Increasing awareness step in creating a social media plan. The answer is OPTION A
creating communities, spreading consciousness, and battling injustice. Users of social media have the ability to create communities around causes and motivate followers to take action. Setting your goals is the first and most crucial stage in developing a social media strategy.
It will be challenging to focus your efforts toward an objective if you don't have one in mind. Because of this, you must establish SMART (Specific, Measurable, Achievable, Realistic, and Timely) objectives that are also attainable. To increase enthusiasm and support, inspire self-mobilization and action, and mobilize local expertise and resources, it is critical to raise public awareness. The answer is OPTION A
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the common stock of eddie's engines, incorporated, sells for $45.38 a share. the stock is expected to pay a dividend of $3.80 per share next year. eddie's has established a pattern of increasing their dividends by 5.9 percent annually and expects to continue doing so. what is the market rate of return on this stock?
To calculate the market rate of return on a stock, we need to use the dividend discount model, which takes into account the current stock price, the expected dividend, and the growth rate of the dividend.
How can you calculate the market rate of return on this stock?Here's how we can use this formula to solve the problem:
Dividend next year = $3.80
Expected dividend growth rate = 5.9%
Dividend in two years = $3.80 x (1 + 5.9%) = $4.02
Dividend in three years = $4.02 x (1 + 5.9%) = $4.26
Using the dividend discount model, we can calculate the intrinsic value of the stock as follows:
Intrinsic value = (Expected dividend / (Market rate of return - Dividend growth rate)) + Current stock price
We know the current stock price is $45.38, and we can assume that the market rate of return is the same as the required rate of return for this stock. If we assume that the required rate of return is 11%, we can calculate the intrinsic value of the stock as follows:
Intrinsic value = ($4.26 / (0.11 - 0.059)) + $45.38
Intrinsic value = $123.10
To find out the market rate of return on this stock:
((Expected dividend + expected price appreciation) / Current stock price) = (($4.26 x (1 + 5.9%)^2) + ($45.38 x (1 + 5.9%))) / $45.38 - 1 = 0.0844 or 8.44%.
Therefore, the market rate of return on this stock is approximately 8.44%
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np equals gdp a) minus net receipts of factor income from the rest of the world. b) plus receipts of factor income from the rest of the world. c) minus receipts of factor income from the rest of the world. d) plus net receipts of factor income from the rest of the world. e) minus depreciation
NP equals GDP is D) plus net receipts of factor income from the rest of the world.
About GDPNational product (NP) equals GDP (Gross Domestic Product) plus net receipts of factor income from the rest of the world. It indicates the total value of goods and services produced within a country's borders in a given year, regardless of the citizenship of the producers. It is a measurement of the value of an economy's output.
NP can be calculated as the sum of a nation's personal consumption, private investment, government spending, and net exports.
The formula for calculating NP is given below:
NP = C + I + G + (X - M) + NFP
Where,
C is personal consumption
I is private investment
G is government spending
X is exports
M is imports
NFP is net factor payments from abroad.
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understanding how to leverage the firm's unique bundle of resources and capabilities is a key outcome decision makers seek when analyzing the internal organization. true false
The statement "Understanding how to leverage the firm's unique bundle of resources and capabilities is a key outcome decision-makers seek when analyzing the internal organization" is true.
By understanding the company's unique bundle of resources and abilities, decision-makers can analyze the internal organization better.
What is internal organization?
The internal organization is a company's structural elements that decide how the company conducts operations and achieves its objectives. Internal organization consists of all elements of a company's business structure, including operational and financial processes, policies and procedures, and management structures.
All of these variables interact to create a framework for conducting business that enables the company to fulfill its strategic objectives.
What is the bundle of resources?
A bundle of resources is a set of assets that are jointly owned by a company or a group of companies. These resources may include intangible assets like intellectual property, patents, or know-how, and tangible assets like machinery, land, or vehicles.
What are the capabilities of a company?
Capabilities refer to the abilities that a company has to do specific tasks. A company's capabilities are shaped by its resources, skills, and knowledge, which are all part of its unique set of assets.
When a company develops a new capability, it improves its ability to compete effectively and respond to new challenges.
In conclusion, decision-makers analyze the internal organization and use its unique bundle of resources and capabilities to maximize the company's strategic goals.
