ABC Ltd. makes a television table that sells for $60 per unit. It has variable costs of $20 per unit and incurs fixed costs of $110,000 per period. Determine the sales value that the firm will have to reach if it is to make $20,000 profit per period.
a. 195,000
b. 6500
c. 130,000
d. 3250

Answers

Answer 1

The sales value that the firm will have to reach in order to make a $20,000 profit per period is  (c) 130,000.

To calculate the required sales value, we need to consider the total costs and the desired profit. The total costs consist of both variable costs and fixed costs. The profit is the difference between the total revenue and the total costs.

Profit = Revenue - Total Costs

Given that the selling price per unit is $60 and the variable cost per unit is $20, the contribution margin per unit is $60 - $20 = $40.

To cover the fixed costs and achieve a profit of $20,000, we can calculate the required sales volume as follows:

Required Sales Volume = (Fixed Costs + Desired Profit) / Contribution Margin per unit

= ($110,000 + $20,000) / $40

= $130,000

Therefore, the sales value that the firm will have to reach to make a $20,000 profit per period is $130,000.

Hence, the correct answer is option c) 130,000.

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Related Questions

Choose any Hotel near you
List the amenities they have along wioth the types of rooms they
provide .

Answers

A general list of common amenities found in hotels and some common types of rooms that hotels typically offer.

Common amenities in hotels can include Wi-Fi or internet access, Complimentary breakfast, Swimming pool, Fitness center, On-site restaurant or room service, Business center, Parking facilities, Spa or wellness facilities, 24-hour front desk, Laundry services. Standard or Deluxe Room, Suite, Executive Room, Family Room, Connecting Rooms, Accessible or ADA-compliant Room, Penthouse or Presidential Suite, Studio Room, Junior Suite, Extended Stay Room or Apartment. When searching for a hotel near your location, I recommend using online hotel booking platforms or search engines where you can specify your desired amenities and room types to find hotels that meet your preferences.

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Identify key elements to consider when conducting an industry
analysis for a startup.

Answers

When conducting an industry analysis for a startup, several key elements need to be considered to gain a comprehensive understanding of the market landscape and make informed strategic decisions. Here are some essential elements to consider:

Market Size and Growth: Assess the overall market size, growth rate, and potential for expansion. Understand the demand dynamics, trends, and factors driving market growth or decline.

Competitor Analysis: Identify and analyze key competitors in the industry. Evaluate their market share, strengths, weaknesses, product offerings, pricing strategies, and competitive advantages. This analysis helps identify opportunities, differentiate the startup's offering, and position it effectively.

Customer Analysis: Understand the target customer segments, their needs, preferences, and behaviors. Analyze customer demographics, psychographics, buying patterns, and decision-making processes. This analysis helps tailor the startup's product or service to meet customer demands effectively.

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The current spot exchange rate is $1.95/€ and the three-month forward rate is $1.90/€. Based upon your economic forecast, you are pretty confident that the spot
exchange rate will be $1.88/€ in three months. Assume that you would like to buy or sell €100,000,000. What actions would you take to speculate in the forward
market and what is the expected dollar payoff from speculation?

Answers

Actions to take to speculate in the forward market .You will sell euros in the forward market because you expect the euro to depreciate against the dollar and  the expected future spot rate is $1.88/€ in three months, you will make a profit of $2,000,000 by selling €100,000,000 in the forward market.

In this scenario, you want to speculate that the euro will depreciate against the US dollar in the next three months. This means that you want to buy dollars at the current exchange rate of $1.95/€ and then sell them at a higher exchange rate in three months to make a profit.

The actions to take to speculate in the forward market and the expected dollar payoff from speculation are as follows: Actions to take to speculate in the forward market .You will sell euros in the forward market because you expect the euro to depreciate against the dollar.

Since you want to sell €100,000,000, you will enter into a forward contract to sell €100,000,000 at the current forward rate of $1.90/€.

This means that in three months, you will sell €100,000,000 at $1.90/€, regardless of what the actual exchange rate is at that time.

Expected dollar payoff from speculationThe expected dollar payoff from speculation can be calculated as follows:

Payoff from speculation = Amount of euros sold × (Expected future spot rate − Forward rate)

Substituting the values:Amount of euros sold = €100,000,000

Forward rate = $1.90/€

Expected future spot rate = $1.88/€

Payoff from speculation = €100,000,000 × ($1.88/€ − $1.90/€)

Payoff from speculation = €100,000,000 × -$0.02/€

Payoff from speculation = -$2,000,000

This means that if the expected future spot rate is $1.88/€ in three months, you will make a profit of $2,000,000 by selling €100,000,000 in the forward market.

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Taxes indroduced broader socio-economic purposes to discourage certain behaviour may included taxes to influence?
The baby bonus.
Health, Defence and Education.
"Sin taxes" on alcohol, tobacco products or gambling.
Welfare Payments.

Answers

Taxes have been introduced as a method of providing broader socio-economic purposes, including discouraging particular behaviors. Taxes that influence behavior can include sin taxes on alcohol, tobacco products, or gambling.

Taxes are financial levies that governments impose on their citizens to fund various public goods and services. Some of the functions that taxes serve are to maintain law and order, provide education, healthcare, social security, and other public goods and services. Furthermore, taxes can also be used to achieve social, political, and economic objectives, such as discouraging certain behaviors or promoting specific industries.

The government, for example, uses taxes to reduce social vices such as smoking and alcoholism by levying "sin taxes" on tobacco products, alcohol, and gambling. The government imposes these taxes to discourage harmful behaviors and to raise revenue for social welfare programs. In contrast, other taxes such as the baby bonus, defense, and education are not explicitly intended to discourage particular behaviors.

Taxes introduced broader socio-economic purposes to discourage certain behavior may included taxes to influence, "Sin taxes" on alcohol, tobacco products or gambling

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Evaluate how CDR (Consumer Data Right) and API (Application Program Interface) are, or could be affecting your own financial activities – like how you purchase goods and services, take out a loan, invest etc.

Answers

The Consumer Data Right (CDR) is a regulatory initiative that allows consumers to access and share their personal data with businesses securely.

The CDR framework has the potential to benefit consumers and businesses alike by increasing transparency, competition, and innovation. It is anticipated that CDR will be a catalyst for open banking in Australia, resulting in more service providers entering the market, providing innovative services, and better pricing. As a result, financial activities such as purchasing goods and services, taking out a loan, and investing may be affected by CDR.

APIs (Application Programming Interfaces) are tools that enable software applications to interact with one another. APIs are often used in the context of open banking to enable third-party providers to access bank data. By using APIs, businesses can share data securely and efficiently with other businesses, leading to improved services and new innovations.

As a result, CDR and API technologies could make it easier for consumers to access and share their financial data, giving them greater control over their finances and the ability to make more informed decisions. For example, CDR could allow consumers to view all their financial data in one place, allowing them to identify where they may be spending more money than they should. This information could be used to reduce expenses and improve budgeting. Similarly, APIs could allow consumers to compare and choose from a wider range of products and services.

In conclusion, CDR and APIs are technologies that have the potential to benefit consumers by increasing transparency and competition in the financial services sector. By enabling businesses to share data securely and efficiently, these technologies could help consumers make more informed decisions and improve their financial well-being.

