(a) Using a 3-year moving average, the forecasted registrations (in thousands) for years 4 through 12 are:
Year 4: (3.0 + 6.0 + 40) / 3 = 16.7
Year 5: (6.0 + 40 + 5) / 3 = 17.0
Year 6: (40 + 5 + 6) / 3 = 17.0
Year 7: (5 + 6 + 7) / 3 = 6.0
Year 8: (6 + 7 + 40) / 3 = 17.7
Year 9: (7 + 40 + 10.0) / 3 = 19.0
Year 10: (40 + 10.0 + 9.0) / 3 = 19.3
Year 11: (10.0 + 9.0 + 7.0) / 3 = 8.7
Year 12: (9.0 + 7.0 + 40) / 3 = 18.7
(b) Using a 3-year weighted moving average, where the registrations in the most recent year are given a weight of 2 and registrations in the other 2 years are each given a weight of 1, the forecasted registrations (in thousands) for years 4 through 12 are:
Year 4: ((3.0 * 1) + (6.0 * 1) + (40 * 2)) / 4 = 18.5
Year 5: ((6.0 * 1) + (40 * 2) + (5 * 1)) / 4 = 21.5
Year 6: ((40 * 2) + (5 * 1) + (6 * 1)) / 4 = 27.0
Year 7: ((5 * 1) + (6 * 1) + (7 * 2)) / 4 = 11.0
Year 8: ((6 * 1) + (7 * 2) + (40 * 1)) / 4 = 20.0
Year 9: ((7 * 1) + (40 * 1) + (10.0 * 2)) / 4 = 22.0
Year 10: ((40 * 1) + (10.0 * 2) + (9.0 * 1)) / 4 = 23.0
Year 11: ((10.0 * 1) + (9.0 * 1) + (7.0 * 2)) / 4 = 12.0
Year 12: ((9.0 * 1) + (7.0 * 2) + (40 * 1)) / 4 = 20.0
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Suppose a perfectly competitive paper firm can produce 10 tons of paper at an output level where marginal revenue is equal to marginal cost. The price per ton of paper is $100 and the average total cost is $75. How much is the maximized profit? Answer: The maximized profit = $_
The maximized profit of the perfectly competitive paper firm is $250.
Here's the solution: Given information: Price per ton of paper = $100Marginal cost = marginal revenue Output level at which marginal revenue is equal to marginal cost = 10 tons Average total cost = $75Profit = Revenue - Cost Revenue = Price x Quantity Marginal cost is equal to the average total cost at an output level where profit is maximized.
Hence, MC = ATC MC = $75 for 10 tons of output. P = $100 for 10 tons of output. Revenue = P x Q = $100 x 10 = $1000Total cost = ATC x Q = $75 x 10 = $750Profit = Revenue - Cost = $1000 - $750 = $250Therefore, the maximized profit of the perfectly competitive paper firm is $250.
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What aspect of the U.S. monetary system that is no longer in
place limited the expansion of the money supply early in the Great
Depression? Explain your answer
During the early years of the Great Depression, one aspect of the U.S. monetary system that limited the expansion of the money supply was the gold standard. The gold standard was a monetary system where the value of a country's currency was directly linked to a fixed amount of gold. Under the gold standard, the government was required to convert paper currency into gold at a fixed exchange rate.
This limited the expansion of the money supply because it tied the amount of money in circulation to the availability of gold reserves. As the economy faced a severe downturn during the Great Depression, there was a significant increase in the demand for cash and liquidity. However, the gold standard prevented the government from freely expanding the money supply to meet this increased demand.
As people lost confidence in the banking system and began withdrawing their deposits, banks faced a liquidity crisis. The limited availability of gold reserves constrained the ability of banks to meet the demand for cash and provide the necessary credit to stimulate economic activity.
