The purpose of advanced persistent threat (APT) usually is to steal sensitive data, intellectual property, and other valuable information.
An Advanced Persistent Threat (APT) refers to a complex, targeted cyberattack method used to gain unauthorized access to a network and remain undetected for an extended period. These attacks are often carried out by criminal organizations or nation-states and are designed to steal sensitive data, intellectual property, and other valuable information.Advanced Persistent Threats (APTs) are typically executed by highly skilled and motivated hackers who have the resources and time to penetrate a targeted organization's network defenses. They use a variety of methods, including social engineering, malware, and network reconnaissance, to identify vulnerabilities and exploit them to gain access to sensitive data and other information.
Because these attacks are highly targeted and sophisticated, they are difficult to detect and defend against. Organizations that fall victim to an APT attack may suffer significant damage to their reputation, finances, and operations. It is therefore essential to have robust security measures in place to protect against APT attacks, including network monitoring, employee training, and vulnerability scanning.
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The Statement of Financial Position and the Statement of Profit and Loss of ABC Bank include the following main items (thousand UAH):
Of 31 December 2021
Customer accounts– 4500; Share capital – 1800; other components of equity – 200;
Due to NBU – 1200; Due to banks – 800; Mandatory reserves – 700; Due from banks – 1300; Loans to customers – 1000; Investment securities– 5000; Assets held for sale – 2000; Other fin. liabilities – 1500
For the year ended 2021
Interest income – 2300; Interest expense – 800; Fee and commission income – 1500; Fee and commission expense – 900; Foreign exchange transaction losses – 700; Foreign exchange transaction gains – 300;
Administrative and other operate expenses – 260; Income tax – 100.
The task:
1. Set up a T-account balance sheet for the bank.
2. Which asset item is the largest and what is its share (in %) in the structure of assets?
Define and explain this type of asset
3. Calculate net profit for the year
T-account balance sheet for ABC Bank:
Assets: Due from banks (1,300); Loans to customers (1,000); Investment securities (5,000); Assets held for sale (2,000)
Liabilities and Equity: Customer accounts (4,500); Share capital (1,800); other components of equity (200); Due to NBU (1,200); Due to banks (800); Mandatory reserves (700); Other financial liabilities (1,500)
The largest asset item is investment securities, which is worth 5,000 thousand UAH, representing the largest share in the structure of assets.
The T-account balance sheet for ABC Bank as of 31 December 2021 would look as follows:
Assets:
Due from banks: 1,300
Loans to customers: 1,000
Investment securities: 5,000
Assets held for sale: 2,000
Liabilities and Equity:
Customer accounts: 4,500
Share capital: 1,800
Other components of equity: 200
Due to NBU: 1,200
Due to banks: 800
Mandatory reserves: 700
Other financial liabilities: 1,500
The largest asset item is investment securities, with a value of 5,000 thousand UAH. Its share in the structure of assets can be calculated by dividing the value of investment securities by the total assets and multiplying by 100:
Share of investment securities = (Investment securities / Total assets) * 100
Share of investment securities = (5,000 / (1,300 + 1,000 + 5,000 + 2,000)) * 100
Share of investment securities = (5,000 / 9,300) * 100
Share of investment securities ≈ 53.76%
Investment securities refer to financial instruments, such as stocks, bonds, and other securities, that are held by the bank for investment purposes. These assets generate income for the bank through interest, dividends, or capital appreciation. They are considered non-operating assets and are held by the bank with the intention of earning a return on the invested funds.
Investment securities provide liquidity to the bank and are classified as either held-to-maturity, available-for-sale, or trading securities, depending on the bank's intention and ability to hold them until maturity.
To calculate the net profit for the year, we need to subtract the total expenses from the total revenue.
Net profit = (Interest income - Interest expense) + (Fee and commission income - Fee and commission expense) + (Foreign exchange transaction gains - Foreign exchange transaction losses) - (Administrative and other operating expenses + Income tax)
Net profit = (2,300 - 800) + (1,500 - 900) + (300 - 700) - (260 + 100)
Net profit = 1,500 + 600 - 400 - 360
Net profit = 1,340 thousand UAH
Therefore, the net profit for the year ended 2021 for ABC Bank is 1,340 thousand UAH.