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A drill press was purchased 4 years ago for $40,000. Its estimated salvage value after 7 years was $5,000. The press can be sold for $15,000 today, or for $12,000, $9,000, or $6,000 at the ends of each of the next 3 years. The annual operating and maintenance cost for the next 3 years will be $2,700 for this year and then will increase by $800 per year. Considered MARR is 10%. What is the total marginal cost for year-3?

Answers

The total marginal cost for year-3 of the drill press is $11,946. This cost includes the annual operating and maintenance cost, the reduction in salvage value, and the opportunity cost of not selling the press.

To calculate the total marginal cost for year-3, we need to consider the annual operating and maintenance cost, the reduction in salvage value, and the opportunity cost of not selling the press.

The annual operating and maintenance cost for year-3 is $2,700, as given.

The reduction in salvage value is the difference between the salvage value at the end of year-3 ($6,000) and the salvage value at the end of year-7 ($5,000), discounted back to year-3 using the MARR of 10%.

The discounted reduction in salvage value is calculated as follows:

Reduction in Salvage Value =  [tex]\frac{(6,000 - 5,000)}{(1 + 0.10)^{4} }[/tex] = $452.49

The opportunity cost is the difference between the value of selling the press at the end of year-3 ($9,000) and the value of selling it today ($15,000), discounted back to year-3 using the MARR of 10%.

The discounted opportunity cost is calculated as follows:

Opportunity Cost = [tex]\frac{(9,000 - 15,000)}{(1 + 0.10)^{3} }[/tex]  = -$3,085.46 (negative since it represents a cost)

The total marginal cost for year-3 is the sum of the annual operating and maintenance cost, the reduction in salvage value, and the opportunity cost:

Total Marginal Cost = $2,700 + $452.49 + (-$3,085.46) = $11,946.03

Therefore, the total marginal cost for year-3 of the drill press is $11,946.

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Which of the following is the most costly form of foreign direct investment?
a. Offshoring
b. Franchising
c. Importing
d. Licensing

Answers

The most costly form of foreign direct investment is: a. Offshoring.

Offshoring involves establishing a physical presence in a foreign country, such as setting up manufacturing plants or offices. This requires significant upfront investment in infrastructure, equipment, hiring local workforce, and complying with foreign regulations. Additionally, offshoring often involves long-term commitments and ongoing operational costs. In contrast, other forms of foreign direct investment like franchising, importing, and licensing may involve lower upfront costs or reliance on existing infrastructure and partnerships. Therefore, offshoring is considered the most expensive and resource-intensive option for companies expanding their operations internationally.

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Pearson Motors has a target capital structure of 30% debt and 70% common equity, with no preferred stock. The yield to maturity on the company's outstanding bonds is 9%, and its tax rate is 25%. Pearson's CFO estimates that the company's WACC is 10.50%. What is Pearson's cost of common equity?

Answers

Pearson Motors' cost of common equity is approximately 14.97%.

To calculate Pearson Motors' cost of common equity, we can use the weighted average cost of capital (WACC) formula, which is the weighted average of the cost of debt and the cost of equity.

Given information:

Debt ratio (D/E): 30%

Equity ratio (E/E): 70%

Yield to maturity on bonds (cost of debt): 9%

Tax rate: 25%

WACC: 10.50%

First, let's calculate the after-tax cost of debt:

Cost of debt = Yield to maturity * (1 - Tax rate)

Cost of debt = 0.09 * (1 - 0.25) = 0.09 * 0.75 = 0.0675 or 6.75%

Next, we can calculate the cost of equity using the WACC formula:

WACC = (E/E) * Cost of equity + (D/E) * Cost of debt

10.50% = 0.70 * Cost of equity + 0.30 * 0.0675

Now, let's solve for the cost of equity:

0.70 * Cost of equity = 10.50% - 0.30 * 0.0675

0.70 * Cost of equity = 10.50% - 0.02025

0.70 * Cost of equity = 10.47975

Cost of equity = 10.47975 / 0.70

Cost of equity ≈ 14.97%

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The cash flows for three different alternatives are given and the needed rate-of-return is the same for all of them. You should find the best alternative by: a. Finding the future value b. Including method of depreciation in the analysis c. Finding the MARR of the project d. Either by graphing the choice table or by using challenger-defender analysis jessica just recelved the following information on her project: PV=200,EV=300,AC=250,BAC=1500,EAC=1208. In terms of cost at completion.
a. The project will currently finish under budget. b. The project will currently finish over budget. c.The project will currently finish on budget.
d. The project will currently finish behind schedule. e. There is insufficent information to draw conclusions. The earned value of a project is the: a. Project cost to date adjusted for project scope changes
b. Total project cost to date c. Cost incurred minus the planned cost d. Percent of the original budget that has been earned by actual work e. None of these are correct If for some reason, the project must be expedited to meet an earlier date, which of the following actions would the project manager take first? a. Check to see which activities cost the least b. Check to see which activities have the longest duration
c. Check to see which activities are on the critical path d. Check to see which activities have the most slack e. Check to see which activities have the highest risk R\&D investments are now generally thought of as:
a. Individual opportunities that are not related to other corporate business b. Only acceptable if a joint venture is involved c. Too risky for any company in an uncertain economy d. Portfolios of projects in low, medium, and high-risk ventures

Answers

To find the best alternative when the cash flows for three different alternatives are given, and the needed rate-of-return is the same for all of them is either by graphing the choice table or by using challenger-defender analysis. Thus, the correct option is d. Either by graphing the choice table or by using challenger-defender analysis.  

Depreciation method can be included in the analysis, but it is not necessary. It can affect the result of net cash flows calculation and hence the internal rate of return, but it does not change the fact which of the alternatives is better.In terms of cost at completion, the project will currently finish under budget when using the following formula:EAC = AC + [(BAC - EV) / (CPI x SPI)]where, CPI = EV / ACCPI = 300 / 250 = 1.2SPI = EV / PVSPI = 300 / 200 = 1.5EAC = 250 + [(1500 - 300) / (1.2 x 1.5)] = 1208Thus, EAC is 1208, which is less than BAC of 1500. Therefore, the project will currently finish under budget. The earned value of a project is the: Cost incurred minus the planned cost (c).

The project manager would check to see which activities are on the critical path first if the project must be expedited to meet an earlier date. R&D investments are now generally thought of as portfolios of projects in low, medium, and high-risk ventures.

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manufacturers' agents are most likely used in such lines as ________.

Answers

Manufacturers' agents are most likely used in such lines as furniture, sporting goods, and hardware.

An agent is a person who represents the seller and has a contract with the manufacturer to sell the goods. They get paid a commission on their sales. Manufacturers' agents are a type of agent that is involved in selling a manufacturer's goods. They work on commission and are hired by the manufacturer to sell their products to wholesalers, retailers, and other distributors. In the furniture industry, manufacturers' agents may be used to sell furniture to retailers, wholesalers, and distributors.

Sporting goods manufacturers' agents may be used to sell sports equipment to retailers, wholesalers, and distributors. In the hardware industry, manufacturers' agents may be used to sell hardware to retailers, wholesalers, and distributors. These agents have a great deal of knowledge about the products they are selling and can help the manufacturer reach a larger market than they would be able to on their own.

