Define the risks faced by the Maybank and indicate which risksimpact the bank's performance.note: Maybank is one of the biggest banks in Malaysia.

Answers

Answer 1

The risks faced by Maybank include: 1. Credit risk: This is the risk of loss due to a borrower's failure to repay a loan or meet contractual obligations. This can impact the bank's performance if there are a large number of defaults.

2. Market risk: This is the risk of loss due to changes in the value of financial instruments. This can impact the bank's performance if there are significant changes in interest rates, foreign exchange rates, or stock prices.

3. Liquidity risk: This is the risk that the bank will not have enough cash to meet its financial obligations. This can impact the bank's performance if there are sudden withdrawals or a lack of funding sources.

4. Operational risk: This is the risk of loss due to failures in the bank's internal processes, systems, or human errors. This can impact the bank's performance if there are frauds, system failures, or other operational issues.

5. Legal risk: This is the risk of loss due to legal actions or non-compliance with laws and regulations. This can impact the bank's performance if there are lawsuits, penalties, or reputational damage.

Overall, these risks can impact the bank's performance by causing financial losses, damaging the bank's reputation, and affecting the bank's ability to operate effectively.

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Related Questions

What is economic efficiency, and in what ways might the pursuit of economic efficiency be unethical? ( 50 to 100 words) ( straight to the point)

Answers

Economic efficiency refers to the optimal allocation of resources in a way that maximizes the production and distribution of goods and services.

The pursuit of economic efficiency can become unethical when it leads to the exploitation of workers, harm to the environment, or the prioritization of profit over the well-being of society.

Additionally, the pursuit of economic efficiency can also lead to the unequal distribution of wealth, with some individuals or groups benefitting at the expense of others. It is important to consider the ethical implications of economic decisions and to strive for a balance between efficiency and fairness.

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(c) Describe to him the four (4) stages for a group to become a team by Butterfield (2010). (40 marks)Refer to Unit 4, pages 14-15- Identify the four stages. - Describe the four (4) stages and relate them to the situation given above. - Provide suitable examples for each stage to guide the reader on how to help his group evolve into a team. - Examples given should be relevant to the situation.**Do note that you should relate it to the scenario since you are writing the response as an experienced leader. ***Do not copy from the internet – paraphrase the sources to make it your own. Conclusion (5 marks) Write a suitable conclusion, including the following elements - Summarised your main ideas - Word of encouragement to the reader.

Answers

The four stages for a group to become a team as outlined by Butterfield (2010) are forming, storming, norming, and performing.

Forming is the initial stage in which the group members are getting to know one another and establishing the team’s purpose and structure. During the storming stage, members come together to define roles, resolve conflict, and build trust. In the norming stage, members become comfortable with each other, begin to work together more efficiently, and agree on their shared goals. The performing stage is where members have a sense of mutual understanding, trust, and support and are able to work together as a unified team.

In order to help the reader’s group evolve into a team, they need to progress through each of the four stages.  

In conclusion, becoming a team is a process that requires patience and dedication. By guiding a group through the four stages outlined by Butterfield (2010), the leader can help their group evolve into a strong, unified team that works together towards a common goal.

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Question 2.4.
Muskoka Travel offers guided tours through the lake system. Muskoka Travel provides a guide, necessary equipment, and food for a fee of $75 per person per day. Currently, the company is providing an average of 600 guide days per month. Based on available equipment and guides the maximum capacity is 950 guide days (customers taken on the equivalent of an all day tour) per month.
Variable costs per guide-day for the year were as follows : Food $7.50 Guide's salary $37.50 Supplies 3.00 Insurance 12.00
Fixed costs per month during the year were as follows : Equipment rental $7,500 Marketing $3,000
Administration 6,000 Customer service 1,500
Required:
A group of foreign tourists has offered Muskoka Travel a proposal of 300 guide days in July if they will cut the fee to $67.50 per guide day. They have their own food and do not want to use the Muskoka Travel menus. Muskoka Travel will incur $300 in additional costs for busing the tourists back and forth to the camp site. If fixed costs would not increase, should Muskoka Travel accept the special offer?

Answers

If fixed costs would not increase then Yes, Muskoka Travel should accept the special offer from the group of foreign tourists.

Here is the breakdown of the costs and revenues associated with the special offer:

Revenues:
- 300 guide days x $67.50 per guide day = $20,250

Variable costs:
- Guide's salary: 300 guide days x $37.50 per guide day = $11,250
- Supplies: 300 guide days x $3.00 per guide day = $900
- Insurance: 300 guide days x $12.00 per guide day = $3,600
- Additional busing costs: $300
- Total variable costs: $16,050

Contribution margin:
- Revenues - Variable costs = $20,250 - $16,050 = $4,200

Fixed costs:
- Equipment rental: $7,500
- Marketing: $3,000
- Administration: $6,000
- Customer service: $1,500
- Total fixed costs: $18,000

Net income:
- Contribution margin - Fixed costs = $4,200 - $18,000 = -$13,800

Even though the net income is negative, the contribution margin is positive, which means that the special offer will help cover some of the fixed costs. Since the fixed costs would not increase with the special offer, accepting it would result in a higher net income than if Muskoka Travel did not accept it. Therefore, Muskoka Travel should accept the special offer.

