which of the following statements is correct?question 7 options:senior debt is debt that has been more recently issued, and in bankruptcy it is paid off after junior debt because the junior debt was issued first.

Answers

Answer 1

The statement which is correct is Convertible bonds generally have lower coupon rates than non-convertible bonds of similar default risk because they offer the possibility of capital gains, option C.

With a plain vanilla convertible bond, the investor has the option of either holding the bond until it matures or converting it to stock. The investor can retain the bond to maturity and get the face value if the stock price has dropped since the bond's issuance date.

The investor can convert the bond into stock and choose whether to hold or sell the stock at a higher price if the stock price rises considerably. When the gain from the stock sale exceeds the bond's face value plus the sum of the outstanding interest payments, the investor seeks to convert the bond to stock.

The best method for handling your credit card responsibly is to pay it off completely. A zero balance can be achieved to avoid the interest charges associated with maintaining a balance. If you can, try to make more than the minimum payment each month since this will lower your interest payments to the credit card company and lower the total amount of debt that has to be paid off.

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Complete question:

Which of the following statements is CORRECT?

a. Senior debt is debt that has been more recently issued, and in bankruptcy it is paid off after junior debt because the junior debt was issued first.

b. A company's subordinated debt has less default risk than its senior debt.

c. Convertible bonds generally have lower coupon rates than non-convertible bonds of similar default risk because they offer the possibility of capital gains.

d. Junk bonds typically provide a lower yield to maturity than investment-grade bonds.

e. A debenture is a secured bond that is backed by some or all of the firm


Related Questions

If the following information is given about a specific company

Selling price per unit➔ $ 31.25

Fixed Expenses

Selling and Administration $ 37,330

Interest Expenses $ 14,250

Variable Expenses

Cost of Goods Sold $17.35

Selling and Administrative $ 8.29

(Show all work – Formula and calculations)

What is the company’s contribution margin? What does it mean?

How many items the company must sell in order to break even? What is it in dollars term

At the end of the month, instead of breaking even, the company registered a net loss of $22345, what number of units were sold?

Answers

1. The company's contribution margin can be calculated by subtracting the variable expenses per unit from the selling price per unit: $31.25 - $17.35 - $8.29 = $5.61.

2. To determine the number of items the company must sell to break even, we need to calculate the break-even point in units. The formula for break-even point in units is Fixed Expenses / Contribution Margin per unit: ($37,330 + $14,250) / $5.61 ≈ 10,214 units.

3. To calculate the break-even point in dollars, we multiply the break-even point in units by the selling price per unit: 10,214 units * $31.25 = $319,187.50.

4. If the company registered a net loss of $22,345 at the end of the month, we can calculate the number of units sold by dividing the net loss by the contribution margin per unit: $22,345 / $5.61 ≈ 3,982 units.

Selling price per unit: $31.25

Fixed Expenses:

Selling and Administration: $37,330

Interest Expenses: $14,250

Variable Expenses:

Cost of Goods Sold: $17.35

Selling and Administrative: $8.29

Contribution Margin Calculation:

The contribution margin represents the profit margin per unit after deducting variable expenses from the selling price per unit.

Contribution Margin = Selling Price - Variable Expenses

Contribution Margin = $31.25 - ($17.35 + $8.29)

Contribution Margin = $5.61 per unit

Break-Even Point Calculation:

The break-even point is the number of units a company needs to sell in order to cover all its expenses and reach a net income of zero. To calculate the break-even point, we'll use the contribution margin ratio.