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Letang Company has three divisions (R, S, and , organized as decentralized profit centers. Division R produces the basic chemical Ranbax, in multiples of 1,000 pounds, and transfers it to divisions S and T. Division S processes Ranbax into the final product Syntex, and division T processes Ranbax into the final product Termix. No material is lost during processing Division R has no fixed costs. The variable cost per pound of Ranbax is $0.18. Division R has a capacity limit of 10,000 pounds. Divisions S and T have capacity limits of 4,000 and 6,000 pounds, respectively. Divi- sions S and T sell their final product in separate markets. The company keeps no inventories of any kind The cumulative net revenues(i.e., total revenues-total processing costs) for divisions S and T at vari- ous output levels are summarized below Division S Pounds of Ranbax processed in S Total net revenues (S) from sale of SyntexS500 S 850 S1,100 ,200 1,000 2,000 3,000 4,000 Pounds of Ranbax processed in T Total net revenues (S) from sale of Termix Division T 1,000 S600 2,000 3,000 4,000 5,000 6,000 $2,100 $1,200 S1,800 S2,250 S2,350 ASSIGNMENT MATERIAL 1. Suppose there is no extemal market for Ranbax.What quantity of Ranbax should the Letang Company produce to maximize overall income? How should this quantity be allocated between the two process- ing divisions? Required 2. What range of transfer prices will motivate divisions S and T to demand the quantities that maximize overall income (as determined in requirement 1), as well as motivate division R to produce the sum of those quantities? 3. Suppose that division R can sell any quantity of Ranbax in a perfectly competitive market for S0.33 a pound. To maximize Letang's income, how many pounds of Ranbax should division R transfer to divi- sions S and T, and how much should it sell in the external market? What range of transfer prices will result in divisions R, S, and T taking the actions de termined as opti- mal in requirement 3?
According to the question are as follows let's address each question one by one:
To determine the quantity of Ranbax that Letang Company should produce to maximize overall income when there is no external market, we need to analyze the net revenues for divisions S and T at different output levels. Based on the given data, the net revenues for Division S and Division T at various output levels are as follows:
Division S:
Pounds of Ranbax processed in S: 1,000, 2,000, 3,000, 4,000
Total net revenues (S) from sale of Syntex: $2,100, $1,800, $2,250, $2,350
Division T:
Pounds of Ranbax processed in T: 1,000, 2,000, 3,000, 4,000, 5,000, 6,000
Total net revenues (S) from sale of Termix: $600, $2,000, $3,000, $4,000, $5,000, $6,000
By comparing the net revenues at each output level, we can determine the combination of Ranbax quantities that maximizes overall income. This can be achieved by finding the output levels that generate the highest total net revenue for the company.
To determine the range of transfer prices that will motivate divisions S and T to demand the quantities that maximize overall income (as determined in requirement 1) and motivate division R to produce the sum of those quantities, we need to consider the cost and revenue implications.
The transfer price is the price at which Division R transfers Ranbax to Divisions S and T. It should be set within a range that incentivizes optimal decision-making for all divisions. The transfer price should cover the variable cost per pound of Ranbax ($0.18) incurred by Division R, while also providing an appropriate profit margin.
By analyzing the net revenues for divisions S and T at different output levels and considering the cost structure, we can identify the transfer price range that aligns with the optimal quantities determined in requirement 1 and motivates each division to make economically rational decisions.
To maximize Letang's income when Division R can sell any quantity of Ranbax in a perfectly competitive market for $0.33 per pound, we need to determine the optimal allocation of Ranbax between divisions S and T and the quantity to be sold in the external market.
Considering the market price of $0.33 per pound, the transfer prices between Division R and divisions S and T should be set within a range that ensures Letang maximizes its overall income. This means Division R should transfer a quantity of Ranbax to divisions S and T that maximizes their net revenues while also selling a quantity in the external market that contributes to the company's total income.
