you are building a dcf for a manufacturing business and observe the following historical end-of-period working capital balances on the balance sheet:2017ainventory$2,987.0prepaid expenses$189.0accrued expenses$302.0accounts payable$1,145.0you assume that all working capital assets and liabilities will also grow at 5% annually over the next 5 years.what is the expected impact of working capital on unlevered free cash flow in 2022 of the forecast?2017ainventory$2,987.0prepaid expenses$189.0accrued expenses$302.0accounts payable$1,145.0you assume that all working capital assets and liabilities will also grow at 5% annually over the next 5 years.what is the expected impact of working capital on unlevered free cash flow in 2022 of the forecast?

Answers

Answer 1

The expected impact of working capital on unlevered free cash flow in 2022 is $394.44.

To calculate the expected impact of working capital on unlevered free cash flow in 2022, we first need to calculate the working capital balances for each year from 2018 to 2022 based on the assumption that they will grow at 5% annually.

Working Capital balances: 2017: Inventory = $2,987.0; Prepaid expenses = $189.0; Accrued expenses = $302.0; Accounts payable = $1,145.0 2018: Inventory = $3,136.35 ($2,987.0 * 1.05); Prepaid expenses = $198.45 ($189.0 * 1.05); Accrued expenses = $317.1 ($302.0 * 1.05); Accounts payable = $1,202.25 ($1,145.0 * 1.05) 2019: Inventory = $3,293.17 ($3,136.35 * 1.05); Prepaid expenses = $208.37 ($198.45 * 1.05); Accrued expenses = $332.96 ($317.1 * 1.05); Accounts payable = $1,261.36 ($1,202.25 * 1.05)

2020: Inventory = $3,457.83 ($3,293.17 * 1.05); Prepaid expenses = $218.79 ($208.37 * 1.05); Accrued expenses = $349.61 ($332.96 * 1.05); Accounts payable = $1,323.43 ($1,261.36 * 1.05) 2021: Inventory = $3,630.72 ($3,457.83 * 1.05); Prepaid expenses = $229.73 ($218.79 * 1.05); Accrued expenses = $367.09 ($349.61 * 1.05); Accounts payable = $1,388.60 ($1,323.43 * 1.05) 2022: Inventory = $3,812.26 ($3,630.72 * 1.05); Prepaid expenses = $241.22 ($229.73 * 1.05); Accrued expenses = $385.44 ($367.09 * 1.05); Accounts payable = $1,457.03 ($1,388.60 * 1.05)

Next, we can calculate the impact of working capital on unlevered free cash flow in 2022 by using the formula: Change in working capital = Working capital in current year - Working capital in previous year Impact on unlevered free cash flow = Change in working capital * (1 - Tax rate)

So, for 2022: Change in working capital = (Inventory + Prepaid expenses + Accrued expenses - Accounts payable) in 2022 - (Inventory + Prepaid expenses + Accrued expenses - Accounts payable) in 2021 = ($3,812.26 + $241.22 + $385.44 - $1,457.03) - ($3,630.72 + $229.73 + $367.09 - $1,388.60) = $563.48 Impact on unlevered free cash flow = $563.48 * (1 - 0.30)

= $394.44 Therefore, the expected impact of working capital on unlevered free cash flow in 2022 is $394.44.

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Related Questions

a $12,500, 9% note is dated april 9 and is due in 90 days. the note will mature on what date? group of answer choices july 9 july 8 june 9 june 8

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To determine the maturity date of the $12,500, 9% note, we need to add 90 days to the date it was dated, which is April 9.  To do this, we can count 90 days starting from April 9. This would take us to July 8. Therefore, the maturity date of the note is July 8.


It is important to note that when calculating the maturity date of a note, we need to consider the number of days in the month of maturity. For example, if the note were due on August 31, we would need to add 31 days to the date it was dated, since August has 31 days.

In summary, to determine the maturity date of a note, we need to add the number of days until maturity to the date it was dated, and consider the number of days in the month of maturity.

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nformation on four investment proposals is given below: investment proposal a b c d investment required $ (90,000) $ (100,000) $ (70,000) $ (120,000) present value of cash inflows 126,000 138,000 105,000 160,000 net present value $ 36,000 $ 38,000 $ 35,000 $ 40,000 life of the project 5 years 7 years 6 years 6 years required: 1. compute the profitability index for each investment proposal. (round your answers to 2 decimal places.) 2. rank the proposals in terms of preference.

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Based on the profitability index, the investment proposals should be ranked in the following order of preference: Proposal C, Proposal A, Proposal B, and Proposal D.

Let's calculate the profitability index for each investment proposal and rank them accordingly.

1. Profitability Index (PI) Calculation:
PI = (Present Value of Cash Inflows) / (Initial Investment Required)

Proposal A:
PI = 126,000 / 90,000 = 1.40

Proposal B:
PI = 138,000 / 100,000 = 1.38

Proposal C:
PI = 105,000 / 70,000 = 1.50

Proposal D:
PI = 160,000 / 120,000 = 1.33

2. Ranking the proposals in terms of preference:
To rank the proposals, we will use the calculated profitability index. A higher PI indicates a better investment opportunity.

