The competition of sellers against sellers and buyers against buyers determines the price of the product.
The competition between various bodies often sets prices.So often, marketing takes the lead in deciding on, or at the very least strongly suggesting, the prices for goods and services."Supply, demand, and pricing" are often considered the "golden triangle" of economics. Supply and demand in the market determine the price of the good or service in any market transaction between a seller and a buyer. Technology and the settings in which people live and work each have an impact on supply and demand.To know more about Price here
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Dennis sells short 275 shares of ARC stock at $264 per share on January 15, 2021. He buys 550 shares of ARC stock on April 1, 2021, at $330 per share. On May 2, 2021, Dennis closes the short sale by delivering 275 of the shares purchased on April 1. Question Content Area a. What are the amount and nature of the loss upon closing the short sale? Dennis has loss in the amount of $fill in the blank 986b8dfe903d073_2 . Question Content Area b. When does the holding period for the remaining shares begin? The holding period for the remaining shares begins on . Question Content Area c. If Dennis sells (at $363 per share) the remaining 275 shares on January 20, 2022, what will be the
the nature of his gain or loss?
Dennis has
an ordinary lossa short-term capital lossa long-term capital lossa short-term capital gainordinary income
in the amount of $
nature of his gain or loss? Dennis has in the amount of $
a) Dennis has a loss of $16,500 upon closing the short sale.
b) The holding period for the remaining shares begins on April 1, 2021.
c) The nature of Dennis's gain or loss upon selling the remaining shares depends on the purchase price and can be a short-term capital gain or loss.
a) The amount of loss upon closing the short sale is $16,500. This is calculated by subtracting the selling price of the shares from the original short sale price: 275 shares * ($330 - $264) = $16,500. The nature of the loss is a short-term capital loss because the holding period for the short sale was less than one year.
b) The holding period for the remaining shares begins on April 1, 2021, which is the date when Dennis purchased them. This means that the remaining shares will be subject to the holding period requirements for determining whether they qualify as short-term or long-term capital assets when sold.
c) If Dennis sells the remaining 275 shares on January 20, 2022, at $363 per share, the nature of his gain or loss will depend on the purchase price of those shares. If the purchase price is higher than $363 per share, Dennis will have a short-term capital loss. If the purchase price is lower than $363 per share, Dennis will have a short-term capital gain. The amount of the gain or loss will depend on the specific purchase price and can be calculated by subtracting the purchase price from the selling price and multiplying it by the number of shares sold.
It's important to note that tax implications and the character of gains or losses can vary based on individual circumstances and tax regulations. Therefore, it is recommended to consult with a tax professional for accurate and personalized advice.
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Your salary is one thing to consider when reviewing a job offer but benefits are also important. Which of the following would NOT be a part of your benefits package?
a) matching contributions to a retirement account
b)healthcare insurance
c)FICA
d)disability insurance
The answer choice which would NOT be a part of the benefits package when reviewing a job offer is:
C) FICAAccording to the given question, we are asked to state the answer choice which would NOT be a part of the benefits package when reviewing a job offer and how it would ensure job security.
As a result of this, we can see that the salary is one of the important factors to consider when looking at a job offer. Other requirements which are important as job benefits includes matching contributions to a retirement account, healthcare insurance, disability insurance, etc.
However, the FICA is not a part of the benefit package as it is essentially US federal payroll tax which is deducted at every paycheck.
Therefore, the correct answer is option C
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C
trust me bro i’m right if i’m wrong well too bad
1. Project goal setting includes setting a baseline plan, which
is predicated on: Select one:
a. an accurate work breakdown structure.
b. the type of gap analysis the project team plans to use.
c. the
Project goal setting includes setting a baseline plan, which is predicated on an accurate work breakdown structure. Therefore, option A is the correct answer.
Work Breakdown Structure is a project management tool that is used to decompose a project into smaller, more manageable components. The tool assists the project team in identifying all the tasks required to complete a project, breaking them down into manageable pieces, and defining how the work should be executed.
A work breakdown structure (WBS) is used to divide a project into smaller, more manageable components. When it comes to project management, breaking the project down into more manageable components aids in the planning process. Therefore, an accurate work breakdown structure is required to set a baseline plan in project goal setting.
Therefore, a is correct.
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who was in paris????
