"
What is the value of a preferred stock where the dividend rate is
18 percent on a ​$100 par​ value, and the​ market's required yield on similar shares is 13 ​percent?
"

Answers

Answer 1

The value of the preferred stock with a dividend rate of 18% on a $100 par value, and a market's required yield of 13%, is $138.46.

To calculate the value of preferred stock, we divide the annual dividend by the required yield (expressed as a decimal). In this case, the annual dividend is 18% of $100, which is $18. The required yield of 13% is 0.13. Dividing the annual dividend by the required yield gives us $18 / 0.13 = $138.46, which is the value of the preferred stock.

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Related Questions

FILL IN THE BLANK Suppose that Spain and Switzerland consider trading wine and rye with each other. Spain can gain from specialization and trade as long as it receives more than ________ of rye for each bottle of wine it exports to Switzerland. Similarly, Switzerland can gain from trade as long as it receives more than _______ of wine for each bushel of rye it exports to Spain.

Answers

Suppose that Spain and Switzerland consider trading wine and rye with each other. Spain can gain from specialization and trade as long as it receives more than 1 bushel of rye for each bottle of wine it exports to Switzerland. Similarly, Switzerland can gain from trade as long as it receives more than 1 bottle of wine for each bushel of rye it exports to Spain.

In international trade, countries engage in specialization and trade to benefit from their comparative advantages. The terms of trade, which represent the exchange rate between two goods, play a crucial role in determining whether both countries can gain from trade. In the given scenario, Spain and Switzerland are considering trading wine and rye.

For Spain to benefit from specialization and trade, it needs to receive more than 1 bushel of rye for each bottle of wine it exports to Switzerland. This condition ensures that Spain can obtain a higher quantity of rye through trade than it could produce domestically. By specializing in wine production and exporting it, Spain can obtain a favorable exchange rate that allows it to acquire rye at a lower opportunity cost.

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Farah, Fizo and Rara are partners of FIRA Fashion which was formed on 1 January 2018.On 30 June 2021, for some personal reason, Rara left the partnership and withdrew her capital contribution. Farah and Fizo decided to admit new partner, Rina to the partnership. The information regarding the partnership business for the year ended 31 December 2021are as follow:
Jan 2021- June2021
July 2021- Dec2021
Interest on capital per annum
8%
10%
Profit sharing ratio:
Farah
1
1
Fizo
1
1
Rara
1
-
Rina
-
2
Monthly salary:
Farah
RM5,000
RM5,500
Fizo
RM5,000
RM6,000
Rara
RM5,000
-
Rina
-
RM7,000
Partners' monthly allowance
Farah
RM400
RM500
Fizo
RM400
RM500
Rara
RM400
-
Rina
-
RM500
Additional information:
Each partner is required to maintain a fixed capital of RM250,000.However, Rina contributed RM300,000 as her capital in the partnership.
The provisional adjustedincome reported by the companyis amounted to RM410,000.
The partnership donated RM10,500 to an approved institution on 1 May 2021.
The following income was earned by the partners in the year 2021:
1. Farah earned RM80,000 from the royaltyof her novels.
2.Rara generated an adjusted rental income for the year amounted to RM65,000.
3. Rina is an artist and earned RM100,000 from her paintings.
4. Fizo runs a small restaurant with his brotherand earned RM25,000as adjusted incomefrom the business.
5. In the year 2021, the business has the acquired a new van was for the purpose of transporting goods to its customer. The van was acquired on hire purchase at the cost of RM125,000 and 10% deposit was paid on 10 September 2021. The first instalment beginsin the month of October 2021 for a total of 48 months.
6. A car used by the partnership was involved in an accident on 10 December 2021. The businesswas paid with a compensation of RM38,000 by the insurancecompany. The residual expenditure of thecar was RM34,000
Required:
Determine the total income of each partner for the year of assessment2021. Shows clearlythe computation of capital allowances, balancing chargeor allowance claimable by the partner.
(20 marks) (CLO2:PLO4:C5)

Answers

The total income of each partner in FIRA Fashion for the year 2021 is as follows:

- Farah: RM349,800

- Fizo: RM308,000

- Rara: RM65,000

- Rina: RM163,636.36

The total income of each partner was calculated by adding their share of net income to their monthly salary and monthly allowance. Any other income earned by each partner was also added. The profit-sharing ratio for Farah and Fizo is 11/22 each while Rina's profit-sharing ratio is 1/22.

To calculate the total income of each partner in a partnership, you need to first calculate the net income of the partnership. Then, allocate the net income among the partners based on their profit-sharing ratio. The profit-sharing ratio is usually based on the capital contribution of each partner. However, in this case, Rina contributed RM300,000 as her capital in the partnership. Therefore, the profit-sharing ratio for Farah and Fizo is 11/22 each while Rina's profit-sharing ratio is 1/22. Rara is no longer a partner in the partnership.

The total income of each partner can be calculated by adding their share of net income to their monthly salary and monthly allowance. In addition to this, any other income earned by each partner should also be added.

Here's how you can calculate the total income of each partner for the year 2021:

Farah:

- Share of net income = RM410,000 x 11/22 = RM205,000

- Monthly salary = RM5,000 x 12 = RM60,000

- Monthly allowance = RM400 x 12 = RM4,800

- Royalty income = RM80,000

- Total income = RM205,000 + RM60,000 + RM4,800 + RM80,000 = RM349,800

Fizo:

- Share of net income = RM410,000 x 11/22 = RM205,000

- Monthly salary = RM6,000 x 12 = RM72,000

- Monthly allowance = RM500 x 12 = RM6,000

- Adjusted income from restaurant business = RM25,000

- Total income = RM205,000 + RM72,000 + RM6,000 + RM25,000 = RM308,000

Rara:

- Adjusted rental income = RM65,000

- Total income = RM65,000

Rina:

- Share of net income = RM410,000 x 1/22 = RM18,636.36

- Monthly salary = RM7,000 x 6 = RM42,000

- Monthly allowance = RM500 x 6 = RM3,000

- Income from paintings = RM100,000

- Total income = RM18,636.36 + RM42,000 + RM3,000 +RM100,000= RM163636.36

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b) Discuss the role of off-balance sheet items in banking. Particularly, why did off-balance sheet activities become popular in the banking business? Stress the characteristics, benefits and risks of at least one off-balance sheet activity discussed in class. Total for b): 10 marks
c) We have shown that banks are redundant in a simple general equilibrium economy with no frictions. Discuss the theories proposed to move away from the aforementioned result and that justify the existence of banks. Moreover, discuss in more detail at least one theory that justifies the presence of banks because of their role in the economy, i.e. banks as a pool of liquidity.

Answers

b)Off-balance sheet items refer to financial transactions that do not appear on a bank's balance sheet but can have an impact on its financial position.

Off-balance sheet activities became popular in the banking business as they allowed banks to generate additional revenue and they allowed banks to take on additional risks. One example of an off-balance sheet activity is securitization. This involves pooling together a group of assets, such as mortgages or credit card debt, and then selling securities backed by these assets to investors.

c) In a simple general equilibrium economy with no frictions, banks are redundant because individuals can lend and borrow from each other directly.

However, there are several theories that justify the existence of banks in the real world. One theory is the information asymmetry theory, which states that banks exist because they are better able to assess and manage credit risk than individual lenders. This is because banks have access to more information about borrowers and can use this information to make better lending decisions.

Another theory that justifies the presence of banks is the liquidity transformation theory. This theory states that banks exist because they are able to transform illiquid assets, such as loans, into liquid liabilities, such as deposits. This allows banks to provide a valuable service to the economy by providing a pool of liquidity that can be used to fund productive investments. However, this also creates risks for banks, as they must ensure that they have sufficient liquidity to meet deposit withdrawals and other obligations. This is why central banks play a critical role in providing liquidity support to banks during times of financial stress.

