Which of the following is the most important benefit of social media advertising? A. The high conversion rates from these ads B. The ability to target ads to specific audiences C. The range of ad formats allowed on each platform D. The very low cost of advertising

Answers

Answer 1

The most important benefit of social media advertising is the ability to target ads to specific audiences.

Social media advertising is a digital advertising tactic that involves using social media platforms to promote and advertise a product or service. Social media advertising has become increasingly common over the last decade, with businesses recognizing the advantages that it provides over traditional advertising methods.

Social media advertising's most important advantage is its ability to target ads to specific audiences. Social media platforms allow for advanced targeting options that enable businesses to reach users based on demographics, interests, behaviors, and more. This provides a level of accuracy and specificity that is not possible with traditional advertising methods.

The result of this targeted advertising is higher conversion rates. This is because the users who see these ads are more likely to engage with them and convert them into customers. As a result, social media advertising offers a high return on investment for businesses, making it a cost-effective and efficient advertising strategy.

There are various ad formats available on each social media platform. Still, they are not as important as the ability to target ads to specific audiences and achieve high conversion rates.

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Related Questions

What was the geometric average return for a stock that had the following annual returns over the past 4 years: 12.00% (4 years ago), 15.00% (3 years ago), -23.00% (2 years ago), and 48.00% (last year)?

Answers

The geometric average return for the stock over the past 4 years is approximately 9.55%.

To calculate the geometric average return for the stock with the given annual returns over the past 4 years, follow these steps:

Convert the annual returns into decimal form by dividing each percentage by 100:

12.00% = 0.12

15.00% = 0.15

-23.00% = -0.23

48.00% = 0.48

Calculate the product of the annual returns:

Product = (1 + 0.12) * (1 + 0.15) * (1 - 0.23) * (1 + 0.48)

Find the geometric average return by taking the fourth root of the product:

Geometric Average Return = Product^(1/4)

Performing the calculations, the geometric average return for the stock is approximately 10.77%.

The geometric average return represents the compounded rate of return over the given period, taking into account the effect of compounding.

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which of the following is the best organization structure for global marketing? international division structure

Answers

The international division structure refers to a business structure that separates domestic operations from international activities.

It is a global marketing organizational framework that includes the creation of a separate division for worldwide business activities. The international division structure is the most effective organizational structure for global marketing because it separates domestic activities from worldwide operations.

This type of structure is ideal for companies that operate in a variety of nations since it allows them to concentrate their resources on global business activities without interfering with domestic operations. The international division structure is an excellent choice for businesses looking to enter the global marketplace.

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Samuel just moved to Radford and plans to live here for 5 years. He just found a "perfect" house to live in with his family. The current owner is willing to sell or rent the house to Samuel. The selling price will be $280000. Samuel has 20% of the house's price for down payment and also 2% of the house's price for mortgage closing cost if he buys the house. Samuel is eligible for a 30-year 4% fixed -rate mortgage loan to finish the purchase. If Samuel owns the house, he needs to pay $4700 annually for insurance and property tax, and expects the house price to increase by 1% over the 5 years. When he sells the house, he needs to pay 6% of the selling price to the realtors. If Samuel rents the house, the annual rent will be $28000. Samuel is confident that he can have an annual after-tax investment return of 5% over the next five years. Samuel does not itemize tax deductions.

Assume that all the expenses, payments, and investment payoffs occur at the end of the year. For living in the house for 5 years, what is the difference in the present value of costs between buying and renting (please report the absolute value of the difference and keep zero decimal places)?

Hints

1. In Excel, you may need functions: PMT(rate,nper, pv, fv) and NPV(rate, CF1:CFn)

2. Renting can save the down payment which can be used for investment. However, renting is also costly and Samuel will not get any equity value of the house at the end of year 5. Buying costs more now and entails subsequent mortgage payments and other costs of ownership, but Samuel can get some equity value at the end of year 5 (which can be inferred from the loan amortization schedule).

3. Because Samuel does not itemize tax deductions, we do not need to consider tax savings from the interest portion of mortgage payments.

Answers

The difference in the present value of costs between buying and renting the house for 5 years is $6,101.

To calculate this, we need to consider the costs associated with buying the house, such as the down payment, mortgage closing costs, annual insurance and property tax payments, and realtor fees upon selling. We also need to factor in the opportunity cost of the down payment that could be invested. On the other hand, renting incurs the annual rental payment.

By calculating the present value of these costs and comparing them between buying and renting, we find that the difference is $6,101. This means that buying the house would cost $6,101 more over the 5-year period compared to renting.

This calculation assumes no tax deductions, an annual after-tax investment return of 5%, and a 1% increase in the house price over the 5 years. These assumptions may impact the actual financial outcome and should be considered when making a decision between buying and renting.

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Where OSHA does not have standards, what are employees responsible
for following?

Answers

In cases where Osha does not have standards, employees are responsible for following best practices and industry standards to ensure their own safety. They should receive adequate training and education on safe work practices, recognize potential hazards, report unsafe conditions, and prioritize safety in all their actions and decisions on the job.                                                                                                                                                                                                                                                                                                  OSHA standards are in place to protect employees' health and safety on the job. However, in cases where OSHA does not have standards, employees are still responsible for following specific guidelines and protocols to protect themselves and their co-workers.OSHA (Occupational Safety and Health Administration) is an agency of the United States Department of Labor. Its primary mission is to prevent work-related injuries, illnesses, and fatalities by establishing and enforcing safety standards and regulations in the workplace.In situations where OSHA does not have specific safety standards, employees are still responsible for following best practices and industry standards. This means that employers should provide adequate training and education on safe work practices. Employees should know how to recognize potential hazards in the workplace and take appropriate precautions to avoid accidents or injuries.Besides, employees should ensure that any equipment they use is well-maintained and in good working condition. They should also report any workplace hazards or unsafe conditions to their employer immediately. Overall, employees should prioritize safety in all their actions and decisions on the job, even in situations where OSHA does not have specific standards or regulations.    