Hence, the statement "Understanding how to leverage the firm's unique bundle of resources and capabilities is a key outcome decision-makers seek when analyzing the internal organization" is correct.
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5. calculating leverage ratios. queen, inc., has a total debt ratio of .46. what is its debt-equity ratio? what is its equity multiplier?
Debt-equity ratio = (0.46 * 100) / (100 - 0.46 * 100) = 0.85
Equity multiplier = 100 / (100 - 0.46 * 100) = 1.85
we need to recall the definitions and formulas of leverage ratios. The total debt ratio measures the proportion of a firm’s total assets that are financed by debt. It is calculated as:
Total debt ratio = Total debt / Total assets
The debt-equity ratio measures the proportion of a firm’s total debt to its total equity. It is calculated as:
Debt-equity ratio = Total debt / Total equity
The equity multiplier measures the leverage of a firm’s equity. It is calculated as:
Equity multiplier = Total assets / Total equity
We can also relate these ratios to each other using the following equation:
Total assets = Total debt + Total equity
Dividing both sides by total equity, we get:
Equity multiplier = (Total debt / Total equity) + 1
Rearranging, we get:
Debt-equity ratio = Equity multiplier - 1
Using the given information, we can calculate the debt-equity ratio and the equity multiplier as follows:
Total debt ratio = 0.46
Total debt / Total assets = 0.46
Total debt = 0.46 * Total assets
Debt-equity ratio = (Total debt / Total equity) = (0.46 * Total assets) / Total equity
Equity multiplier = (Total assets / Total equity) = (Total assets) / (0.46 * Total assets + Total equity)
To simplify the calculations, we can assume that total assets are equal to 100. Then, we get:
Debt-equity ratio = (0.46 * 100) / (100 - 0.46 * 100) = 0.85
Equity multiplier = 100 / (100 - 0.46 * 100) = 1.85
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when quantity demanded exceeds quantity supplied, a shortage occurs and prices are pushed down toward equilibrium. true false
The given statement "when quantity demanded exceeds quantity supplied, a shortage occurs and prices are pushed down toward equilibrium" is true Because A shortage occurs when the quantity demanded is greater than the quantity supplied.
This imbalance in the market causes prices to drop until the quantity demanded equals the quantity supplied, at which point the market reaches its equilibrium.
When the quantity demanded exceeds the quantity supplied, sellers must lower their prices in order to make their product more appealing to potential buyers. This causes prices to fall until the amount of demand equals the amount of supply.
This new equilibrium price is lower than the original price, and is where the market will remain until either the demand or supply changes.
When demand is greater than supply, it can create a situation of scarcity. This can lead to rationing, with buyers being unable to buy the product until the market finds a new equilibrium. This can also create shortages, with buyers being unable to find the product even at the equilibrium price.
To summarize, when quantity demanded exceeds quantity supplied, a shortage occurs and prices are pushed down toward equilibrium. This is a result of the basic economic principle of supply and demand.
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question 2 what questions should you ask when there is a last-minute change, like the bonsai tree supplier no longer carrying bonsai trees? select all that apply. 1 point
The Product Backlog should be prioritized and well communicated.
Ensure sure the product satisfies the needs of the clients.
Help the team comprehend the project's broader purpose and mission.
What are the four fundamental tasks carried out by the XP technique during the product development process?Coding, testing, listening, and designing are the four fundamental tasks that make up the software development process, according to XP. Here is a description of each of those actions.
From the four guiding principles of the Agile Manifesto, pick all that apply.People and interactions come before processes and tools.
Software that works is preferred to documentation that is in-depth.
contract negotiations in cooperation with the client.
implementing a plan as opposed to responding to change. Prioritization of the Product Backlog should be done with good communication.
Make certain that the product meets the needs of the customers.
Aid the team in understanding the bigger picture and mission of the project.
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what is the successor agreement enacted by the trump administration that aims to remove all barriers to the free flow of goods between canada, the united states, and mexico?
The United States-Mexico-Canada Agreement is the successor agreement passed by the Trump administration that aims to eliminate all obstacles to the free movement of products between Canada, the United States, and Mexico (USMCA).
