The BCG Matrix (Boston Consulting Group) is a strategic management tool used for portfolio analysis. It helps businesses analyze their product or service offerings based on market B and relative market share. The Kraljic Model helps organizations understand the strategic significance of each supplier and develop appropriate sourcing strategies.
(a) BCG Matrix for Portfolio Analysis:
The BCG (Boston Consulting Group) Matrix is a strategic management tool used for portfolio analysis. It helps businesses analyze their product or service offerings based on market growth rate and relative market share. The matrix categorizes products into four quadrants: Stars, Cash Cows, Question Marks, and Dogs. Each quadrant represents a different strategic position and requires a different approach.
Stars: These are products with a high market share in a high-growth market. Stars have the potential to generate significant revenue and profit. Businesses should invest in stars to maintain and increase their market share.
Cash Cows: Cash Cows have a high market share in a low-growth market. While they may not have significant growth potential, they generate consistent cash flow. Businesses should focus on maximizing profits from cash cows and use the generated cash to invest in other areas.
Question Marks (or Problem Child): Question Marks have a low market share in a high-growth market. They require careful consideration and strategic decisions. Businesses need to decide whether to invest and nurture these products to turn them into stars or divest them if they are not deemed viable.
Dogs: Dogs have a low market share in a low-growth market. They generate limited profit and have limited potential for growth. Businesses should consider divesting or phasing out dogs unless they contribute to the overall strategic objectives.
The BCG Matrix helps businesses assess their portfolio of products and make informed decisions about resource allocation, growth strategies, and divestment.
(b) Kraljic Model for Supplier Positioning:
The Kraljic Model, developed by Peter Kraljic, is a strategic procurement model used to analyze and categorize suppliers based on their importance and supply risk. It helps organizations understand the strategic significance of each supplier and develop appropriate sourcing strategies. The model classifies suppliers into four quadrants:
Strategic Suppliers: These suppliers have high importance and high supply risk. They provide critical goods or services that are vital to the organization's operations. Close relationships and collaboration with strategic suppliers are necessary to ensure a reliable supply and mitigate risks. Negotiating long-term contracts and fostering partnerships are common strategies.
Bottleneck Suppliers: Bottleneck suppliers have high importance but low supply risk. They have a strong position in the market and can significantly impact the organization's operations. While supply risk is low, organizations should maintain good relationships with these suppliers and consider alternative sourcing options to prevent over-dependence.
Leverage Suppliers: Leverage suppliers have low importance but high supply risk. They are typically commodity suppliers where alternative sourcing options are readily available. Organizations can leverage their purchasing power to negotiate favorable terms and drive cost reduction initiatives.
Routine Suppliers: Routine suppliers have low importance and low supply risk. They provide non-critical goods or services that are readily available in the market. Organizations can focus on standard purchasing processes and seek cost-effective solutions.
By applying the Kraljic Model, organizations can develop tailored strategies for each supplier category, mitigate supply chain risks, and optimize their procurement processes.
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Which of the following best describes ethics?
Correct/Complete Question:
Which of the following best describes ethics?
A. An academic discipline which originated in the early 1900s.
B. A descriptive approach that provides an account of how and why people do act the way they do.
C. The study of how human beings should properly live their lives.
D. A normative approach such as psychology and sociology.
Answer:
C
Explanation:
Ethics can be defined as a branch of knowledge that is concerned with morals or moral principles. These moral principles are the principles by which people should live their lives. Moral principles tells us right from wrong.
Ethics is a sub-course under philosophy as it involves the provision, systematizing as well as defense of the concept of what should be right or what should be wrong.
Ethics can also be called moral philosophy. It can be divided into metaethics, normal ethics and applied ethics.
Cheers.
What is the purpose of collateral in a secured loan?
Answer:
To reduce risks against default.