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Corporation ABC is considering a four-year project to improve its production efficiency. Buying a new machine press for $560,000 is estimated to result in $210,000 in annual pretax cost savings. The press falls in the MACRS five-year class, and it will have a salvage value at the end of the project of $80,000. The press also requires an initial investment in spare parts inventory of $20,000, along with an additional $3,000 in inventory for each succeeding year of the project. If the company’s tax rate is 35 percent and its discount rate is 9 percent, should the company buy and install the machine press? MACRS Rates: 20%, 32%, 19.20%, 11.52%
using excel please

Answers

Corporation ABC should buy and install the new machine press because of its positive NPV of $128,590.23.

What is the NPV?

The NPV (net present value) is the difference between the discounted cash inflows and the cash outflows.

Tax Savings due to depreciation using the Modified Accelerated Cost Recovery System (MACRS) depreciation method with MACRS rates for a five-year class as 20%, 32%, 19.20%, 11.52%, 11.52% are computed and deducted from the estimated cash savings.

Initial investment =  $580,000 ($560,000 + $20,000)

Pretax cost savings = $210,000

Annual cash flows = $210,000 minus the tax savings due to depreciation.

Annual Depreciation Expense for each year:

Year 1 = $116,000 ($580,000 x 0.20)

Year 2 = $185,600 ($580,000 x 0.32)

Year 3 = $111,360 ($580,000 x 0.192)

Year 4 = $66,624 ($580,000 x 0.1152)

Year 5 = $66,624 ($580,000 x 0.1152)

Total Depreciation Expenses = $546,208 ($116,000 + $185,600 + $111,360 + $66,624 + $66,624).

The tax savings due to depreciation can be calculated as follows:

Year 1 = $40,600 ($116,000 x 0.35)

Year 2 = $64,960 ($185,600 x 0.35)

Year 3 = $39,072 ($111,360 x 0.35)

Year 4 = $23,284 ($66,624 x 0.35)

Year 5 = $23,284 ($66,624 x 0.35)

The annual cash flows are:

Year 1 = $169,400 ($210,000 - $40,600)

Year 2 = $145,040 ($210,000 - $64,960)

Year 3 = $167,928 ( ($210,000 - $39,072 - $3,000)

Year 4 = $183,716  ($210,000 - $23,284 - $3,000)

Year 5 = $263,716 ($210,000 - $23,284 - $3,000 + $80,000)

The NPV can be calculated using these cash flows and a discount rate of 9%:

Net Present Value:

Year       Cashflows     Discount Factor   Discounted PV

0            -$580,000                 1                   -$580,000

Year 1      $169,400        0.917                        $155,339.80

Year 2     $145,040        0.842                        $122,123.68

Year 3     $167,928        0.772                        $129,640.42

Year 4      $183,716        0.708                       $130,070.93

Year 5     $263,716       0.650                         $171,415.40

Net present value                                         $128,590.23

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As a consultant to Mark, would you advise him to give a raise to
all, to none, or to the deserving minority? Explain your reasoning
and how you would mitigate against possible repercussions

Answers

As a consultant to Mark, the advise that I would give him regarding the raise is that he should give raise to the deserving minority. There are several reasons for my suggestion for the deserving minority.

The deserving minority are those who have shown exceptional performance and are contributing significantly towards the organization's success. Hence, giving them a raise will motivate them further to continue with their outstanding performance and bring more success to the organization. Additionally, if Mark does not give raise to the deserving minority, it may lead to them being demotivated and disengaged from their work which can impact the organization's productivity and profitability. However, if Mark decides to give a raise to all employees, it may not be the best decision as there might be employees who are not contributing to the organization's success but will still be getting the raise which can impact the morale of the deserving minority who have worked hard to achieve success for the organization. Mitigating possible repercussions of the raise

If Mark decides to give a raise to the deserving minority, he can mitigate any possible repercussions by being transparent about the criteria used to determine who is eligible for the raise. He can also provide feedback to those who did not receive a raise, outlining areas for improvement. Additionally, he can consider offering non-financial rewards such as additional training or flexible work hours as a way to acknowledge and motivate other employees who may not have been eligible for the raise. In this way, he can ensure that the organization's culture of performance and success is maintained while minimizing any negative impact of the raise. Hence, giving raise to the deserving minority will not only help motivate and retain the best employees, but it will also create a culture of performance and success that will ultimately lead to the organization's long-term success.

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A Moving to another question will save this response.
Question 17
Which factor will result only in a movement along the demand curve for a good?
a. a change in the price of that good.
b. both a change in the price of that good and a change in the size of the population.
Oc, a change in the size of the population.
C.
d. a change in the prices of related goods.
A Moving to another question will save this response.

Answers

A change in the price of this good component will only result in movement along the demand curve for the good.

Option a is correct .

A change in the price of a commodity causes it to move along the demand curve. This is known as the change in quantity demanded. As the price changes, the quantity demanded of the good also changes, moving along the demand curve while all other factors remain constant.

Since a change in population size represents a change in one of the determinants of demand, in this case, a change in the price of that good and a change in population size both cause a shift in the demand curve. number of potential buyers in the market).

Hence, Option a is correct .

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A strategy to be a low-cost provider of branded footwear is unlikely to result in the company being one of the best-performers in the industry unless the company's management team a is shrewd enough to operate the company in a manner that enables it to earn an operating profit in both the Internet and wholesale segments for branded footwear that is above the industry average in most all of the four geographic regions each year (operating profit margins are reported in each year's FIR). b succeeds in being among the leaders in selling private-label footwear-and earning good profits doing so. c proves adept in operating the company as cost effectively (if not more cost effectively) than rivals that are also striving to be a low-cost provider of branded footwear d has the foresight to build total production capacity (not including overtime) that is about 5 million pairs greater than any other company in the industry and locate all of its capacity in the Asia-Pacific and Europe-Africa

Answers

A strategy to be a low-cost provider of branded footwear industry unless the company's management team proves adept in operating the company as cost effectively than rivals.

Option C is correct.

Management Team:

A management team is a group of high-level associates hired by a business owner to take on crucial tasks within the organization. These people are at the top of a company or business's management and specialize in different aspects of business management, such as: Accounting.

What's the purpose of a management team?

Group the executives drives efficiency by getting representatives to work better. Productivity and the objectiveness of the organization are boosted by teamwork and open lines of communication between leaders and employees. A few different benefits of group the board are: Diminishes staff turnover.

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Elaborate a roadmap for a friend so that he approaches his
entrepreneurial journey in the best way possible (Starting a small
business)

Answers

Starting a small business can be a challenging task but with a proper roadmap and guidance, your friend can approach his entrepreneurial journey in the best possible way. Here is a roadmap that can help your friend to start his own small business.

Define the business idea: To start any business, the first step is to define the business idea that will set the direction of the business. Your friend should analyze his skills, passion, and market demand to come up with a unique and feasible business idea.

Conduct Market Research: After defining the business idea, the next step is to conduct market research to analyze the market demand, competitors, target customers, and pricing strategies. This will help your friend to understand the potential of his business idea and make necessary changes to his business plan.

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Jared purchases a house for a selling price of $370 000. He will make a down payment and arrange a mortgage for the rest. Jared's financial advisor suggests making a down payment of 25%. However, Jared would rather make a down payment of 15%. a) How much is the down payment in each case? b) How much is the mortgage in each case? c) How might Jared's financial advisor convince him to make the larger down payment?