By analyzing the net revenues for divisions S and T at different output levels, considering the external market price, and evaluating the cost and revenue implications, we can determine the optimal quantities of Ranbax to be transferred and sold externally, as well as the range of transfer prices that align with these optimal decisions.
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Need a slogan for my product for business class
is shift work involved for lawyers??
Answer:
I think so.
Explanation:
This may be depending on the job you have in the Lawyer Occupation, but because they must do different types of work and must go to several different clients, I would say yes. Sorry if this is wrong, but I hope it helps!
How does investment in human capital impact a company's productivity?
The more workers a company has, the more it produces.
The more highly educated the workforce, the greater the production.
The more the workforce requires extensive training, the less production in the
long run.
The larger the workforce, the larger the management structure and the lower the
production.
Answer: Human capital is perceived to increase productivity and thus profitability. The more investment a company makes in its employees, the chances of its productivity and success become higher.
income tax is an example of
Income tax is a typical example of a direct tax.
What is a direct tax?Income tax is imposed directly on the income of the individual or company. It takes into consideration the individual's or company's circumstances or level of income. As a direct tax, income tax can be based on any of these taxation systems: progressive, proportional, or regressive.
Thus, income tax is an example of a direct tax.
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Curry Footwear reports net income of $500,000, earnings per share of $1. 50, and has a stock price of $45. 00 at the end of the year. What is Curry Footwear's price-earnings ratio
Curry Footwear reports net income of $500,000, earnings per share of $1. 50, and has a stock price of $45. 00 at the end of the year. So, Curry Footwear's price-earnings ratio is 30.
To calculate Curry Footwear's price-earnings ratio: Follow these steps:
1. Identify the net income, which is $500,000.
2. Identify the earnings per share (EPS), which is $1.50.
3. Identify the stock price at the end of the year, which is $45.00.
The price-earnings ratio is calculated by dividing the stock price by the earnings per share:
Price-Earnings Ratio = Stock Price / Earnings Per Share
In this case, the calculation would be:
Price-Earnings Ratio = $45.00 / $1.50
Now, just divide the numbers:
Price-Earnings Ratio = 30
So, Curry Footwear's price-earnings ratio is 30.
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Treasury bonds paying an 7.00% coupon rate with semiannual payments currently sell at par value. What coupon rate would they have to pay in order to sell at par if they paid their coupons annually? (Do not round intermediate calculations. Round your answer to 2 decimal places.) Coupon rate = _____ %
The coupon rate that Treasury bonds would have to pay in order to sell at par if they paid their coupons annually is 7.12 %.
To determine the coupon rate we can follow these steps:Step 1: Determine the effective annual rate (EAR) using the semiannual coupon rate.
EAR = (1 + (Coupon Rate / 2))^2 - 1
EAR = (1 + (0.07 / 2))^2 - 1
EAR = (1 + 0.035)^2 - 1
EAR = 1.071225 - 1
EAR = 0.071225
Step 2: Convert the EAR back to an annual coupon rate.
Annual Coupon Rate = (1 + EAR)^(1/n) - 1
Here, n = 1 because we are looking for an annual coupon rate.
Annual Coupon Rate = (1 + 0.071225)^(1/1) - 1
Annual Coupon Rate = 1.071225 - 1
Annual Coupon Rate = 0.071225
Step 3: Convert the annual coupon rate to a percentage.
Coupon Rate = 0.071225 * 100
Coupon Rate ≈ 7.12 %
So, the Treasury bonds would have to pay a coupon rate of approximately 7.12% to sell at par if they paid their coupons annually.
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Which margin is at the very bottom of the page when printing worksheets?
top margin
bottom margin
header margin
footer margin
Answer:
Footer Margin
Explanation:
Just took this :)
Answer:
Footer Margin
Explanation:
[04.04MC]
Which of the following actions would the Federal Reserve most likely take during
an economic recession? (5 points)
Increase reserve requirement
Raise interest rates
Lower discount rate
Sell government securities
Answer:
Lower discount rate
Explanation:
When commercial banks and other institutions borrow from the federal reserve, they repay at an interest rate known as the discount rate. The discount rate becomes the benchmark for inter-bank borrowing, and by extension, loans to customers. An increase or decline in the discount rate results in banks' interest rates moving in the same direction.
