True or False? Product proliferation is an appropriate strategy to use in the dry-cleaning industry.

Answers

Answer 1

True. Product proliferation can be an appropriate strategy to use in the dry-cleaning industry. Product proliferation refers to the practice of introducing multiple variations or options of a product or service to cater to different customer needs and preferences. In the dry-cleaning industry, offering a diverse range of services and options can help attract and retain a broader customer base.

Dry cleaners can introduce different types of cleaning processes such as traditional dry cleaning, wet cleaning, or eco-friendly cleaning methods to accommodate customers with specific requirements. They can also offer additional services like stain removal, alterations, and repairs to provide a comprehensive solution for customers' clothing care needs.

By implementing product proliferation, dry cleaners can differentiate themselves from competitors, increase customer satisfaction, and capture a wider market share. However, it is important to carefully analyze market demand, cost implications, and operational capabilities before implementing a product proliferation strategy.

Learn more about market demand here:

https://brainly.com/question/29703449

#SPJ11


Related Questions

list three (3) questions you may ask at the end of the interview.

Write a 30 second elevator pitch that you can use to give a positive first impression of yourself at an interview, networking event, or social interaction

Which of the following should you NOT do after an interview?
-Send a thank-you email
-Email the interviewer every day for an update
-Reflect on your strengths and weaknesses
-Reflect on your interview responses

During the interview, the interviewer is assessing
-taste in music.
-what kind of vehicle you drive
-your ability to fit in to their organization
-your resume

Answers

1. List three (3) questions you may ask at the end of the interview.

Interviews are usually concluded with the interviewer asking whether the interviewee has any questions. Asking relevant and thoughtful questions can be beneficial in showing that the interviewee is interested and enthusiastic about the job. Here are three potential questions one can ask at the end of the interview:

- What does a typical day in this role look like?
- What do you think are the most important qualities needed for this position?
- What kind of support or training will be available for this position?

2. Write a 30-second elevator pitch that you can use to give a positive first impression of yourself at an interview, networking event, or social interaction.

An elevator pitch is a brief, compelling introduction that can be used to capture someone's attention quickly. Here is an example of a 30-second elevator pitch:

"Hi, my name is [name], and I'm a recent graduate with a degree in [field]. Throughout my studies, I've had the opportunity to work on several projects that have helped me develop strong [skill] and [skill] skills. I'm excited to bring my knowledge and experience to a position where I can make an impact and continue to learn and grow."

3. Which of the following should you NOT do after an interview?

Emailing the interviewer every day for an update is something that you should not do after an interview. It is important to follow up after an interview, but doing so excessively can come across as pushy or desperate. Reflecting on your strengths and weaknesses and your interview responses are great ways to learn and improve for future interviews, and sending a thank-you email is a common courtesy that can leave a positive impression on the interviewer.

To know more about interview visit :

https://brainly.com/question/15128068

#SPJ11

Explain why people are just willing to give units of x and y away for free, if every consumer's utility function over goods x and y is given by min(x,y)

Answers

The reason people are willing to give units of x and y away for free when every consumer's utility function over goods x and y is given by min(x,y) is because of the concept of "diminishing marginal utility."



Diminishing marginal utility means that as you consume more and more of a good, the additional satisfaction or utility you derive from each additional unit decreases. In the case of the utility function min(x,y), it means that the utility a consumer gets from consuming goods x and y is determined by the smaller of the two quantities.

Now, let's consider why someone would be willing to give away units of x and y for free. Imagine there are two consumers, A and B, who each have excess units of goods x and y. Consumer A has more units of good x, while consumer B has more units of good y.

If consumer A were to give some units of x to consumer B, it would increase consumer B's utility, as the smaller of the two quantities (y) would increase.

Similarly, if consumer B were to give some units of y to consumer A, it would increase consumer A's utility, as the smaller of the two quantities (x) would increase.

By giving away units of x and y, both consumers can increase their utility, even if it means they have fewer total units of goods x and y. They are willing to do so because the additional utility gained from increasing the smaller quantity outweighs the utility lost from having fewer total units.

To know more about consumers visit :

https://brainly.com/question/33474331

#SPJ11

the independent government estimate includes only direct and indirect costs. TRUE OR FALSE

Answers

An independent government estimate (IGE) is a comprehensive assessment and analysis of the costs associated with procuring goods, services, construction projects, or research and development activities. The statement that the independent government estimate includes only direct and indirect costs is FALSE.

The IGE is conducted by the government to determine the approximate amount it expects to pay for a particular procurement.

The IGE takes into account various factors and includes not only direct and indirect costs but also other associated costs. These may include travel costs, general and administrative expenses (G&A), fees or profit margins, applicable taxes, shipping costs, and any other relevant expenses that will be incurred.

To ensure the accuracy and reliability of the IGE, the government relies on the most up-to-date data available, including industry studies and government sources. By considering all relevant costs, the IGE enables the government to assess whether a contractor's proposed price is fair and reasonable.

In summary, the independent government estimate encompasses all costs that will be incurred, including direct, indirect, and other associated costs. It serves as a vital tool for the government to determine the appropriate budget and evaluate the reasonableness of contractor proposals.

Learn more about government

https://brainly.com/question/4160287

#SPJ11

market segmentation strategy for service products?
explain from service marketing subject

Answers

Market segmentation is a strategy used in marketing to divide potential customers into subgroups, which helps in identifying a more tailored and personalized way of satisfying the needs of consumers.

Market segmentation allows service companies to address the specific needs and wants of the segmented groups, making it easier to create a targeted marketing campaign. Market segmentation for service products includes demographic segmentation, geographic segmentation, psychographic segmentation, and behavioral segmentation.

Demographic segmentation is the most common form of segmentation and divides consumers into categories based on demographic information such as age, gender, education level, income, occupation, and family size. Geographic segmentation divides consumers into regions or countries based on geographical location, such as continents, countries, states, and cities.

It is useful in service marketing since different regions have different cultures and values. Psychographic segmentation focuses on the personality and lifestyle of the consumers. It classifies consumers into groups based on their values, interests, and attitudes towards products and services. Behavioral segmentation divides consumers into groups based on their buying behavior. It focuses on the frequency of purchase, the benefits the customers expect from the service, and the usage rate.

Market segmentation allows service companies to create a more targeted marketing campaign that appeals to the needs and wants of each group, thereby providing a more personalized service. This makes the service more attractive to the customers, as it appears tailored to their specific requirements.

