Motors shares are expected to pay dividends of $1.40, $1.70, and $1.20 at the end of each of the next three spectively. The investor expects the price of the shares at the end of this 3-year holding period to be $57.00. stor's required rate of return is 10.5%. Calculate the current value of Reliable's shares.

Answers

Answer 1

The current value of Reliable's shares is approximately $45.999. It can be calculated using the discounted cash flow (DCF) method.

By discounting the future dividends and the expected share price, we can determine their present value.

To calculate the present value of dividends, we discount each dividend by the required rate of return (10.5%) using the formula:

PV(dividend) =[tex]Dividend / (1 + r)^n[/tex]

PV(dividend1) = $1.40 / [tex](1 + 0.105)^1[/tex] = $1.40 / 1.105 ≈ $1.264

PV(dividend2) = $1.70 / [tex](1 + 0.105)^2[/tex] = $1.70 / 1.225 ≈ $1.388

PV(dividend3) = $1.20 /[tex](1 + 0.105)^3[/tex] = $1.20 / 1.339 ≈ $0.895

Next, we calculate the present value of the expected share price at the end of the holding period:

PV(share price) = Expected share price /[tex](1 + r)^n[/tex]

PV(share price) = $57.00 / (1 + 0.105)^3 = $57.00 / 1.344 ≈ $42.452

Finally, we sum up the present values of dividends and the present value of the share price to get the current value of Reliable's shares:

Current value = PV(dividend1) + PV(dividend2) + PV(dividend3) + PV(share price)

Current value = $1.264 + $1.388 + $0.895 + $42.452 ≈ $45.999

Therefore, the current value of Reliable's shares is approximately $45.999.

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Related Questions

Specify the patterns of the Intellectual Property under the
exercise of someone intellect.

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Intellectual property rights protect the patterns of creations resulting from someone's intellect, such as inventions, artistic works, and innovative ideas.

Intellectual property encompasses various forms of intangible assets that are created through the exercise of human intellect. These include patents, copyrights, trademarks, and trade secrets. Patents protect inventions and provide exclusive rights to the inventor, allowing them to prevent others from using, making, or selling their invention without permission.

Copyrights protect original artistic and literary works, such as books, music, and films, giving creators control over the reproduction, distribution, and public display of their work. Trademarks safeguard distinctive signs, symbols, or names used to identify and distinguish goods or services in the marketplace. Lastly, trade secrets protect valuable confidential information, such as manufacturing processes or customer lists, which provide a competitive advantage to businesses.

Hence, intellectual property rights play a crucial role in promoting innovation, creativity, and economic growth by granting creators and inventors the exclusive rights to their intellectual assets. These rights incentivize individuals and organizations to invest in research and development, foster competition, and safeguard against unauthorized use or imitation. By protecting and enforcing intellectual property rights, societies can encourage innovation, provide incentives for economic investment, and ensure fair compensation for intellectual creations.

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Regal Entertainment Holdings Inc. operates movie theaters and owns investments in other businesses. The company leases much of the space for the movie theaters and classifies most of these leases as operating leases. In its 10-Q for 2022 Q1, the company reported the following information about its accounting for leases:
The Company leases theatres and equipment under operating and finance leases. The Company typically does not believe that exercise of the renewal options is reasonably certain at the lease commencement and, therefore, considers the initial base term as the lease term.
Hypothetically, if the company did believe that the exercise of the renewal options was reasonably certain, and included the initial base term and term of the renewal options as the lease term, how would the company's balance sheet be affected?
A. It would report higher right-of use assets and lower lease liabilities.
B. It would report higher right-of use assets and higher lease liabilities.
C. It would report lower right-of use assets and higher lease liabilities.
D. It would report lower right-of use assets and lower lease liabilities.

Answers

B.  The company's balance sheet would be affected by reporting higher right-of-use assets and higher lease liabilities if it considered the exercise of the renewal options as reasonably certain and included them in the lease term.

B. It would report higher right-of-use assets and higher lease liabilities.

If the company includes the initial base term and term of the renewal options as the lease term, it would result in a longer lease term. This would lead to an increase in the right-of-use assets on the balance sheet as the company would recognize a higher value for the leased assets over the extended period.

At the same time, including the renewal options in the lease term would also increase the lease liabilities on the balance sheet. The company would have a higher obligation to make lease payments over the extended term, resulting in higher lease liabilities.

Therefore, the company's balance sheet would be affected by reporting higher right-of-use assets and higher lease liabilities if it considered the exercise of the renewal options as reasonably certain and included them in the lease term.

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: Problem 2 (10 points) Consider the strategic-form game depicted below: Call 1 the row player and 2 the column player. (a) Describe all the pure-strategy Nash equilibria of this game. (b) Compute the equilibria resulting from iterated deletion of dominated strategies.

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The pure-strategy Nash equilibrium of the game is (D, R).Hence, the equilibria resulting from iterated deletion of dominated strategies is (D, R).

Strategic-form game depicts the row and column players' actions and payoffs. In the given strategic-form game, there are two players; player 1 (row player) and player 2 (column player) with two strategies each.

The strategies of player 1 are "Up" and "Down," while those of player 2 are "Left" and "Right."(a) Pure-strategy Nash Equilibria of the game The pure-strategy Nash equilibria of a game are achieved when none of the players has any incentive to change their strategy.

The following are the pure-strategy Nash equilibria of the given game: The pure-strategy Nash equilibrium for the given strategic-form game is (D, R).  (b) Equilibria resulting from iterated deletion of dominated strategies.

The iterated deletion of dominated strategy helps in removing the dominated strategy until there is no such strategy left. The following shows the dominated strategy for each player: Player 1: "Up" is dominated by "Down." Player 2: None of the strategies are dominated by any other.

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Why would the government of Canada resort to fiscal policy? Why would the Bank of Canada resort to monetary policy? In order to stimulate an economy, which is the best policy and why? Please provide evidence of your findings.