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(5) Q.1 a. Briefly describe different ways by which a government can redistribute income. How would you differentiate between Government and Private Departments? (2) b.

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a) A government can redistribute income in different ways as follows:

1. Transfer payments:

It is the payments made by the government to individuals, which are not in exchange for goods or services. These include welfare, Social Security, and unemployment benefits.

2. Progressive taxation:

It is a taxation system where individuals with higher incomes pay a higher tax rate. It is a method to redistribute wealth from high-income earners to low-income earners.

3. Subsidies:

It is financial assistance given by the government to support certain industries or groups of people. For example, the government provides subsidies to farmers to support the agriculture industry.

4. Public goods and services:

These are goods and services that the government provides for free or at a reduced cost to ensure that everyone has access to them. Examples include public schools, hospitals, and libraries.

5. Minimum wage laws:

It is a law that sets the lowest hourly rate that an employer can pay an employee. It is to ensure that people are paid a fair wage for their work.

b) The following are the differences between Government and Private Departments:

Ownership: Government departments are owned and controlled by the government, whereas private departments are owned and controlled by individuals or corporations.Objectives: The objectives of government departments are to provide services to citizens, whereas the objectives of private departments are to make a profit. Funding: Government departments are funded by taxpayers, whereas private departments are funded by investors or customers. Accountability: Government departments are accountable to the public, whereas private departments are accountable to their owners or shareholders. Competition: Government departments do not have competition, whereas private departments face competition from other businesses in the market.

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Nancy receives a distribution of $170,000 form ABC corporation, an S corporation, in which she is the sole(100%) shareholder. ABC has an accumulated adjustment account of $22,500 and accumulated earning and profits of $2500. Nancy basis her stock ABC corp is $30,000. The amount capital gain recognized by Nancy as result of this distribution is $137,500

true or false

Answers

The statement "The amount capital gain recognized by Nancy as a result of this distribution is $137,500" is true.

Who is Nancy?

Nancy receives a distribution of $170,000 form ABC corporation, an S corporation, in which she is the sole(100%) shareholder. ABC has an accumulated adjustment account of $22,500 and accumulated earning and profits of $2,500. Nancy basis her stock ABC corp is $30,000.

What is capital gain?

A capital gain is an increase in the value of an asset or investment resulting from the appreciation of its market value over time.The answer to this question is that the statement "The amount capital gain recognized by Nancy as a result of this distribution is $137,500" is true because of the following reasons: ABC Corporation is an S corporation, which means that it is a pass-through entity that allows profits and losses to pass through to shareholders. Therefore, the shareholders of an S corporation are taxed on their share of the corporation's income, whether or not that income is distributed. The accumulated adjustment account of ABC Corporation is $22,500. This is important because it represents the S corporation's tax-free earnings and profits. Nancy has a basis of $30,000 in ABC Corporation, which means that she has invested $30,000 in the corporation.

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List three tourism forms concerned with environmental sustainability and briefly explain their role in achieving it

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Ecotourism: Ecotourism is a form of tourism that focuses on promoting responsible travel to natural areas while minimizing the negative environmental impacts.

Its goal is to conserve biodiversity, support local communities, and educate visitors about conservation efforts. Ecotourism operators ensure that their activities adhere to sustainable practices, such as minimizing waste, conserving water and energy, respecting wildlife and ecosystems, and supporting local conservation initiatives. By highlighting the importance of environmental sustainability, ecotourism aims to protect fragile ecosystems and contribute to their long-term preservation.

Sustainable Tourism: Sustainable tourism refers to the overall concept of developing and managing tourism in a way that meets the needs of present tourists and host communities while preserving the natural, cultural, and social resources for future generations. It involves responsible planning, development, and management practices that consider environmental, socio-cultural, and economic factors. Sustainable tourism aims to minimize negative impacts on the environment, promote cultural heritage, and provide socio-economic benefits to local communities. It involves initiatives like sustainable transportation, waste management, resource conservation, community engagement, and fair trade practices.

Nature-based Tourism: Nature-based tourism focuses on experiencing and appreciating natural environments, landscapes, and wildlife. It involves activities such as hiking, wildlife viewing, birdwatching, and nature photography. Nature-based tourism plays a vital role in environmental sustainability by raising awareness about the importance of conserving natural resources and protecting ecosystems. Responsible nature-based tourism operators follow guidelines to minimize disturbance to wildlife, respect protected areas, and contribute to conservation efforts. By fostering a connection between people and nature, nature-based tourism encourages a sense of stewardship and a desire to protect and preserve the environment.

These tourism forms are all centered around environmental sustainability and aim to promote responsible travel practices, conserve natural resources, protect biodiversity, and support local communities. By implementing sustainable practices and raising awareness among travelers, these forms of tourism contribute to the long-term preservation of our planet's natural and cultural heritage.

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The maker of a promissory note is: the person or business who collects the interest on the note. the person or business to whom the note will be paid. the person or business who borrows the money. non

Answers

the person or business who borrows the money.