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Question 1
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Question text
Please elaborate on three things that you recently purchased, preferably in the last twenty-four hours the things can be items or services. Decide which purchase on your list stands out as most important to you and consider why you made that purchase decision. See if you can list three reasons. Now pretend you are going to sell that same item or service to a friend—would the three reasons remain the same, or would you try additional points for them to consider?
business communication
Students are required to form their essay questions as follows: (How to write your essay question)
1-Opening paragraph (introduction)
2-Main body with examples
3-Closing paragraph (conclusion and your own opinion)
4- I will check your answer for plagiarism report thus no copy and paste is allowed and will mark as ZERO if detected

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The three purchases I have recently made in the last 24 hours include: a book on business communication, a cup of coffee, and a pair of shoes.

Out of these purchases, the book on business communication stands out as the most important to me because I am looking to start a business and I believe it is necessary to understand the fundamentals of business communication in order to be successful. I made this purchase because I wanted to make sure I had the right knowledge to excel in this field.

The reasons why this purchase was important to me are: first, it will help me develop my communication skills so that I can create effective business relationships with others; second, it will provide me with the confidence to communicate professionally and present my ideas clearly; and third, it will give me a better understanding of the dynamics of business communication.

If I were to sell this book to a friend, I would focus on the same reasons but also emphasize the value it can bring in terms of career development, providing a strong foundation for success in business, and understanding how to write effective business emails.

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1. While selecting employees for working in the hotel, which 3 employments laws would you have to keep in mind and why? (9marks)2. "When demand for rooms is high, drive ADR. When demand for rooms is low, drive occupancy" Describe this statement and give examples for your support. (8marks)

Answers

1. When selecting employees for working in the hotel, there are three main employment laws to keep in mind Equal Employment Opportunity ,  Minimum Wage and Overtime laws ,  The Family and Medical Leave Act .

2. This statement means that hotel managers should adjust their pricing and/or occupancy levels depending on market conditions.

1  .

Equal Employment Opportunity laws, which prohibit employers from discriminating against applicants and employees based on race, color, national origin, sex, or religion;
Minimum Wage and Overtime laws, which set minimum wage rates for employees and requires employers to pay overtime for any hours worked beyond the standard workweek;The Family and Medical Leave Act, which requires employers to provide unpaid leave to employees for certain medical and family reasons.



2. This statement means that hotel managers should adjust their pricing and/or occupancy levels depending on market conditions.

When demand is high, they should raise their Average Daily Rate (ADR) to take advantage of the high demand and get more revenue.

When demand is low, they should focus on increasing occupancy, which can be achieved by offering discounts or promotional rates to attract customers.

For example, during a high demand period, a hotel can raise its prices to capitalize on the high demand. During a low demand period, the hotel can offer discounts or promotional rates to attract more customers and increase occupancy.

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Look up your favorite brokerage online and see if it has your
favorite mutual fund family as a Transaction Fee or a No
Transaction Fee offering.

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To find out if your favorite mutual fund family is available with a Transaction Fee or No Transaction Fee offering, go to the website of your favorite brokerage and search for the mutual fund family. Look for information about any fees associated with the fund and whether there is a No Transaction Fee option.

You may also be able to contact the brokerage directly for more information.
However, some general information on how to find a mutual fund family through a brokerage. Here are the steps:
1. Visit the website of your favorite brokerage and log in to your account.
2. Navigate to the "Investments" or "Trading" section of the website.
3. Look for an option to search for mutual funds. This may be labeled as "Find Mutual Funds," "Search Mutual Funds," or something similar.
4. In the search bar, enter the name of your favorite mutual fund family.
5. Look through the search results to see if your favorite mutual fund family is offered as a Transaction Fee or a No Transaction Fee offering.
6. If your favorite mutual fund family is offered, you can choose to invest in it through the brokerage.
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be a Victim of software counterfeiting Avoid interruption and keep your files safe with genuine Office today, THE 4 P'S Get Chapter 1: Marketing: Creating Customer Value and Engagement You are required in this assignment to think of TWO companies, in the same field, and make a comparison by listing the marketing mix (4 P's) of both companies: O Complete the following information as follows: Product: Most selling product(s) and brief description about it - could be a physical good, services, consulting, etc. Price: How much does the company charge for the selected product. • Place: Where is the product distributed and made available for the consumer (you can think of an example of any distributor and a brief description about it). Promotion: How do customers find out about the selected product? What promotional strategies does the company use, and are they effective? Note: You can answer in a paragraph form, bullet points or in a table form. Answer: Accessibility Investigate ited States) THE 4 P'S Chapter 1: Marketing: Creating Customer Value and Engagement You are required in this assignment to think of TWO companies, in the same field, and make a comparison by listing the marketing mix (4 P's) of both companies: O Complete the following information as follows: • Product: Most selling product(s) and brief description about it - could be a physical good, services, consulting, etc. Price: How much does the company charge for the selected product. Place: Where is the product distributed and made available for the consumer (you can think of an example of any distributor and a brief description about it). • Promotion: How do customers find out about the selected product? What promotional strategies does the company use, and are they effective? Note: You can answer in a paragraph form, bullet points or in a table form. 

Answers

Companies  promotes their products through online and social media ads, as well as print and radio ads, industry influencers.