Answers

The government of Canada may resort to fiscal policy to stimulate the economy by directly influencing spending and taxation. On the other hand, the Bank of Canada may employ a monetary policy.

Fiscal policy can be an effective tool for stimulating the economy because it involves direct government intervention in spending and taxation. For example, during periods of economic downturn or recession, the government can increase its spending on infrastructure projects or provide tax cuts to boost consumer spending. This injection of funds into the economy can stimulate demand and encourage economic growth. Additionally, fiscal policy can be targeted towards specific sectors or regions that require support. However, implementing fiscal policy may result in increased government debt and could have long-term implications for the overall economy.

Monetary policy, controlled by the central bank (Bank of Canada), involves managing interest rates and the money supply to influence borrowing, spending, and investment decisions. By lowering interest rates, the central bank can encourage borrowing and investment, which can stimulate economic activity. Conversely, raising interest rates can help control inflation by reducing spending and investment. Monetary policy can be implemented relatively quickly and is flexible in its application. However, its effectiveness may be limited during periods of low interest rates when the economy is already near or at its capacity. Additionally, monetary policy may have unintended consequences, such as asset price inflation or inequality.

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Both depreceiation methods, the straight-line method and the double-declining-balance: A. Produce the same depreciation expense each year. B. Produce the same total depreciation over an asset's useful life. C. Are using the total number of units produced. D. Produce the same book value each year.

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Depreciation is the method of calculating an asset's cost that is used up during its useful life. An asset's cost less accumulated depreciation is its book value. Hence, option B Produce the same total depreciation over an asset's useful life. is correct.

The two most widely used depreciation techniques are straight-line and double-declining-balance. Straight-line depreciation is the method by which an asset's cost is distributed evenly over its useful life. Double-declining-balance depreciation is a method of depreciation that results in a greater amount of depreciation being charged in the first years of an asset's useful life than in the subsequent years.Both depreceiation methods, the straight-line method and the double-declining-balance: B. Produce the same total depreciation over an asset's useful life.The Double-declining balance method and straight-line method are the two most often used depreciation methods.

Both procedures will depreciate an asset to a net book value of zero at the end of their useful life. However, while the straight-line method allocates the same amount of depreciation expenses to each period, the Double-declining balance method assigns a higher expense to the early years of an asset's useful life and a lower expense to the later years. Therefore, both methods do not create the same depreciation expense each year nor do they use the total number of units produced, but they do produce the same total depreciation over an asset's useful life and do not create the same book value each year.

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11. Explain the concept of service standards and their importance. 12. Identify two examples of services standards.13. Explain why a company committed to best practice customer services may choose to measure its service standards. 14. Explain the concept of public relations as a method of marketing communication. In your answer, explain how it can be used as a form of product and/or service promotion. Describe five methods through which a company can promote its products.

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11. Service Standards are a set of rules that describe how a service should work. They define the levels of customer service that customers expect to receive. They ensure that services are delivered consistently and reliably. Service standards are critical because they help businesses meet customer expectations.

12. Two examples of Service Standards are:Speed: The time it takes for a service to be delivered.Quality: The level of quality customers should expect from a service.

13. A company committed to best practice customer services may choose to measure its service standards to ensure that they are delivering the best possible service to their customers. Measuring service standards allows a company to identify areas where they can improve. It can also help a company identify areas where they are doing well.

14. Public Relations is a method of marketing communication that is used to manage a company's reputation. It involves building positive relationships with the public and the media.

Public Relations can be used as a form of product and/or service promotion by creating positive publicity around a product or service. Here are five methods through which a company can promote its products:Advertising: Paid advertisements on television, radio, or print media.Personal Selling: A sales representative meets a customer face-to-face and promotes the product.Public Relations: Positive publicity around a product or service.Sales Promotions: Offering discounts, coupons, or other incentives to encourage people to buy the product.Direct Marketing: Contacting potential customers directly to promote the product.

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Home Depot: The Current Ratio for 2022 and 2021 is 1.0 and 1.2, respectively. Round final answers to one decimal, including zero. Ex: 3.0; or Ex: 0.3
A. True
B. False
Home Depot – Vertical Analysis: Operating Income for 2022 is 115%: Round final answer to whole percentage. Ex: 65%
True
False

Answers

The correct answer is B. False: The current ratio for Home Depot decreased from 1.2 in 2021 to 1.0 in 2022.The correct answer is A. True: The statement that the operating income for Home Depot in 2022 is 115% is true.

In the first part of the question, the current ratio is used to assess a company's liquidity and ability to cover its short-term liabilities. A current ratio of 1.0 in 2022 indicates that Home Depot's current assets were equal to its current liabilities. However, the decrease from the previous year's ratio of 1.2 suggests a potential decline in liquidity. This could be due to a decrease in current assets or an increase in current liabilities, which may impact the company's ability to meet its short-term obligations.

Regarding the second part of the question, it states that the operating income for Home Depot in 2022 is 115%. However, this statement is likely incorrect or inaccurate. Operating income is usually expressed as a percentage of net sales or revenue, and it cannot exceed 100%. Operating income represents the profitability of a company's core operations, and a percentage greater than 100% would imply that the company's operating expenses exceed its net sales, which is not possible. Therefore, the statement that the operating income is 115% is most likely false.

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How does a producer-owned ethanol cooperative impose the
convenience yield and what are the costs of not being able to
access corn stocks for ethanol processing?

Answers

A producer-owned ethanol cooperative can impose the convenience yield by having direct control and ownership over the corn stocks used for ethanol processing.

By owning the corn stocks, the cooperative can ensure a steady and reliable supply of raw material for ethanol production. This control over the corn stocks allows the cooperative to take advantage of favorable market conditions, such as fluctuations in corn prices or disruptions in the supply chain, which can result in a convenience yield. The convenience yield represents the benefit or advantage gained by owning the physical commodity rather than relying on the open market.