A recession is a business cycle where the growth rate is very low or negative. It is associated with low demand for goods and services, a high unemployment rate, and reduced production. The federal reserve intervenes by employing measures to stimulate production and growth.
In reducing the discount rate, banks' interest rates will reduce. The costs of borrowing money decreases. Firms and households can borrow money for consumption and investment. Reducing the discount rate increases the money supply in the economy. Demand for products and services goes up, which stimulates more production and growth in the GDP value.
Answer:
Lower discount rate
Which conditions contribute to engine deposits ?
Answer: oxidation
combustion byproduct
road dust and dirt
moisture and acid.
Explanation:
One of the main cause of engine deposit is when one drives in areas whereby there are usually high temperature. In such scenarios, the excessive heat can lead to breakdown in the oil which results into engine deposits.
Other causes of engine deposit are oxidation, dust and dirts, the byproducts gotten from combustion etc.
Jannah is reviewing a report that a new marketing manager put together after assessing her small business. If Jannah wants to learn how familiar a customer market is with her company’s products or services, what section of the marketing report should she review?
A.
Financial
B.
Quality control
C.
Brand recognition
D.
Profit margins
Having just graduated with a degree in business, Brianna looks over several offers she has received from companies interested in her talents. She is specifically interested in the wage setup each company is offering. One wants her to manage a small store; this would be a salaried position. Another would have her working in a sales office on commission. The third is a spot in a paper company as an hourly sales manager. Brianna has been offered a chance to do per-project work for a retail company, but she would be an independent contractor. Compare and contrast these
Answer:She's just getting started financially and decides not to join her field's major professional association because she thinks it's not worth the annual fee.
Explanation:There u GO!!<3:)
the fraud triangle contains three elements that must exist for accounting fraud to occur. the elements are: a. motive, opportunity, and means. b. greed, larceny, and access. c. fear, greed, and satisfaction. d. incentive, opportunity, and rationalization.
The fraud triangle contains three elements that must exist for accounting fraud to occur, the elements are: D. incentive, opportunity, and rationalization.
What is a skimming fraud?A skimming fraud can be defined as a type of fraud that involves a criminal (thief) illegally capturing the credit card information of a cardholder without the holder's knowledge, so as to perform unauthorized transactions with it in the future.
Under the fraud triangle, there are three (3) main elements that helps any accounting fraud to occur and these include the following:
IncentiveOpportunityRationalization.In this context, we can reasonably infer and logically deduce that incentive, opportunity, and rationalization are the three (3) main elements of the fraud triangle paradigm.
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Each of the following is an example of corporate governance except : a. Adding non-executives to the board of directors b. Properly disclosing financial information C. Ignoring shareholders' rights d. Controlling executives' salaries
Answer:
C. Ignoring shareholders' rights
Explanation:
Corporate governance refers to the way corporate companies are controlled and directed. The board of directors provides corporate governance in a company. Good corporate governance establishes a framework that protects shareholders' rights in the company.
Some of the shareholders' rights include
1. Right to vote
2. Right to transfer ownership
3. Right to dividends
4. Right to inspect corporate documents
The board of directors must ensure fair treatment of all shareholders, including the minority. The board has to put in place mechanisms that address shareholders' concerns and offers redress when their rights are violated.
Radovilsky Manufacturing Company, in Hayward, California, makes flashing lights for toys. The company operates its production facility 300 days per year. It has orders for about 12,000 flashing lights per year and has the capability of producing 100 per day. Setting up the light production costs $50. The cost of each light is $1. The holding cost is $0.10 per light per year.
Answer:
The right solution is:
(a) 4,272 units
(b) $134.16
(c) $134.17
(d) $12,268.33
Explanation:
Seems that the given question is incomplete. The attachment of the complete question is provided below.