For example, let's compare two companies in the software industry: Company A and Company B.

Company A


Product: Company A offers software solutions for businesses, including web and app development, database design, and custom programming.


Price: Company A's prices vary depending on the services required, ranging from $500 - $10,000.


Place: Company A's software is available to purchase through their website and through various retailers.


Promotion: Company A promotes their products through online and social media ads, as well as print and radio ads.

Company B


Product: Company B provides a range of digital tools for businesses, including website development, online security and cloud storage.


Price: Company B offers a range of prices for their services, ranging from $400 - $9,000.


Place: Company B's services are available to purchase through their website and through various retailers.


Promotion: Company B promotes their products through online and social media ads, as well as through collaborations with industry influencers.

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Please discuss this with at least 700 words, providing detailed
explanations and examples.
(The challenges to strategic management process)
PLEASE DO NOT COPY PAST FROM OTHER ANSWERS

Answers

Strategic management is the process of assessing an organization's long-term direction and determining the best course of action to achieve its goals. The challenges of strategic management processes involve making difficult decisions about the company's mission etc.


One of the major challenges of strategic management is deciding on an appropriate mission, vision, and objectives. A mission statement is a brief statement of the organization's purpose and the objectives that it is striving to achieve.
Another challenge of strategic management is to identify and evaluate the opportunities and threats of the organization's environment. External factors such as changes in regulations, technological advances, and competitive trends all have the potential to influence the organization's strategies.
The third challenge of strategic management is to develop and implement a competitive strategy. A competitive strategy is an integrated set of actions that an organization uses to create a competitive advantage in the market.

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Topic:
Oman Bhd. (Oman) is listed on the Bursa Malaysia and is currently producing specialised steel
rods for construction of infrastructure. Currently the products are mainly for domestic market
consumption. Due to the intense competition in the Malaysian market, the company has come
out with two strategies, namely expansion strategy and diversification strategy in order to sustain
and to maximise its shareholders’ wealth.
In line with the company’s expansion strategy, the company planned to export about 35% of its
products to our neighboring countries such as Japan, Cambodia, and Vietnam etc. This poses
higher business risks as the company has no prior trading relationship with companies from the
above countries.
Additionally, in line with its diversification strategy, the Board had approved a total allocation of
RM250 million subject to the necessary due diligence being carried out, detailed as follows:
The firm had decided to invest in an existing biscuit factory in Australia for a total
consideration of A$100 million which represents about 60% of the company’s existing
shareholding. The company had allocated about RM100 million and would need to raise
the balance of the funds through either placement or borrowings in either Malaysia
ringgit or Australia dollars.
In line with the company’s global investment strategy, the company has targeted
Thailand or Vietnam. The company will be investing RM150 million in the form of
equity in foreign company, preferably construction sector.
1. Since some of the products are export to Japan, Cambodia and Vietnam, what should be
of concern to the management in respect of pricing and its effect on profitability, and the
risk the company face in respect of each country and the payment methods for goods?

Answers

The management of Oman Bhd. should be concerned about pricing and its effect on profitability, as well as the potential risks associated with the export of products to Japan, Cambodia, and Vietnam.

Pricing and profitability are always important considerations when entering foreign markets, and the company should take into account the different economies and market conditions in each country.

Furthermore, there can be risks associated with payment methods in different countries, and the company should be sure to familiarize itself with the terms and conditions of doing business in each country before entering any agreements.

In Japan, the management should be aware of different taxes that may apply, such as consumption and corporate taxes, as well as the different payment methods used in the country. In Cambodia, the company should be aware of the political and economic climate, as well as payment methods and any export restrictions. In Vietnam, the management should consider any export taxes, import taxes, and the different payment methods that are used in the country.

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Articles of incorporation form the corporation's"constitution."Select one:TrueFalse

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The statement ''Articles of incorporation form the corporation's "constitution"'' is true, because these articles do form the constitution of the corporation.

The Articles of Incorporation are a legal document that outlines the basic information and rules for a corporation. This document essentially serves as the "constitution" of the corporation, outlining important information such as the name and purpose of the corporation, the names of the incorporators, and the number of authorized shares.

Just like a constitution, the Articles of Incorporation provide a framework for how the corporation will be governed and operated. Therefore, it is accurate to say that the Articles of Incorporation form the corporation's "constitution."

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On 30 June 2019, Vivo Berhad granted one of its directors the right to choose either 160,000 shares or receive a cash payment equal to the current value of 100,000 shares at the settlement date on 1 July 2020. On 30 June 2019, the share price was RM 4 and the estimated fair value of the share alternative was RM 3.50 per share. The share must be kept for 2 years if the director chooses the share alternative. Besides, on 30 June 2019, the company acquired machinery costing RM 20 million in the market. After negotiation with the supplier, the supplier agreed to accept the payment for the machinery either in cash or shares. The supplier has the option to choose either 5 million shares of the company which will be issued in six months’ time or receive a cash payment equivalent to 4 million shares in three months’ time. On 30 June 2019, the share price of the company was RM 4. It is estimated that the shares price in three months’ time will be RM 5.50 per shares and will increase to RM 6 in six months’ time.
Required: In accordance with MFRS 2: Share-based payment, show the journal entries of the above transactions as at 30 June 2019.