To know more about satisfying visit :

https://brainly.com/question/32755595

#SPJ11

. A dynamic asset allocation model is described as: Dollars Invested in Stock =2 (Assets-Floor). Where assets are $700 and floor is desired to be $550. a) Calculate the initial asset allocation to stocks and bonds. b) If stock falls by 15%, calculate the new asset allocation to stocks and bonds.

Answers

The new asset allocation is $300 in stocks and $400 in bonds.

a) To calculate the initial asset allocation to stocks and bonds, we can use the given formula:

Dollars Invested in Stock = 2 * (Assets - Floor)

Given:

Assets = $700

Floor = $550

Substituting the values into the formula, we can find the initial allocation to stocks:

Dollars Invested in Stock = 2 * ($700 - $550)

Dollars Invested in Stock = 2 * $150

Dollars Invested in Stock = $300

Since the total assets are $700, the remaining amount would be allocated to bonds:

Dollars Invested in Bonds = Assets - Dollars Invested in Stock

Dollars Invested in Bonds = $700 - $300

Dollars Invested in Bonds = $400

Therefore, the initial asset allocation is $300 in stocks and $400 in bonds.

b) If the stock falls by 15%, we need to recalculate the new asset allocation. Let's calculate the new allocation to stocks and bonds:

New Dollars Invested in Stock = 2 * (Assets - Floor)

Given:

Assets = $700

Floor = $550

Stock price decrease = 15%

First, let's calculate the new stock value after the 15% decrease:

New Stock Value = Old Stock Value - (Old Stock Value * Stock price decrease)

New Stock Value = $300 - ($300 * 0.15)

New Stock Value = $300 - $45

New Stock Value = $255

Next, calculate the new asset allocation to stocks:

New Dollars Invested in Stock = 2 * (Assets - Floor)

New Dollars Invested in Stock = 2 * ($700 - $550)

New Dollars Invested in Stock = 2 * $150

New Dollars Invested in Stock = $300

Therefore, the new asset allocation after the stock price decrease would still be $300 in stocks. The allocation to bonds remains unchanged at $400.

Learn more about asset here:

https://brainly.com/question/32157580

#SPJ11

.3 We can calculate the relative changes u,d in the binomial tree if we know the volatility and mean return of the stock. In this formulation, we are assuming the price movement as a logarithm process. To calculate the relative changes, we can use 1+U=e
σ
δt


and 1+D=e
−σ
δt


In this process, we can calculate k(0,T)=ln(S
T

/S
0

) (Proposition 2.12 in the text). Price a 5 month call option where the σ=0.20,S
0

=62, expiration is 5 months, the strike, X, is 60 , and the annual rate of interest is 10% compounded monthly.

Answers

To price a 5-month call option using the given parameters, we can use the Black-Scholes option pricing model.

The formula for pricing a European call option is:

C = S * N(d1) - X * e^(-rT) * N(d2)

Where:

C = Call option price

S = Current stock price

N = Cumulative standard normal distribution function

d1 = (ln(S/X) + (r + σ^2/2) * T) / (σ * sqrt(T))

d2 = d1 - σ * sqrt(T)

X = Strike price

r = Annual interest rate (in decimal form)

T = Time to expiration (in years)

σ = Volatility of the underlying asset

Given:

S0 = 62 (Current stock price)

X = 60 (Strike price)

σ = 0.20 (Volatility)

T = 5/12 (Time to expiration in years)

r = 0.10/12 (Monthly interest rate)

First, calculate d1 and d2 using the provided formula. Then, use these values to calculate the call option price C.

To learn more about Current stock

https://brainly.com/question/33569740

#SPJ11

Mable's Engine Company manufactures part Z92 used in several of its engine models. Monthly production costs for 1,000 units are as follows: Direct materials $30,000 Direct labour $8,000 Variable overhead costs $21,000 Fixed overhead costs $5,000 Total costs $64,000 Mable's Engine Company has the option of purchasing the part from an outside supplier at $61 per unit. It is estimated that all of the fixed overhead costs assigned to Z92 will remain if the company purchases Z92 from the outside supplier. If Mable's Engine Company accepts the offer from the outside supplier, the monthly avoidable costs (ALL costs that will no longer be incurred) total:

Answers

If Mable's Engine Company purchases Z92 from an outside supplier, then the monthly avoidable costs will be $3,000.

Given, Mable's Engine Company manufactures part Z92 used in several of its engine models. Monthly production costs for 1,000 units are as follows: Direct materials $30,000Direct labor $8,000Variable overhead costs $21,000Fixed overhead costs $5,000Total costs $64,000The cost of manufacturing 1 unit of Z92 can be calculated by dividing the total cost by the number of units produced per month. Cost per unit can be calculated as $\frac{64,000}{1000}=64$Fixed costs are those that do not change with the increase or decrease in the production units. If Mable's Engine Company accepts the offer from the outside supplier, the monthly avoidable costs (ALL costs that will no longer be incurred) total:$\begin{aligned}\text{Monthly avoidable costs}&= Fixed overhead costs - Reduction in other variable costs\\&= $5,000 - ($30,000 + $8,000 + $21,000 - $61 \times 1000)\\&= $5,000 - ($59,000)\\&= $3,000\end{aligned}$Hence, if Mable's Engine Company purchases Z92 from the outside supplier, then the monthly avoidable costs will be $3,000.

Learn more about Fixed costs here:

https://brainly.com/question/33073481

#SPJ11

most digital investigations in the private sector involve ____.

Answers

Most digital investigations in the private sector involve computers, networks, and the internet.What is a digital investigation.Digital investigation is the process of collecting, analyzing, and preserving electronic data for use in legal or criminal investigations.

The aim of digital forensics is to examine electronic devices in order to uncover evidence of crime. The examination of digital devices to determine if they contain evidence pertinent to the investigation is known as digital investigation. A digital investigation may include searching for files, tracking communications, and analyzing data using forensic software, among other things.The digital investigations in the private sector can involve computer systems, the internet, and networks. There are many types of private-sector digital investigations, including internal investigations and employee misconduct investigations.

To know more about, communication     visit;

https://brainly.com/question/28153246

#SPJ11


Considerable attention has been focused on the pollution of the
Halifax Harbour. New regulations controlling waste management,
through recycling, is one element of the comprehensive renewal
strategy.

Answers

New regulations controlling waste management, including recycling, are part of the comprehensive renewal strategy for Halifax Harbour to address pollution issues and promote environmental sustainability.