Lily Tucker (single) owns and operates a bike shop as a sole proprietorship. In 2021, she sells the following long-term assets used in her business: Asset Sales Price Cost Accumulated Depreciation Building $ 232,800 $ 202,800 $ 54,800 Equipment 82,800 150,800 25,800 Lily's taxable income before these transactions is $193,300. What are Lily's taxable income and tax liability for the year
Lily’s taxable income for the year is $235,900, and her tax liability for the year is $45,152.50.
Calculation of taxable income and tax liabilityNote: See the attached photo for the proper arrangement of the table in the question.
These can be calculated as follows:
Profit on building = Sales price of building – (Cost of building – Accumulated Depreciation of building) = $232,800 – ($202,800 - $54,800) = $84,800
Loss on equipment = (Cost of equipment – Accumulated Depreciation of equipment) - Sales price of equipment –= ($150,800 - $25,800) - $82,800 = $42,200
Net profit = Profit on building - Loss on equipment = $84,800 - $42,200 = $42,600
Taxable income before transaction = $193,300
Total taxable income = Taxable income before transaction + Net profit = $193,300 + $42,600 = $235,900
In line with the tax rules, we have:
Tax Liability = ((Taxable income before transaction - $85,650) * 28%) + ((17,442 + Net profit) *25%) = (($193,300 - $85,650) * 28%) + (($17,442 + $42,600) *25%) = $45,152.50
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What are the disadvantages of a contract for deed? Select two. Allows time to become mortgage ready Seller retains the right to the property Down payment and closing costs can be negotiated No professional appraisal is required, so you might pay more than the home is worth
Answer:
Seller retains the right to the property
No professional appraisal is required, so you might pay more than the home is worth
Explanation:
A contract for deed is one that does not have the standard transfer of title from the seller to the owner. Rather the seller of a property retains title ownership while the buyer pays installmentally over time.
This agreement is common where the buyer does not meet requirements to obtain a loan. A small down payment can be made initially.
Disadvantages of contract for deed includes:
- Seller retains rights to the property, and he can cancel the contract if the buyer defaults even once on his payments.
- No professional appraisal is required, so you might pay more than the home is worth. There is no requirement for appraisal of the property so the buyer does not have a reliable estimate of property worth.
The disadvantages of a contract for deed are the seller retains the right to the property and No professional appraisal is required, so you might pay more than the home is worth.
What is a contract for deed?A contract for deed is one that does not have a standard transfer of title from the seller to the owner. Instead, the seller retains the title deed while the buyer pays the installments over time.
This agreement is usually when the consumer does not meet the requirements for obtaining a loan. A small payment can be made in advance.
Therefore, the disadvantages of contract for deed include:
The seller has property rights, and he can cancel the contract if the buyer fails even once in his payments. No professional appraisal is required, so you might pay more than the home is worth.
There is no need to inspect a property so that the buyer does not have a reliable estimate of the value of the property.
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Unless otherwise noted, assume everything happened in the current year.
A firm in Vancouver (Canada) purchases the following:
$4,000 worth of nails from Seattle (United States)
$2,000 worth of lumber produced the previous year by a Vancouver firm
It produces $90,000 worth of furniture and sells $2,000 to consumers . What is the effect of these transactions on current-year Canadian GDP?
The effect of these transactions on current-year Canadian GDP is $90,000. The reason for this is that GDP measures the total economic output within a country's borders.
The two types of expenditures that contribute to GDP are consumption (C) and investment (I). Given that the Vancouver firm produces $90,000 worth of furniture and sells $2,000 to consumers, the expenditure breakdown for Canadian GDP is:$2,000 worth of furniture sold to consumers is consumption expenditure. $88,000 worth of furniture is inventory investment. Therefore, the total contribution to current-year Canadian GDP from these transactions is $90,000.
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Which type of borrowing option would most likely result in the borrower
paying the highest amount of interest?
A. A card with a high compound interest rate
OB. A card with a low simple interest rate
ООО O
C. A card with a low compound interest rate
D. A card with a high simple interest rate
Answer:
A. A card with a high compound interest rate
Explanation:
it is most likely to result in the borrower
Wheatley, W. P. (2010). Economic and regional determinants of the location of payday lenders and banking institutions in Mississippi: Reconsidering the role of race and other factors in firm location. The Review of Regional Studies, 40(1), 17.