Answers

The journal entries of the above transactions in accordance with MFRS 2: Share-based Payment must reflect the liability of the company to either pay cash or shares to its directors and supplier.

In accordance with MFRS 2: Share-based payment, the journal entries for the above transactions as at 30 June 2019 are as follows:

1) For the grant of the right to choose either 160,000 shares or receive a cash payment equal to the current value of 100,000 shares to the director:

Dr. Share-based payment expense (160,000 shares x RM 3.50) RM 560,000
Cr. Equity-settled share-based payment liability RM 560,000

2) For the acquisition of machinery costing RM 20 million in the market:

Dr. Machinery RM 20,000,000
Cr. Cash RM 20,000,000

3) For the option given to the supplier to choose either 5 million shares of the company which will be issued in six months’ time or receive a cash payment equivalent to 4 million shares in three months’ time:

Dr. Share-based payment expense (5 million shares x RM 6) RM 30,000,000
Cr. Equity-settled share-based payment liability RM 30,000,000

Note: The fair value of the share alternative is used to measure the share-based payment expense and liability, as it is the more reliably measurable of the two alternatives. The estimated fair value of the share alternative is based on the estimated share price at the settlement date, which is RM 6 per share in six months’ time.

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Business Administration - Product Management – Case Study
(Answers should be basic in nature, no additional details are given)
A Product Manager working on a new security service for a Big Tech Company is approached by a Senior Partner who explains that his role will begin having more collaboration with the new Service Owner to enhance services associated with the product. During an introduction with the Service Owner mentions that she needs help creating a Service Strategy and she asks you:
1) How would you develop a service strategy for this product? and How would you feed that back into the service management machine to create value for the product?
2) What facets would you suggest, and how could you articulate it as part of a long-term strategy?
3) What service level agreements (SLAs) or operating level agreements (OLAs) would you create?
4) What other considerations would you have as a Product Manager to assist the Service Owner in developing a successful service strategy?

Answers

1)To develop a service strategy for the new security service, I would first conduct a thorough analysis of the target market, including customer needs and preferences, competitor offerings, and industry trends.

2)I would suggest focusing on areas such as customer experience, pricing, and service quality.

3) I would create service level agreements (SLAs) and operating level agreements (OLAs) that clearly define the expectations and responsibilities of all parties involved in the service delivery process.

4)Regulatory requirements, technological trends, and potential risks.

This information would help me identify key areas of focus for the service and determine the best approach for meeting customer needs and differentiating the product from competitors.

Once the service strategy is developed, it can be fed back into the service management machine by communicating it to all relevant stakeholders and aligning all aspects of the service, including design, development, delivery, and support, with the strategy.

This alignment will help ensure that the service delivers value to customers and meets their needs and expectations.

In terms of facets to include in the service strategy, I would suggest focusing on areas such as customer experience, pricing, and service quality.

As a Product Manager, I would also consider other factors that could impact the success of the service strategy, such as regulatory requirements, technological trends, and potential risks.

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The value chain describes the competitive challenges a firm faces in a highly dynamic external environment. Internal activities a firm engages in when transforming inputs into outputs. Current consequences a firm experiences due to its decisions in the past. Strategic advantages a firm experiences when its resources lack causal ambiguity

Answers

The value chain describes the internal activities a firm engages in when transforming inputs into outputs.

A value chain is a series of actions that a business operating in a particular industry takes to provide the final consumer with a desirable good or service. Michael Porter first introduced the idea in his 1985 best-seller Competitive Advantage: Developing and Maintaining Exceptional Performance, which is based on business management. Value chains were incorporated into Porter's competitive strategies paradigm, which he developed in 1979, as decision support tools. Inbound logistics, operations, outbound logistics, marketing, sales, and service are the main activities.

Any one of the value chain's five activities can give businesses a competitive edge. For instance, developing highly effective outbound logistics or lowering a company's shipping expenses, makes it possible to increase profits or pass on savings to customers in the form of lower prices.

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Security X and Y have the following probability distributions of expected future returns: Probability Stock X Stock Y 0.30 -09 % 22 % 0.50 10 -7.5 0.20 18 16 I. Calculate the expected rate of return for each stock. II. Calculate the standard deviation of returns for each stock. III. Calculate the coefficient of variation for each stock and recommend which one you select if you take only one project. IV. Assume that someone held a portfolio consisting of 45 percent of stock X and 55 percent of stock Y and the correlation between stock X and Y is -0.721. Calculate the average rate of return and standard deviation for this portfolio.
urgent

Answers

I. The expected rate of return for Stock X is 8.9% and the expected rate of return for Stock Y is 8.5%.


II. The standard deviation of returns for Stock X is 13.6% and the standard deviation of returns for Stock Y is 11.3%.


III. The coefficient of variation for Stock X is 1.53 and the coefficient of variation for Stock Y is 1.33. If you take only one project, you should select Stock Y, since it has a lower coefficient of variation.


IV. The average rate of return for the portfolio is 8.75% and the standard deviation of returns is 11.87%.

The average rate of return (ARR) is a financial metric used to calculate the average profit or loss generated by an investment over a certain period of time. It is calculated as the total return divided by the number of years the investment was held, and is typically expressed as a percentage.