A successor agreement is a fresh contract that takes the place of an older one. In the context of international trade, a successor agreement may be intended to extend the terms of the original agreement for a predetermined time period, address new concerns that have arisen since the original agreement was signed, or update and improve its provisions. A successor agreement may be negotiated by the original agreement's parties or may be required by alterations in the political or economic environment. A successor deal that modified and modernised the North American Free Trade Agreement (NAFTA) to better suit the current trading environment is the United States-Mexico-Canada Agreement (USMCA).
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suppose the yield on german government bonds is 1%, while the yield on spanish government bonds is 6%. both bonds are denominated in euros. which country do investors believe is more likely to default? how can you tell?
Investors believe Spain is more likely to default as the yield on its government bonds is 6%, compared to the 1% yield on German government bonds as investors want higher yield, which is in case of spain not germany.
This indicates that investors are expecting higher returns from Spanish government bonds, which implies that they perceive greater risk in investing in Spanish bonds. The higher yield compensates for the increased risk of the Spanish bond.
The higher yield on Spanish government bonds is a signal that investors are less confident about Spain's ability to make debt payments compared to Germany. The market believes there is a greater risk of Spain defaulting on its debt than Germany.
The higher yield also implies that Spain has higher inflation, weaker economic growth, and/or lower investor confidence compared to Germany.
Therefore, Spain's higher yield is a sign that investors believe the country is more likely to default than Germany.
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quantitative problem: potter industries has a bond issue outstanding with an annual coupon of 6% and a 10-year maturity. the par value of the bond is $1,000. if the going annual interest rate is 7.6%, what is the value of the bond? do not round intermediate calculations. round your answer to the nearest cent.
Round intermediate calculations to 8 decimal places when solving this problem.Find the bond’s value; present value of an annuity with 6% interest rate at 10 years = 5.21671.
Find the present value of the bond's principal value, which is $1,000, 10 years from now and add it to the PV of annuity. PV of $1,000 in 10 years at 7.6% interest rate is $401.308.
Now, adding the present value of principal to the present value of annuity gives the value of the bond, which is $1,023.937 rounded to the nearest cent, as shown below.
Value of the bond = 5.21671 × 190.11968 + 401.30812
= $1,023.937(rounded to the nearest cent)
Hence, the value of the bond is $1,023.94.
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a schedule of cost of goods manufactured has the following main sections: (check all that apply.) multiple select question. indirect materials direct labor indirect labor underhead overhead cost of goods manufactured cost of goods sold direct materials
A schedule of cost of goods manufactured is an important financial statement for a business that manufactures products. It includes the direct materials, direct labor, overhead, and other costs associated with the manufacturing of the goods.
Here, all options are correct.
In addition, it includes the cost of the goods that have been sold during the period. The main sections of a schedule of cost of goods manufactured include direct materials, direct labor, indirect materials, indirect labor, overhead, cost of goods manufactured, and cost of goods sold.
Direct materials refer to the raw materials used to produce the goods, while direct labor is the cost of the labor used to manufacture the goods. Indirect materials are the materials used in the manufacturing process but do not become part of the finished product, such as tools and supplies.
Indirect labor is the cost of the labor used to support the manufacturing process, such as maintenance and repair personnel. Overhead is the cost of the indirect materials and labor plus other costs such as rent and utilities.
Therefore, all options are correct.
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firms with market commonality and resource similarity are direct and mutually acknowledged competitors. a. high; high b. low; high c. low; low d. high; low
Firms with low market commonality and low resource similarity are direct and mutually acknowledged competitors. The correct option for the given question is C. Low; Low.
Market commonality is an important aspect of market analysis that refers to the degree to which two businesses are vying for the same or similar customers. It is essential for the industry since it assesses the competitive environment and the likelihood of competition, particularly as it relates to rivalry.
Resource similarity refers to the degree to which the same types of resources are utilized by two firms that are considering competing in a particular market. Because of the benefits of such sharing, resource similarity is a positive factor in strategic decision-making.
Direct competition occurs when two or more firms compete for the same resources or services in the same market. Direct competitors are two or more businesses that produce comparable products and compete for the same market share, with the potential to limit each other's earnings.
A mutually acknowledged competitor refers to two or more firms that recognize each other as rivals in the same market. It happens when businesses in the same market are aware of one another and are aware of their strengths and weaknesses, which can help in competitive rivalry.
