he present value of the terminal value is called the: question 13 options: a) reversion value b) going-concern value c) horizon value d) terminal value

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Answer 1

The terminal value refers to the present value of the expected cash flows from a business or investment beyond a specified period of time, often referred to as the "terminal period." The correct answer is: d) terminal value.

It represents the value of the investment or business beyond the projected period, and is typically calculated using various methods such as the discounted cash flow (DCF) analysis or the multiples approach.

The other options listed are not synonymous with the terminal value:

a) Reversion value: This term is typically used in real estate or property valuation and refers to the estimated future value of a property after a specific period of time, assuming it returns to its original condition or state.

b) Going-concern value: This refers to the value of a business as a functioning entity, assuming it will continue its operations indefinitely and generate future cash flows.

c) Horizon value: This term is often used in finance and investment analysis to refer to the value of an investment or business at the end of a specific time horizon, typically used in financial modeling or forecasting.

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which of the following is a true statement? multiple choice the standard deduction is increased for taxpayers who are blind or deaf at year-end. a married couple is only entitled to one addition to their standard deduction even if both spouses are both over age 65. bunching itemized deductions is a legal method of tax avoidance. the standard deduction is subject to a phase-out based on agi. all of these choices are true

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"Bunching itemized deductions is a legal method of tax avoidance.", is a true statement. The right answer is b.

The standard deduction cannot be used in place of itemised deductions, which allow people to deduct specific expenses from their taxable income. Every expense that you can enumerate can be bundled, but you must be able to manage when you incur these costs.

Combining itemised deductions is most effective when the total you may deduct each year falls just short of the basic deduction. Without this tactic, you would almost always take the usual deduction. Every other year, group your itemised deductions together to earn a bigger deduction in those years, which will lower your tax liability.

The correct answer is option b.

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green tea oreos in china, chocolate and peanut butter oreos in indonesia, and banana dulce de leche oreos in argentina are examples of kraft using strategy. group of answer choices an international a multidomestic a single country a transnational

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These examples of Oreo flavors in different countries demonstrate Kraft using a multidomestic strategy.

Multidomestic strategy is a method of international marketing in which companies modify their products and marketing tactics to suit specific cultural, ethnic, and religious characteristics in different countries. Rather than making a standardized product or service and exporting it, businesses concentrate on adapting to the culture, language, and preferences of the country they're in, resulting in a unique product or service.

Multidomestic companies also have the opportunity to develop new products tailored to local preferences, which can be a source of competitive advantage in that region. In this approach, a company adapts its products and marketing strategies to suit the preferences and needs of consumers in each individual country, allowing for a more localized experience.

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stock a has a beta of 1.5 and the variance of its return is .4. stock b has a beta of 2 and the variance of its return is .3. which of the following is true? group of answer choices stock a has more unique risk than stock b according to capm, stock a should have the same expected rate of return as stock b. stock b has more unique risk than stock a. investors will demand a higher return for stock a, because it is the riskier one.

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Investors will demand a higher return for stock a, because it is the riskier one.

This is in accordance with the Capital Asset Pricing Model (CAPM), which states that the expected return of an asset is a function of its beta (systematic risk), as well as the risk-free rate and the expected return on the market. Since stock a has a higher beta than stock b, it is considered to have more systematic risk, and investors will demand a higher expected rate of return to compensate for that risk. The variance of return is a measure of total risk, which includes both systematic and unsystematic (unique) risk, and cannot be used to compare the relative levels of unique risk between two stocks.

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mona corporation has a variance of returns of 343, while scott corporation has a variance of returns of 898. which company's actual returns vary more from their mean retur

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The variance of returns measures the degree of dispersion or variability of a company's returns from its mean return. The larger the variance, the more spread out the returns are from the mean, indicating a higher level of risk.

Comparing the variances of Mona Corporation (343) and Scott Corporation (898), we see that Scott Corporation has a larger variance, which means its returns are more spread out from the mean return compared to Mona Corporation. Therefore, Scott Corporation's actual returns vary more from their mean return than Mona Corporation's actual returns.

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perfect competition is unique. over a long run time frame for a perfectly competitive firm, each of the following conditions holds true except one. which one is the exception? think carefully - you are looking for the one which does not hold true.

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Perfect competition is unique. Over a long run time frame for a perfectly competitive firm, each of the following conditions holds true except for one. The exception is that the firm has market power.