Who is the maker of a promissory note?

The maker of a promissory note is the person or business who borrows the money.

Explanation:

In the context of a promissory note, the maker refers to the individual or entity that issues the note and promises to repay the borrowed money to the lender or payee.

The maker of the note is the party who incurs the debt and assumes the obligation to make the payments according to the terms and conditions outlined in the note. They are responsible for repaying the principal amount borrowed along with any agreed-upon interest or fees.

The maker of a promissory note is the person or business who borrows the money. When a promissory note is created, the maker is the party who signs the note, promising to repay the borrowed amount to the lender or payee.

The maker assumes the primary responsibility for repaying the loan, including the principal amount and any interest or fees specified in the note. The lender or payee is the recipient of the promissory note and will receive the payments from the maker according to the agreed-upon terms.

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A company issued 50 shares of $100 par value common stock for $7.400 cash. The Journal entry to record the issuance is: Multiple Choice a. Debit Cash $7,400, credit Paid-in Capital in Excess of Par Value, Common Stock $5,000, credit Common Stock $2.400. b. Debit Common Stock $5,000, debit Investment in Common Stock $2,400, credit Cash $7,400. c. Debit Cash $7,400; credit Common Stock $7,400. d. Debit Investment in Common Stock $7,400; credit Cash $7,400 e. Debit Cash $7,400, credit Common Stock $5,000; credit Paid-in Capital in Excess of Par Value, Common Stock $2,400

Answers

The correct answer is option E. Journal entry to record the issuance of 50 shares of $100 par value common stock for $7.400 cash is:Debit Cash $7,400, credit Common Stock $5,000; credit Paid-in Capital in Excess of Par Value, Common Stock $2,400.

Investment is an asset or item obtained with the goal of generating income or appreciation. Investment is the act of putting money into something with the expectation of generating income or profit in the future. Investment is divided into two types- Capital Investment and Revenue Investment.

A share represents an investor's ownership of a business entity's assets and earnings. Shares are an investment in the company's equity, which is composed of a company's total assets minus its total liabilities.

In the present question, the company issued 50 shares of $100 par value common stock for $7.400 cash. The journal entry to record the issuance of common stock at par value would be as follows:

Debit Cash for $7,400 and Credit Common Stock for $5,000 and Paid-in Capital in Excess of Par Value, Common Stock for $2,400.

Therefore, the correct option is E. Debit Cash $7,400, credit Common Stock $5,000; credit Paid-in Capital in Excess of Par Value, Common Stock $2,400.

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Mr. Austin noticed that the spot price of ABC stock is $100. He also learnt that the returns on the stock are normally distributed with mean 8% and variance 25% per annum. With this information, what will be 3 standard deviation change in the price of the stock in 3 weeks for Mr. Austin?

Answers

the three standard deviation change in the price of the stock in 3 weeks for Mr. Austin is approximately 0.486%.

To calculate the three standard deviation change in the price of the stock in 3 weeks, we need to convert the annual mean and variance into the corresponding values for the given time period.

Given:

Spot price of ABC stock = $100

Mean return = 8% per annum

Variance = 25% per annum

Since we are interested in a 3-week period, we need to adjust the mean and variance accordingly.

Time period conversion:

3 weeks is approximately (3/52) years.

To calculate the mean return for 3 weeks, we multiply the annual mean by the time period:

Mean return for 3 weeks = (8% per annum) * (3/52) = 0.4615%

To calculate the variance for 3 weeks, we multiply the annual variance by the square of the time period:

Variance for 3 weeks = (25% per annum) * (3/52)^2 = 0.2632%

Now, to find the three standard deviation change, we take the square root of the variance and multiply it by three:

Three standard deviation change = 3 * √(variance for 3 weeks)

Three standard deviation change = 3 * √(0.2632%) ≈ 3 * 0.162%

Calculating this expression, the three standard deviation change in the price of the stock in 3 weeks for Mr. Austin is approximately 0.486%.

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Which of the following statements is FALSE?
a. In order to estimate the full tax advantage of leverage, we must include both corporate and personal taxes.
b. Historically, capital gains from equities have been taxed more severely than interest income in the United States and many other nations.
c. Personal taxes affect the firm's weighted average cost of capital in an indirect way.
d. The WACC declines more slowly with leverage due to a personal tax disadvantage for debt than it would otherwise.

Answers

The statement that is FALSE is "d. The WACC declines more slowly with leverage due to a personal tax disadvantage for debt than it would otherwise."

So, the answer is D.

What is WACC?

WACC is an acronym for Weighted Average Cost of Capital. It is a measure of a company's overall cost of capital, which is calculated by combining a variety of sources of capital, such as equity and debt

The tax advantage of leverage refers to the notion that firms may reduce their overall tax burden by utilizing debt instead of equity financing. This is due to the fact that interest payments on debt are tax-deductible, whereas dividend payments to equity holders are not.

WACC and the tax advantage of leverage are related because incorporating tax benefits into WACC calculations reduces the overall cost of capital

Hence, the answer is D

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P-3: Gross profit (L01) Swank Clothiers had sales of $383,000 and cost of goods sold of $260,000. a. What is the gross profit margin (ratio of gross profit to sales)? b. If the average firm in the clothing industry had a gross profit of 25 percent, how is the firm doing? Given: Sales 383000 Swank Industry COGS 260000 a) Gross Profit Margin: 0.32 0.25 Gross Profit 123000 b)

Answers

a. The gross profit margin is calculated by dividing the gross profit by the sales. In this case, the gross profit is $383,000 - $260,000 = $123,000. Therefore, the gross profit margin is $123,000 / $383,000 ≈ 0.32, or 32%.

b. If the average firm in the clothing industry has a gross profit margin of 25% and Swank Clothiers has a gross profit margin of 32%, it indicates that Swank Clothiers is performing better than the average firm in the industry. The higher gross profit margin suggests that Swank Clothiers is able to generate a larger profit relative to its sales compared to the industry average. This may indicate better cost control, pricing strategies, or operational efficiency, resulting in higher profitability for the company.

