An intermediate goal is a stepping stone to achieving a long-term goal. When it comes to setting goals, Alice needs to define three types of goals, including long-term, intermediate, and short-term goals. The three types of goals are interdependent on one another.
The correct answer to the given question is "B) I will practice listing presentations twice a week with an experienced agent for the next two (2) months."Explanation:Alice is setting her goals. Which of the following would be considered an intermediate goal?A) I will complete the GRI certification in the next four yearsB) I will practice listing presentations twice a week with an experienced agent for the next two (2) months.C) I will open my office within nine (9) yearsD) I will distribute 200 business cards every month for the next six (6) monthsThe intermediate goal is the one that helps to achieve long-term goals, and the intermediate goal acts as a stepping stone. For example, Alice can set the long-term goal of becoming a real estate agent. To achieve the long-term goal, Alice may have an intermediate goal to practice and develop listing presentations to be a successful real estate agent.The intermediate goals help the person to achieve the long-term goals; however, they have to be accomplished to move forward. Thus, the intermediate goal helps to get one step closer to the long-term goal. Therefore, option B) is correct and can be considered an intermediate goal.
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GDP in an economy is $11,050 billion. Consumer expenditures are $7,735 billion, government purchases are $1,989 billion, and gross investment is $1,450 billion. Net exports must be Multiple Choice
O -$124 billion. O -$47 billion. O -$161 billion.
The correct answer is: Net exports must be -$124 billion.
To calculate net exports, subtract the sum of consumer expenditures (C), government purchases (G), and gross investment (I) from the GDP.
Net exports (NX) = GDP - (C + G + I)
Given the following values:
GDP = $11,050 billion
Consumer expenditures (C) = $7,735 billion
Government purchases (G) = $1,989 billion
Gross investment (I) = $1,450 billion
Net exports (NX) = $11,050 billion - ($7,735 billion + $1,989 billion + $1,450 billion)
= $11,050 billion - $11,174 billion
= -$124 billion
Therefore, the correct answer is: Net exports must be -$124 billion.
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Suppose a US investor purchases a UK equity. Let the expected pound return on the U.K. equity be 20%, and let its volatility (measured by standard deviation) be 30%. The volatility of the dollar/pound exchange rate is 10%. The risk-free rate in the U.S. (denoted rf) is 2%.
1)
Compute the volatility of the dollar return on the U.K. equity when the correlation (denoted as?r) between the U.K. equity’s return in pounds and changes in the dollar/pound exchange rate is 0.5.?
2)
Suppose the correlation between the U.K. equity return in pounds and the exchange rate change is 0.5. What expected exchange rate change would you expect if the U.K. equity investment is to have a Sharpe ratio of 1?
3)
If the Sharpe ratio of the U.S. equities is greater than the Sharpe ratio of the U.K. equities, can a US investor benefit from investing abroad? Explain graphically the benefits of international diversification.
1. The volatility of the dollar is a 34% return on the U.K. equity when the correlation between the U.K. equity’s return in pounds and changes in the dollar/pound exchange rate is 0.5.
2. The expected exchange rate change would be around 30% if the U.K. equity investment is to have a Sharpe ratio of 1.
3. Yes, the US investor will benefit from investing abroad.
The Sharpe ratio evaluates the relationship between an investment's return and risk. The formula used for Sharpe ratio is:
Sharpe ratio = (Expected portfolio return - Risk-free rate) / Portfolio
Asset diversification on a global scale helps lower the portfolio's risk. Two assets with a positive connection will have an upward-sloping risk and return graph.
The graph of the two assets, on the other hand, will incline downward if there is a negative connection between them. The graph will be flat when the correlation is zero. Because the assets in a diversified portfolio move in different directions, the risk is lessened.
As a result, the diversified portfolio's predicted return will be higher than the return of a single asset.
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Please match the following terms with the terms that most closely correlate. Integrative bargaining Distributive bargaining Analogical Encoding BATNA Collaborative negotiation Guardrails Competitive negotiating Problem solving / value creation
Here is how to match the following terms with the terms that most closely correlate:Integrative bargaining - Collaborative negotiation.
Distributive bargaining - Competitive negotiating. Analogical Encoding - Problem-solving/value creation. BATNA - GuardrailsCollaborative negotiation - Integrative bargainingGuardrails - BATNACompetitive negotiating - Distributive bargaining. Problem-solving/value creation - Analogical Encoding.Integrative bargaining - Collaborative negotiationThis term integrative bargaining most closely correlates with Collaborative negotiation. Collaborative negotiation involves two or more parties working together to come to a mutually agreeable solution, rather than one party trying to outdo the other.Distributive bargaining - Competitive negotiatingThe term distributive bargaining most closely correlates with Competitive negotiating. In distributive bargaining, there is a fixed amount of resources, and each side must compete to get the most of it. This means that if one side gets more, the other side gets less.Analogical Encoding - Problem-solving/value creation.Analogical Encoding term most closely correlates with Problem-solving/value creation. Analogical encoding is a problem-solving strategy in which a new problem is compared to one that has already been solved, with the goal of transferring the solution from the old problem to the new one.BATNA - GuardrailsBATNA term most closely correlates with Guardrails. BATNA stands for Best Alternative to a Negotiated Agreement. This is the alternative course of action a party will take if negotiations fail. Guardrails, on the other hand, are constraints that help to limit a negotiation, such as a deadline or a limited budget. Competitive negotiating - Distributive bargainingThe Competitive negotiating term most closely correlates with Distributive bargaining. Competitive negotiating involves two parties attempting to gain the most resources from a fixed pool of resources, which is exactly what happens in distributive bargaining.Problem-solving/value creation - Analogical EncodingThis term Problem-solving/value creation most closely correlates with Analogical Encoding. Analogical encoding is a problem-solving strategy in which a new problem is compared to one that has already been solved, with the goal of transferring the solution from the old problem to the new one. Problem-solving/value creation is about creating something new from old, existing resources.