Perfect competition implies that there are no barriers to entry or exit in the market and no single firm can influence the price of the product. Therefore, every firm in the market is a price taker and has no market power. The following conditions hold true for a perfectly competitive firm: Homogeneous product, all the firms in the market produce identical products without any difference in quality, features, or characteristics.

Large number of buyers and sellers, there are a large number of buyers and sellers in the market, and no single buyer or seller has any influence on the price of the product. Price-taking behavior, every firm in the market is a price taker, meaning that they have no control over the price of the product. Free entry and exit, there are no barriers to entry or exit in the market. Any firm can enter or exit the market without incurring any cost or obstacle.

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when it comes to international trade and government intervention, which is a better policy for a country to adopt to enrich itself: free trade or protectionism? justify your position.

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When it comes to international trade and government intervention, the choice between a free trade policy and a protectionism policy depends on a country's specific circumstances and development goals. However, free trade is often considered a better policy for a country to enrich itself.

Free trade policy allows countries to specialize in producing goods and services they are most efficient at, enabling them to benefit from comparative advantage. This leads to increased productivity, lower production costs, and a more extensive range of products and services for consumers.

In the long run, free trade fosters economic growth, job creation, and wealth generation. Moreover, free trade encourages international cooperation, exchange of technology, and innovation, which further contribute to a country's enrichment. On the other hand, protectionism policy focuses on shielding domestic industries from foreign competition through tariffs, import quotas, and subsidies.

While this may provide short-term benefits for specific industries, it can limit the overall efficiency and competitiveness of a country's economy. Protectionism may discourage innovation, lead to higher consumer prices, and create trade imbalances or tensions between countries.

In conclusion, adopting a free trade policy is generally better for a country to enrich itself in the long run as it encourages economic growth, innovation, and international cooperation. However, it is essential to consider a country's specific circumstances and development goals when deciding between free trade and protectionism policies.

A balance between the two may be necessary for some countries to protect vulnerable industries while gradually opening their economies to international trade.

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a tariff is a question 10 options: limit on how much of a good can be exported. limit on how much of a good can be imported. tax on an imported good. tax on an imported good.

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A tariff is a option (c) tax on an imported good

A tariff is a tax that a government imposes on goods imported from foreign countries. The aim of a tariff is to protect domestic industries by making foreign goods more expensive and less competitive. Tariffs are typically used to restrict imports of goods that are believed to be damaging to the domestic economy or pose a threat to national security.

By increasing the cost of imported goods, tariffs can also generate revenue for the government. However, they can also lead to retaliatory measures by foreign governments, potentially sparking trade wars and disrupting international trade. Tariffs are one of the many tools that governments can use to regulate trade flows, alongside other measures like quotas and subsidies.

Therefore, the correct option is (c) tax on an imported good

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People have been drinking coffee since at least the 15" century and for nearly that entire time there have been many coffee bean producers, each with a relatively small share of the total market. Since each firm was small, no one coffee producer could influence the price. Generic coffee beans were bought and sold as a commodity, a non-differentiated product, at a global equilibrium price. Recently however, something fundamental about the coffee market dramatically changed: the rise in name brand coffee chains and specialty coffee shops. As these retail companies tried to win larger shares of the market they needed their coffee to stand out as different from their competitors. Some types of coffee beans, which had once been sold as a commodity, were now marketed and sold based on distinguishing characteristics, such as the region, elevation, or climate.
explain why a coffee bean producer would prefer to operate in an imperfetly competitive market rather than a perfectly competitive market

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A coffee bean producer would prefer to operate in an imperfectly competitive market rather than a perfectly competitive market for a variety of reasons which are  In a perfectly competitive market, there are many firms producing the same or similar goods, so there is no possibility of controlling the price. Producers are price-takers, and they cannot sell their products for more than the market equilibrium price.

On the other hand, in an imperfectly competitive market, a single firm or a few firms have some control over the price, and they can influence the price to some extent.A coffee bean producer who operates in an imperfectly competitive market can charge a higher price for their coffee beans than they would be able to in a perfectly competitive market. In this way, they can earn more revenue and potentially earn higher profits.

Producers can create a brand identity for their products, which helps them differentiate themselves from other producers and attract loyal customers. They can invest in marketing, advertising, and research and development to improve their products and make them more desirable to consumers.