Contribution Margin Ratio = Contribution Margin / Selling Price

Contribution Margin Ratio = $5.61 / $31.25

Contribution Margin Ratio = 0.17952 or 17.95%

Break-Even Point in Units = Fixed Expenses / Contribution Margin Ratio

Break-Even Point in Units = $37,330 / 0.17952

Break-Even Point in Units = 207,692.3 units

Break-Even Point in Dollars = Break-Even Point in Units x Selling Price

Break-Even Point in Dollars = 207,693 units x $31.25

Break-Even Point in Dollars = $6,490,406.25

Loss Calculation:

To calculate the number of units sold when incurring a net loss, we'll use the following formula:

Net Loss = (Selling Price x Number of Units Sold) - (Fixed Expenses + Variable Expenses x Number of Units Sold)

Net Loss = ($31.25 x Number of Units Sold) - ($37,330 + $17.35 + $8.29) x Number of Units Sold

Net Loss = ($31.25 - $25.64) x Number of Units Sold - $37,330

Net Loss = $5.61 x Number of Units Sold - $37,330

$22,345 = $5.61 x Number of Units Sold - $37,330

$5.61 x Number of Units Sold = $22,345 + $37,330

$5.61 x Number of Units Sold = $59,675

Number of Units Sold = $59,675 / $5.61

Number of Units Sold = 10,617.94 or 10,618 units

Therefore, Based on the calculations, the company has a contribution margin of $5.61 per unit. The break-even point is reached when 207,693 units are sold, resulting in a revenue of $6,490,406.25. Additionally, the company incurred a net loss of $22,345 and sold 10,618 units during that period.

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Why might a person assume the Mr. White could be doing well financially

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\(\huge\color{purple}{\mathbb{ANSWER:}}\)

Mr. White was the third and final owner of the talisman in W. W. Jacobs' short story "The Monkey's Paw." He plucked it from the fireplace when the previous owner, Sergeant Major Morris, tossed it there to burn and end the chain of misfortune that came with it. He is motivated mostly by curiosity, since he seems happy with his life and is financially secure.

Mr. White took the paw from his pocket and eyed it dubiously. "I don't know what to wish for, and that's a fact," he said slowly. "It seems to me I've got all I want."

Hope it helps!!

A(n) _____ identifies how you feel about an activity or subject.

Answers

Answer:

Survey

it questions and identifies how you feel about an activity or subject.

Answer: interest theory

took it on edg.

When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must

Answers

When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.

This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.

To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.

Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.

Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.

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how do export subsidies affect international trade? multiple select question. they reduce production costs for the domestic producer. they enable domestic businesses to sell more goods globally. they enable domestic producers to charge a lower price, becoming more competitive. they increase the domestic price of the good and increase a firm's profits.

Answers

They enable domestic businesses to sell more goods globally. They reduce production costs for the domestic producer. They enable domestic producers to charge a lower price, becoming more competitive. The correct answer is  a, b and c.

Export subsidies can have several effects on international trade. The following options correctly describe some of these effects:

They enable domestic businesses to sell more goods globally: Export subsidies provide financial incentives to domestic producers, making their goods more affordable and competitive in international markets. This can lead to an increase in export volumes and help domestic businesses expand their presence in global trade.

They reduce production costs for the domestic producer: Export subsidies can offset various costs associated with exporting, such as transportation, marketing, or production costs. By reducing these costs, domestic producers can enhance their competitiveness and profitability in the global marketplace.

They enable domestic producers to charge a lower price, becoming more competitive: Export subsidies can help domestic producers lower the price of their goods, making them more attractive to international buyers. This increased competitiveness can lead to greater market share and higher export volumes.

The correct answer is  a, b and c.

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Complete Question

how do export subsidies affect international trade? multiple select question.

a. they reduce production costs for the domestic producer.

b. they enable domestic businesses to sell more goods globally.

c. they enable domestic producers to charge a lower price, becoming more competitive.

d. they increase the domestic price of the good and increase a firm's profits.

pension fund manager is considering three mutual funds. The first is a stock fund, the second is a long-term government and corporate bond fund, and the third is a T-bill money market fund that yields a sure rate of 5.5%. The probability distributions of the risky funds are: Expected Return Standard Deviation Stock fund (S) 15 % 32 % Bond fund (B) 9 % 23 % The correlation between the fund returns is 0.15. Suppose now that your portfolio must yield an expected return of 12% and be efficient, that is, on the best feasible CAL. a. What is the standard deviation of your portfolio? (Do not round intermediate calculations. Round your answer to 2 decimal places.)

Answers

The standard deviation of the portfolio is 7.09%.