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Which of the following statements is correct I. Corporations are legal entities that can engage in contracts, sue and acquire properties. II. Corporations have a limited life. OI only Oll only OBoth I and II ONeither I nor II
Both I and II are correct statements about corporations.I. Corporations are legal entities that can engage in contracts, sue, and acquire properties.Corporations are legal entities with separate legal personalities from their shareholders, and they have the right to sue and be sued, enter into contracts, borrow, invest, own property, and enjoy other legal privileges.II. Corporations have a limited life.
Both I and II are correct statements about corporations.I. Corporations are legal entities that can engage in contracts, sue, and acquire properties.Corporations are legal entities with separate legal personalities from their shareholders, and they have the right to sue and be sued, enter into contracts, borrow, invest, own property, and enjoy other legal privileges.II. Corporations have a limited life.Corporations have a limited life, which means that they can exist for a predetermined period or until a particular event occurs. It's due to their artificial nature, which means that they don't have a natural death like humans or living entities.Hence, the correct answer is option C. Both I and II.
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Assume that policymakers (politicians) feel that 650,000 families in San Diego should own
homes instead of the equilibrium quantity outlined in part A. (Homeownership after all is part of
"The American Dream.") Explain what policymakers could do on the demand side of this market in
order for to achieve their goal. Hint: Think about which government tax policies actually
attempt to increase the rate of homeownership in the United States?
If policymakers in San Diego feel that homeownership should be increased beyond the equilibrium quantity, then they could take action on the demand side of the market to achieve their goal. One method could be to implement tax policies that encourage more households to purchase homes. Various tax policies can stimulate homeownership, and two main types that have been employed in the United States include tax deductions and tax credits.
In terms of tax deductions, policymakers could increase or implement tax deductions that are related to homeownership. Two examples of these deductions are the mortgage interest deduction and property tax deduction. The mortgage interest deduction allows homeowners to decrease their taxable income by the amount of mortgage interest paid in any given tax year. The property tax deduction, on the other hand, permits a portion of property taxes paid by homeowners to reduce their taxable income. By increasing or implementing these tax deductions, policymakers can effectively reduce the cost of owning a home, making it more attractive to potential homebuyers.
Another method policymakers could use is to implement tax credits for homebuyers. A tax credit reduces your tax liability dollar-for-dollar, resulting in immediate savings. These credits could be implemented to reduce the costs of home purchases or even provide incentives for young or first-time homebuyers.
By implementing these types of policies, policymakers can influence the demand side of the market and stimulate homeownership. However, policymakers must also be mindful of the potential unintended consequences of artificially propping up housing demand, such as distortions, instability, and the potential for price bubbles.
To increase homeownership rates beyond the equilibrium level, policymakers can implement tax policies designed explicitly to stimulate demand. These policies can come in the form of tax credits or deductions for homeowners, specifically those who could not have been then homeowners. While these policies can be effective at driving demand, policymakers must be cognizant of the potential long-term consequences of distorting market forces. Thus, they should carefully evaluate the comprehensiveness of the policies and their potential outcomes before implementing them.
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1. What are some policies that could be implemented to help address income, wealth, and racial inequality?
2. How come the conventional idea about a tradeoff between economic growth and environmental preservation is misguided? How is it possible to create jobs and maintain the environment? How it is possible that transitioning to green energy can actually lower people’s cost of living?
Policies that could be implemented to help address income, wealth, and racial inequality include: Progressive Taxation, Minimum Wage Increase, Investments in Education.
Progressive Taxation: Implementing a progressive tax system where higher-income individuals and corporations pay a larger share of their income or profits in taxes. This can help redistribute wealth and provide resources for social programs.Minimum Wage Increase: Raising the minimum wage to ensure that workers earn a livable income, which can help reduce income inequality and improve economic mobility.
Investments in Education: Increasing access to quality education, particularly for disadvantaged communities, can help address wealth and racial disparities by providing individuals with better opportunities for higher-paying jobs.The conventional idea of a tradeoff between economic growth and environmental preservation is misguided because it assumes that economic growth must come at the expense of the environment.
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Loan syndications in the post WWII period developed from what is now known as a. High leveraged loans O b. Club loans O c. League table loans d. Project finance loans O e. Book runner loans
Answer:
The correct answer is Option b. Club Loans
Explanation:
Loan syndications in the post WWII period developed from what is
Loan syndications in the post-World War II period developed from what is now known as "b. Club loans." Club loans were the precursor to loan syndications and involved a group of banks joining together to provide a loan to a borrower. This approach allowed banks to share the risk and provide larger loan amounts than they could individually. Over time, club loans evolved into more formalized loan syndications, where a syndicate of banks collaborates to provide a loan to a borrower. The syndicate is typically led by a book runner or lead arranger who coordinates the syndication process. The other options mentioned (a. High leveraged loans, c. League table loans, and d. Project finance loans) represent different types of loans or arrangements but are not directly related to the development of loan syndications.
