onisim wants to use display advertising to reengage shoppers that viewed their product detail page, but did not purchase. which audience would be best for helping onisim achieve this goal?

Answers

Answer 1

Each audience has its own unique advantages and disadvantages. Onisim should consider their budget, goals, and audience behavior when deciding which audience to target with their display advertising. By carefully targeting their ads to the right audience, Onisim can increase their chances of re-engaging shoppers and driving more sales.

One audience that Onisim could target with their display advertising is people who have already made a purchase from their website. This audience is already familiar with Onisim's products and has demonstrated an interest in their brand by making a purchase. By targeting these customers with display ads, Onisim can encourage repeat purchases and increase customer loyalty.

Another audience that could be targeted is people who have abandoned their shopping cart on Onisim's website. These shoppers have already shown a strong intent to purchase but may have been distracted or had second thoughts. By targeting these shoppers with display ads, Onisim can remind them of the products they were interested in and encourage them to complete their purchase.

Finally, Onisim could target people who have viewed their product detail page but did not make a purchase. This audience has shown an interest in Onisim's products but may need a little more persuasion to make a purchase. By targeting these shoppers with display ads, Onisim can provide additional information about the product and offer incentives, such as a discount or free shipping, to encourage them to make a purchase.

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Related Questions

An asset was purchased for $100,000. It's estimated residual value is $20,000. The company uses the MACRs method (7 year useful life) for financial reporting reasons. It intends to leave the asset in service for 7 years. What is the difference (to the nearest dollar) in the book value in the third year using both methods (straight line and double declining balance)? HINT: Solve for both SL and DB in the third year. $14,439 O $36,000 $12.600 $21.984

Answers

The difference in the book value in the third year using the straight line method and the double declining balance method is $14,439.

The straight line method is the simplest of depreciation methods and is calculated by dividing the cost of the asset, minus its residual value, by its useful life. In this case, the asset was purchased for $100,000 and has an estimated residual value of $20,000 and a useful life of 7 years.

The book value in the third year is calculated by subtracting the depreciation expense for the first three years from the initial cost of the asset. The double declining balance method is a more aggressive depreciation method that accelerates depreciation by double the straight-line rate of depreciation.

It is calculated by multiplying the straight line depreciation rate by two and multiplying that by the book value at the beginning of the current year. In this case, the book value in the third year is calculated by subtracting the depreciation expense for the first three years from the book value at the beginning of the third year.

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Help with following please
Help with following please. will upvote
The Valuation Principle states that the value of a stock is equal to the present value (PV) of both the dividends and future sale price of that stock which the investor will receive. ОО True O False

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The statement about the Valuation Principle is correct.

The Valuation Principle states that the value of a stock is equal to the present value (PV) of both the dividends and future sale price of that stock which the investor will receive.

So the answer is:

True

The key ideas of the Valuation Principle are:

1. The value of a stock depends on the future cash flows it is expected to generate. This includes dividends and the proceeds from selling the stock.

2. These future cash flows need to be discounted back to the present using an appropriate discount rate. This gives the present value of the future cash flows.

3. The sum of the present values of dividends and selling price equals the price of the stock.

Sodividends, potential capital gains, and the timing of these cash flows all determine a stock's value according to the Valuation Principle.

Let me know if you need more details or have any other questions!

a corporate-level strategy is a plan of action that involves choosing in which industries and countries a company should invest its resources to achieve its:

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A corporate-level strategy is a plan of action that involves choosing in which industries and countries a company should invest its resources to achieve its long-term goals and objectives, maximize profitability, and create sustainable competitive advantage.

Corporate-level strategy is a strategic management approach that focuses on the overall direction and scope of a company. It involves making decisions about which industries or markets a company should enter, exit, or expand into, and allocating resources accordingly.

The goal of corporate-level strategy is to achieve long-term success and competitive advantage for the company as a whole.

This may involve decisions such as diversification into new industries or markets, expansion into different geographic regions or countries, strategic alliances or partnerships, mergers or acquisitions, and resource allocation to different business units or divisions.

The ultimate aim of corporate-level strategy is to align the company's resources, capabilities, and competitive positioning with its overall business objectives in order to create value for shareholders and stakeholders.

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Question 8 What is the monthly earnings credit? Assume the following: Ledger Balance = $500,000 Deposit Float = $ 87972 Eamings Credit Rate = 0.50% Days in Month= 30 days Reserve Requirement Ratio = 10%

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The monthly earnings credit is the amount of money a bank credits to a customer's account as compensation for the customer's deposits. It is calculated based on the average daily balance in the account and the earnings credit rate (ECR) set by the bank is $24.53.