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two identical houses are next to each other in the same real estate development. one was built in 1950, the other in 1955. if this year is 2013, what is the difference in predicted lprice?

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When two identical houses are in real estate development the difference between the two houses would be 7.2 times the value of the 1950 house minus 6.3 times the value of the 1955 house.

We can estimate that a house that is at 3.3 percent per year for 63 years would be worth mostly around 7.2 times its original value. On the other hand, a house that appreciated for 58 years would be worth 6.3 times its original value.

When it comes to knowing the difference in predicted price between two houses, many factors can come into play, such as location, condition, and market trends.

However, assuming all other factors are equal, we can use real estate in the United States to estimate the price difference

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Gerard Barron, the CEO of TMC (Th e Metals Company), stated about deep-sea mining, “We don’t have the luxury of saying ‘No’ to the ocean.” What do you suppose he means by this statement? Do you agree or disagree? Explain.

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Deep-sea mining may start soon despite the fact that research indicates it could harm habitats or wipe out species. This is due to the depletion of terrestrial reserves and the increasing demand for metals.

What's the title of the company engaged in deep-sea mining?

Deep Sea Mine Campaign, Blue Marine Foundation, International Conservation, Ecologistas En Acción, Wildlife & Flora Worldwide, German NGO Forum on Development and the Environment, Goa Groundwork, Global Ocean Trust, and Greenpeace International are all members of the DSCC.

The technique of extracting mineral reserves from deep seabeds, or ocean depths below 200 metres, is known as deep-sea mining.

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the return on a is an appropriate measure of the risk-free rate of return. group of answer choices long-term treasury note certificate of deposit long-term corporate bond common stock 90-day treasury bill

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The return on a 90-day Treasury bill is an appropriate measure of the risk-free rate of return. Therefore, the correct option is 5.

In order to determine return of which option provides an appropriate measure of the risk-free rate of return, consider the following steps:

1. Identify the group of answer choices: long-term treasury note, certificate of deposit, long-term corporate bond, common stock, and 90-day treasury bill.

2. Assess the risk levels: long-term treasury notes, certificates of deposit, and long-term corporate bonds carry some level of risk, while common stocks are known for their inherent market risks.

3. Determine the lowest risk option: among these choices, the 90-day Treasury bill is considered the safest investment, as it is a short-term debt instrument issued by the U.S. government, which has minimal default risk.

4. Conclude the answer: therefore, the return on a 90-day Treasury bill is the most appropriate measure of the risk-free rate of return. Hence, the correct option is 5.

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given the forecast and booked orders shown in the table below, and a beginning inventory of 25, what is the master production schedule quantity for period 4?

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The master production schedule quantity for period 4 is 0.

Starting inventory for period 1 = 25

Projected demand for period 1 = 70

Available to promise for period 1 = 0 (since there are no booked orders yet)

Projected ending inventory for period 1 = Starting inventory + Projected demand - Available to promise = 25 + 70 - 0 = 95

Starting inventory for period 2 = 95 (projected ending inventory for period 1)

Projected demand for period 2 = 65

Available to promise for period 2 = 80 (booked orders for period 1)

Projected ending inventory for period 2 = Starting inventory + Projected demand - Available to promise = 95 + 65 - 80 = 80

Starting inventory for period 3 = 80 (projected ending inventory for period 2)

Projected demand for period 3 = 60

Available to promise for period 3 = 80 + 50 - 30 = 100 (booked orders for periods 1 and 2 minus previous period's projected ending inventory)

Projected ending inventory for period 3 = Starting inventory + Projected demand - Available to promise = 80 + 60 - 100 = 40

Starting inventory for period 4 = 40 (projected ending inventory for period 3)

Projected demand for period 4 = 55

Available to promise for period 4 = 80 + 50 + 30 - 55 = 105 (booked orders for all periods minus current period's projected demand)

Projected ending inventory for period 4 = Starting inventory + Projected demand - Available to promise = 40 + 55 - 105 = -10

Since the projected ending inventory for period 4 is negative, we cannot meet the demand for that period. Therefore, the master production schedule quantity for period 4 is 0.

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--The complete question is, Given the forecast and booked orders shown in the table below, and a beginning inventory of 25, what is the master production schedule quantity for period 4?