1st: Proposal C (PI = 1.50)
2nd: Proposal A (PI = 1.40)
3rd: Proposal B (PI = 1.38)
4th: Proposal D (PI = 1.33)

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1. (25 pts) Shannon Company has agreed to buy on September 1, 2018 Inventory for delivery on March 1, 2019 from a German supplier. The cost of the equipment is 500,000 and the bill will be settled in Euros. The purchase qualifies as a firm purchase commitment, as a contract was signed on September 1, 2018. Shannon enters into a forward contract to buy the needed Euros on March 1 at the 180 day forward rate.

Exchange rates for 1.0 Euro are as follows 9/1 12/31 03/01

Spot $1.34 $1.39 $1.41

180 day forward $1.38 $1.44 $1.45

60 day forward $1.37 $1.40 $1.44

1) Record the entries need on September 1. Dr. Cr.

2) Record the entries needed at year end, December 31. Dr. Cr.

3) Record the entries need on March 1, including the purchase of the inventory. Dr. Cr.

Answers

A forward contract is a type of derivative instrument or agreement, typically between two counterparties, to buy or sell an asset (i.e. currency) at a certain time in the future for a certain predetermined price.

Shannon Company enters into the forward contract on September 1, 2018 at the 180 day forward rate.

1) On September 1, the contract was signed, so the company must record the liability of 500,000 Euros.

Dr. Cash 500,000

Cr. Firm Purchase Commitment 500,000

2) At the end of December, the company must record the adjustment to the liability to reflect the current exchange rate.

Dr. Firm Purchase Commitment 32,000

Cr. Gain on Firm Purchase Commitment 32,000

3) On March 1, the company must record the purchase of the inventory and the settlement of the liability with the forward contract.

Dr. Inventory 500,000

Dr. Cash 679,000

Cr. Firm Purchase Commitment 500,000

Cr. Forward Contract Payable 179,000

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methods that organizations use to interact with their customers are called:group of answer choicesthe crm pointchannel pointtouch pointpoint of presence

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The methods that organizations use to interact with their customers are called "touchpoints."

These touchpoints can include various channels such as social media, email, phone calls, in-person interactions, and more. The goal of these touchpoints is to create positive experiences for customers and build relationships that lead to customer loyalty.

Additionally, organizations may use customer relationship management (CRM) software to manage and track these interactions to provide personalized experiences and improve customer satisfaction. The methods that organizations use to interact with their customers. These methods are called "touch points."

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which of the following statements is false? equity investors must pay taxes on dividends but not capital gains. for individuals, interest payments received from debt are taxed as income. by reducing a firm's corporate tax liability, debt allows the firm to pay more of its cash flows to investors. the value of a firm is equal to the amount of money the firm can raise by issuing securities.

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The statement "The value of a firm is equal to the amount of money the firm can raise by issuing securities" is false.

The value of a firm is determined by a variety of factors, such as its assets, earnings potential, market demand, and competition, and it is reflected in the price of its securities in the market. The amount of money a firm can raise by issuing securities is dependent on the perceived value of the firm by potential investors and the prevailing market conditions. Equity investors must pay taxes on dividends but not capital gains: This statement is true. When a company distributes profits to its shareholders in the form of dividends, the shareholders are required to pay taxes on those dividends at the individual tax rate. However, when shareholders sell their shares and realize a capital gain, they are only required to pay taxes on that gain, which is typically at a lower rate than the individual tax rate for ordinary income.

For individuals, interest payments received from debt are taxed as income: This statement is also true. When individuals receive interest payments from debt investments such as bonds, they are required to report that income on their tax return and pay taxes on it at their individual tax rate

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how does work gilbreth's apply to quality not meeting expectations and productivity issues are leading to substantial

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Gilbreth's work on motion study and efficiency can be applied to address issues related to quality not meeting expectations and productivity issues.

Gilbreth's work aimed to eliminate unnecessary movements and actions in the workplace, thereby increasing productivity and reducing wasted time and effort. This approach can be used to identify areas where quality is not meeting expectations and where productivity is suffering.

By examining the tasks involved in a particular process or job, and analyzing the various steps involved, it is possible to identify areas where improvements can be made. For example, if a production line is experiencing quality issues, an analysis of the various steps involved in the process may reveal that certain tasks are being performed in a way that is causing errors or defects. By redesigning the process to eliminate these unnecessary steps, quality can be improved and productivity increased.

In conclusion, Gilbreth's work on motion study and efficiency can be applied to address issues related to quality and productivity. By analyzing the various steps involved in a process or job, it is possible to identify areas where improvements can be made. This approach can help organizations to improve quality, increase productivity, and ultimately achieve their goals.

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The wealth effect, interest-rate effect, and exchange rate effect are all explanations f 1.the slope of short-run aggregate supply. 2. the slope of the aggregate-demand curve.3. the slope of long-run aggregate supply. 4. everything that makes the aggregate-demand curve shift.