To calculate the monthly earnings credit for this scenario, we need to take into account several factors:

1. Ledger balance: The ledger balance is the actual balance in the account, including all deposits and withdrawals. In this case, it is $500,000.

2. Deposit float: The deposit float is the amount of funds in the account that have been deposited but are not yet available for use. In this case, it is $87,972.

3. Average daily balance: To calculate the average daily balance, we need to take the ledger balance and add any deposits that have not yet cleared (i.e., the deposit float), and then divide by the number of days in the month.

In this case, the average daily balance is:

[tex]($500,000 + $87,972) / 30[/tex]

= $19,266.40

4. Earnings credit rate: The earnings credit rate is the rate set by the bank for calculating the monthly earnings credit. In this case, it is 0.50%.

5. Reserve requirement ratio: The reserve requirement ratio is the percentage of deposits that a bank is required to hold in reserve. In this case, it is 10%.

Now, we can calculate the monthly earnings credit using the following formula:

Monthly earnings credit = (average daily balance x ECR x days in month) - (average daily balance x reserve requirement ratio x days in month / 365)

Substituting the values we have, we get:

[tex]Monthly earnings credit = ($19,266.40 * 0.005 * 30) - ($19,266.40 * 0.10 *30 / 365)[/tex]

                                       = $24.53

Therefore, the monthly earnings credit in this scenario is $24.53.

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Moving along the aggregate production function shows the relationship between ________,
holding all else constant.
A) capital input and real GDP
B) labor input and real GDP
C) labor input, capital input and real GDP
D) technology and real GDP

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Moving along the aggregate production function shows the relationship between labor input, capital input, and real GDP, holding all else constant. The correct answer is C.

The aggregate production function is an economic concept that describes the relationship between the inputs used in production (such as labor and capital) and the output produced (real GDP).

When we move along the aggregate production function, we are examining how changes in labor input and capital input affect real GDP, while keeping all other factors, such as technology, constant.

This helps us understand the contributions of labor and capital to economic growth and how they interact to produce goods and services in an economy.

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Insuring While Away at College Kate's son, Hubert, is a college student ving in an off-campus apartment where he resides year round. He owns an expensive computer and wants to make sure the full value is insured. Which of the following statements regarding Hubert's Insurance needs are true? Check all that apply.a. Hubert should purchase an HC-2 broad form insurance polley because he is not covered under his parents' policy b. If he purchases an H0-4 polley, he can choose the value of the property he wishes to insure c. His computer is covered under his parents' policy Insuring a Condominium Kate's parents own a condominium that they fully insured for the replacement value of $120,000. Last year a portion of their roof collapsed due to the weight of snow after a severe storm. rendering the condo uninhabitable for the month that it took to complete repairs. Based on the coverago details of their condominium form ______ Insurance policy, the additional living expenses they incur as a result of the damage (such as the cost of staying in a hotel during the repairs)_____.

Answers

a. Hubert should purchase an policy because he is not covered under his parents' policy.

c. His computer may not be covered under his parents' policy, so he should consider purchasing additional coverage through an policy.

starting from long-run equilibrium, if the velocity of money increases (due to, for example, the invention of automatic teller machines), the fed might be able to stabilize output by:

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Increasing the money supply to offset the increased velocity of money and maintain price stability.

Increased money velocity indicates that more transactions are being made with the same quantity of money, which might result in inflation. The Federal Reserve might raise the money supply by acquiring government assets on the open market, thereby infusing more money into the economy, to stabilise output and preserve price stability.

The rise in aggregate demand that would result from this might counteract any inflationary impact that the faster money velocity could otherwise have. Expanding the money supply is the goal of this strategy, which is sometimes referred to as expansionary monetary policy.

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a country has a net capital outflow of $200 billion and domestic investment of $150 billion. what is the quantity of loanable funds demanded?

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The quantity of loanable funds demanded in the country is $350 billion.

The quantity of loanable funds demanded is equal to domestic investment plus net capital outflow. In this case, domestic investment is $150 billion and net capital outflow is -$200 billion (since it represents a capital outflow from the country). Therefore, the quantity of loanable funds demanded is:

Loanable funds demanded = $150 billion + (-$200 billion) = $350 billion.

Note that the negative sign in front of net capital outflow indicates that there is a capital outflow from the country, meaning that more funds are leaving the country than are coming in. This results in a reduction in the supply of loanable funds in the country, which can lead to an increase in the interest rate.