Answer: i wish i was in paris
Explanation:
Answer:
Ernest hemlingway
Explanation:
he was a Paris writer in 1899-1961
How can I increase my level of confidence in myself?
How do I get rid of the feeling of shyness, nervousness, and scared when I'm playing soccer in front of other and talking publicly to people?
Answer:
remind urself ur perfect and u got this! don't care about what others think!
15 points In a paragraph of 125 words, explain the importance of market research, being sure to include the four basic steps and the two ways to gather information.
Answer: Marketing research can give a business a picture of what kinds of new products and services may bring a profit. For products and services already available, marketing research can tell companies whether they are meeting their customers' needs. By researching the answers to specific questions, small-business owners can learn whether they need to change their package design or tweak their delivery methods--and even whether they should consider offering additional services.
Collecting primary research can include:
Interviews (either by telephone or face-to-face)
Surveys (online or by mail)
Questionnaires (online or by mail)
Focus groups gathering a sampling of potential clients or customers and getting their direct feedback
Two ways to gather this information would be asking questions and gathering data from trusted sites or books.
Explanation:
Market research is crucial for businesses to make informed decisions, create products and services that meet the needs of their customers, and stay ahead of the competition. It helps to reduce business risk, improve marketing strategies, and stay up-to-date with the latest market trends.
What is the scope of marketing research?The areas or components that are examined within marketing research are referred to as their scope. To put it another way, it suggests the domains or contexts in which marketing research can be used. Marketing research actually has an impact on practically every aspect of marketing management.
Market research is the process of gathering and analyzing information about the target market for a product or service. It is a crucial step in the business decision-making process as it helps companies to understand the needs, preferences, and behavior of their target audience.
Market research helps companies identify the needs and preferences of their target audience. This helps companies to create products and services that meet the needs of their customers, leading to increased sales and customer satisfaction.
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my uncle is in the hospital need someone to tlk too
Answer:
Hey, I'm here if you need. I'm sorry about your uncle being in the hospital, I do hope he gets better.
All of the following are reasons to attend a vocational school except.
O A. It takes less time than earning a bachelor's degree.
O B. It is cost-effective.
C. Most credits are transferable to four-year colleges.
D. You work with experienced instructors.
Answer:
C. Most credits are transferable to four-year colleges.
Explanation:
Vocational schools offer training on courses that focus on skills required to undertake a particular trade or job function. In vocational training, students are prepared for specific carriers. All other unrelated subjects are disregarded. Due to this and other facts, vocational school training takes less time to complete, is less expensive, and the instructors are specialized.
One cannot transfer credits from vocation training to college. The two institutions offer varied programs that take follow diverse paths, and take different times to complete.
the relationship between t-bill interest rates and the federal funds rate can be described best by which of the following statements? group of answer choices the federal funds rate is usually several percentage points higher than t-bills rates. t-bill rates have no relationship with the federal funds rate. t-bills rates and the federal funds rate are nearly the same. t-bill rates are, by definition, always higher the the federal funds rate.
The relationship between t-bill interest rates and the federal funds rate can be described the best t-bill rates have no relationship with the federal funds rate. t-bills rates and the federal funds rate are nearly the same. Thus, option (c) is correct.
The federal funds rate has a stronger impact on T-bill yields. Only the short-term interest rate known as the federal funds rate, which is located at the extreme left of the curve, is directly under the authority of the Federal Reserve.
The term price of Treasury bonds and the federal funds rate have a strong inverse relationship. Other short-term rates of interest rates across the nation's economy are most directly influenced by the Fed funds rate.
Therefore, option (c) is correct.
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The financial statement of P&G are presented in Appendix B: Specimen Financial statements: The Proctor & Gamble Company. The company's annual report, including the notes to the financial statement is available online.
Refer to P&Gs financial statements and the accompanying notes to answer the following questions.
a, what alternative formats could P&G have adopted for its balance sheet? which format did it adopt.
b. Identify the various techniques of disclosure P&G, might have used to disclose additional pertinent financial information. which technique does it use in its Financials?.
c. In what classification are P&Gs investments report?. what valuation basis does P&G use to report its investments?. How much working capital did P&G have on June 30,2017? on June 30,2016?
d. what were P&Gs cash flow from its operating activities, investing, and financing activities for 2017?. what were its trends in net cash provided by operating activities over the period 2015-2017?. Explain why the charge in Accounts payable and in accrued and other liabilities is added to net income to arrive at net cash provided by operating activities.
e. Compute P&Gs 1, current cash debt coverage, 2, cash debt coverage, and 3, free cash flow for 2017. what do these rations indicate about P&Gs financial condition?.