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Consider an infinitely-repeated game with the following stage game (a variant of the Prisoner's Dilemma): Player 2 A B 4,4 2,7 Player 1 5, 2 3,3 Note that this is not a symmetric game. Suppose that the players in this game both use the following grim-trigger strategy: "In round 0, play A. Afterwards, if the strategy profile in all previous periods has been (A, A), play A again. Otherwise, play B instead." a) Write down at least four terms of the sequence of payoffs that the players receive by playing these grim-trigger strategies. (It is the same sequence for both players.) Then summarize this sequence using one of the formulas given in class. b) Suppose that Player 1 deviates by playing B in round 0, and thereafter plays the trigger strategy. Write down at least four terms of the sequence of payoffs Player 1 receives from doing this, then summarize this sequence using one of the formulas given in class. AB A c) Next suppose that Player 2 is the one to deviate, again by playing B in round 0, and thereafter plays the trigger strategy. Write down at least four terms of the sequence of payoffs Player 2 receives from doing this, then summarize this sequence using one of the formulas given in class. d) Assuming that both players have the same value of 8, what values of 8 will make it a Nash equilibrium for both players to use this trigger strategy?

Answers

a) The sequence of payoffs for both players by playing the grim-trigger strategy is: (5, 4, 4, 4, ...).

This can be summarized as a geometric series: 5 + 4(1/3) + 4(1/3)² + 4(1/3)³ + ...

b) If Player 1 deviates by playing B in round 0 and then follows the trigger strategy, the sequence of payoffs for Player 1 becomes: (3, 4, 4, 4, ...). This can be summarized as a geometric series: 3 + 4(1/3) + 4(1/3)² + 4(1/3)³ + ...

c) If Player 2 deviates by playing B in round 0 and then follows the trigger strategy, the sequence of payoffs for Player 2 becomes: (2, 7, 7, 7, ...). This can be summarized as a geometric series: 2 + 7(1/3) + 7(1/3)² + 7(1/3)³ + ...

d) For it to be a Nash equilibrium, both players should have no incentive to deviate. Since both players have the same value, 8, the trigger strategy is a Nash equilibrium for any value of 8.

a) The grim-trigger strategy states that players start by playing A in round 0 and continue playing A as long as the previous strategy profile has been (A, A). Otherwise, they switch to playing B. In this game, the sequence of payoffs for both players is (5, 4, 4, 4, ...), where each player receives 5 in the first round and 4 in all subsequent rounds. This can be represented as a geometric series, where the first term is 5 and the common ratio is 1/3.

b) If Player 1 deviates by playing B in round 0 and then follows the trigger strategy, their sequence of payoffs becomes (3, 4, 4, 4, ...), where the first term is 3 and the common ratio is still 1/3. Player 1 receives 3 in the first round and 4 in all subsequent rounds.

c) Similarly, if Player 2 deviates by playing B in round 0 and then follows the trigger strategy, their sequence of payoffs becomes (2, 7, 7, 7, ...), where the first term is 2 and the common ratio is 1/3. Player 2 receives 2 in the first round and 7 in all subsequent rounds.

d) For the trigger strategy to be a Nash equilibrium, both players should have no incentive to deviate. Since both players have the same value, 8, any value of 8 will make it a Nash equilibrium for both players to use the trigger strategy. This means that as long as the value of 8 is the same for both players, they will not deviate from the trigger strategy.

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Using the EDD (earliest due date) decision rule for sequencing the jobs, the order is (to resolve a tie, use the order in which the jobs were received) Sequence Job 1 2 3 4 5 The total flow time for the sequence developed using the EDD rule=days (round your response to two decimal places) The percentage utilization for the sequence developed GILE ecerved, and due dates for the jobs are given elow. In what sequence would the jobs be anked according to the decision rules on the aft D Date Job Received Job Due Date A 115 185 122 195 120 180 118. 200 E 125 205 All dates are according to shop calendar days. oday on the manufacturing planning calendar day 132. Compute all times based on nitiating (starting) work on day 132. 14 BCDL с Processing (days) 17 2126 20 14 The a) Using the EDD (earliest due date) decision rule for sequencing the jobs, the order is (to resolve a tie, use the order in which the jobs were received) Job Sequence 1 2 3 4 5 The total flow time for the sequence developed using the EDD rule days (round your response to two decimal places) The percentage utilization for the sequence developed using the EDD rule= % (enter your response as a percentage rounded to two decimal places). The average number of jobs in the system for the sequence developed using the EDD rule jobs (round your response to two decimal places) At Morgan's Transformer Rebuilding, following jobs (below) are ready for dispatching to a work center. The processing times, date job received, and due dates for the jobs are given below. In what sequence would the jobs be ranked according to the decision rules on the left. Date Job Received. 115 Processing (days) Job Due Date: 185 A 17 B 122 195 20 0 120 180 14 D 118 200 22 E 125 205 16 All dates are according to shop calendar days. Today on the manufacturing planning calendar is day 132 Compute all times based on initiating (starting) work on day 132 С

Answers

According to the EDD (Earliest Due Date) decision rule, the jobs would be ranked in the following sequence: Job 1, Job 2, Job 3, Job 4, and Job 5. To resolve any tie, the order in which the jobs were received is considered.

The total flow time for this sequence, calculated by adding up the processing times of each job, would be a certain number of days (rounded to two decimal places). The percentage utilization for the sequence developed using the EDD rule can be calculated by dividing the total processing time of all jobs by the available time during the planning calendar. This utilization percentage indicates how effectively the available time is utilized for completing the jobs. Additionally, the average number of jobs in the system can be determined by calculating the total flow time and dividing it by the planning calendar time.

In conclusion, the EDD rule prioritizes jobs based on their due dates, with the earliest due date given the highest priority. This ensures that jobs with closer due dates are completed first, minimizing the risk of delays.

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Click Submit to complete this assessment Question 41 10 points Save Ar [CLO-4) Around 50 billion square yards of used carpet are being thrown every year. Therefore, a carpet manufacturer has decided to recycle obsolete carpet (at the end of its useful life). The cost of recycling is $1.50 per square yard of carpet, and the remanufactured carpet can be sold for $3 per square yard if the recycling equipment costs $0.85 million and has an estimated salvage value of $60,000 at the end of the eight-year ide, how many square yards of carpet must be recycled annually to make this a profitable undertaking? Assume that the company's MARR is 10% per year and the study period is 8 years Question 41 of 41 Capsunare Question 41 of 41

Answers

The company needs to recycle at least $3.21 million / $3 per sq yd = 1.07 billion sq yds of carpet annually to make this a profitable undertaking.

To determine the number of square yards of carpet that must be recycled annually to make this a profitable undertaking, we need to calculate the net present value (NPV) of the project and then use that to find the annual equivalent cost (AEC) of the project.

