MF Corp. has an ROE of 16% and a plowback ratio of 50%. If the coming year’s earnings are expected to be $2 per share, at what price will the stock sell? The market capitalization rate is 12%.
b. What price do you expect MF shares to sell for in three years?
a. $25
b. $31.49

Answers

Answer 1

The expected stock price in three years is $54, not $31.49 as provided in option b.

To determine the stock price of MF Corp., we can use the Gordon Growth Model, which calculates the intrinsic value of a stock based on its expected future earnings, return on equity (ROE), and the market capitalization rate.

a. To calculate the stock price for the coming year:

Plowback ratio = 50% = 0.5

ROE = 16% = 0.16

Earnings per share (EPS) = $2

Retention ratio (b) = 1 - Plowback ratio = 1 - 0.5 = 0.5

Dividend payout ratio (d) = 1 - b = 1 - 0.5 = 0.5

Using the Gordon Growth Model formula:

Stock price = (EPS * (1 + g)) / (r - g)

Where:

g = growth rate = ROE * b = 0.16 * 0.5 = 0.08 (8%)

r = market capitalization rate = 12% = 0.12

Stock price = ($2 * (1 + 0.08)) / (0.12 - 0.08) = $2.16 / 0.04 = $54

Therefore, the expected stock price for the coming year is $54, not $25 as provided in option a.

b. To calculate the expected stock price in three years, we can use the same formula but with a modified growth rate.

g = ROE * b = 0.16 * 0.5 = 0.08 (8%)

Stock price = ($2 * (1 + 0.08)^3) / (0.12 - 0.08) = $2.16 / 0.04 = $54

Therefore, the expected stock price in three years is $54, not $31.49 as provided in option b.

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Related Questions





A certain manufacturing process might 5 hours in the best-case scenario, 7 hours in the most likely situation, or 10 hours under the worst



possible circumstances. Which is approximately the most realistic duration the process might take according to PERT?



А.



5 hours



B.



6 hours



C.



7 hours



D.



8 hours

Answers

The most realistic duration the process might take, according to PERT, is approximately 7 hours. Here option C is the correct answer.

The PERT (Program Evaluation and Review Technique) is a project management tool used to estimate the duration of a task or project by considering the best-case, most likely, and worst-case scenarios. It takes into account the inherent uncertainty and variability in completing the task.

In PERT, the most realistic duration is calculated using a weighted average of the best-case, most likely, and worst-case durations. The formula commonly used is:

Realistic Duration = (Best Case + 4 * Most Likely + Worst Case) / 6

Applying this formula to the given durations of 5 hours (best-case), 7 hours (most likely), and 10 hours (worst-case), we can calculate the most realistic duration:

Realistic Duration = (5 + 4 * 7 + 10) / 6

= (5 + 28 + 10) / 6

= 43 / 6

≈ 7.17 hours

Considering the variability and uncertainty inherent in the process, this duration accounts for both favorable and unfavorable conditions and provides a more balanced estimate.

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A single taxpayer has the following information for 2020: AGI $195,000 State income taxes 23,500 State sales tax 1,500 Real estate taxes 8,900 Gambling losses (gambling gains were $5,000) 14,800 The taxpayer's total allowable itemized deductions for 2020 are: A) $15,000 B) $47,200 C) $38,900 D) $24,800
Previous question

Answers

The taxpayer's total allowable itemized deductions for 2020 are C) $38,900

State income taxes = $23,500

State sales tax = $1,500

Real estate taxes = $8,900

Gambling losses = $5,000

A person can take a tax deduction out of their taxable income to reduce the total amount of taxes they owe. A person may choose to itemise deductions or take the standard deduction, which is a single deduction with a fixed dollar amount, on Schedule A of an income tax return.

Calculating the total allowable itemized deductions -

Total Allowable Itemized Deductions = State income taxes + State sales tax + Real estate taxes + Gambling losses

Substituting the values -

= $23,500 + $1,500 + $8,900 + $5,000

= $39,900

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viral marketing can be very expensive and is ineffective. (True or False)

Answers

The statement "viral marketing can be very expensive and is ineffective" is False.

Viral marketing is a marketing strategy that aims to promote a product or service through word-of-mouth and online sharing, often leveraging social media platforms. It is characterized by the rapid spread of marketing messages through online communities, resulting in significant exposure and brand awareness.

Contrary to the statement, viral marketing is not inherently expensive. In fact, it can be a cost-effective marketing approach compared to traditional advertising methods. The effectiveness of viral marketing campaigns can vary depending on various factors, including the quality of the content, the target audience, and the execution of the campaign.

When done well, viral marketing can be highly effective in reaching a wide audience, generating buzz and engagement, and driving organic traffic and customer acquisition. It can tap into the power of social sharing, user-generated content, and influential individuals or platforms, which can lead to exponential reach and brand visibility.

However, it is important to note that not all viral marketing efforts succeed, and there are no guarantees of achieving viral success. The unpredictability of virality and the need for compelling and shareable content make it a challenging strategy to execute successfully. Proper planning, creativity, and understanding of the target audience are essential for increasing the chances of success in viral marketing campaigns.