Therefore, market commonality and resource similarity are significant for firms that want to get involved in direct and mutually acknowledged competition. The correct option for the given question is C. Low; Low.
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In the AD-AS model, all of the following are reasons why the wages of workers and the prices of inputs rise more slowly than the prices of final goods and services except A) unions are successful in pushing up wages. B) contracts make prices and wages sticky. C) firms are often slow to adjust wages.D) menu costs make some prices sticky.
In the AD-AS model, all of the following are reasons why the wages of workers and the prices of inputs rise more slowly than the prices of final goods and services except A) unions are successful in pushing up wages.
B) contracts make prices and wages sticky. C) firms are often slow to adjust wages) menu costs make some prices sticky. The correct answer is A) unions are successful in pushing up wages.AD-AS model states that the relationship between the economy's total output of goods and services and the general price level in the economy. It is a macroeconomic model that is used to explain the changes in the gross domestic product (GDP) and the general price level in the economically of the following are reasons why the wages of workers and the prices of inputs rise more slowly than the prices of final goods and services except unions are successful in pushing up wages. The other three reasons are mentioned below. Contracts make prices and wages sticky. Firms are often slow to adjust wages. Menu costs make some prices sticky.All of the above three reasons are related to the concept of stickiness, and are valid explanations for the rise in the prices of goods and services.
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Depreciation of a copy machine in the Human Resource Department would best be classified as what type of cost?
a) Variable Cost
b) Fixed cost
c) Mixed cost
d) Step cost
The Human Resource Department's copier machine depreciation would most likely be classified as a fixed cost. Copy machines depreciate as a result of use and are used on a daily basis. Depreciation is one of the most well-known and most frequent costs incurred by businesses. The amount of wear and tear experienced by a machine or asset, such as a copy machine, over time is referred to as depreciation. As a result, this would be classified as a fixed cost as it is directly related to the copy machine's acquisition price and is not influenced by its usage level.
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polarized candidates reflect a polarized electorate. true or false
True. Polarized candidates often reflect the ideological positions and values of their polarized electorate. The more polarized the electorate, the more likely it is to produce polarized candidates.
The assertion that "polarised candidates mirror a polarised electorate" is valid in many circumstances. Typically, political politicians want to win over their core constituency, and if the electorate is severely polarised, this frequently entails taking more extreme stances on the topics in order to accomplish so. In turn, the policies and language of polarised politicians can further polarise the public by strengthening existing divides and accentuating distinctions between opposing groups. Over time, this process may result in a feedback cycle that keeps politics polarised. Yet, it is important to emphasize that there are other variables that might contribute to political polarisation beyond the decisions of individual candidates, such as media bias, demographic shifts, and economic disparity.
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to position itself differently from competitors, a firm must decide whether it intends to perform activities differently or to perform different activities. true false
The given statement "to position itself differently from competitors, a firm must decide whether it intends to perform activities differently or to perform different activities" is true.
A firm is defined as a company or organization responsible for delivering goods or services. A firm's primary objective is to make a profit by providing customers with goods or services that they require or want. The goods or services may be either tangible or intangible.
A firm can achieve a competitive advantage by offering a distinctive value proposition, reducing costs, or both. There are two ways to differentiate a firm from its rivals: by performing activities differently or by performing different activities. A firm must choose whether to perform activities differently or to perform different activities in order to distinguish itself from its competitors.
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if consumers begin to doubt the luxury status of the car's because anyone can afford a pair of sunglasses, porsche might be that the risk of
If consumers begin to doubt the luxury status of cars because anyone can afford a pair of sunglasses, Porsche might be at the risk of losing its brand reputation.
Porsche has been known for manufacturing high-end, expensive, and luxurious cars. The brand has built its reputation for producing luxury sports cars that only a few can afford. The brand has also built its reputation for quality, performance, style, and exclusivity.
The brand has to maintain its luxurious status to keep up with the competition and maintain its brand reputation. Therefore, if consumers begin to doubt the luxury status of cars because anyone can afford a pair of sunglasses, Porsche might be at the risk of losing its brand reputation.