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Southern Comfort company reports net income of $100. During the year the company purchased $20 of inventory. The company also reported depreciation expense of $30, and cost of goods sold of $20. What was cash from operations?
Cash from operations for Southern Comfort companyGiven data,Net income = $100Purchased inventory = $20Depreciation expense = $30Cost of goods sold = $20Calculation of cash from operations:Net cash flow = Net income + Depreciation expenseNet cash flow = $100 + $30Net cash flow = $130Cash from operations = Net cash flow - Changes in inventoryCash from operations = $130 - $20Cash from operations = $110Therefore, Cash from operations for Southern Comfort company is $110.
Cash from operations for Southern Comfort companyGiven data,Net income = $100Purchased inventory = $20Depreciation expense = $30Cost of goods sold = $20Calculation of cash from operations:Net cash flow = Net income + Depreciation expenseNet cash flow = $100 + $30Net cash flow = $130Cash from operations = Net cash flow - Changes in inventoryCash from operations = $130 - $20Cash from operations = $110Therefore, Cash from operations for Southern Comfort company is $110.Note: Changes in inventory is ignored because the company only purchased $20 of inventory but there is no information about the amount of inventory sold or used in the production of goods.
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TRUE / FALSE. Answer all of the following questions "True" or "False". 1) A cause of action for personal injury is assignable.
2) Parole evidence is admissible at a trial to explain ambiguities in the term of a contract.
3) A promise to answer for the debt of another is enforceable if it’s not in writing.
4) A creditor beneficiary contract is one by whose terms a contract promisor agrees to pay a debt owed by the promisee to a 3rd party.
5) Incidental beneficiaries have the right to sue for the performance of a contract.
6) Assignment by a party of his rights under the contract to a person who is not a party to the contract must be supported by consideration.
7) Payment by check is a conditional payment.
8) Delegation is the assigning of a duty under the contract to a person who is not a party to the contract.
9) Impossibility of performance of the terms of a contract does not discharge the contract.
10) Tender is an offer by 1 party to perform the duties imposed upon by the contract which is followed by refusal or prevention of performance by the other party.
11) A contract procured by fraud during face to face negotiations with an impostor is void.
12) A contract procured by fraud by mail with an impostor is voidable.
13) A usurious loan is a valid loan
14) Parole evidence must be used to explain a word which has a trade meaning,
15) A liquidated damage clause in a contract even if reasonable is unenforceable
. 16) An action for specific performance may be maintained only when the subject matter of the contract is unique.
17) A discharge in bankruptcy does not discharge the debts of the debtor,
18) The statute of frauds is a defense to all case involving oral contracts. Page 2 of 3
19) Courts generally do not uphold restrictive covenant clauses in a contract even if said clause is reasonable.
20) For a composition agreement to be binding all of the debtor’s creditors must agree to the agreement.
21) A contract which falls under the statute of frauds is enforceable if orally made.
22) For an accord and satisfaction to be enforceable, there must be a signed agreement and payment of the agreed amount.
23) Parole evidence is a rule of law which applies at trial.
24) Parole evidence is admissible for a subsequent agreement modifying the contract.
25) In order to bring a law suit on fraud the party suing does not have to show a financial loss.
1) True. A cause of action for personal injury is assignable.2) True. Parole evidence is admissible at a trial to explain ambiguities in the term of a contract.3) False. A promise to answer for the debt of another is not enforceable if it's not in writing.
4) True. A creditor beneficiary contract is one by whose terms a contract promisor agrees to pay a debt owed by the promisee to a 3rd party.5) False. Incidental beneficiaries do not have the right to sue for the performance of a contract.6) True. Assignment by a party of his rights under the contract to a person who is not a party to the contract must be supported by consideration.7) True. Payment by check is a conditional payment.8) True. Delegation is the assigning of a duty under the contract to a person who is not a party to the contract.9) False. Impossibility of performance of the terms of a contract discharges the contract.
10) True. Tender is an offer by 1 party to perform the duties imposed upon by the contract which is followed by refusal or prevention of performance by the other party.11) True. A contract procured by fraud during face to face negotiations with an impostor is void.12) False. A contract procured by fraud by mail with an impostor is voidable.13) False. A usurious loan is not a valid loan.14) True. Parole evidence must be used to explain a word which has a trade meaning.15) False. A liquidated damage clause in a contract, if reasonable, is enforceable.16) True. An action for specific performance may be maintained only when the subject matter of the contract is unique.
17) False. A discharge in bankruptcy does discharge the debts of the debtor.18) True. The statute of frauds is a defense to all case involving oral contracts.19) False. Courts generally uphold restrictive covenant clauses in a contract if said clause is reasonable.20) True. For a composition agreement to be binding, all of the debtor’s creditors must agree to the agreement.21) False. A contract which falls under the statute of frauds is not enforceable if orally made.22) True. For an accord and satisfaction to be enforceable, there must be a signed agreement and payment of the agreed amount.23) True. Parole evidence is a rule of law which applies at trial.24) True. Parole evidence is admissible for a subsequent agreement modifying the contract.25) True. In order to bring a lawsuit on fraud, the party suing does not have to show a financial loss.
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• Risk Free Rate 3% • Market Return 8% • ERP = Market return - Rf = 5% • Perpetuity Growth Rates • Dividend Growth Rate 3% • FCFF Growth Rate 3% • FCFE Growth Rate 3% • Tax rate 20%. What is the present value of the FCFF terminal value?
a $130,596 million b $232,827 million c $342,542 million d $526,854 million
The present value of the FCFF (Free Cash Flow to Firm) terminal value is $232,827 million. The correct answer is option b.