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purchase cutoff procedures should be designed to test whether all inventory

Answers

Purchase cutoff procedures are designed to ensure that all inventory transactions are properly recorded in the correct accounting period.

These procedures help prevent the misstatement of inventory balances and ensure the accuracy of financial statements. Here are some key aspects of purchase cutoff procedures:

Cut-off date determination: Establish a specific date at the end of the accounting period to mark the cutoff point. This is typically the last date of the period for which financial statements are prepared.

Goods received: Review and verify all goods received before the cut-off date. Ensure that any goods received before the cut-off date are properly recorded as inventory in the correct accounting period.

Invoicing and recording: Review all invoices received, and ensure that they are recorded in the appropriate period. Verify that the date on the invoice corresponds to the date of goods receipt. Any invoices received after the cut-off date should be recorded in the subsequent period.

Goods in transit: Determine the status of goods in transit at the cut-off date. Verify whether ownership and risks associated with the goods have passed to the company before or after the cut-off date. Record the appropriate inventory and related liabilities accordingly.

Receiving and accounting documentation: Review supporting documentation, such as receiving reports, purchase orders, and vendor invoices, to ensure consistency and accuracy. Confirm that the documentation is properly authorized, dated, and recorded in the correct period.

Physical inventory count: Perform a physical inventory count as close to the cut-off date as possible. Compare the results of the count to the recorded inventory balances and investigate any significant discrepancies.

Cutoff review and adjustments: Conduct a comprehensive review of all transactions around the cut-off date, including purchase orders, receiving reports, invoices, and other relevant documents. Identify any errors, omissions, or misclassifications, and make necessary adjustments to ensure accurate reporting.

Segregation of duties: Implement appropriate segregation of duties to prevent errors and fraud. Different individuals should be responsible for initiating, authorizing, receiving, and recording inventory transactions to enhance internal controls.

By implementing effective purchase cutoff procedures, a company can ensure that all inventory transactions are accurately recorded in the appropriate accounting period. This enhances the reliability of financial statements and provides stakeholders with timely and accurate information for decision-making.

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John recommends that Karen purchase a life insurance policy because he honestly believes that her family will benefit from it. He recommends a policy from UNeed ...

Answers

John recommends that Karen purchase a life insurance policy from UNeed because he genuinely believes that it will benefit her family.

By obtaining a life insurance policy, Karen's family can have financial protection and support in the event of her untimely death. The policy can provide a lump sum payout or regular income to help cover expenses such as mortgage payments, education costs, and daily living expenses.

John's recommendation is based on his understanding of the potential risks and uncertainties in life and his desire to ensure that Karen's family is adequately provided for in the unfortunate event of her passing.

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According to Nozick's entitlement theory, income inequality is not a problem if it results from voluntary transactions in the marketplace. A. True B. False

Answers

According to Nozick's entitlement theory, income inequality is not a problem if it results from voluntary transactions in the marketplace. Therefore, the answer is A. True.

Nozick believed in the principle of self-ownership and that individuals have the right to acquire and transfer holdings as long as they are obtained through voluntary means. This means that as long as income inequality results from people freely exchanging goods and services, it is not a problem as everyone involved has consented to the exchange. However, Nozick did acknowledge that there may be cases of exploitation or coercion that would violate this principle and lead to unjust inequality.

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A levered firm has only 2 assets on its balance sheet with the below market values and CAPM betas. The risk free rate is 3% pa and the market risk premium is 5% pa. Assume that the CAPM is correct and all assets are fairly priced.
Selected Company Details
Item Market value ($m) Beta
Cash asset 0.5 0
Truck asset 0.5 2
Loan liabilities 0.25 0.1
Equity funding ? ?
The firm then raises $1.5m more cash by writing more loans. Assume that the beta and yield on the new and existing loan liabilities are equal and unchanged compared to before. Ignore interest tax shields. All figures are given to 6 decimal places. Which of the following statements is NOT correct? This event led to a:
Select one:
a. $1.5m increase in loan liabilities to $1.75m and cash to $2m.
b. Asset beta of 0.4 and required return (or WACC before tax) of 5% pa.
c. Equity beta of 1.1 and required return of 8.5% pa.
d. $1.50 share price increase assuming that there are 1 million shares.

Answers

The correct statement that is NOT correct is d. $1.50 share price increase assuming that there are 1 million shares.  A levered firm has only 2 assets on its balance sheet with the below market values and CAPM betas. The risk-free rate is 3% pa and the market risk premium is 5% pa.  d. $1.50 share price increase assuming that there are 1 million shares is incorrect. The correct increase in share price is $2.25 per share.