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Alibaba’s stock is traded both in both New York and Hong Kong. The prices are:
NYSE: USD16.00 per share and HKSE: HKD 120.00 per share. Spot rate is
USD1= HKD 7.80. Compute the arbitrage profit based on one share of the stock.

Answers

The arbitrage profit based on one share of Alibaba's stock is HKD 4.80.

To compute the arbitrage profit based on one share of Alibaba's stock, we need to determine if there is an opportunity for a risk-free profit by taking advantage of the price difference between the New York Stock Exchange (NYSE) and the Hong Kong Stock Exchange (HKSE) after converting the currencies.

Convert the HKD price to USD:

HKD 120.00 / 7.80 = USD 15.38 per share

Compare the converted HKD price to the NYSE price:

USD 15.38 < USD 16.00

Since the converted HKD price is lower than the NYSE price, there is an opportunity for arbitrage.

Buy one share of Alibaba's stock on the HKSE for HKD 120.00.

Sell the same share on the NYSE for USD 16.00.

Convert the USD profit back to HKD:

USD 16.00 * 7.80 = HKD 124.80

Calculate the arbitrage profit:

HKD 124.80 - HKD 120.00 = HKD 4.80

Therefore, the arbitrage profit based on one share of Alibaba's stock is HKD 4.80.

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Which of the following is a human resources function within an
organization?
Multiple Choice
incorporation of customer feedback and competitive feedback
maintenance of the technology in the organi

Answers

Among the options provided, the maintenance of the technology in the organization is not typically considered a human resources function.

Human resources (HR) functions primarily focus on managing the people aspect of the organization. They are responsible for various activities related to employee recruitment, development, and engagement.

One of the key functions of HR is the incorporation of customer feedback and competitive feedback into the organization. HR departments often collaborate with other departments to gather feedback from customers and competitors, analyze it, and use the insights to improve organizational strategies, products, and services. This feedback is essential for understanding customer needs, identifying areas for improvement, and staying competitive in the market.

Additionally, HR is responsible for various other functions such as talent acquisition, employee training and development, performance management, compensation and benefits, employee relations, and ensuring legal compliance in employment practices.

In summary, while the incorporation of customer and competitive feedback is an important function of HR, the maintenance of technology is typically handled by IT departments or technology teams within the organization.

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In some countries, minor crimes are sometimes punished by sentencing the perpetrator to do community service such as helping in an old-age home, helping with the construction of a children's playground, or cleaning up beaches. How does this factor into the cost-benefit calculations of a rational criminal? Is it effective in reducing minor crimes? Why is it sometimes used to sentence well-known public figures such as media stars and sports figures?

Answers

In many countries, minor offenses are punished by sentencing the perpetrator to do community service. Community service is considered a cost-effective way of punishing those who have committed minor crimes.

Community service is a way for criminals to pay for their crimes by giving back to society. In this way, they can make amends for their wrongdoings and feel that they are making a positive contribution to society.There are several benefits to the community service approach. First, community service is much less expensive than imprisonment. The cost of imprisoning someone can be extremely high, and it can put a significant burden on the government. Community service is much cheaper because the perpetrator is not housed, fed, and provided with medical care. Instead, they are required to do work that benefits the community.

Second, community service can be effective in reducing minor crimes. When people are required to do community service, they are less likely to commit crimes in the future. This is because community service requires individuals to interact with people who are less fortunate than they are. This experience can help to foster empathy and encourage individuals to take a more active role in their communities.Finally, community service is sometimes used to sentence well-known public figures such as media stars and sports figures. This is because community service is seen as a way for these individuals to make amends for their behavior while also serving as an example to others. When someone who is in the public eye is punished for their behavior, it sends a message to others that their actions have consequences. In this way, community service can be an effective way to reduce minor crimes while also serving as a deterrent to others.

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You are thinking about investing in a 1-year call option on GE stock with an exercise price of $95.5. The current price of a stock is $92, and at the end of one year its price will be either $88 or $98. Based on the binomial model, what is the option's value if the annual risk-free rate is 6% based on monthly compounding?

Answers

The option's value if the annual risk-free rate is 6% based on monthly compounding is $5.52.

The given information for the calculation of a 1-year call option on GE stock with an exercise price of $95.5 is as follows:

Stock price today (S0) = $92

Exercise price (E) = $95.5

Stock price after 1 year (u) = $98

Stock price after 1 year (d) = $88

Risk-free rate (r) = 6%

Dividend yield (q) = 0

Using the binomial model, the calculation for the option's value is:

Option value = [q × u(S0) − d(S0)] ÷ [u − d]

Option value = [0 × $98 − $88] ÷ [$98 − $88]Option value = $1

Using the formula for the risk-free discount factor, the calculation for the value of the call option is:

Discount factor = e−r×t

Discount factor = e−0.06×1

Discount factor = 0.9433

Using the risk-neutral probability formula, the calculation for the probability of the stock price going up is:

Risk-neutral probability (p) = (e(r−q)×t − d) ÷ (u − d)

Risk-neutral probability (p) = (e(0.06−0)×1 − $88) ÷ ($98 − $88)

Risk-neutral probability (p) = 0.4843

Therefore, the probability of the stock price going down is:1 − p = 1 − 0.4843 = 0.5157Using the formula for the call option value, the calculation for the option's value is:

Option value = e−r×t [pu(S0) + (1 − p)d(S0)]

Option value = 0.9433 [0.4843 × $98 + 0.5157 × $88]

Option value = $5.52

Therefore, the option's value if the annual risk-free rate is 6% based on monthly compounding is $5.52.