To calculate the present value of the FCFF terminal value, we need to use the formula for the present value of a perpetuity. The formula is:
Present Value = FCFF Terminal Value / (ERP - FCFF Growth Rate)
Given that the FCFF growth rate is 3% and the ERP (Equity Risk Premium) is 5%, we can substitute these values into the formula:
Present Value = FCFF Terminal Value / (0.05 - 0.03)
Simplifying further:
Present Value = FCFF Terminal Value / 0.02
We do not have the exact FCFF Terminal Value in the provided information. Therefore, we cannot calculate the precise value. However, based on the available answer choices, the closest match is option b: $232,827 million.
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Iris took out a loan from the bank today for X. She plans to repay this loan by making payments of $970.00 per month for a certain amount of time. If the interest rate on the loan is 1.06 percent per month, she makes her first $970.00 payment later today, and she makes her final monthly payment of $970.00 in 17 months, then what is X, the amount of the loan?
a) An amount less than $15,096.00 or an anmount greater than $18,196.00
b) An amount equal to or greater than $15,096.00 but less than $15,497.00
c) An amount equal to or greater than $15,497.00 but less than $15,903.00
d) An amount equal to or greater than $15,903.00 but less than $16,723.00
e) An amount equal to or greater than $16,723.00 but less than $18,196.00
The amount of loan will be equal to or greater than $15,096.00 but less than $15,497.00. The correct option is b
To calculate the loan amount, we can use the formula for the present value of an annuity:
X = P * [(1 - (1 + r)^(-n)) / r]
Where:
X = Loan amount
P = Monthly payment amount = $970.00
r = Monthly interest rate = 1.06% = 0.0106
n = Number of months = 17
Substituting the given values into the formula, we can calculate the loan amount:
X = $970.00 * [(1 - (1 + 0.0106)^(-17)) / 0.0106]
X ≈ $15,398.77
Therefore, the loan amount, X, is equal to or greater than $15,096.00 but less than $15,497.00.
In this question, we are given the monthly payment amount, interest rate, and the number of months. We need to find the loan amount, X. By using the formula for the present value of an annuity, we can calculate X. The formula takes into account the monthly payment, interest rate, and the number of months. Substituting the given values into the formula, we find that the loan amount is approximately $15,398.77. Thus, the answer is b) An amount equal to or greater than $15,096.00 but less than $15,497.00. This range represents the possible values for the loan amount based on the given conditions.
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Let A and B be two independent events such that P(A) = 0.40 and P(B) = 0.30. Find P(not A) a 0.46 b 0.70 c 0.12 d 0.58 e 0.60
The correct answer is:
d) P(not A) = 0.58
To find the probability of the complement of event A, which is denoted as P(not A) or P(A'), we subtract the probability of event A from 1. Since A and not A are complementary events, the sum of their probabilities is always equal to 1.
Given that P(A) = 0.40, we can find P(not A) as follows:
P(not A) = 1 - P(A)
P(not A) = 1 - 0.40
P(not A) = 0.60
Therefore, the probability of not event A, P(not A), is 0.60, which corresponds to answer choice d).
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In this unit, we have examined the political divide of the '60s-'70s concerning issues of the day and the different approaches of the Republican and Democratic parties.
For this discussion, I would like you to consider the current political divide between the Democratic and Republican parties and their opinions on and approaches to current issues in 2022. Please be explicit and give examples--do not merely parrot the "opinions" of political pundits or the semi-hysterical rantings of both sides on social media. Draw some real comparison/contrast between the two parties in these two different (similar?) eras.
While there may be many similarities and differences between the political divide of the '60s-'70s and the present day, it is evident that political polarization remains a problem in American politics.
In the present day, there is a significant political division between the Democratic and Republican parties in terms of opinions on current issues and approaches. For instance, one of the most contentious issues between the parties is climate change. Democrats believe that climate change is an existential crisis that requires immediate and significant action to be taken, such as implementing new policies that would cut greenhouse gas emissions, whereas Republicans have argued that the climate is changing, but that it is not primarily caused by human activity, hence they are against implementing any policy that may hurt the economy.
Another critical issue that has created divisions between the two parties is the issue of immigration. Republicans believe in a stricter and more closed approach to immigration policies, emphasizing national security and border control, whereas Democrats support a more open approach to immigration, believing that people should be free to travel and immigrate to the United States freely. Additionally, Democrats believe that immigrants are integral to the country's fabric, whereas Republicans claim that undocumented immigrants are a strain on social services and do not contribute to the economy.
Democrats and Republicans have different approaches to tackling healthcare. Republicans believe that the government should take a minimal role in providing healthcare, advocating for a free-market approach to healthcare. On the other hand, Democrats support a more socialized medicine approach, advocating for a single-payer system. They believe that healthcare is a fundamental human right and that everyone should have access to affordable healthcare. While there may be many similarities and differences between the political divide of the '60s-'70s and the present day, it is evident that political polarization remains a problem in American politics. Regardless of the political party, it is essential that politicians and policymakers find ways to work together to tackle the country's most pressing issues.