First, let's calculate the total cost of the project:

Cost of recycling equipment = $0.85 million

Salvage value of equipment at end of eight-year life = $60,000

Total cost of equipment = $0.85 million - $60,000 = $0.79 million

Annual cost of recycling = 50 billion sq yds * $1.50/sq yd = $75 billion

Now, let's calculate the total revenue from the remanufactured carpet:

Revenue per square yard of remanufactured carpet = $3

Assuming all recycled carpet is successfully remanufactured and sold, the total revenue would be:

50 billion sq yds * $3/sq yd = $150 billion

Next, let's calculate the NPV of the project using a discount rate of 10% and an eight-year study period:

NPV = -(0.79 million) + (150 billion / (1+0.10)^1) + (75 billion / (1+0.10)^2) + (75 billion / (1+0.10)^3) + ... + (75 billion / (1+0.10)^8)

NPV = $17.63 million

Finally, we can use the NPV to find the AEC of the project:

AEC = NPV / [(1 - 1/(1+0.10)^8)/0.10]

AEC = $3.21 million

Therefore, the company needs to recycle at least $3.21 million / $3 per sq yd = 1.07 billion sq yds of carpet annually to make this a profitable undertaking.

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Which element of the marketing communications mix does OXO most heavily utilize? a) Direct marketing b) Personal selling c) Public relations d) Sales promotionc

Answers

Option (c) Public relations is the correct answer. OXO most heavily utilizes public relations from the marketing communications mix.

Public Relations (PR) is a component of the marketing communication mix that is critical for OXO. OXO focuses heavily on public relations in order to maintain a favorable public image of the organization, attract customers, and improve consumer perceptions of the brand.
OXO primarily utilizes public relations to increase brand awareness and foster favorable customer perceptions. Through public relations, OXO aims to build brand trust and authority while also keeping consumers informed of new items, updates, and promotional campaigns.

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At December 31, 2021, Warm Weather Travel has an Accounts Receivable balance of $89,000, Alowance for Uncolectible Accounts has a credit balance of $850 before the year-end adjustment Service revenue (al on account) for 2021 was $560,000. Warm Weather estimates that its uncollectible-account expense for the year is 3% of service revenue.
a. Make the year-end entry to record uncolectible account expense. b. Show how Accounts Receivable and Allowance for Uscollectitie Accounts are recone on the balance sheet at December 31, 2021.

Answers

a. The year-end entry to record uncollectible account expense would be:

Debit: Uncollectible Account Expense $16,800

Credit: Allowance for Uncollectible Accounts $16,800

To record the estimated uncollectible account expense, Warm Weather Travel will debit the Uncollectible Account Expense account for $16,800. This represents 3% of the service revenue of $560,000. The credit of $16,800 will be made to the Allowance for Uncollectible Accounts account, which is a contra-asset account used to offset the Accounts Receivable and reflect the estimated amount of uncollectible accounts.

b. The presentation on the balance sheet at December 31, 2021, would be as follows:

Accounts Receivable: $89,000

Less: Allowance for Uncollectible Accounts: ($16,800)

Net Accounts Receivable: $72,200

The balance sheet will show the Accounts Receivable balance of $89,000, representing the total amount owed by customers.

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On May 30, Cecil Company purchased merchandise on account from Ricci Company as follows - Sales Price: $40,000, Sales Terms: 2/10, n/30. The Journal Entries of Cecil Company will show which of the following for the May 30 Purchase?

Answers

On May 30, Cecil Company purchased merchandise on account from Ricci Company for $40,000 with sales terms of 2/10, n/30. The journal entries of Cecil Company will include the accounts payable for the purchase and a discount if the payment is made within the discount period.

When Cecil Company purchased merchandise on account from Ricci Company, the following journal entries will be recorded:

Purchase of Merchandise:

Debit: Merchandise Inventory - $40,000

Credit: Accounts Payable - $40,000

This entry reflects the increase in the inventory of Cecil Company and the corresponding increase in the accounts payable to Ricci Company.

Payment within the Discount Period:

If Cecil Company chooses to pay within the discount period, they will be entitled to a cash discount. The journal entry for this scenario would be:

Debit: Accounts Payable - $40,000

Debit: Cash Discount - (2% of $40,000)

Credit: Cash - (Remaining amount after deducting the discount)

This entry reflects the decrease in the accounts payable by the discounted amount and the decrease in cash due to the payment made.

If the payment is made after the discount period (n/30), there will be no additional journal entries related to the payment. The accounts payable will be settled by paying the full amount within 30 days.

Overall, the journal entries will include the initial purchase of merchandise and potentially a payment entry if the discount is taken.

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Uranus, a Web site reviewing the latest trends in fashion, has a banner link to an online clothes retailer. When consumers purchase from the retailer, through this link, Uranus receives a percentage of the sale. On the basis of the given information we can say that this is an example of:
1. cloud targeting.
2. affiliate marketing.
3. behavioral targeting.
4. a company name that teenagers will make fun of.
5. viral marketing.

Answers

Uranus, a Web site reviewing the latest trends in fashion, has a banner link to an online clothes retailer. When consumers purchase from the retailer, through this link, Uranus receives a percentage of the sale. On the basis of the given information we can say that this is an example of affiliate marketing.

In this scenario, Uranus is acting as an affiliate for the online clothes retailer by promoting their products through a banner link on their website. When consumers make a purchase through that link, Uranus receives a percentage of the sale as a commission. This is a common practice in affiliate marketing, where websites or individuals earn a commission for driving traffic and sales to a retailer's website.

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What is the nominal annual rate of interest compounded semi-annually at which $776.00 will accumulate to $1263.07 in eight years and six months?

Answers

The nominal annual rate of interest compounded semi-annually at which $776.00 will accumulate to $1263.07 in eight years and six months is 6%.

A nominal annual rate of interest compounded semi-annually is used to determine the amount of interest that will accrue on a specific investment. To calculate this rate, one must determine how much money will accumulate over a certain period of time at a given interest rate.

This is done by using a formula that takes into account the principal amount, the rate of interest, and the length of the investment. In this case, the amount that is accumulated is $1263.07 over a period of eight years and six months. The principal amount is $776.00.

Therefore, we can use the formula: A = P(1 + r/n)^(nt), where A is the amount of money accumulated, P is the principal amount, r is the annual interest rate, n is the number of times the interest is compounded per year, and t is the number of years. Substituting the values that we have:1263.07 = 776(1 + r/2)^(2*8.5)

Taking logarithm of both sides;log 1263.07 = log 776 + 8.5 log(1 + r/2)log(1 + r/2) = (log 1263.07 - log 776) / 8.5= 0.05986646

Solving for r/2:r/2 = (e^0.05986646) - 1= 0.05986646Solving for r:r = 0.05986646 * 2= 0.11973292 = 11.97%

The nominal annual rate of interest compounded semi-annually at which $776.00 will accumulate to $1263.07 in eight years and six months is 11.97% or approximately 6% annually.

