If the bond has just paid an interest payment, then there are 5 interest payments remaining.
We are given the bond’s par value ($1,000), the selling price of the bond ($847.88), and the bond’s coupon rate (8%). We are also told that interest rates on new issues of the same degree of risk are 10%.
To calculate how many interest payments remain, we need to know the bond’s yield to maturity. We can use the yield to maturity formula to calculate this:
YTM = (C + ((F - P) / n)) / ((F + P) / 2)
We know that C = 0.08 x $1,000 = $80,
F = $1,000,
P = $847.88 and i = 10%.
We do not know the number of years to maturity or the number of interest payments remaining, so we have two variables: n and the number of interest payments remaining
If we assume that the bond has just paid an interest payment, then the number of interest payments remaining will be equal to the number of years to maturity times the number of interest payments per year (which is one in this case). We can use this assumption to calculate the number of interest payments remaining.
To calculate the yield to maturity, we can rearrange the formula above to solve for n:
n = (F + P) / 2(F - P) / (C + ((F - P) / n)) - 1
When we plug in the values, we get:
n = (1000 + 847.88) / 2(1000 - 847.88) / (80 + ((1000 - 847.88) / n)) - 1
n = 5 years
If the bond has just paid an interest payment, then there are 5 x 1 = 5 interest payments remaining.
Therefore, the answer is 5.
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Se venció una letra de cambio por $2,000 hace tres meses y se cobra el 1% mensual más IVA (16%) de intereses. Cual es el ajuste
Answer:
ajuste por moras e intereses = $23.20
valro de la letra de cambio = $2,000
total $2,023.20
Explanation:
el interes real que se cobra por mes = 1% x (1 + 16%) = 1.16%
el valor total de los intereses cobrados mas la letra inicial = $2,000 x (1 + 1.16%)³ = $2,000 x 1.016³ = $2,023.20
ajuste por moras e intereses = $23.20
valro de la letra de cambio = $2,000
total $2,023.20
Which of the follow is NOT a good place to gather and evaluate investment options?
a Social Media
b Newspapers and magazines
c Brokers and advisers
d Company financial reports
Assuming the balance of cash on january 1, 2024, equals $5,400, calculate the balance of cash on december 31, 2024
Calculating the balance of cash on December 31, 2024, requires an understanding of the factors that affect cash inflows and outflows during the year.
Revenues and Expenses: The revenue generated by a business and the expenses incurred during the year can impact the cash balance. If revenues are greater than expenses, then the business will have a positive cash flow, whereas if expenses are greater than revenues, then the business will have a negative cash flow.
Capital Expenditures: Capital expenditures refer to investments in long-term assets such as property, plant, and equipment. These investments can impact the cash balance since they require a cash outflow at the time of purchase.
Financing Activities: Financing activities refer to transactions related to the company's financing, such as issuing stock, paying dividends, or borrowing money. These activities can either increase or decrease the cash balance depending on whether the company is raising money or making payments.
Given that the starting cash balance is $5,400 on January 1, 2024, it is necessary to consider the above factors to determine the balance of cash on December 31, 2024. Let's assume that the business generates $200,000 in revenue and incurs $150,000 in expenses during the year. The difference between revenue and expenses, which is $50,000, is referred to as net income. Assuming the business has no capital expenditures, the net income will be the cash inflow, which means the cash balance will increase by $50,000 to $55,400 on December 31, 2024.
However, if the business had capital expenditures of $30,000, the cash outflow would be $30,000, which would reduce the cash balance to $25,400. Alternatively, if the business borrowed $20,000 during the year, the cash inflow would be $20,000, which would increase the cash balance to $25,400 + $20,000 = $45,400. Finally, if the business paid dividends of $10,000 during the year, the cash outflow would be $10,000, which would reduce the cash balance to $45,400 - $10,000 = $35,400.
In conclusion, the balance of cash on December 31, 2024, is influenced by various factors, including revenues and expenses, capital expenditures, and financing activities. Therefore, to determine the cash balance on a specific date, it is necessary to consider all of these factors and make appropriate adjustments to the starting balance of cash.
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Five years ago Thompson, an investor, ran across a board game that he enjoyed and believed the game would become very popular. He purchased 1,000 shares of the corporation that publishes the game. Unfortunately, the game was too complex for most casual game players and sales never amounted to much. Over the five years, the stock of the publisher has remained steady, but has not increased in value. This is an example of
This is an example of Business risk.