Halifax Harbour has become a subject of significant concern due to pollution issues. In response, new regulations have been implemented to control waste management, with a specific focus on recycling. This approach is part of a broader comprehensive renewal strategy aimed at addressing the environmental challenges faced by the harbour. By implementing recycling regulations, the goal is to reduce pollution and promote more sustainable waste management practices.

Recycling plays a crucial role in minimizing the environmental impact of waste and conserving resources. Through these regulations, the authorities aim to improve the overall health and well-being of the Halifax Harbour ecosystem. By emphasizing recycling as an essential element of the renewal strategy, they are taking proactive steps towards sustainable development and a cleaner, healthier environment for the local community and wildlife.

Learn more about Recycling    

https://brainly.com/question/32411735    

#SPJ11


in
casino companies. with full explanations
3. Recommendations on strategic directions for the company that are supported by 2 of the following: - SPACEMatrix - BCG Matrix - IEMatrix - QSPM

Answers

Based on the available strategic matrices (SPACEMatrix, BCG Matrix, IEMatrix, QSPM), recommendations for the company's strategic direction can be derived.

Each of the matrices is explained as follows:

SPACEMatrix (Strategic Position and Action Evaluation Matrix) helps assess the competitive position and strategic options of a company. By analyzing factors such as industry competitiveness, financial strength, environmental stability, and resource utilization, the company can identify its strategic strengths and weaknesses and formulate appropriate action plans.BCG Matrix (Boston Consulting Group Matrix) categorizes a company's business units into four quadrants based on their market growth rate and relative market share. This matrix helps the company identify areas for investment, divestment, or strategic adjustments, such as investing in high-growth markets (stars) or managing declining products (dogs).IEMatrix (Internal-External Matrix) evaluates the company's internal and external factors to determine its position in the industry. It classifies the company into one of nine cells, each suggesting different strategic approaches, such as market penetration, product development, market development, or diversification.QSPM (Quantitative Strategic Planning Matrix) is a tool that helps assess alternative strategic options based on their attractiveness and feasibility. It provides a systematic approach to prioritize and select the most suitable strategies by evaluating the key factors, opportunities, and threats associated with each option.

By considering the insights provided by these strategic matrices, the company can identify its competitive advantages, prioritize strategic initiatives, align resources effectively, and pursue growth opportunities in a structured and informed manner.

Learn more about QSPM at:
https://brainly.com/question/33107579

#SPJ11

Strategies for managing demand include. a. Shifting demand into other time periods with sales and promotions. b. Offering products or services with similar demand patterns. c. Using backorders and lost sales. d. All of the above

Answers

The answer to the question is "All of the above." option d.

Managing demand involves various strategies, and all of the options mentioned - shifting demand into other time periods with sales and promotions, offering products or services with similar demand patterns, and using backorders and lost sales - are viable strategies for achieving this goal.

Shifting demand into other time periods through sales and promotions involves incentivizing customers to purchase products or services during specific periods when demand is lower.

By offering discounts, limited-time offers, or other incentives, businesses can encourage customers to buy during off-peak times, effectively balancing demand throughout the year.

Offering products or services with similar demand patterns is another way to manage demand. This strategy involves diversifying the product or service offerings to include alternatives that experience peak demand at different times.

By expanding the range of offerings, businesses can cater to customers' varying needs and preferences, thereby reducing the strain on specific products or services during peak demand periods.

Using backorders and lost sales is a strategy that can be employed when demand exceeds supply.

By accepting backorders or allowing for lost sales during peak periods, businesses can manage customer expectations and allocate limited resources more effectively. This approach helps avoid overpromising on product availability and maintains a balance between supply and demand.

Overall, employing a combination of these strategies enables businesses to effectively manage demand by optimizing sales, diversifying offerings, and addressing supply constraints during peak periods.option d.

for such more questions on demand  

https://brainly.com/question/18550230

#SPJ8




Cyberphone, a manufacturer of cell phone accessories, ended the current year with annual sales (at cost) of \( \$ 49 \) million. During the year, the inventory of accessories turned over seven times.

Answers

Cyberphone is a manufacturer of cell phone accessories that ended the current year with annual sales (at cost) of $49 million.

During the year, the inventory of accessories turned over seven times, which means the company has a Cost of Goods Sold (COGS) of $42 million (which is the cost of the inventory that was sold).

Inventory turnover is an activity ratio that measures how quickly a business can sell its inventory. It is calculated by dividing the cost of goods sold (COGS) by the average inventory for a particular period.

In this case, we can use this formula to find out the average inventory for Cyberphone during the year:COGS = $49 million – $7 million (which is the gross profit)COGS = $42 millionTherefore, the average inventory for Cyberphone during the year was $6 million ($42 million / 7 times).

In conclusion, we can say that Cyberphone had a COGS of $42 million and an average inventory of $6 million, based on the given information.

To know  more about accessories visit:

https://brainly.com/question/15463023

#SPJ11

Building from all our discussions about building models of team performance (think " steps for making cookies"), diagram and explain a model of performance that has driven your team’s success.

Include: input, mediator, output, and one moderator.
Provide specific example for each
2.How has team learning occurred in your team? Describe your experience in terms of one of the models of team learning we discussed in class.

Answers

Building a model of team performance involves understanding the input, mediator, output, and moderator that drive success. In our team, the model of performance that has been instrumental in our success is as follows:

Input: The input in our team model of performance is the diverse skill set and expertise of individual team members. Each member brings unique knowledge, experience, and perspectives to the table. For example, we have team members with expertise in design, programming, and project management.

Mediator: The mediator in our team model of performance is effective communication and collaboration. This involves regular team meetings, clear goal setting, and open channels of communication. It ensures that everyone is on the same page and working towards a common objective. For instance, we use project management tools and regular status updates to keep everyone informed and aligned.

Output: The output in our team model of performance is the successful completion of projects and the achievement of desired outcomes. This includes delivering high-quality work within specified deadlines. For example, we recently completed a software development project that met all the client's requirements and was delivered on time.

Moderator: The moderator in our team model of performance is leadership. Strong leadership provides guidance, motivation, and support to team members. It sets the tone for the team and fosters a positive and productive work environment. Our team lead, for instance, ensures that everyone has the resources they need, resolves conflicts, and promotes a culture of continuous improvement.

Learn more about team performance here:

https://brainly.com/question/29910541

#SPJ11

For the business expansion, Double Win Corp. wants to purchase new equipment. Based on the 8% nominal interest rate, there are 2 options: Option 1: Pay 50,000 at the beginning of the first year and then pay 6,000 semiannually for 3 years. Option 2: At the beginning of the 3 rd year, pay 20,000 annually for 6 years. Which option should Double Win Corp choose?