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7. should the rate of return of a call option on a long-term treasury bond be more or less sensitive to changes in interest rates than the rate of return of the underlying bond?

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In contrast to the rate of return of the underlying bond, the rate of return of a call option on a long-term government bond ought should be more sensitive to changes in interest rates. Because of variables like time to expiration, volatility, and strike price, options have higher volatility than their underlying assets.

These elements may magnify the effect of interest rate changes on the price of the option, having a greater impact on its rate of return than the underlying bond. Investors who own call options on long-term government bonds ought to be aware that their sensitivity to interest rate fluctuations will be higher than that of holders of the underlying bonds.

In conclusion, because of the option's sensitivity to volatility, time before expiration, and strike price, the rate of return of a call option on a long-term treasury bond is typically more sensitive to changes in interest rates than the rate of return of the underlying bond.

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Choose a publicly traded company to research for the term. By law, publicly traded companies must file financial reports with the Securities and Exchange Commission (SEC) and these are readily available to us. Using the NSU Library site, use the link to the Edgar site to research the company you have selected (if you can’t find info on the company, there is a good chance that it isn’t publicly traded and you will need to choose another). We are looking specifically for the company’s financial performance information. In the SEC filings, pay particular attention to the Annual Report (10-K) and Quarterly Reports (10-Q). These documents are pro-forma and relatively boring to read. Morningstar , Mergent, and Value Line summaries and analyses are focused on information current and prospective investors want to know. Compare the numbers and narratives in the last 10K with the Morningstar , Mergent, and Value Line reports.
What are some interesting insights about the company (Apple) that you can glean from each of the reports?
Does the financial outlook look good for future performance?
What are some of the major risks the company is (or should be) concerned about?
What are some features of the Morningstar, Mergent, and Value Line analyses you found interesting and useful?

Answers

Interesting features of Morningstar, Mergent, and Value Line analyses include their graphical presentations, expert opinions, and easy-to-understand summaries, which help investors make informed decisions.

To research Apple Inc., a publicly traded company, you can access their financial performance information through SEC filings like the Annual Report (10-K) and Quarterly Reports (10-Q), and by analyzing Morningstar, Mergent, and Value Line reports.

Comparing these sources will provide interesting insights on the company's financial outlook, major risks, and useful features of each analysis.

From the 10-K and 10-Q, you can gather data on revenues, expenses, and net income. Morningstar, Mergent, and Value Line provide a more investor-focused perspective, highlighting trends, projections, and risks. Apple's financial outlook appears promising with strong revenue growth and a solid product lineup.

However, major risks include intense competition, supply chain disruptions, and potential regulatory issues.

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Questions on Games and Strategic Behavior a. The following payoff matrix shows the payoffs (in millions of dollars) for two firms, A and B, for two different strategies, investing in new capital or not investing in new capital.
Firm B
Invest Not Invest 20 for A 70 for A
Invest 20 for B 5 for B Not Invest 5 Fot A 50 For B
70 for A 50 for B
Does Firm A have a dominant strategy? What about Firm B? Is this a prisoner's dilemma? Explain. (10 points)

Answers

Firm A does not have a dominant strategy as its payoff is dependent on the strategy chosen by Firm B. If Firm B invests, Firm A's best option is to invest as well, with a payoff of 70 million dollars. However, if Firm B does not invest, Firm A's best option is not to invest, with a payoff of 50 million dollars.

Similarly, Firm B does not have a dominant strategy as its payoff is also dependent on the strategy chosen by Firm A. If Firm A invests, Firm B's best option is to invest as well, with a payoff of 20 million dollars.

However, if Firm A does not invest, Firm B's best option is not to invest, with a payoff of 50 million dollars. This is a prisoner's dilemma as both firms have the incentive to choose a strategy that maximizes their individual payoff, but if they both choose to invest, they both end up worse off than if they both choose not to invest.

Therefore, the rational strategy for both firms is not to invest, but this results in a sub-optimal outcome for both firms.

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You find PBB Corp's 3.3% bonds at a price quote of ($)97.6 on the finra.org website. The bond pays semiannually and matures 6 months from now. The bond's YTM is _%. You may round your final answer to 4 decimal places. Example: if your answer is . 12345 or 12.3 %, you should enter 12.35. Margin of error for correct responses: +/- .02

Answers

The bond has a YTM of 1.68%.

To find the bond's YTM, we need to solve for the interest rate that equates the present value of the bond's cash flows to its current market price.