On the other hand, the costs of not being able to access corn stocks for ethanol processing can be significant for a producer-owned ethanol cooperative. Without access to corn stocks, the cooperative would have to rely on purchasing corn from external sources, which may lead to higher costs due to market prices, transportation, and potential supply chain disruptions. Additionally, relying on external suppliers introduces uncertainties in terms of availability and quality control. The inability to access corn stocks directly can also limit the cooperative's ability to control its production process and may result in reduced efficiency and flexibility in managing its ethanol production operations.

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When hired as a software engineer with Plush Media Inc, Paul signed an employment agreement that contained a clause stating that he agrees not to compete or take employment similar or related to Plush Media Inc. for 6 years after his employment ends with Plush Media Inc. This restriction includes geographic restriction of the entire province of British Columbia. Plush Media Inc. is located in Burnaby, B.C. and provides services within Burnaby and Vancouver. Please explain whether the clause will be enforceable if Paul ends his employment with Plush Media Inc.

Answers

The enforceability of the non-compete clause will depend on various factors, including the specific laws and regulations governing employment agreements in British Columbia, Canada.

The enforceability of the non-compete clause in Paul's employment agreement with Plush Media Inc. in British Columbia is uncertain due to its broad scope. Non-compete clauses are closely scrutinized by courts to ensure they are reasonable and do not overly restrict employees' career opportunities.

In this case, the clause restricts Paul from competing or taking similar employment in the entire province of British Columbia for six years. Such a wide geographic and temporal restriction may be considered excessive and potentially unenforceable.

Courts typically assess the necessity of the restriction to protect the employer's legitimate interests and whether it unreasonably limits the employee's ability to find work in their field. It is advisable for Paul to seek legal advice to fully understand his rights and obligations regarding the non-compete clause.

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Connor owns a model car company that produces miniature race cars and muscle cars that are moulded from aluminium sheets and finished by hand. Each race car is made from 5 pounds of material, requires 4 minutes of machine time and 2 hours of finishing labour, and can be sold for $150. Each muscle car is made from 6 pounds of material, requires 5 minutes of machine time and 3 hours of finishing labour, and can be sold for $250. Each month, the production team has access to 8 hours of machine time, 200 hours of finishing labour and 200 pounds of aluminium. His maximum revenue is $8333 and that is with 0 racecars and 33.33 muscle cars.
Sarah is an investor and offers Connor a business arrangement. She wants to operate the business under a lease agreement; she will pay him P dollars for each pound of aluminum she uses, M dollars for each minute of machine time she uses and H dollars for each hour of finishing labour she uses. She guarantees him that her lease payment will at least cover the income he would have had by doing the work himself.
(a) Considering separately the revenues for race cars and muscle cars, construct 2 inequalities that P, M and H must satisfy. Write a third expression of P, M and H for the maximum total amount Sarah will pay, that is, in the case that she uses up all the available resources.
(b) Put the Question 1 problem in standard form for finding the dual and use it to find the dual problem according to the method seen in class (Slide 105). What do you notice, compared to your results in 2(a)? Explain the physical interpretation of the dual problem formulas in this case.
(c) Without solving the dual problem, write its solution (optimiser and optimal cost) and explain how you obtained it.
Note: ONLY SOLVE (a), (b) AND (c)

Answers

The investor, Sarah, proposes Connor a business deal in which she will run the model car firm under a lease.

Sarah suggests paying Connor P dollars for each pound of aluminium she uses and M dollars for each minute of machine time as part of the deal. But the query doesn't state what P and M are specifically worth.We require the values of P and M in order to assess the viability of Sarah's proposal. I can assist you in furthering your analysis of the potential business partnership and its effects on Connor's company once you have given me those values.

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1. Make or buy decisions can play a critical role in supply chain management success. If you are asked to provide advice on 'make or buy' decisions to a technical device manufacturing firm in the aerospace industry in Mobile, how would you approach this assignment? 2. Effective sourcing is a hallmark of effective supply chain management. How does the sourcing matrix contribute to improved supplier selection decision-making? Discuss specific buying strategies in each of the four matrix categories. 3. Social Responsibility impacts a company's bottom line. To what extent does sustainable and ethical sourcing improve the company's bottom line. To what extent does it not? 4. "Purchasing is a competitive weapon to win in a marketplace". How does a Hybrid Purchasing Structure aid in creating this competitive edge?

Answers

The decision between make or buy in supply chain management can have a significant impact on the success of the supply chain.  

The sourcing matrix is a tool used to evaluate suppliers based on their performance in areas such as quality, cost, delivery, and innovation. By using the sourcing matrix, a company can improve their supplier selection decision-making by identifying areas where a supplier may excel or struggle based on their past performance.

Social Responsibility impacts a company's bottom line in a number of ways. Sustainable and ethical sourcing can improve a company's bottom line by: Attracting customers who are willing to pay a premium for ethically sourced products.

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Assume in a simple example that two things occur simultaneously in an economy which produces Good X. This first thing affects consumer preferences and will decrease consumer preferences for Good X in the economy. The second thing is a natural disaster which causes the cost of inputs used to produce Good X to increase. Assume that this is a competitive market and that Good X is a normal good.
What will happen to the equilibrium price and quantity of Good X? (Note: The magnitudes of any supply and/or demand shifts in this example are not specified; therefore consider all possible scenarios).

Answers

The occurrence of two events in an economy that produces Good X will lead to changes in the equilibrium price and quantity of Good X.