I suggest going to P&G's official website and accessing their annual report, which ought to have the financial statements and notes you require in order to find the precise and current information you need.
The alternative balance sheet formats, disclosure methods, investment classification, valuation methodology, working capital statistics, cash flows, and financial ratios will all be covered in depth in the annual report. You can find the specific information you're looking for by reading P&G's official annual report and accompanying financial statements, including the alternative format for the balance sheet adopted, disclosure techniques used for additional financial information, investment classification and valuation basis, working capital figures for June 30, 2017, and June 30, 2016, as well as P&G's cash flow from operating activities. operations for 2017, including finance, investing, and other activities. Additionally, you may learn more about P&G's financial situation by calculating its current cash debt coverage, cash debt coverage, and free cash flow for 2017. But in order to perform the precise calculations for these ratios, you'll need the pertinent financial information, which you can find in P&G's annual report. To guarantee you have the most correct and up-to-date information for your study, remember to consult trustworthy and official sources like P&G's official website or their published annual reports.
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Do you think that interest and capacity play a great role to get success in a profession?Give your opinion.
Answer:
For many people, interest is a driving factor for motivation and happiness in their life. Interest is one of the important parts while choosing a career. When we love what we are doing, we will always put our best performance forward and strive to learn more. Consequently, that will enhance our self-confidence as well.
Explanation:
It is important to know yourself and your capacities. Your strengths are things you can leverage on, things you can use to push yourself further. On the other hand, your weaknesses are not your downfall. So,interest and capacity is important in our career.
Yes, I think interest and capacity play a great role to get success in a profession.
What is interest?An interest is a desire or want to do/hear something or someone. interest can be stated as an emotion that a person possess regarding something. a person is said to be interested if that particular thing excites or gives a joyful feeling to person while doing that particular act. interest is very essential in a profession to be successful because if a person is not interested in particular subject and profession how can that person provide best services out of that profession.
What is capacity?Capacity is an ability of a person to perform a particular job or to do a particular task. capacity here refers to the thinking capacity or mental capability that is required in a profession. this is another ingredient that is very important to be successful in any profession.
for example you cannot ask a 5 year old to be judge in a court because that person doesn't possess such professional skill along with it he is not capable to think and provide service for same profession.
What is profession?A profession is a field of work that requires special knowledge and training over a period of time. a person doing profession is known as professionals. the profession is basically a way of knowing and learning skills and education for a particular subjects such as law, medical. the practitioners of professions are said to be expert of such profession.
Hence, to get successful in a profession, interest and capacity is very important and essential as interest creates curiosity and eagerness to learn that particular profession in every manner and explore every aspect of that profession to provide best service out of it along with it the capacity to grasp and learn such skills to be expert in such profession is also required.
Therefore, a successful professional is one that have interest in that particular field and also capable to learn and evolve in that particular profession according to need and requirement.
Supporting answer
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why do people have to be so mean to other people ?
Answer:
is because they don't have what people have and and it makes them jealous
What are good sides and bad sides of breaking news and some examples why is it bad/good?
Answer:
breaking news may have a bad news example of bad news is fake news
Answer:
In my opinion, I see that the good side of news is that it help people be more aware of what's going around, and some may contribute to the rise in support for some fundings and charity programs for example: if a breaking news about a victim of any crime for example stolen house is displayed, an interview can give a voice to the victim to speak out and maybe raise fundings to repair all stolen goods or damaged items. On the other hand, some breaking news can end up sending out the wrong message and information for example talking about untrustable information, which may later on turn out to be wrong this can cause rumors.
Skin Care: Who created the makeup and skin care brand Glossier? The company recently became one the few women-founded private startups worth over $1 billion?
Glossier is a makeup and skincare brand that was created by Emily Weiss. Weiss was a former Vogue assistant who gained popularity for her beauty blog, Into the Gloss. She founded Glossier in 2014 with a mission to create a more inclusive beauty industry that focuses on enhancing natural beauty rather than concealing it.