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On July 1, 2021, H Company purchased P750,000 face value I Company 8% bonds for P682,500 plus accrued interest to yield 10%. The bonds were designated at fair value through profit or
loss. The bonds mature on January 1, 2025 and pay interest annually on January 1. On December 31, 2021, the bonds had fair value of P708,750. On February 14, 2022, H Company sold
bonds for P690,000 plus accrued interest.
Determine the following:
What amount should H Company report as debt investments on December 31, 2021?
What is the interest income for the year 2021?
a. P30,000
b.P37,500
c. P34,125
d. P27,300

Answers

H Company should report P708,750 as debt investments on December 31, 2021, which is the fair value of the bonds at that date. The interest income for the year 2021 is P34,125 (8% of the face value of P750,000).

The fair value of the bonds on December 31, 2021, is used to determine the carrying value of the debt investments. Since the bonds were designated at fair value through profit or loss, any changes in fair value are recognized in the company's financial statements. Therefore, the fair value of P708,750 should be reported as debt investments on December 31, 2021.

The interest income for the year 2021 can be calculated by multiplying the face value of the bonds (P750,000) by the stated interest rate (8%). Therefore, the interest income for the year 2021 is P34,125.

By selecting option c, the main answer accurately reflects the correct amount of interest income for the year 2021 and the correct reporting of debt investments on December 31, 2021.

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Explain how employee welfare and employee development can
motivate employees to do their jobs well

Answers

Employee welfare and employee development can motivate employees to do their jobs well by providing them with a sense of belonging and purpose within the company. Employees who feel valued and cared for are more likely to be productive and motivated at work.

Employee welfare refers to the well-being of employees, both physically and mentally. The implementation of employee welfare measures helps employees feel valued and supported in the workplace.

This includes things such as providing adequate working conditions, safety measures, health insurance, paid leave, and other benefits that contribute to employees’ overall well-being.

Employee development, on the other hand, refers to providing employees with the tools and resources they need to improve their skills and advance their careers

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Which one of the following distribution channels does not involve the use of intermediaries? a) Retailers b) Direct Distribution c) Wholesalers d) Agent

Answers

Answer:

The answer is b) Direct Distribution.

Explanation:

Direct distribution refers to a channel where the producer or manufacturer sells products directly to the end customers without involving intermediaries such as retailers, wholesalers, or agents. In this channel, the company takes full control of the distribution process and interacts directly with the customers through various means such as company-owned stores, e-commerce platforms, or direct sales representatives.

Direct distribution allows companies to have a closer relationship with customers, maintain greater control over pricing and branding, and capture a larger share of the profit margin. It is commonly used by businesses that have the resources and infrastructure to handle the entire distribution process themselves.

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Question: If Your Company Maintains A 70/30 Debt/Equity Split, Your After-Tax Cost Of Debt Is 6%, And Your Cost Of Equity Is 16%, What Is Your Weighted Average Cost Of Capital? Assume A 25% Tax Rate. 8.0% 17.6% 9.0% 8.6% 11.0%

Answers

Given that the company maintains a 70/30 debt/equity split, and the cost of debt is 6% while that of equity is 16%, and also considering a 25% tax rate. We are to calculate the weighted average cost of capital. Using the formula for calculating the weighted average cost of capital (WACC):

WACC = (E/V x Re) + (D/V x Rd x (1 - Tc))Where;Re = Cost of equityRd = Cost of debtE = market value of the firm's equityD = market value of the firm's debtV = Total Market Value of the companyTc = corporate tax rateFrom the information given above, we can deduce that D/V is 70% (debt is 70% of the company's total value) while E/V is 30% (equity is 30% of the company's total value).Hence, using the formula above,WACC = (E/V x Re) + (D/V x Rd x (1 - Tc))= (0.30 x 0.16) + (0.70 x 0.06 x (1 - 0.25))= 0.048 + 0.0375= 0.0855 or 8.55%Therefore, the main answer is 8.55%.Explanation:We are given that the company maintains a 70/30 debt/equity split, and the cost of debt is 6% while that of equity is 16%, and also considering a 25% tax rate.

We are to calculate the weighted average cost of capital.Using the formula for calculating the weighted average cost of capital (WACC):WACC = (E/V x Re) + (D/V x Rd x (1 - Tc))Where;Re = Cost of equityRd = Cost of debtE = market value of the firm's equityD = market value of the firm's debtV = Total Market Value of the companyTc = corporate tax rateFrom the information given above, we can deduce that D/V is 70% (debt is 70% of the company's total value) while E/V is 30% (equity is 30% of the company's total value). Hence, using the formula above,WACC = (E/V x Re) + (D/V x Rd x (1 - Tc))= (0.30 x 0.16) + (0.70 x 0.06 x (1 - 0.25))= 0.048 + 0.0375= 0.0855 or 8.55%Therefore, the main answer is 8.55%.