The occurrence of two events, which are a decrease in consumer preferences and a natural disaster that will lead to an increase in the cost of inputs, will affect the equilibrium price and quantity of Good X. The magnitude of supply and demand shifts in this case are not stated; thus, the answer is based on all possible scenarios.If a decrease in consumer preferences for Good X leads to a leftward shift in the demand curve while a natural disaster causing an increase in the cost of inputs results in a leftward shift in the supply curve, then the equilibrium price and quantity of Good X will decrease. However, if the decrease in consumer preferences results in a leftward shift in the demand curve and the natural disaster causing an increase in the cost of inputs leads to a rightward shift in the supply curve, then the equilibrium price of Good X will decrease, but the quantity will remain the same.In contrast, if the decrease in consumer preferences leads to a rightward shift in the supply curve and the natural disaster causing an increase in the cost of inputs results in a leftward shift in the demand curve, then the equilibrium price of Good X will increase, but the quantity will remain the same. Finally, if the decrease in consumer preferences leads to a rightward shift in the supply curve and the natural disaster causing an increase in the cost of inputs results in a rightward shift in the demand curve, then the equilibrium price and quantity of Good X will increase.

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If you deposit $1,000 and the reserve ratio is 10 percent then the bank: loans the full $1,000 but plans on keeping $100 in the vault when the loan is repaid. keeps $100 in reserves and uses $900 for loans. sends $100 to the Treasury and uses $900 for loans. keeps $100 for loans and puts $900 in the vault.

Answers

If the reserve ratio is 10 percent and you deposit $1,000, the bank will keep $100 in reserves and use $900 for loans. The reserve ratio is the percentage of deposits that banks are required to keep in reserve.

In this case, with a reserve ratio of 10 percent, the bank is required to keep 10 percent of your deposit as reserves. Since you deposit $1,000, the bank will keep 10 percent of $1,000, which is $100, in reserves.

The remaining $900 can be used by the bank for loans. Banks create money through the process of fractional reserve banking, where they can lend out a portion of the deposits they receive. In this case, the bank can loan out $900 to borrowers.

So, in summary, the bank will keep $100 in reserves and use $900 for loans when you deposit $1,000 with a reserve ratio of 10 percent.

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My friend has a business opportunity available to him. He says that if I invest with him, I will receive $1,650 a month for five years from the investment. I believe that for such a risky investment I need to get at least a 14% return. How much is the most I should be willing to give him (PV)?

Answers

The maximum amount you should be willing to give your friend (PV) as investment is approximately $84,314.13.

To calculate the maximum amount (PV) you should be willing to invest, we need to determine the present value of the expected cash flows. In this case, your friend is offering a monthly payment of $1,650 for five years.

To calculate the present value, we can use the formula for the present value of an annuity:

PV = CF * [1 - (1 + r)^(-n)] / r

Where:

- PV is the present value

- CF is the cash flow per period ($1,650)

- r is the required rate of return (14% or 0.14 as a decimal)

- n is the number of periods (60 months in this case, since it's five years)

Using the formula, we can plug in the values:

PV = $1,650 * [1 - (1 + 0.14)^(-60)] / 0.14

Calculating this equation gives us a present value of approximately $11,781.17. Therefore, this is the maximum amount you should be willing to give your friend for this investment, considering a required rate of return of 14%.

It's important to note that the maximum amount you should be willing to invest depends on your risk tolerance and the perceived riskiness of the investment. If you believe the investment is riskier than anticipated, you might consider adjusting the required rate of return accordingly.

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What is the equivalent annual cost in years 1 through 9 of a contract that has a first cost of $74,000 in year and annual costs of 0 $19,000 in years 3 through 9? Use an interest rate of 10% per year. The equivalent annual cost is determined to be $

Answers

Equivalent annual cost (E AC) refers to the annual cost of owning, operating, and maintaining an asset over its entire life.

The E AC for a project can be used to compare the project's total cost to the benefits over a given period. The calculation takes into account the first cost and all other costs incurred over the life of the asset, including annual operating and maintenance costs. Given that a contract has a first cost of 74,000 in year 1 and annual costs of 19,000 in years 3 through 9.

The E AC can be determined using the formula below:E AC = (A/P, i, n) + S(A/F, i, n) where P = Present Value i = interest rate n = life of the contract S = salvage value A = annual payment If the interest rate is 10%, the salvage value is 0, and the life of the contract is nine years, then the calculation is as follows:EA C = (74,000 + 0)(P/A, 10%, 9) + $19,000(A/P, 10%, 7) = 21,535.

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can
i please get help wuth number 3 econometrics question
(8) 2. Define the stochastic disturbance term and three reasons why it exists? derive the normal equations and eventually the estimation equations for =(₁-B₁-B₂X)² H 3. Given ? B₁ and B₂ (9

Answers

B₁ and B₂, the estimation equation is obtained by substituting these values in the above equation: β = (X'X)^(-1)X'Y, where β = (₁-B₁-B₂X), or β = (Y'Y - Y'X(B₁+B₂X)) / (1 + X'X)

The stochastic disturbance term is a random variable that cannot be measured directly, that is, it is a term that cannot be explained by the econometric equation, it is the difference between the dependent variable and its expected value. Below are three reasons why it exists: Errors in variables, missing variables, and omitted variables derive the normal equations and eventually the estimation equations for = (₁-B₁-B₂X)² H.

Below is the procedure to derive the normal equations: The normal equations are found by differentiating the sum of squared residuals with respect to the parameters and setting them to zero.  The ordinary least squares (OLS) estimator is the parameter vector that solves the normal equations. Thus, the normal equations can be represented as (X'X)β = X'Y, where β is the coefficient vector and Y is the dependent variable vector. The first-order conditions for the minimization of the residual sum of squares can be expressed as follows:-2X'Y + 2X'Xβ = 0. B₁ and B₂, the estimation equation is obtained by substituting these values in the above equation: β = (X'X)^(-1)X'Y, where β = (₁-B₁-B₂X), or β = (Y'Y - Y'X(B₁+B₂X)) / (1 + X'X)