Glossier has become a cult favorite among millennials due to its minimalistic approach to beauty and its social media presence. The brand's success can also be attributed to its direct-to-consumer model, which allows Glossier to offer affordable prices and build strong relationships with its customers.
In 2019, Glossier became one of the few women-founded private startups worth over $1 billion. This achievement has made Weiss a role model for women entrepreneurs and has highlighted the importance of diversity in the startup industry.
Overall, Glossier's success can be attributed to Weiss's vision and her ability to tap into the needs of a younger generation that values authenticity, inclusivity, and simplicity in their skincare and beauty routines.
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(Please Help) What law gave enforcement authority to the equal employment opportunity commission?
A. The Uniformed Service Employment and Reemployment Act of 1994
B. The Equal Pay Act of 1963
C. The Equal Employment Opportunity Act of 1964
D. The Civil Rights Acts of 1964
managers use ________ to visualize how strategic goals relate to one another and to overall firm success.
Based on business management, Managers use strategy maps to visualize how strategic goals relate to one another and overall firm success.
What is a Strategy Map?A strategy map is a graphical map that is utilized to record the vital strategic goals achieved by a company or management team.
Different Perspectives of Strategy MapsThere are four different perspectives of strategy maps, and they are:
FinancialCustomerInternalLearning and GrowHence, in this case, it is concluded that the correct answer is Strategy Maps.
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Your portfolio actually earned 4. 39% for the year. You were expecting to earn 6. 27% based on the CAPM formula. What is Jensen's alpha if the portfolio standard deviation is 12. 1% and the beta is. 99
Jensen's alpha is a measure of the excess return of a portfolio over the expected return based on its beta and the market return. It is calculated by subtracting the expected return based on the CAPM formula from the actual return of the portfolio, adjusted for risk.
To calculate Jensen's alpha in this case, we first need to calculate the expected return based on the CAPM formula:
Expected return = risk-free rate + beta * (market return - risk-free rate)
Expected return = 2% + 0.99 * (8% - 2%)
Expected return = 7.94%
Next, we can calculate the excess return of the portfolio:
Excess return = portfolio return - expected return
Excess return = 4.39% - 7.94%
Excess return = -3.55%
Finally, we can adjust the excess return for risk by dividing by the portfolio's beta and multiplying by the portfolio standard deviation:
Jensen's alpha = excess return / beta - (portfolio standard deviation * beta) / 2
Jensen's alpha = (-3.55% / 0.99) - (12.1% * 0.99) / 2
Jensen's alpha = -3.58%
Therefore, the portfolio underperformed its expected return based on the CAPM formula by 3.58%, after adjusting for risk.
To calculate Jensen's Alpha, we can use the following formula:
Jensen's Alpha = Actual Portfolio Return - Expected Portfolio Return
In your case, the actual portfolio return is 4.39%, and the expected portfolio return based on the CAPM formula is 6.27%. Plugging in these values, we get:
Jensen's Alpha = 4.39% - 6.27% = -1.88%
So, Jensen's Alpha for your portfolio is -1.88%. This indicates that the portfolio underperformed the expected return based on the CAPM model by 1.88%. The portfolio standard deviation (12.1%) and beta (.99) are not required for calculating Jensen's Alpha.
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discuss the steps of growing mushrooms
not a too long answer
Answer:
The Pennsylvania State University,
College of Agriculture, Extension Service,
University Park, Pennsylvania
Mushroom farming consists of six steps, and although the divisions are somewhat arbitrary, these steps identify what is needed to form a production system.
The six steps of mushroom farming:
Phase I
1. Composting
Phase II
2. Composting
3. Spawning
4. Casing
5. Pinning
6. Cropping
-A(n)---- another is described as moving money from one bank account to
Answers:
Deposit
ATM transaction
Transfer
Withdrawal
A(n)---- another is described as moving money from one bank account to ATM transaction.
What is the process of transferring money from one account to another known as?Money is sent from one account at Bank A to another at Bank B by a bank-to-bank transfer, sometimes referred to as an external transfer. External transfers that are electronic or use the internet can speed up the transfer of funds to a recipient by removing the need to transmit money physically between banks.