The citation you provided is for a research article titled "Economic and regional determinants of the location of payday lenders and banking institutions in Mississippi: Reconsidering the role of race and other factors in firm location" by Wheatley, W. P. (2010), published in The Review of Regional Studies.
This article explores the factors that influence the location of payday lenders and banking institutions in Mississippi. The author aims to reconsider the role of race and other factors in determining where these financial institutions are located.
By examining economic and regional determinants, the author investigates the reasons behind the spatial distribution of payday lenders and banking institutions. The study likely analyzes factors such as population density, income levels, proximity to other financial institutions, and possibly race, among other variables.
This research contributes to understanding the factors that shape the geographic placement of payday lenders and banking institutions in Mississippi. It may shed light on whether race plays a significant role in this process, and if other economic and regional factors are more influential.
Please note that without access to the full article, it is not possible to provide a more detailed analysis of the specific findings and conclusions presented in the study.
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QUESTION: Identify an example of the change in relative prices of two products.
pls help T o T
Answer: First lets start off with relative change. Relative changes shows the change of a value of an indicator in the first period and in percentage terms, ext. Relative change is calculated by subtracting the value of the indicator in the first period from the value of the indicator in the second period which is then divided by the value of the indicator in the first period and the result is taken out in percentage terms. The formula for relative change is very simple, and it is derived by initially deducting the initial value of the variable from the final value, then dividing the result by the initial value, and then finally multiplying by 100% to express in terms of percentage. Also
Explanation:
A small example in relative prices is In apple season, apples cost half as much as oranges. In orange season, oranges cost half as much as apples. Also to understand better, either market forces or government intervention, the relative price of goods and services does impact the allocation of resources used to produce these goods and services. A relative price is the price of one good compared to another. Resource allocation addresses how land, capital, and labor are spent in the production of goods and services. Since we went over that relative price is the price of something compared to something else. In other words, it is the ratio of two prices. Completely logical people will make purchasing decisions by considering the relative prices of their options. We can conclude that gas is $2.76 compared to the $3.02 of diesel . Now the gas is $0.26 cents cheaper than diesel. This is caused by the price to refine diesel compared to gas. Now that we have two simple example to show the basis of relative prices, you can clearly see the mean and definition of relative prices through the examples shown!
Which of the following statements is CORRECT?a. Diversifiable risk can be reduced by forming a large portfolio, but normally even highly-diversified portfolios are subject to market (or systematic) risk.b. A large portfolio of randomly selected stocks will have a standard deviation of returns that is greater than the standard deviation of a 1-stock portfolio if that one stock has a beta less than 1.0.c. A large portfolio of stocks whose betas are greater than 1.0 will have less market risk than a single stock with a beta = 0.8.d. If you add enough randomly selected stocks to a portfolio, you can completely eliminate all of the market risk from the portfolio.e. A large portfolio of randomly selected stocks will always have a standard deviation of returns that is less than the standard deviation of a portfolio with fewer stocks, regardless of how the stocks in the smaller portfolio are selected.
Answer:
a. Diversifiable risk can be reduced by forming a large portfolio, but normally even highly-diversified portfolios are subject to market (or systematic) risk.
Explanation:
Diversifiable risk can as well as be regarded as unsystematic risk, it is specific risk of a firm which impacts the price of the stock of individual rather than affecting the industry as a whole or sector where the the firm is carrying out it's operation. It a risk whereby there is possibility that change in the price of a security will be experienced because of the specific characteristics that the security have. It should be noted that Diversifiable risk can be reduced by forming a large portfolio, but normally even highly-diversified portfolios are subject to market (or systematic) risk.
you own a portfolio that has $2,000 invested in stock a and $3,100 invested in stock b. assume the expected returns on these stocks are 10 percent and 16 percent, respectively. what is the expected return on the portfolio? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
The expected return on the portfolio is 12.7%.