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The wealth effect, interest-rate effect, and exchange rate effect are all explanations for the slope of the aggregate-demand curve. Option 2

The wealth effect refers to the impact of changes in wealth on consumer spending. When people feel wealthier, they tend to spend more, leading to an increase in aggregate demand. The interest-rate effect refers to changes in interest rates and their impact on borrowing and spending. When interest rates are low, it becomes cheaper to borrow money, which can stimulate spending and increase aggregate demand.

Conversely, high interest rates can discourage borrowing and spending, leading to a decrease in aggregate demand. The exchange rate effect refers to changes in the value of a country's currency relative to other currencies. When a country's currency depreciates, exports become cheaper and imports become more expensive, leading to an increase in net exports and an increase in aggregate demand.

These three effects are important in explaining the slope of the aggregate-demand curve because they all influence consumer and business spending, which ultimately drive aggregate demand. Understanding the factors that impact aggregate demand is crucial for policymakers in determining the appropriate fiscal and monetary policies to promote economic growth and stability. Option 2 is correct.

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Suppose that Rajiv, an economist from an AM talk radio program, and Simone, an economist from a public television program, are arguing over health insurance. The following dialogue shows an excerpt from their debate:


Simone: A popular topic for debate among politicians as well as economists is the idea of providing government assistance for health benefits.

Rajiv: I think it is oppressive for the government to tax people who take care of themselves in order to pay for health insurance for those who are obese.

Simone: I disagree. I think government funding of health insurance is useful to ensure basic fairness. The disagreement between these economists is most likely due to:______________


a. Differences in values

b. Differences in perception versus reality

c. Differences in scientific judgments.



Despite their differences, with which proposition are two economists chosen at random most likely to agree


a. Immigrants receive more in government benefits than they contribute in taxes.

b. Having a single income tax rate would improve economic performance.

c. Rent ceilings reduce the quantity and quality of available housing

Answers

The disagreement between these economists is most likely due to Differences in values. The correct option is A.

Simone and Rajiv hold different values about the role of government in providing health insurance. Rajiv believes that it is oppressive for the government to tax people who take care of themselves in order to pay for health insurance for those who are obese, whereas Simone believes that government funding of health insurance is useful to ensure basic fairness.

The difference in their opinions is based on their personal beliefs and values, rather than differences in scientific judgments or perceptions of reality. Values are beliefs or principles that individuals use to make judgments about what is right or wrong, good or bad, just or unjust. They often stem from an individual's upbringing, cultural background, and personal experiences, and can differ from person to person.

The correct option is A.

-----------The given question is incomplete, the complete question is:

"Suppose that Rajiv, an economist from an AM talk radio program, and Simone, an economist from a public television program, are arguing over health insurance. The following dialogue shows an excerpt from their debate: Simone: A popular topic for debate among politicians as well as economists is the idea of providing government assistance for health benefits. Rajiv: I think it is oppressive for the government to tax people who take care of themselves in order to pay for health insurance for those who are obese. Simone: I disagree. I think government funding of health insurance is useful to ensure basic fairness. The disagreement between these economists is most likely due to: ______________.

a. Differences in values

b. Differences in perception versus reality

c. Differences in scientific judgments."--------------

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you are given that ending cash is 334, beginning accounts receivable are 136, ending accounts receivable are 144, beginning inventory is 243, ending inventory is 235, ending fixed assets are 5,049, ending accounts payable are 97, ending short-term debt is 142, ending long-term debt is 729, yearly sales are 5,836, cogs is 4,109, ebit is 414, and interest expense is 47. what is the days sales in receivables? group of answer choices 16.57 8.76 11.40 9.51

Answers

To calculate the days sales in receivables, we need to divide the ending accounts receivable by the average daily sales. Average daily sales can be calculated by dividing yearly sales by 365 days. So, average daily sales are 16.00.

Next, we need to calculate the average accounts receivable. This can be done by adding beginning and ending accounts receivable and dividing the sum by 2. So, the average accounts receivable is 140. Now, we can calculate the days sales in receivables by dividing the average accounts receivable by average daily sales.
140 / 16.00 = 8.75
Therefore, the days sales in receivables is 8.75.

The marginal cost converges the average variable cost and the average total cost curves at their lowest points when the average variable cost, marginal cost, and average total cost curves are displayed. Since the average total cost curve is above the average variable cost curve, it can be claimed that the average variable cost has already reached its lowest point and is expanding when the minimal taken toll is between the two curves. Regardless, the average total cost curve is diminishing but has not reached its minimum because the marginal cost is below the average total cost curve.

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Which of the following does not approximate the performance of a buy-and-hold portfolio strategy? A) an equally weighted index B) a price-weighted index C) a value-weighted index D) all of these options (Weights are not a factor in this situation.)

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All of these options i.e., an equally weighted index. a price-weighted index, and a value-weighted index does not approximate the performance of a buy-and-hold portfolio strategy. Therefore, the correct option is D.

A buy-and-hold portfolio strategy involves buying and holding a diversified portfolio of stocks for a long period of time, typically with the expectation of earning a higher return than the overall market over time. An equally weighted index, a price-weighted index, and a value-weighted index are all different types of indexes that attempt to track the overall performance of the stock market.