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Discuss the impact an individual's preconceived notions, prejudices, and interpretations of other cultures can have on the workplace. As a leader, describe how you might employ the psychodynamic approach to help the employees get along with each other and work better together. Include in your explanation a discussion of how the four characteristics of conscious capitalism can also be applied to further improve employee engagement and collaboration.

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An individual's preconceived notions, prejudices, and interpretations of other cultures can have a significant impact on the workplace.

These biases can lead to misunderstandings, miscommunications, and conflicts among employees from different cultural backgrounds. It creates a hostile work environment and hampers collaboration and teamwork.

As a leader, employing the psychodynamic approach can help employees get along and work better together. This approach focuses on understanding individuals' subconscious thoughts, emotions, and behaviors. By promoting self-awareness and empathy, leaders can encourage employees to explore and challenge their preconceived notions and biases. This can be achieved through workshops, diversity training, and creating an inclusive work culture that values and respects diverse perspectives.

Conscious capitalism , which promotes a holistic and purpose-driven approach to business, can further improve employee engagement and collaboration. The four characteristics of conscious capitalism are higher purpose, stakeholder orientation, conscious leadership, and conscious culture.

1. Higher Purpose: By aligning employees around a meaningful and shared purpose beyond profit, leaders can foster a sense of unity and inspire collaboration among diverse individuals.

2. Stakeholder Orientation: Valuing and considering the needs of all stakeholders, including employees from different cultures, encourages inclusivity and collaboration. This involves creating opportunities for diverse voices to be heard and actively engaging employees in decision-making processes.

3. Conscious Leadership: Leaders who exhibit self-awareness, emotional intelligence, and cultural sensitivity can create a safe and supportive environment where employees feel respected and valued. Such leaders inspire trust and promote effective communication and collaboration.

4. Conscious Culture: Cultivating a culture of trust, respect, and psychological safety enables employees to express their opinions and perspectives freely. Emphasizing open communication, teamwork, and celebrating diversity helps create a collaborative work environment.

By combining the psychodynamic approach with the principles of conscious capitalism, leaders can foster an inclusive workplace culture, break down cultural barriers, and promote effective collaboration and teamwork among employees.

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Required information [The following information applies to the questions displayed below.] Legacy issues $710,000 of 8.0%, four-year bonds dated January 1, 2021, that pay interest semiannually on June 30 and December 31. They are issued at $621,812 when the market rate is 12%. 3. Prepare a straight-line amortization table for the bonds' first two years. (Round your intermediate and final answers to the neares whole dollar.)

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In order to calculate the bond amortization table using the straight-line method for the first two years, the following steps should be followed:

Step 1: Determine the Total Interest payable over the life of the bond: Total Interest Payable = Coupon Rate x Face Value x Number of Periods= 8% x $710,000 x 4= $226,400.

Step 2: Calculate the Total Bond Premium: Total Bond Premium = Market Value of Bond – Face Value of Bond= $621,812 - $710,000= -$88,188Step 3: Calculate the Bond Premium Amortization per Period: Bond Premium Amortization = Total Bond Premium / Number of Periods= -$88,188 / 8= -$11,023.5Step 4: Prepare the Amortization Table:

Period Opening Balance Coupon Payment Interest Expense Bond Premium Amortization Closing Balance
Year 1 $621,812 $28,400 $62,448 -$11,023 $580,837
Year 2 $580,837 $28,400 $55,267 -$11,023 $552,580

Therefore, the straight-line amortization table for the first two years is presented above.

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Think about a product or service (the service is a rental car) you would like to market, and using what you've learned in lessons one and two, briefly describe why a customer would want this product or service (the service is a rental car) and what you expect your financial compensation to be. Why have you decided on this product or service? (THE SERVICE IS A RENTAL CAR SERVICE) Briefly describe your marketing mix (advertising, publicity, promotion) and the media you would use to market your product or service. Your paper should be in WORD, double-spaced, and 150 to 300 words in length.

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When thinking of the idea customer here and the marketing mix, a customer would want a rental car service for its convenience, flexibility, and freedom to travel.

How is this so?

They can avoid the hassle of relying on public transportation or the expense of owning a car.

As a rental car service provider, I expect financial compensation through rental fees.

To market the service, I would use a mix of advertising through online platforms and social media, publicity through collaborations with hotels and travel agencies, and promotions such as discounted rates and loyalty programs.

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Find the following values. Compounding/discounting occurs annually. Do not round intermediate calculations. Round your answers to the nearest cent. a. An initial $500 compounded for 10 years at 6%.
$ ___
b. An initial $500 compounded for 10 years at 12%.
$ ___
c. The present value of $500 due in 10 years at 6% $ ___
d. The present value of $2,825 due in 10 years at 12% and 6%. Present value at 12%: $ ___ Present value at 0%: $ ___ e. Define present value. I. The present value is the value today of a sum of money to be received in the future and in general is less than the future value. II. The present value is the value today of a sum of money to be received in the future and in general is greater than the future value. III. The present value is the value today of a sum of money to be received in the future and in general is equal to the future value IV. The present value is the value in the future of a sum of money to be received today and in general is less than the future value. V. The present value is the value in the future of a sum of money to be received today and in general is greater than the future value. How are present values affected by interest rates?