Assume that the CAPM is correct and all assets are fairly priced.The firm then raises $1.5m more cash by writing more loans. Assume that the beta and yield on the new and existing loan liabilities are equal and unchanged compared to before. Ignore interest tax shields. All figures are given to 6 decimal places.After raising $1.5m more cash, the balance sheet and beta of the levered firm can be calculated as shown below;Before raising more cash, the market value of the firm's assets is $0.5m + $0.5m = $1m. Also, the total equity funding is unknown, hence the sum of loan liabilities and equity funding is represented as x.The total market value of the levered firm is equal to the market value of the assets plus the market value of debt and equity, i.e., $1m + x.The levered firm's asset beta (ba) before the new cash injection can be calculated as;ba = ($0.5m/$1m) * 0 + ($0.5m/$1m) * 2 = 1The levered firm's equity beta before the new cash injection can be calculated as;be = 1 + (1 - 0.1)x/x = 1 + 0.9x/x = 1.9After the new cash injection, the market value of the levered firm's loan liabilities increases by $1.5m to $0.25m + $1.5m = $1.75m. Also, the market value of cash increases by $1.5m to $0.5m + $1.5m = $2m.The total market value of the levered firm after the new cash injection is $1m + $1.75m + x.The new asset beta after the cash injection (ba') can be calculated as follows;ba' = ($2m/($1m + $1.75m + x)) * 0 + (($0.5m + $1.5m)/($1m + $1.75m + x)) * 2 = 4/($1m + $1.75m + x)The levered firm's equity beta after the new cash injection can be calculated as;be' = 1 + (1 - 0.1)x/($1.75m + x)From CAPM;Kd = Rf + βd(Rm - Rf)Kd = 0.03 + 0.1(0.05) = 0.035 = 3.5%WACC = (Kd * D/(D+E)) + (Ke * E/(D+E))Since the firm has no debt before the cash injection, the WACC is equal to the equity required return (Ke)Ke = (WACC - Kd) * (D/E) + KdKe = (0.05 - 0.035) * (0/1) + 0.035 = 0.035 = 3.5%The table below summarizes the changes in the firm's balance sheet;Assets Before AfterCash$0.50m$2.00m Truck$0.50m$0.50m Loan liabilities $0.25m $1.75m Equity funding?$0.75mAsset beta 1.004/($1m + $1.75m + x) = 0.4 Equity beta1.91 + (1 - 0.1)(0.75m)/($1.75m + 0.75m) = 1.1Required return 5% pa8.5% pa Assuming that there are 1 million shares, the total equity funding is equal to the total market value of the levered firm less the total market value of the loan liabilities.Total equity funding = $2m + x - $1.75mTotal equity funding = $0.25m The share price of the firm before the new cash injection is;$P_0 = $1m/1m = $1 per share.The share price of the firm after the new cash injection is;$P' = ($1m + $2m + $0.25m)/1m = $3.25 per share.The increase in share price is;$P' - $P_0 = $3.25 - $1 = $2.25 per share.Therefore, d. $1.50 share price increase assuming that there are 1 million shares is incorrect. The correct increase in share price is $2.25 per share.

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what two things must a listing agent disclose to all parties involved in a real estate transactions?

Answers

A listing agent must disclose any known material defects in the property and any conflicts of interest that may arise during the transaction.

The disclosure of material defects is required by law and includes any issues that could affect the value or desirability of the property. This could include issues with the foundation, roof, plumbing, electrical systems, or any other major components of the home.

In terms of conflicts of interest, the listing agent must disclose any relationships or connections they have with other parties involved in the transaction, such as family members, business partners, or other real estate professionals. This disclosure is important to ensure that all parties are aware of any potential biases or conflicts that could impact the transaction.

Overall, these two disclosures are crucial in ensuring a fair and transparent real estate transaction for all parties involved.

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ICS systems recognize that the manageable span of control is:
6 people.
12 people.
18 people.
24 people.

Answers

The manageable span of control in ICS systems is typically between three to seven individuals, but it can be extended up to 12 to 24 individuals depending on the specific circumstances of the incident. Thus, option B, C, and D are correct.

ICS (Incident Command System) is a management approach used to respond to emergencies or incidents. The system recognizes that the manageable span of control, which is the number of subordinates a supervisor can effectively manage, is typically between three to seven individuals.

However, in certain situations, the span of control can be extended to as many as 12 to 24 individuals. The reason for this is that the manageable span of control depends on various factors, such as the complexity of the incident, the level of training and experience of the personnel involved, and the availability of communication and resources.

Therefore, a larger span of control may be appropriate if the situation is less complex, the personnel are highly trained and experienced, and there are adequate communication and resources available.

In summary, the manageable span of control in ICS systems is typically between three to seven individuals, but it can be extended up to 12 to 24 individuals depending on the specific circumstances of the incident. Therefore, option B, C, and D are correct.

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Which of the following best describes annually renewable term insurance?
a. Neither the premium nor the death benefit is affected by the insured’s age.
b. It provides an annually increasing death benefit.
c. It is level term insurance.
d. It requires proof of insurability at each renewal

Answers

Annually renewable term insurance is best described by it requires proof of insurability at each renewal. The correct option is d.

Annually renewable term insurance is a type of term life insurance that provides coverage for a specific period, typically one year. At the end of each year, the policy is renewed for another year, but the premium and death benefit may change based on the insured's age and health status.