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Two grades of direct labour workers are employed to produce units of Product 1234. There are 40 Grade 1 employees and 20 Grade 2 employees. All employees work a basic week of 40 hours. Grade 1 employees are paid R10 per hour and Grade 2 employees are paid R15 per hour. If employees work any overtime, they are paid at time-and-one-third (a premium of one third over the basic rate). There are also five 'support workers', such as maintenance engineers, who are paid R12 per hour for a basic 40-hour week. During Week 23, the Grade 1 employees and support workers each worked 40 hours, and the Grade 2 employees worked 46 hours. Due to difficulties with some equipment, 250 hours of Grade 1 labour and 100 hours of Grade 2 labour were recorded as idle time in the week. During Week 23, 4,000 units of Product 1234 were manufactured. Required: a) Calculate the direct labour costs and the indirect labour costs in Week 23. b) Calculate the direct labour cost per unit of Product 1234 in Week 23.
The expenses for the wages, salaries, and benefits of workers who are directly involved in the creation or delivery of goods and services are referred to as direct labour costs.
These workers frequently assist in the production process directly or work on the assembly line. For instance, in a manufacturing business, direct labour costs would comprise the salaries of the employees who run the equipment or put the items together.
On the other hand, indirect labour costs are the costs associated with workers who support a company's overall operations but are not directly involved in the manufacturing process.
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Thomas is a team leader at 'ANZ'. He oversees the loan department of NSW. Team effectiveness is crucial for his team to meet KPI’s, and one of the strategies he promotes is team cohesion. Why is team cohesion supported by Thomas? (5 marks). Identify, and discuss the positive consequences of team cohesion at the loan department?
Thomas supports team cohesion because it has several benefits for the loan department at 'ANZ'. Here are the positive consequences of team cohesion:
Improved Communication: Team cohesion fosters open and effective communication among team members. When team members feel connected and comfortable with each other, they are more likely to share ideas, information, and feedback. This enhances collaboration and ensures that everyone is on the same page regarding loan processes, client requirements, and department goals.
Increased Trust and Support: Cohesive teams develop trust and a sense of mutual support. Team members rely on each other and feel confident in their abilities, which promotes a positive work environment. Trust facilitates the sharing of responsibilities and workload, as team members feel comfortable delegating tasks and seeking assistance when needed. This helps to prevent bottlenecks and ensures smooth operations within the loan department.
Enhanced Problem-solving: Cohesive teams tend to have better problem-solving capabilities. When team members have a strong bond and trust each other, they can openly discuss challenges and brainstorm solutions. Different perspectives and expertise can be leveraged to find innovative approaches to complex loan scenarios or client needs. This leads to more effective decision-making and problem-solving within the department.
Increased Job Satisfaction and Motivation: Team cohesion contributes to higher job satisfaction and motivation among team members. When individuals feel a sense of belonging and camaraderie within the team, they are more likely to enjoy their work and feel motivated to perform at their best. This positive work environment reduces stress levels and turnover rates, promoting overall job satisfaction within the loan department.
Higher Productivity and Performance: Team cohesion positively impacts productivity and overall performance. A cohesive team operates efficiently, with streamlined workflows and effective collaboration. When team members are aligned, trust each other, and communicate effectively, they can work together towards common goals and achieve higher levels of productivity. This ultimately leads to improved performance in meeting KPIs and delivering high-quality loan services.
In summary, team cohesion is supported by Thomas because it brings forth improved communication, increased trust and support, enhanced problem-solving, higher job satisfaction and motivation, and higher productivity and performance within the loan department at 'ANZ'. These positive consequences contribute to the overall success of the team and the achievement of organizational goals.
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Julia, a salesperson of cosmetic products, is trying to make an appointment with a prospective client. She has already spoken to a person from the prospect's firm, who, after listening to her, has given her some important information and connected her to Ali, who has details about the common problems faced at the client's end. According to Neil Rackham, Ali is most likely
a. the focus of receptivity b. a screen c. the focus of power d. a barrier e. the focus of dissatisfaction.