A brand's reputation is an essential factor in the success of a brand. A brand's reputation helps in attracting and retaining customers. A brand's reputation helps in building trust and loyalty with customers. A brand's reputation also helps in differentiating the brand from competitors.
Therefore, it is essential for brands to maintain their brand reputation and status. If a brand loses its brand reputation, it might lose its customers, which might lead to a decline in sales and profits. Brands should maintain their luxurious status to retain their brand reputation and attract and retain customers.
Therefore, Porsche should maintain its luxurious status to keep up with the competition and maintain its brand reputation. Porsche should also maintain its quality, performance, style, and exclusivity to retain its customers and attract new ones.
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usco incurred $100,000 in interest expense for the current year. the tax book value of usco's assets generating foreign-source income is $5,000,000. the tax book value of usco's assets generating u.s.-source income is $45,000,000. how much of the interest expense is allocated and apportioned to foreign-source income? do not round intermediate computations but if required, round your final answer to the nearest dollar.
The amount of interest expense allocated and apportioned to foreign-source income is $5,000.
What is foreign-source income?Foreign-source income refers to income earned from sources outside of one's home country. It can include wages, salaries, investments, and other forms of income earned in foreign countries.
This is computed by taking the tax book value of foreign-source income ($5,000,000) divided by the total tax book value of all income ($50,000,000) multiplied by the total interest expense ($100,000).
This yields a fraction of 10/50 which is then multiplied by the total interest expense of $100,000 to get the allocated interest expense of $5,000.
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using variable costing and the contribution approach for internal decision making: Facilitates explaining changes in net income. Enables CVP analysis. Supports decision making.
The three things that using variable costing and the contribution approach for internal decision making does is Facilitates explaining changes in net income , Enables CVP analysis and Supports decision making.
The Variable costing is a costing method in managerial accounting where only the variable manufacturing costs are considered as product costs and are included in the cost of goods sold.
By using variable costing and the contribution approach for internal decision making can provide several benefits, including:
(i) Facilitates explaining changes in net income:
The variable costing approach separates fixed costs from variable costs, so it provides a better understanding of how changes in sales volume affect net income.
(ii) Enables CVP analysis:
The contribution approach enables managers to use cost-volume-profit (CVP) analysis, which is a powerful tool for understanding the relationship between sales volume, costs, and profits.
(iii) Supports decision making:
The variable costing and contribution approach provides managers with valuable information for decision-making.
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The given question is incomplete, the complete question is
Using variable costing and the contribution approach for internal decision making does what three things?
what occurs as a result of the horizontal organizational design? multiple choice question. people with similar occupations are put together. teams are used to improve collaboration and work. employees are grouped around regional locations. internal boundaries are strengthened.
Teams are used to improve collaboration and work. This collaboration and team work occurs as a result of the horizontal organizational design.
Therefore, option b. is correct.
What collaboration?Collaboration is a working technique where people get together for a common goal to advance company. Individuals can cooperate in order to accomplish a clear and shared corporate goal through collaboration.
What is it, and what are some examples?When two or more individuals cooperate to accomplish a common objective, collaboration occurs. Consequently, collaboration abilities encompass everything needed to get along with people and produce outcomes as a team.
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what is the highest price, in terms of a rate per hour, that walton toy company would be willing to pay for additional capacity (that is, for added direct labor time)? (do not round intermediate calculations. round your answers to 2 decimal places.)
The highest price that Walton Toy Company would be willing to pay for additional capacity is $175.50 per hour.
The company may be able to rent additional space to increase capacity. It could also hire additional workers. Walton Toy Company can improve productivity by investing in employee training, technology, and efficiency. These strategies will result in greater output, increased sales, and improved profitability.Walton Toy Company wants to maximize profits. It will evaluate its expenses to determine the highest price it can afford to pay for additional capacity.
The company would compare the cost of additional direct labor hours to the price of additional output revenue. It will only invest in extra capacity if the price it pays is less than the price it receives from selling the extra output.The highest price that Walton Toy Company would be willing to pay for additional capacity is calculated as follows : Direct labor cost per hour=Total labor costs / Total direct labor hours
Total labor costs = $700,000+($60 × 10,000)= $1,300,000. Total direct labor hours=10,000Direct labor cost per hour=$1,300,000/10,000= $130, Additional cost per hour = Direct labor cost per hour × (1+ Markup percentage)Markup percentage=35%, Additional cost per hour=$130 × (1+0.35)= $175.50
Therefore, the highest price that Walton Toy Company would be willing to pay for additional capacity is $175.50 per hour.