Answers

a) 25% down payment: $92,500; 15% down payment: $55,500
b) 25% down mortgage: $277,500; 15% down mortgage: $314,500

a) To calculate the down payment in each case, multiply the selling price by the percentage of the down payment. For 25%, multiply $370,000 by 0.25, which equals $92,500. For 15%, multiply $370,000 by 0.15, which equals $55,500.

b) To calculate the mortgage amount in each case, subtract the down payment from the selling price. For 25%, subtract $92,500 from $370,000, resulting in a mortgage of $277,500. For 15%, subtract $55,500 from $370,000, resulting in a mortgage of $314,500.

c) Jared's financial advisor could convince him to make the larger down payment by explaining the benefits, such as lower monthly mortgage payments, lower interest rates, and potentially avoiding private mortgage insurance, which could save Jared money in the long run.

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which of the below best describes the competitive tendencies of small firms?

Answers

The option that best describes the tendencies of small firms is that the small firms are more nimble and can respond quickly to competitive attacks. Thus, option C is correct.

A small business firms is a privately held corporation, partnership, or sole proprietorship with fewer employees and lower yearly income than a corporation or regular-sized business.

Small firms frequently have an advantage in agility and flexibility, which enables them to quickly adapt to competitive threats in the marketplace. Small firms can make choices and implement changes more quickly than larger organizations due to their size and lack of bureaucracy.

In dynamic and fast-paced workplaces, this responsiveness can be a crucial competitive advantage for small firms.

Therefore, option C is correct.

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The complete question is:

Which of the below best describes the competitive tendencies of small firms?

Options:

Small firms tend to signal their competitive actions long before they launch those actions, because they lack legitimacy in the marketplaceSmall firms typically have more resources available as they undertake competitive attacks than do large firms.Small firms are more nimble and can respond quickly to competitive attacks.Small firms are more nimble and cannot respond quickly to competitive attacks.

A share of stock has a dividend that is expected to grow at a constant perpetual rate.
During the next year (t=0 to t=1), the dividend yield is expected to be 7.76%.
The capital gains yield for the next year is expected to be 13.72%.
Dividends are paid at year’s end.
If the dividend to be paid at the end of the year (at t=1) is expected to be $7.05, what is a fair price for the stock today (t=0)?
(Answer to the nearest $0.01)

Answers

If the dividend to be paid at the end of the year (at t=1) is expected to be $7.05, a fair price for the stock today (t=0) is approximately $32.79.

To calculate the fair price of the stock today (t=0), we can use the Gordon Growth Model, also known as the Dividend Discount Model (DDM).

The Gordon Growth Model formula is as follows:

Stock Price (t=0) = Dividend (t=1) / (Discount Rate - Growth Rate)

Given the information provided:

Dividend (t=1) = $7.05

Dividend Yield = 7.76%

Capital Gains Yield = 13.72%

To calculate the discount rate, we need to combine the dividend yield and the capital gains yield. The total return on the stock can be calculated as follows:

Total Return = Dividend Yield + Capital Gains Yield

Total Return = 7.76% + 13.72% = 21.48%

Now, we can calculate the discount rate by converting the total return into a decimal:

Discount Rate = Total Return / 100

Discount Rate = 21.48% / 100 = 0.2148

Now, we can calculate the fair price of the stock:

Stock Price (t=0) = $7.05 / (0.2148 - 0)

Stock Price (t=0) = $7.05 / 0.2148 ≈ $32.79

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Suppose you open a money market mutual account and deposit some funds from your checking accounting into the money market mutual account. What effect, if any, will this have on M1 (increase, decrease or no effect)? What effect, if any, will this have on M2?

Answers

When you transfer funds from your checking account to a money market mutual account, it will have no effect on M1. M1 represents the narrowest definition of the money supply, consisting of currency in circulation and demand deposits (checking accounts).

Since the funds are simply being transferred between two types of accounts within M1, the total amount in M1 remains unchanged. However, this transfer will have an effect on M2. M2 represents a broader definition of the money supply and includes M1 plus certain types of savings deposits, time deposits, and money market mutual funds. By depositing funds into a money market mutual account, you are increasing the balance in this type of account, which is considered part of M2. Therefore, the transfer will increase the overall value of M2.

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Demand and income are inversely related Demand for one good and the price of ... best describes the following term: Normal Good (Click for List) Demand and ...

Answers

The statement that describe normal goods is demand and Income are directly related. The Option E.

How is the demand for a normal good related to income?

The statement "Demand and Income are directly related" accurately describes a normal good. A normal good is a type of product or service for which the demand increases as income rises.

When consumers have higher income, they tend to spend more on normal goods resulting in an upward shift in the demand curve. This positive relationship between demand and income implies that as people's income increases, they are willing and able to purchase more of the normal good.

Full question:

Select the statement in the pulldown menu which best describes the following term: Normal Good :

Demand and income are inversely related

Demand for one good and the price of the other are inversely related

Demand for one good and the price of the other are directly related

Sum of all individual's demand curves Demand and Income are directly related

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Everything else equal, and under normal business confidence, a decrease in the federal funds rate will tend to...
A. increase aggregate demand
B. decrease aggregate demand
C. increase investment
D. both a and c

Answers

Option D is correct. both a and c. A decrease in the federal funds rate tends to have two main effects: it can increase aggregate demand and increase investment.

Increase in Aggregate Demand:

When the federal funds rate decreases, it becomes cheaper for banks to borrow money from the Federal Reserve. This reduction in borrowing costs encourages banks to increase lending to consumers and businesses. As a result, individuals and companies have easier access to credit, which leads to increased spending and investment. This boost in spending and investment contributes to an increase in aggregate demand, as more money is circulating in the economy.

Increase in Investment:

Lower interest rates reduce the cost of borrowing for businesses, making it more affordable for them to finance new investments. When the federal funds rate decreases, it typically leads to lower interest rates in the broader economy. This makes borrowing for capital investments, such as equipment, machinery, and expansion projects, more attractive to businesses. As a result, businesses are more likely to increase their investment activities, which stimulates economic growth and can have a positive impact on productivity and employment.

Under normal business confidence, a decrease in the federal funds rate tends to have two positive effects: it increases aggregate demand by stimulating spending and it increases investment by reducing the cost of borrowing for businesses. Therefore, the correct answer is D. both a and c.

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The demand for a wholesale item is steady at 15 units per week. The item can be produced by a factory located a quarter mile from the warehouse. It costs $100 to transport a lot from the factory to the warehouse. The cost of holding 1 unit in inventory for a month at the warehouse is $2. Please show your work, and explain it when necessary (do not simply state the answer). Use the EOQ model to find: (1) The optimal order size for the warehouse. (2) The maximum inventory level in the warehouse. (3) The average inventory holding cost per year.

Answers

To find the answers using the Economic Order Quantity (EOQ) model, we need to consider the following information:

Demand per week (D) = 15 units

Transportation cost per lot (S) = $100

Holding cost per unit per month (H) = $2

What is Economic Order Quantity (EOQ) model?

The Economic Order Quantity (EOQ) model is a mathematical formula used in inventory management to determine the optimal order quantity that minimizes the total cost of inventory.

(1) Optimal Order Size (Q):

The EOQ formula is given by:

Q = √((2DS) / H)

Q = √((2 * 15 * $100) / $2)

Q = √(3000 / 2)

Q = √1500

Q ≈ 38.73

Therefore, the optimal order size for the warehouse is approximately 38.73 units.

(2) Maximum Inventory Level:

The maximum inventory level can be calculated using the EOQ formula:

Maximum Inventory Level = Q + (D * lead time)

Since the lead time is not provided in the given information, we'll assume it as zero.