Business risk is the business a company Invested their money into which later reduce their profit or become unsuccessful.
A company or organization that enter into business in which they are unable to gain that financial target they aim for after investing their money into the business is known as business risk.
Any Business a person, company or organization choose to enter into is a risk as you cannot actually predict what the outcome will be as to whether it will lead to financial gain or loss until you start the business.
Inconclusion This is an example of Business risk
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Answer:
Business Risk! Believe it!
Explanation:
Type the correct answer in the box. Spell all words correctly.
Which form of marketing do firms use when they market their products to all consumers alike, even when not all of them constitute the target audience?
When firms market their products to all consumers alike, even when not all of them constitute the target audience, they exhibit (___?___) marketing.
Answer:
Outbound Marketing is the correct answer
Explanation:
Answer:
outbound marketing - I just took the test this is correct
Explanation:
Suppose that Ariana consumes two goods, Ramen noodles and gasoline. Ramen noodles are an inferior good, and gasoline is a normal good. Suppose the price of gasoline decreases, while the price of Ramen noodles remains unchanged. The income effect by itself suggests that Ariana will consume
Use letters in alphabetical order to select options
A
fewer Ramen noodles and less gasoline.
B
more Ramen noodles and less gasoline.
C
more Ramen noodles and more gasoline.
D
fewer Ramen and more gasoline.
D. Fewer Ramen and more gasoline. The decrease in the price of gasoline will increase Ariana's purchasing power, leading her to buy more of both goods.
However, since Ramen noodles are an inferior good, the income effect will also lead her to shift away from consuming them and towards the normal good, gasoline.
Based on the given information, if the price of gasoline decreases while the price of Ramen noodles remains unchanged, and considering Ramen noodles are an inferior good and gasoline is a normal good, the income effect by itself suggests that Ariana will consume:
D. fewer Ramen and more gasoline.
Here's a step-by-step explanation:
1. The price of gasoline decreases, effectively increasing Ariana's purchasing power (real income).
2. Gasoline is a normal good, so as Ariana's real income increases, she will consume more gasoline.
3. Ramen noodles are an inferior good, meaning that as real income increases, the consumption of Ramen noodles decreases.
4. Therefore, Ariana will consume fewer Ramen noodles and more gasoline.
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Yahir wants to become an Actor. What are the most helpful examples of milestones for this goal? Check all that apply.
A.taking an acting class
B.running a race
C.taking a science class
D.learning how to cook
E.participating in a school play
F.auditioning for a part in a television show
Answer:
aef
Explanation:
got the question right
Answer:
1 5 6
Explanation:
Manny is attending college and majoring in economics. manny is improving his scarce resource of:_________
a. land.
b. natural resources.
c. labor.
d. innovation.
e. capital.
The correct answer is (e) capital.
The total amount of financial resources needed to create goods or services is referred to as capital in the business world. This cash may be employed to start up operations, cover ongoing costs, or develop and extend the company.
What exactly does capital in education mean?In the context of the educational system, educational capital refers to educational assets that are transformed into commodities that may be purchased, sold, withheld, exchanged, consumed, and benefited from.
How are social capital and education related?In the shape of the school's academic and disciplinary atmosphere, as well as the cultural norms and values that inspire students to pursue more challenging objectives, social capital promotes success and education. According to Putnam, social capital in schools has a significant impact on the development of children and adolescents.
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What is the present value of a payment of $200 to be made one year from today if the interest rate is 10 percent?
a. $180
b. $181.82
c. $220
d. $222.22
Option (b), the present value of a payment of $200 to be made one year from today if the interest rate is 10 percent is $181.82.
The present value of a payment of $200 to be made one year from today if the interest rate is 10 percent can be calculated using the formula for the present value of a single future sum, which is:
PV = FV / (1 + r)n
where PV is the present value, FV is the future value, r is the interest rate, and n is the number of time periods involved. In this case, we have:
FV = $200
r = 0.1
n = 1
Substituting these values into the formula, we get:
PV = $200 / (1 + 0.1)1
= $181.82
Formula used:
PV = FV / (1 + r)n
Where,
PV = Present value
FV = Future value r = Rate of Interest
n = Time period
Given,
Future value = $200
Rate of Interest = 10%
Time period = 1 year
PV = FV / (1 + r)n
Substituting the values in the above formula, we get:
PV = $200 / (1 + 0.1)1
PV = $200 / 1.1
PV = $181.82
Therefore, the option is B: $181.82.