What is the name of a bank to bank transfer?Electronic funds transfers between banks are known as ACH transfers, or automated clearing house transfers. Find out the costs and how they operate at various institutions.
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Ben and Carla Covington plan to buy a condominium. They will obtain a $156,000, 30-year mortgage at 8.0 percent. Their annual property taxes are expected to be $2,100. Property insurance is $540 a year, and the condo association fee is $250 a month.
Based on these items, determine the total monthly housing payment for the Covingtons
The total monthly housing payment for the Covingtons is approximately $1,610.71.
To determine the total monthly housing payment for the Covingtons, we need to consider the mortgage payment, property taxes, property insurance, and condo association fee.
First, let's calculate the monthly mortgage payment using the loan amount, interest rate, and loan term. We can use the formula for calculating the monthly payment on a fixed-rate mortgage:
M = P * (r * (1 + r)^n) / ((1 + r)^n - 1)
Where:
M = Monthly mortgage payment
P = Loan amount ($156,000)
r = Monthly interest rate (8.0% / 12 = 0.08 / 12 = 0.00667)
n = Total number of monthly payments (30 years * 12 months = 360 months)
M = 156,000 * (0.00667 * (1 + 0.00667)^360) / ((1 + 0.00667)^360 - 1)
M ≈ $1,140.71
Next, we add the monthly property taxes, property insurance, and condo association fee:
Total Monthly Housing Payment = Monthly Mortgage Payment + Monthly Property Taxes + Monthly Property Insurance + Monthly Condo Association Fee
Total Monthly Housing Payment = $1,140.71 + ($2,100 / 12) + ($540 / 12) + $250
Total Monthly Housing Payment ≈ $1,140.71 + $175 + $45 + $250
Total Monthly Housing Payment ≈ $1,610.71
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Assume Levi Strauss & Company sells its jeans in a wide variety of global markets. Physical environmental factors such as climate (e. G. , heat, humidity) have influenced the types of jeans demanded and sold. For example, colder climates are well-suited for traditional length and weight jeans, while hotter climates prefer shorter and lighter weights. Likewise, differences in competitive landscapes (i. E. , amount of competition, type of competition, and intensity of competition) have influenced brand positioning: Levis is positioned as relatively expensive and prestigious in Russia yet positioned as more casual and relatively inexpensive in the United States. For Levi's, which adaptation strategy is likely most appropriate across its global markets? Group of answer choices straight extension dual adaptation product adaptation communication adaptation
The most appropriate adaptation strategy for Levi's across its global markets would be product adaptation, as it would involve modifying the product to meet the specific needs and preferences of different markets, including adapting the jeans' length, weight, and style to match varying physical environmental factors and customer preferences, and adjusting brand positioning to fit the competitive landscape and consumer preferences in different markets.
What is a source of equity financing?
A. securing short-term loans from a family member
B. receiving trade credit from suppliers
C. selling personal assets to raise funds
D. securing government loans
E. borrowing money from friends
All of the following are assumptions of cost-volume-profit analysis except a.the sales mix is constant. b.costs can be divided into fixed and variable components. c.there is no change in inventory quantities during the period. d.within the relevant range of operating activity, the efficiency of operations can change.
Answer:
d. within the relevant range of operating activity, the efficiency of operations can change.
Explanation:
Cost-volume-profit analysis is also known as the break even analysis, it is an important tool in predicting the volume of activity, the costs to be incurred, the sales to be made, and the profit to be earned is. It is used to determine how changes in differing levels of activities such as costs and volume affect a company's operating income and net income.
Generally, to use the cost-volume-profit analysis, financial experts usually make some assumptions and these are;
1. Sales price per unit product is kept constant.
2. Variable costs per unit product are kept constant and the total fixed costs of production are kept constant i.e costs can be divided into fixed and variable components.
3. All the units produced are sold i.e there is no change in inventory quantities during the period.
5. The costs accrued are as a result of change in business activities.
6. A company selling more than a product should simply sell in the same mix i.e the sales mix is constant.
Hence, the aforementioned are assumptions of cost-volume-profit analysis except that, within the relevant range of operating activity, the efficiency of operations can change.
All of the following are assumptions of cost-volume-profit analysis except within the relevant range of operating activity, the efficiency of operations can change. Thus, option D is the correct option.