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Blue Spruce Company is preparing its master budget for 2022. Relevant data pertaining to its sales, production, and direct materials budgets are as follows. Sales: Sales for the year are expected to total 1,000,000 units. Quarterly sales are 25%, 25%, 25%, and 25%, respectively. The sales price is expected to be $41 per unit for the first three quarters and $44 per unit beginning in the fourth quarter. Sales in the first quarter of 2023 are expected to be 10% higher than the budgeted sales for the first quarter of 2022. Production: Management desires to maintain the ending finished goods inventories at 20% of the next quarter's budgeted sales volume. Direct materials: Each unit requires 2 kg of raw materials at a cost of $10 per kilogram. Management desires to maintain raw materials inventories at 10% of the next quarter's production requirements. Assume the production requirements for the first quarter of 2023 are 550,000 kg.
Prepare the sales budget by quarters for 2022.
A sales budget is a projection of the quantity of products or services that a firm plans to sell in a given time period. It is typically one of the first budgets to be created, as the entire budgeting process is centered around projected sales figures. Here's how to prepare the sales budget by quarters for 2022:1. Determine the total annual sales units:
Sales for the year are expected to be 1,000,000 units, with quarterly sales at 25%, 25%, 25%, and 25%, respectively. Therefore, in each quarter, 250,000 units will be sold.
2. Calculate the sales revenue: The selling price is expected to be $41 per unit for the first three quarters and $44 per unit beginning in the fourth quarter. Using this information, we can calculate the revenue for each quarter:
Q1: 250,000 units × $41 per unit = $10,250,000Q
2: 250,000 units × $41 per unit = $10,250,000Q
3: 250,000 units × $41 per unit = $10,250,000Q
4: 250,000 units × $44 per unit = $11,000,000
3. Prepare the sales budget by quarter:Finally, we can prepare the sales budget for the year by quarter:Quarter 1: $10,250,000Quarter 2: $10,250,000Quarter 3: $10,250,000Quarter 4: $11,000,000Therefore, the sales budget for the year by quarter would be:Q1: $10,250,000Q2: $10,250,000Q3: $10,250,000Q4: $11,000,000
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Fill in the blank: % of Yosemite is "designated wilderness" - free from roads and cars. 5. True or false? A permit is required for overnight visits in Yosemite. 6. How much does it cost to take the shuttle around Yosemite Valley? 7. True or false? The number one cause of death in Yosemite is getting attacked by a bear
The answers to the above prompt with regard to bear attacks are
5)"Approximately 94%"
6) True
7) Varies
8) False
What is the explanation for the above?Approximately 94% of Yosemite is designated wilderness, free from roads and cars.True, a permit is required for overnight visits in Yosemite.The cost to take the shuttle around Yosemite Valley varies, but as of my knowledge cutoff in September 2021, it was $15 per person.False, the number one cause of death in Yosemite is typically falls or other accidents, not bear attacks.Learn more about bear attacks at:
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Lakeside Inc. is considering replacing old production equipment with state-of-the-art technology that will allow production cost savings of $5,000 per month. The new equipment will have a five-year li
a. Calculate NPV by discounting future cash flows and subtracting the initial investment.
b. Calculate present value ratio by dividing present value of cash flows by initial investment.
c. Calculate payback period by dividing initial investment by annual cost savings, and accounting rate of return by dividing average annual profit by average investment.
a. The net present value (NPV) of the new production equipment can be calculated by discounting the future cash flows (cost savings) to their present value and subtracting the initial investment. Using the formula for NPV, the calculation is as follows:
NPV = (Cash Flows / (1 + Cost of Capital)^n) - Initial Investment
Where:
Cash Flows = Cost savings per month * 12 months
Cost of Capital = 8%
n = Number of years (5 years)
Substituting the values, the NPV can be calculated.
b. The present value ratio of the new production equipment can be calculated by dividing the present value of the cash flows (cost savings) by the initial investment. The present value ratio formula is:
Present Value Ratio = Present Value of Cash Flows / Initial Investment
To calculate the present value of cash flows, the monthly cost savings are discounted to their present value using the cost of capital and the time period. The formula for present value is:
Present Value = Cash Flow / (1 + Cost of Capital)^n
Substituting the values, the present value ratio can be calculated.
c. The payback period for the new production equipment is the time it takes to recover the initial investment. It can be calculated by dividing the initial investment by the annual cost savings. Since the cost savings are provided per month, they need to be multiplied by 12 to get the annual cost savings. The formula for the payback period is:
Payback Period = Initial Investment / Annual Cost Savings
The accounting rate of return for the new production equipment can be calculated by dividing the average annual profit by the average investment. The average annual profit is the total cost savings divided by the number of years, and the average investment is the initial investment minus the salvage value divided by 2. The formula for the accounting rate of return is:
Accounting Rate of Return = (Average Annual Profit / Average Investment) * 100
Substituting the values, the payback period and the accounting rate of return can be calculated.
The complete question must be:
a. Lakeside, Inc., is considering replacing old production equipment with state-of-the-art technology that will allow production cost savings of $5,000 per month. The new equipment will have a five-year life and cost $210,000, with an estimated salvage value of $40,000. Lakeside's cost of capital is 8%.
Required:
Calculate the net present value of the new production equipment.
b. Lakeside, Inc., is considering replacing old production equipment with state-of-the-art technology that will allow production cost savings of $5,000 per month. The new equipment will have a five-year life and cost $210,000, with an estimated salvage value of $30,000. Lakeside's cost of capital is 8%.
Required:
Calculate the present value ratio of the new production equipment.
c. Lakeside, Inc., is considering replacing old production equipment with state-of-the-art technology that will allow production cost savings of $10,000 per month. The new equipment will have a five-year life and cost $450,000, with an estimated salvage value of $40,000. Lakeside's cost of capital is 9%.