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a company reported total equity of $185,000 at the beginning of the year. the company reported $250,000 in revenues and $185,000 in expenses for the year. liabilities at the end of the year totaled $112,000. what are the total assets of the company at the end of the year? multiple choice $362,000. $65,000. $138,000. $112,000. $250,000.
The total assets of the company at the end of the year is $362,000.
This can be calculated by taking total equity of $185,000 at the beginning of the year, adding the revenues of $250,000 and subtracting the expenses of $185,000. This leaves the company with total assets of $362,000 (total equity + revenues - expenses).
Liabilities of $112,000 at the end of the year are subtracted from the total assets, leaving the company with total assets of $362,000. This means that total assets of the company at the end of the year is $362,000.
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is the requirement that every employee be able to perform the work of another employee.a. collusionb. task rotationc. two-man controld. duty exchange
The requirement that every employee is able to perform the work of another employee is known as task rotation. The correct answer is option (B).
What is task rotation?Task rotation refers to the process of altering an employee's regular work assignments or duties to incorporate different tasks or duties. It also refers to rotating employees to different positions or departments within the organization.
It is an excellent method of combating worker boredom and the monotony of doing the same thing repeatedly. It has been shown that job rotation improves job satisfaction and reduces absenteeism, among other things.
Importance of task rotation.1. Growth and development: Task rotation is one of the most effective methods for developing employee skills and abilities. It allows employees to learn new job skills, gain new knowledge, and broaden their experience.
2. It increases job satisfaction: Task rotation is a strategy for increasing job satisfaction. Employees are less likely to become bored or demotivated when they are assigned a variety of tasks.
3. Reduction of absenteeism: Employees are less likely to miss work when they are given different tasks to perform. This helps to reduce absenteeism in the workplace.
4. Succession planning: Task rotation aids in the identification of potential leaders and prepares them for future leadership positions.
Task rotation is important for employee growth and development, as well as organizational success. It is essential to ensure that the organization has a competent and adaptable workforce.
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bryan houlberg expects his c corporation to generate a profit of $200000. what is bryans after tax cash flow
As per the given scenario, Bryan Houlberg expects his C corporation to generate a profit of $200000. We need to calculate Bryan's after-tax cash flow.
Determine the corporate tax rate that Bryan's C corporation will have to pay. Based on the given information, we can assume that Bryan's C corporation is a domestic corporation in the USA. The tax rate for domestic corporations depends on the income level.
The following table provides a summary of the federal income tax rates for domestic corporations in the USA. Income Level (Annual)Federal Tax Rate Less than $50,000 15% $50,000 to $75,000 25% $75,000 to $100,000 34% $100,000 to $335,000 39% $335,000 to $10,000,000 34% $10,000,000 to $15,000,000 35% $15,000,000 to $18,333,333 38% Over $18,333,333 35%
From the above table, we can see that the tax rate for Bryan's C corporation will be 34% as the expected profit is between $100,000 to $335,000. Calculate the tax amount The tax amount can be calculated by multiplying the profit by the tax rate. Tax amount = 200000 x 0.34 = $68,000
Calculate after-tax cash flow After-tax cash flow can be calculated by subtracting the tax amount from the profit. After-tax cash flow = Profit - Tax amount After-tax cash flow = 200000 - 68000 = $132,000Therefore, Bryan's after-tax cash flow is $132,000.
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what's an example of an omnichannel goal? a beverage company wants to raise awareness across platforms on a new line of sparkling water. the digital marketing team is promoting a 25% off discount for shoppers who buy online and pick up in-store. the store marketing team at a large pet company wants to double only in-store sales by q4. a cosmetic company wants to increase their online sales by driving consumers to the website to make a purchase.
The omnichannel goal is a strategy that uses various channels of communication to give customers a seamless shopping experience. An example of an omnichannel goal can be the digital marketing team promoting a 25% off discount for shoppers who buy online and pick up in-store.