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Tourism officials are downplaying the fallout from the pullout of three major cruise lines from the Falmouth pier in Trelawny. The Port Authority of Jamaica (PAJ), which is responsible for the management of the island's ports, says several major cruise lines are still committed to Falmouth, despite a decision by the three cruise ships to pull out from the port recently. The three ships, the Allure of The Seas, Celebrity, and another, which are all subsidiaries of Royal Caribbean, have shunned the port due to concerns over tourist harassment and other issues. Mayor of Falmouth Colin Gager says the pullout of the three vessels, which together bring in about 10,000 visitors per call to the port, will result in losses of about $5 million monthly. Tourism Minister Edmund Bartlett has so far remained silent on the pullout of the cruise lines and how this will affect his aim to grow cruise arrivals and earnings. In his contribution to the Sectoral Debate in Parliament in April, Bartlett boasted of Falmouth being poised to gain substantial economic benefit from a projected increase in spending by cruise passengers, whose numbers he said would be growing significantly by 2021. However, the PAJ says although the decline in earnings for the destination is noteworthy, it says the summer season generally records an approximately 40 per cent decline in cruise arrivals, compared to the winter season. It says the 2018 summer season will not see a significant variation, when compared to 2016 and 2017. It notes that issues of harassment and the vending of illegal products is an issue experienced globally at ports. Nonetheless, it says it has implemented various small and medium-sized projects to address the problems. The PAJ says these include the construction of a new dry goods and food produce market, as well as the installation of directional maps across the town. It says an improvement project has also been conducted along Market Street and the Seaboard Street, while Water Square has been adopted and is being maintained. The PAJ says it has also collaborated with other agencies, including the police and the municipal corporation to reduce harassment and the plying of illegal goods. In the meantime, the Port Authority says besides Celebrity Cruises, which is a subsidiary of the Royal Caribbean Cruise Line, all vessels remain committed to Falmouth. It notes that Celebrity was late in its reservation for 2018, resulting in the available berth going to Princess Cruises. It says Royal Caribbean will be repositioning the Allure of the Seas after April 2018. The Allure of the Seas will return to Falmouth in December 2018. According to the PAJ, Royal Caribbean and its subsidiary, Celebrity Cruises accounted for just over 80 per cent of cruise passenger arrivals, with Royal Caribbean alone accounting for over 75 per cent. Disney Cruises accounts for just over 10 per cent and other cruise lines, along with some odd calls in the main winter season, accounted for less than 10 per cent. Adapted from The Jamaica Gleaner. Published July 9, 2017.
Question 1 You have been hired by the Ministry of Tourism to develop a rebranding for the Falmouth Port. Using this case as a background:
Write 3 marketing communications objectives for this campaign. [6 pts]
Develop a positioning statement for the campaign. [4 pts]
What is the most appropriate marketing communications mix for this campaign? Justify your choice of marketing communications tools. [20 pts]
Clearly explain how you will evaluate this campaign. [10 pts]

Answers

Marketing communication objectives are the steps, a firm takes, to achieve marketing goals or aims. In light of the case study, below are 3 marketing communications objectives for the Falmouth port.

1. To create awareness about the improvements the Port Authority of Jamaica (PAJ) has made to address issues of harassment, vending of illegal products, and other challenges faced by cruise passengers in Falmouth port.

2. To increase visitor numbers by encouraging other major cruise lines to visit Falmouth port through various promotional activities and engaging public relations activities.

3. To promote the unique experiences visitors can have in Falmouth port, which cannot be replicated in other Caribbean ports, such as taking a river boat tour on Martha Brae River, a cultural tour of Falmouth, and the like.Positioning statement:

Marketing communications mix: Integrated marketing communications is the most appropriate mix for this campaign. Integrated marketing communications involve using several promotional tools to communicate a consistent and compelling message that resonates with the target audience. The tools that will be used in this campaign include advertising, sales promotions, direct marketing, public relations, and personal selling.Advertising: Advertising will be used to create awareness and interest in Falmouth port. Advertisements will be placed in relevant print and electronic media, including travel magazines, travel blogs, and social media.Sales promotions: Sales promotions will be used to encourage visitors to choose Falmouth port over other Caribbean ports. Sales promotions will include offering discounts and package deals on attractions, hotel bookings, and other activities.Direct marketing: Direct marketing will be used to target potential visitors through email marketing, direct mail, and SMS marketing.Public relations: Public relations will be used to build a positive image for Falmouth port by organizing press trips for travel writers, social media influencers, and other relevant stakeholders. The campaign will also leverage celebrity endorsements and influencer marketing.Personal selling: Personal selling will be used to provide personalized recommendations and tours of Falmouth port. Tour guides will be trained to upsell additional tours, attractions, and experiences.Evaluation: The campaign's success will be evaluated using the following metrics:1. The number of visitors to Falmouth port before and after the campaign.2. The revenue generated from visitor spending before and after the campaign.3. The number of cruise lines that add Falmouth port to their itineraries.4. The engagement and reach of the campaign on social media.

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At the beginning of 2020, Acatela Wholesale Corp. had inventory of $337,000. It ended the year with inventory of $276,000 after purchasing $558,000 worth of inventory. The cost of goods sold totalled $723,000. Determine the inventory turnover ratio and the days' sales in inventory. Do not enter dollar signs or commas in the input boxes. For the inventory turnover ratio, round your answer to 2 decimal places. Inventory Turnover = For the days' sales in inventory, round your answer to the nearest whole number. Days' Sales in Inventory = days Check

Answers

the inventory turnover ratio is approximately 2.36, and the days' sales in inventory is approximately 154.

To calculate the inventory turnover ratio and the days' sales in inventory, we can use the following formulas:

Inventory Turnover Ratio = Cost of Goods Sold / Average Inventory

Days' Sales in Inventory = 365 days / Inventory Turnover Ratio

First, let's calculate the average inventory:

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

                 = ($337,000 + $276,000) / 2

                 = $306,500

Now, we can substitute the values into the formulas:

Inventory Turnover Ratio = $723,000 / $306,500 ≈ 2.36 (rounded to 2 decimal places)

Days' Sales in Inventory = 365 days / 2.36 ≈ 154 (rounded to the nearest whole number)

Therefore, the inventory turnover ratio is approximately 2.36, and the days' sales in inventory is approximately 154.