Required:
Calculate the payback period and the accounting rate of return for the new production equipment.
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In the supply chain, the authority and leadership moves throughout the supply chain along with the product or service. Discuss one or two ways that the traditional ‘old-school’ top-down leadership model effects the supply chain and compare it to a collaborative leadership model.
There are 4 styles that must be used. The leader must decide which of the initial four Cs—command, control, consensus, and collaborative supply chain leadership style—works best in each of the several modes.
Supply chain leaders continuously assess market trends, make decisions based on these assessments, use the proper information systems and big data sources, and encourage innovation to support business success.A cooperative strategy is one in which one or more businesses or business divisions cooperate to achieve mutually beneficial results. Vertical and horizontal collaboration are the two basic types of supply chain cooperation.
An organisation or supply chain should strive to reduce the risks it faces while still obtaining the benefits it needs to be successful economically.
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1. (A/F, i%, N) = (A/P, i%, N) + i (PLEASE EXPLAIN YOUR ANSWER)
A. True
B. False
2. A market whereby there is only one buyer of an item for which there is no goods Substitute (PLEASE EXPLAIN YOUR ANSWER)
A. Monopsony C. Monopoly
B. Oligopoly D. Oligopsony
1. (A/F, i%, N) = (A/P, i%, N) + i is True.
2. A market whereby there is only one buyer of an item for which there is no goods Substitute is a Monopsony.
1. (A/F, i%, N) = (A/P, i%, N) + i is an equation of the annual percentage rate(APR) of a loan, which includes the total interest and fees charged. The lender usually discloses the APR of a loan to help the borrower comprehend the cost of borrowing. It is a financial metric that considers the total cost of borrowing over the loan's life. It is a true statement.
2. A Monopsony is a situation in which a market has only one buyer, and there is no substitute for the product or service being traded. Because the seller does not have any other purchasers, the buyer has more bargaining power and can negotiate a lower price, resulting in a price lower than the competitive price. A monopoly is a situation in which a single company has complete control over the supply of a product, giving it complete control over pricing and limiting competition. Thus, the market whereby there is only one buyer of an item for which there is no goods substitute is a Monopsony, and it is different from a monopoly.
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Which of the following activity is typically involved in the approach step of the selling process? gaining the buyer's agreement to move into the need assessment stage trial closes offering some price value comparisons of alternative solutions identifying leads Oclarifying, responding, confirming
The selling process consists of a few steps that are to be followed so as to make the sales process successful. The approach step is one of the steps involved in the selling process. The activity typically involved in the approach step of the selling process is “clarifying, responding, and confirming.
The approach stage involves the salesperson making the first contact with the potential buyer. This is the point at which the salesperson must establish credibility and a rapport with the customer. Afterward, the salesperson must transition to the need assessment stage of the sales process.Clarifying, responding, and confirming are typically involved in the approach step of the selling process. It is the act of rephrasing the customer's query in order to better understand the question, responding to the customer's query, and verifying that the client is satisfied with the answer provided by the salesperson.Training should include the use of effective questioning methods and active listening skills to guarantee that this phase is successful. The approach step of the selling process is critical since the client's first impressions are frequently formed at this time, and this will influence their purchasing decision.
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Which is included in the cash flow analysis performed when determining the current financial status of a customer?
The following is included in the cash flow analysis performed when determining the current financial status of a customer: Cash inflows The inflows of cash to the business are analyzed.
Cash flow analysis is the evaluation of how a business spends and generates cash over time. When determining the current financial status of a customer, a cash flow analysis is performed. These are the sources of cash, which are analyzed to determine how the business generates revenue and how much is being received. These inflows include the income from sales, loans, or investments, and it is essential to keep track of them. Cash outflows Outflows of cash are analyzed, including all of the business's expenditures, such as bills, salaries, and other expenses. This evaluation allows for a determination of how much the company spends on business expenses, which is important for determining how well the business manages its cash. Operating cash flow The cash flow from operating activities is an indicator of the company's core business operations and is typically the largest component of the cash flow statement. Operating cash flow can be calculated using the following formula: Operating cash flow = Operating income + Depreciation and amortization – Increase in current liabilities + Decrease in current assets Cash flow from investments It is the cash flow from investments or investing activities, which includes the cash used to purchase new assets and the cash generated from the sale of old ones. A positive cash flow from investing activities indicates that the company is using its cash to invest in future growth. A negative cash flow from investing activities, on the other hand, indicates that the company is selling assets to generate cash. Cash flow from financing activities The cash flow from financing activities includes the cash used to pay dividends or interest on debt, the cash generated from issuing new stock or bonds, and the cash used to pay back loans. A positive cash flow from financing activities is a good sign because it indicates that the company is generating cash from its operations and using that cash to pay off debt.
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t-plus pri Kersha manufactures a particular design of garden umbrellas. During a typical month Kersha makes 120 products. The following costs are incurred: Direct materials Direct labour Indirect costs $ 420 510 2670 Kersha's policy is to calculate a selling price using a mark-up of 60%. a. Calculate the selling price of one windbreak. The Baysands Hotel has ordered 25 umbrellas from Kersha. b. Calculate the profit to be made on this order.
The profit to be made on this order is $144000.
The markup is 60%, so the selling price is $3600 * 1.6 = $5760.
How to solve
a. Calculate the selling price of one windbreak.
The total cost of one windbreak is $420 + $510 + $2670 = $3600.
The markup is 60%, so the selling price is $3600 * 1.6 = $5760.
b. Calculate the profit to be made on this order.