How we find the expected return on the portfolio?To calculate the expected return on a portfolio, the weighted average of the expected returns of each individual stock is taken.
The weight of each stock is determined by dividing its market value by the total market value of the portfolio.
In this case, the portfolio has $2,000 invested in stock A and $3,100 invested in stock B, for a total portfolio value of $5,100.
The weight of stock A is 2,000/5,100 or approximately 0.3922, while the weight of stock B is 3,100/5,100 or approximately 0.6078.
The expected return on stock A is 10%, and on stock B is 16%. The expected return on the portfolio is calculated as (0.3922 x 10%) + (0.6078 x 16%) = 12.7%.
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What determines the price of goods in a free enterprise system?
When an economy uses free enterprise or the free market, prices, goods, and services are set by the market rather than by the government. Government regulation of businesses and services is absent.
In the mercantile system, the government decides on the economic policies to enforce the nation's growth. In a free market when the market controls itself, free business and supply and demand are not about governmental control. In contrast to economics, representative democracy is a type of governance.
Price in a market economy, where businesses are free to enter and leave, is decided by the supply and demand for products and services. In this situation, the government serves as a regulator rather than a direct participant in the market, and it is responsible for preserving the conditions necessary for businesses to grow and compete on the market on the basis of pricing. Consumers profit as a result. The government makes some economic decisions to benefit the economy, such as making sure there is no agreement, but production decisions are left entirely up to the firms, free from government interference.
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What is a trade off.
Answer:
the exchange of something valuable
Explanation:
Answer:
A trade-off is exchange something of value, especially as part of a compromise.
Explanation:
What term describes the formal description of a process such as communication?
Model describes the formal description of a process such as communication.
What might a formal description of the communication process look like?Official information must go through authorised, predetermined channels and methods in order to be considered formal communication. Information is regulated and must be intentionally transmitted in order to be effective. A hierarchical structure and chain of command are followed in formal communication.The Transactional Model shows how communication participants simultaneously function as senders AND receivers, constructing reality via their interactions. The personal filters and experiences of the participants have an influence on each communication transaction, making communication more than just a one-way message transfer.Vertical Communications: These conversations take place at multiple organisational levels.To learn more about Transactional Model refer to:
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list and briefly describe the three basic theories used to describe the term structure of interest rates
There are three basic theories used to describe the term structure of interest rates: the expectations theory, the liquidity preference theory, and the market segmentation theory.
The expectations theory suggests that long-term interest rates are determined by the expectations of investors about future short-term interest rates. This theory assumes that investors are risk-neutral and prefer to hold short-term bonds to minimize risk. Therefore, long-term bond yields must be equal to the expected future short-term interest rates.
The liquidity preference theory suggests that investors prefer more liquid investments and require a premium to hold long-term bonds, which are less liquid. This theory assumes that investors are risk-averse and prefer to hold short-term bonds to avoid interest rate risk.
The market segmentation theory suggests that the bond market is segmented into different maturities, and investors only invest in bonds that match their investment horizons.
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although hydroelectric dams generate electricity without producing greenhouse gases, they
Despite that hydroelectric dams generate electricity without producing greenhouse gases, they eliminate farmland and wildlife habitats in the regions that are flooded.
Hydro-electricity is a source of electricity generated from force gotten from downfall of dam water.
Hydro-electricity are only generated from accumulation of large bank of rivers that may pose danger to farmlands and widelife habitat.Hence, the Option C is correct because hydroelectric dams eliminate farmland and wildlife habitats in the regions that are flooded.
Missing option includes "a. are only able to contribute to about 5% of the electrical power throughout the world. b. are short-lived structures that have to be rebuilt about every 20 years. c. eliminate farmland and wildlife habitats in the regions that are flooded. d. alter water control in ways that make it more difficult to irrigate crops."