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how can we make a village or locality as beautiful as sarangkot
Answer:
wth is a sarangkot?-
Explanation:
Waylon is back-to-school shopping with his mom at a large
department store. He's picked out the following items: 3 pair of
pants for $87 total, 4 t-shirts for $48 total, 1 backpack for $35, 1
hoodie for $26, 1 pair of shoes for $37. When they get to the
register, they see this sign:
BIGGEST BACK TO SCHOOL SALE OF THE SEASON
Spend $100
Spend $200
Spend $300
Spend $400
Save 10%
Save 15%
Save 20%
Save 30%
100 Points!! PLS HELP ASAP!! In a short response of approximately 75 words, explain what type of company would elect to develop and manage an internal marketing department.
Mid-sized regional companies would elect to develop and manage an internal marketing department.
What is internal marketing?Internal marketing can be divided into two categories: a campaign or communication plan that is specifically directed at your staff. Campaigns for employee engagement or wellness/benefits programs, for instance. campaigns intended to inform, engage, and socialize personnel before the start of an external campaign.
Internal marketing is now a key component of a successful marketing plan, therefore organizations should give it a top priority. Internal marketing is, to put it simply when a company advertises to its employees about its mission, goals, culture, goods and services, and brand.
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Consider a second hand car market where three types of cars are being sold: High quality (H), medium quality (M) and low quality (L). Sellers value an H at $2000, an M at $1200 and an L at $800, whereas buyers value an H at $1800, an M at $1600 and an L at $1400. As discussed in the "Akerloff's Lemons Market", sellers are able to distinguish between different quality cars but buyers are not and a buyer believes that in this market 40% of the cars is an H, 30% of the cars is an M and 30% of the cars is an L. a) Determine which type of cars will be sold at the efficient allocation. b) Determine which type of cars will be sold at the market equilibrium.
Answer:
a) Determine which type of cars will be sold at the efficient allocation.
All cars would be sold in a Pareto efficient allocation.
In a Pareto efficient market, resources are all allocated in teh most efficient possible way. This is the reason why this is just a theoretical concept that does not necessarily apply in real life.
b) Determine which type of cars will be sold at the market equilibrium.
Since consumers are only willing to pay up to $1,620 for a used car, only medium quality and low quality cars will be sold. The price of high quality used cars is higher than the equilibrium price.
Explanation:
the most a buyer would be willing to pay for a used car is ($1,800 x 40%) + ($1,600 x 30%) + ($1,400 x 30%) = $720 + $480 + $420 = $1,620
Quinton has built a computer by plugging his CPU into the motherboard, adding RAM and ROM, connecting an SSD card and power cables, and adding a monitor, keyboard, and mouse. Now he is ready to use the computer. What programs and instructions will he need to finish the process and actually run his new computer?
A. software
B. hardware
C. peripherals
D. extension cards
Based on the available information and the computer structure and operation, the programs and instructions Quinton will need to finish the process and run his new computer's Software.
What are software Programs?Software programs is a computer technology term that is used to describe the set of code and instructions that instructs a computer how to run and execute specific tasks.
Usually, a single computer can conduct numerous functions simultaneously, based on the installed software programs.
In this case, since the CPU, motherboard, RAM and ROM, SSD card, power cables, monitor, keyboard, and mouse are all hardware, then for a computer to complete and function well, there must be a software program.
Examples of software programs are:Microsoft WordMicrosoft ExcelPowerPointAdobe IllustratorCore DrawInternet Browser, etc.Hence, in this case, it is concluded that the correct answer is option A Software.
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Two firms are developing a product for a market of fixed size. The longer the firm spends on the development, the better the product is. But the firm releasing the product first has an advantage: a customer may not switch to a better product once got used to a worse one. We model the situation in the following way. A firm that releases first at time t gets h(t) share of the market, leaving the remainder to the competitor. We assume that h(t) is an increasing function of t with h(0) = 0 and h(T) = 1. If the firms release simultaneously, each gets half of the market. Represent this situation as a strategic game and find its Nash equilibria.
The Nash equilibrium of the strategic game is for both firms to release simultaneously at the start of the time period, with each firm obtaining a market share of 0.5.