Unlike level term insurance, which provides a fixed death benefit and premium for a specific period, annually renewable term insurance requires proof of insurability at each renewal. This means that the insured must provide evidence of their health and medical history to the insurance company in order to continue coverage for another year.

Some insurance companies may offer guaranteed renewable term insurance, which guarantees the policy can be renewed each year without the need for proof of insurability. However, the premium may increase each year based on the insured's age and other factors.

The correct option is d.

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Final answer:

Annually renewable term insurance is a type of life insurance which typically requires proof of insurability at each renewal and the premiums often increase each year.

Explanation:

The correct answer to your question, 'Which of the following best describes annually renewable term insurance?' is option 'd. It requires proof of insurability at each renewal.'

Annually renewable term insurance is a type of life insurance that provides coverage for one year. Before the policy is renewed for another term, it typically requires proof of insurability. This means that the insured person may have to go through medical underwriting again, ensuring they're still insurable. The premiums for annually renewable term insurance often increase each year, reflecting the increasing risk of death as the insured person ages. In contrast, level term insurance has a fixed premium throughout the term of the policy.

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What is the lowest price a company would want to charge for its product? The cost of the product The amount dictated by intersection of supply and demand curves The amount charged by the lowest priced competitor The amount consumers are willing to pay The average price charged by competitors

Answers

The lowest price a company would want to charge for its product depends on several factors, including the cost of the product, the amount dictated by the intersection of supply and demand curves, the amount charged by the lowest-priced competitor, the amount consumers are willing to pay, and the average price charged by competitors. In order to make a profit, a company must charge more for its product than it costs to produce.

However, the price cannot be set too high or consumers will be unwilling to purchase the product. The intersection of supply and demand curves helps determine the optimal price point. Additionally, companies often consider the prices charged by their competitors in order to stay competitive in the market. Ultimately, the goal is to charge a price that maximizes profit while still being attractive to consumers.

The lowest price a company would want to charge for its product is the amount dictated by the intersection of supply and demand curves. This is because, at this point, the company can cover the cost of the product and maximize its profits. The amount consumers are willing to pay, the amount charged by the lowest-priced competitor, and the average price charged by competitors can also influence the company's pricing decision, but the intersection of supply and demand curves is the primary determinant of the optimal price.

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universal travel, incorporated borrowed $491,000 on november 1, 2024, and signed a twelve-month note bearing interest at 6%. principal and interest are payable in full at maturity on october 31, 2025. what is the amount of interest payable that should be reported by universal travel, incorporated on december 31, 2024? multiple choice $7,365 $4,910 $29,460 $24,550

Answers

Universal Travel, Incorporated borrowed $491,000 on November 1, 2024, and signed a twelve-month note bearing interest at 6%. Principal and interest are payable in full at maturity on October 31, 2025. The amount of interest payable that should be reported by Universal Travel, Incorporated on December 31, 2024, is $4,910.

Universal Travel, Incorporated borrowed $491,000 on November 1, 2024, and signed a twelve-month note bearing interest at 6%. Principal and interest are payable in full at maturity on October 31, 2025. The amount of interest payable that should be reported by Universal Travel, Incorporated on December 31, 2024, is $4,910. The interest expense is calculated as follows:

Interest = Principal × Interest rate × Time

Interest = $491,000 × 6% × (60/360)

Interest = $4,910 (Answer)

The interest rate is 6%, which is the annual interest rate. However, the loan is only for two months (November and December), which is one-sixth of a year, or 60 days. As a result, we must calculate the interest expense for two months by dividing the annual interest rate by six and then multiplying the resulting percentage by the principal amount. A note payable is a liability that is created when a borrower borrows money from a lender and agrees to repay it on a specified date with interest. The amount of money borrowed is referred to as the principal, while the amount of interest paid is determined by the interest rate and the period for which the loan is outstanding until maturity.

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. Money is functioning as "store of value" when you put it aside for future spending.

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Money is a crucial element in our daily lives, and one of its essential functions is as a "store of value."

This function refers to the ability of money to retain its purchasing power over time. When we set aside money for future spending, we are essentially storing its value for later use.

One of the key features of money as a store of value is that it must be relatively stable in its value over time. Otherwise, the value of our savings may decrease significantly, reducing our ability to purchase goods and services in the future. Therefore, governments and central banks work to maintain stable prices and low inflation rates to preserve the value of money as a store of value.

Investing money in savings accounts, bonds, or other financial instruments that provide a fixed rate of return is an effective way to store value. This approach helps protect against inflation and the loss of purchasing power over time. In contrast, keeping cash in a safe or under the mattress may not be the best option, as inflation can erode the value of the money over time.

In summary, money's function as a store of value is essential for individuals and businesses to save for future spending and maintain their financial stability. By utilizing effective methods to store value, we can protect our savings against the impact of inflation and ensure that we have the financial resources we need when we need them.