First, let's calculate the bond's cash flows:

The bond pays semiannually, so there will be two coupon payments of 3.3%/2 = 1.65% of face value over the next 6 months.

At maturity, the bond will pay back its face value of $100.

Using a financial calculator or spreadsheet software, we can solve for the bond's YTM:

N = 1 (since the bond matures in 6 months and pays semiannually)

PMT = 1.65 (coupon payment per period)

FV = 100 (face value)

PV = -97.6 (current market price)

Solve for I/Y = YTM

The calculated YTM is 1.6814%, which can be round to 1.68%.

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classify the following items using the abc inventory classification approach. which items should be monitored most closely, and which one should have the least amount of safety stock?

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Yes, Item A should be monitored most closely as it has a high unit cost, and Item C should have the least amount of safety stock as it has a low unit cost and high demand frequency.

Using the ABC inventory classification approach, Item A should be monitored most closely as it has a high unit cost, and Item C should have the least amount of safety stock as it has a low unit cost and high demand frequency. Item B falls in the moderate category and should be monitored accordingly.

The ABC inventory classification approach is a widely used technique in inventory management that helps categorize items based on their relative value to the organization. Items are classified as A, B, or C based on their unit cost and demand frequency. A items have the highest unit cost and lowest demand frequency, while C items have the lowest unit cost and highest demand frequency.

By applying the ABC classification approach to the items listed above, it is evident that Item A requires close monitoring as it constitutes a significant investment for the organization, and a stockout of this item can result in significant financial losses.

In contrast, Item C has a low unit cost and high demand frequency, indicating that it is a low-value item and can be managed with a minimal amount of safety stock to avoid stockouts.

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The complete question is :

Can you apply the ABC inventory classification approach to the following items and determine which items should be monitored most closely and which one should have the least amount of safety stock?

Item A: High unit cost, low demand frequency

Item B: Moderate unit cost, moderate demand frequency

Item C: Low unit cost, high demand frequency

Explain interest rates. What are they? Why are there so many interest rates quoted in the financial world? What are the reasons for an investor to understand the direction of interest rates (forward rates)?

Answers

Interest rates are an essential factor in the financial world, and understanding their direction, including forward rates, can significantly impact an investor's decision-making process and overall financial success.

Interest rates are the cost of borrowing money or the return earned on an investment. They are expressed as a percentage of the principal amount, usually on an annual basis.

Investors need to understand the direction of interest rates, including forward rates, for several reasons:

1. Investment decisions: Knowing the direction of interest rates can help investors decide whether to invest in fixed-income securities (such as bonds) or equities, as well as whether to invest in short-term or long-term instruments.

2. Borrowing decisions: Understanding interest rate trends can help borrowers make informed decisions about when to take out a loan, as well as whether to choose a fixed or variable interest rate for their loans.

3. Portfolio management: Monitoring interest rates allows investors to manage their investment portfolios effectively, as changes in interest rates can impact the value of existing investments, particularly fixed-income securities.

4. Risk management: Understanding the direction of interest rates helps investors assess the potential risks associated with their investments and make appropriate adjustments to mitigate those risks.

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the income tax requires that taxpayers pay 10percent on the first $40,000 of income and 20 percent on all income over $40,000. karen paid $6,000 in taxes. what were her marginal and average tax rates?

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To find Karen's marginal tax rate and Average tax rate, we need to first determine her total income.

Given that taxpayers pay 10% on the first $40,000 of income and 20% on all income over $40,000, and Karen paid $6,000 in taxes, we can set up the following equations:

1. If Karen's income is less than or equal to $40,000:
Income * 10% = $6,000
Income = $60,000

2. If Karen's income is greater than $40,000:
$40,000 * 10% + (Income - $40,000) * 20% = $6,000

Solving equation 1, we find that Karen's income is indeed less than or equal to $40,000:

$60,000 * 10% = $6,000

Now, we can calculate her marginal and average tax rates:

Marginal tax rate: Since Karen's income is within the first tax bracket ($0 - $40,000), her marginal tax rate is 10%.

Average tax rate: The average tax rate is calculated by dividing the total taxes paid by the total income. In this case:

Average tax rate = ($6,000) / ($60,000) = 0.1 = 10%

So, Karen's marginal tax rate is 10% and her average tax rate is also 10%.

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in the context of creating a marketing plan, a new firm's marketing efforts need to focus on

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In the context of creating a marketing plan, a new firm's marketing efforts need to focus on:

1. Identifying target audience: Determine the demographics, interests, and preferences of the customers the firm wants to attract. This helps in tailoring the marketing strategy to cater to their needs.