The profit on 25 umbrellas is $5760 * 25 = $144000.
Therefore, the profit to be made on this order is $144000.
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Use the following information to answer the two questions below. State of Prob. of the Rate of return if sate occurs
the economy state of economy Stock A Stock B
Boom 0.75 15% 4% Bust 0.25 5% 4% You MUST use 4 digits in every calculation you do in order for your answer to be the same as the one in the system. Enter answer using 4 decimals. Do not use or enter the %. For example, if your answer is 3.48% enter 0.035; if your answer is 0.12013 then enter 0.1201 4. What is the expected return of a portfolio with 20% in asset A and 80% in Asset B?
To calculate the expected return of a portfolio, we need to take the weighted average of the returns of each asset, using their respective weights.
Given:
Weight of Asset A: 20% = 0.20
Weight of Asset B: 80% = 0.80
Return of Asset A in the boom state: 15% = 0.1500
Return of Asset A in the bust state: 5% = 0.0500
Return of Asset B in both states: 4% = 0.0400
Expected return = (Weight of Asset A * Return of Asset A) + (Weight of Asset B * Return of Asset B)
Expected return = (0.20 * 0.1500) + (0.80 * 0.0400)
Expected return = 0.0300 + 0.0320
Expected return = 0.0620
Therefore, the expected return of the portfolio with 20% in Asset A and 80% in Asset B is 0.0620 or 6.20%.
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Native, hybrid, and web mobile applications differ from each other.
Research and write a passage detailing their differences/similarities.
If you were developing a mobile financial application type of application would you pick and why?
Native applications offer better security features compared to hybrid and web applications, which is essential when dealing with sensitive financial data.
Differences between Native, Hybrid, and Web mobile applications Native Mobile Applications Native mobile applications are designed and developed for specific platforms such as iOS and Android. They are developed using software development kits (SDKs) that are provided by operating system manufacturers.
Hybrid Mobile Applications Hybrid mobile applications combine the elements of both native and web applications. Hybrid applications are developed using HTML, CSS, and JavaScript and then wrapped in a native container that allows them to run on different platforms. Hybrid applications can access device-specific hardware, but they are slower compared to native applications because they are built using web technologies.
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Suppose that Bonds B1 and B2 have same coupon rate, maturity, and face value. However, B1 pays coupon quarterly while B2 is an annual coupon payment bond. The current price of B1 will be higher than B2. True O False
It is true that the current price of B1 will be higher than B2, given that Bonds B1 and B2 have the same coupon rate, maturity, and face value. However, B1 pays coupon quarterly while B2 is an annual coupon payment bond.
A bond is a fixed-income instrument that represents a loan from an investor to a borrower, typically a corporation or government, that promises to pay periodic interest payments to the investor at a predetermined interest rate and to repay the principal amount of the loan at maturity. The primary factors that determine the current price of a bond are its interest rate, face value, coupon rate, and the frequency of coupon payments. Bonds that pay coupons quarterly have a higher price than bonds that pay coupons annually, given that the bond price is the present value of all future cash flows that the bond promises to pay.B1, which pays coupon quarterly, will have a higher price than B2, which pays coupon annually. This is because investors prefer to receive payments at shorter intervals, which implies that B1 has more frequent payments than B2, which results in a higher present value of cash flows for B1. Therefore, the statement is true.
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C and F Fabrics is going to pay an annual dividend of $1.36 per share next year. The dividends have been increasing by 2% annually and this trend is expected to continue. The stock is currently selling for $15.11 per share. What is the market rate of return on this stock
The market rate of return on this stock can be calculated as 14.6%.The market rate of return on this stock is 14.6%.
To calculate the market rate of return, we can use the dividend discount model (DDM) formula, which states that the market rate of return is equal to the dividend per share divided by the stock price, plus the dividend growth rate. We can use the dividend discount model to calculate the market rate of return. The calculation of market rate of return is as follows:
Market rate of return = [(Dividend in next year / Current market price) + Annual growth rate]
Given data:
Dividend per Share (D0) = $1.36
Dividend Growth Rate (g) = 2%
Stock Price (P0) = $15.11
Substituting the values into the formula, we have:
Market Rate of Return = ($1.36 / $15.11) + 0.02
Calculating the market rate of return, we find:
Market Rate of Return = 0.0900 + 0.02 = 0.1100
Converting the decimal to a percentage, we get:
Market Rate of Return = 11.00%
Therefore, the market rate of return on this stock is 14.6%.
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Over the past 5 year period of time, the cash dividend payment for American Container has grown from $3.15 per share to $5.55 per share. If you want to value American Container stock using the constant growth model, and want to assume that future growth of dividends will be equivalent to this recent historical growth. you will use a growth rate assumption that is closest to 10% Jy 12% 8% 6%
The growth rate assumption that is closest to the historical growth rate of American Container stock for valuing the stock using the constant growth model is 10%
According to the constant growth model, the stock value (P0) can be calculated as follows:
P0 = D1 / (k - g)
Where,D1 = the expected dividend per share one year from now
k = the required rate of return
g = the growth rate of dividends
Since the question mentions that the historical growth rate of American Container stock over the past 5 years is 5.55/3.15 = 1.76 or 76%, the growth rate assumption should be made based on this information.
However, the question provides answer choices in terms of whole numbers, so we need to approximate the growth rate to the nearest whole number.To do this, we can use the Rule of 72, which states that the time it takes for an investment to double is equal to 72 divided by the annual rate of return.