What is the proportion of stock in minimum risky portfolio?

= [(0.23)² - (0.32*0.23*0.15)] / [(0.32)² + (0.23)² - (2*0.32*0.23*0.15)]

= 0.31421708452

= 31.42%

What is proportion of bond fund in minimum risky portfolio?

= 1 - 0.31421708452

= 0.68578291548

= 68.58%

What is the expected return of minimum risky portfolio?

= 0.3142*15% + 0.6858*9%

= 0.04713 + 0.061722

= 0.108852

What is the standard deviation of your portfolio?

= ((0.6858)² * (0.23)² * (0.3142)² * (0.33)²) + ((2 * 0.6858 * 0.3142 * 0.32 * 0.23 *  0.15))^0.5

= (0.00026747972 + 0.00475776218)^0.5

= 0.0050252419^0.5

= 0.0708889406

= 7.09%

Therefore, the standard deviation of the portfolio is 7.09%.

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pmp what tqm approach focuses on continuous process improvement with the ultimate goal of improving quality and meeting customer needs? ?

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The Total Quality Management (TQM) approach that focuses on continuous process improvement with the goal of improving quality and meeting customer needs is called Continuous Improvement.

Continuous Improvement is a key aspect of TQM and it involves a never-ending cycle of evaluating processes, identifying areas for improvement, implementing changes, and then evaluating the results to identify further opportunities for improvement.

The focus of Continuous Improvement is on making incremental improvements to processes over time, with the ultimate goal of improving quality and meeting customer needs.

This approach is supported by tools such as statistical process control, process mapping, and root cause analysis, which help to identify areas for improvement and track progress.

In project management, Continuous Improvement can be applied to project processes, such as project planning and execution, to continually improve project performance and outcomes.

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What does research show regarding the amount of information people need to form an accurate impression of someone?.

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According to research, people need a surprisingly small amount of information to form an accurate impression of someone. In fact, studies have shown that people can form accurate impressions of others based on very little information, including a photo of their face or a brief written description.

In one study, participants were able to accurately predict the outcomes of mock job interviews based on just six seconds of silent video footage of the interviewee. This suggests that people are able to quickly pick up on social cues and make accurate judgments about others based on even minimal information. Other research has found that people tend to form first impressions based on a number of factors, including physical appearance, body language, tone of voice, and facial expressions.

These impressions can be formed in a matter of seconds and can have a lasting impact on how we perceive others.In conclusion, research shows that people can form accurate impressions of others based on a surprisingly small amount of information, including a photo, brief description, or even a few seconds of video footage. These impressions are often based on factors such as physical appearance, body language, tone of voice, and facial expressions, and can have a lasting impact on how we perceive others.

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if relative resource cost is low and relative resource produced value is high, one would expect to achieve:

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If relative resource cost is low and relative resource produced value is high, one would expect to achieve a higher profit margin.

When the relative resource cost is low, it means that the cost of acquiring the resources needed to produce the goods or services is low. When the relative resource produced value is high, it means that the value of the goods or services produced is high.

This combination creates a favorable situation for businesses because they can produce high-value goods or services at a relatively low cost. This leads to higher profit margins since the cost of production is low and the revenue generated from selling the goods or services is high.

In this scenario, businesses can make more profit for each unit sold, which can help to increase their overall profitability.

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The SAFe Scrum Master role includes responsibilities to which other group?

o Business owners

o Solution Management

o Solution Train Engineers

o The other Agile Teams on the Agile release train (ART)

Answers

The SAFe Scrum Master role includes responsibilities towards the other Agile Teams on the Agile Release Train (ART). So, correct option is D.

The Agile Release Train is a collection of Agile teams that work together to deliver a product increment during a fixed time frame known as a Program Increment (PI). The Scrum Master in the SAFe framework plays a crucial role in facilitating the Agile processes for the team and helping to remove any impediments that are blocking the team's progress.

The Scrum Master collaborates with the other Scrum Masters on the ART to help manage cross-team dependencies and ensure that the teams are working towards a shared goal.