2. Establishing clear objectives: Define the goals of the marketing plan, such as increasing brand awareness, generating leads, or boosting sales. These objectives should be Specific, Measurable, Achievable, Relevant, and Time-bound (SMART).

3. Analyzing the competition: Research competitors in the market to understand their strengths, weaknesses, and strategies. This helps in identifying gaps and opportunities to stand out.

4. Developing a Unique Selling Proposition (USP): Highlight the unique features or benefits of the product or service that differentiate it from competitors, making it more appealing to the target audience.

5. Selecting marketing channels: Choose the appropriate marketing channels, such as social media, email marketing, or content marketing, to reach the target audience effectively.

6. Creating a budget: Allocate resources and set a budget for the marketing plan, ensuring a balance between different marketing activities and channels.

7. Implementing the marketing plan: Execute the marketing strategies and tactics outlined in the plan.

8. Monitoring and evaluating: Track the performance of the marketing plan using Key Performance Indicators (KPIs) and make adjustments as needed to achieve the objectives.

In summary, a new firm's marketing efforts should focus on identifying their target audience, setting clear objectives, analyzing the competition, developing a USP, selecting marketing channels, creating a budget, implementing the plan, and monitoring and evaluating its performance.

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originally processing plants were in the cities and drovers had to drive the pigs to the plants true or false

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True. Originally, processing plants were located in the cities where the demand for meat was the highest. Drovers, who were responsible for herding and driving livestock, had to transport the pigs from the farms to the processing plants in the cities.

This was a difficult and time-consuming process, as the pigs had to be kept healthy and safe during the journey. Drovers had to navigate through various terrains and weather conditions, and they had to ensure that the pigs were fed, watered, and rested along the way.
As the demand for meat increased and the transportation infrastructure improved, processing plants began to move out of the cities and closer to the farms. This reduced the need for drovers to transport the pigs long distances, and it also made the meat processing industry more efficient and cost-effective. Today, many processing plants are located in rural areas, close to the farms where the animals are raised. This reduces the transportation time and cost, and it also ensures that the animals are processed and packaged quickly, ensuring the freshness and quality of the meat.
In conclusion, originally processing plants were located in the cities and drovers had to drive the pigs to the plants. However, with the growth of the meat processing industry and improvements in transportation infrastructure, processing plants have moved closer to the farms, making the process more efficient and cost-effective.

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True. Originally, processing plants were located in the cities and drovers had to drive the pigs to the plants.It is true that originally processing plants were located in cities and drovers had to drive livestock, including pigs, to the plants.

This was the case in the early days of the meatpacking industry in the United States, which began in the mid-19th century. At that time, transportation of livestock to processing plants was primarily done on foot or by rail, and the plants were located near urban centers where there was a large demand for meat products. However, over time, advances in transportation and refrigeration technology allowed processing plants to be located farther from cities and closer to the source of livestock, leading to the development of regional meatpacking centers.

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P12-10 Calculating Real Returns and Risk Premiums [LO1] You've observed the following returns on Crash-n-Burn Computer's stock over the past five years: 4 percent. -8 percent, 29 percent, 14 percent, and 14 percent. The average inflation rate over this period was 3.6 percent and the average T-bill rate was 5.65 percent.What was the average real return on the company's stock? [First find average of the nominal returns and use Fisher's equation to find average real return] ______What was the average nominal risk premium on the company's stock?______

Answers

The average nominal risk premium on the company's stock over the past five years was 4.95%.

How to calculate the average real return and average nominal risk premium of Crash-n-Burn Computer's stock?

To calculate the average real return and average nominal risk premium of Crash-n-Burn Computer's stock over a five-year period given the nominal returns, inflation rate, and T-bill rate.

The average of the nominal returns is:

(4 - 8 + 29 + 14 + 14) / 5 = 10.6%

Using Fisher's equation, the average real return can be calculated as:

(1 + 0.106) = (1 + r_real) x (1 + 0.036)

r_real = (1 + 0.106) / (1 + 0.036) - 1 = 6.40%

Therefore, the average real return on the company's stock over the past five years was 6.40%.

The average nominal risk premium can be calculated as the difference between the average nominal return and the average T-bill rate:

Average nominal risk premium = Average nominal return - Average T-bill rate

= 10.6% - 5.65%

= 4.95%

Therefore, the average nominal risk premium on the company's stock over the past five years was 4.95%.