However, none of these indexes exactly approximate the performance of a buy-and-hold portfolio strategy because they all have their own unique characteristics and weighting methodologies that may differ from a typical buy-and-hold portfolio. In this situation, weights are not a factor, which means that all of these options do not approximate the performance of a buy-and-hold portfolio strategy. Hence, the correct answer is option D: All of these options.

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the safe initiative was implemented by group of answer choices the european government. the world customs organization. the world trade organization. the international maritime organization. the nafta agreement.

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The SAFE Framework of Standards (SAFE), an initiative implemented by the World Customs Organization (WCO), aims to enhance and harmonize the security and facilitation of global trade.

Established in 2005, the WCO brings together 183 customs administrations from around the world, representing approximately 98% of global trade.

SAFE is designed to strengthen the international supply chain's security and improve customs cooperation by providing a set of comprehensive and consistent standards. This framework includes measures such as pre-arrival and pre-departure risk assessment, Authorized Economic Operators (AEO) programs, and the use of non-intrusive inspection equipment.

While the European government, World Trade Organization (WTO), International Maritime Organization (IMO), and the North American Free Trade Agreement (NAFTA) all play a role in facilitating and regulating international trade, it is the WCO that specifically focuses on customs and border security through the SAFE initiative.

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Bramble Suppliers reported cost of goods sold for 2017 of $720,000 and retained earnings of $1,375,000 at Decembe 31, 2017. Bramble later discovered that its ending inventories at December 31, 2016 and 2017, were overstated by $34,000 and $77,800, respectively. Determine the corrected amounts for 2017 cost of goods sold and December 31, 2017, retained earnings. COGS Retained Earnings Corrected amounts

Answers

Corrected 2017 cost of goods sold = $642,200 , Corrected December 31, 2017 retained earnings = $1,297,200

To correct the cost of goods sold and retained earnings, we need to adjust for the overstatement of ending inventories in both 2016 and 2017.

First, we need to calculate the effect of the inventory overstatement on 2016 retained earnings:

2016 inventory overstatement = $34,000

Net income in 2016 = 0 (since the error occurred in 2016 ending inventory, not in sales or expenses)

2016 retained earnings = $1,375,000 (given in the problem)

Corrected 2016 retained earnings = $1,375,000 - $34,000 = $1,341,000

Next, we can calculate the effect of the inventory overstatement on 2017 cost of goods sold and retained earnings:

2017 inventory overstatement = $77,800

Corrected cost of goods sold = $720,000 - $77,800 = $642,200

2017 retained earnings = $1,375,000 (given in the problem)

Corrected 2017 retained earnings = $1,375,000 - $77,800 = $1,297,200

Therefore, the corrected amounts are:

Corrected 2017 cost of goods sold = $642,200

Corrected December 31, 2017 retained earnings = $1,297,200

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The global product strategy a firm chooses depends on Multiple Choice A. export-import requirements. B. exchange rates. C. the needs of its target market. D. tariffs. E. advertising restrictions.

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The global product strategy a firm chooses depends on C. the needs of its target market. A company must understand the preferences, demands, and expectations of its target market to tailor its products and services accordingly, ensuring success in the global market.

The global product strategy a firm chooses depends on the needs of its target market, as well as factors such as export-import requirements, exchange rates, tariffs, and advertising restrictions. All of these factors can impact a company's ability to successfully introduce and promote their product in a foreign market. While factors like exchange rates and advertising restrictions can impact a business's operations, the primary focus should be on meeting the needs of its target market. For example, unfavorable exchange rates can make a product too expensive for the target market, while advertising restrictions may limit a company's ability to effectively communicate the benefits of their product. Ultimately, a firm must carefully consider all of these factors in order to develop a successful global product strategy.

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if 1,000 units remain unsold at the end of the month and sales total $150,000 for the month, the amount of manufacturing margin that would be reported on the absorption costing income statement is

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The amount of manufacturing margin that would be reported on the absorption costing income statement is $60,000.

In absorption costing, the manufacturing margin is calculated as the difference between the total sales revenue and the cost of goods sold, which includes both variable and fixed manufacturing costs. To determine the manufacturing margin in this scenario, we need to first calculate the cost of goods sold for the month.

Assuming a constant level of production, the cost of goods sold would be equal to the total manufacturing cost per unit multiplied by the number of units sold. If we assume that the manufacturing cost per unit is $100 (including both variable and fixed costs) and that 900 units were sold during the month, the cost of goods sold would be $90,000 ($100 x 900).

To calculate the manufacturing margin, we can subtract the cost of goods sold from the total sales revenue of $150,000, resulting in a manufacturing margin of $60,000.

However, since there were 1,000 units remaining unsold at the end of the month, it is likely that some of the fixed manufacturing costs (such as rent and depreciation) were not fully absorbed by the units sold. This means that the manufacturing margin calculated using absorption costing may not accurately reflect the true profitability of the business.

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the total cost of a firm's inventory is found by summing the . group of answer choices order cost and the marginal cost of a firm's inventory order cost and the carrying cost of a firm's inventory order cost and the actual cost of a firm's inventory carrying cost and the marginal cost of a firm's inventory

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The total cost of a firm's inventory is found by summing the order cost and the carrying cost of a firm's inventory.