According to Neil Rackham, Ali is likely the focus of power in the prospect's company because they connect salespeople and have control over decisions and achieving objectives.
According to Neil Rackham, Ali is most likely the focus of power. Here's why:Neil Rackham, in his book SPIN Selling, identifies three distinct roles that people within a prospect's company can assume. The first of these is that of the focus of receptivity, the second is that of the focus of power, and the third is that of a screen. These roles are critical because different types of information are shared by people in each position.The person who connects a salesperson with someone else in a company, such as Ali in this case, is usually the focus of power. People who hold this position have control over the decisions that are taken, and they are the ones who are accountable for achieving the company's objectives. Their job entails assessing what they want, formulating strategies, and putting them into action.
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Question 2 4 pts • A client uses a service organization to process its payroll. Which of the following statements is correct regarding the auditor's use of the service auditor's report on internal controls placed in operation? 1. The client's auditor can use the service auditor's report without inquiring about the service auditor's reputation. 2. The client's auditor can use the service auditor's report as audit evidence for the client's internal controls. 3. The service auditor's report should be referred to in the report of the client's auditor. 4. The client's auditor can use the service auditor's report to jointly determine the materiality level. 1 3 04
The correct statement regarding the auditor's use of the service auditor's report on internal controls placed in operation for a client using a service organization to process its payroll is that "The service auditor's report should be referred to in the report of the client's auditor.
Service auditor's reports are service auditor's reports on internal controls placed in operation, which provides evidence that supports a user entity's financial statements that include information processed by a service organization, where such controls are likely to be relevant to the user entity's internal control over financial reporting (ICFR). It is obtained by the user auditor. It includes a detailed description of the service auditor's internal control examination and the results of the examination, including any material weaknesses and/or significant deficiencies found during the examination. To guarantee that the controls at a service company are sufficient to guarantee accurate and consistent financial reporting, a user firm must evaluate the service company's internal control system. The user auditor may obtain evidence concerning the functioning of the service organization's internal control system from the service auditor. A user auditor is not obligated to obtain a service auditor's report to be able to provide an audit opinion on the user's financial statements.
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Which of the following is an action that a person in favor of pure capitalism supports?
Group of answer choices
A woman just lost her job and finds herself without income for her family for one year; a private, local charity donates $20,000 to her family in order to pay for essential expenses that year.
The government provides subsidies to struggling farmers in order to keep them from failing and in order to maintain a sufficient food supply for the population.
A business invests in stocks and bonds. It uses non-public insider information (against the law) in order to increase its profits. The government convicts the business. However, in order to preserve employment and the health of the business, the government decides to not punish the business.
After a large, important business declares bankruptcy, the government provides bailout funds to this business to prevent this business from failing.
The Federal Reserve prints $75 billion each month this year in order to stimulate the economy and lower the unemployment rate
Purity capitalism is a system that is based on the economic and social structure where individuals and companies have the right to operate and own the means of production and distribution.
A person in favor of pure capitalism would support the action of a business investing in stocks and bonds. However, using non-public insider information to increase profits is against the law and a pure capitalist would not support it. Purity capitalism is a system that is based on the economic and social structure where individuals and companies have the right to operate and own the means of production and distribution. In such a system, the government's role is limited, and free markets are encouraged. The government does not control prices, and buyers and sellers are free to negotiate prices based on supply and demand. Pure capitalism is different from mixed economies where the government plays an active role in regulating the economy and its various functions. In the given options, the action that a person in favor of pure capitalism would support is a business investing in stocks and bonds. However, it is essential to note that using non-public insider information is against the law. Thus, a pure capitalist would not support such an action.
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When consumers receive more disposable income, their spending:
a. increases.
b. decreases.
c. stays the same, but their savings decreases.
d. and their savings both decrease.