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the reasons behind the accelerating pace of globalization include:select one:a.lower barriers to international tradeb.countries with previously planned economies are embracing market or mixed economiesc.transportation and information technology shrinks the importance of geographic distancesd.all of these

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A. "Lower barriers to international trade", B. "countries with previously planned economies are embracing market or mixed economies", and C. "transportation and information technology shrinks the importance of geographic distances" are reasons behind the accelerating pace of globalization.

Lower barriers to international trade, the adoption of market or mixed economies by previously planned economies, and the development of transportation and information technology have all contributed to the increasing interconnectedness of economies and cultures around the world. These factors have made it easier for businesses to operate globally, for goods and services to be traded across borders, and for people to communicate and share ideas regardless of their physical location. As a result, the pace of globalization has accelerated in recent decades.

The correct answers are options B and C.

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7. Discuss two important economic behaviors of a monopoly, which are different from economic behaviors of firms in a competitive market 8. What is the consequence when a firm exercises its monopoly po

Answers

The consequences of monopoly power can negatively impact both consumers and overall economic welfare.


1. Price-setting ability: Unlike firms in a competitive market, a monopoly has the power to set its own price for goods or services. In a competitive market, firms must accept the market-determined price, whereas a monopolist can adjust the price to maximize its profits. This is due to the lack of competition, as a monopolist is the sole provider of a particular product or service.

2. Output restriction: A monopolist may intentionally restrict the output of goods or services to maintain a higher price. In a competitive market, firms cannot restrict output without losing market share, as consumers can easily switch to competitors' products. However, a monopoly can restrict output without the risk of losing customers, allowing it to maintain a higher price and earn greater profits.

Consequence of monopoly power: When a firm exercises its monopoly power, it often leads to allocative inefficiency, which is a misallocation of resources. Monopolies tend to produce less output and charge higher prices compared to competitive markets. As a result, consumer surplus decreases, and deadweight loss occurs. Additionally, monopolies may also invest less in innovation and improvements, since they face less competitive pressure to do so.

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Can someone please help?? 15 POINTS!

Answers

Answer:

mps mean extra dollars of household saved and mpc means extra dollars of household money that is consumed

A company finances its operations with 50% debt and 50% equity. Its net income is I=RM30 million and it has a dividend payout ratio of x=20%. Its capital budget is B=RM40 million this year. The interest rate on company's debt is and the company's tax rate is T = 40%. The company's common stock trades at = RM66 per share, and its current dividend of = RM4 per share is expected to grow at a constant rate of g=10% a year. The flotation cost of external equity, if issued, is F=5% of the Malaysian Ringgit (MYR) amount issued. Required: a. Calculate the following: i. Will the company have to issue external equity? What is the company's Weighted Average Cost of Capital? (5) ii. (10) b. Briefly explain TWO (2) problems with cost of capital estimates. (5) (Total: 20)

Answers

Based on the given information, the company's Weighted Average Cost of Capital (WACC) can be calculated. Two problems with the cost of capital estimates include the assumption of constant capital structure.

And the reliance on historical data for estimates. The actual capital structure may fluctuate, and historical data may not accurately reflect future market conditions. Since the company finances its operations with 50% debt and 50% equity, the cost of debt and the cost of equity must be weighted accordingly. The cost of debt is not given, so it must be assumed or estimated. Assuming a cost of debt of 6%, the Weighted Average Cost of Capital can be calculated to be 10.5%.

To determine whether the company will have to issue external equity, the retained earnings available for the capital budget must be calculated. With a net income of RM30 million and a dividend payout ratio of 20%, the company retains RM24 million. Since the capital budget is RM40 million, external equity will be needed to cover the shortfall of RM16 million.

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Suppose the market risk premium is 5.8% and also that the standard deviation of returns on the market portfolio is 0.26. Further assume that the correlation between the returns on ABX (Barrick Gold) stock and returns on the market portfolio is 0.7, while the standard deviation of returns on ABX stock is 0.35. Finally assume that the risk-free rate is 2.1 %. Under the CAPM, what is the expected return on ABX stock? (write this number as a decimal and not as a percentage, e.g. 0.11 not 11%. Round your answer to three decimal places. For example 1.23450 or 1.23463 will be rounded to 1.235 while 1.23448 will be rounded to 1.234)

Answers

The expected return on ABX stock using the CAPM is 0.085.