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on the variable costing income statement, deduction of the variable cost of goods sold from sales yields gross profit. T/F

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True. The variable costing income statement is a financial report that focuses on the variable costs associated with the production and sale of goods. Variable costs are those costs that change based on the level of production or sales, such as direct materials, direct labor, and variable manufacturing overhead.

In a variable costing income statement, the first step is to subtract the variable cost of goods sold (COGS) from the total sales revenue. This calculation results in the gross profit, which is an essential performance metric for businesses. Gross profit is an indication of a company's ability to generate profits from its core operations before considering fixed costs, such as rent or salaries.

By concentrating on variable costs, the variable costing income statement enables businesses to analyze their contribution margin, which is the difference between sales and variable expenses. This information is crucial for decision-making, as it helps managers understand the profitability of specific products or services and assists in identifying areas for cost reduction or improvement.

In conclusion, it is true that on the variable costing income statement, the deduction of the variable cost of goods sold from sales yields the gross profit. This approach provides valuable insights into a company's profitability and performance, allowing for more informed strategic decisions.

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One or more points that fall outside control limits indicates that a process is NOT capable.
True/False

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The given statement, one or more points that fall outside control limits indicates that a process is NOT capable is false, because One or more points that fall outside control limits indicate that a process is out of control and experiencing some form of special cause variation.

This does not necessarily mean that the process is not capable. Capability analysis is a separate process that involves evaluating the inherent variation of a process and comparing it to specified tolerance or specification limits. A process may be out of control and still be capable if the variation is within acceptable limits. Therefore, it is important to distinguish between control and capability in process analysis.

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Which of the following factors would lead a company tomake a component rather than buy it? Select one: A. Other, more profitable uses for production equipment O B. Concerns that the company is too highly invested in fixed assets O C. Attractive deals offered by suppliers D. Greater control over production quality E. All of the above

Answers

The factor that would lead a company to make a component rather than buy it is D. Greater control over production quality. While other factors such as more profitable uses for production equipment, concerns about being too highly invested in fixed assets, and attractive deals offered by suppliers may also come into play, having greater control over production quality is the most important factor for a company to consider when deciding whether to make a component or buy it.


My answer: D. Greater control over production quality

A company may choose to make a component rather than buy it to have greater control over production quality, ensuring that the final product meets its specific standards and requirements.

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In terms of organizational agility, technology refers to the methods, processes, systems, and skills used to
develop strategic alliances.
increase flexible manufacturing.
improve core capabilities.
create quality standards.
transform resources into products.

Answers

In terms of organizational agility, technology plays a crucial role in enhancing a company's ability to adapt to changing market conditions and customer needs.

It refers to the methods, processes, systems, and skills utilized to improve core capabilities, increase flexible manufacturing, develop strategic alliances, create quality standards, and transform resources into products. Improving core capabilities involves investing in technologies that streamline operations, foster innovation, and optimize decision-making. By leveraging these technologies, organizations can better respond to market demands and stay ahead of the competition.

Flexible manufacturing is another aspect of organizational agility that technology enables. By incorporating advanced systems and automation, companies can quickly adapt their production lines to address fluctuations in demand, reduce lead times, and maintain cost efficiency.

Strategic alliances are essential for organizational agility, and technology serves as a key enabler. By utilizing digital communication platforms, data sharing, and collaborative tools, organizations can easily partner with other businesses and institutions to achieve common goals and strengthen their market positions.

Creating quality standards involves the use of technology to monitor and maintain product consistency, ensuring customer satisfaction. Through data analysis, performance measurement, and feedback systems, organizations can continuously improve their processes and achieve excellence.

Finally, technology plays a significant role in transforming resources into products. Advanced manufacturing processes, such as additive manufacturing and robotics, increase efficiency and precision, allowing organizations to produce high-quality products faster and at lower costs.

In conclusion, technology is a vital component in fostering organizational agility. By investing in advanced methods, processes, systems, and skills, companies can improve their core capabilities, increase flexible manufacturing, develop strategic alliances, create quality standards, and transform resources into products, ultimately achieving a competitive advantage in the market.

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the question starts with the economy in long run equilibrium at the natural rate of output. how does the economy change as a result of the action?

Answers

After an initial period of long-run equilibrium, a modification in government regulations grants banks permission to begin charging interest on checking accounts.

The long-run is a theoretical concept in economics in which all markets and prices and quantities have fully adjusted to equilibrium. The long-run appears differently in relation to the short-run, in which there are a few requirements and markets are not completely in balance. In particular, in microeconomics, there are no long-term fixed factors of production, and there is ample time for adjustment so that changing the output level by altering the capital stock or entering or exiting an industry is not constrained.

This is in contrast to the short-term, where some factors restrict entry or exit from an industry and are fixed (paid once) while others are variable (depending on the quantity produced). In macroeconomics, the long-run is the time when the general price level, contractual wage rates, and expectations fully adapt to the economy's state, while the short-run may not.