Maximum Inventory Level = 38.73 + (15 * 0)

Maximum Inventory Level ≈ 38.73

Therefore, the maximum inventory level in the warehouse is approximately 38.73 units.

(3) Average Inventory Holding Cost per Year:

The average inventory holding cost per year can be calculated using the following formula:

Average Inventory Holding Cost per Year = (Q / 2) * H

Average Inventory Holding Cost per Year = (38.73 / 2) * $2

Average Inventory Holding Cost per Year ≈ $38.73

Therefore, the average inventory holding cost per year is approximately $38.73.

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The constant-growth dividend model will provide invalid solutions when:
the growth rate of the stock exceeds the required rate of return for the stock.
the growth rate of the stock is less than the required rate of return for the stock.
the growth rate of the stock is equal to the risk-free rate.
none of the above.

Answers

The correct option is that the constant-growth dividend model will provide invalid solutions when the growth rate of the stock is less than the required rate of return for the stock. Option B.

The constant-growth dividend model, also known as the Gordon growth model or the dividend discount model, is a method used to estimate the intrinsic value of a stock based on its dividends.

It assumes that dividends grow at a constant rate indefinitely. However, there are certain scenarios where the constant-growth dividend model provides invalid solutions.

The growth rate of the stock exceeding the required rate of return for the stock is not a situation where the constant-growth dividend model will provide invalid solutions. In fact, this is a desirable condition for investors, as it indicates that the stock is expected to provide a higher return than what is required by the investors.

In such cases, the model can still be used, and the resulting valuation would indicate that the stock is undervalued.

Similarly, when the growth rate of the stock is equal to the risk-free rate, the constant-growth dividend model can still be applied. In this situation, the model would provide a valuation that suggests the stock is fairly valued, as the growth rate matches the required rate of return.

When the growth rate is lower than the required rate of return, it implies that the company's dividends are not expected to grow at a sufficient rate to meet the investors' expectations.

Consequently, the model breaks down, as it assumes a positive and sustainable growth rate. In this scenario, the model would suggest negative or undefined valuations, rendering the solutions invalid.

To summarize, the constant-growth dividend model will provide invalid solutions when the growth rate of the stock is less than the required rate of return for the stock. In all other cases, the model can be applied to estimate the intrinsic value of a stock based on its dividends. So Option B is correct.

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According to Keynes, once a system attains an economy‐wide equilibrium, ______
A) there may or may not be excess productive capacity. B) planned investment will be zero.
C) the economy will be at full productive capacity.
D) planned consumption will be zero.

Answers

According to Keynes, once a system attains an economy-wide equilibrium, option A) there may or may not be excess productive capacity.

In Keynesian economics, the concept of equilibrium refers to a situation where aggregate demand (total spending in the economy) equals aggregate supply (total production). At equilibrium, there is no tendency for output or prices to change.

Keynes argued that reaching equilibrium does not necessarily mean that the economy is operating at its full productive capacity. This is because there are factors that can lead to a gap between the actual level of output and the potential level of output the economy is capable of producing.

One such factor is the existence of excess productive capacity. Even at equilibrium, there may be unused or underutilized resources, such as labor and capital, which indicates that the economy is not operating at its maximum potential. This can happen due to factors like insufficient demand, uncertainty, or market inefficiencies.

Keynes emphasized the importance of aggregate demand in driving economic activity. If there is a deficiency in aggregate demand, it can lead to a situation where the economy operates below its full capacity. In such cases, achieving equilibrium would still leave the economy with idle resources and unused productive capacity.

Therefore, according to Keynes, equilibrium does not imply full productive capacity utilization. It acknowledges the possibility of a gap between the actual level of output and the potential level of output, which can result in excess productive capacity even at equilibrium.

Therefore, option A) is the correct answer according to Keynesian economics.

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Consider an economy which initially is in long-run equilibrium. a. (4 marks) Use the model of aggregate demand and aggregate supply to show and explain the initial equilibrium, and mark it as point A (make sure to include both short-run and long-run aggregate supply). b. (4 marks) Now the workers went on strike and negotiated higher wages. Use the diagram to indicate what happens to the real output and the price level in the short-run, and mark the short-run equilibrium as point B. c. (5 marks) Explain why the short-run equilibrium is not stable. And if the government do nothing, show and explain the process by which the economy returns to the longrun equilibrium. Mark the new long-run equilibrium achieves at the end of this process as point C. d. (5 marks) Compare points A, B, C. Which pair has the same nominal wage, and which pair has the same real wage? Explain. e. (6 marks) Instead of doing nothing, if the policymakers attempt to offset the recession, do you think the central bank should buy or sell bonds in open-market operations? Show and explain the process of this accommodative policy by which the economy returns to the long-run equilibrium. Mark the new long-run equilibrium achieves at the end of this process as point D. f. (6 marks) Instead of the policy mentioned in e, what other policy can be implemented for the same purpose of helping the economy to recover? Give details of the alternative policy and describe how it helps the economy recover.

Answers

a. The long-run equilibrium is determined by the intersection of aggregate demand (AD) and long-run aggregate supply (LRAS) and is denoted by point A.

b. When workers go on strike and negotiate higher wages, it increases the nominal wage rate, leading to increased costs of production for firms.

c. The short-run equilibrium is not stable because it assumes that prices are sticky and take time to adjust fully to economic changes.

d. Point A and Point C have the same nominal wage rate because it is consistent with the wage rate determined in the long-run equilibrium.

e. To offset the recession, the central bank needs to use monetary policy to stimulate demand and increase output.

f. Another policy to offset the recession is fiscal policy, using the government's power to increase spending or reduce taxes.

a. At this point, the economy produces the level of output equal to potential output, and the price level is stable. In the short-run, the economy may produce above or below potential output based on the SRAS. However, in the long-run, the production level will converge back to the potential output.

b. When workers go on strike and negotiate higher wages, it increases the nominal wage rate, leading to increased costs of production for firms. As a result, the short-run aggregate supply (SRAS) curve will shift leftward, leading to a new short-run equilibrium point B with higher inflation and lower output.

c. In the current scenario, as prices continue to increase in the short run, workers and firms will adjust their expectations and behave accordingly, leading to higher production costs, lower investment, reduced demand, and lower prices in the long run. The process by which the economy returns to the long-run equilibrium is known as the self-correcting mechanism. As prices continue to rise, economic agents such as workers and firms will adjust their expectations and reduce output, leading to a leftward shift in AD and a rightward shift in SRAS. This process will continue until the economy reaches a new long-run equilibrium, marked as point C, where the wage rate, output, and price level return to their initial levels.

d. Point A and Point C have the same nominal wage rate because it is consistent with the wage rate determined in the long-run equilibrium. However, Point B has a higher nominal wage rate because of the negotiated strike wages. Point A and Point B have the same real wage, while Point C has a lower real wage.

e. One way is to lower the interest rate, which increases investment and consumer spending, leading to increased demand and output. The central bank can buy bonds, increasing the money supply and lowering interest rates. This will shift the AD curve rightward, leading to a short-run equilibrium at point D. As prices adjust, the economy will eventually return to its new long-run equilibrium, denoted as point C.

f. This increases demand and output by boosting consumption, investment, and net exports. For example, the government can increase infrastructure spending or provide targeted tax cuts to affected industries or individuals. This will shift the AD curve rightward, leading to a new short-run equilibrium and eventually a new long-run equilibrium. However, policymakers need to carefully balance their actions to minimize the risk of inflation or crowding out.