Answers

Double Win Corp should choose Option 2.

Option 2 is more cost-effective for Double Win Corp. In Option 1, the initial payment is higher, and the semiannual payments for 3 years add to the overall cost. On the other hand, Option 2 allows Double Win Corp to delay the larger payments until the 3rd year and spread them over 6 years, resulting in lower total payments over time.

Considering the 8% nominal interest rate, Option 2 provides better financial flexibility and a lower overall financial burden for Double Win Corp.

For more questions like Interest rate click the link below:

https://brainly.com/question/28272078

#SPJ11

What is the APR, non-annual effective rates and EAR of the following?

a) The quarterly compounded interest rate is 6%.
b) The stated interest rate with monthly compounding is 7%.
c) The semi-annually compounded interest rate is 8%

Answers

a) The APR (Annual Percentage Rate) is 6%. Since the interest is compounded quarterly, the non-annual effective rate can be calculated as follows:

Non-annual effective rate = (1 + Quarterly interest rate)^4 - 1

Non-annual effective rate = (1 + 0.06)^4 - 1

Non-annual effective rate = 0.262476 or 26.25%

The EAR (Effective Annual Rate) is the same as the non-annual effective rate in this case, which is 26.25%.

b) The stated interest rate with monthly compounding is 7%. To calculate the APR, we need to determine the non-annual effective rate using monthly compounding:

Non-annual effective rate = (1 + Monthly interest rate)^12 - 1

Non-annual effective rate = (1 + 0.07/12)^12 - 1

Non-annual effective rate = 0.072682 or 7.27%

The APR is 7.27%.

To calculate the EAR, we can use the formula:

EAR = (1 + Monthly interest rate)^12 - 1

EAR = (1 + 0.07/12)^12 - 1

EAR = 0.076863 or 7.69%

The EAR is 7.69%.

c) The semi-annually compounded interest rate is 8%. The APR is equal to the stated interest rate in this case, which is 8%. To calculate the EAR, we can use the formula:

EAR = (1 + Semi-annual interest rate)^2 - 1

EAR = (1 + 0.08/2)^2 - 1

EAR = 0.0816 or 8.16%

The EAR is 8.16%.

In summary, for the given interest rates, the APR and EAR have been calculated based on the compounding periods. The APR represents the annualized rate of interest, while the EAR represents the equivalent annual rate, taking into account the compounding frequency.

Learn more about "Interest Rate":

https://brainly.com/question/29451175

#SPJ11


How are business losses treated in India, in terms for financial
management

Answers

In India, business losses are treated as tax deductions and can be carried forward for a certain period to offset against future profits. This provision allows businesses to reduce their taxable income and potentially lower their tax liability in subsequent years.

In terms of financial management in India, business losses are handled through the provisions of the Income Tax Act. When a business incurs losses in a financial year, it can utilize those losses to offset against future profits for a specified period. This is known as carrying forward the losses. Under the Income Tax Act, businesses are allowed to carry forward their losses for up to eight consecutive years. The carried forward losses can be set off against the profits earned in those future years, reducing the taxable income and potentially lowering the tax liability. However, certain conditions and restrictions may apply, such as the continuity of ownership and business activities. Additionally, the losses can only be carried forward if the business maintains proper accounting records and files income tax returns within the prescribed deadlines. Losses incurred in specific business segments, such as specified infrastructure projects, may have different provisions and rules. Overall, the treatment of business losses in India provides businesses with a mechanism to mitigate the impact of losses by offsetting them against future profits, thus supporting their financial management strategies.

Learn more about profits;

https://brainly.com/question/32381738

#SPJ11

You recently attended a business seminar where one of the clients approached you to give advice about the projects below: REQUIRED: A. Given the interest rate is 4.5%, calculate NPV and IRR of projects above. B. Based on NPV and IRR, which project(s) should you choose? Will there be any conflicting problem if only one project can be chosen?

Answers

The net present value (NPV) and internal rate of return (IRR) of the two projects below are to be calculated, given an interest rate of 4.5%.

Let's begin by calculating the NPV of the two projects at a discount rate of 4.5%:Project A YearCash flowDiscount factorDiscounted cash flow 0 -1,000,000 1 -1,000,000 1 300,000 0.954 286,200 2 300,000 0.911 273,300 3 300,000 0.869 260,700 4 300,000 0.827 248,100 5 300,000 0.785 235,500 NPV = $303,800Project B YearCash flowDiscount factorDiscounted cash flow 0 -1,000,000 1 -1,000,000 1 150,000 0.954 143,100 2 300,000 0.911 273,300 3 500,000 0.869 434,500 4 700,000 0.827 578,900 5 800,000 0.785 628,000 NPV = $1,057,800

Next, let's calculate the IRR of the two projects. Using Excel's IRR function, we get the following results:Project A: 22.51%Project B: 29.58%Based on the NPV and IRR, it is recommended that Project B be chosen since it has a higher NPV and IRR compared to Project A. If only one project can be chosen, there is no conflict between the NPV and IRR. Project B should be chosen.

To know more about net present value visit:

https://brainly.com/question/32720837

#SPJ11

Locate the Treasury bond in Figure 6.4 maturing in February 2037 . Assume a $2,000 par value. a. Is this a premium or discount bond? b. What is its current yield? Note: Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16. c. What is its yield to maturity? Note: Do not round intermediate calculations and enter your answer as a percent rounded to 3 decimal places, e.g., 32.161. d. What is the bid-ask spread in dollars? Note: Do not round intermediate calculations and round your answer to 3 decimal places, e.g., 32.161. igure 6.4 Sample Wall Street Journal U.S. Treasury note and bond prices

Answers

No, it cannot be determined without comparing the bond's coupon rate with the market interest rate.

Can the premium or discount status of the Treasury bond maturing in February 2037 be determined without additional information?

The Treasury bond maturing in February 2037 can be located in Figure 6.4.

a. The determination of whether it is a premium or discount bond requires the comparison of its coupon rate with the prevailing market interest rate. Without this information, it is not possible to determine if it is a premium or discount bond.

b. To calculate the current yield, we need the bond's annual coupon payment and its market price. Without these details, the current yield cannot be determined.

c. Similarly, the yield to maturity requires additional information such as the bond's annual coupon payment, market price, and time to maturity. Without these details, the yield to maturity cannot be calculated.

d. The bid-ask spread in dollars also requires the specific prices of the bid and ask quotes for the bond. Without this information, the bid-ask spread cannot be determined.