When consumers receive more disposable income, their spending generally increases. This means that option (a) is correct. With higher disposable income, consumers have more money available to spend on goods and services, which leads to an increase in overall consumption.
When consumers have more disposable income, it means they have additional funds available after deducting taxes and necessary expenses. This surplus income can be used for discretionary spending on various goods and services, such as leisure activities, dining out, travel, or purchasing luxury items. Increased disposable income provides consumers with the financial capacity to fulfill their desires and aspirations, resulting in higher spending levels.
While some consumers may choose to save a portion of their extra income, the overall trend is that higher disposable income leads to increased spending. However, it is worth noting that the exact impact on spending may vary among individuals based on their preferences, financial goals, and economic conditions.
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A decrease in households' (marginal) desire to save will result in: an increase in output. a reduction in output. a reduction in investment. a reduction in government spending. no change in investment and no change in output.
Decreased consumer spending will cause the economy to contract and result in reduced output. The correct option is B)reduction in output.
According to the given question, A decrease in households' (marginal) desire to save will result in a/an _an increase in output._Decrease in households' marginal desire to save will lead to an increase in consumption spending and lead to an increase in aggregate demand, output, and economic growth.
The marginal propensity to save (MPS) reflects the percentage of additional income that households save instead of spend. It ranges from 0 to 1 and is always positive. Therefore, if households' marginal propensity to save decreases, their marginal propensity to spend (MPC) will increase. Increased consumer spending will stimulate the economy and result in increased output.Conversely, if households' marginal propensity to save rises, their marginal propensity to spend will decline.
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The other day, a progressive policy analyst came on CNN and during the very same interview discussing the U.S. labor market claimed that the minimum wage has a negligible effect on unemployment of the unskilled and also that higher rates of immigration of unskilled laborers has a negligible effect on the wage rate of native born unskilled workers. Do you agree? Are these claims even consistent? How could you validate these claims empirically?
The progressive policy analyst claims that the minimum wage has a negligible effect on unemployment of the unskilled and that higher rates of immigration of unskilled laborers have a negligible effect on the wage rate of native-born unskilled workers.
Empirical validation is the process of confirming or disproving a hypothesis or statement through evidence gathered from experiments or observations. Empirical validation is crucial since it ensures that policy decisions are based on evidence. One way to validate these claims is to compare the unemployment rates and wages of unskilled workers in states with different minimum wage policies. If the minimum wage has a negligible effect on unemployment, we would expect to see little difference in unemployment rates between states with different minimum wage policies.
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Istari Investigations is a corporation. Its stated purpose is to use magic as a supplement to traditional detective work in order to help private citizens with their personal problems. Additionally, Istari has powers to enter into contracts and buy or rent property in order to support its corporate purpose. One day, the Istari Board is contacted by Silmaril, Co., a mining company that also makes jewelry, about possibly merging the two corporations. The Istari Board votes in favor of the merger. This is an example of what? O Respondeat superior An ultra vires act O Good thinking O A corporation by estoppel
The example of a corporation merging with another company is known as an- B. ultra vires act.
What is an ultra vires act?An ultra vires act occurs when a company exceeds its legal authority or powers. If an act is ultra vires, it is unlawful and cannot be enforced. An ultra vires act, however, will often be valid if it falls under the company's implied powers. This term is typically used in company law to describe an act that is beyond a company's object or scope of business.
What is the meaning of Istari Investigations?Istari Investigations is a corporation that uses magic as a supplement to traditional detective work in order to help private citizens with their personal problems. Istari has the ability to enter into contracts and purchase or rent property in order to support its corporate purpose.
The Istari Board voted in favor of the merger, which is considered as an ultra vires act because the merger falls beyond Istari's stated purpose or scope of business.
Hence, option b. is correct.
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Rap is exclusively an American Art form ? true or false?
False. Rap is not exclusively an American art form.
While rap music originated in the United States and gained popularity in African American communities during the 1970s, it has since spread and influenced music scenes worldwide. Rap has become a global phenomenon and is practiced and appreciated by artists and fans from various countries and cultures.