According to the question, the values are:
Annual demand,
D = 12,000
Number of days,
= 300
Daily demand,
d = \(\frac{12000}{300}\)
= 40
Production rate,
P = 100
Ordering cost,
S = $50
Holding cost,
H = $0.10
(a)
The production run's optimal size will be:
Q = \(\sqrt{\frac{2DS}{H(1-\frac{d}{P} )} }\)
By putting the values, we get
= \(\sqrt{\frac{2\times 12000\times 50}{0.10\times (1-\frac{40}{100} )} }\)
= \(\sqrt{20,000,000}\)
= \(4,471.14\)
or,
= \(4,472 \ units\)
(b)
The average holding cost will be:
= \(\frac{Q}{2}\times H\times [1-\frac{d}{P} ]\)
= \(\frac{4472}{2}\times 0.10\times [1-\frac{40}{100} ]\)
= \(134.16\) ($)
(c)
The average setup cost will be:
= \(\frac{D}{Q}\times S\)
= \(\frac{12000}{4472}\times 50\)
= \(134.17\) ($)
(d)
The total cost per year will be:
= \(Avg. \ holding \ cost+ Avg. \ setup \ cost+Cost \ of \ purchase\)
= \(134.16+134.17+(1\times 12000)\)
= \(12,268.33\) ($)
Which of the following is not an example of a tax targeted toward nonresidents of a jurisdiction? Extra sales taxes hotels and motel stays Extra sales taxes on rental cars Extra income taxes on athletes (jock tax) Extra taxes on alcohol and cigarettes (sin taxes)
Extra income taxes on athletes (jock tax) is not an example of a tax targeted toward nonresidents of a jurisdiction.
The jock tax is a tax imposed on athletes or entertainers who earn income while performing in a specific jurisdiction, even if they are nonresidents of that jurisdiction.
It is a form of income tax that targets individuals who earn money from professional sports or entertainment activities within a particular jurisdiction.
The tax is typically based on the number of days spent in the jurisdiction and the income earned during that time.
While the other options listed (extra sales taxes on hotel and motel stays, extra sales taxes on rental cars, and extra taxes on alcohol and cigarettes) are examples of taxes targeted toward nonresidents, the jock tax is not specifically aimed at nonresidents. Instead, it applies to all athletes or entertainers who earn income within a jurisdiction, regardless of their residency status.
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Board co. is expected to pay a dividend of $1.50, and the dividend is expected to grow at a constant rate of 7%. this stock is 30% less risky than the market as a whole.the risk free rate is 6%, and the equity risk premium for the market is 8%. what is the estimated price of the stock
The estimated price of the stock is $37.50.
What is the projected value of the stock?The estimated price of a stock can be calculated using the Gordon Growth Model, which assumes that the dividend grows at a constant rate indefinitely.
In this case, the expected dividend is $1.50, and it is projected to grow at a constant rate of 7%. The stock is considered to be 30% less risky than the overall market.
To calculate the estimated price, we first need to determine the required rate of return. The required rate of return is composed of two components: the risk-free rate and the equity risk premium.
The risk-free rate is given as 6%, and the equity risk premium for the market is 8%. Since the stock is less risky, we need to adjust the equity risk premium accordingly.
In this case, we multiply the market equity risk premium by (1 - 0.30) to obtain the adjusted equity risk premium of 0.70 * 8% = 5.6%.
Now, using the Gordon Growth Model formula, we can calculate the estimated price:
Estimated Price = Dividend / (Required Rate of Return - Dividend Growth Rate)
= $1.50 / (0.056 - 0.07)
= $1.50 / (-0.014)
≈ $37.50
In conclusion, the estimated price of the stock is approximately $37.50.
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Current market prices reflect all relevant publicly available information. this statement is consistent with:_____.a. strong form efficiency b. semistrong form efficiency c. weak form efficiency
Current market prices reflect all relevant publicly available information. this statement is consistent with: semi strong form efficiency
What is market information efficiency?
Market information efficiency refers to the relationship between relevant company's stock information and the market prices of their stocks, in other words, it means how information at the public glare influence the decision of stock investors in determining the fair market prices.
The stock market for instance, the US stock market is said to be of semi strong form efficient if the market prices only reflect all relevant publicly available stock information, unlike strong form efficiency, where stock price reflects all publicly available and non-public available information about the stock.