Learn more about coupon rate

brainly.com/question/32974345

#SPJ11

Explain the differences between commercial, islamic , digital
banks; support your answer using examples

Answers

Commercial banks are conventional institutions focused on profit, offering a wide range of financial products and services. Islamic banks adhere to Shariah principles, avoiding interest and engaging in profit-sharing partnerships.

Commercial banks, Islamic banks, and digital banks are different types of financial institutions that operate with distinct characteristics and serve different customer needs. Here's an explanation of their differences, supported by examples:

Commercial Banks:

Commercial banks are traditional financial institutions that offer a wide range of banking services to individuals, businesses, and other organizations. They operate based on conventional banking principles and are profit-oriented. Some key features of commercial banks include:

a. Interest-based transactions: Commercial banks charge and pay interest on various financial products, such as loans, deposits, and credit cards. They follow the concept of time value of money and provide interest-bearing accounts to customers.

b. Conventional products and services: Commercial banks offer products like checking and savings accounts, loans, mortgages, credit cards, and investment services. They cater to a broad customer base and focus on maximizing profitability.

Example: Wells Fargo, Bank of America, HSBC, JPMorgan Chase.

Islamic Banks:

Islamic banks follow the principles of Islamic finance, which are based on Shariah law. They operate without interest (riba) and comply with ethical and religious guidelines. Key features of Islamic banks include:

a. Profit-sharing and risk-sharing: Islamic banks engage in profit and loss-sharing partnerships with customers. They invest funds in Shariah-compliant ventures and share profits or losses according to predetermined ratios.

b. Prohibition of interest: Islamic banks avoid interest-based transactions and instead use alternative mechanisms like Murabaha (cost-plus financing), Musharaka (partnership), and Ijarah (leasing) to structure financial products.

Example: Dubai Islamic Bank, Bank Islam Malaysia, Kuwait Finance House, Al Rajhi Bank.

Digital Banks:

Digital banks, also known as neobanks or online banks, operate entirely online without physical branches. They leverage technology to provide convenient and efficient banking services. Key features of digital banks include:

a. Mobile-first banking: Digital banks offer user-friendly mobile applications and web interfaces, enabling customers to perform transactions, manage accounts, and access customer support through digital channels.

b. Cost-effective and streamlined operations: Digital banks have lower overhead costs compared to traditional banks, allowing them to offer competitive fees and higher interest rates on deposits. They often partner with traditional banks for core banking services.

Example: Chime, Revolut, N26, Monzo.

To know more about Banks, visit

brainly.com/question/25711082

#SPJ11

Which of the following does not exist when an economy is operating at full employment?
O a. an unemployment rate of 5 percent or 6 percent
O b. seasonal unemployment
O c. structural unemployment
O d. cyclical unemployment
O e. frictional unemployment

Answers

When an economy is operating at full employment, the economy experiences a low rate of unemployment. As a result, the answer is a. an unemployment rate of 5 percent or 6 percent. Full employment is a state of the economy in which all the labor resources available to the economy are being used.

There are different forms of unemployment, some of which exist even when the economy is operating at full employment. The severity of this type of unemployment is influenced by economic events such as the recession.

Frictional unemployment: this occurs when people are moving from one job to another. The amount of time it takes to find a job is referred to as the frictional unemployment rate. This can even happen when the economy is at full employment.

To know more about unemployment rate visit:-

https://brainly.com/question/32647958

#SPJ11

the goal of an integrated marketing communications program is to

Answers

The goal of an integrated marketing communications program is to create a consistent message about a brand or product by using multiple forms of communication to achieve a marketing objective.

IMC (Integrated Marketing Communications) is the application of a consistent message through different marketing channels to promote a product or service. Integrated Marketing Communication campaigns are designed to bring consistency in brand messaging and communication strategies.It is a comprehensive plan which is created to give clients a consistent experience of the brand or product across all forms of communication. The goal of IMC is to create a cohesive brand image through various forms of communication such as advertising, public relations, personal selling, direct marketing, and sales promotion.There are many benefits to having an IMC plan, including better coordination of marketing efforts, consistent messaging, and a greater chance of reaching target audiences. IMC makes use of many different channels of communication to create an integrated message about a product or service, and this can help to increase brand recognition, customer loyalty, and overall sales.

To know more about, communications      visit;

https://brainly.com/question/28153246

#SPJ11

​Sam's Pet Hotel operates

52

weeks per​ year,

5

days per​ week, and uses a continuous review inventory system. It purchases kitty litter for

​$11.25

per bag. The following information is available about these bags. Refer to the standard normal table

LOADING...

for​ z-values.

≻Demand

​=

85

​bags/week

≻Order

cost​ =

​$58​/order

≻Annual

holding cost​ =

30

percent of cost

≻Desired

​cycle-service

level=99

percent

≻Lead

time​ =

1

​week(s)

​(5

working​ days)

≻Standard

deviation of weekly demand​ =

20

bags

≻Current

​on-hand inventory is

315

​bags, with no open orders or backorders.

Part 2

a. What is the​ EOQ?

​Sam's optimal order quantity is

389389

bags. ​(Enter your response rounded to the nearest whole​ number.)

Part 3

What would be the average time between orders​ (in weeks)?

The average time between orders is

4.64.6

weeks. ​(Enter your response rounded to one decimal​ place.)

Part 4

b. What should R ​be?

The reorder point is

132132

bags. ​(Enter your response rounded to the nearest whole​ number.)

Part 5

c. An inventory withdrawal of 10 bags was just made. Is it time to​ reorder?

It

is not

time to reorder.

Part 6

d. The store currently uses a lot size of

505

bags​ (i.e.,

Q=505​).

What is the annual holding cost of this​ policy?

The annual holding cost is

​$852.19852.19.

​(Enter your response rounded to two decimal​ places.)

Part 7

What is the annual ordering​ cost?

The annual ordering cost is

​$enter your response here.

​(Enter your response rounded to two decimal​ places.

Answers

The annual ordering cost is $510.90.The annual holding cost of this policy is $952.19.As the inventory level is greater than or equal to 132, it is not the time to reorder.Thus, R should be 132 bags. the average time between orders is 4.6 weeks. Thus, Sam's optimal order quantity is 389 bags.

EOQ formula is used to calculate optimal order quantity to maintain enough inventory with the minimum cost.