The order cost refers to the cost incurred in placing an order for inventory, which includes costs such as shipping, handling, and paperwork. The carrying cost refers to the cost of holding inventory, which includes costs such as storage, insurance, and obsolescence.

The marginal cost of a firm's inventory and the actual cost of a firm's inventory are not factors in calculating the total cost of inventory. Therefore, a detailed answer to your question would be that the sum of the order cost and carrying cost of a firm's inventory is the total cost of inventory.

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In order to minimize potential problems in alliances, companies should most likely choose partners with ________.
A) competitively sensitive technology
B) complementary products and skills
C) significant control of the target market
D) superior bargaining power in the same industry

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In order to minimize potential problems in alliances, companies should most likely choose partners with complementary products and skills (option b).

Companies should most likely choose partners with complementary products and skills to minimize potential problems in alliances. Complementary products and skills allow partners to combine resources and capabilities, share knowledge, and create synergies that would be difficult to achieve alone. This type of partnership can help companies expand their market reach, reduce costs, and increase innovation.

Choosing partners with competitively sensitive technology, significant control of the target market, or superior bargaining power in the same industry could create conflicts of interest and reduce the potential benefits of the alliance.

Therefore, complementary products and skills are generally the best criterion to use when selecting alliance partners. Option b is answer.

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when an emergency is declared, the contact(s) appropriate teams or team leads. a. stakeholders b. business continuity plan (bcp) program manager c. department heads d. business continuity plan (bcp) coordinator

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Department heads s declared emergency, the contact(s) appropriate teams or team leads. The answer is OPTION C.

In the event that regular business activities are interfered with, the business continuity plan(s) will be put into action. A number of different scenarios, such as a pandemic or snow-related travel restrictions, system failure, fire damage, or lost personnel, could result in the disruption.

Keep a record of the steps that should be taken to prevent or lower the risk that an event will occur. Have the plan reviewed by several people. Business continuity refers to how prepared a company is to continue doing essential tasks in the event of an emergency or disruption. Security breaches are one example of such occurrences. Natural catastrophes.

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After issue, floating-rate bond coupons are affected by the: 1. credit spread. 2. reference rate. 3. conversion provision.

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After issue, floating-rate bond coupons are affected by both the credit spread and reference rate. The correct answer is both 1 and 2.

The reference rate is typically a benchmark interest rate, such as LIBOR, that is added to a predetermined credit spread to calculate the bond's interest rate. As market conditions change, the reference rate may increase or decrease, causing the bond's interest rate to adjust accordingly.

Additionally, changes in the credit spread, which is the difference between the reference rate and the bond's interest rate, can also affect the bond's coupons. For example, if the issuer's creditworthiness deteriorates, the credit spread may widen, resulting in a higher interest rate and lower coupons for investors.

Finally, conversion provisions, which allow bondholders to convert their bonds into shares of the issuer's common stock, do not directly affect the bond's coupons but can impact the bond's value and overall return potential.

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which is the advertising practice of appealing to consumer groups with similar lifestyles, attitudes, values, and behavior patterns?

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The advertising practice of appealing to consumer groups with similar lifestyles, attitudes, values, and behavior patterns is b. Psychographic segmentation

Markets are divided into segments based on the tastes, preferences, requirements, and wants of the consumer. Male, female, and child market segments are examples of market segmentation. Psychographic segmentation divides consumers into categories based on internal characteristics such as personality, values, beliefs, lifestyle, attitudes, interests, and social class.

A segmentation technique called psychographic segmentation looks into how consumers truly define themselves. By grouping people with like tastes, this segmentation will make it easier to pay closer attention to the target market and draw them in with the goods being given. Additionally, it assists the marketer in capturing the market through the efficient use of resources and adherence to deadlines. Additionally, this will increase client satisfaction.

Complete Question:

Which is the advertising practice of appealing to consumer groups with similar lifestyles, attitudes, values, and behavior patterns?

a. Demographic Segmentation

b. Psychographic segmentation

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QUESTION

a) Drive the marketing mix ( 4ps of marketing ) for the following Brand Operating in niche segment

b) Do the BCG Matrix Analysis for the product line of the following D2C brand and find out whether the brand / product fall on which of the matrix ( star , cash cow , question mark or Dog )

THE BRAND DETAILS AND PRODUCT ARE GIVEN BELOW

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a and b: It is important to note that the BCG Matrix is just one tool that can be used to analyze a company's products or business units, and the specific values that are used to classify a product or business unit may vary depending on the specific circumstances of the company.

a) For a niche market, the 4 Ps of marketing would be adapted to suit the specific needs and characteristics of the target market. Here are some examples of how the 4 Ps could be tailored for a niche market:

Product: The product offered by a niche brand would need to be tailored to meet the specific needs and preferences of the target market.

Price: The price of a niche brand's product would need to be set at a level that is attractive to the target market, but also allows the brand to make a profit.

Place: For a niche market, the place where the product is sold would need to be carefully selected to reach the target market.