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Use the following partial listing of T accounts to complete this exercise. 1. Prepare closing entries dated April 30, 20--. Do not enter the posting references until you complete part 2. If an amount box does not require an entry, leave it blank.
2. Post the closing entries to the T accounts following the top-down journal entry order. If there is more than one closing entry for an account, enter in the order given in the journal above. Then, complete the posting for part 1.
To complete this exercise, you need to prepare the closing entries dated April 30, 20--, and post them to the T accounts following the top-down journal entry order.
Here is a step-by-step explanation:
Step 1: Identify the temporary accounts (revenues, expenses, and dividends) that need to be closed. These are the accounts that should have a zero balance at the end of the accounting period.
Step 2: Prepare the closing entries. You will need to make the following closing entries:
a) Close revenue accounts by debiting each revenue account and crediting Income Summary for the total revenue amount.
b) Close expense accounts by debiting Income Summary, and crediting each expense account for the expense amount.
c) Close Income Summary by debiting or crediting it for the net income or net loss, and transferring the balance to the owner's capital or retained earnings account.
d) Close the dividends account by debiting the owner's capital or retained earnings account and crediting the dividends account.
Step 3: Post the closing entries in T accounts following the top-down journal entry order. This means that you should post the debits and credits for each closing entry to the corresponding T accounts in the order given in the journal above.
Step 4: Complete the posting for part 1. Once all closing entries have been posted to the T accounts, check that the temporary accounts have a zero balance, and the permanent accounts have the correct ending balances.
Remember, without the specific T accounts, this answer provides a general guideline for preparing and posting closing entries.
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CGS2512: Spreadsheet Concepts and Practices
Please access "Brainfuse Online Tutoring" by clicking on it in the course navigation menu. You are tasked with reviewing Brainfuse, scheduling an actual tutoring session, and writing about your experience. Discuss things you liked and found helpful and things you did not. Please end your discussion with whether you would recommend Brainfuse Online Tutoring to other learners and why.
Please find "Brainfuse Online Tutoring" in the course menu and click on it. Share what you enjoyed and found useful, as well as what you did not.
What is Brainfuse's current position?
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how can a company´s salespeople help with product development?
Answer:
Salespeople, who are on the front line interacting with customers, assume one of the most important roles in the product differentiation process. A well-informed customer will usually choose the product that offers the most value. There- fore, salespeople need to position their product with a value proposition.
Answer:
They can be a source of ideas.
Explanation:
just got that wrong.... sad so i know its correct it was A. for me
in the hvacr trade tubing is joined together by what?
Answer:
Copper tubing is joined using flare connection, compression connection, pressed connection, or solder. Copper offers a high level of corrosion resistance but is becoming very costly.
Prepare a monthly and yearly budget for Bill and Maura Jones based on the following information. They plan
on putting $50 into a college fund.
Net paychecks total = $1,555 monthly
Average monthly expenses:
Rent
$450
Utilities
$ 80
Gasoline
$ 70
Insurance
$ 90
Clothing
$ 50
Groceries
$300
Car payment $190
Car Maintenance
$ 50
Telephone
$ 25
Entertainment and Recreation $100
Gifts and donations $ 10
Personal care
$ 25
Miscellaneous $ 50
Savings - To be determined
Answer:
it is c on usa
Explanation:
The Jones have monthly income of $ 3,110, expenses of $ 1,540, and savings of $ 1,570. In turn, the Jones have annual income of $ 37,320, expenses of $ 18,480, and savings of $ 18,840.
To establish an annual and monthly budget for the Jones, taking into account the expenses raised, the following calculation must be performed:
All the expenses must be added, and thus the monthly budget is obtained. It must be multiplied by 12 to obtain the annual budget. 50 + 450 + 80 + 70 + 90 + 50 + 300 + 190 + 50 + 25 + 100 + 10 + 25 + 50 = X 1,540 = X 1,555 x 2 = 3,110 3,110 - 1,540 = 1,570
Thus, the Jones have monthly income of $ 3,110, expenses of $ 1,540, and savings of $ 1,570.