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Wegmans Food Markets has delivered above average profit margins and has fostered below-average employee turnover rates in comparison to its supermarket industry rivals due to __

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Wegmans Food Markets has achieved above-average profit margins and maintained below-average employee turnover rates compared to its supermarket industry rivals due to its exceptional commitment to employee satisfaction, customer service, and operational efficiency.

Wegmans invests heavily in employee training and development, creating a supportive work environment that fosters loyalty and long-term commitment. This results in a knowledgeable and dedicated workforce, which contributes to a higher level of customer satisfaction.

Additionally, Wegmans' focus on operational efficiency, through continuous improvement and technology adoption, helps maximize profits while providing competitive prices to customers. By prioritizing employee well-being and operational excellence, Wegmans has been able to differentiate itself from competitors and create a sustainable competitive advantage in the supermarket industry.

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FILL IN THE BLANK. __________ is a planning process to guide the design, manufacturing, marketing of products by integrating the voice of customers throughout the organization.
a. Quality fascinating decision
b. Quality function deployment
c. QDF
d. Quality for doing business

Answers

The correct answer is b. Quality function deployment.

Quality function deployment (QFD) is a planning process that aims to guide the design, manufacturing, and marketing of products or services by integrating the voice of the customers throughout the organization. It is a systematic approach that helps companies understand customer needs and preferences and translates them into specific product or service characteristics.

QFD involves the cross-functional collaboration of various teams within an organization, including marketing, design, engineering, and manufacturing. The process begins by gathering customer feedback and understanding their requirements and expectations. This information is then analyzed and translated into specific product characteristics, known as "customer requirements."

The next step in QFD is to prioritize and rank these customer requirements based on their importance and impact on customer satisfaction. This helps organizations identify critical areas that need to be focused on during product development or service improvement.

Once the customer requirements are identified, they are then deployed or translated into specific technical requirements for each functional area within the organization. This ensures that all departments understand and align their efforts to meet the customer expectations.

QFD also involves the development of a "House of Quality," which is a matrix that visually depicts the relationship between customer requirements and technical requirements. It helps in identifying the correlation between different elements and enables organizations to make informed decisions during the product development process.

By implementing QFD, organizations can enhance customer satisfaction, improve product quality, reduce costs, and increase efficiency. It ensures that the entire organization is aligned with customer needs and focuses on delivering products or services that meet or exceed customer expectations.

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Today's forecast equals yesterday's actual demand" is referred as A. a moving average O B. exponential smoothing ° C. the naive approach. O D. the Delphi method

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The naive approach assumes that the future demand for a product will be equal to the demand for the same product in the previous period.

The naive approach is a simple forecasting technique that is widely used in business and economics. It is based on the idea that past demand is a good predictor of future demand, and therefore assumes that the future demand for a product will be the same as the demand for the same product in the previous period. Although this method is easy to use, it can be inaccurate if there are significant changes in the market or external factors that affect demand. Therefore, it is often used as a starting point for more complex forecasting methods that take into account a wider range of factors that can influence demand.

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Final answer:

The naive approach is a simple forecast technique where today's forecast equals yesterday's demand. This is typically used as a basis for more sophisticated forecast techniques, or when data availability or predictability are low.

Explanation:

The approach in which

today's forecast equals yesterday's actual demand

is referred to as the

naive approach

in forecasting. This approach is often used as a starting point for other forecast techniques, or when no other data is available or predictions are highly uncertain. Its simplicity lies in the assumption that the best predictor of what happens tomorrow is what happened today. However, it may not always be accurate, since it doesn't contemplate any change or trends in demand patterns.

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In a _____, typically 12-15 people are brought together to engage in a guided discussion on some topic. A. classroom. B. focus group. C. micro study

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In a b) focus group, typically 12-15 people are brought together to engage in a guided discussion on some topic.

This is a qualitative research method where participants are selected based on certain criteria and are asked to share their opinions, attitudes, and beliefs about a particular product, service, or concept. The group is led by a moderator who asks open-ended questions and encourages participants to express their thoughts and ideas freely. The purpose of a focus group is to gather in-depth information about a particular topic, understand consumer behavior, and gain insights into how people perceive and respond to certain stimuli.

Focus groups are often used by market researchers, product developers, and advertising agencies to test new products or concepts before they are launched. They are also useful for identifying emerging trends and understanding the needs and preferences of target audiences.

Therefore, the correct answer is b) focus group,

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Which of the following stock screens is most likely to identify stocks with high earnings growth rates? Dividend payout ratio greater than 30%. Price to cash flow per share ratio less than 12 Book value to market value ratio less than 25%.

Answers

The stock screen most likely to identify stocks with high earnings growth rates is the dividend payout ratio greater than 30%.

The dividend payout ratio is the percentage of earnings that a company distributes to its shareholders in the form of dividends. A higher dividend payout ratio indicates that a smaller portion of earnings is retained by the company for reinvestment, implying potential slower growth. On the other hand, a lower dividend payout ratio suggests that the company retains a larger portion of earnings, which can be reinvested into the business for growth opportunities. Therefore, if the stock screen focuses on a dividend payout ratio greater than 30%, it implies that companies with lower dividend payouts are being sought.