For example, if an investment generates a total return of $10,000 over a period of 5 years, the average rate of return would be:

ARR = $10,000 / 5 years = $2,000 per year

If the initial investment was $50,000, the average rate of return would be:

ARR = ($10,000 / $50,000) x 100% = 20%

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"COVID comes along and suddenly the employee experience goes from 3D to 2D," Brooks says. "It's only what's on our screen. There are no snacks, no cool speakers. There's no retreat in the mountains or massage room. Many companies that had invested heavily in employee experience had invested in a 3D experience, but COVID has changed the game."
Consider the changed game that COVID has brought to organisations and recommend a range of benefits organisations may offer their employees in their "2D" employee experience.

Answers

Benefits that organisations can offer to their employees to improve their experience and support their well-being are virtual team building activities, virtual wellness classes, virtual mentoring programs, and other remote opportunities.

Some other benefits may include:

Flexible work hours: Allowing employees to set their own schedules can help them better manage their work-life balance and reduce stress.Virtual team-building activities: Organising virtual events like happy hours or game nights can help foster a sense of community among employees and alleviate feelings of isolation.Wellness benefits: Offering benefits like virtual fitness classes or mental health support can help employees take care of their physical and mental health during this challenging time.Professional development opportunities: Providing access to online courses or virtual conferences can help employees continue to develop their skills and advance their careers.Technology stipends: Providing employees with a stipend to purchase necessary technology or office equipment can help them create a more comfortable and productive home office environment.

Overall, it's important for organisations to adapt to the "2D" employee experience and find ways to support their employees during this time. By offering a range of benefits that address the unique challenges of remote work, organisations can help ensure that their employees remain engaged, productive, and satisfied.

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A bond with a remaining maturity of 5 years pays a coupon of 8%.If the face (par) value of the bond is £1000 and the yield onsimilar bonds is 10%, what is the duration for this bond?

Answers

The duration of this bond is 936.62.

The duration of a bond is the weighted average of the time periods over which the bond's cash flows are received. It is used to measure the sensitivity of a bond's price to changes in interest rates. The duration of a bond can be calculated using the following formula:

Duration = (C / (1 + Y)) + (2C / (1 + Y)^2) + ... + ((N - 1)C / (1 + Y)^(N - 1)) + (N(C + FV) / (1 + Y)^N)

Where:
C = Coupon payment
Y = Yield
N = Number of years to maturity
FV = Face value

Plugging in the given values into the formula, we get:

Duration = (80 / (1 + 0.1)) + (80 / (1 + 0.1)^2) + (80 / (1 + 0.1)^3) + (80 / (1 + 0.1)^4) + (1080 / (1 + 0.1)^5)

Duration = 72.73 + 66.12 + 60.11 + 54.65 + 683.01

Duration = 936.62

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MBA Course: MKTG 6900-01 Marketing Strategy
Discuss "LIFE WTR's (by PepsiCo USA) MARKETING BUSINESS
OBJECTIVES AND GOALS. (Please don't discuss Saudi Arabian Life
Water)

Answers

LIFE WTR is a premium water brand by PepsiCo USA. The brand's marketing business objectives and goals include - brand awareness, market share, more profits and expanding the business.

LIFE WTR is a premium water brand by PepsiCo USA. The brand's marketing business objectives and goals include:

1. Increasing brand awareness: LIFE WTR aims to increase brand awareness by promoting the brand through various marketing channels, such as social media, television commercials, and print advertisements.
2. Gaining market share: LIFE WTR aims to gain market share by offering a premium product that differentiates itself from other water brands in the market.
3. Building customer loyalty: LIFE WTR aims to build customer loyalty by offering a high-quality product and providing excellent customer service.
4. Expanding the product line: LIFE WTR aims to expand its product line by introducing new flavors and sizes to meet the needs of different consumers.
5. Generating profits: LIFE WTR aims to generate profits by increasing sales and reducing costs through efficient operations.
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1. What are the effects of war on the Stock market?
2. Why is it that when the crude oil increase, the product, and services also increase?
3. Does it affect the domestic product when the other countries are at war?
4. What should be the solution to ease inflation when other countries are at war?

Answers

War can have a negative effect on the stock market, as investors may become uncertain and nervous. This can lead to drops in stock prices and a decrease in the trading volume. War can also cause inflation, which in turn can cause stock prices to decline.When the price of crude oil increases, the cost of production, transportation and other services increase. This leads to an increase in the cost of the final product, which is then passed on to the consumer.Yes, war can affect the domestic product of a country. Wars can lead to a decline in economic growth, due to disruptions in production, trade and investment. War can also lead to an increase in public spending on defense, which can put pressure on the budget.One way to ease inflation when other countries are at war is to reduce interest rates. Lower interest rates can encourage borrowing and spending, which can boost economic growth and help reduce inflation.

How Does War Affecting The Economy?

War is a phenomenon that can have a tremendous impact on the economy of a country. This can happen because war can disrupt production and distribution activities that create scarcity of goods or services. In addition, the war also reduced people's purchasing power, which made economic activity not work.

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45 Which form of business ownership is a legal entity that is entirely separate from the parties that own it? a) Partnership b) Sole proprietorship Corporation d) Limited partnership 46 Mohammed is as

Answers

The form of business ownership that is a legal entity that is entirely separate from the parties that own it is a Corporation. The correct option is c) Corporation.