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In order to evolve the role of a leader in SAFe, which practices can the Release Train Engineer (RTE) recommend?

a. Encourage personal development

b. Provide the RTE with weekly status reports

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The Release Train Engineer (RTE) can recommend the following practices to evolve the role of a leader in SAFe: encouraging personal development and providing weekly status reports.

To evolve the role of a leader in SAFe (Scaled Agile Framework), the RTE can suggest several practices.

First, the RTE can recommend encouraging personal development among leaders.

This involves supporting leaders in their professional growth, helping them acquire new skills, and fostering a culture of continuous learning. By investing in personal development, leaders can stay updated with the latest industry trends, enhance their leadership abilities, and adapt to changing organizational needs.

Second, the RTE can advise leaders to provide weekly status reports.

This practice promotes transparency and communication within the organization. By regularly sharing progress updates, challenges, and achievements, leaders can keep stakeholders informed about the status of their initiatives. This helps in aligning expectations, identifying and addressing issues in a timely manner, and ensuring that the organization is on track to meet its goals.

Overall, by recommending practices such as encouraging personal development and providing weekly status reports, the RTE can contribute to the evolution of leaders in SAFe, fostering their growth, and enabling effective leadership within the organization.

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Listen to the following podcast and answer the questions: Episode 688: Brilliant vs. Boring, Planet Money, March 4, 2016, npr.org (Links to an external site.) 1. Why do people think they can beat the market, even if there is evidence that doing so is very difficult? 2. What are the misperceptions the stockpickers have? 3. How might stockpickers' risk preferences differ from those of their clients? Why might this be the case? 4. In what other areas of life do we see people try to beat the long-run average?

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The risk preferences of stockpickers may differ from their clients since the stockpickers are the experts and are confident in their ability to achieve high returns.

1. People believe they can beat the market despite evidence indicating that it is challenging to do so for various reasons. One is overconfidence, where individuals believe that they are more knowledgeable than they genuinely are. They may have confirmation bias, which reinforces their beliefs that they are right and that they have exceptional skills that allow them to outperform the market.

2. Stockpickers may have several misperceptions, including thinking that their ability to read and analyze information sets them apart from other people. They may have excessive faith in their expertise and ignore essential details.

3. They may be more likely to take greater risks to achieve higher rewards, while clients are more likely to be risk-averse.

4. People try to beat the long-run average in various other areas, such as gambling and sports betting.

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Research the home mortgage industry in Australia and obtain the latest data (lending rate and fees) from the financial institution’s website. Compare three products from different financial institutions (such as basic home loan, one with offset account, variable and/or fixed lending rate…) and choose the best one for this assignment. Explain why chose that financial institution and its product (in terms of interest and fees).

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The home mortgage industry in Australia has had many changes over the years, and today’s market is different than it was even ten years ago.

Many Australians are looking to get a home loan, but with so many options, it can be hard to find the best fit for your specific needs. This essay will investigate three different mortgage products from different financial institutions in Australia and compare the lending rate and fees.

It will conclude by picking the best mortgage product for this assignment. The following are the three mortgage products from different financial institutions:1) Basic home loan: ANZ BankANZ Bank is one of the leading banks in Australia, and it has a basic home loan product.

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Question 25 Please use information to answer the question below: A US firm's expected Accounts Payable in Switzerland due in 1 year Current Spot Rate (SR) for CHF Annual interest rate in US (Rh) Annual interest rate in Switzerland (Rf) O USD 7,843,137 OCHF 9,803,922 If the US firm wants to set up a money market hedge for their CHF payables, today it should invest: OA. USD 8,000,000 B. CHF 10,000,000 C. USD 0.80 5% OD. CHF 8,235,294 2% 10 pts

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Money Market Hedge Money market hedge is one of the strategies to reduce the risk of currency exchange rate fluctuations. This strategy is particularly used to lock the exchange rate risk.

A US firm's expected Accounts Payable in Switzerland due in 1 year is CHF 9,803,922. To set up a money market hedge for their CHF payables, the firm should invest USD 8,000,000 today. The details of the problem are given below: Current Spot Rate (SR) for CHF = 0.80 USD Annual interest rate in US (Rh) = 5%Annual interest rate in Switzerland (Rf) = 2%.

Formula to calculate the return of foreign investment= [(1+Rf) / (1+Rh)] -1where Rf = foreign risk-free rate, and Rh = domestic risk-free rate Return on CHF investment = [(1.02) / (1.05)] -1= -0.0286 or -2.86%. The negative value of the return on CHF investment indicates that the CHF investment is not profitable as compared to US investments.

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Excel Online Structured Actlvity: Investment Timing Option: Decision-Tree Analysis Kim Hotels is interested in developing a new hotel in Seoul. The company estimates that the hotel would require an initial investment of $22 million. Kim expects the hotel will produce positive cash flows of $3.08 million a year at the end of each of the next 20 years. The project's cost of capital is 12%. The data has been collected in the Microsoft Excel Online file below, Open the spreadsheet and perform the required analysis to answer the questions below. Do not round intermediate calculations. Open spreadsheet a. What is the project's net present value? A negative value should be entered with a negative sign. Enter your answer in millions. For example, an answer of $1.2 million should be entered as 1.2, not 1,200,000. Do not round intermediate calculations. Round your answer to two decimal places. \$f million b. Kim expects the cash flows to be $3.08 million a year, but it recognizes that the cash flows could actually be much higher or lower, depending on whether the Korean government imposes a large hotel tax. One year from now, Kim will know whether the tax will be imposed. There is a 50% chance that the tax will be imposed, in which case the yearly cash flows will be only $1.98 million. At the same time, there is a 50% chance that the tax will not be imposed, in which case the yearly cash fiows will be $4.18 million. Kim is deciding whether to proceed with the hotel today or to wait a year to find out whether the tax will be imposed. If Kim waits a year, the initial investment will remain at $22 million. Assume that all cash flows are discounted at 12%. Use decision-tree analysis to determine whether Kim should proceed with the project today or wait a year before deciding. 5

Answers

Based on the given information, let's analyze the investment timing option for Kim Hotels using decision-tree analysis.

a. Net Present Value (NPV) Calculation:

To determine the project's net present value, we need to discount the cash flows at the project's cost of capital and subtract the initial investment.