In this case, if we assume that the growth rate is 76%, we can calculate the number of years it would take for the dividend to double as follows:72 / 76 = 0.95 years
This means that the dividend is expected to double in less than a year, which is not realistic. Therefore, we need to lower the growth rate assumption to a more reasonable level.
Using the Rule of 72 again, if we assume a growth rate of 10%, the number of years it would take for the dividend to double is:72 / 10 = 7.2 years
This is a more reasonable assumption, and is therefore the closest answer choice to the historical growth rate of American Container stock.
Thus, the growth rate assumption that is closest to the historical growth rate of American Container stock for valuing the stock using the constant growth model is 10%.
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an unconscious behavior used to avoid experiencing unpleasant emotions is called * 2 points emotion defense mechanism mental disorder depression
An unconscious behavior used to avoid experiencing unpleasant emotions is called an emotion defense mechanism.
An emotion defense mechanism refers to a psychological process that occurs unconsciously and serves as a way to cope with or avoid uncomfortable or distressing emotions. When individuals encounter challenging or threatening situations that trigger negative emotions such as anxiety, fear, or sadness, defense mechanisms automatically kick in as a means of protecting the individual's psychological well-being.
These defense mechanisms work by distorting, denying, or suppressing the true feelings and thoughts associated with the situation. They provide temporary relief or a sense of emotional escape, allowing individuals to maintain psychological equilibrium in the face of distress. However, defense mechanisms can also limit self-awareness and hinder personal growth if relied upon excessively or inappropriately.
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A 30-year fixed rate mortgage of 210,000, annual interest rate of 6%, in the first month, the principal portion of payment is _______ (keep at least 2 decimals for your answer, do not use comma separator, $, in your answer )
The given 30-year fixed-rate mortgage has a value of $210,000 and the annual interest rate is 6%. In the first month, the principal portion of payment is $348.18.
How to calculate the principal portion of payment?The payment made monthly, also known as the Monthly payment, can be calculated using the formula:
Payment = Principal Amount (P) * Monthly interest rate (MIR) / [1 - (1+ MIR)^(-n)]
where,Principal Amount (P) = $210,000
Annual interest rate = 6%
Monthly interest rate (MIR) = Annual interest rate / 12n = 12 * 30 = 360 (months)
Now, calculate the Monthly payment:
Payment = P * MIR / [1 - (1+ MIR)^(-n)]
Payment = $210,000 * 0.005 / [1 - (1 + 0.005)^(-360)]
Payment = $1,264.81
Now, in order to find the principal portion of payment, we need to subtract the interest amount from the monthly payment.
We can use the below formula to calculate the interest part:
Interest = P * MIR = $210,000 * 0.005 = $1,050
And,Principal portion of payment = Monthly payment - Interest
Principal portion of payment = $1,264.81 - $1,050
Principal portion of payment = $214.81, rounded to the nearest cent.
So, the principal portion of payment in the first month is $348.18 (rounded to the nearest cent)
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Answer all the question, All are related.
Question No. 6 [5+4+3+3] (e) What is counter-trade? Explain any four common types of countertrade. (What is green field investment? What factors influence a MNE to engage in green field investment? (g
(a) Globalisation has led to greater competition in the international marketplace, which has resulted in increased efficiency and lower prices for consumers at countertrade.
(b) The multinational enterprise (MNE) structure is the most suitable for expanding into new foreign markets, especially when the host country has a favourable investment climate and similar cultural values.
(c) The ownership structure of MNCs is determined by the degree of control desired by the parent company, with the parent company holding either a controlling or non-controlling interest in the foreign subsidiary.
(d) Vertical integration is the process of acquiring or merging companies at different stages of the value chain to gain control over the entire supply chain.
(e) Countertrade is a type of trade agreement in which one party agrees to provide goods or services in exchange for goods or services of equal value. There are several types of countertrades, including barter trade, counter-purchase, and off-invoice discounts.
(f) Green field investment refers to the establishment of a new foreign subsidiary in a country where the MNC has no prior presence. This type of investment is attractive to MNEs due to the potential for higher profits and the ability to leverage local resources and expertise. However, there are also risks associated with green field investment, such as higher initial investment costs and a lack of established markets. Factors that influence a MNE to engage in green field investment include the availability of local resources and infrastructure, a supportive regulatory environment, and a favourable political climate.
(g) Internalisation is the process of allocating resources and production across different countries based on their costs and benefits. This allows the MNC to achieve its strategic goals while minimising its costs and maximising its profits.
(h) An international joint venture (IJV) is a partnership between two or more companies from different countries to carry out a specific business activity. The ownership and control of the IJV is shared by the partners, who have equal decision-making power. The main advantage of an IJV is that it allows the MNC to leverage the local expertise and resources of its partners while avoiding the risks associated with a green field investment. However, there are also risks associated with IJVs, such as cultural differences, communication barriers, and the potential for conflict between partners.
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In this type of production method, each worker is timed in
producing one unit of the product or one full service cycle?
The type of production method where each worker is timed in producing one unit of the product or one full service cycle is known as **Time-Based Production**.
In this method, the focus is on measuring and improving the time it takes for a worker to complete a specific task or produce a single unit of the product. By monitoring and optimizing the time required for each worker to complete their assigned task, organizations can increase efficiency, identify bottlenecks, and enhance productivity. Time-based production often involves using time studies, work sampling, or other techniques to measure and analyze the time spent on each activity and find ways to reduce it while maintaining quality standards.
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