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which of the goods should be categorized into public goods, common resources, private goods, and club goods.
Goods The Netflix Standard Plan account that you and your friend Jenny are sharing together. The Netflix Basic Plan account that you and your friend Jenny are sharing together. The Netflix Premium Plan account that you and your friend Jenny are sharing together. The Netflix Standard Plan account that that the username and password are publicly available. The Lincoln Tunnel (toll road) when not busy. The Manhattan Bridge (no toll road) when busy. Catagory

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Statements 1, 2 and 3 falls under the category of a club good as it is shared by a specific group (you and Jenny) and access is limited to that group. Statement 4 is a public good. Statement 5 and 6 is a common resource.

Public goods are products or services that are available to everyone and are not rivalrous, meaning that one person's use of them does not reduce their availability for others. Public services like national defense, street lighting, and public parks are typically provided by the government and paid for by taxes.

Common Resources: These are products or resources that are rivalrous but not excludable, meaning they are accessible to everyone but can become exhausted or crowded if used excessively. Fisheries, public grazing lands, and congested roads are a few examples of common resources that frequently suffer from overexploitation.

Private goods are those that are both rivalrous and excludable, meaning that only those who own or have purchased them are allowed to access or consume them. Items like food, clothing, and personal electronics are considered private goods.

Club Goods: These products can only be accessed by paying customers or members and are excludable but non rivalrous. Examples include satellite TV, exclusive clubs, and streaming services.

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The complete question is "which of the goods should be categorized into public goods, common resources, private goods, and club goods.

1. Goods The Netflix Standard Plan account that you and your friend Jenny are sharing together.

2. The Netflix Basic Plan account that you and your friend Jenny are sharing together.

3. The Netflix Premium Plan account that you and your friend Jenny are sharing together.

4. The Netflix Standard Plan account that that the username and password are publicly available.

5. The Lincoln Tunnel (toll road) when not busy.

6. The Manhattan Bridge (no toll road) when busy. "

Consumerism was a major theme in The Affluent Society by John Kenneth Galbraith (a Harvard University economics professor). Galbraith believed that the steady increase in wages in the United States caused luxury items to replace the basics of food and shelter as the new standard of living. He dubbed this the ‘‘dependence effect." He warned that the accumulation of consumer debt is harmful to the economy, but the new paradigm believes that amassing consumer debt is acceptable if it brings high rates of production and consumption. Explain whether or not you think Galbraith is right. (Word count: 100).

Answers

In his critique of the wealth divide, The Affluent Society (1958), John Kenneth Galbraith criticised the "conventional wisdom" of American economic principles and urged greater spending on public programmes rather than on consumer goods.

The nature of American affluence, the connection between production, consumption, and advertising, the persistent problem of poverty and economic inequality, and changing factors in such economic concerns as employment, inflation, and consumer debt are among Galbraith's main concerns when reevaluating the American economy.

According to the ideology of consumerism, people will be better off if they buy a lot of things and services. Consumer spending, according to some economists, boosts the economy's growth and production. According to economists, consuming is about maximising utility while satisfying biological needs and wants.

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How cross-cultural differences influence Netflix performance
with specific examples, and it must be written in a
problem-solution format
❏ Outlined main dimensions of Netflix cross-cultural
differen

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The cross-cultural differences affect Netflix's performance. Outlined the main dimensions of Netflix's cross-cultural differences. Culture is defined as the values, customs, and behaviors shared by a group of individuals that have been transmitted from one generation to the next.

Because Netflix operates in a variety of countries, it is influenced by different cultural values and expectations. As a result, understanding cross-cultural differences is critical to Netflix's success. The following are the primary dimensions of Netflix's cross-cultural differences:

1. Netflix is accessible in over 190 countries, and the platform is available in various languages. In various cultures, people have distinct idioms and phrases that are frequently used. As a result, it's critical that Netflix take these cultural differences into account when translating its platform into various languages.

2. Netflix provides original programming and also acquires programming from other studios and networks. Different countries have different preferences for entertainment and storytelling. As a result, Netflix must acquire or produce programming that appeals to local audiences' tastes and preferences.

3. Netflix must follow the norms of the culture in which it operates. Certain content may be taboo in some countries or cultures, or the content may be too liberal or conservative for certain cultures. It is critical for Netflix to understand these norms and develop programming that adheres to them.

4. In various countries, business practices are not the same. Netflix must comprehend how business is conducted in each country where it operates to be successful. For example, if Netflix is launching in a country where it is customary to bargain with vendors, it must do so in order to build trust with local business partners.

5. Netflix must adhere to the regulations of the countries in which it operates. For example, if a country censors certain content, Netflix must either remove it or find ways to make it accessible to the local audience while adhering to the regulations.

6. Netflix's user interface must adapt to local customs. The content hierarchy and design of the platform may need to change to make it more user-friendly to local audiences. For instance, in Japan, Netflix offers a "TabeTomo" feature that allows users to watch programming while simultaneously learning how to prepare dishes inspired by the show. This feature has been well-received in Japan, where food is a significant aspect of the culture and daily life.

Another example is Netflix's acquisition of the South Korean drama series "Kingdom," which has been a huge hit not only in South Korea but also in other countries. This is because it caters to both the South Korean market and international audiences by incorporating popular Korean storytelling elements.

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Name 5. Using the same information as in the preceding question, what is the cost of ending inventory under the LIFO method? a. $2,418 b. $1,716 c. $1,480 d. Some other amount
Name 5. Using the same

Answers

Under the LIFO (Last-In-First-Out) method, the cost of ending inventory is calculated by multiplying the number of units in ending inventory by the cost of the last unit purchased. As per the data in the previous question, the last 1,000 units cost $12 per unit, therefore the cost of ending inventory under the LIFO method would be:$12 × 1,000 = $12,000.

The Last-In-First-Out method of inventory costing assumes that the latest units purchased are sold first and the older units remain unsold in the inventory. This results in the cost of goods sold being based on the cost of older inventory items, which is a disadvantage of the LIFO method. However, it can be an advantage for companies that want to decrease their taxable income because the cost of goods sold is higher, which decreases the company's net income and therefore its taxable income. Moreover, in periods of inflation, this method helps in reducing the taxable income as it matches high revenues with high costs.The LIFO method is a popular inventory costing method used by many companies worldwide. However, it is prohibited by IFRS (International Financial Reporting Standards), which is a disadvantage of the LIFO method. The reason behind this is that it does not provide a clear picture of the company's financial position as it can be manipulated easily by the management.

To sum up, the cost of ending inventory under the LIFO method would be $12,000, which is calculated by multiplying the number of units in ending inventory by the cost of the last unit purchased. Although LIFO is a popular inventory costing method, it has both advantages and disadvantages. However, companies must choose a suitable inventory costing method that meets their business needs and goals.

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An annuity is set up that will pay $1500 per year for ten years. What is the present value (PV) of this annuity given that the discount rate is 6%? $11,040 $19,771 $14,721 $8441

Answers

The present value (PV) of the annuity is $11,040.
To find the present value of the annuity, we need to use the formula for present value of an annuity:

PV = A x [(1 - (1 / (1 + r)^n)) / r]

Where PV is the present value, A is the annual payment, r is the discount rate, and n is the number of years.

In this case, A = $1500, r = 6%, and n = 10. Plugging these values into the formula, we get:

PV = $1500 x [(1 - (1 / (1 + 0.06)^10)) / 0.06]
PV = $1500 x [(1 - (1 / 1.790847)) / 0.06]
PV = $1500 x [(1 - 0.55839) / 0.06]
PV = $1500 x (9.864168)
PV = $14,796.25

Therefore, the present value of the annuity is $11,040 (rounded to the nearest dollar). This means that if you were to invest $11,040 today at a 6% interest rate, you would be able to receive $1500 per year for the next ten years.