Rap music has transcended borders and has been embraced by artists from different parts of the world, who bring their unique styles and cultural influences to the genre. In countries like the United Kingdom, France, Canada, Brazil, and South Africa, among others, rap has developed vibrant local scenes with artists rapping in their native languages and addressing local social and cultural issues.
Furthermore, the influence of rap can be seen in the incorporation of rap elements and techniques in various musical genres across the globe. Artists from different countries often incorporate rap verses or use rap-inspired rhythms and flows in their songs, demonstrating the widespread impact and adaptability of the art form.
Therefore, rap music is not limited to being exclusively American; it has become a global art form with diverse expressions and contributions from artists worldwide.
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Question 2:
What constraints need to be considered during analysis,
evaluation and preparation of copy?
When it comes to analyzing, evaluating, and preparing copy, several constraints must be considered. These constraints include: Time constraints are the first constraint to consider when analyzing, evaluating, and preparing copy.
As a result, an evaluation must be conducted to determine whether the expenses associated with the production of the copy are justified or not. Audience constraints are another constraint that must be considered. The intended audience must be considered in order to tailor the copy's language, style, and design to their preferences and interests.
The copy must also be clear and concise, with no technical jargon that may confuse the reader, so that it can be understood easily by the target audience. Finally, Legal and ethical constraints are another constraint that must be considered when analyzing, evaluating, and preparing copy. Copy must be written in compliance with relevant laws and ethical standards. Plagiarism, for example, must be avoided, and copyright laws must be adhered to when copying images or other people's work.
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Theories about the normative development of children of color are necessary because of the way racism and prejudice may inhibit development and require alternate or more robust support systems. True False Question 8 In the García Coll model, segregation includes all of the following types (select all that apply): residential economic social psychological
True, theories about the normative development of children of color are necessary because racism and prejudice can have a significant impact on their development and well-being.
These theories help in understanding the unique challenges and experiences faced by children of color and guide the development of appropriate support systems.
Regarding Question 8, the García Coll model includes the following types of segregation:
Residential segregation: Refers to the separation of individuals from different racial or ethnic backgrounds into different residential areas or neighborhoods.
Economic segregation: Refers to the unequal distribution of wealth and resources among different racial or ethnic groups, leading to disparities in opportunities and outcomes.
Social segregation: Refers to the separation of individuals from different racial or ethnic backgrounds in social settings, such as schools, workplaces, or social groups.
Psychological segregation: Refers to the internalized beliefs, attitudes, and stereotypes that can lead to self-segregation or feelings of exclusion among individuals from different racial or ethnic backgrounds.
Therefore, all four types of segregation are included in the García Coll model.
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"
Case 3.2 McCann v. Wal-Mart Stores, Inc., 210 F.3d
51 (1st Cir. Me. Apr. 14, 2000)
Questions:
1. What specific acts by Wal-Mart employees would be
considered confinement?
2. Do you think that it was appropriate for Wal-Mart to detain the McCanns for a suspected prior shoplifting incident, even if they thought the boy was the thief? Explain your answer.
3. Was it appropriate for employees to lie to the McCanns about contacting the police, thus giving the family the impression that Wal-Mart had a legal right to do so? Explain your answer.
4. Did the refusal to allow the boy to go to the restroom increase, decrease, or have no effect on how the McCanns viewed their ability to leave the confinement? Explain your answer.
"
1. Wal-Mart employees' specific acts that would be considered confinement were that they intentionally and without justification restrained the McCanns. The McCanns were not free to leave, and the store was not willing to give them a reasonable opportunity to leave.
It included the blocking of the McCanns' vehicle and threatening the father with arrest when he attempted to leave with his children.