Period                                              1        2         3         4                                      

Forecasted Demand                     70      65      60       55

Booked Orders                              80     50      30        10

Projected ending inventory    

Master production schedule         55

Available to Promise                      0--

is the following passage a deductive argument or an inductive argument or is the passage not an argument? if the passage is a deductive argument, don't worry about whether it is valid. the wesco corporation had a good earnings report this quarter. that means their stock price is likely to go up. you should invest in wesco stock now.

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The given passage is a inductive argument.

The following passage is an inductive argument. The author is using the good earnings report of Wesco Corporation as evidence that tells about the claim that their stock price is growing up. On the other hand ,the conclusion that one should invest in Wesco stock is not necessarily a certain logical consequence of the premise. The reasoning is probabilistic rather than deductive.

On the other hand , Deductive reasoning involves moving from general principles or assumptions to a specific conclusion. It is often used in mathematics, philosophy and can be represented in the form of syllogisms or other formal structures.

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ppg industries, the pittsburgh-based manufacturer of paints, coatings, optical products, specialty materials, chemicals, glass, and fiber glass has paid dividends each year since 1899. it uses a technique to help it identify possible future strategies. what is it

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Scenario planning is the technique used to help identify possible future strategies in PPG Industries.

Scenario planning is a strategic planning technique that involves making various strategies about the future based on additional sets of beliefs and elements. By creating a range of designs, firms can better understand the possible risks and options they may face in the future and schedule consequently.

PPG Industries uses design planning to help recognize possible risks and options in the demand and develop methods to manage them. This process allows the party to explore different potential futures and predict shifts in the business environment.

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the prisoner's dilemma is a game of strategy in which players: group of answer choices make rational choices that lead to a less-than-ideal result for all. make rational choices that lead to the ideal result for all. make irrational choices that lead to the ideal result for all. make irrational choices that lead to a less-than-ideal result for all.

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The prisoner's dilemma is a game of strategy in which players make rational choices that lead to a less-than-ideal result for all.

A scenario known as a "prisoner's dilemma" occurs when individuals always have the motivation to make decisions that hurt the group as a whole. There are numerous economic elements where the prisoner's conundrum arises. In the traditional prisoner's dilemma, individuals find that betraying the group yields greater rewards than cooperating. Each participant may develop a cooperative plan if the same games are played repeatedly. People have come up with a variety of ways to get around the prisoner's dilemma to choose improved overall outcomes despite what may appear to be unfavorable individual motivations.

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a government-created monopoly arises when group of answer choices government spending in a certain industry gives rise to monopoly power. the government exercises its market control by encouraging competition among sellers. the government gives a firm the exclusive right to sell some good or service. both a and c are correct.

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A government-created monopoly arises  the government gives a firm the exclusive right to sell some good or service.  Option (c)

The statement "the government-created monopoly arises when government spending in a certain industry gives rise to monopoly power" is not entirely accurate. Monopoly power can arise due to various factors such as high barriers to entry, exclusive access to crucial resources, and economies of scale. While government spending may contribute to the development of a monopoly, it is not the only factor.

a. Government spending in a certain industry gives rise to monopoly power.This statement is not entirely accurate, as explained above.

b. The government exercises its market control by encouraging competition among sellers. This statement is actually the opposite of a government-created monopoly. Encouraging competition would prevent the creation of a monopoly.

c. The government gives a firm the exclusive right to sell some good or service. This statement accurately describes a form of government-created monopoly known as a legal monopoly. The government grants a firm exclusive rights to sell a good or service, thereby preventing other firms from entering the market and creating competition.

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Full Question: A government-created monopoly arises when group of answer choices

government spending in a certain industry gives rise to monopoly power. the government exercises its market control by encouraging competition among sellers. the government gives a firm the exclusive right to sell some good or service. both a and c are correct.

which of the following statements is not consistent with new growth theorists' beliefs? rewards lead to technological advances. technology must be understood in terms of what drives it. inventions are much more important than innovation. innovation can lead to lower productivity costs.

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The statement that is not consistent with new growth theorists' beliefs is "inventions are much more important than innovation."

New growth theorists emphasize the importance of both inventions and innovation in driving technological progress and economic growth. Inventions, which refer to the creation of new knowledge or ideas, are seen as a key driver of innovation, which involves the implementation and diffusion of new ideas into the economy.