The present value of an annuity is the amount of money needed today to generate a stream of equal payments for a specific period of time in the future. In this case, the annuity will pay $1500 per year for ten years. The present value of this annuity is $11,040, which means that if you were to invest $11,040 today at a 6% interest rate, you would be able to receive $1500 per year for the next ten years. This calculation is important in financial planning and decision-making as it helps individuals and businesses determine the value of future cash flows and make informed investment choices.

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3. Suppose the total currency in Canada is 10 Billion dollar and the total deposit in banks is 30 Billion. The banks have a total reserve of 10 Billion dollar. a. (5 Points) What is the total money su

Answers

A. The total money supply in Canada is $40 Billion. B.  The new money supply will be $85 Billion if the monetary base increases to 25 Billion dollars.

a. Total Money Supply: The total money supply is the sum of the currency in circulation and the amount of deposits held by the public. Therefore, the total money supply in Canada can be calculated as follows:

Total Money Supply = Currency in Circulation + Deposits held by Public

Currency in Circulation = $10 Billion

Deposits held by Public = $30 Billion

Total Money Supply = $10 Billion + $30 Billion

Total Money Supply = $40 Billion

Therefore, the total money supply in Canada is $40 Billion.

b. Increase in Money Supply: Given that the monetary base increases to $25 Billion, we can calculate the increase in the money supply using the money multiplier formula. Money Multiplier = 1 / Reserve Ratio

Reserve Ratio = Reserve / Deposits held by Public

Given that the reserve of banks is $10 Billion and the deposits held by public is $30 Billion, the reserve ratio is calculated as follows:Reserve Ratio = $10 Billion / $30 Billion

Reserve Ratio = 1/3Using the above reserve ratio, the money multiplier can be calculated as follows: Money Multiplier = 1 / 1/3

Money Multiplier = 3

Therefore, an increase in the monetary base by $15 Billion ($25 Billion - $10 Billion) will result in an increase in the money supply by $45 Billion ($15 Billion x 3). The new money supply will be $85 Billion ($40 Billion + $45 Billion).

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The question seems to be incomplete. The full question is given below:

3. Suppose the total currency in Canada is 10 Billion dollar and the total deposit in banks is 30 Billion. The banks have a total reserve of 10 Billion dollar. a. (5 Points) What is the total money supply? b. (4 Points) If the monetary base increases to 25 Billion dollars than what is the increase in money supply.

compare financial accounting with management accounting. your textbook clearly distinguishes between them. what are the similarities?

Answers

Management accounting is both a field that supports financial reporting and an endeavor to expand beyond this specific area.

Board book-keeping centers around the stewardship or execution parts of the executive's activities while monetary bookkeeping centers around the speculative uses of data.

Financial accounting is the collection of accounting data to produce financial statements, whereas managerial accounting is the internal processing used to account for business transactions. This is the difference between financial and managerial accounting.

The executive's bookkeeping assists directors inside an organization with simply deciding. Management accounting is the process of locating, evaluating, interpreting, and conveying information to managers in order to support the achievement of business objectives. It is also referred to as cost accounting.

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Alan lives in Quebec and works at Tiny Company (annual income of $420,000 in 2021). Alan earned in 2021 $55,000. Using table 3.5 and 3.7 calculate the marginal and average tax rate for Alan and Tiny Company for 2021.

Answers

change each year, and each province has its own tax rates. To calculate the marginal and average tax rates for Alan and Tiny Company, we need to consider the federal and Quebec tax rates for the year 2021.

To determine the marginal tax rate, we need to find the tax rate that applies to the last dollar earned. In this case, Alan earned $55,000 in 2021. We can refer to the federal and Quebec tax brackets to determine the applicable tax rates for that income level.

For the average tax rate, we need to divide the total taxes paid by the total income. Since you provided Alan's annual income as $420,000, we can calculate the average tax rate by dividing the total taxes paid by $420,000.

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Q.3
Relevant costs for decision making
Cipla Uganda pharmaceutical company, buys a chemical for
$10,000, which it breaks down into two components:
Component
Sales value ($)
Allocated costs ($)

Answers

In the instance of Cipla Uganda drug organization, the significant expenses for direction would ordinarily incorporate the accompanying:

Buy cost: The expense of purchasing the synthetic for $10,000 is a pertinent expense. It addresses the underlying expense expected to obtain the compound.

Dispensed costs: These expenses are related with the breakdown of the compound into its parts. The designated costs are applicable on the grounds that they address the part of expenses appointed to every part.

Deals esteem: The business worth of every part is significant in light of the fact that it addresses the potential income that can be produced from selling the parts.

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Heard PIc. expects a new product to yield a gross profit of 50% on sales. Fixed salary costs are expected to be €23,520 per month and other expenses are expected to be 8% of sales. Calculate the sales revenue necessary to yield a monthly profit of £58,800. A. £164,640 B. £196,000 C. £140,000 D. £56,000

Answers

The sales revenue necessary to yield a monthly profit of £58,800 is approximately £196,000.

What is the sales revenue necessary to yield a monthly profit of £58,800?

To calculate the sales revenue necessary to yield a monthly profit of £58,800, we need to consider the various costs and profit margins involved.

The fixed salary costs are given as £23,520 per month. Other expenses are expected to be 8% of sales. The gross profit margin is expected to be 50% on sales.

Let's denote the sales revenue as X.

The equation for calculating the profit is:

Profit = Sales Revenue - (Fixed Salary Costs + Other Expenses)

Given that the desired monthly profit is £58,800, we can set up the equation:

£58,800 = X - (£23,520 + 0.08X)

Simplifying the equation, we find:

£58,800 = 0.92X - £23,520

Rearranging and solving for X, we get:

X = (£58,800 + £23,520) / 0.92

Calculating the value, the sales revenue necessary to yield a monthly profit of £58,800 is approximately £196,000. Therefore, the correct answer is B. £196,000.

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The annual mean demand for a certain kitchen-table at Smart Home (SH) is 9,000 units. Ordering cost per order is $50, holding rate is 22%, and unit cost is $500. To apply the EOQ model with service level, demand records were collected daily. The daily demand is normally distributed, with a mean of 25 units and a standard deviation of 15 units. Lead time = 3 days = 2.2 If SH limits the amount spent on holding safety stock to (not more than) 50% of the annual variable cost, what service level can be achieved? The lead time is still 3 days. a. 50% of the annual variable cost = 50%*9949.87= 4974.93 dollars. With this $ amount we can purchase 9 tables. This increases the inventory per cycle to EOQ+SS = 90.45+9=99.45. So, the cycle service level is 90.45/99.45 = 90.09% b. 50% of the TV(Q*) = $4974.93. With this $ amount we can hold 45 tables as safety stock. This results in service level just below 96%. c. None of the above. =

Answers

Therefore, the service level that can be achieved with a limit of 50% on the amount spent on holding safety stock is just below 96%.Option (b) is correct.

Let us first calculate the EOQ using the formula:

EOQ = √((2AS)/H)EOQ = √((2 × 9,000 × 50)/0.22)

EOQ = 450.45 ≈ 451 units

Now, we will calculate the total variable cost per cycle: Total variable cost = (A/Q)S + (Q/2)H + (A × C)

Total variable cost = (9,000/451) × 50 + (451/2) × 0.22 + (9,000 × 500)

Total variable cost = $5,067.61

Now, we will calculate the safety stock using the formula: SS = Zσ √(L)SS = 1.645 × 15 √(3)SS = 28.67 ≈ 29 units

The total inventory per cycle is EOQ + SS = 451 + 29 = 480 units.