A corporation is a legal entity that is created under the laws of a state and is separate and distinct from its owners and managers. This means that the corporation itself, not the shareholders who own it, is held legally liable for the actions and debts the business incurs. Corporations are more complex than other business structures because they tend to have costly administrative fees and complex tax and legal requirements.

Therefore, the correct answer is c) Corporation.

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Picture is below of the question

Answers

If the owner had Sales Revenue of $100,000 for the previous year, then the Sales Growth is 50%.

What is Sales Growth?  

Sales growth is the rate at which a company's sales revenue increases over a given period of time. It is often used to measure the financial health of a company, as it indicates how quickly the company is growing. Sales growth is typically calculated by comparing the sales revenue of the current period to the sales revenue of the same period in the prior year. If the sales revenue has increased, the company has experienced positive sales growth. Conversely, if the sales revenue has decreased, the company has experienced negative sales growth. Sales growth can also be measured using other metrics, such as the number of units sold or the number of new customers gained. When analyzing a company's sales growth, investors and analysts often look at the company's historical sales growth rate and compare it to the industry average.

Calculation: (150,000 - 100,000) / 100,000 = 0.5 x 100 = 50%

Therefore, the Sales Growth is 50%.

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Lomack Company's bonds have a 10-year maturity, a 10% coupon,
paid semiannually, and a par value of $1,000. The market interest
rate is 5%, with semiannual compounding.
Part 1
What is the bond's value

Answers

The value of Lomack Company's bonds is $1,623.11.

The value of Lomack Company's bonds can be calculated using the formula:

Bond Value = C * (1 - (1 / (1 + r) ^ n)) / r + F / (1 + r) ^ n

Where:
C = Coupon payment
r = Market interest rate
n = Number of periods
F = Par value

In this case, the coupon payment is 10% of $1,000, which is $100. The market interest rate is 5%, and the number of periods is 10 years * 2 (since the coupon is paid semiannually), which is 20. The par value is $1,000.

Plugging these values into the formula, we get:

Bond Value = $100 * (1 - (1 / (1 + 0.05) ^ 20)) / 0.05 + $1,000 / (1 + 0.05) ^ 20

Bond Value = $100 * (1 - 0.37689) / 0.05 + $1,000 / 2.65330

Bond Value = $100 * 0.62311 / 0.05 + $376.89

Bond Value = $1,246.22 + $376.89

Bond Value = $1,623.11

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Using Micgael Porter's competitive strategies, how would you
describe the strategies of Wal-Mart, Bloomingdales' and Target?

Answers

According to Michael Porter's competitive strategies, there are three main types of strategies that a company can use to gain a competitive advantage: cost leadership, differentiation, and focus.

Each of these strategies is used by Wal-Mart, Bloomingdales, and Target in different ways.
Wal-Mart uses a cost leadership strategy, which involves offering products at the lowest possible prices to attract customers. This is achieved through economies of scale, efficient supply chain management, and negotiating lower prices from suppliers. As a result, Wal-Mart is able to offer lower prices than its competitors, which has helped it to become one of the largest retailers in the world.

Bloomingdales, on the other hand, uses a differentiation strategy. This involves offering unique products or services that are not available from other retailers. Bloomingdales is known for its high-end fashion and luxury goods, which sets it apart from other retailers and allows it to charge higher prices.

Target uses a combination of both cost leadership and differentiation strategies. It offers low prices on many of its products, similar to Wal-Mart, but also offers a range of exclusive products and designer collaborations, similar to Bloomingdales. This allows Target to appeal to a wider range of customers and gain a competitive advantage in the retail market.

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What is the present value of an ordinary annuity paying ​$1,300 each year for 10 years, with an interest rate of 7.2
percent compounded​ annually? (Round to the nearest​ dollar.)
a. 10,621
B. ​$8,202
C.​$9,047
D. $14,053

Answers

The present value of an ordinary annuity paying ​$1,300 each year for 10 years, with an interest rate of 7.2 percent compounded​ annually, is $8,202. The correct answer is option b.

To calculate the present value of an annuity, use the formula PV = PMT x (1 - (1 + r)^-n)/r, where PMT is the periodic payment, r is the periodic interest rate, and n is the number of payments.

For this problem, PV = 1300 x (1 - (1 + 0.072)^-10)/0.072 = $8,202 (rounded to the nearest dollar).

An annuity is referred as a contract between you and an insurance company which requires the insurer to make payments to you, either immediately or in the future. You buy an annuity by making either a single payment or a series of payments.

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Company discloses supplemental operating segment information. The following information is available for the current year:segmentSalesTraceable expensesX5,000,0003,000,000Y4,000,0002,500,000z3,000,0001,500,00012,000,0007,000,000Addl: expenses as follows:Indirect expenses1,800,000General Corporate Expenses1,200,000Interest expense600,000Income tax expense400,000The interest expense and income tax expense are regularly review by the chief operating decision marker as a measure of profit or loss.Appropriate common expenses are allocated to segments based on the ratio of a segment’s sales to total sales.5. What is segment Z’s profit for the current year?

Answers

The profit for segment Z’s for the current year is $500,000.

Segment Z's profit for the current year can be calculated by subtracting its traceable expenses and allocated common expenses from its sales.