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Maxwell Software, Inc., has the following mutually exclusive projects.
Year Project A Project B
0 –$22,000 –$25,000
1 13,000 14,000
2 9,500 10,500
3 3,100 9,500
a-1. Calculate the payback period for each project. (Do not round intermediate calculations and round your answers to 3 decimal places, e.g., 32.161.)
Payback period
Project A years
Project B years
a-2. Which, if either, of these projects should be chosen?
Project A
Project B
Both projects
Neither project
b-1. What is the NPV for each project if the appropriate discount rate is 16 percent? (A negative answer should be indicated by a minus sign. Do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16.)
NPV
Project A $
Project B $
b-2. Which, if either, of these projects should be chosen if the appropriate discount rate is 16 percent?
Project A
Project B
Both projects
Neither project

Answers

Project B should be selected as it has a positive NPV of $943.84 if the appropriate discount rate is 16%.Project B should be chosen if the appropriate discount rate is 16%.

a-1. Calculation of Payback Period for each project:

For Project A: Initial investment = -22,000Cash inflow for year 1 = 13,000Cash inflow for year 2 = 9,500Cash inflow for year 3 = 3,100Cash inflow for year 4 = 0Amount recovered at the end of year 3 = 22,600 Amount to recover = 22,000 – 22,600 = -600Payback period = 2.31 years (Approximately 2.308 years)For Project B:Initial investment = -25,000Cash inflow for year 1 = 14,000Cash inflow for year 2 = 10,500Cash inflow for year 3 = 9,500Cash inflow for year 4 = 0Amount recovered at the end of year 3 = 34,000Amount to recover = 25,000 – 34,000 = -9,000Payback period = 2.632 years (Approximately 2.632 years)

a-2. Based on the payback period of Project A and Project B, we can conclude that Project A has a lower payback period than Project B, which means that Project A has less risk as compared to Project B. Thus, Project A should be selected.Neither project should be chosen as both have a negative NPV if the appropriate discount rate is 16%.

b-1. Calculation of NPV for each project:For Project A:Year Cash flows Discount Factor at 16%Discounted Cash flows0 (22,000) 1.0000 (22,000)1 13,000 0.8621 11,202.60 2 9,500 0.7432 7,056.94 3 3,100 0.6412 1,987.28 NPV = -1,753.18For Project B:Year Cash flows Discount Factor at 16%Discounted Cash flows0 (25,000) 1.0000 (25,000)1 14,000 0.8621 12,058.50 2 10,500 0.7432 7,807.14 3 9,500 0.6412 6,090.20 NPV = 943.84

b-2. Based on the NPV of Project A and Project B, we can conclude that Project B should be selected as it has a positive NPV of $943.84 if the appropriate discount rate is 16%.Thus, Project B should be chosen if the appropriate discount rate is 16%.

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1. Define the following terms in detail: par value, paid in capital in excess of par, common stock, preferred stock, cumulative preferred stock, stock dividend, stock split, and treasury stock, (LO 2) 2. Describe the proper reporting of stockholders' equity in the financial statements.

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Definitions of terms: Par Value, Paid-in Capital in Excess of Par, Common Stock, Preferred Stock, Cumulative Preferred Stock, Stock Dividend, Stock Split, Treasury Stock.

Par Value: Par value is the nominal or face value assigned to a share of stock by the company. It represents the minimum price at which the stock can be issued. Par value has legal significance but does not necessarily reflect the market value of the stock.

Paid-in Capital in Excess of Par: Paid-in capital in excess of par, also known as additional paid-in capital, represents the amount of capital contributed by shareholders in excess of the par value of the stock. It includes amounts received from the sale of stock above its par value.

Common Stock: Common stock represents ownership shares in a corporation. Shareholders who hold common stock have voting rights and are entitled to a portion of the company's profits through dividends. In the event of liquidation, common stockholders have a residual claim on the company's assets after the satisfaction of all other obligations.

Preferred Stock: Preferred stock is a class of stock that carries certain preferences over common stock. Preferred stockholders receive preferential treatment in terms of dividends and liquidation proceeds. They have a fixed dividend rate and a higher claim on company assets compared to common stockholders.

Cumulative Preferred Stock: Cumulative preferred stock is a type of preferred stock where any unpaid dividends accumulate and must be paid before any dividends can be distributed to common stockholders. If a company is unable to pay dividends in a particular period, the unpaid dividends on cumulative preferred stock carry over to future periods.

Stock Dividend: A stock dividend is a distribution of additional shares of stock to existing shareholders. It is usually expressed as a percentage of the outstanding shares and is proportional to the number of shares held by each shareholder. Stock dividends do not involve the distribution of cash but increase the number of shares outstanding.

Stock Split: A stock split is a corporate action where a company increases the number of its outstanding shares by dividing the existing shares into multiple shares. The purpose of a stock split is to make the shares more affordable and increase liquidity. A typical stock split ratio is 2-for-1 or 3-for-1, where each existing share is divided into two or three shares, respectively.

Treasury Stock: Treasury stock refers to the company's own stock that has been repurchased from shareholders. It represents shares that were once issued and outstanding but have been subsequently bought back by the company. Treasury stock is held by the company and does not have voting rights or receive dividends. It can be retired or reissued at a later time.

Reporting of Stockholders' Equity in Financial Statements:

In the financial statements, stockholders' equity is typically presented on the balance sheet. It includes various components such as common stock, preferred stock, additional paid-in capital, retained earnings, and treasury stock.

The proper reporting of stockholders' equity involves the following:

Common Stock and Preferred Stock: The par value and number of shares of common stock and preferred stock issued by the company are disclosed in the stockholders' equity section.

Additional Paid-in Capital: The amount of capital contributed by shareholders in excess of the par value is reported as additional paid-in capital or paid-in capital in excess of par.

Retained Earnings: Retained earnings represent the accumulated profits or losses of the company that have not been distributed as dividends. It reflects the reinvestment of earnings back into the business.

Accumulated Other Comprehensive Income: This component of stockholders' equity includes gains and losses that are not recognized in the income statement but are reported directly in the statement of comprehensive income. It may include items such as unrealized gains or losses on available-for-sale securities or foreign currency translation adjustments.

Treasury Stock: If the company has repurchased its own stock, the cost of the treasury stock is subtracted from the total stockholders' equity.

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conmissiens, what weuld tave been your rate of roturn en this itwestment? Rownd your antwer to two docmal plecos. What weuld be your fate of return if yeu had put in a markat erden Round yose ander to two becimul places. What e voiut lime oriser was at 816? Since the narkat to 11 a the li-it ordar The stock of the Madson Travel Co. is selling for $30 a share. You put in a limit buy order at $27 for ose month, During the manth the stock frice declines wo 122 , then furnit to $38, fanoting comnitsions, What would have been your rabe of ceturn on this itvestrient? Rourd yoer antwer to twe decmal places. What wauld be your rate of resum if you had put in a market order? Reued vour anawer to two decimal places. What if your limit arder was at $13? Sirce the market to 518 the litis ocder

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Given that the stock of Madison Travel Co. is selling for $30 a share and you put in a limit buy order at $27 for one month. During the month, the stock price declines to $22, then rises to $38. Find the rate of return on this investment if the commission was $150.The number of shares you could have bought with $27 is 150/27 = 5.55 shares. So, the total cost of your investment would be 5.55 × $27 = $150The stock price drops to $22, which is less than your limit buy order, and the order gets executed.      

You buy 5.55 shares of Madison Travel Co. at $22 per share, spending $122.1 in total ($22 × 5.55).With the commission of $150, the total cost of your investment becomes $272.1. After one month, the stock price increases to $38. To calculate the rate of return, we will need to find the market value of your investment after one month.Market value = Number of shares × Market price per share = 5.55 × $38 = $210.9Gain or loss = Market value − Total cost = $210.9 − $272.1 = −$61.2As there is a loss of $61.2 on your investment, the rate of return is negative. The rate of return can be calculated as follows:Rate of return = Gain or loss / Total cost= −$61.2 / $272.1= −0.225 or −22.5% (rounded to two decimal places)If you had put in a market order, you would have bought the shares at the current market price. So, you would have bought 150/30 = 5 shares of Madison Travel Co. at $30 per share, spending $150 in total.After one month, the market value of your investment would be 5 × $38 = $190. Gain or loss = Market value − Total cost = $190 − $150 = $40Rate of return = Gain or loss / Total cost= $40 / $150= 0.267 or 26.7% (rounded to two decimal places)If your limit order was at $13, the order would not have been executed since the stock price never dropped below $13 during the month. So, you would not have bought any shares of Madison Travel Co.    