3,110 x 12 = 37,320 1,540 x 12 = 18,480 1,570 x 12 = 18,840
In turn, the Jones have annual income of $ 37,320, expenses of $ 18,480, and savings of $ 18,840.
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Design 1: Flat Solar Panels
A field of flat solar panels angled to best catch the sun will yield 2.6 MW of power and will cost $87million initially with first-year operating costs at $2million, growing $250,000 annually. It will produce electricity worth $6.9 million the first year and will increase by 8% each year thereafter.
Design 2: Mechanized Solar Panels
A field of mechanized solar panels rotates from sideto side so that they are always positioned parallel to the suns rays, maximizing the production of electricity. This design will yield 3.1 MW of power andwill cost $101 million initially with first-year operating costs at $2.3 million, growing $300,000 annually. It will produce electricity worth $8.8 million the first year and will increase 8% each year thereafter.
Design 3: Solar Collector Field
This design uses a field of mirrors to focus the suns rays onto a boiler mounted in a tower. The boiler then produces steam and generates electricity the same way a coal fired plant operates. This systemwill yield 3.3 MW of power and will cost $91 million initially with first-year operating costs at $3 million, growing $350,000 annually. It will produce electricity worth $9.7 million the first year and will increase 8% each year thereafter.
The following is a description of a typical day in the life of a MARRIOR. 1st Design The initial cost is $87 million. Yearly earnings: $6.9 million 8% annual income growth rate .
Yearly operational costs: $2 million, increasing at a rate of $250,000 per year. $6.9 million - $2 million - ($87 million / 25) annual cash flow - ($2,000,000 - $250,000) = $2.54,000,000 $2.54 million * (1 - 1/(1+10%)25) / 10% = $19.63 million PW of cash flow Design 2 The initial cost is $101 million. Yearly earnings: $8.8 million 8% annual income growth rate Yearly operational costs: $2.3 million, increasing by $300,000 each year. Yearly cash flow = $4.22 million = $8.8 million - $2.3 million - ($101 million / 25) - ($2.3 million - $300,000) Cash flow profit: $4.22 million * (1 - 1/(1+10%)25) / 10% = $32.66 million Design 3: Original cost: $91 million\sAnnual $9.7 million in earnings 8% annual income growth rate Yearly running costs: $3 million, increasing at a rate of $350,000 per year. Yearly cash flow = $5.13 million = $9.7 million - $3 million - ($91 million / 25) - ($3 million - $350,000) Cash flow profit: $5.13 million * (1 - 1/(1+10%)25) / 10% = $39.59 million Design 3 has the highest current worth based on the PW analysis and would be the recommended design. Design 2 is the second best alternative, with the lowest present value.
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Exercise 7.3: Claim Denial -- Warranty Does Not Mean a New Device
Instructions: Please post Exercise 7.3: Claim Denial -- Warranty Does Not Mean a New Device here. Please revise this message as a letter. Do not list the five weaknesses.
Current date
Ms. Haley Tranquillo
501 Westhampton Way
Richmond, VA 23173
Dear Ms. Tranquillo:
This letter is being sent to you to inform you that warranty repairs or replacements are not available for damage caused by operator fault. The dot inside your smartphone indicates in bright red that the device suffered prolonged exposure to liquid. The phone also shows signs of heavy external abuse—quite rightly excluded from coverage under your protection plan.
Your phone retailer, Westhampton Wireless, at 422 Pleasant Valley Road, forwarded your device to us. Our service technician made an inspection. That’s when he discovered that your Droid had not been treated with proper caution and care. He said he had never seen such a gunky phone interior, and that without a doubt the gadget was subjected to blunt force on top of that! You are lucky that the touch screen did not crack or break and that you didn’t lose all your data irretrievably since you apparently didn’t bother to arrange for a backup. Today’s smartphones are sophisticated high-tech devices. They must be handled with utmost respect. You wouldn’t believe how many users accidentally drop their phones into the toilet.