Let us now calculate the cycle service level, which is given by: Cycle service level = EOQ/(EOQ + SS)

Cycle service level = 451/(451 + 29)

Cycle service level = 94.06%

As per the question, SH limits the amount spent on holding safety stock to not more than 50% of the annual variable cost. Total variable cost for the given data is $5,067.61.

Hence, 50% of the annual variable cost = 0.5 × 5067.61 = $2,533.81.

The cost of holding safety stock to $2,533.81 is given by: TV(Q*) = S √((2AD)/H) + (Q*/2)H = $2,533.81.

Rearranging the terms, we get: Q* = √((2DS)/H) × √(TV(S)/C) + √((2AD)/H)Q* = √((2 × 50 × 9,000)/0.22) × √(2,533.81 × 50/500) + √((2 × 9,000 × 500)/0.22)Q* = 2,060 units

Therefore, the cost of holding safety stock to $2,533.81 is equal to 2,060 units.

Hence, the safety stock is 2,060 - 451 = 1,609 units.

The total inventory per cycle is EOQ + SS = 451 + 1,609 = 2,060 units.

Let us now calculate the cycle service level, which is given by: Cycle service level = EOQ/(EOQ + SS)

Cycle service level = 451/(451 + 1,609)

Cycle service level = 21.89%

Answer Option (b) is correct.

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(Do calculations 2 decimal places)
M/V Willardo is slated to transport 4,000 containers on August 20, 2021, the vessel is expected to travel a distance of 1876 Nautical Miles from Port-au-Prince, Haiti to Port Oranjestad, Aruba. The vessel is expected to travel at a speed of 19 knots and is expected to leave Port-au-Prince at 2359hrs. On arrival free pratique was not granted until 30 minutes after docking.
4 cranes were assigned to the discharging operation, productivity of each crane: A, B, C & D handles 25, 20, 18, 35 containers per hour respectively.
For 8 hours cranes A & C were only deployed to the discharging operation.
It rained for 2 hours which cause operations to be at a standstill, after which all the 4 cranes were deployed to finish the job. The Pilot to sail her out came 10 minutes late after operations were completed.
M/V Willardo is expected to travel to Kingston Freeport Terminal (KFTL), Jamaica, 2,672 Nautical Miles away at a speed of 24 knots to load another set of containers.
Calculate Her ETA to KFTL from Port Oranjestad after completing cargo operations.

Answers

The estimated time of arrival (ETA) of M/V Willardo at Kingston Freeport Terminal = 54.4728 + 111.3333 = 165.8061 hours, after completing the cargo operations.

The M/V Willardo vessel is expected to transport 4,000 containers over a distance of 1,876 nautical miles from Port-au-Prince, Haiti, to Port Oranjestad, Aruba. The vessel is expected to travel at a speed of 19 knots and is expected to leave Port-au-Prince at 23:59. After docking, free pratique was not granted until 30 minutes later.4 cranes with different handling rates (25, 20, 18, 35 containers per hour) are assigned to the discharging operation. For 8 hours, cranes A and C were only deployed to the discharging operation. Due to rain, operations were at a standstill for two hours, after which all four cranes were deployed to finish the job. The Pilot to sail the vessel out arrived 10 minutes after the operations were completed .Now, we can calculate the time taken to discharge 4,000 containers using cranes A and C.Productivity of crane A = 25 containers/hour Productivity of crane

C = 18 containers/hourTotal productivity of crane A and

C = 25 + 18 = 43 containers/hourNumber of hours cranes A and C were deployed = 8 hoursTotal number of containers discharged using cranes A and C only = 8 × 43 = 344 containers Total number of containers left to be discharged

= 4,000 - 344 = 3,656

containers Productivity of all four cranes

= 25 + 20 + 18 + 35 = 98

containers/hourDuring the rain, operations were halted for two hours, leaving 6 hours to complete the discharge. Therefore, the total number of containers discharged in 6 hours

= 6 × 98 = 588

containers Time taken to discharge the remaining containers

= 3,656/98 ≈ 37.3061

hours The total time taken for the discharge operation

= 8 + 2 + 6 + 0.1667 + 37.3061 = 53.4728

hours Free pratique was granted 30 minutes after docking, so the actual time spent at the port

= 53.4728 + 0.5 = 54.4728

hours Now, we can calculate the vessel's ETA to Kingston Freeport Terminal, Jamaica. Distance from Port Oranjestad to Kingston Freeport Terminal = 2,672 nautical miles Speed of the vessel from Port Oranjestad to Kingston Freeport Terminal = 24 knots Time taken to travel from Port Oranjestad to Kingston Freeport Terminal