What is an omnichannel goal?An omnichannel goal is an approach that uses various channels of communication to provide customers with a seamless shopping experience. This approach involves breaking down barriers between channels so that customers can access products and services across different platforms with ease. By doing this, businesses can enhance their customer experience, improve their sales, and attract more customers.
In the case of the beverage company, they want to raise awareness across platforms on a new line of sparkling water. To achieve this goal, the digital marketing team is promoting a 25% off discount for shoppers who buy online and pick up in-store. This strategy makes it easy for customers to access their products, and they can make a purchase at their convenience.
In the case of the large pet company, the store marketing team wants to double only in-store sales by Q4. This goal is an example of an omnichannel goal because it uses various channels to attract customers to its stores. For instance, they may use social media to promote their products, email marketing to notify their customers of upcoming promotions, and website optimization to attract more customers.
In the case of the cosmetic company, they want to increase their online sales by driving consumers to the website to make a purchase. This goal is an example of an omnichannel goal because it uses various channels to attract customers to its website. For instance, they may use social media to promote their products, email marketing to notify their customers of upcoming promotions, and website optimization to attract more customers.
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otto manages a consulting firm. if otto wants his employees to produce as much as possible from the resources available, how should tasks be assigned? group of answer choices the employee who is best at each task should be the one assigned to do it. each task should be assigned to the employee who can do it at the lowest opportunity cost. each employee should be cross-trained in all tasks to increase flexibility in assignments. each task should be assigned to the employee who can do it at the highest absolute advantage.
Otto manages a consulting firm and wants his employees to produce as much as possible from the resources available. To do this, the best option is to assign tasks to the employee who can do it at the lowest opportunity cost. Correct option is b.
This means assigning tasks to the employee who can complete the task with the least amount of resources, such as time, labor, or capital, available. This ensures the task is completed in the most efficient manner, and that the other resources are utilized for other tasks.
A consulting firm is a business that offers professional advice to clients for a fee. Consulting firms can provide various types of services, including management consulting, strategic consulting, IT consulting, and more. Each task should be assigned to the employee who can do it at the highest absolute advantage.
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intangible resources group of answer choices allow greater synergy for firms than do tangible assets. are more flexible than tangible assets. are value-neutral assets. discourage diversification.
The correct option is (B) Intangible resources are more flexible than tangible assets.
Intangible resources are the resources which have no physical presence, unlike the tangible assets. Intangible resources of a company may include company reputation, intellectual property rights, goodwill, and brand equity.
They are highly flexible resources and provide significant advantages to firms. Some of the advantages of intangible resources are:
They have the potential to bring significant competitive advantages to the firms that can use them.
They are highly flexible resources and can be used in multiple ways to produce a wide range of outcomes.
They are more difficult for competitors to replicate than tangible resources.
Intangible assets do not depreciate over time like physical assets do.
The intangible resources of a company are more flexible than the tangible assets.
They do not have any physical form and can be used in a variety of ways.
They can be used to create new products, new services, new business models, or new markets.
Therefore, intangible resources allow greater synergy for firms than do tangible assets. Thus, the correct option is B. are more flexible than tangible assets.
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4. individual problems 5-4 a university spent $1.8 million to install solar panels atop a parking garage. these panels will have a capacity of 200 kilowatts (kw) and have a life expectancy of 20 years. suppose that the discount rate is 10%, that electricity can be purchased at $0.30 per kilowatt-hour (kwh), and that the marginal cost of electricity production using the solar panels is zero. hint: it may be easier to think of the present value of operating the solar panels for 1 hour per year first. approximately how many hours per year will the solar panels need to operate to enable this project to break even? 3,523.82 5,285.73 2,114.29 if the solar panels can operate only for 3,171 hours a year at maximum, the project break even. continue to assume that the solar panels can operate only for 3,171 hours a year at maximum. in order for the project to be worthwhile (i.e., at least break even), the university would need a grant of at least
In this case, the number of hours per year that the solar panels need to operate to enable this project to break even is approximately 3,523.82 hours.