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A company in its growth stage will likely experience the following financial situation
a ) Low dividend payout and a low debt /equity ratio
b ) High dividend payout and a low debt /equ ratio
c) Low dividend payout and a high debt/equity ratio
dHigh dividend payout and a high debt/ equity ratio. 4

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In the growth stage, a company typically focuses on reinvesting its earnings to fund expansion and capitalize on growth opportunities. As a result, it is more likely to experience the following financial situation: c) Low dividend payout and a high debt/equity ratio.

During the growth stage, companies tend to prioritize retaining earnings for reinvestment in areas such as research and development, marketing, and expanding operations. This focus on reinvestment often leads to a lower dividend payout, as the company aims to allocate more capital towards growth initiatives rather than distributing it to shareholders as dividends.Additionally, as the company invests in growth, it may require external funding to support its expansion plans. This can lead to a higher debt/equity ratio, indicating that the company has a significant amount of debt relative to its equity.

The higher debt level reflects the company's willingness to leverage its capital structure to finance growth and take advantage of potential opportunities. The correct option is A

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Meyer Inc produces lampposts using labor (L) and capital (K). Its production function is given by the following expression:
Q = 80 L + 47 K
where Q is the output of lampposts.
The prices of labor (PL), capital (PK), lamppost (P) and the cost (C) are the following:
PL=56, PK=12, P=91, and C=4125
What is the MRTS?

Answers

The Marginal Rate of Technical Substitution (MRTS) for Meyer Inc's production function Q = 80L + 47K, is 80/47 or approximately 1.70.

This means that, at the margin, Meyer Inc can substitute approximately 1.70 units of labor for one unit of capital while keeping the output constant. In detail, the MRTS is calculated from the ratio of the marginal product of labor (MPL) to the marginal product of capital (MPK), or MPL/MPK. In the given production function, the MPL and MPK are the coefficients of L and K, respectively. Thus, the MRTS is 80/47 = 1.70. It suggests that the firm can substitute 1.70 units of labor for each unit of capital without affecting the quantity of lampposts produced, assuming all other factors remain constant. This measure is crucial for the firm when making decisions about the optimal mix of inputs to use in production.

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Procter & Gamble (P&G) has a paper towel and baby diaper business that both use paper products. This is an example of value created through operational relatedness. O True O False

Answers

Procter & Gamble's paper towel and baby diaper business, although both using paper products, are not examples of value created through operational relatedness.

Operational relatedness refers to the concept of creating value by sharing operational activities and resources across different business units or product lines within a company. It involves leveraging synergies and economies of scale to reduce costs, improve efficiency, and enhance overall performance.

In the given example of Procter & Gamble (P&G), the paper towel and baby diaper businesses may both use paper products, but they are not necessarily linked through operational relatedness.

These two business units within P&G may have separate production processes, supply chains, and distribution channels. While there may be some shared resources or expertise within P&G as a large consumer goods company, it does not necessarily imply operational relatedness specifically between the paper towel and baby diaper businesses.

To illustrate operational relatedness, an example could be if P&G's paper towel and baby diaper businesses shared manufacturing facilities, sourcing of raw materials, or distribution networks, leading to cost savings and operational efficiencies.

However, without further information indicating such operational integration, it cannot be assumed that operational relatedness is creating value between these two specific businesses within P&G.

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Information related to Crane Co. is presented below. On April 8, returned damaged merchandise to Blue Company and was granted a $5,000 credit for returned merchandise. On April 15, paid the amount due to Blue Company in full. (Note: On April 5, purchased merchandise from Blue Company for $43,000, terms 2/10, net/30, FOB shipping point.) 2. (a) Prepare the journal entries to record these transactions on the books of Crane Co. under a perpetual inventory system. (Credit account titles are automatically indented when amount is entered. Do not indent manually) Date ___ Account Titles and Explanation _____ Debit ____ Credit _____

Answers

Date Account Titles and Explanation Debit Credit April 8 Accounts Payable $5,000 Merchandise Inventory $5,000.

April 15 Accounts Payable $43,000

Cash $42,140

Merchandise Inventory $860

(To record the payment to Blue Company, taking into account the discount of $860 ($43,000 * 2%))

Note: The net amount paid is $42,140 ($43,000 - $860), which takes into account the discount of $860 for paying within the discount period. Merchandise refers to the goods or products that a company buys or manufactures for the purpose of selling to customers. It represents the inventory held by a business for resale.

Merchandise can take various forms depending on the nature of the business. It can include tangible goods such as clothing, electronics, groceries, or automobiles. Additionally, merchandise can also encompass digital products like software, e-books, or online subscriptions.

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a. Discuss the decision taken by the Production Manager.
b. If the performance of a divisional manager at SAG operates in many countries and has a diverse product offering. With such complex and broad operations, there are invariably many factors that can affect the performance of a business sector or division. In its 2019 Annual Report, SAG refers to its future trading strategy, called ‘Vision 2020+’, which aims to grant their individual businesses more entrepreneurial freedom and responsibility for their results. A key component of this strategy relates to sustainable company development, and it is reported that, as one element of determining the total remuneration payable to the Managing Board, sustainability is to be measured according to a bespoke SAG Sustainability Index which takes into account the following: ‘three equally weighted key factors: CO2 emissions (environmental), learning hours per employee (social) and Net Promoter Score (governance)’. Presumably, these (or very similar) measures would also form part of the performance measurement system for divisional management. Throughout the 2019 Annual Report, the targets set under the Vision 2020+ programme are outlined and reported upon. For example, under the financial heading, revenue growth is referred to as follows: ‘Our primary measure for managing and controlling our revenue growth is comparable growth, because it shows the development in our business net of currency translation ... and port-folio effects.’
Required:
How might the actual assessment of divisional performance differ in recessionary times?

Answers

The Performance of a Divisional Manager at SAG operates in many countries and has a diverse product offering. The production manager has decided to introduce various ways of motivating employees to improve their efficiency.

The measures he introduced include the encouragement of teams to come up with new suggestions for improving production systems, the inclusion of overtime as part of the work contract, and the provision of recognition and cash rewards for employees who make outstanding contributions to production.

This means that the production manager's decision is to focus on employee motivation to improve productivity, which is the key to the company's profitability.

In recessionary times, the assessment of divisional performance might differ in the following ways: Revenue: During the recession, the revenue generated by the company may decrease as customers become less interested in buying expensive products or services that are not a priority.

In this case, the revenue target set in Vision 2020+ will be affected, and thus, the actual assessment of divisional performance might be negative.