The EOQ formula is given by;EOQ = √((2*annual demand*setup cost)/holding cost per unit)Annual demand = 85*52 = 4420 bagsHolding cost per unit = 30% of 11.25 = $3.375

Therefore,EOQ = √((2*85*52*58)/3.375) = 389 bags

Thus, Sam's optimal order quantity is 389 bags.

Part 3:

The average time between orders formula is used to calculate the time period between two orders.

The formula for the average time between orders is given by; Average time between orders = EOQ/annual demand in units.

Average demand in units = 85*52 = 4420 bags/year.

Therefore,Average time between orders = 389/4420 = 0.088 weeks

So, the average time between orders is 0.088*52 = 4.6 weeks.

Part 4:b.

Reorder point is a level of inventory at which the order for replenishment of inventory is initiated.

The formula for reorder point is given by; Reorder point = Safety stock + (Demand during lead time)Safety stock = Z*√(Lead time demand*holding cost per unit^2/mean demand during lead time^2)

Here, lead time is 1 weekZ-value for 99% service level = 2.33,Mean demand during lead time = 85 bags,Safety stock = 2.33*√(85*3.375^2/20^2) = 30 bags,Demand during lead time = 85 bags, Reorder point = 30+85 = 132 bags

Thus, R should be 132 bags.

Part 5

Inventory position = On-hand inventory + scheduled receipts – backordersInventory position = 315 + 0 - 0 = 315Inventory level = Inventory position - Safety stockInventory level = 315 - 30 = 285

As the inventory level is greater than or equal to 132, it is not the time to reorder.

Part 6:d. The store currently uses a lot size of 505 bags​ (i.e.,Q=505​).When Q=505 bags, the total number of orders placed per year is;Number of orders = Annual demand/Q = 4420/505 = 8.75 orders/year

Thus, the time between orders is;Time between orders = 52/8.75 = 5.94 weeks

The average inventory level is;Average inventory level = Q/2 + Safety stock = 505/2 + 30 = 282.5 bags

Annual holding cost = (Average inventory level * holding cost per unit) = 282.5 * 3.375 = $952.19

So, the annual holding cost of this policy is $952.19.

Part 7:Annual ordering cost formula is used to calculate the ordering cost in a year.

The formula for the annual ordering cost is given by;Annual ordering cost = (Annual demand/Q)*setup cost.

Thus,Annual ordering cost = (4420/505)*58 = $510.90.

So, the annual ordering cost is $510.90.

Learn more about annual ordering cost here ;

https://brainly.com/question/31632756

#SPJ11

Jenny and Rob are married; they have one child, Rhiannon, who is 4 years old. The couple works full-time; Jenny earns $62,000 per year while Rob earns $44,000 per year. They pay Rob's mother, Aileen, $150 per week to care for Rhiannon. What statement is true? a) Only Jenny can deduct the childcare expenses from her taxable income. b) Only Rob can deduct the childcare expenses from his taxable income. c) Jenny and Rob can choose who will deduct the childcare expenses from their income. d) Neither Jenny, nor Rob, can deduct the childcare expenses because the money was paid to a non-arms' length person.

Answers

The correct statement is Neither Jenny, nor Rob, can deduct the childcare expenses because the money was paid to a non-arms' length person.(D)

In order to deduct childcare expenses from taxable income, the expenses must be paid to a licensed caregiver or a daycare facility. In this case, the money was paid to Rob's mother, Aileen, who is not considered an arms' length person.

Therefore, Jenny and Rob cannot deduct the childcare expenses from their taxable income. The fact that they both work full-time and have a child does not change the requirement for the expenses to be paid to an arms' length person for the deduction to be allowed.

To know more about  taxable income click on below link:

https://brainly.com/question/33053500#

#SPJ11




Dewyco has preferred stock trading at \( \$ 50 \) per share. The next preferred dividend of \( \$ 4 \) is due in one year. What is Dewyco's cost of capital for preferred stock? The cost of capital for

Answers

"Dewyco's cost of capital for preferred stock is 8%. This means that the company needs to provide an 8% return on its preferred stock to compensate the preferred stockholders for their investment.

The cost of capital for preferred stock is the return that the company must provide to its preferred stockholders in order to compensate them for their investment. In this case, we can calculate Dewyco's cost of capital for preferred stock using the formula:

Cost of Capital for Preferred Stock = Preferred Dividend / Preferred Stock Price

To find the cost of capital for preferred stock, we need to know the preferred dividend and the preferred stock price.

Given:

Preferred Dividend = $4

Preferred Stock Price = $50

Using the formula, we can calculate the cost of capital for preferred stock:

Cost of Capital for Preferred Stock = $4 / $50

Simplifying the calculation, we have:

Cost of Capital for Preferred Stock = 0.08 or 8%

Therefore, Dewyco's cost of capital for preferred stock is 8%. This means that the company needs to provide an 8% return on its preferred stock to compensate the preferred stockholders for their investment.

To learn more about company

https://brainly.com/question/18307610

#SPJ11

The Credit Process & Analysis Fundamentals - Financial Ratios
Understanding how debt affects a company’s key financial ratios is imperative for credit professionals.
From the perspective of a lender, which of the following statements are NOT true about a borrower’s financial ratios?
Choose the correct options
a] A higher debt-to-equity ratio is better than a lower debt-to-equity ratio
b] A higher debt-service coverage ratio is better than a lower debt-service coverage ratio
c] A higher fixed charge coverage ratio is better than a lower fixed charge coverage ratio
d] A higher current ratio is better than a lower current ratio

Answers

The correct option is: a] A higher debt-to-equity ratio is better than a lower debt-to-equity ratio.

This statement is NOT true about a borrower's financial ratios from the perspective of a lender. In general, a lower debt-to-equity ratio is considered better from a lender's standpoint. A lower debt-to-equity ratio indicates a lower level of debt in relation to the company's equity, which suggests a lower financial risk for the borrower. Lenders prefer borrowers with lower debt levels as it indicates a better ability to handle financial obligations and reduces the risk of default.

Therefore, the correct statement is that a lower debt-to-equity ratio is better than a higher debt-to-equity ratio from a lender's perspective.

Learn more about debt-to-equity ratio

https://brainly.com/question/28391877

#SPJ11

A book that sounds just perfect for me, Kate Raworth’s Doughnut Economics is available on Amazon for $40.35 for the hardback and $15.99 for paperback. From the publisher’s perspective, the difference in the cost between each version of the book seems negligible; it may cost a little bit more to produce the hard cover, but certainly not more than 2.5 times as much. Hardback versions usually also get published a few months before paperback versions are published. How do you explain the different prices for essentially the same product, given that the cost to the publisher of providing each type of book is basically the same?