1. First, we need to calculate the allocated common expenses for segment Z. This is done by taking the ratio of segment Z's sales to total sales and multiplying it by the total common expenses.

Segment Z's sales to total sales ratio = 3,000,000 / 12,000,000 = 0.25

Total common expenses = 1,800,000 + 1,200,000 + 600,000 + 400,000 = 4,000,000

Allocated common expenses for segment Z = 0.25 x 4,000,000 = 1,000,000

2. Now we can calculate segment Z's profit for the current year:

Segment Z's profit = Sales - Traceable expenses - Allocated common expenses
= 3,000,000 - 1,500,000 - 1,000,000
= 500,000

Therefore, segment Z's profit for the current year is $500,000.

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help me pls
forms is needed in every business and helps the business for tracking the ___ in data entry.
A. Transaction
B. Order
C. Fees

Answers

Answer:

A. Transaction.

Explanation:

Forms are commonly used in businesses to track transactions, which refer to any exchange of goods, services, or money between two parties. By using forms to record transactional data, businesses can more easily track their financial records, monitor inventory levels, and analyze sales trends. Forms can also help to streamline the data entry process, reducing the likelihood of errors and increasing efficiency.

HiFlyer Corporation currently has no debt. Its tax rate is 0.4, and its unlevered beta is estimated by examining comparable companies to be 2.0. The ten-year bond rate is 6.25%, and the historical risk premium over the risk-free rate is 5.5%. Next year, HiFlyer expects to borrow up to 75% of its equity value to fund future growth.
a. Calculate the firm

Answers

a. The current cost of equity is 17.25%. b.  The cost of equity after the firm increases its leverage to 75% of equity is 22.2%.

a. The firm's current cost of equity can be calculated using the Capital Asset Pricing Model (CAPM) formula:

Cost of Equity = Risk-Free Rate + Beta * (Market Risk Premium)

In this case, the Risk-Free Rate is the ten-year bond rate, which is 6.25%. The Beta is the unlevered beta, which is 2.0. The Market Risk Premium is the historical risk premium over the risk-free rate, which is 5.5%.

Plugging these values into the CAPM formula gives us:

Cost of Equity = 6.25% + 2.0 * (5.5%) = 17.25%

Therefore, the firm's current cost of equity is 17.25%.

b. To estimate the firm's cost of equity after increasing its leverage to 75% of equity, we first need to calculate the firm's levered beta using the Hamada equation:

Levered Beta = Unlevered Beta * (1 + (1 - Tax Rate) * (Debt/Equity))

In this case, the Unlevered Beta is 2.0, the Tax Rate is 0.4, and the Debt/Equity ratio is 0.75.

Plugging these values into the Hamada equation gives us:

Levered Beta = 2.0 * (1 + (1 - 0.4) * (0.75)) = 2.9

Now we can use the CAPM formula again, but with the levered beta instead of the unlevered beta:

Cost of Equity = 6.25% + 2.9 * (5.5%) = 22.2%

Therefore, the firm's cost of equity after increasing its leverage to 75% of equity is 22.2%.

Note: The question is incomplete. The complete question probably is: HiFlyer Corporation currently has no debt. Its tax rate is 0.4, and its unlevered beta is estimated by examining comparable companies to be 2.0. The ten-year bond rate is 6.25%, and the historical risk premium over the risk-free rate is 5.5%. Next year, HiFlyer expects to borrow up to 75% of its equity value to fund future growth. a. Calculate the firm’s current cost of equity. b. Estimate the firm’s cost of equity after the firm increases its leverage to 75% of equity.

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Question 4. Mayfield Ltd— tests of detail (4%)
Mayfield Ltd (Mayfield) manufactures satellite navigation systems designed for use in passenger vehicles and exports these exclusively to car manufacturers in South Korea and Japan. MCA has audited Mayfield since its incorporation five years ago. During this entire period, Mayfield has received unqualified audit reports and there have been no identified issues of audit significance. A review of the audit plan reveals the following:
the South Korean market has grown significantly over the past three years and has become Mayfield's most significant customer base, representing 70% of the company's revenue. All contracts are paid in US dollars.
due to languages differences, customers are unlikely to respond to requests to confirm outstanding balances at year-end.
in the past 9 months, due to the COVID-19 pandemic, the volume of orders from South Korean customers has fallen 15%, and two major customers have requested extended payment terms.
Mayfield is under pressure from Chinese competitors who have undercut their prices by 25%
Required
With reference to the information above, identify and justify:
Two accounts at risk of material misstatement
The assertion that is most at risk for each account balance identified in 1.
One specific substantive test of detail that would be most responsive to the risk identified.

Answers

1. Two accounts at risk of material misstatement are the accounts receivable and the revenue accounts. 2. The assertion that is most at risk for the accounts receivable account is the existence assertion and the assertion that is most at risk for the revenue account is the completeness assertion. 3. One specific substantive test of detail that would be most responsive to the risk identified for the accounts receivable account would be to perform alternative procedures and  for the revenue account would be to perform a trend analysis.

1. The accounts receivable account is at risk due to the language differences and the fact that customers are unlikely to respond to requests to confirm outstanding balances at year-end. This creates a risk of misstatement due to the inability to verify the accuracy of the account balance. The revenue account is at risk due to the decline in orders from South Korean customers and the pressure from Chinese competitors, which could lead to a misstatement in the amount of revenue reported.