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On September 30, 2020, Peace Frog International (PFI) (a U.S.-based company) negotiated a two-year, 1,600,000 Chinese yuan loan from a Chinese bank at an interest rate of 4 percent per year. The company makes interest payments annually on September 30 and will repay the principal on September 30, 2022. PFI prepares U.S. dollar financial statements and has a December 31 year-end. Relevant exchange rates are as follows: Date U.S. Dollar per Chinese Yuan (CNY) September 30, 2020 $ 0.160 December 31, 2020 0.165 September 30, 2021 0.180 December 31, 2021 0.185 September 30, 2022 0.210 Prepare all journal entries related to this foreign currency borrowing. Taking the exchange rate effect on the cost of borrowing into consideration, determine the effective interest rate in U.S. dollars on the loan in each of the three years 2020, 2021, and 2022.

Answers

September 30, 2020:

Debit: Cash ($256,000)Credit: Foreign Currency Payable ($256,000)

September 30, 2021:

Debit: Foreign Currency Payable ($288,000)Debit: Loss on Foreign Exchange ($6,400)Credit: Interest Expense ($64,000)

September 30, 2022:

Debit: Foreign Currency Payable ($336,000)Debit: Loss on Foreign Exchange ($5,600)Credit: Interest Expense ($64,000)

The effective interest rates are as follows:

4%4%0.67%

Peace Frog International (PFI) recorded a two-year loan in Chinese yuan. Journal entries involved loan recording, exchange rate adjustments, and recognizing interest expense. The effective interest rates were calculated for each year, considering exchange rate impact.

To record the foreign currency borrowing and subsequent transactions, the following journal entries are made:

1. September 30, 2020 (Loan Received):

Dr. Cash ($0.160 x 1,600,000) $ 256,000Cr. Foreign Currency Loan 256,000

2. December 31, 2020 (Exchange Rate Adjustment):

Dr. Unrealized Foreign Exchange Gain $ 8,000Cr. Foreign Currency Loan

3. September 30, 2021 (Interest Payment):

Dr. Interest Expense ($256,000 x 4%) $ 10,240Cr. Cash 10,240

4. December 31, 2021 (Exchange Rate Adjustment):

Dr. Unrealized Foreign Exchange Gain $ 8,000Cr. Foreign Currency Loan

5. September 30, 2022 (Interest Payment & Principal Repayment):

Dr. Interest Expense ($256,000 x 4%) $ 10,240Dr. Foreign Currency Loan 1,600,000Cr. Cash 10,240Cr. Foreign Currency Loan 1,600,000

To determine the effective interest rate in U.S. dollars for each year, we need to calculate the total interest expense in U.S. dollars and divide it by the average outstanding loan balance. The effective interest rates are as follows:

2020: $10,240 / $256,000 = 4%2021: $10,240 / $256,000 = 4%2022: $10,240 / ($256,000 + $1,600,000) = 0.67%

Therefore, the effective interest rate in U.S. dollars for the loan is 4% in 2020 and 2021, and 0.67% in 2022.

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ii. Define and explain the following terms with example: (6) a. International business vs International Trade b. Multinational vs Multidomestic business c. Global company vs transnational company

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a. International business: Commercial activities between countries beyond trade.

b. Multinational vs Multidomestic: Operating in multiple countries vs tailoring to local markets.

c. Global vs Transnational: Unified approach vs balance between global integration and local adaptation.

a. International business vs International Trade:

- International business refers to the commercial activities that involve transactions (such as buying, selling, investing) between companies or individuals in different countries. It encompasses various aspects, including production, marketing, finance, and operations, and involves a broader scope of activities beyond just trade. International business involves not only the exchange of goods and services but also the movement of capital, technology, and knowledge across borders. For example, a multinational corporation establishing subsidiaries in multiple countries to expand its operations would be considered involved in international business.

- International trade, on the other hand, specifically refers to the exchange of goods and services across national borders. It focuses on the import and export of products between countries. International trade involves the buying and selling of goods or services produced in one country to customers or businesses located in another country. For example, when a company in the United States exports automobiles to customers in Germany, it engages in international trade.

b. Multinational vs Multidomestic business:

- Multinational business refers to a company that operates and has a presence in multiple countries. It establishes subsidiaries, branches, or affiliates in different nations, allowing it to conduct business operations, production, marketing, and distribution on a global scale. A multinational business seeks to leverage its resources, expertise, and market presence across various countries to gain competitive advantages and expand its market reach. For example, Coca-Cola and McDonald's are well-known multinational companies that have a significant presence and operations in numerous countries around the world.

- Multidomestic business, on the other hand, refers to a company that operates as a separate entity in each country it conducts business in. It tailors its products, services, and operations to meet the specific needs and preferences of local markets. A multidomestic business decentralizes decision-making and allows each subsidiary or division in different countries to operate independently, adapting to local market conditions. For example, Nestlé operates as a multidomestic business by customizing its products and marketing strategies to suit the local tastes and preferences of consumers in different countries.

c. Global company vs Transnational company:

- A global company is an organization that operates on a global scale and has a unified approach to its operations, strategy, and decision-making across different countries. It seeks to create standardized products, processes, and systems that can be applied universally across its operations.  For example, IBM is a global company that provides standardized IT solutions and services worldwide, with consistent branding and operations across different countries.

- A transnational company, also known as a multinational enterprise, combines elements of both multinational and global companies. It operates with a global mindset while also recognizing the need for local adaptation and responsiveness. A transnational company aims to achieve a balance between global integration and local customization. It allows for the flow of ideas, knowledge, and resources across different subsidiaries or divisions, fostering collaboration and learning throughout the organization.

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Last year Carson Industries issued a 10-year, 14% semiannual coupon bond at its par value of $1,000. Currently, the bond can be called in 6 years at a price of $1,070 and it sells for $1,280. What are the bond's nominal yield to maturity and its nominal yield to call?

Answers

The bond's nominal yield to maturity is 8.38% and its nominal yield to call is 5.98%.

To calculate the nominal yield to maturity, we need to find the discount rate that equates the present value of the bond's future cash flows (coupons and par value) to its current price.

Using the present value formula for a bond, we can set up the following equation:

$1,280 = C × [1 - (1 + r/2)^(-2×10)] / (r/2) + $1,000 / (1 + r/2)^(2×10)

where C is the semiannual coupon payment, r is the yield to maturity, and the bond has a 10-year maturity with semiannual payments.

Solving this equation for r, we find that the yield to maturity is approximately 8.38%.

To calculate the nominal yield to call, we use a similar approach, but instead of using the bond's maturity, we consider the call price and the remaining time to call.

$1,070 = C × [1 - (1 + r/2)^(-2×6)] / (r/2) + $1,000 / (1 + r/2)^(2×6)

Solving for r, we find that the yield to call is approximately 5.98%.

Therefore, the bond's nominal yield to maturity is 8.38% and its nominal yield to call is 5.98%.

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Mark is planning for his daughter's education. She will be attending a college in 11 years. The college expenses are estimated to be $67,000 for a 4-year college. If he can earn 10 percent APR with monthly compounding on a college savings plan, how much does he have to invest every month for the next 11 years? Round it to two decimal places and do not include the $ sign, e.g., 1234.56.

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Mark is planning for his daughter's education. She will be attending college in 11 years. The college expenses are estimated to be $67,000 for a 4-year college.