The Peace of Mind Plan that you have purchased gets rave reviews from users. They love the protection their expensive equipment enjoys at a low monthly cost of $5.99. However, this plan plus the manufacturer’s warranty on your Droid covers only this one thing: manufacturing defects. Your warranty has expired by now, but it wouldn’t cover neglect and abuse anyway. Your Peace of Mind Plan is in effect but only covers you for theft, loss, and malfunction. It explicitly excludes liquid and physical damage. In any case, there is always a deductible of $89. We can’t replace the Droid at no charge, as you request. But we could sell you a remanufactured model, at a cost of $49 plus tax. Your other option is to purchase a new device at full retail cost. Furthermore, since you have a two-year contract, you will be eligible for an upgrade as you are nearing month 20. You could go to www.alphawireless.com to browse new calling plans and see current smartphones and perhaps order a product or service online.
Let us know what you want to do. We pride ourselves on our unparalleled customer service.
Sincerely,
The purpose of the letter is to inform Ms. Tranquillo that warranty repairs or replacements are not available for damage caused by operator fault and to provide her with options for resolving the issue.
What is the purpose of the letter sent to Ms. Haley Tranquillo regarding her damaged smartphone?The letter is informing Ms. Haley Tranquillo that warranty repairs or replacements are not available for damage caused by operator fault, specifically due to prolonged exposure to liquid and heavy external abuse.
The letter emphasizes the importance of proper caution and care when handling smartphones and highlights that the protection plan and manufacturer's warranty only cover manufacturing defects, excluding neglect and abuse.
The options provided include purchasing a remanufactured model at a cost of $49 plus tax, buying a new device at full retail cost, or exploring upgrade options as the two-year contract is nearing completion. The letter concludes by emphasizing the company's commitment to customer service.
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What is the difference between a market and a command economy?.
Assume+the+following+for+the+morgan+goldman+firm:+actual+earnings+of+$14,000,+beginning+book+value+of+$250,000,+and+cost+of+capital+of+8%.+what+are+their+abnormal+earnings?
Assume the following for the Morgan Goldman firm. Actual earnings of $14,000, beginning book value of $250,000, and cost of capital of 8%. $(6,000) is their abnormal earnings.
Business capital generally includes financial assets held by a company that can be used to drive growth and build financial stability. Capital and cash are not the same. Capital can be more powerful than cash because it can be used to produce something and generate income (such as investments).
Definition: A product is an item offered for sale. Products are services or items. It can be in physical or virtual or cyber form. All products are made at a price and sold at a price. The price that can be calculated depends on the market, quality, marketing and target segment. A product is an item or service that you sell to satisfy a customer's needs or desires. they are physical or virtual. Physical products include durable goods (such as cars, furniture, and computers) and consumables (such as food and beverages).
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3. Integrated Potato Chips does not pay a dividend. Its current stock price is $150 and there is an equal probability that the return over the coming year will be -10%, +20%, or +50%. A) What is the expected price at year-end?
Integrated Potato chips expected price at year-end will be around $180.
What is the expected price?An expected price level, also known as anticipated price level, is the rate or price that products and services might be expected to attain given a specific set of economic conditions. This kind of figure is typically predicted by economists or even business owners as a way to get a sense of what will happen in a particular market should certain circumstances take place.
What does stock price mean?The price at which a share of stock is currently trading on the market is referred to as the stock price. When shares of a publicly traded firm are issued, their value is assigned a price that, ideally, represents the worth of the company itself.
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the information below applies to a competitive firm that sells its output for $45 per unit. • when the firm produces and sells 100 units of output, its average total cost is $24.5. • when the firm produces and sells 101 units of output, its average total cost is $24.65. refer to scenario 14-2. when the firm produces 100 units of output, its total cost is
'The information below applies to a competitive firm that sells its output for $45 per unit. • when the firm produces and sells 100 units of output, its average total cost is $24.5. • when the firm produces and sells 101 units of output, its average total cost is $24.65. refer to scenario 14-2. when the firm produces 100 units of output, its total cost is $24.5. Should the firm increase its output to 101 units is option D.