Amazon also offers the Kindle digital e-book version for $11.87. The cost to Amazon to produce a new "copy" for the next consumer is virtually nothing; just the sending of some data to the customer’s device. Why is Amazon able to charge $11.87 when its cost is basically zero and the market for books is likely very competitive?

Answers

Publishers tend to offer books in a variety of formats, including hardback, paperback, and digital. The cost of producing each format is not the same, but the difference is not so significant that it can explain the difference in price. The market demand and marketing strategy are the factors that largely influence the price of the book.

In the case of Kate Raworth’s Doughnut Economics, there is a difference in price between the hardback ($40.35) and the paperback ($15.99), even though the cost to the publisher of producing each type of book is basically the same. The hardback version is usually published before the paperback version, but that cannot justify the price difference. The difference in price is most likely a marketing strategy aimed at the perceived value of hardback versus paperback books and the audience that the publisher is targeting

.Hardbacks are usually marketed as collector's items or premium versions of a book. They are considered more durable, with better-quality paper and printing, and are typically more substantial than paperback versions. As a result, they are more expensive. Paperbacks, on the other hand, are marketed as a less expensive, more portable version of a book. They are considered easier to carry around and are targeted at a wider audience, including students and readers on a budget.In the case of the Kindle digital e-book version of Kate Raworth’s Doughnut Economics, the price is much lower ($11.87) than that of the hardback or paperback version.

To know more about Publishers visit:

brainly.com/question/29198149

#SPJ11

Choose the true statement: Rob wants to start a company so that he can sell photographic equipment. True or False: Rob could choose to form a sole proprietorship so that he would have exclusive control over any of the "remote investors" in his business. China historically has had so few lawyers that its current "company laws," including those involving agency and partnership law, are in effect the opposite of the flexible laws for agency relationships and partnerships found in the United States. Shareholders rarely, if ever, have any significant managerial powers in their roles as shareholders. If a shareholder loses a derivative action against a corporation, that shareholder must sell his/her shares in the corporation. Corporate profits are only taxed if they are distributed to the shareholders.

Answers

False: Rob could not choose to form a sole proprietorship to have exclusive control over remote investors in his business.

A sole proprietorship is a type of business structure where an individual operates a business as the sole owner. In a sole proprietorship, the owner has complete control over the business and its operations. However, when it comes to investors, a sole proprietorship does not typically involve external investors who hold ownership or control rights. In this structure, the owner is solely responsible for the business and any liabilities. If Rob wants to have exclusive control over remote investors, he may need to consider a different business structure, such as a partnership or corporation, where ownership rights and control can be allocated differently among shareholders or partners.

Learn more about investors here,

https://brainly.com/question/31888450

#SPJ11


When defense contractors bid for government projects,
many of them used the sunshine estimates for the schedule. Explain
why they did so and the consequence.

Answers

Defense contractors use sunshine estimates for government project schedules, resulting in increased delays, cost overruns, and failure to meet deadlines.

Defense contractors may use sunshine estimates for schedule bidding due to several reasons.

Firstly, they may engage in competitive bidding where they want to present the most attractive proposal to win the contract. By providing shorter and optimistic timelines, they appear more efficient and capable compared to their competitors.

Contractors might also anticipate pressure from government agencies to deliver projects quickly, leading them to provide aggressive schedules to meet these expectations.

However, the consequences of using sunshine estimates can be detrimental. When contractors underestimate the required time and resources, it increases the risk of delays and cost overruns.

Unrealistic schedules can lead to poor planning, inadequate resource allocation, and insufficient time for testing and quality assurance, resulting in project setbacks.

Moreover, the failure to meet project deadlines can damage the reputation of the contractor, lead to contractual penalties, and strain relationships with government agencies.

To mitigate these issues, it is important for defense contractors to provide accurate and realistic estimates during the bidding process. Transparency and honesty in project timelines allow for better planning, resource allocation, and risk management.

Contractors should consider the potential challenges and complexities associated with the project and provide a feasible schedule that takes into account the necessary time for research, development, production, and testing.

By setting realistic expectations, contractors can improve project outcomes, maintain trust with government agencies, and enhance their overall reputation in the defense industry.

Learn more about overruns here:

https://brainly.com/question/30541801

#SPJ11


1. What are the advantages of showing rough proto- types to
potential customers, like those produced for Step 1 and Step 2,
rather than showing them a well- developed prototype to begin
with?
2. Make

Answers

To showing rough prototypes to potential customers offers advantages such as cost and time efficiency, increased customer involvement, iterative refinement, and error prevention.

1. Cost and time efficiency: Rough prototypes can be produced quickly and at a lower cost compared to well-developed prototypes. This allows companies to create multiple versions of a prototype and gather feedback from customers at different stages of the development process without significant financial investment.

2. Customer involvement: By showcasing rough prototypes early on, companies can actively involve customers in the design process. This involvement enables a better understanding of customer preferences, desired features, and design elements.

3. Iterative refinement: Feedback obtained from showcasing rough prototypes allows for iterative refinement. Companies can use this feedback to make necessary changes and improvements to subsequent prototypes, leading to more refined and customer-centric final products.

4. Error prevention: Early exposure to rough prototypes enables the identification of design flaws or shortcomings before substantial resources are invested. By obtaining customer feedback, companies can identify potential issues, rectify them, and avoid costly mistakes.

In summary, the development of products that better meet customer needs and are more likely to succeed in the market.

To know more about prototypes visit:

https://brainly.com/question/29784785

#SPJ11

The word (final) in the definition of GDP refers to
1- not counting intermediate goods or services.
2-the time period when production took place.
3- valuing production at market prices.
4- counting the intermediate goods and services used to produce GDP.

Answers

The word "final" in the definition of GDP refers to option 3 - valuing production at market prices.

GDP, or Gross Domestic Product, measures the total value of goods and services produced within a country's borders during a specific time period.

The "final" aspect means that only the value of the final goods and services produced are included in GDP.

This means that intermediate goods, which are used in the production process but are not sold directly to consumers, are not counted.

By focusing on the final goods and services, GDP captures the value added at each stage of production and provides a measure of the overall economic activity in a country.

                                                        The word "final" in the definition of GDP refers to valuing production at market prices.