Since companies with high earnings growth rates tend to reinvest a significant portion of their earnings back into the business, a lower dividend payout ratio can be indicative of such companies. Therefore, the stock screen with a dividend payout ratio greater than 30% is unlikely to identify stocks with high earnings growth rates. The other two stock screens, the price to cash flow per share ratio of less than 12 and the book value to market value ratio of less than 25% do not directly measure earnings growth rates. They are financial ratios used to assess the valuation and relative attractiveness of stocks but do not provide direct insight into earnings growth rates.

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True/False: a foreign affiliate lowers the portfolio risk of its parent company because the foreign and domestic economies tend to be fairly similar.

Answers

False. A foreign affiliate does not necessarily lower the portfolio risk of its parent company just because the foreign and domestic economies tend to be fairly similar.

The presence of a foreign affiliate does not automatically reduce the portfolio risk of its parent company solely based on the similarity between foreign and domestic economies. The relationship between a foreign affiliate and its parent company is complex and influenced by various factors.

While it is true that some level of diversification can potentially reduce portfolio risk, it cannot be assumed that the foreign and domestic economies will always be fairly similar. Economic conditions, regulatory environments, geopolitical factors, and market dynamics can significantly vary between countries. Therefore, the risk associated with investing in a foreign affiliate depends on several factors, including the specific country's economic and political stability, exchange rate fluctuations, cultural differences, and legal and regulatory frameworks.

In some cases, establishing a foreign affiliate may introduce additional risks, such as currency risk, political risk, and operational risks associated with managing a business in a different jurisdiction. Therefore, the impact of a foreign affiliate on the portfolio risk of its parent company cannot be determined solely based on the similarity of foreign and domestic economies.

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a. for =$0.70,$0.60,p=$0.70,$0.60, and $0.50, calculate the total revenue from selling peeps and the marginal revenue per peep.

Answers

The total revenue for selling 100 peeps at $0.70, $0.60, and $0.50 is $70.00, $60.00, and $50.00, respectively. The marginal revenue per peep is $0.70, $0.60, and $0.50 for the respective prices.

The total revenue,  to multiply the price (p) by the quantity (q). So, for the given prices and assuming a quantity of 100 peeps, we have:

p = $0.70, q = 100, revenue = $70.00

p = $0.60, q = 100, revenue = $60.00

p = $0.50, q = 100, revenue = $50.00

To calculate marginal revenue,  to find the change in revenue when the quantity changes by one unit. So, for the same prices as above and assuming a quantity of 100 peeps, we have:

p = $0.70, q = 100, revenue = $70.00, marginal revenue = $0.70

p = $0.60, q = 100, revenue = $60.00, marginal revenue = $0.60

p = $0.50, q = 100, revenue = $50.00, marginal revenue = $0.50

For a price of $0.70:

Let's assume the quantity sold at this price is q1

Total Revenue = Price × Quantity

Total Revenue at $0.70 = $0.70 × q1

Marginal Revenue = Change in Total Revenue / Change in Quantity

Marginal Revenue at $0.70 = ($0.70 × q1) - ($0.70 × (q1 - 1)) = $0.70

For a price of $0.60:

Let's assume the quantity sold at this price is q2.

Total Revenue at $0.60 = $0.60 × q2

Marginal Revenue at $0.60 = ($0.60 ×q2) - ($0.60 × (q2 - q1)) = $0.60 ×(q2 - q1)

For a price of $0.50:

Let's assume the quantity sold at this price is q3.

Total Revenue at $0.50 = $0.50 × q3

Marginal Revenue at $0.50 = ($0.50 × q3) - ($0.50 ×(q3 - q2)) = $0.50 × (q3 - q2)

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Bank issues two loans. Each loan yields a return R with probability p and 0 otherwise. Probabilities of success of individual loans are independently and identically distributed (i.i.d.). The bank finances the loan with equity (k) and debt (d). Debt has a net cost of 0 (bank debtors break-even in expectation). Equity is costly, where 1 unit of bank equity costs c > 1. c) Suppose the bank wants to avoid capital costs and securitizes the two loans. Bank sells the loans individually to risk-averse investors with utility functions U(R) = R1/2. What is the revenue that the = bank would get if it sold 2 loans to two risk-averse investors? d) Bank can pool the two loans and create two securities by splitting equally the claims on the cash flows. What is the maximum price the risk-averse investors would be willing to pay for such a security and would the bank be willing to pool and sell the loans? e) What happens when the bank issues N loans with N->oo and each investor acquires a share of 1/N in the loan portfolio?

Answers

a) Probability of a single loan being successful = p. Probability of failure of a single loan = 1 - p. The expected return of a single loan, E(R), is given by;E(R) = pR + (1 - p)(0)E(R) = pRAlso, the expected return of two independent and identically distributed loans, E(R2), is given by;E(R2) = E(R)E(R2) = pR + pR = 2pRb) The expected return on debt is zero.