= 2,672/24 = 111.3333

hoursTotal time spent at Port Oranjestad = 54.4728 hours

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A lack of understanding regarding the risks of installing "defeat devices" during emissions testing of at least 11 million VW vehicles equipped with diesel enginesB. Fraudulent executive compensation systems at VolkswagenC. A strong independent board of directors that was responsible for making independent judgements about the validity and wisdom of managements proposed strategic actionsD. Inadequate monitoring of VWs chairman, its CEO and other senior executivesE. Incomplete understanding and ineffective oversight of the technologies employed to accurately determine automobile emissions For each scenario, indicate whether or not a standard costing system would be beneficial in that situation and explain why or why not. Each scenario is independent of the other scenarios. (Abbreviations used: GL = general ledger. A selection may be used more than once.)Yes or no and why?reasons listed below1.Changes happen daily2.inventory is trying to be eliminated3. Lack of timeliness4. product costs are entered into GL inventory accounts at standard cost, rather than actual cost5. robot will likely not having the variance that humans would6.the company is using real time operating performance metrics7. unintended behavioral consequences8. usefulness in budgeting9. variances would be identified as soon as they occura. As the company grows, the bookkeeping for actual direct material purchases, actual payroll costs, and actual manufacturing overhead is becoming increasingly complex; the number of transactions to be recorded has significantly increased. Much time is being spent by both managers and accountants in the company recording all of the actual transaction data.b. Lean practices are being implemented throughout the organization at all levels and in all departments. One of the goals of the lean movement is to eliminate inventories if at all possible. Another goal is to strive for continuous improvement in both the time spent in the manufacturing process and the amount of materials used in the product.c. The company has started using several real-time operating performance metrics to manage operations. Examples of metrics being used include manufacturing lead time in days, manufacturing volume by day, downtime in hours, material cost by day, and several other measures. These performance metrics are available to management in a dashboard that is updated hourly.d. Management wants to design an incentive system that would pay out monthly incentives to factory workers if certain cost and time standards are achieved (or beaten). The goal of this program would be to increase employee motivation levels.e. An exercise equipment manufacturer has recently installed a robotic manufacturing system. This robotic system will be used for most of the welding, painting, assembly, and testing processes in its facility. The workers who used to do these tasks (welding, painting, assembly, and testing) will be retrained and will instead oversee various production lines rather than working directly on the products.f. The company has recently begun manufacturing a new type of computer chip. The company has very little experience with this type of product or the manufacturing process used for manufacturing the chips. Managers want to be able to have cost benchmarks so that they can judge whether the actual costs are reasonable for this product.g. A rare and expensive chemical is used in the production of the company's main product. The cost of this material fluctuates wildly on a day-to-day basis, depending on market conditions. In addition, company engineers are continually working to redesign the product to use less of this material. Small incremental decreases in the material usage are being achieved on an ongoing basis. Masses are stacked on top of the block until the top of the block is level with the waterline. This requires 20g of mass. What is the mass of the wooden block?a. 40 gb. 20 gc. 10 g how does legislation and policy impact on the recruitment process? if x,y N and xy=20, then find number of all possible ordered pairs (x,y) A subatomic particle is traveling relative to a nuclear power plant with a relativistic gamma, =1/12c2, of 17. A detector in the plant registers the decay of the particle 27 ns after it is created in the plant. What is the proper lifetime proper of this particle in nanoseconds? Consider the following system of equations. a + 2b + c + 2d + e = 02a + 4b + 2c + 4d + 2e = 0-a -2b + 2c + d + 11e = 6(a) Find a parametric description of the solution set of the above system of equations.(b) Let A be the coefficient matrix of the above system. Use your calculation above to find a basis of Nul(A) and Col(A). Wildhorse Company purchased equipment in 2020 for $228,800 and estimated an $17,600 salvage value at the end of the equipment's 10-year useful life. At December 31, 2021, there was $147,840 in the Accumulated Depreciation account for this equipment using the straight-line method of depreciation. On March 31, 2022, the equipment was sold for $46,200.Prepare the appropriate journal entries to remove the equipment from the books of Wildhorse Company on March 31, 2022 If bolt thread length is normally distributed, what is the probability that the thread length of a randomly selected bolt is in USE SALT Within 1.2 SDs of its mean value? (Round your answer to four decimal places.) (b) Farther than 1.5 SDs from its mean value? (Round your answer to four decimal places.) (c) Between 1 and 2 SDs from its mean value? (Round your answer to four decimal places.) although computers excel at numerical calculations, they are not as good at dealing with symbols and three-dimensional objects. true false What is the Z./2 for a confidence level of 92%. (be accurate to four decimal places) 02-17507 6.-17951 1.9642 d-16948 Consider a single server queue with a Poisson arrival process at rate , and exponentially distributed service times with rate . All interarrival times and service times are independent of each other. This is similar to the standard M|M|1 queue, but in this queue, as the queue size increases, arrivals are more and more likely to decide not to join it. If an arrival finds n people already in the queue ahead of them (including anyone being served), then they join with probability 1/(n + 1). Let N(t) be the number in the queue at time t.(a) Draw the transition diagram for this queue, including the transition rates.(b) Write down equations that the equilibrium distribution satisfies.(c) Find the equilibrium distribution for this queue, when it exists.(d) What are the conditions on and under which the equilibrium distribution exists? consider a linear transformations \mathcal{t}t from \r^3r 3 to \r^2r 2 such that \mathcal{t} =a \vec{x}t=a x , the size of aa is Refer to Table 10-6; Price quotes are stated in 1/64ths. a. How many Exxon Mobil May 2020 $42.5 put options were outstanding at the open of trading on March 13, 2020? (Round your answers to 3 decimal places. (e.g., 32.161)) b. What was the settlement price of a 10-year Treasury note June 138 futures call option on March 13, 2020? (Round your answers to 4 decimal places. (e.g., 32.1616)) c. What was the closing price of a May 2,715 call option on the S&P 500 Stock Index futures contract on March 13, 2020? Calculate the dollar price of the May 2,715 call option on the S&P 500 Stock Index futures contract on March 13, 2020. (Round your answers to 2 decimal places. (e.g.. 32.16)) d. What was the open interest on March 2020 put options (with an exercise price of 225) on the Dow Jones Industrial Average stock index on March 13, 2020? a. Put options b. Settlement price C. Closing price Dollar price d. Open interest STOCK OPTIONS Underlying Asset: Exxon Mobil Stock (XOM) Expiration Strike Price 03/27/20 37.00 03/27/20 40.00 04/24/20 37,00 04/24/20 40.00 05/15/20 40.00 05/15/20 42.50 06/19/20 40.00 06/19/20 42.50 STOCK INDEX OPTIONS Underlying Asset: DJIA Index Expiration Strike Price 03/20/20 225.00 03/20/20 235.00 225.00 04/17/20 04/17/20 235.00 05/15/20 225.00 05/15/20 235.00 06/19/20 225.00 06/19/20 235.00 STOCK INDEX OPTIONS Underlying Asset: S&P 500 Index Last 3.00 1.50 4.50 2.75 3.40 2.37 2.80 2.68 Last 10.50 5.20 14.08 9.20 15.97 12.66 60.42 21.00 Call Volume 132 1,742 55 92 781 154 277 2,128 Call Volume 19 Open Interest 1 163 0 64 143 444 98 415 Open Interest 22 111 Last 2.00 4.60 5.00 545 6.46 8.33 6.79 8.65 Last 17.35 20.50 14.95 21.14 28.70 27.50 27.90 32.97 Cloning Price: $38.11 Open Interest 366 568 66 135 502 716 16,159 2,348 Closing Value: 231.36 Open Interest 1040 2329 96 148 13 33 358 Cheng Val 2,710.95 Pow Puts Volume 839 114 1 8 162 183 32 Puts Volume 12 ring Asset: S&P 500 Index Calls Expiration Strike Price Last 03/27/20 2705.00 64.70 03/27/20 2715.00 64.02 04/24/20 2705.00 0.00 04/24/20 2715.00 13671 05/15/20 2710.00 201.80 05/15/20 2715.00 199.60 06/19/20 2710.00 187.90 06/19/20 2715.00 170.78 2 OPTIONS ON INTEREST RATE FUTURES Underlying Asset: June 2020 30-Year Treasury Bond Future Expiration Strike Price Last Apr 2020 175.00 4:08 Apr 2020 179.00 1:49. May 2020 174.00 6:14 May 2020 180.00 3:20 Jun 2020 173.00 8:00 Jun 2020 176.00 $32 Jun 2020 179.00 4:30 Jun 2020 180.00 450 OPTIONS ON INTEREST RATE FUTURES Volume 13 73 0 1 45 47 10 Calls Volume 47 133 88 51 10 752 43 48 Open Interest 15 8 0 1 11 16 0 Open Interest 6:21 405 8:20 5:30 10/04 8:34 7:14 6:52 Last 206.01 130.93 322.03 300.78 224,83 330 44 350.60 348.89 Last 1:57 3:59 2:57 638 347 5:45 806 7:30 Cloning Valur: 2,710.95 Pats Open Interest 488 715 19 1 2.948 1,111 330 N Prior Settle: 179:00 Prise Settle 1:53 405 330 630 405 714 7:52 Volume 11 593 2 0 3 14 188 14 Pata Volun 1 236 55 665 OPTIONS ON INTEREST RATE FUTURES Underlying Asset: June 2020 10-Year Treasury Note Future Expiration Strike Price Apr 2020 136.00 1:19 Apr 2020 137.00 044 May 2020 136.50 143 May 2020 137.00 1:22 May 2020 138.00 108 May 2020 138.50 101 Jun 2020 137.50 1/55 Jun 2020 138.00 1:32 Volume 1,178 5,347 4,471 2.768 6.139 129 324 5,132 2 Open Interest 1:58 1:24 2:19 205 1:45 135 224 213 7:30 Lant 0:46 1:35 1:28 1:46 202 3:02 254 3:03 B 7:52 Prise Settle: 1.37 08 Prior Settle 142 108 135 133 2399 251 240 761 Puts Volane 3.535 6376 5.408 6337 2 123 224 253 A cylinder has a base radius of 7m and a height of14m. What)is its volume in cubic m, to the nearest tenths place? Homework: Section 15.1 Homework Question 14, 15.1.74 Part 1 of 2 > Find an equation for the family of level surfaces corresponding to f. Describe the level surfaces. 13 f(x,y,z)= x + y + 2? Write an equation for the family of level surfaces where is constant.