The break-even analysis, also known as cost-volume-profit analysis, is a crucial technique for forecasting the amount of activity, expenditures to be incurred, sales to be produced, and profits to be realized. It is employed to assess how variations in various activity levels, such as expenses and volume, impact an organization's operating income and net income.
Financial professionals typically utilize the cost-volume-profit analysis and base their decisions on the following assumptions:
The unit sales price of the product is constant.The overall fixed costs of production are maintained at a consistent level, allowing for the division of costs into fixed and variable components.Learn more about cost-volume-profit here:
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What academic information do you have about sub-overseer?
Explanation:
Pre-Diploma in Civil Engineering (Civil Sub-Overseer) program is designed to prepare competent general civil sub-overseers equipped with knowledge, skills and attitude especially, in the area construction Engineering & Technology of building construction, water supply, irrigation and road and trail bridges sectors.
They can provide services in the growing infrastructure development industries (civil construction companies and consulting firms) government institutions (centre and local level), local as well as international non-governmental organizations or can start their own business in the country as well as abroad.
The following are affected by the business structure you choose when you start your
business.
O a.
day-to-day operations, personal liability, and business name.
O b.
day-to-day operations, business location, and taxes.
О с.
profitability, personal liability, and taxes
O d.
day-to-day operations, personal liability, and taxes.
1
When you start business, the business structure you choose can affect your day-to-day operations, personal liability, and taxes.
What is a liability?Liability refers to the legal responsibility for one's actions or debts. It is an obligation to pay or perform something to another party. Liability can arise from various sources, such as contractual agreements, statutory laws, or common law. For instance, when a person borrows money from a bank, they have a liability to repay the loan amount to the bank within a certain period, according to the terms and conditions of the loan agreement. Liability can also arise from a person's actions or omissions that result in harm or damage to others. In such cases, the person may be held liable for the damages caused and may have to compensate the affected parties for their losses.
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As a consumer consumes more of a good or service, the additional satisfaction of consuming the additional units goes down. This is called the law of:.
As a consumer consumes more of a good or service, the additional satisfaction of consuming the additional units goes down. This is called the law of diminishing marginal utility.
What is utility?It should be noted that utility simply means the satisfaction that's derived from using a good or service.
In this case, as a consumer consumes more of a good or service, the additional satisfaction of consuming the additional units goes down. This is called the law of diminishing marginal utility.
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what is the buyer doing during the awareness stage of their buying journey?
A buyer who is in the awareness stage of his or her buying journey is: Identifying an opportunity they want to pursue or a challenge they’re experiencing.
A buyer refers to an individual (consumer) who engages in the purchase of a particular product by paying a specific amount of money to the seller.
In Business management, the buying journey of each customer varies from one business brand to another business brand, but it typically comprises five (5) main stages and these are:
I. Awareness.
II. Consideration.
III. Decision.
IV. Retention.
V. Advocacy.
In the awareness stage of a customer's buying journey, he or she is saddled with the responsibility of identifying an opportunity to be pursued or a challenge he or she is currently experiencing during the purchase of a product from a particular business brand.
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You are developing a savings plan and using short-, medium- and long-term goals to motivate you. Which of the following might you pick as the most long-term goal?
Saving for retirement
Saving for a down payment on a home
Saving to buy a car
Saving to go on vacation
hello , What are three common tools for qualitative research in business and marketing?
Answer:
they would be in-depth interviews, focus group discussions and observation over data
Explanation:
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A major drugstore chain whose stocks are traded on the New York Stock Exchange was considering a 2-for 5 reverse split. If the pre-split market cap was 1.71B, what would the post-split market cap be?
A major drugstore chain whose stocks are traded on the New York Stock Exchange was considering a 2-for 5 reverse split. the post-split market cap be 684 million
What is market cap?Generally, In a 2-for-5 reverse split, every 5 shares of stock are combined into 2 shares. This means that the number of outstanding shares of stock will be reduced by 2.5 times. If the pre-split market cap is 1.71B, the post-split market cap can be calculated by dividing the pre-split market cap by 2.5:
1.71B / 2.5 = 684 million
So, the post-split market cap would be approximately 684 million. Please note that this calculation is based on the assumption that the value of the company's stock remains the same after the reverse split. In practice, the value of the stock may change as a result of the reverse split.
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