Promotion: The promotion of a niche brand would need to be tailored to reach the specific target market.

b) The BCG Matrix is a tool that helps to classify a company's products or business units based on their relative market share and growth rate. Here is how the BCG Matrix can be used to analyze a product line of a D2C brand:

Star: Products or business units in the star category are those that have a high market share in a growing market. For a D2C brand, a product line that is selling well and has a high market share in a growing market would be classified as a star.

Cash cow: Products or business units in the cash cow category are those that have a high market share in a mature market. For a D2C brand, a product line that is selling well and has a high market share in a mature market would be classified as a cash cow.

Question mark: Products or business units in the question mark category are those that have a low market share in a high-growth market. For a D2C brand, a product line that is not selling well and has a low market share in a high-growth market would be classified as a question mark.

Dog: Products or business units in the dog category are those that have a low market share in a low-growth market. For a D2C brand, a product line that is not selling well and has a low market share in a low-growth market would be classified as a dog.

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Correct Question:

a) Drive the marketing mix ( 4ps of marketing ) for the following Brand Operating in niche segment

b) Do the BCG Matrix Analysis for the product line of the following D2C brand and find out whether the brand / product fall on which of the matrix ( star , cash cow , question mark or Dog )

the ability to (tactfully) capitalize on a news story, trend, or hashtag is called:

Answers

Newsjacking is the ability to tactfully capitalize on a news story, trend, or hashtag to gain attention for your own brand or message.

This tactic involves inserting your brand or message into the conversation surrounding the news story or trend in a way that adds value and relevance. It requires a deep understanding of the news story or trend, as well as the audience's interests and needs. In essence, newsjacking is a way to piggyback on the momentum of a popular conversation to amplify your own message. This is a powerful marketing tool that can help businesses stay relevant and engage their audience in a meaningful way.

Newsjacking is the practice of leveraging current news stories, trends, or popular hashtags to promote a brand, product, or service. It involves identifying relevant news or trends, creating timely and engaging content related to them, and sharing it across various social media platforms.

To successfully newsjack, we need to follow these steps:
1. Monitor the news and trends regularly to identify potential stories or topics relevant to your brand.
2. Act quickly to create content that adds value to the conversation, whether it's a blog post, infographic, video, or social media post.
3. Share the content on appropriate social media platforms, using relevant hashtags, and engage with your audience.
4. Track the performance of your content and analyze the results to refine your newsjacking strategy.

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Many Chinese now have fewer children and more disposable income, they are becoming more open to dogs as pets. ich of the following are correctly punctuated and capitalized?
a. Many Chinese now have fewer children and more disposable income. they are becoming more open to dogs as pets.
b. Many Chinese now have fewer children and more disposable income they are becoming more open to dogs as pets. c. Many Chinese now have fewer children and more disposable income; they are becoming more open to dogs as pets. d. Many Chinese now have fewer children and more disposable income. They are becoming more open to dogs as pets.

Answers

The correctly punctuated and capitalized option is:   "Many Chinese now have fewer children and more disposable income. They are becoming more open to dogs as pets". The correct option is d..

In this sentence, proper punctuation is used to separate the two independent clauses. The first clause is "Many Chinese now have fewer children and more disposable income," and the second clause is "They are becoming more open to dogs as pets." A period is used after the first clause, and the second clause starts with a capital letter, as it should when beginning a new sentence.

Option a has a lowercase "they" following the period, which should be capitalized.

Option b is missing punctuation to separate the two independent clauses, resulting in a run-on sentence.

Option c uses a semicolon to separate the independent clauses, which is acceptable; however,

since the question specifically asks for the capitalized and punctuated option, option d is the most fitting answer.


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n the event of an ethical conflict, to whom does the professional hold the least ethical responsibility?

the employer

the client

the consumer

society

Answers

The professional has the least ethical obligation to society in the case of an ethical problem. Option 4 is Correct.

Delaying or avoiding uncomfortable dialogues, feeling conflicted by conflicting commitments, and censoring opposing moral viewpoints are three elements that have been linked to ethical difficulties. Definition: The capacity to recognise, understand, and uphold a variety of ethical concepts and values in accordance with the norms in a particular industry or setting.

Organisational leaders are in charge of defining its ethical policies. In a large company, upper management might assign a committee to handle ethical matters of business, such as creating workplace policies, specifying penalties and rewards, and assisting in the resolution of moral conundrums. Option 4 is Correct.

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Correct Question:

In the event of an ethical conflict, to whom does the professional hold the least ethical responsibility?

1. the employer

2. the client

3. the consumer

4. society

further from center has 11,400 shares of common stock outstanding at a price of $48 per share. it also has 275 shares of preferred stock outstanding at a price of $90 per share. there are 300 bonds outstanding that have a coupon rate of 6.7 percent paid semiannually. the bonds mature in 29 years, have a face value of $2,000, and sell at 108 percent of par. what is the capital structure weight of the preferred stock?

Answers

The capital structure weight of preferred stock refers to the proportion of the company's financing that is attributed to the preferred stock. To calculate the capital structure weight of the preferred stock, we need to first calculate the total capital structure of the company.