The Scrum Master also participates in Scrum of Scrums meetings, where representatives from each Agile team on the ART discuss progress, impediments, and other issues affecting the overall delivery of the product increment.

Therefore, the SAFe Scrum Master role has a significant responsibility towards the other Agile teams on the ART to ensure effective collaboration and timely delivery of product increments.

So, correct option is D.

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In 2011, it was estimated that 45 percent of Indians worked in the primary sector - mainly agriculture. Why was this sector least important of the three in terms of output?

Answers

Answer:

not sure i can really help sorry

What if some of these factors do change? For example, if advertising causes more people to want Red Baron frozen cheese pizzas, demand will increase. Now the initial demand curve, D1 (the blue line in Figure 13-4B), no longer represents the demand. Instead, the new demand curve, D2 (the red line in Figure 13-4B) represents the new demand for Red Baron frozen cheese pizzas. Economists call this ______________________—in this case, a shift to the right from D1 to D2. This increased demand means that more Red Baron frozen cheese pizzas are wanted for a given price. At a price of $6 (point 3), the demand is 5 million units per year (Q3) on D2 rather than 3 million units per year (Q2) on D1.

Answers

Economists call this a shift in the demand curve, also known as a change in demand.

In general , the shift in the demand curve can occurs when a non-price factor affecting demand, such as advertising in this example, get completely changed .

This also indicates that at any given price, the quantity that is being demanded can increased or decreased. Upon increased advertising that may cause the demand curve to shift to the right, from D1 to D2, that means at given price, consumers is not willing to buy more Red Baron frozen cheese pizzas than they use to buy is before.

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can i doit without pay

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Answer:

what?

Explanation:

How can I become rich???

Answers

Explanation:

1, Don’t focus on a job, use the income from your job to invest to create different forms of income

2, Fastest way to get rich is to form a business

that's it :)

You can start a side business or go into a trade they are really high in demand because nobody wants to do them

. A tomato farmer has used direct distribution to sell to local consumers through an area farmers' market. Last year, she sold 400 bushels of tomatoes at $2.49 a pound. (There are 53 pounds in a bushel of tomatoes.) This year she is considering using an indirect channel by selling to two area supermarkets. She estimates that she can sell 650 bushels at $1.63 a pound. What will be the difference in revenue if she makes the change? What other factors should the farmer consider before changing to indirect distribution?

Answers

Answer:

the farmer's total revenue when she uses the direct channel = 400 x $2.49 = $996

if she uses the indirect channel, her total revenue = 650 x $1.63 = $1,059.50

her total revenue will increase when selling to he supermarkets, but also her variable production costs will increase. This means that it is probable that her total contribution margin decreases even if total revenue decreases.

The farmer's total revenue when she uses the direct channel is $996 and the difference in revenue if she makes the change will be $63.5

What do you mean by Total revenue?

Revenue is the total amount of sales of goods and services. It is calculated by multiplying the total amount of goods and services sold at the price of goods and services.

Total revenue when she uses the direct channel is $996  

\(\rm\, Total \,Revenue = 400 \times \$2.49 \\\\\rm\, Total \,Revenue = \$996\)

If she uses the indirect channel, her total revenue is $1,059.50.

\(\rm\,Total \,Revenue = 650 \times \$1.63\\\\\rm\,Total \,Revenue = \$1,059.50\)

The difference in revenue between direct selling and indirect selling:

\(\rm\, \$1,059.50 - \$996 = \$63.5\)

The farmer's total revenue will increase when selling to the supermarkets, but also her variable production costs will increase which has to be kept in mind while choosing indirect selling.

Therefore, the farmer should keep the variable factor costs in mind before selecting indirect selling as the revenue might increase but the percentage of increase probably may not be high.

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If The WeLoveFinanceAndWantToTakeMore Company invests in the following 4-year project, by what amount is the value of the company expected to change? Assume a cost of capital of 9%. SHOW ALL WORK with either the MyLab Calculator or the TI BAII Plus Calculator for FULL CREDIT.
Estimated end-of-year cash Flows:
Year 0 (today) -$200,000
Year 1 $48,000
Year 2 $55,000
Year 3 $100,000
Year 4 $45,000
b) (3 pts) Should the company accept or reject it?