To represent the situation as a strategic game, we can define the following:
Players: Two firms, Firm 1 and Firm 2.
Actions: Each firm chooses a release time, t, within a given time period.
Payoffs: The market share each firm obtains based on their release time.
Assumptions:
The longer a firm spends on development, the better the product and the higher the market share it obtains.
The firm that releases first has an advantage, as customers may not switch to a better product once they are used to a worse one.
The market size is fixed.
Now, let's define the payoffs for each firm:
Firm 1's Payoff:
If Firm 1 releases at time t and Firm 2 releases simultaneously or later, Firm 1's market share is h(t), and Firm 2's market share is 1 - h(t).
Firm 2's Payoff:
If Firm 2 releases at time t and Firm 1 releases simultaneously or later, Firm 2's market share is h(t), and Firm 1's market share is 1 - h(t).
If both firms release simultaneously, they each get half of the market, so their market shares are 0.5.
To find the Nash equilibria of this strategic game, we need to identify the release times for each firm that maximize their payoffs given the actions of the other firm.
Since h(t) is an increasing function of t, each firm would prefer to release earlier to maximize its market share. However, if one firm releases earlier than the other, it gains an advantage, so there is an incentive for both firms to release as early as possible.
Therefore, the Nash equilibrium of this strategic game is for both firms to release simultaneously at the beginning of the time period, where they each receive a market share of 0.5. This is the only stable outcome where neither firm has an incentive to deviate from their chosen action.
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Which are affected by the factors of production? Check all that apply.
A.) the demand of the item
B.) the availability of the item
C.) the cost of the item
D,) the quality of the item
E.) the popularity of the item
Answer:
A
C
D
Explanation:
without demand no reason to product it
The cost of a item also greatly affects it
and how well they can make it without being too expensive
davy confesses that he is bored with his job and wants more of a challenge. which technique to job design can bryan utilize to provide davy with more stimulating work
Bryan can utilize job enrichment technique to provide Davy with more stimulating work.
Giving employees more responsibility and variety in their work is a tactic called "job enrichment" that is used to inspire workers.
The goal is to give workers more authority over their work. By doing this, one can capitalize on their inherent motivation to perform well and support the company's overarching objectives.
The practice of designing a job to include fascinating and difficult tasks that may call for greater skill and/or result in higher pay is known as job enrichment.
By extending the variety and complexity of the activities that employees are required to do and by giving them the necessary power, job enrichment aims to give workers more responsibility.
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Compared to a short-term investment, what is the general return of a long-term investment? A) A long-term investment has a similar return to a short-term investment.
B) A long-term investment has a greater return because it has greater risk.
C) A long-term investment has a greater return because it has lower risk.
D) A long-term investment has a lower return because it has lower risk.
Let understand that "short-term investment" are investments that can be easily converted to cash and has a maturity period of less than a year. Example of this investment are Money Market.
"Long term investment" are investment that runs over a long period of time and yield higher return than the short-term investment". Example of these investment are stocks, bonds, real estate
People invest in "Long term investment" because its offers more risk for higher rewards.
In conclusion, long-term investment has a greater return because it has greater risk.
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Answer:
Compared to short-term investment, what is the general return of long-term investment?
Long-term investment has a similar return to short-term investment.Long-term investment has a greater return because it has greater risk.Long-term investment has a greater return because it has lower risk. <<<CORRECTLong-term investment has a lower return because it has lower risk.Explanation:
Edge 2022
An advantage of licensing to a company is that it ________, while the licensee gains production expertise or a well-known product without having to start from scratch.
An advantage of licensing to a company is that it can enter into a foreign market at a little risk, while the licensee gains production expertise or a well-known product without having to start from scratch.
Licensing of the international business transactions gives the licensee certain type of rights and resources to manufacture or market a particular product in a particular country, generally called the host country.
Licensing also represents a business arrangement in which one company is given permission by another company or individual to manufacture its product by giving a specific fee.
This arrangement includes allowing the licensee to use the patents, trademarks, copyrights, designs, and other intellectual property rights of the licensor.
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A mnemonic is:
A. A way to multitask
B. A vocational certificate option
C. A tool that aids memory
D. A skill needed when writing papers
A mnemonic is: C. A tool that aids memory.
What is memory?In Psychology, memory can be defined as the ability of a living organism such as a human being to take in information through encoding, store it and then retrieve (recall) this piece of information at a latter time in the future.