Furthermore, new growth theorists also emphasize the role of rewards, such as patents and other forms of intellectual property, in incentivizing technological advances. They also argue that technology must be understood in terms of the economic and social factors that drive its development and diffusion, rather than as an exogenous force.

Finally, new growth theorists recognize that innovation can lead to lower production costs by improving the efficiency of production processes and enabling the creation of new goods and services.

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question content areaa new s corporation shareholder can revoke the s election unilaterally, if they own how much of the existing s corporation's stock?

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A new S corporation shareholder does not have the authority to unilaterally revoke the S election, and any decision to do so must be approved by a majority of shareholders.

Once an S corporation has been established, the decision to revoke the S election must be approved by a majority of shareholders. The new shareholder, regardless of their ownership percentage, does not have the authority to revoke the S election on their own.

In an S corporation, shareholders must meet certain eligibility requirements, such as being a US citizen or resident alien and not exceeding a certain number of shareholders. Once these requirements are met, the S corporation is taxed similarly to a partnership, with the income and losses flowing through to the shareholders' tax returns.

If a shareholder wishes to terminate the S election, they must follow the proper procedures and obtain the approval of the majority of shareholders. It is important to note that revoking the S election can have significant tax consequences, so careful consideration should be given before making such a decision.

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suppose that you live two periods, earning $20,000 when you are young, and $30,000 when you become old. suppose that the interest rate is 25% per period. (a) if you bring $1 to your bank when you are young, then how much money can you get when you become old?

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If you bring $1 to the bank when you are young, you can get $1.5625 when you become old, assuming an interest rate of 25% per period.

To determine how much money you can get when you become old, we need to calculate the future value of the $1 you brought to the bank when you were young, given an interest rate of 25% per period.

Let's assume that you are young in period 1 and old in period 2. The present value of $1 is $1 in period 1. To calculate the future value of this $1 in period 2, we can use the formula:

Future Value (FV) = Present Value (PV) x (1 + r)^n

Where r is the interest rate per period and n is the number of periods. In this case, r is 25% per period, and n is 2 (since there are two periods between when you are young and when you become old).

Using this formula, we can calculate the future value of the $1 you brought to the bank when you were young:

FV = $1 x (1 + 0.25)^2

= $1 x 1.5625

= $1.5625

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which of the following is defined as selling assets for a promise to buy them back in the future at a slightly higher price? (a) bill-and-hold sales. (b) kiting. (c) channel stuffing. (d) round-tripping.

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Selling assets for a promise to buy them back in the future at a slightly higher price is known as (d) round-tripping.

What is Round-tripping?

Round-tripping is a process in which a transaction or series of transactions is carried out with the sole purpose of creating the appearance of earnings or sales without the creation of an actual economic profit or gain. This is often done to artificially increase a company's revenue or sales figures, and it can be accomplished in a variety of ways.

The most common method is to sell assets to another company with the promise to repurchase them at a slightly higher price in the future, thereby creating the appearance of a sale.

Therefore, the correct answer is (d) round-tripping.

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absolute advantage is found by group of answer choices comparing productivity of one nation to that of another comparing relative opportunity costs calculating the total cost of production none of the above is correct

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Absolute advantage is found by comparing productivity of one nation to that of another. The correct answer is option c.

What is an absolute advantage?

An absolute advantage refers to the ability of an entity to produce more of a particular good or service than its competitors using the same amount of resources.

An absolute advantage can be found in various business sectors such as healthcare, manufacturing, and technology by analyzing production capacity and efficiency.

What is relative opportunity cost?

The cost of an activity in terms of the value of an opportunity foregone that is most favorable for a particular enterprise or economic actor.

Relative opportunity cost is frequently used in economics to explain the benefit of one commodity in terms of the disadvantage of another commodity that must be foregone as a consequence of the first activity.

The correct answer is option c.

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Complete Question

absolute advantage is found by group of answer choices

a.  comparing productivity of one nation to that of another

b.  comparing relative opportunity costs

c.  calculating the total cost of production

d.  none of the above is correct

what is the plowback ratio for a firm that has earnings per share of $2.68 and pays out $1.75 per share in dividends? group of answer choices 28.20% 71.80% 34.70% 66.67%

Answers

The plowback ratio for this firm is 34.70%. The option c is correct.

The plowback ratio, also known as the retention ratio, is the proportion of a company's earnings that are retained or reinvested back into the company rather than being paid out as dividends.