Yes, because the marginal revenue exceeds the average total costWhat is marginal revenue?Marginal revenue implies the incremental change in income consequent to the sale of one additional unit. Explaining marginal revenue helps a company identify the revenue generated from each additional unit sold.
Marginal revenue = incremental change in income due to one additional sale of unit.
Old income = $24.5
new income = $24.65
previous sale = 100
new sale = 101
100 = $24.5
101 = $24.65
Consequently,
marginal revenue = $24.65 - $24.5
= $0.60
Therefore, the correct answer is as given above. The extra $0.60 which is the revenue as a result of marginal revenue makes it exceed the average total cost of initial $24.5 to $24.65.
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The complete question goes thus:
the information below applies to a competitive firm that sells its output for $45 per unit. • when the firm produces and sells 100 units of output, its average total cost is $24.5. • when the firm produces and sells 101 units of output, its average total cost is $24.65. refer to scenario 14-2. when the firm produces 100 units of output, its total cost is $24.5. Should the firm increase its output to 101 units?
A. No, because the marginal cost exceeds the marginal revenue
B. Yes, because the marginal revenue exceeds the marginal cost
C. No, because the average total cost exceeds the marginal revenue
D. Yes, because the marginal revenue exceeds the average total cost
______ Is a market in which a large number of suppliers compete with each other to satisfy the needs and wants of a large numbers of consumers at a competitive price.???
Answer : Monopolistic competition
Answer:
Monopolistic Competition
Explanation:
In a monopolistic competitive market, there are large numbers of sellers who do not sell identical products instead they sell differential products. They compete with each other at a competitive price. The products could be differentiated in many ways including quality, style, location and even brand name. Since they compete at a competitive price, if there is a substantial rise in the price of any of the products, the buyers could quickly shift from one product to another. The most crucial factor behind product differentiation is because of geographical factors. Under a monopolistic competitive market, the sellers do not have any influence over customer loyalty and limited control over the price.
Your uncle has $1,375,000 and wants to retire. He expects to live for another 25 years and to earn 7. 5% on his invested funds. How much could he withdraw at the end of each of the next 25 years and end up with zero in the account? a. 592,514. 13 b. 5,127,052. 74 C $97,448. 22 d. 5,124,585. 70 E. 6. 5,123,352. 17
$,123,352. 17 could he withdraw at the end of each of the next 25 years and end up with zero in the account. The answer is OPTION E
The maximum withdrawal permitted throughout any Contract Year without being subject to surrender fees. The income of a policyholder is guaranteed under a guaranteed minimum withdrawal benefit (GMWB), regardless of the nature of market activity.
The typical maximum withdrawal is between 5% and 10%. These kinds of riders are intended to safeguard policyholders in times of market turbulence. Many Indian banks give account users the option to withdraw up to one lakh rupees ($14,000) per day through check. This only applies to checks marked "self-use" or "self-addressed," though. The answer is OPTION E
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the total cost of an asset less its accumulated depreciation is called
Answer:
Depreciation is called its net cost or carrying amount.
If the demand for health care is relatively inelastic, a one percent increase in price will result in A. more than one percent decrease in quantity demanded. B. no change in quantity demanded. C. less than one percent decrease in quantity demanded. D. a one percent decrease in the quantity demanded.
If the demand for health care is relatively inelastic, a one percent increase in price will result in A C. less than one percent decrease in quantity demanded.
What is inelastic demand?A demand that is elastic experiences a significant shift in quantity demanded as a result of a price adjustment. When the amount sought changes little as a result of a price adjustment, the demand is said to be inelastic.
The quantity sought for a good is measured according to its price elasticity of demand. Almost all goods see a decrease in quantity demanded when prices rise, however certain goods experience this decrease more than others.
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