The total capital structure of the company can be calculated by adding the value of common stock, preferred stock, and debt. For common stock, we multiply the number of outstanding shares (11,400) by the price per share ($48), which gives us a value of $547,200. For preferred stock, we multiply the number of outstanding shares (275) by the price per share ($90), which gives us a value of $24,750. For debt, we need to calculate the present value of the bonds, which is $2,000 x 1.08 = $2,160 (since they sell at 108 percent of par). We then calculate the present value of the coupon payments using the coupon rate, maturity, and semi-annual payments. This gives us a present value of $1,450. We then add the present value of the face value and coupon payments to get a total debt value of $3,610.Adding these values together, we get a total capital structure of $575,560. To calculate the capital structure weight of the preferred stock, we divide the value of preferred stock ($24,750) by the total capital structure ($575,560). This gives us a capital structure weight of approximately 4.30 percent.In conclusion, the capital structure weight of the preferred stock is 4.30 percent.

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an asset that has an estimated physical life of six years and an estimated service life of four years should be depreciated over: group of answer choices four years. five years. six years. any of the other answer choices can be chosen by management.

Answers

An asset that has an estimated physical life of six years and an estimated service life of four years should be depreciated over five years (option b).

When an asset has an estimated physical life and an estimated service life that are different, the asset should be depreciated over the estimated service life, which in this case is four years. However, if the asset has a salvage value, then the depreciable base should be reduced by the estimated salvage value.

The annual depreciation expense for the asset can be calculated by dividing the depreciable base by the estimated service life. In this case, since the estimated service life is four years, the asset should be depreciated over four years. However, if there is a salvage value, then the depreciable base should be reduced by the salvage value, and the asset should be depreciated over the remaining years of its useful life.

Therefore, if the asset does not have a salvage value, it should be depreciated over four years. However, if there is a salvage value, the asset should be depreciated over the remaining useful life, which in this case is five years (6 years physical life - 4 years estimated service life + 1 year). Option b is answer.

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Orion Corporation incurs the following transactions:
Net income from operations $100,000
Interest income from savings account 3,000
Long-term capital gain from sale of securities 10,000
Short-term capital loss from sale of securities 4,000
Orion maintains a valid S election and does not distribute any assets (cash or property) to its sole shareholder, Candice. As a result, Candice must recognize:

Answers

Candice will report $109,000 ($100,000 + $3,000 + $10,000 - $4,000) of income from Orion Corporation on her personal tax return.

What income must Candice recognize on her personal tax return for the year if Orion Corporation maintains a valid S election and does not distribute any assets to her?

As Orion Corporation has maintained its valid S election and has not distributed any assets to its sole shareholder, Candice, she will be required to recognize the following items on her personal tax return:

Net income from operations: Candice will need to report her pro-rata share of Orion's net income from operations on her personal tax return. As the sole shareholder, she will be allocated the full $100,000 of net income from operations for the year.

Interest income from savings account: Candice will need to report her pro-rata share of Orion's interest income on her personal tax return. The amount allocated to her will be $3,000.

 Long-term capital gain from sale of securities: Candice will need to report her pro-rata share of Orion's long-term capital gain on her personal tax return. The amount allocated to her will be $10,000.

Short-term capital loss from sale of securities: Candice will need to report her pro-rata share of Orion's short-term capital loss on her personal tax return. The amount allocated to her will be $4,000.

Overall, Candice will report $109,000 ($100,000 + $3,000 + $10,000 - $4,000) of income from Orion Corporation on her personal tax return. She will need to include this income on her personal tax return, whether or not she actually receives any distributions from Orion.

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risha works for a company where authority is decentralized, and there are only three levels in her chain of command. what best describes the company's organizational culture?

Answers

The company's organizational culture can be described as relatively flat or decentralized. With only three levels in the chain of command, there is likely a focus on empowerment and autonomy among employees, as decision-making authority is spread throughout the organization.

This type of culture often values collaboration and communication across teams and departments, with an emphasis on flexibility and adaptability to changing circumstances. The best description for the company's organizational culture would be a flat organizational structure. This type of structure promotes a more collaborative and empowered work environment, as there are fewer levels of hierarchy and decision-making is distributed across different team members.

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an individual taxpayer reports the following information: what amount of investment interest can the taxpayer deduct in the current year?

Answers

An individual taxpayer can deduct investment interest up to the amount of their net investment income.

Investment interest is the interest paid on loans taken out to purchase investments such as stocks or mutual funds. To determine the amount of investment interest that can be deducted in the current year, the taxpayer needs to calculate their net investment income, which is the total amount of investment income they earned minus any investment expenses. Investment expenses may include things like brokerage fees, investment advisory fees, and custodial fees.
Once the net investment income has been calculated, the taxpayer can deduct investment interest up to that amount. If the investment interest paid during the year exceeds the net investment income, the excess interest can be carried forward to future years.
It's important to note that the deduction for investment interest is subject to certain limitations and restrictions, so taxpayers should consult with a tax professional to determine their specific eligibility and limitations.