To calculate the plowback ratio, we first need to determine the amount of earnings that are being retained. We can do this by subtracting the dividend payout per share from the earnings per share:

Retained earnings per share = Earnings per share - Dividend per share

Retained earnings per share = $2.68 - $1.75

Retained earnings per share = $0.93

We can calculate the plowback ratio by dividing the retained earnings per share by the earnings per share:

Plowback ratio = Retained earnings per share / Earnings per share x 100%

Plowback ratio = $0.93 / $2.68 x 100%

Plowback ratio = 34.70%

Therefore, the plowback ratio for this firm is 34.70%. This means that the company is retaining approximately 34.70% of its earnings to reinvest back into the business for growth and expansion, while the remaining 65.30% is being paid out as dividends to shareholders.

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page 486 12.3. how do other people influence you? match each term with its corresponding example. door in the face low-balling foot in the door after a man decides to buy a plane ticket for $300, he finds that the final amount including taxes and fees is $365, but he still goes ahead with the purchase. press space to open a person signed a petition for her town to build a youth center. the next week, the same person agreed to help raise funds for the building. press space to open jan refused to buy a $20 package of wrapping paper from the student fund-raiser, but then agreed to buy a $5 bar of chocolate. press space to open

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For instance, the Student question is related to the social influence of people on our decisions. Other people can influence us to buy, say, or do things we may not otherwise have done.

Persuasion is the process by which a message induces change in attitudes, beliefs, or behaviors. There are three key elements in persuasion: the communicator, the message, and the audience.These elements can be identified in the examples provided by the Student:After a man decides to buy a plane ticket for $300, he finds that the final amount including taxes and fees is $365, but he still goes ahead with the purchase.

This is an example of low-balling, which is a persuasion tactic involving getting someone to commit to an action or decision before revealing its hidden costs.A person signed a petition for her town to build a youth center. The next week, the same person agreed to help raise funds for the building. This is an example of foot-in-the-door technique, which is a persuasion tactic involving getting someone to agree to a small request before asking for a bigger one.

Jan refused to buy a $20 package of wrapping paper from the student fund-raiser, but then agreed to buy a $5 bar of chocolate. This is an example of door-in-the-face technique, which is a persuasion tactic involving getting someone to deny a large request before asking for a smaller one.

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where can a customer go to get more details about amazon elastic compute cloud (amazon ec2) billing activity that took place 3 months ago

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If a customer wants to get more details about their Amazon EC2 billing activity that took place 3 months ago, they can use AWS Cost Explorer.

AWS Cost Explorer is a tool that enables AWS customers to visualize, understand, and manage their AWS costs and usage over time. With Cost Explorer, customers can access comprehensive cost and usage reports, including detailed information about their EC2 instances, like instance type, region, operating system, and usage type.

To access the EC2 billing activity for the past 3 months, customers can navigate to the Cost Explorer dashboard, select the appropriate time range (e.g., the past 3 months), and filter by EC2 usage. They can also choose to group their data by various dimensions, such as instance type or region, and view their costs in a variety of charts and graphs.

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identify and describe the three basic types of business organizations found in the united states. explain as many characteristics for each type of organization as you can.

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The three basic types of business organizations found in the United States are sole proprietorships, partnerships, and corporations.

Sole Proprietorships:

A sole proprietorship is a business owned by a single individual. This type of organization is easy and inexpensive to start and maintain. The owner has complete control over the business and is personally liable for all debts and legal issues.

The owner also receives all profits and is responsible for paying all taxes associated with the business.

Partnerships:

A partnership is a business owned by two or more individuals who share profits and liabilities. There are two types of partnerships: general partnerships and limited partnerships. In a general partnership, all partners have equal rights and responsibilities.

In a limited partnership, there is at least one general partner who manages the business and is personally liable for all debts, and one or more limited partners who contribute capital but have no management authority.

Corporations:

A corporation is a legal entity separate from its owners, who are called shareholders. A corporation can be publicly traded or privately owned. Shareholders are not personally liable for the corporation's debts or legal issues, and their liability is limited to their investment in the corporation.

The corporation is managed by a board of directors, who are elected by the shareholders. Corporations are more complex and expensive to set up and maintain than sole proprietorships or partnerships, but they offer many advantages, including the ability to raise capital by selling stock and to attract talented employees with stock options.