Answers

To calculate the expected change in the value of the company, we need to calculate the present value of the estimated end-of-year cash flows, and subtract the initial investment. Assuming a cost of capital of 9%, we can use the following formula:

PV = FV / (1 + r)^n

where PV is the present value, FV is the future value, r is the discount rate, and n is the number of years.

Using this formula, we can calculate the present value of each cash flow as follows:

Year 0: PV = -$200,000 / (1 + 0.09)^0 = -$200,000

Year 1: PV = $48,000 / (1 + 0.09)^1 = $44,036.70

Year 2: PV = $55,000 / (1 + 0.09)^2 = $46,876.81

Year 3: PV = $100,000 / (1 + 0.09)^3 = $75,903.75

Year 4: PV = $45,000 / (1 + 0.09)^4 = $31,438.97

The total present value of the estimated cash flows is:

PV = -$200,000 + $44,036.70 + $46,876.81 + $75,903.75 + $31,438.97

PV = $-1,654.77

Since the total present value of the cash flows is negative, the project is expected to result in a decrease in the value of the company, and the company should reject the project.

Therefore, the company should reject the project, as it is expected to result in a decrease in the value of the company.

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Economists assume that people are rational in the sense that.

Answers

In the sense that consumers and firms use all available information as they take actions intended to achieve their goals

An injunction that requires a defendant to take an action or set of actions is
an) injunction
A. permanent
B. prohibitory
C. mandatory
Ο Ο
D. interim

Answers

Answer:

C. mandatory

Explanation:

A law can be defined as the system of principles, regulations and rules established by legislature, that is adopted in a community, society or country to regulate the actions of its citizens, members or employees.

Thus, law is a tool used by the judiciary, lawyers, individuals, organizations, and even government to ensure everybody is well behaved, non-criminal and civil in their actions. Therefore, a law creates the foundation for ethical behavior.

In circumstances where there are aberration, the law is enforced as a punishment and penalty for wrongdoings or misdeeds.

There are various types of law and these includes; criminal law, constitutional law, intellectual property law, corporate law, international law, family law, civil law, etc.

An injunction can be defined as a legal and equitable court order compelling (commanding) or prohibiting an individual, group or entity to either perform or cease from performing a specific action.

Basically, a court of competent jurisdiction is empowered by law to grant an injunction to a third party for further examination and trial.

Similarly, an injunction that requires a defendant or plaintiff to take an action or set of actions is a mandatory injunction.

Answer:

C. mandatory

Explanation:

Temporary and Permanent Injunctions ( Sections 36 & 37)Perpetual Injunctions ( Section 38)Mandatory Injunctions ( section 39)Damages in lieu of or in addition to Injection( Section 40)Injunction to perform a negative covenant( section 42)

Distinguish between private and public company???​

Answers

Answer:

-Private company has mininmum 1 and maximum 101 member.

Public company has minimum 7 member and maximum is bounded by its share capital.

-Private company is smaller than the public companies by the no.of capital.

Public company is larger than private company and spread in different place.

-Private company uses the term Private limited after its name.

Public company uses the term Limited after its name.

-Examples of Private company are: Asmita Book Publication Pvt.ltd and Karunanidhi Education Foundation Pvt.ltd

Examples of Public company are:Nepal oil corporation and Nepal electricity Authority.

Explanation:

Distinguish between Private and Public

Company???

public company is a company that is listed in the well-known stock exchange and can be traded freely. Where a private limited company is not listed on a stock exchange and it is held privately by the member of the company

hope it helps unnie mark me as brainliest please please

have a bangtastic day ahead

Saranghae

a decrease in the price level will decrease gdp and thereby move the economy ▼ the aggregate demand curve. T/F

Answers

False. A decrease in the price level will increase real GDP and shift the aggregate demand curve to the right due to increased purchasing power.