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Higher interest rates imply a higher discount rate, reducing the present value of future cash flows.

a. To calculate the future value, we can use the formula for compound interest:

Future value = Principal * (1 + Interest rate)^Number of periods

Future value = $500 * (1 + 0.06)^10

b. Future value = $500 * (1 + 0.12)^10

c. To calculate the present value, we can use the formula for discounting:

Present value = Future value / (1 + Interest rate)^Number of periods

Present value = $500 / (1 + 0.06)^10

d. For the present value at 12%:

Present value = $2,825 / (1 + 0.12)^10

For the present value at 6%:

Present value = $2,825 / (1 + 0.06)^10

e. The correct statement regarding present value is:

I. The present value is the value today of a sum of money to be received in the future and in general is less than the future value.

Present values are inversely affected by interest rates. As interest rates increase, the present value decreases, and vice versa. Higher interest rates imply a higher discount rate, reducing the present value of future cash flows.

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assume that the required reserve ratio is 10 percent. if excess reserves are $5 million and the circulating currency is $25 million, the maximum possible value for m1 is $5.5 million $30 million $75 million $250 million $255 million

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Adding demand deposits ($5 million) to circulating currency ($25 million) yields a maximum possible value of $255 million.

The maximum possible value for m1 is $255 millionAssuming that the required reserve ratio is 10 percent, excess reserves are $5 million and the circulating currency is $25 million. It means that the total reserves are $30 million.The required reserve ratio is the percentage of total deposits that a bank must hold in reserve and not loan out. By multiplying the circulating currency ($25 million) by the required reserve ratio (10 percent), we can determine the amount of money that banks are required to hold in reserve. 10 percent of $25 million is $2.5 million. The total required reserves are $2.5 million, and the excess reserves are $5 million. The maximum possible value for m1 is equal to circulating currency plus demand deposits. Demand deposits are the portion of total deposits that can be withdrawn immediately without notice. Total deposits equal to circulating currency divided by the required reserve ratio. $25 million / 10 percent is $250 million.

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Kami & Co. employee's salaries totalled $7,000 in August. The employees were not paid until September 15. What adjustment is needed at the end of August, assuming Kami & Co. prepares monthly financial statements? Question 1 options: a) Debit Salaries Expense $7,000 and credit Deferred Liabilities $7,000. b) Debit Salaries Expense $7,000 and credit Salaries Payable $7,000. c) Debit Salaries Payable $7,000 and credit Salaries Expense $7,000. d) Debit Deferred Expense $7,000 and credit Deferred Liabilities $7,000. e) Debit Deferred Expense $7,000 and credit Salaries Payable $7,000.

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Debit Salaries Expense $7,000 and credit Salaries Payable $7,000.If the employees' salaries have been earned during a period and the salary payment will be done in a subsequent period, then it is recorded in the balance sheet of the period in which it was earned as a liability. The correct option is b.

The Salary payable is the liability for the company. At the end of the period, it needs to be adjusted and recorded in the current period's income statement. In this question, employees of Kami & Co earned $7,000 in August, and the payment is due in September 15, so at the end of August, the adjusting entry is needed to record this liability.

Thus, Salaries Payable should be debited and Salaries Expense should be credited for $7,000.This adjustment is needed to ensure the correctness of financial statements, including the income statement and balance sheet of the company.

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(a) Identify and explain the components of the marketing macro environment. (b) Select three components of the marketing macro environment and analyse how they might affect the marketing of a product / service of your choice.

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(a) Components of the marketing macro environment:The macro environment refers to all factors that exist outside an organization and are uncontrollable. They are divided into six different categories: Political, Economic, Social, Technological, Environmental, and Legal.

Here's a closer look at each one of them: Political: Changes in government policy, political conditions, and regulations can affect business activity. They include such matters as government stability, taxation policies, trade tariffs, and government spending. Economic: Economic forces, such as inflation rates, interest rates, exchange rates, and the general state of the economy, influence business decisions and performance.

Social: Demographic changes and cultural factors such as population shifts, income levels, and shifts in consumer preferences and behaviours are the main social forces that influence business operations.Technological: Technological advances, new technologies, and advances in research and development can have a significant impact on business operations.Environmental: Environmental factors include natural disasters, climate change, and other events that can affect the production and distribution of goods and services.Legal: The legal system can impact business operations through regulatory frameworks, intellectual property laws, and consumer protection laws. (b) Analysis of three components of the marketing macro environment that affect the marketing of a product/service:In order to understand how macro environmental factors can impact the marketing of a product/service, we'll look at three examples:1. Economic: If there's a recession, consumers will be less willing to spend money. This means that products/services that are perceived as luxuries will be the first to be abandoned. Companies that produce these items may need to adjust their marketing strategies in order to compete in a more austere environment.2. Social: Cultural shifts can have a major impact on marketing. For example, if there's a trend towards healthier eating, food manufacturers may need to change their product offerings to include more organic, vegan, or gluten-free options.3. Technological: New technologies can create new markets and render existing ones obsolete. For example, the rise of e-commerce has dramatically changed the way goods and services are marketed and sold. Companies that don't keep up with these technological shifts risk being left behind.

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Troy (single) purchased a home in Hopkinton, Massachusetts, on January 1, 2007, for $245,000. He sold the home on January 1, 2022, for $272,500. How much gain must Troy recognize on his home sale in each of the following alternative situations? Note: Leave no answer blank. Enter zero if applicable. Troy rented out the home from January 1, 2007, through December 31, 2017. He lived in the home as his principal residence from January 1, 2018, through December 31, 2018. He rented out the home from January 1, 2019, through December 31, 2019, and lived in the home as his principal residence from January 1, 2020, through the date of the sale. Assume accumulated depreciation on the home at the time of sale was $0. Note: Do not round intermediate calculations. Round your final answer to the nearest whole dollar amount. Recognized gain ____

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The recognized gain for Troy on his home sale is $27,500.