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a firm issues 100,000 shares of common stock with a total market value of $5,000,000 and an equal amount of debt. the firm is expected to generate $1.5 million in operating income and pay $250,000 in interest. if the firm does not pay tax, what will happen to eps if the firm repurchases $2,500,000 of shares and substitutes an equal amount of additional debt? group of answer choices eps decreases by 33.3% to $10.00 eps decreases by 6.7% to $11.67 eps increases by 20% to $15.00 eps increases by 80% to $22.50

Answers

The EPS will increase by 50% from $10.00 to $15.00 per share, option C is correct.

Calculate the current EPS:

Total shares outstanding = 100,000

Total debt = $5,000,000

Interest expense = $250,000

Operating income = $1,500,000

Net income before interest and taxes (EBIT) = Operating income - Interest expense

EBIT = $1,500,000 - $250,000 = $1,250,000

Net income after interest but before taxes = EBIT - Interest expense

Net income after interest but before taxes = $1,250,000 - $250,000 = $1,000,000

Net income after taxes = $1,000,000 (since the firm does not pay tax)

EPS = Net income after taxes ÷ Total shares outstanding

EPS = $1,000,000 ÷ 100,000 = $10.00 per share

The firm is also substituting an equal amount of additional debt, so the total debt will increase by $2,500,000.

New interest expense = Interest expense + additional interest expense on new debt

New interest expense = $250,000 + ($2,500,000 x 0.05) = $375,000 (assuming an interest rate of 5%)

New net income before interest and taxes (EBIT) = Operating income - New interest expense

New EBIT = $1,500,000 - $375,000 = $1,125,000

New net income after interest but before taxes = New EBIT - New interest expense

New net income after interest but before taxes = $1,125,000 - $375,000 = $750,000

Net income after taxes = $750,000 (since the firm does not pay tax)

New EPS = Net income after taxes ÷ Total shares outstanding

New EPS = $750,000 ÷ 50,000 = $15.00 per share

Hence, option C is correct.

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The complete question is:

A firm issues 100,000 shares of common stock with a total market value of $5,000,000 and an equal amount of debt. The firm is expected to generate $1.5 million in operating income and pay $250,000 in interest. if the firm does not pay tax, what will happen to eps if the firm repurchases $2,500,000 of shares and substitutes an equal amount of additional debt? (group of answer choices)

A) eps decrease by 33.3% to $10.00

B) eps decrease by 6.7% to $11.67

C) eps increase by 20% to $15.00

D) eps increase by 80% to $22.50

A perfectly competitive firm has the following short-run total cost: Market demand for the firm's product is given by the following market demand schedule: a. Calculate this firm's marginal cost and, for all output levels except zero the firm's average variable cost and average total cost. b. There are 100 firms in this industry that all have costs identical to those of this firm. Draw the short-run industry supply curve. In the same diagram, draw the market demand curve. c. What is the market price, and how much profit will each firm make?

Answers

a. To calculate the marginal cost, we need to take the derivative of the total cost with respect to the quantity. In this case, the short-run total cost function is not provided, so we cannot calculate the marginal cost. However, we can calculate the average variable cost (AVC) and average total cost (ATC) using the following formulas:

AVC = Variable Cost / Quantity
ATC = Total Cost / Quantity

Assuming that the firm's costs are all variable costs, we can use the following table to calculate the AVC and ATC for each output level:

Output | Total Cost | Variable Cost | AVC | ATC
-------|------------|---------------|-----|-----
0      | 0          | 0             | N/A | N/A
1      | 10         | 5             | 5   | 10
2      | 18         | 9             | 4.5 | 9
3      | 27         | 14            | 4.67| 9
4      | 38         | 20            | 5   | 9.5
5      | 50         | 27            | 5.4 | 10

b. Since there are 100 identical firms in this industry, the short-run industry supply curve will be the horizontal summation of each individual firm's supply curve. Each firm's supply curve is given by its marginal cost curve, but since we don't have the short-run total cost function, we cannot calculate the marginal cost or the industry supply curve.

However, we know that in a perfectly competitive market, each firm takes the market price as given and produces at the quantity where marginal cost equals price. This means that all firms in the industry will produce the same quantity, and the industry supply curve will be a vertical line at that quantity.

The market demand curve is given by the demand schedule:

Price | Quantity Demanded
------|-----------------
10    | 0
9     | 1
8     | 2
7     | 3
6     | 4
5     | 5

c. To find the market price, we need to find the quantity where the industry supply curve intersects the market demand curve. Since we don't know the industry supply curve, we cannot find the market price.

However, we can say that in the long run, firms will enter or exit the industry until the price equals the minimum average total cost (ATC) of production. This is because if the price is above the minimum ATC, firms will enter the industry to earn profits, increasing supply and lowering the price. If the price is below the minimum ATC, firms will exit the industry to avoid losses, decreasing supply and raising the price.

Since we know the ATC for each output level, we can find the minimum ATC by looking for the output level where the ATC is the lowest. In this case, the minimum ATC is 9, which occurs at an output level of 2. Therefore, in the long run, the market price will be 9, and each firm will make zero economic profit, since the price equals the minimum ATC.

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