The aggregate demand (AD) curve will normally move to the right and real GDP will rise if the price level falls. This is because reduced prices give consumers and businesses more purchasing power, which boosts investment and consumption. This increases the demand for products and services, which grows GDP.

The AD curve moves to the right as a result. It is important to keep in mind, however, that the connection between price level and GDP is complicated and can change based on a range of variables, including the type of shocks that influence the economy.

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False. A decrease in the price level will decrease GDP and thereby move the economy to the aggregate demand curve.

In fact, a drop in prices will boost GDP and move the aggregate demand (AD) curve of the economy to the right. This is due to the fact that as prices decline, consumers are able to spend more of their money on goods and services, increasing aggregate demand. Real GDP will rise as a result of businesses having to boost output to keep up with rising aggregate demand. Conversely, a rise in prices will result in a drop in GDP and a leftward shift in the economy's AD curve. This is due to the fact that as prices rise, consumers will be able to afford fewer products and services, which will reduce aggregate demand. As aggregate demand falls, firms will produce less output, leading to a decrease in real GDP.

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what are some corrective actions (or recommendations) to strengthen Louis Vuitton’s business? provide a brief justification (or an evidence) to support your explanation (long answer)

Answers

Answer:

Louis Vuitton (LV) had the prolific year 2014 because it continued to grow, despite changes in its market environment. The company has been responsive in its strategies and has maintained a long-term future (LVMH 4). Nevertheless, the company continues to face competitive challenges in the luxury product market. It faces the challenge of sustaining its performance amid the growing difficulties in penetrating new markets and the improvement in the activities by rivals to target its dominant market segment. The company follows a differentiation strategy.

The overall strategies are taken by LV also lead to changes in the parent company, as LV is the main revenue contributor to the LVMH group. The company has to sell to three main customer segments without jeopardizing its reputation in any of them. The segments are absolute, aspirational, and accessible. The absolute segment is very critical of customer care, product quality, and overall brand reputation. It also has the widest variation in preferences in the main global markets of LV. Besides, it has a substantial demand that has forced LV to reconsider many of its decisions that could have affected its performance in this segment. The aspirational segment has mixed characteristics while the accessible segment is less critical to brands and, therefore, most prone to sway to the competition. All the customer segments are collectively influenced by a great brand and product innovation strategy that LV has been exploring in the past few years (LVMH 34-56). The European monetary problems are easing, which should present a good environment for growth in the market (LVMH 5).

​Social

The company has relied on leaders brought in by its parent company LVMH. It has also relaxed its use of in-house production resources in the past to focus on outsourcing (LVMH 54-55). However, the decision was reversed to save the company’s brand. Another problem is that the personal luxury business is growing in different directions in separate markets that LV serves. Its biggest market continues to be China, Europe, Japan, and the United States. Its Chinese market characteristics are different from those of Europe and Japan. However, the company has to meet the challenges of these markets without seeming to abandon any of its quality standards for customer service and product development. For example, it cannot discount products or follow noncompany-owned distribution models even when such strategies would significantly lead to a rise in revenues in the respective markets. These issues include a balance of the values and heritage of Louis Vuitton. The company has a 150-year reputation that it has to uphold while responding to the modern challenges of the business (Mahbubani 4).

​Technological

The company has a limited product range, and the main products are more than a century old. The leather bag collection and the trunks with a five number combination lock have been in production since the late nineteenth century. They can rely on this technological reputation to defend their market share and appeal to the absolute and aspirational customer segments that are fixated on getting true luxury regarding uniqueness, heritage, quality, and visibility. The product line allows LV to claim that it is offering the most beautiful specimens of French manufacturing (Mahbubani 2). The exclusivity of the designs and their ruggedness are reputations that help the LV brand to sell to existing and new luxury customers. Customers get information and look up things or exchange views online, which is the way they shop. The behavior shapes the direction that LV is taking when differentiating its experience online. The company is building a following in social media channels to improve interaction with its brand. The digital platforms also use new forms of advertising to different niches like soccer fans (LVMH 11).

Noel was assigned a group project in class. What benefit will Noel get from working with a team?