Generally speaking, some of the effective and efficient ways to improve memory include the following:
Drill and practice.The use of mnemonic.Peg word systemElaborative rehearsal.In this context, we can reasonably infer and logically deduce that mnemonic is a tool which can be developed by living organisms in order to aid memory.
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Discuss how a manager might make sure that the performance plan for each of her direct reports was driven by organizational strategy and the
business plan. How can information systems support this goal?
To ensure that the performance plan for each of her direct reports is driven by organizational strategy and the business plan, a manager can take several steps such as ensure that each direct report has a clear understanding of the organization's strategy. This information systems support this goal can be used to provide real-time performance data.
Firstly, she should ensure that each direct report has a clear understanding of the organization's strategy and how their role contributes to its achievement, this can be achieved through regular communication and training sessions. Secondly, the manager should work with each direct report to set performance goals that align with the organizational strategy. The goals should be specific, measurable, achievable, relevant, and time-bound. The manager should also ensure that each direct report has the necessary resources and support to achieve their goals.
To support this goal, information systems can be used to provide real-time performance data, such as sales figures, customer feedback, and productivity metrics. This information can be used to track progress towards goals and identify areas for improvement. Information systems can also be used to automate performance evaluations and provide performance feedback to direct reports. Overall, information systems can help to align performance plans with organizational strategy and improve the performance of direct reports.
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If the Commission for Sport and Events contributes $45 million dollars towards the construction of a new sport venue, what type of financing option is most likely being used
The financing that is most likely being used for this construction are taxation or government securities issuance.
Sources of government financing Government can raise funds from taxing the people they govern.They can also raise funds by issuing securities such as notes to the public.The agency behind the construction of the venue is a governmental agency which means that it is most likely raising funds from one of the two methods described.
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Oscar received his credit report and sees that his VantageScore is 400. Which factor could be the cause?
a
He filed for bankruptcy 15 years ago.
b
He has five credits cards with high balances.
c
He has a low debt-to-credit ratio.
d
He has applied for his first loan in his life.
Answer:
b. He has five credits cards with high balances.
Explanation:
A VantageScore is a credit score model that shows the probability that someone will pay the loans. A 400 VantageScore is very poor and people can get this score for different situations like bankruptcies as they will appear in your report for up to 10 years, having high utilization rates on your credit card and missing payments. According to this, the answer is that the factor that could be the cause is: he has five credits cards with high balances because he would have a high utilization rate which hurts the credit score.
The other options are not right because a bankruptcy appears in the report for up to 10 years, a low debt to credit ratio shows that you use your credit in a responsible form and it won't hurt your credit acore. Also, if someone doesn't have a credit history, there is no score because there is no data to define that.
Describe the arrangement many parents and students make if the parent decides to take out a Parent PLUS Loan.
I NEED A ANSWER AS QUICKLY AS POSSIBLE I NEED TO TURN IN THIS TODAY
Parents of dependent undergraduates may use Direct PLUS Loans, which are federal loans, to aid with the cost of attending college or a career school. PLUS loans can help pay for educational expenses that other types of financial aid do not cover.
Are parents need to obtain a parental PLUS loan?A PLUS loan request from one parent only needs to be turned down. The student is not qualified for higher Stafford Loan limitations, though, if one parent is refused a PLUS loan while the other is authorized for one.
Is obtaining a parental PLUS loan simple?Although parent PLUS loans have fewer stringent credit standards than student loans from private lenders, your application could still be rejected if you have a poor credit history that will last for longer than a year. contracts for the sale of products worth more than $500.
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You are an oat farmer who decides to sell a
call with a strike price of $4.90 for a premium of
$0.25.
If the futures price ends up at $4.85 (and your cash price is
$4.50), find your net price.
To calculate the net price as an oat farmer who sold a call option, we need to consider the premium received and the difference between the strike price and the futures price.
In this scenario, the strike price of the call option is $4.90, and the premium received is $0.25. The futures price ended up at $4.85, which is lower than the strike price. However, the cash price at $4.50 is even lower than the futures price.Since the futures price is below the strike price, the call option is out of the money and will not be exercised by the buyer. Therefore, as the seller, you get to keep the premium received.The net price, in this case, would be the cash price ($4.50) plus the premium received ($0.25):Therefore, the net price as an oat farmer in this situation would be $4.75.
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Someone copied a library video and sold the copies to friends. This is an
example of ____.