He can earn 10% APR with monthly compounding on a college savings plan. To Find Formula, Monthly payment

= (PMT × (1 + r)N - 1) / (1 - (1 + r)-N)Where,

PMT = Monthly investment

N = Number of yearsr

= Rate of interest / 12 years.

We need to find the monthly investment required to achieve Mark's target. Here, we can use the above formula to find the monthly investment required. To apply the formula, we have to put the given values into the formula.Calculate the total amount required for a college degree.

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Solve a) (5+3)-3+9+3 b) 72+(3x2)-6 c) 4(2-5)-4(5-2) d) 10+10x0 e) (12-2)x(5+2x0 Q2. Convert the following fractions to decimal equivalent and percent equivalent values a) 2 b) 5 1500 d) 6/2 20 How much must I invest today (September 21, 2022) to have P170,000 on January 4, 2024 at 2\% compounded quarterly? 10. Michael bought a laptop and paid P12,000 down payment plus P10,000 at the end of each month for a year. If money is worth 12% compounded monthly, find the cash value of the laptop. T/F: Unlike power, leadership requires a significant degree of goal compatibility. John Fleming, ehef administrator for Valley View Hospital, Is concerned about the costs for tests in the hospital's lab. Charges for lab tests are consistently higher at valley view than at other hospitais and have resulted in many complaints Aiso, because of strict regulatlons on amounts rembursed for lab tests, payments recelved from insurance companies and governmental units have not been high enough to cover lab costs. Ms. Heming has asked you to evaluate costs in the hospital's lab for the past month. The folowing information is available: a. Two types of tests are performed in the lab-blood tests and smears. During the past month. 1,350 blood tests and 4,100 smears were performed in the tab. b. Small giass plates are used in both types of tests. During the past month, the hospital purchased 20,500 plates at a cost of $59,040,3,100 of these plates were unused at the end of the month; no plates were on hand at the beginning of the month. c. Dunng the past month, 3,100 hours of jabor time were recorded in the lab at a cost of $35,185 d. The lab's variable overhead cost last month totaled $26,970. Valley View Hospital has never used standard costs. By searching industry itterature, however, you have determined the following Plates. Three plates are required per lab test. These plates cost $3.00 each and are disposed of after the test is completed. Labor: Each blood test should require 0.8 hours to complete, and each smear should require 0.40 hours to complete. The average cost of this lab time is $1230 per hour. Overnead Overhead cost is based on direct labor-hours. The average rate for vartable overhead is $8.20 per hour. Required: 1. Compute a materlals price vartance for the plates purchased last month and a materlals quantity varlance for the plates used last month. 2. For labor cost in the lab: a. Compute a Iabor rate variance and a labor efficiency variance. b. In most hospitals, one-half of the workers in the lab are sentor technicians and one-half are assistants. In an effort to reduce costs, Valley View Hospital employs only one-fourth senior technicians and three-fourths assistants. Would you recommend that this policy be continued? 3-a. Compute the varlabie overhead rate and efficiency variances 3-b. Is there any relation between the variable overhead efficiency vallance and the labor efficiency variance?" Complete this question by entering your answers in the tabs below. Compute a materials price variance for the plates purchased last month and a materials quantity vatiance for the plates used last month. (Indicate the effect of each variance by selecting "F for favorable. "U" for unfavorable, and "None" for no elfect (f.e., tero variance). Ifput all amounts as positive values.) Evaluate I = [ 5x + 1 x5x14 dx True or false? Increasing the force will increase the moment. On May 30, Cecil Company purchased merchandise on account from Ricci Company as follows - Sales Price: $40,000, Sales Terms: 2/10, n/30. On June 2, Cecil Company returned $2,000 of merchandise from the May 30 purchase. The Journal Entries of Cecil Company will show which of the following for the June 2 Return? Due to concerns about the spread of the Coronavirus and monkey pox within organizations, more resources should be placed on safety measures for those areas, with secondary emphasis placed on stress among employees as exercise facilities are provided for everyone. What is your opinion? a piece of information about a particular object is called a(n) A whistleblower is an employee who discovers corporate misconduct and chooses to 1. let it slide 2. speak out 3. turn a blind eye 4. Oignore the situation Which of the following describes thick consent 1. When an employee has an alternative to unacceptable monitoring 2. When jobs are plentiful and an employee would have no difficulty finding another position HowFujiwasa greenest city and someRecommendations what might shift aggregate demand? a.technological innovation of business confidence c.production inputs materials On March 1, 2022, Cheyenne Corp. acquired real estate, on which it planned to construct a small office building, by paying $83,500 in cash. An old warehouse on the property was demolished at a cost of $8,800; the salvaged materials were sold for $3,200. Additional expenditures before construction began included $1,850 attorney's fee for work concerning the land purchase. $5,700 real estate broker's fee, $7,850 architect's fee, and $13,850 to put in driveways and a parking lot. (a) Determine the amount to be recorded as the cost of the land. Cost of land $____ A draw bench for precision forming and strengthening of carbon steel tubing has a cost of $960,000. It will have a salvage value of $74,000 after a useful life of 10 years. Parta Using the formulas, determine the depreciation charge for year 2 and the book value at the end of year 2 if straight-line depreciation is used. Depreciation $ charge: $ Carry all interim calculations to 5 decimal places and then round your final answers to a whole number. The tolerance is 1. the ______ pattern is used when reading via a website. how does regular aerobic exercise training affect carbohydrate (cho) usage? the dominant geologic process in our solar system is: create a full marketing plan for a instrument musicstore Labour Economics Assignment #1 The assignment has to be completed individually. The paper should include your own research of the subject matter explored, with proper references provided. About this assignment: Research should extend beyond the text, to include \begin{tabular}{l|l} aspects of labour economics within the context of a & media, and/or third-party websites. \\ particular company, industry, or economic sector, of your own choosing. & The information presented should not only be accurate and factual, but include your own thoughtful analysis of \\ For this assignment, you are required to: - Describe the economic aspect(s) included companyforganization, the Canadian/global economy, or \end{tabular} - Describe the company/industry - Describe the impact/relevance of the aspect to the An example of a company could be Honda; and \begin{tabular}{l|l} - Thoughtfully analyze issues relevant to the chosen & An example of a company couid be Honda; and \\ example of an industry could be the Auto Sector; an \end{tabular} - Identify and/or propose solutions to any problems example of an economic sector could be Manufacturing or remedies for negative impacts as well as ways _ - you may choose to examine one, several, or ail in your to capitalize on opportunities or mitigate any assignment. potential issues. \begin{tabular}{l|l} - Draw conclusions and create a summary that ties & Examples of aspects of labour economics should \\ all elements of the paper together and brings the & primarily be drawn from (but certainly are not limited to) \end{tabular} document to a logical conclusion Given the following function: f(x)=x-2x-8 1.1 Determine the y-intercept. 1.2 Determine the x-intercept(s), if any. 1.3 Determine the vertex (turning point). 1.4 State the equation for the axis of symmetry, [1] Page 2 of 4 MTSACP Agent 5.1 1.5 By only using your answers obtained for Questions 1.1 to 1.4, graph the function. You must clearly label all axes, intercepts, vertex, and axis of symmetry. [6] [3] [2] [3] 1.6 Does this graph represent a one-to-one relationship? YES or NO 1.7 State the domain of f. ANSWER 1.8 State the range of f. ANSWER [1] [1] [1]