2. The assertion that is most at risk for the accounts receivable account is the existence assertion, as there is a risk that the outstanding balances may not actually exist due to the inability to confirm them with customers. The assertion that is most at risk for the revenue account is the completeness assertion, as there is a risk that not all revenue has been recorded due to the decline in orders and pressure from competitors.

3. One specific substantive test of detail that would be most responsive to the risk identified for the accounts receivable account would be to perform alternative procedures, such as examining subsequent cash receipts or reviewing shipping documents, to verify the existence of the outstanding balances. For the revenue account, a specific substantive test of detail would be to perform a trend analysis to compare the current year's revenue with prior years and investigate any significant fluctuations.

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Look up the exchange-traded funds offered by Vanguard and
Fidelity. What are the commissions if you buy Vanguard or Fidelity
ETFs directly from Vanguard or Fidelity?

Answers

Both Vanguard and Fidelity offer a wide range of exchange-traded funds (ETFs) for investors to choose from. When buying ETFs directly from Vanguard or Fidelity, the commissions can vary depending on the specific ETF.

For Vanguard ETFs, there are no commissions if you buy them directly from Vanguard. This means that you can buy and sell Vanguard ETFs without having to pay any commission fees. However, if you buy Vanguard ETFs through a different brokerage firm, you may be subject to commission fees.
For Fidelity ETFs, there are also no commissions if you buy them directly from Fidelity. This means that you can buy and sell Fidelity ETFs without having to pay any commission fees. However, if you buy Fidelity ETFs through a different brokerage firm, you may be subject to commission fees.
In conclusion, if you buy Vanguard or Fidelity ETFs directly from Vanguard or Fidelity, there are no commissions. However, if you buy these ETFs through a different brokerage firm, you may be subject to commission fees. It is always best to check with the specific brokerage firm to determine what their commission fees are before buying any ETFs.

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"The following information is available for firm "ABC":
Comparative Income Statement 20x1 Sales 800,000 Cost of goods (400,000) Gross margin 400,000 Selling expenses (70,000) General and administrative expenses (80,000) Net operating income 250,000 Interest expenses (5,000) Income before taxes 245,000 Tax expenses (71,050) Net income 173,950 20X0 600,000 (280,000) 320,000 (60,000) (65,000) 195,000 (7,500) 187,500 (54,375) 133,125
Additional information:
- The company has decided to pay preferred dividends of €20,000 in 20X1 and €15,000 in 20X0.
- The total preferred stock (in €s) for both 20X0 and 20X1 is €120,000.
- Moreover, the total assets of the company for 20X0 are €1,500,000 and for
20X1 €1,800,000, while the total stockholders’ equity amounts to €750,000 and €820,000 for years 20X0 and 20X1 respectively.
- Compute the three basic components of the DuPont analysis regarding the Return on Equity (ROE), for company "ABC" for 20X1.
- Compute the ROE based on DuPont equation for 20X1.

Answers

The ROE for company "ABC" in 20X1 is 21.24%.

The DuPont analysis is a method of evaluating a company's return on equity (ROE) by breaking it down into three basic components: profit margin, asset turnover, and financial leverage. By analyzing these components separately, we can gain a better understanding of a company's performance and identify areas for improvement.

The three basic components of the DuPont analysis for company "ABC" for 20X1 are as follows:

1. Profit Margin: This measures the company's ability to generate profits from sales. It is calculated by dividing net income by sales. For company "ABC" in 20X1, the profit margin is 173,950 / 800,000 = 0.2174 or 21.74%.

2. Asset Turnover: This measures the company's ability to generate sales from its assets. It is calculated by dividing sales by total assets. For company "ABC" in 20X1, the asset turnover is 800,000 / 1,800,000 = 0.4444 or 44.44%.

3. Financial Leverage: This measures the company's use of debt to finance its assets. It is calculated by dividing total assets by stockholders' equity. For company "ABC" in 20X1, the financial leverage is 1,800,000 / 820,000 = 2.1951 or 219.51%.

To compute the ROE based on the DuPont equation for 20X1, we simply multiply the three components together:

ROE = Profit Margin x Asset Turnover x Financial Leverage
ROE = 0.2174 x 0.4444 x 2.1951
ROE = 0.2124 or 21.24%

Therefore, the ROE for company "ABC" in 20X1 is 21.24%.

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Data Dictionary Entry for LastName (fill in the table) – 6 points Field Name Grant Data Type Format Field Length (Name Number of Characters) Range (Starting letter or number Ending letter of number) Required? (Yes or No)

Answers

Field NameData TypeFormatField Length (Number of Characters)Range (Starting letter or number - Ending letter of number)Required? (Yes or No)LastNameTextString30A - ZYes

The data dictionary entry for the field "LastName" includes the field name, data type, format, field length, range, and whether or not it is required. The data type for this field is "Text" and the format is "String." The field length is 30 characters, and the range is from the letter "A" to the letter "Z." This field is required, meaning that it must be filled in for the record to be complete.A Data Dictionary is a collection of names, definitions, and attributes about data elements that are being used or captured in a database, information system, or part of a research project.

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