Using the given data, the cash flow for each year is $3.08 million, and the cost of capital is 12%. Applying the NPV formula, we have:

NPV = Sum of (Cash Flow / (1 + Cost of Capital)^n) - Initial Investment

where n represents the year.

Calculating the NPV:

NPV = ($3.08 / (1 + 0.12)^1) + ($3.08 / (1 + 0.12)^2) + ... + ($3.08 / (1 + 0.12)^20) - $22

Performing the calculation, we find that the project's net present value is approximately -$5.51 million.

b. Decision-Tree Analysis:

If Kim waits a year, there is a 50% chance of the tax being imposed, resulting in cash flows of $1.98 million, and a 50% chance of no tax, resulting in cash flows of $4.18 million. We discount these cash flows using the cost of capital of 12% as before.

Calculating the expected NPV if Kim waits a year:

Expected NPV = (0.5 * $1.98 / (1 + 0.12)^1) + (0.5 * $4.18 / (1 + 0.12)^1) - $22

The expected NPV is approximately -$5.65 million.

Comparing the NPV results, we find that the project's net present value is -$5.51 million if Kim proceeds with the project today. On the other hand, the expected NPV after waiting a year is -$5.65 million.

Since both options result in negative net present values, it is not financially advantageous for Kim to proceed with the project today or wait a year. Therefore, based on the decision-tree analysis, Kim Hotels should reconsider the investment in the new hotel in Seoul.

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Which one of the following is NOT included in cash flow from assets?
A. accounts payable
B. inventory sales
C. interest expense
D. cash account

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Option A is the correct answer.The cash flow from assets (CFA) is the sum of all cash inflows and outflows to and from a company's assets. The CFA calculates the cash generated by the company's assets, while the cash flow from operations (CFO) measures the cash generated by the company's operating activities. It measures the cash inflows and outflows associated with the firm's assets, such as property, plant, and equipment, and is used to determine a firm's net investment in its asset base.A company's assets are the primary source of cash inflows and outflows, and the company's assets generate the company's revenues. The cash inflows and outflows associated with the company's assets are used to calculate the CFA, which is not the case with accounts payable. Therefore, the correct answer is A. Accounts payable is not included in cash flow from assets.

China's Belt and Road Initiative (BRI) is a strategy initiated by China in 2013 that seeks to connect Asia with Africa and Europe via land and maritime networks to improve regional integration, Increase trade, and stimulate economic growth. After its incarnation, controversies have never stopped. A recent article published by Reuters cited the study by AidData, a research lab at the College of William and Mary in the United States, said "A growing number of policymakers in low and middle-income countries are mothballing high profile BRI projects because of overpricing, corruption and debt sustainability concerns.". The study shows "$11.58 billion in projects in Malaysia have been cancelled over 2013-2021, with nearly $1.5 billion cancelled in Kazakhstan and more than a $1 billion in Bolivia" However, China's foreign ministry said that "not all debts are unsustainable", adding that since its O launch, the BRI had "consistently upheld principles of shared consultation, shared contributions and shared benefits". Based on these facts and observations, answer the following questions: 2a) What economic factors, you believe, have made BRI such a controversial policy initiative? 2b) Identify TWO (2) potential economic risks for the countries which engage in the BRI under the current settings 2 2c) Briefly discuss on what ground the Australian Federal Government decided to terminate the BRI agreement between the Victorian State Government and Beijing 19 61 2

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2a) The economic factors that have made the Belt and Road Initiative (BRI) controversial include concerns over overpricing, corruption, and debt sustainability.

These issues raise doubts about the economic viability and transparency of BRI projects.

2b) Two potential economic risks for countries engaging in the BRI under the current settings are:

1. Debt burden: Participating countries may accumulate significant debt if they are unable to generate sufficient returns from BRI projects. This could lead to financial bility and dependency on China.

2. Dependency on China: The BRI may increase the economic reliance of participating countries on China, as Chinese companies often dominate project implementation. This dependence can undermine a country's economic autonomy and sovereignty .

2c) The Australian Federal Government decided to terminate the BRI agreement between the Victorian State Government and Beijing based on concerns related to national interest and foreign policy. The decision reflects Australia's strategic alignment with its allies and its desire to maintain control over critical infrastructure and national security, given the geopolitical tensions between Australia and China. The termination aimed to safeguard Australia's sovereignty and protect its long-term economic and security interests.

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We have the following information about a small bank's balance sheet: Rate-Sensitive Liabilities =$100 million Fixed-Rate Liabilities =$60 million Rate-sensitive Assets =$120 million Fixed-Rate Assets =$40 million If the market interest rate decreases by 2 percentage points (for example from 5 percent to 3 percent), the profit or loss experienced by the bank will equal ___ dollars. Enter the amount with no sign if it is a profit, with a negative sign if a loss. Use our rounding rules.

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If the market interest rate decreases by 2 percentage points, the bank will experience a loss of $4.4 million according to our calculations.

To calculate the profit or loss, we need to determine the impact of the change in interest rates on the bank's assets and liabilities.

For rate-sensitive liabilities, a 2 percentage point decrease in interest rates would reduce their cost, resulting in a decrease in interest expense for the bank. Assuming a duration of one year for these liabilities, the decrease in interest expense would be:

$100 million x 0.02 = $2 million

For fixed-rate liabilities, there would be no immediate impact on interest expense.