The CAPM formula is:

E(Ri) = Rf + βi (E (RM) - Rf)

Where:

E(Ri) is the expected return of the stock

Rf is the risk-free rate

βi is the beta of the stock

E(RM) is the expected return of the market

Given the market risk premium of 5.8%, the risk-free rate of 2.1%, the standard deviation of returns on the market portfolio of 0.26, the correlation between the returns on ABX and returns on the market portfolio of 0.7, and the standard deviation of returns on ABX stock of 0.35, the expected return of ABX stock can be calculated as follows:

E(Ri) = 2.1% + 0.7 (5.8% - 2.1%) = 0.085

Therefore, the expected return on ABX stock using the CAPM is 0.085.

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ryanbay, incorporated had net income of $900,000 based on variable costing. beginning and ending inventories were 55,000 units and 52,000 units, respectively. assume the fixed overhead per unit was $1.25 for both the beginning and ending inventory. what is net income under absorption costing?

Answers

To calculate net income under absorption costing, we need to include fixed overhead costs in the cost of goods sold.

First, let's calculate the fixed overhead cost per unit:

Fixed overhead cost per unit = Total fixed overhead cost / Total number of units produced

Since the same fixed overhead cost was incurred for both beginning and ending inventory, we can use the average inventory level:

Average inventory = (Beginning inventory + Ending inventory) / 2

= (55,000 + 52,000) / 2

= 53,500 units

Fixed overhead cost per unit = $1.25

Next, we can calculate the cost of goods sold under absorption costing:

Cost of goods sold = Beginning inventory + Cost of goods manufactured - Ending inventory

The cost of goods manufactured includes variable manufacturing costs and fixed manufacturing costs:

Variable manufacturing cost per unit = Total variable manufacturing cost / Total number of units produced

= Cost of goods sold / Total number of units sold

= $900,000 / (55,000 - 52,000)

= $300,000

Fixed manufacturing cost per unit = Fixed overhead cost per unit

= $1.25

Cost of goods manufactured per unit = Variable manufacturing cost per unit + Fixed manufacturing cost per unit

= $300,000 / 3,000 + $1.25

= $101.25

Cost of goods sold = 55,000 x $101.25 + ($900,000 - $300,000) = $6,038,750

Finally, we can calculate net income under absorption costing:

Revenue - Cost of goods sold = $900,000 - $6,038,750 = -$5,138,750

The negative net income indicates that the company incurred a loss under absorption costing. This is because absorption costing includes fixed overhead costs in the cost of goods sold, which can result in higher costs and lower profits compared to variable costing, especially if inventory levels fluctuate.

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54.0% complete question marge has been dollar cost averaging in a mutual fund by investing $2,000 at the beginning of every quarter for the past 7 years. she has been earning an average annual compound return of 11% compounded quarterly on this investment. how much is the fund worth today?

Answers

To calculate the current value of Marge's mutual fund investment, we can use the formula for compound interest: [tex]A=P*(1+r/n)^(n*t)[/tex].

After calculation, the current value of Marge's mutual fund investment is approximately $4,469.70.

A mutual fund is a type of investment vehicle that pools money from multiple investors to invest in a diversified portfolio of securities, such as stocks, bonds, or other assets. It is managed by a professional fund manager or a team of managers who make investment decisions on behalf of the investors.

Mutual fund shares are generally redeemable on any business day, allowing investors to buy or sell their shares at the fund's net asset value (NAV) at the end of the trading day.

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If a company is tracking and reporting their Return on Equity, which category of performance are they measuring in their balanced scorecard?Group of answer choicesCustomerLearning and GrowthFinancialInternal Process

Answers

If a company is tracking and reporting its Return on Equity (ROE), they are measuring the financial performance category in its balanced scorecard.

The balanced scorecard is a strategic management tool that helps organizations measure and track their performance across four different perspectives: financial, customer, internal processes, and learning and growth.

ROE is a financial metric that measures the profitability of a company by calculating how much profit it generates with the money invested by its shareholders. It is an important financial indicator that shows how efficiently a company is using its resources to generate profit.

Other financial metrics that could be used to measure financial performance in a balanced scorecard include net profit margin, revenue growth rate, and cash flow.

The customer perspective of the balanced scorecard focuses on measuring customer satisfaction and loyalty, while the internal process perspective measures the efficiency and effectiveness of the company's operations. The learning and growth perspective focuses on the company's ability to innovate, learn, and grow in order to sustain long-term success.

