day of a week: sat It's a holiday! "Q1. How structure, systems, and resources can supportorganizational change, creativity, and innovation? (to build a fire) At the beginning of the story, the author says that the man lacks imagination. Howdoes this lack of imagination cause problems for him? 1) Solve the points A, B, C and D (20 points) step by stepA). Coulomb's law is used to find the force of attraction or repulsion betweentwo point charges, which are at a certain distance. could you describewhy two charges attract or repel each other, use examples for your argument.B). If two point charges are at a distance of 2.5 m and between them is exerteda force equal to the day of your birthday (Keep in mind that force is measured inNewton). Determine the value of the other load if one of them has a value of3.2x10-6C.Note: For example, if your birthday is February 19, then the force you use in thethe exercise would be 19 Newton.C). Find the distance between two equal charges, which are equal to thelast digit of your identity document multiplied by ten to the minus three,knowing that there is a repulsive force of 5.8 N.Note: For example, if the last digit of your identity document is 5, the chargeswill have the following value Q= 5x10-3D). If we have two charges q1 and q2 that are at a distance # meters (# equalsat your age). Find the force exerted between them knowing that:q1 is equal to 5x10-4q2 is equal to 3.3x10-3Comment, in your own words, in no less than 5 lines, why theName Coulomb's law.Note: Keep in mind to attach with your answers the evidence of the values that youuse in each of the problems that require it. Write the azimuth for the displayed bearing. Remember to enteronly a number, no spaces, letters, or punctuation. Steel balls 10 mm in diameter are annealed by heating to 1,150 K and then slowly cooling to 450 K in an air environment for which Too = 325 K+ at, where a = 0.1875 k/s and h = 25 W/m2.K. Assuming the properties of the steel to be k = 40 W/ mK, p = 7,800 kg/m3, and c = 600 J/kg-K, estimate the time required for the cooling process. Find an expression for the ball temperature as a function of time T(t), and plot the ball temperature for Osts 1h and ambient temperature. Type your answer. Consider a project lasting one year only. The initial outlay is $1,000 and the expected inflow is $1,200. The opportunity cost of capital is r = 0.20. The borrowing rate is rD = 0.10, and the tax shield per dollar of interest is Tc = 0.35.What is the projects base-case NPV?What is its APV if the firm borrows 30% of the projects required investment? (Do not round intermediate calculations. Round your answer to 2 decimal places.) the characteristics of a pathogen that determine its virulence include Delta Inc. is evaluating a new product. The production line for the new product would be set up in an unused plant, which was purchased one year ago at $300,000. The machinery will cost $230000. The company's inventories would have to be increased by $25000 to handle the new line. The machinery is in Class 43 with a depreciation rate of 30%. The project is expected to last 3 years with estimated EBITDA of $200000 in each year. The machinery has an expected salvage value of $25000 at the end of three years. The company's tax rate is 30% and its weighted average cost of capital is 10%. What are the operating cash flows in Year 1 ? Round to the nearest dollar. For example, if your answer is 98765.4321, enter 98765 without the dollar sign Suppose x is a normally distributed random variable with =14 and =2. Find each of the following probabilities. a. P(x14.5) b. P(x13) c. P(15.56x18.8) d. P(9.5x17) A ball is dropped from the top of a building and isobserved to hit the ground after 5.5 seconds. How far has ittraveled after 2.0s? Find the absolute value of z=7j. Enter the exact answer. z= If the imaginary unit is present in any of the above solutions, please use the symbol I (this is Maple syntax) to represent the imaginary unit. What is the slrengit of the electrie feed 3.0 cm from a amali plastic bead that has been charged to 7.4nC ? Express your answer to two significant figures and include the appropriate units. Part B What it me direction of the electric fiold 3.0 cm from a small plastic besd that has been charged to 7.AnC ?