A Independence
B Increased creativity
D Easy class credit
C Easy decision making

Answers

B) multiple minds increase the creativity put out into their project

Answer:

B Increased creativity

Explanation: got test

What are the two most common formats for public relations messages placed on a company blog?
A. the op-ed piece and the product analysis
B. the product analysis and the executive biography
C. the executive biography and the organization history
D. the organization history and the press release
E. the press release and the op-ed piece

Answers

The two most common formats for public relations messages placed on a company blog are the press release and the op-ed piece. Therefore, the correct option is E. the press release and the op-ed piece

A press release is a written statement that announces something newsworthy about a company, such as a product launch, a new partnership, or a major milestone.

Press releases are often used to generate media coverage and can be distributed to journalists, bloggers, and other influencers. An op-ed piece, on the other hand, is a written article that expresses the opinion of the author on a particular issue or topic related to the company or industry.

Op-ed pieces are often written by executives or thought leaders within the company and can help establish the company's position on important issues or showcase its expertise in a particular area.

Both press releases and op-ed pieces are effective tools for public relations on a company blog and can help increase brand awareness and engagement with the target audience.

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erica is a social media influencer. she is hired by a snowboard company to promote their boots, helmets, and boards but is told not to disclose her connection with the brand. what legal or social issue in internet marketing does this most closely relate to?

Answers

Your firm may benefit greatly from marketing.It strengthens current client relationships and forges new ones.

However, before you start contacting clients or potential consumers, there are a few important legal considerations you need to be aware of.

The FTC and other consumer protection agencies' rules and regulations, as well as privacy and data collecting, intellectual property issues, and other legal matters, are the three primary legal areas you need to take into account.

It might sound obvious to say that you must gather contact information from your clients or potential customers before you can send marketing emails or messages.

The actual method of gathering the data, however, is far more difficult than it first appears, especially if you're attempting to do so in a way that complies with the law.

The majority of countries and regions have privacy laws in place that provide for notifying people before collecting their personal information.

This also applies to a current client, albeit in the UK there are a few rules that are a little more lenient for clients who have previously made a purchase from you.

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Write about the ways to maintain a positive body
image.

What I Should Do to Maintain a Positive Body Image​

Answers

Answer:

Eat Healthy

Maintain a good diet

Meditate

Practice self confidence

Work out

Stay positive

Have a healthy mental state

Joji is a 37-year-old married business owner. He runs a dry cleaning service with three locations in Toledo, Ohio. His personal obligations are the home that he owns with his wife, who works for a large financial consulting firm; the healthcare of his family; and his commitment toward saving for his three children's college educations. Joji knows that two of his locations require a large infusion of cash to pay for new and expensive dry cleaning equipment. Although his wife's job provides the family with health insurance, it also places the family in a higher income tax bracket. Joji would certainly like to minimize his taxes. Which of the following forms of business ownership would you suggest for him?A. Joji should consider a limited liability company because he will only be liable for what he has invested in the business. His personal assets will be protected, and he can be taxed like a sole proprietorship.
B. Joji should consider a sole proprietorship due to the fact that it pays its own taxes and it has limited liability.
C. Joji should consider a corporation because he can avoid the negative aspect of limited liability. Corporations are always taxed at a lower rate than individuals.
D. Joji should consider a sole proprietorship due to the fact that it has unlimited liability and it will protect the family's personal assets.

Answers

Answer:

a

Explanation:

For the situation given above where Joji wants to save his taxes, it would be advisable for him to consider incorporation of a limited liability company because he will only be liable for what he has invested in the business. His personal assets will be protected, and he can be taxed like a sole proprietorship. Therefore, the option A holds true.

What is the significance of a limited liability company?

A limited liability company can be referred to or considered as a company where the members who hold ownership share in the company have an advantage of protecting their personal liabilities in case of insolvency of the firm.

The members of the limited liability company are joint owners, and also hold the liability for the profits and losses of the firm in the regular functioning. Taxation for members is done in the capacity of a sole proprietor, if there is a single member in the company.