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true or false. regardless of managerial level, all managers have at least one employee reporting to them at all times.

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" The given statement "regardless of managerial level, all managers have at least one employee reporting to them at all times." is true.

For example, a high-level executive or a project manager overseeing a cross-functional team may not have any direct reports, but still have managerial responsibilities. Additionally, some managers may be responsible for managing other managers rather than individual contributors. So, the statement that "all managers have at least one employee reporting to them at all times" is not necessarily true.

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if mary has an absolute advantage over bill in performing each of two tasks, then a. mary should specialize in the one in which she has a comparative advantage b. mary must have a comparative advantage in both tasks c. mary cannot benefit by specializing in one task and trading with bill for the other d. bill must have the absolute advantage at one of the tasks group of answer choices

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What is meant by absolute advantage? In economics, absolute advantage is the ability of a nation, individual, firm, or region to manufacture or produce a commodity or service more efficiently than another party.

In economics, absolute advantage is a comparative benefit. In this situation, one country can produce the same product more cheaply than another nation. This is done when the manufacturing costs of a commodity are lower in one nation than in another. What is meant by comparative advantage? Comparative advantage refers to the ability of a party to manufacture a specific commodity or service at a lower opportunity cost than another party.

In economics, opportunity cost refers to the profit of a forgone commodity or service while another is chosen. The idea of comparative advantage is fundamental to economics because it explains why trade is beneficial to both parties in a transaction.

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your portfolio has a beta of 1.27. the portfolio consists of 13 percent u.s. treasury bills, 27 percent stock a, and 60 percent stock b. stock a has a risk level equivalent to that of the overall market. what is the beta of stock b?

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Based on the provided information, the beta of stock b is 1.67.

To calculate the beta of stock B, you can use the weighted average formula for the portfolio beta, which is:

Portfolio beta = (Weight of T-bills * Beta of T-bills) + (Weight of Stock A * Beta of Stock A) + (Weight of Stock B * Beta of Stock B)

Given the portfolio beta of 1.27, the weights of T-bills (13%), Stock A (27%), and Stock B (60%), and the fact that Stock A has a risk level equivalent to the overall market (Beta of Stock A = 1), we can solve for the beta of Stock B.

1.27 = (0.13 * 0) + (0.27 * 1) + (0.60 * Beta of Stock B)

1.27 = 0 + 0.27 + (0.60 * Beta of Stock B)

Now, we can solve for the Beta of Stock B:

1.00 = 0.60 * Beta of Stock B

Beta of Stock B = 1.00 / 0.60

Beta of Stock B = 1.67

So, the beta of stock B is 1.67.

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according to the capital asset pricing model (capm), a well diversified portfolio's rate of return is a function of

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According to the Capital Asset Pricing Model (CAPM), a well-diversified portfolio's rate of return is a function of A. market risk

The anticipated rate of return for a well-diversified portfolio is said to depend on market risk, which is quantified by the portfolio's beta, according to the Capital Asset Pricing Model (CAPM). The anticipated return increases with beta, assuming the investor is reimbursed for the extra risk through the market risk premium.

The portfolio's anticipated rate of return should rise as the portfolio's beta rises, making the portfolio more susceptible to market risk. The disparity between the anticipated return of the market portfolio and the risk-free rate is referred to as the market risk premium. The risk-free rate of return acts as a baseline for expected returns.

Complete Question:

According to the Capital Asset Pricing Model (CAPM) a well diversified portfolio's rate of return is a function of

A.market risk

B.unsystematic risk

C.unique risk.

D.reinvestment risk.

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a company has an inventory period of 25.5 days, an accounts payable period of 37.1 days, and an accounts receivable period of 31.7 days. what is the company's operating cycle?

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A company has an inventory period of 25.5 days, an accounts payable period of 37.1 days, and an accounts receivable period of 31.7 days. The company's operating cycle is 57.2 days.

Determine the inventory period, accounts payable period, and accounts receivable period.

Add the inventory period and accounts receivable period to get the operating cycle.

In this case, the inventory period is 25.5 days, accounts payable period is 37.1 days, and accounts receivable period is 31.7 days.

Find the operating cycle, we add the inventory period and accounts receivable period.

So, the operating cycle is 25.5 days + 31.7 days = 57.2 days.

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