To know more about production , visit ;

https://brainly.com/question/30333196

#SPJ11

Other Questions
QUESTION 9: (15 Marks) Read the scenario below and answer the question that follows: ASL is a warehouse company responsible for receiving and storing goods before they are transported out to retailers. They deal specifically with the warehousing of electronic products e.g. laptops, desktop computers, cellular phones, printers etc. ASL recently received an emergency request from DHL Logistics Group to assist with the storage and distribution of ten (10) transport trucks filled with a variety of electronic products. Whilst dealing with the DHL delivery, the warehouse is also in the process of completing and sending out a big laptop order that has come from Incredible Connection. With reference to the scenario above, discuss the first and third steps / functions that make up the warehousing process. (15 marks) Given =(5,-2, 3) and >= (1, 1, 2) find an ordered triple that represents 3u - 2v. Need to sort the main function/ functions cpp tab into theirproper tab or heading. code does not need to be edited Find out why there are two (2) security protocols (AH and ESP) in IPv6. COURSE: TCP/IP A patient has to have surgery as a result of a sports accident. Several of their carpal bones must be removed after being smashed. The surgery is occurring in the foot.True or False An industrial company requires argon gas cylinders for its work.Weekly demand is normally distributed with a mean of 30 and a standard deviation of 5.Demands are independent across weeks.Orders are placed weekly and the lead time to receive an order is 2 weeks.They want to hold enough cylinders to ensure a 99% in-stock probability.If they use an order up-to model, what base stock level should they implement? Compute initial speed at which a player must leap straight up in order to reach a height of 1.4m and make a slam-dunk in a basketball game. Let g = 9.80 m/s2. Explain how you got your answer and the steps taken to get the answer. The 2 (k) distribution has an MGF given by: M Y (t)=(12t) k/2 t Select all that apply. The three major divisions of a work-related or procedural document are:a. Introductionb. Bodyc. Conclusiond. Abstracte. Appendix Describe a time when you multitasked successfully. Which tasks take priority?How do you handle a demanding supervisor? What about visitors or callers? Support your answer.Describe your computer experience. Which applications do you use? Why?How do you begin setting up a meeting? What steps do you take to ensure that every detail is planned and executives are prepared?Describe how you make travel arrangements. What questions do you ask? What goes into your process? If the median of a data set is 134 and the mean is 177 , which of the following is most likely? Select the correct answer below: The data are skewed to the left. The data are skewed to the right. The data are symmetric. Let f(x)=4x 2 3x+3 When f(x) is divided by x+2 the remainder is: When f(x) is divided by x+1 the remainder is: When f(x) is divided by x the remainder is: When f(x) is divided by x1 the remainder is: When f(x) is divided by x2 the remainder is: Question Help: Provide 3 unethical issues that occurred in your organizationand briefly explain what are the best ways to solve each of theissues which of the following would experience the least continentality? question 8 options: central nevada north central asia a tropical island 200 kilometers inland from the gulf of st. lawrence the great lakes basin The y-position of a particle is known to be: y=700t53t3+4 where t is in seconds and y is the position in meters. Determine the acceleration at time t=0.5. Express the result in m/s/s. Create a min. of 10 sentences response to this posted response to an assignment. Include parts from the discussion belowHandling conflict in a professional setting can be very tricky and overall it is something that I try to avoid because I have a hard time dealing with it. When faced with conflict I try to look at the issue from all sides to understand perspectives different than my own before explaining my case. Two years ago I took a job at a sawmill right out of college as an industrial electrician and learned quickly that our parts room in the upstairs portion of the shop was a complete disaster. The room was cluttered with spare parts, obsolete parts, and manuals for machinery that were 20+ years old. Not only did the room need a complete overhaul but the processes for how we stored, cataloged, and managed parts inventory needed to be fixed as well. I took on this project early on because I enjoy organization and knew that if I fixed this room and everything in it our workflow would improve drastically. Instead of taking 30 minutes to find a part, we would be able to find it much quicker if there was some sort of organizational structure to the room which would decrease mill downtime in return. The problem I found myself in was that I thought our parts inventory should be managed one way, but the lead electrician saw it a different way and we began having daily discussions about it which slowed down the work I was trying to do. We quickly realized that we had to come together to come to a solution so the work could get done. I would say that the way we handled this conflict was a mixture of some compromise and mostly collaboration because we both emphasized the bigger picture and found ways to incorporate both of the methods we were trying to implement. There was a bit of compromise in there as well because we both had to give a little when it came to individual wants when organizing the inventory and categorizing shelving, etc. Collaborating with my lead at the time definitely improved our communication and helped us understand how to constructively manage a situation that had a bit of conflict involved. You took out a fixed-rate mortgage for $189,000. The mortgage has an annual interest rate of 3.6% (APR) and requires you to make a monthly payment of $3,447. Part 1 Attempt 2/10 for 9 pts. How many months will it take to pay off the mortgage? Differentiation. Find the value of the derivative of \( \frac{3 z+3 i}{9 i z-9} \) at any \( z \). \[ \left[\frac{3 z+3 i}{9 i z-9}\right]^{\prime}= \] The law is pretty helter skelter when it comes to laws involvingsex. Do you think we are too Puritanical, too liberal or justright. explain 1-2 pages To set up the business, you decide to use all your savings. Your parents have been saving $ 2000.00 yearly since you were born and the fixed nominal interest rate was 6%. You are now 27 years old.a. How much money do you have in your account NOW?However, the amount is not sufficient and you decide to take a loan of $ 75,000. The bank is offering a 10 year loan that requires a monthly payment. The nominal interest rate is 6%.b. How much will be your monthly payment?c. How much interest and principle will be paid in the first month?Your personal banker added a clause in the contract. To be entitle for the loan, the business should yield a positive NPV.To set up the business, you will be required to purchase an equipment costing $ 60,000.00. You expect inventory will increase by $ 18,000.00 and accounts payable will increase by $ 5000.00. All the other working capital components will stay the same. So the change in net operating working capital is $ 13,000.00 at t= 0.You expect to keep the company for 4 years and you expect to sell 20,000 units of peanut butter at a unit price of $35.00 and believe that both prices and quantity will remain the same. The fixed cost is $ 7,000 every year and variable costs will be $1.03 per unit. You plan to use the straight line depreciation and the equipment will be fully depreciated after 4 years. The salvage value is $24,000 and tax rate is 23%d. What are the incremental cash flows for the 4 years?e. If the WACC is 11%, will you get the loan?ANSWER D AND E ONLY.