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1. These are the materials for processing to come up with finished profucts
a. product
b. output
c. input
2. What is the most likely cause of failure of Filipino entrepreneurs?
a. Crab mentality
b. weakness
c. failure to meet the deadline
Answer:
b and c
Explanation:
Because of lack of communication and experience with being a entrepreneur. Plus you have to aggressive to be a business person to get the job one on time.
How do you think your school should respond to this newest variant?
|
Act accordingly to the country's situation.
Which statement best describes the difference between an epidemic and a pandemic?
A pandemic lasts for a long time, and an epidemic lasts only a short period of time.
A pandemic involves many deaths, and an epidemic only involves sickness.
An epidemic is contained to a region, and a pandemic is global
An epidemic involves an illness where a pandemic involves an injury.
acupuncture, herbal medicine, and meditat
the Hippocratic Oath, the humoral theory, and meditation
bloodletting, plasters, and herbal medicine
Answer:
a pandemic involves many deaths , and an epidemic only involves sickness
Answer:
An epidemic is contained to a region and a pandemic is global.
ind the accumulated value of an investment of $25,000 for 3 years at an interest rate of 6.5% if the money is a. compounded semiannually; b. compounded quarterly; c. compounded monthly d. compounded continuously. Round answers to the nearest cent.
If the money is a. compounded semiannually: 30288.68
b. compounded quarterly:30335.18
c. compounded monthly : 30366.79
d. compounded continuously: 30382.77
a) compounded semiannually, n= 2
A = p × ( 1 + r/n )^nt
A = 25000 × ( 1 + 0.065 / 2 ) ^2×3
A = 30288.68
b) compounded quarterly: n= 4
A = p × ( 1 + r/n )^nt
A = 25000 × ( 1 + 0.065 / 4 ) ^4×3
A = 30335.18
c) compounded monthly n = 12
A = 25000 × ( 1 + 0.065 / 12 ) ^12×3
A = 30366.79
d) compounded continuously
A = Pe^rt
A = 25000 ×e^0.065×3
A = 30382.77
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If a director wants employees to read their personnel policies, the statement should be?
Answer:
CONFEDENTCONFIDENTIAL
Explanation:
The managerial function of leading: is a part of the planning process. involves monitoring the organization s progress toward its goals. is the set of processes used to get members of an organization to work together. involves setting an organization s goals and deciding how best to achieve them.
Answer:
is the set of processes used to get members of an organization to work together.
Explanation:
Management can be defined as a strategic process which typically involves analyzing, planning supervising, organizing, controlling and coordination of employees and business activities in order to successfully achieve organizational goals and objectives.
Generally, there are four (4) main components associated with the management of business activities and employees, these includes planning, organizing, leading and controlling.
The managerial function of leading is the set of processes used to get members of an organization to work together. Thus, leading a team of workers working in an organization simply involves communication, motivation, inspiration, direction, guidance and support of these employees in order to enhance their level of output or production at all times.
The managerial function of leading: is a part of the planning process is the set of processes used to get members of an organization to work together, third option is correct.
In order to successfully achieve organizational goals and objectives, management is often characterized as a strategic process that involves analysis, planning, supervision, organizing, regulating, and coordinating of personnel and business operations.
The management of corporate operations and personnel generally consists of four key elements: planning, organizing, leading, and controlling.
The collection of procedures used to get team members in an organization to collaborate is known as the management function of leadership. So, managing a group of people in an organization simply entails communicating with them, inspiring them, directing them, guiding them, and supporting them so that their output or production is always at a higher level.
Thus, third option is correct.
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mention 5 functions of distribution channels
Answer:
movement of goods
information provider
negotiation
financing
risk taking
Explanation:
a distribution channel is a chain of businesses through which a good or service passes until it reaches to the final consumer. hope it helps
Movement of goods, information provider, negotiation, financing and risk taking are the five functions of distribution channels.
What is distribution channels?A product or service could travel down a distribution channel to reach the market. A direct distribution channel is defined. A corporation can sell to customers directly through a direct distribution channel, which is typically a website or physical store.
Wholesalers, retailers, distributors, and the Internet are examples of distribution channels. The manufacturer sells directly to the customer through a direct distribution channel. Before the product reaches the customer, indirect routes use a number of middlemen.