For rate-sensitive assets, a 2 percentage point decrease in interest rates would reduce their yield, resulting in a decrease in interest income for the bank. Assuming a duration of one year for these assets, the decrease in interest income would be:

$120 million x 0.02 = $2.4 million

For fixed-rate assets, there would be no immediate impact on interest income.

Thus, the net impact on the bank's profit or loss would be:

($2 million + $2.4 million) = $4.4 million

Therefore, if the market interest rate decreases by 2 percentage points, the bank will experience a loss of $4.4 million according to our calculations.

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.The table below depicts the daily output, price, and costs of a monopoly dry cleaner located near the campus of a remote college town. Compute the revenues at each output level and fill in the blank (Enter dollars and cents and include minus signs where necessary.)
Output (suits cleaned) Price per suit ($) Total costs ($) Total revenue ($)
0 $10.00 $3.00 $
1 $9.50 $6.00 $
2 $9.00 $8.50 $
3 $8.50 $10.50 $
4 $8.00 $11.50 $
5 $7.50 $13.50 $
6 $7.00 $18.00 $
7 $6.50 $24.00 $
8 $6.00 $26.00 $

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A monopoly is a market structure in which a single firm dominates the industry. This means that they can charge whatever price they desire for their products or services since there are no competing businesses.

Total revenue is calculated by multiplying the price per unit by the number of units sold. We can also compute total cost by adding fixed cost and variable cost. Total cost (TC) = fixed cost (FC) + variable cost (VC). Here is a detailed breakdown:1. For output level 0:TR = P × Q = $10 × 0 = $0.00Since the dry cleaner didn't produce any suits, total revenue was $0.002.

For output level 1:TR = P × Q = $9.50 × 1 = $9.50TC = $3.00 + $6.00 = $9.00TR - TC = $9.50 - $9.00 = $0.50Since total revenue is greater than total cost, there is a positive profit.3. For output level 2:TR = P × Q = $9.00 × 2 = $18.00TC = $3.00 + $8.50 = $11.50TR - TC = $18.00 - $11.50 = $6.50Since total revenue is greater than total cost, there is a positive profit.

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The innovation of Caterpillar company for machines is exclusive but takes some time to adapt in the target market. Based on the given situation, which is true for the company
• Complexity is high and change is stable • Complexity is high and change is dynamic • Complexity is low and change is stable • Complexity is low and change is dynamic Northend Coffee uses a vertically integrated supply chain where the company is involved in every step of its supply chain process. It is trying to connect with what kind of environment? • Task environment • Internal Environment • Genaral Environment • Task and Internal Environment

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Based on the given situation, the statement that is true for Caterpillar company is "Complexity is high and change is stable." Caterpillar is known for its innovative machines, which implies that the complexity of their products is high.

These machines often involve advanced technology and intricate engineering. Additionally, the reference to "takes some time to adapt in the target market" suggests that the company faces stable change, meaning that the nature of change in their industry is predictable and evolves gradually over time. Regarding Northend Coffee, their use of a vertically integrated supply chain, where they are involved in every step of the supply chain process, indicates that they are trying to connect with the internal environment. The internal environment refers to the factors within an organization's control, such as its own operations and processes. By implementing a vertically integrated supply chain, Northend Coffee seeks to have greater control over the quality, cost, and efficiency of their supply chain activities, which are internal to the organization. This allows them to oversee and optimize each stage of the supply chain, from sourcing raw materials to delivering the final product to customers.

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The heights of adult U.S. females (over the age of 20 ) are approximately normally distributed with a mean of 65 inches and a standard deviation of 3.5. What fraction of the adult female population is taller than 70 inches, the average height of adult U.S. males?

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Approximately 7.64% of the adult female population is taller than 70 inches, the average height of adult u.

to calculate the fraction of the adult female population taller than 70 inches, we need to find the area under the normal distribution curve above the height of 70 inches.

using the z-score formula: z = (x - μ) / σ, where x is the height (70 inches), μ is the mean (65 inches), and σ is the standard deviation (3.5 inches), we can calculate the z-score:

z = (70 - 65) / 3.5 = 1.43

to find the corresponding area in the normal distribution table or using a statistical software, we can determine the probability associated with a z-score of 1.43. this probability represents the fraction of the population taller than 70 inches.

assuming a standard normal distribution, the probability of obtaining a z-score of 1.43 or higher is approximately 0.0764. s. males.

given a normally distributed height data for adult u.s. females with a mean of 65 inches and a standard deviation of 3.5 inches, we use the z-score formula to standardize the height value of 70 inches. the z-score tells us how many standard deviations away from the mean the height of 70 inches is.

by looking up the z-score in a standard normal distribution table or using a statistical software, we can find the corresponding probability or area under the curve. this probability represents the fraction of the population taller than 70 inches.

in this case, a z-score of 1.43 corresponds to a probability of approximately 0.0764 or 7.64%.

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Explain how "BlackBerry" navigated complex systems. (WHAT DID
THEY DO to stay alive)

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BlackBerry navigated complex systems by its business strategy, focusing on strengths, and its offerings. The company underwent significant transformations to stay in the rapidly changing technology landscape.

To stay alive, BlackBerry made several strategic moves. Firstly, it shifted its focus from being solely a smartphone manufacturer to becoming a software and services company. Recognizing the decline in demand for its hardware products, BlackBerry capitalized on its expertise in security and enterprise mobility management to offer software solutions to businesses and governments. This pivot allowed the company to leverage its strengths and tap into new revenue streams.

Additionally, BlackBerry actively pursued partnerships and acquisitions to expand its product portfolio. It acquired companies like QNX, which specialized in embedded systems and automotive software, enabling BlackBerry to enter the emerging field of connected cars. These strategic acquisitions helped BlackBerry diversify its offerings and enter new markets.

Furthermore, BlackBerry embraced collaboration by forming alliances with other technology companies. It partnered with industry leaders like Samsung and IBM to integrate its software solutions into their products and services. This collaborative approach allowed BlackBerry to extend its reach and tap into the customer bases of these established players.

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