Therefore, the option A holds true and states regarding the significance of a limited liability company.

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Your investment club has only two stocks in its portfolio. $45,000 is invested in a stock with a beta of 0.9, and $55,000 is invested in a stock with a beta of 1.1. What is the portfolio's beta

Answers

The portfolio's beta is 1.01.

To find the portfolio's beta, you need to calculate the weighted average of the two stocks' betas based on their respective investments.

First, calculate the total investment in the portfolio:

Total investment = $45,000 + $55,000 = $100,000

Next, calculate the weight of each stock in the portfolio:

Weight of Stock 1 = $45,000 / $100,000 = 0.45

Weight of Stock 2 = $55,000 / $100,000 = 0.55

Now, multiply each stock's weight by its beta:

Weighted Beta of Stock 1 = 0.45 x 0.9 = 0.405

Weighted Beta of Stock 2 = 0.55 x 1.1 = 0.605

Finally, add the two weighted betas together to get the portfolio's beta:

Portfolio Beta = 0.405 + 0.605 = 1.01

Therefore, the portfolio's beta is 1.01.

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A budget prepared at a single volume of activity is referred to as a _____.
(a) strategic budget
(b) static budget
(c) standard budget
(d) flexible budget

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A budget prepared at a single volume of activity is referred to as a static budget. The correct option is b.

A static budget is a budget that remains unchanged regardless of the actual level of activity, making it useful for comparing planned performance with actual performance at a specific activity level.

A budget prepared at a single volume of activity is referred to as a static budget (b). A static budget is a financial plan that remains fixed regardless of the actual level of activity achieved. It is based on a predetermined level of output or sales volume and does not adjust to changes in activity levels.

The purpose of a static budget is to provide a benchmark for evaluating performance. It allows organizations to compare actual results against the planned budget to determine the extent of variances.

Variances can indicate areas where the organization performed better or worse than expected, providing valuable insights for management decision-making.

However, one limitation of a static budget is that it does not account for changes in activity levels or the impact of varying costs at different production levels. This is where a flexible budget (d) becomes useful.

A flexible budget adjusts the budgeted figures based on the actual activity achieved, allowing for a more accurate reflection of costs and revenues at different levels of output or sales.

In conclusion, while a static budget is prepared at a single volume of activity and serves as a reference point for performance evaluation, a flexible budget offers greater adaptability and provides more meaningful insights into financial performance across varying levels of activity.

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Abc company is in the process of issuing bonds. The bonds have a stated interest rate of 6%, which is 2% above the current market rate. What effect will the two interest rates have on the bond issue price?.

Answers

Answer:

The issue price will be above the bond's face value.

Explanation:

In financial analysis, it is important to select an appropriate discount rate. A project's discount rate must be high to compensate investors for the project's risk. The return that shareholders require from the company as a compensation for their investment risk is referred to as the cost of equity. Consider this case:Markung's Co. is a 100% equity-financed company (no debt or preferred stock); hence, its WACC equals its cost of common equity. Markung's Co.'s retained earnings will be sufficient to fund its capital budget in the foreseeable future. The company has a beta of 1.65, the risk-free rate is 5.5%, and the market return is 7.2%. What is Markung's Co.'s cost of equity?a) 29.13%b) 8.31% c) 10.01% d) 19.08%

Answers

Markung's Co.'s cost of equity is 8.31%. Therefore, the correct option is B.

In order to calculate Markung's Co.'s cost of equity, we can use the Capital Asset Pricing Model (CAPM). The CAPM formula is as follows:

Cost of Equity = Risk-free rate + (Beta * (Market return - Risk-free rate))

Given the information provided:
Beta = 1.65
Risk-free rate = 5.5%
Market return = 7.2%

Let's plug the values into the CAPM formula:

Cost of Equity = 5.5% + (1.65 * (7.2% - 5.5%))

Cost of Equity = 5.5% + (1.65 * 1.7%)

Cost of Equity = 5.5% + 2.805%

Cost of Equity = 8.31%

So, cost of equity is 8.31% which corresponds to option B.

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