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If a company is tracking and reporting its Return on Equity (ROE), they are measuring the financial performance category in its balanced scorecard. The balanced scorecard is a strategic management.

tool that helps organizations measure and track their performance across four different perspectives: financial, customer, internal processes, and learning and growth. ROE is a financial metric that measures the profitability of a company by calculating how much profit it generates with the money invested by its shareholders. It is an important financial indicator that shows how efficiently a company is using its resources to generate profit. Other financial metrics that could be used to measure financial performance in a balanced scorecard include net profit margin, revenue growth rate, and cash flow. The customer perspective of the balanced scorecard focuses on measuring customer satisfaction and loyalty, while the internal process perspective measures the efficiency and effectiveness of the company's operations.

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a tax of $4.50 is levied on the seller of the item below. the equilibrium price before the tax. $ the price that buyers effectively pay after the tax. $ the price that sellers effectively receive after the tax. $ the incidence of the tax on buyers is . $ the incidence of the tax on sellers is. $

Answers

When a tax is levied on the seller of an item, it affects both buyers and sellers by altering the prices they pay and receive. The incidence of the tax is shared between buyers and sellers, depending on the elasticity of the market.

The equilibrium price before the tax is the price at which the quantity demanded by buyers equals the quantity supplied by sellers. After the tax is imposed, the price buyers effectively pay will increase, while the price sellers receive will decrease.



The actual amount of the increase and decrease depends on the elasticity of supply and demand in the market. The incidence of the tax on buyers refers to the portion of the tax that buyers bear through the increased price they pay. Similarly, the incidence of the tax on sellers refers to the portion of the tax that sellers bear through the decreased price they receive.



To determine the specific prices and incidence of the tax on buyers and sellers, we would need additional information on the market's supply and demand functions. However, it is important to note that the total tax burden is shared between buyers and sellers, depending on the relative elasticity of supply and demand. In general, the more elastic side of the market will bear a smaller portion of the tax burden, as they can more easily adjust their behavior in response to the tax.


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assume the same facts as question (b), except that angels corporation reported $166,000 of taxable business income for the year. what is mason's deduction for qualified business income? ignore the wage-based limitation when computing the deduction

Answers

James Green's deduction for qualified business income would be 20% of the lesser of his taxable income or his share of Angels Corporation's taxable business income.

If you're talking about James Green's qualifying business income deduction and not "Mason," the deduction would be based on the current tax regulations in effect at the time of filing.

However, assuming that the tax rules of 2021 will be in effect, James Green's deduction for qualifying business income will be equal to 20% of the smaller of his share of the taxable business income of the Angels Corporation ($166,000) or his taxable income for the year. James Green would deduct $20,000 from his eligible business income if his taxable income for the year was $100,000.

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Systems may automatically produce customer invoices, but billings will be incorrect if the ____ _____master file is incorrect

Answers

Systems may automatically produce customer invoices, but billings will be incorrect if the billing master file is incorrect.

The billing master file is a critical component of accurate invoicing and billing processes, as it contains the customer's billing information, such as their billing address, payment terms, and pricing agreements. Any errors or inaccuracies in the billing master file can lead to incorrect billings, which can result in delays in payment and even damage to the customer relationship. Therefore, it is important to regularly review and update the billing master file to ensure that all customer billing information is accurate and up-to-date.

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You bought a stock one year ago for $49.62 per share and sold it today for $56.11 per share. It paid a $1.77 per share dividend today.
a. What was your realized return? b. How much of the return came from dividend yield and how much came from capital gain?

Answers

The realized return is 17.92% and the dividend yield contributed 3.57% to the total return, while the capital gain yield contributed 11.77%.

a. To calculate the realized return, we need to use the following formula:

Realized Return = (Ending Price + Dividends - Beginning Price) / Beginning Price

Substituting the values given in the question:

Beginning Price = $49.62 per share

Ending Price = $56.11 per share

Dividends = $1.77 per share

Realized Return = ($56.11 + $1.77 - $49.62) / $49.62

Realized Return = 0.1792 or 17.92%

Therefore, the realized return is 17.92%.

b. To calculate the portion of the return that came from dividend yield and capital gain, we can use the following formulas:

Dividend Yield = Dividends / Beginning Price

Capital Gain Yield = (Ending Price - Beginning Price - Dividends) / Beginning Price

Substituting the values given in the question:

Beginning Price = $49.62 per share

Ending Price = $56.11 per share

Dividends = $1.77 per share

Dividend Yield = $1.77 / $49.62

Dividend Yield = 0.0357 or 3.57%

Capital Gain Yield = ($56.11 - $49.62 - $1.77) / $49.62

Capital Gain Yield = 0.1177 or 11.77%

Therefore, the dividend yield contributed 3.57% to the total return, while the capital gain yield contributed 11.77%.

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