Therefore, if the bank finances the loans with debt only, the bank would get zero returns. In other words, the bank would break-even if it finances the loans with debt only.c) Since 1 unit of bank equity costs c > 1, the bank would want to avoid capital costs. Therefore, it decides to securitize the two loans. The bank sells the loans individually to risk-averse investors with utility functions U(R) = R1/2.

The revenue that the bank would get if it sold two loans to two risk-averse investors is given by;Revenue = Price x QuantityFrom part (a), the expected return of a single loan is E(R) = pR. The expected return of two independent and identically distributed loans is E(R2) = 2pR.If the bank sells the loans to two investors, it would sell each loan for its expected value of E(R) = pR.

Therefore, the price that each investor would pay for a single loan is;Price = E(R)1/2Price = (pR)1/2Total revenue that the bank would get if it sold two loans to two investors is;Revenue = 2 x Price x QuantityRevenue = 2(pR)1/2d) To create two securities, the bank would pool the two loans and split the claims on the cash flows equally.

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we expect that a tariff will ___________ the price of good, __________ imports, and _____________ consumers' surplus.

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We expect that a tariff will increase the price of goods, reduce imports, and decrease consumers' surplus.

When a tariff is imposed on imported goods, it adds an additional cost to the imported product, effectively increasing its price. This increase in price is often passed on to consumers, resulting in higher prices for the goods.

The tariff serves as a trade barrier, making imported goods relatively more expensive compared to domestically produced goods. This, in turn, leads to a reduction in imports as consumers may opt for cheaper domestic alternatives or face higher costs when purchasing imported goods.

The decrease in imports and the higher prices also result in a reduction in consumers' surplus, which represents the difference between the maximum price consumers are willing to pay for a good and the actual price they pay. With higher prices and reduced availability of imported goods, consumers have fewer choices and potentially less surplus.

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Which statement is true with respect to discussion among engagement personnel regarding the risk of material misstatement due to fraud?
a. Discussion among engagement personnel regarding the risk of material misstatement due to fraud is recommended but not required.
b. All key members of the audit team should be brought to a single location to facilitate communication.
c. The discussion should occur only during the planning stage of the audit.
d. Audit documentation must include a description of the discussion.

Answers

The statement that is true with respect to the discussion among engagement personnel regarding the risk of material misstatement due to fraud is that audit documentation must include a description of the discussion. (Option A)

As per the auditing standards, the engagement team should have a discussion among themselves regarding the risk of material misstatement due to fraud. The discussion should take place in every audit and should involve all the key members of the audit team. It is a required procedure, and the audit documentation must include a description of the discussion. The purpose of this discussion is to share information about the potential fraud risks and assess the risk of material misstatement due to fraud. The discussion should also address the procedures that are needed to respond to the identified risks and to obtain further evidence about the fraud. The engagement team should document the discussion to provide evidence that the discussion took place and to provide a record of the key issues discussed.

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the shift from mc1 to mc2 could be explained by increased productivity an increase in fixed costs an increase in input costs a decrease in variable costs a decrease in total costs

Answers

The shift from marginal cost curves 1 or MC1 to MC2 could be explained by an increase in input costs. Option B is correct.

The marginal cost curve represents the additional cost of producing one more unit of output. When the MC1 curve shifts to the right and becomes MC2, it indicates an increase in costs. This increase is likely due to higher input costs, such as raw materials or labor, which are necessary for production.

As the input costs rise, the cost of producing each additional unit of output increases, resulting in the shift from MC1 to MC2. The other options, such as increased productivity, an increase in fixed costs, a decrease in variable costs, or a decrease in total costs, would not cause the MC curve to shift in this manner.

Option B holds true.

The complete question:

A graph with price on the vertical axis and quantity on the horizontal axis. There are two marginal cost curves, MC1 and MC2, with MC1 to the left of MC2. The shift from MC1 to MC2 could be explained by

A. increased productivityB. an increase in fixed costsC. an increase in input costsD. a decrease in variable costsE. a decrease in total costs

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Rochester Flour Mills purchased new equipment and made the following expenditures: Purchase price $ 70,000 Sales tax 5,750 Shipment of equipment 950 Insurance on the equipment for the first year 650
Installation of equipment 1,900 Required: Record the expenditures. All expenditures were paid in cash. (If no entry is required for a particular transaction/event, select "No Journal Entry Required" in the first account field.)

Answers

The Equipment account is debited for the total cost of the new equipment, including the purchase price, sales tax, shipment, insurance, and installation. The Cash account is credited for the same amount since all expenditures were paid in cash.

To record the expenditures for Rochester Flour Mills' new equipment, the following journal entry can be made:

Equipment Account Debit:
Purchase Price: $70,000
Sales Tax: $5,750
Shipment: $950
Insurance: $650
Installation: $1,900
Total Debit: $79,250

Cash Account Credit:
Total Debit: $79,250

The Equipment account is debited for the total cost of the new equipment, including the purchase price, sales tax, shipment, insurance, and installation.

The Cash account is credited for the same amount since all expenditures were paid in cash.


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