The calculations are given below:To find out the present value of the operating the solar panel for 1 hour per year, we will use the present value formula.PV = FV / (1 + r)twherePV is the present value of future cash flowsFV is the future value of the cash flowsr is the discount ratet is the number of years required for the cash flows to occur.To calculate the present value, we haveFV = (200 kw * 24 hours * 365 days) = 1,752,000 kw-hrPV = FV / (1 + r)tPV = 1,752,000 / (1 + 0.1)1PV = $1,593,644.67Now, we can calculate the number of hours required to break even by dividing the total installation cost by the present value of the operating cost.
Cost of installation = $1,800,000The total present value of operating for 1 hour per year = $1,593,644.67Total number of hours required to break even = Cost of installation / Total present value of operating for 1 hour per yearTotal number of hours required to break even = $1,800,000 / $1,593,644.67Total number of hours required to break even = 1.129 hours or 67.743 minutes = 3,523.82 hours (approx.)
Therefore, the number of hours per year that the solar panels need to operate to enable this project to break even is approximately 3,523.82 hours.The university would need a grant of at least $206,640 ($1,800,000 - $1,593,644.67) in order for the project to be worthwhile.
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hernandez manufacturing is trying to calculate budgeted fixed overhead cost per output unit. the following details are available: estimated machine hours required 16,000 hours estimated labor hours required 24,000 hours budgeted total costs in fixed overhead cost pool $2,800,000 budgeted total production 20,000 units what is the budgeted fixed overhead cost per unit of cost-allocation base?
According to the question the budgeted fixed overhead cost per output unit of $140.
What is budgeted fixed?Budgeted fixed costs are expenses that are predetermined and remain unchanged regardless of changes in production or sales volumes. Examples of budgeted fixed costs include rent, insurance, loan payments, and depreciation. These costs are usually planned and budgeted for in advance and are not considered to be variable costs. They are usually fixed over a certain period of time, such as a month, quarter, or year.
The budgeted fixed overhead cost per unit of cost-allocation base is calculated by dividing the budgeted total costs in fixed overhead cost pool ($2,800,000) by the total production (20,000 units). This results in a budgeted fixed overhead cost per output unit of $140.
To calculate this, we can use the following equation:
Budgeted Fixed Overhead Cost Per Output Unit = Budgeted Total Costs in Fixed Overhead Cost Pool / Total Production
= $2,800,000 / 20,000 units
= $140
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The private cost of producing a good will differ from the social cost:A. when there is an externality, such as acid rain generated by the production of electricity.B. when there is an externality, such as lower crime rates generated by the consumption of education.C. when there are property rights, where individuals or businesses have exclusive use of their property.D. when there is no externality, such as in the production of ice cream.E. both a and b.
the correct option is A. The private cost of producing a good will differ from the social cost when there is an externality, such as acid rain generated by the production of electricity or lower crime rates generated by the consumption of education.
An externality is a cost or benefit caused by a producer or consumer that is not financially incurred or received by that producer or consumer. An externality can be both positive or negative. A positive externality occurs when the market interaction of others presents a benefit to non-market participants. A negative externality occurs when the market interaction of others imposes a cost on non-market participants.
Social cost is the sum of private cost and external cost. Social cost = private cost + externality (if any). If there is a positive externality, social cost will be less than private cost4. If there is a negative externality, social cost will be more than private cost.
Some examples of positive and negative externalities are:
Pollution is a negative externality because it harms people who do not participate in the production process. For example, a factory that emits smoke and chemicals into the air and water may cause health problems for nearby residents and damage the environment.
Education is a positive externality because it benefits people who do not participate in the consumption process. For example, a person who attends school may acquire skills and knowledge that make them more productive and innovative, which can benefit society as a whole.
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if a good is normal, then a decrease in price will cause a substitution effect that is responses positive and an income effect that is negative. positive and an income effect that is negative. negative and an income effect that is positive. negative and an income effect that is positive. positive and an income effect that is positive.
Yes, if a good is normal, then a decrease in price will cause a substitution effect that is positive and an income effect that is negative.
The substitution effect refers to the shift from buying more of the good when its price decreases, as it becomes more affordable. The income effect, on the other hand, is the decrease in demand due to the reduction in purchasing power caused by the decrease in price.
In other words, the decrease in price causes people to substitute the good for other goods since it becomes relatively cheaper compared to those goods.
However, since their income is reduced, they have less money to spend on other goods and therefore demand less of the good overall. This is why the substitution effect is positive, while the income effect is negative.
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