Channels of distribution are crucial to organizations because they enable efficient delivery of products or services to clients. Unhappy customers and a subpar service may result from a firm failing to find the best group of businesses for this reason.
Thus, Movement of goods, information provider, negotiation, financing and risk taking.
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Question 9 (1 point) Listen Mahesh borrowed $4,130 from Becky. He signed a contract agreeing to pay it back 9 months later with 5.35% simple interest. After 3 months, Becky sold the contract to Stan at a price that would earn Stan 5.00% simple interest per annum. Calculate the simple interest rate that Becky earned during the period that she held the contract. Express your answer as a percentage rate rounded to 2 decimal places but don't include the % sign. Your Answer: Ancier
To calculate the simple interest rate that Becky earned during the period she held the contract, we can use the formula for simple interest:
Simple Interest = Principal * Rate * Time. Mahesh borrowed $\(4,130\) from Becky for a period of 9 months with an interest rate of \(5.35\)%. However, after 3 months, Becky sold the contract to Stan.
To find the interest rate that Becky earned during the 3-month period, we can set up the equation:
Simple Interest (Becky) = Principal * Rate (Becky) * Time (Becky)
Simple Interest (Stan) = Principal * Rate (Stan) * Time (Stan)
Since Stan purchased the contract with the intention of earning 5.00% simple interest per annum, we can assume the time period for Stan is also 3 months. To calculate the interest rate earned by Becky, we can rearrange the formula:
Rate (Becky) = Simple Interest (Becky) / (Principal * Time (Becky))
Substituting the given values:
Rate (Becky) = Simple Interest (Becky) / ($\(4,130 * 3\) months)
Once you have the value for Simple Interest (Becky), divide it by $4,130 * 3 months to find the interest rate earned by Becky.
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Which of these is an example of following up as it pertains to the selling
process?
A. Greeting a customer as he is browsing the aisles
B. Helping a customer customize her purchase
C. Thanking a customer for her purchase
D. Asking a customer for feedback after a service is given
Answer:
D. Asking a customer for feedback after a service is given
Explanation:
Just took the test.
Asking a customer for feedback after a service is given is an example of following up as it pertains to the selling process. Thus, option D is correct.
Post-purchase evaluation as the term implies, is done after the product is purchased and checks how well the product does what it is meant to do.
When Mike asks customers to complete a feedback survey, they will indicate on the survey what they thought of his service such that he would know whether he fulfilled his purpose for the service. This therefore includes the customers in the post-purchase evaluation.
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Who is the group of people MOST likely to purchase a company's products?
O A.marketing mix
О в.target market
O C.primary audience
O D. advertising audience
Option B is correct.A target/goal market is a crew of customers with shared demographics who have been recognized as the most likely buyers of a company's product or service.
Why is goal market important?Having the right target market helps you decide where to find practicable purchasers who are looking for what you have to offer. If you have a target market, you know where to concentrate your advertising and marketing efforts and what to provide that is compelling and properly received.
For example, a children's toy may additionally have boys a while 9–11 as the target market and the boys' mother and father as the target audience. It may additionally also be defined as the consumer segment most likely to be influenced through an advertising campaign. The target market is also awesome from the buyer persona.
Learn more about target market here:
https://brainly.com/question/20974098#SPJ1One of the growers is excited by this advancement because now he can sell more crops, which he believes will increase revenue in this market. As an economics student, you can use elasticities to determine whether this change in price will lead to an increase or decrease in total revenue in this market. Using the midpoint method, the price elasticity of demand for soybeans between the prices of $15 and $9 per bushel is , which means demand is between these two points. Therefore, you would tell the grower that his claim is , because total revenue will as a result of the technological advancement.
Answer:
0.67
inelastic
incorrect
Explanation:
Midpoint method is used by economists to identify the price elasticity. In this method the percentage change in quantity demanded is divided by percentage change in price. In the given scenario the price elasticity of bushel is 0.67 which determines that the change in quantity demanded will be due to change in price. The demand is inelastic therefore the claim of farmers is incorrect.