To calculate the recognized gain, we need to consider the different periods in which Troy rented out the home and lived in it as his principal residence.

From January 1, 2007, through December 31, 2017, Troy rented out the home. During this period, any potential gain or loss from the home sale is not eligible for exclusion as it was not his principal residence.From January 1, 2018, through December 31, 2018, Troy lived in the home as his principal residence. The gain during this period may be eligible for exclusion under the primary residence exclusion rules, which allow up to $250,000 ($500,000 for married couples filing jointly) of gain to be excluded from taxable income.From January 1, 2019, through December 31, 2019, Troy rented out the home again. Similar to the first rental period, any potential gain or loss during this time is not eligible for exclusion.From January 1, 2020, through the date of the sale (January 1, 2022), Troy lived in the home as his principal residence. Again, the gain during this period may be eligible for exclusion under the primary residence exclusion rules.

Since Troy rented out the home for two periods and lived in it as his principal residence for two periods, we need to calculate the gain for each period separately.

The gain from the rental periods is calculated by subtracting the adjusted basis (purchase price) from the sales price: $272,500 - $245,000 = $27,500.

Therefore, the recognized gain for Troy on his home sale is $27,500.

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Unless there is complete stability within an organisation, there will always be the potential for discussion, some difference of opinion, downright disagreement or pernicious disharmony. Educational manager-leaders must move from the view that conflict is necessarily a negative and destructive force to recognise its potential for growth and development, although it presents a challenging situation to leaders.

With reference to this, discuss the management of conflict in educational institutions showing how effective conflict management can lead to institutional growth and development.

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It is often thought that conflict should be avoided or eliminated at all costs. But, it is important to remember that conflict in a team or organization can actually lead to positive growth and development. Educational managers need to understand the potential that conflict holds for growth and development.

Conflict management refers to the process of identifying, addressing, and resolving disagreements and disputes that arise within an organization or between individuals. Conflict can occur in any environment, including educational institutions. Educational managers must be aware of the potential for conflict to arise and be prepared to manage it in an effective manner.Conflict management can lead to institutional growth and development when it is handled properly. Effective conflict management can lead to increased collaboration, communication, and problem-solving skills. By acknowledging the potential for conflict and addressing it proactively, educational managers can create a positive environment for growth and development.

Effective conflict management can lead to institutional growth and development in several ways. First, it can lead to increased collaboration and teamwork. When individuals are able to work together effectively, they can accomplish more than they would be able to on their own.Second, effective conflict management can lead to improved communication. When individuals are able to communicate effectively, they are better able to understand one another's perspectives and work towards common goals.Third, effective conflict management can lead to improved problem-solving skills. When individuals are able to work through disagreements and find solutions, they become better problem solvers in general.Finally, effective conflict management can create a positive environment for growth and development. When individuals feel heard and respected, they are more likely to be engaged and motivated to contribute to the organization.

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1. Summarize your thoughts on the problems at hand, alternative solutions and your strategy on how to proceed at the forthcoming meeting. 2. How will your proposal solve the problems you have defined?

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Summary of Thoughts, Alternative Solutions, and Strategy on how to proceed at the forthcoming meeting:

1. After carefully analyzing the problems at hand, considering alternative solutions, and devising a strategy, I have come to the following conclusions. The problems we are facing include declining customer satisfaction, inefficient communication within the team, and missed project deadlines. To address these issues, I propose the following strategy:

a) Enhancing Customer Satisfaction: To improve customer satisfaction, we need to focus on enhancing the quality of our products and services. This can be achieved by conducting customer surveys to gather feedback, identifying areas for improvement, and implementing necessary changes. Additionally, providing regular training and professional development opportunities to our employees will help them better understand customer needs and deliver superior service.

b) Improving Communication: Communication plays a crucial role in ensuring smooth operations and effective teamwork. To address communication issues, I suggest implementing a project management tool that facilitates transparent communication, task assignment, and progress tracking. Regular team meetings should be held to discuss project updates, address concerns, and encourage collaboration. Furthermore, establishing clear communication protocols and channels will streamline information flow within the team.

c) Meeting Project Deadlines: To tackle the problem of missed project deadlines, it is essential to enhance project planning and management. This involves setting realistic deadlines, breaking down tasks into manageable units, and assigning responsibilities based on individual strengths and expertise. Regular monitoring and progress tracking will help identify any bottlenecks or potential delays, allowing for timely intervention and course correction.

Proposal's Problem-solving Approach:

2. My proposal addresses the defined problems by implementing a comprehensive approach. By focusing on customer satisfaction, we aim to identify areas for improvement and provide better products and services. This will lead to increased customer loyalty and positive word-of-mouth, improving overall satisfaction levels.

Improving communication within the team will facilitate efficient collaboration, information sharing, and coordination, ultimately reducing misunderstandings and enhancing productivity. Clear communication protocols and the use of project management tools will streamline workflows and ensure that everyone is on the same page.

By improving project planning and management, we aim to meet project deadlines consistently. Setting realistic timelines, monitoring progress, and taking proactive measures to address potential delays will result in improved project execution and timely delivery.

Overall, my proposal's comprehensive approach targets the root causes of the identified problems, providing practical solutions to enhance customer satisfaction, communication, and project management. Implementing these strategies will lead to improved organizational performance and success.

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