A. embezzlement
B. intellectual property theft
C. cybercrime
D. shoplifting
its be fasho cause i learned about it
Someone copied a library video and sold the copies to friends. This is an example of intellectual property theft. Hence, option B is correct.
What is intellectual property theft?Intellectual property theft occurs when a person or organization has their invention, creative expression, or idea taken from them. When someone commits IP theft, they can also be stealing trade secrets, copyrights, trademarks, or patents. Names, logos, insignia, inventions, client lists, and more fall under this category.
Manufacturing, selling, or distributing fake or stolen commodities, such as trademarks, industrial designs, literary works, or creative works, for financial benefit is considered an intellectual property crime.
Loss of client confidence. A reputational hit. reduction in revenue and expansion of the company. loss of advantage in the marketplace.
Thus, option B is correct.
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A cook checks the temperature of soup being held for service, and it is 130°F (54°C). The cook reheats the soup to 165°F (74°C). This is an
example of
Answer: taking a corrective action.
Explanation:
From the question, we are informed that a cook checks the temperature of soup being held for service, and it is 130°F (54°C) and then tge cook reheats the soup to 165°F (74°C). This is an example of taking a corrective action.
A correction action refers to a solution that helps in fixing a particular problem.
In this case, the corrective action taken by the cook helps in preventing the soup from spoiling.
Use the data below to compute 2014 NOPAT: 2014 2013 Cash 13 19 Short-term investments 9 69 Accounts receivable 370 318 Inventories 551 420 Property, plant & equipment (net) 929 872 Accounts payable 49 34 Short-term debt 63 Accrued liabilities 131 Long-term debt 582 Common stock 130 Retained earnings 712 Net revenue 2,850 Depreciation expense 91 Interest 63 Taxes 85 Net income 121 (Round to the nearest whole dollar) 96 148 659 130 770 3,146 112 92 83 255
To compute the 2014 NOPAT (Net Operating Profit After Taxes), we need to gather the relevant information from the provided data. 2014 NOPAT for the given data is $2,523.
The key components required for the calculation are net revenue, depreciation expense, interest, and taxes.
In 2014, the net revenue is given as $2,850. The depreciation expense is $96, interest is $148, and taxes are $83. To calculate NOPAT, we subtract the depreciation expense and interest from the net revenue to obtain the operating profit.
In this case, the operating profit is $2,850 - $96 - $148 = $2,606. Then, we subtract the taxes from the operating profit to calculate NOPAT. In this case, NOPAT is $2,606 - $83 = $2,523.
Therefore, the 2014 NOPAT for the given data is $2,523.
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What are some of the steps that led to creating eHarmony?
What advantages did eHarmony have because it was not the first entrant into the online dating market space?
What disadvantages might there be as a late entrant into a market? Did eHarmony experience any or all of these? Which?
Why did Greg Forgatch believe that eHarmony’s first radio ad worked so well?
What key advertising concepts has eHarmony applied?
Answer and Explanation:
1. Eharmony was born out of Neil Clark Warren's(clinical psychologist and marriage counselor) research work on the psychology of satisfactory relationships through weighing compatibility by certain notable characteristics in individuals. It was on this basis that he set up eharmony which matches people based on principles from his research
2. Eharmony matches people using Neil's principles and this sets him apart from other dating sites
3. It worked so well because there was evidence that it Neil's matching couples model works because real couples were involved in the ad
4. Key advertising concepts was the involvement of real couples who started their relationship through eharmony showing that it actually works
Suppose Europeans began purchasing real assets in the United States. How would this impact the foreign exchange market for the euro and the U.S. dollar price of the euro?
Supply of euro / U.S. dollar Price of euro
Increase / Increase
Increase / Decrease
Decrease / Increase
Decrease / Decrease
Decrease / Not Change
Depreciation of the U.S. dollar will affect the exchange rate again for euro and the price of a euro in U.S. dollars.
What does it mean to diminish?Definition: Use, deterioration, or obsolescence over time lower an asset's value. Depreciation, or the loss in value of an asset, can also be caused by other factors, such as unfavorable market conditions.
What does "depreciate" actually mean?The annual proportion of the overall depreciation is known as the depreciation rate. For example, if a company depreciated a piece of equipment at a pace of $15,000 every year over the expected lifespan of the item, it would be a total loss of $100,000. So, 15% would be the annual percentage.
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