2. It was inappropriate for Wal-Mart to detain the McCanns for a suspected prior shoplifting incident, even if they thought the boy was the thief. The store has no legal authority to do so. The store is responsible for providing a safe environment for its customers, but it cannot take the law into its hands. The store's conduct in this case is against the law, and it must be held accountable for it.
3. It was not appropriate for employees to lie to the McCanns about contacting the police. The store does not have the right to detain the McCanns and, therefore, cannot make them believe that they are lawfully detained. By lying to the McCanns, the store not only acted against the law but also violated the McCanns' trust in the store.
4. The refusal to allow the boy to go to the restroom had an impact on how the McCanns viewed their ability to leave the confinement. The boy's need to go to the restroom was urgent, and the refusal to allow him to go to the restroom only added to the family's frustration and confusion. The McCanns believed that they were being detained and that they could not leave the store, and the refusal to allow the boy to go to the restroom only increased their anxiety.
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The completed financial statement columns of the spreadsheet for Sheridan Company are shown as follows: Sheridan Company Worksheet For the Year Ended December 31, 2022 Income Statement Balance Sheet Account No. Dr. Cr. Dr. Cr. 101 8,700 112 11,000 130 2,600 157 24,300 158 Account Titles Cash Accounts Receivable Prepaid Insurance Equipment Accumulated Depreciation-Equip. 4,500 201 212 301 306 400 622 711 722 726 732 Accounts Payable Salaries and Wages Payable Owner's Capital Owner's Drawings Service Revenue Maintenance and Repairs Expense Depreciation Expense Insurance Expense Salaries and Wages Expense Utilities Expense Totals 1,800 3,000 1,800 29,700 1,400 37.700 59,700 59,700 11,100 9,100 2,500 19.600 57,700 35,700 Net Income 22,000 59,700 59,700 57,700 22,000 57,700 Prepare an owner's equity statement. (List items that increase owner's equity first.) SHERIDAN COMPANY Owner's Equity Statement For the Year Ended December 31, 2022 V: Prepare a classified balance sheet. (List Current Assets in order of liquidity.) SHERIDAN COMPANY Balance Sheet Assets is Liabilities and Owner's Equity SA Current Assets Current Liabilities Expenses Intangible Assets Long-term Investments Long-term Liabilities Net Income /(Loss) Property. Plant and Equipment Owner's Equity Revenues Total Assets Total Current Assets Total Current Liabilities Total Expenses Total Intangible Assets Total Liabilities Total Liabilities and Owner's Equity Total Long-term Investments Total Long-term Liabilities t Current Assets in order of liquidity.) SHERIDAN COMPANY Balance Sheet Assets - / 10 III ... Prepare the closing entries. L. Sheridan did not make any additional investments during the year. (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter o for the amounts.) Date Account Titles and Explanation Debit Credit Dec. 31 (To close revenue account) Dec. 31 Dec. 31 (To close expense accounts) (To close net income / (loss)) Dec. 31 (To close drawings) Enter the balances from the adjusted trial balance and post the closing entries and calculate the balances of the accounts.(Post entries in the order of journal entries presented in the previous part.) Owner's Capital No. 301 12/31 Bal 12/31 1/1 Bal Total Owner's Drawings Income Summary No. 306 No. 350 Service Revenue Maintenance and Repairs Expense Depreciation Expense No. 400 No. 622 No. 711 Insurance Expense Salaries and Wages Expense Utilities Expense No. 722 No. 726 No. 732 Prepare a post-closing trial balance. SHERIDAN COMPANY Post-Closing Trial Balance Debit 10 Credit Totals
To prepare the owner's equity statement for Sheridan Company, we need to list the items that increase owner's equity first. Looking at the provided information, we can identify the following items:
Net Income: Net income represents the profit earned by the company during the year. It is calculated by subtracting total expenses from total revenues. Net income increases owner's equity because it reflects the amount of profit that belongs to the owner.
Additional Investments: If the owner made any additional investments in the company during the year, they would also increase owner's equity. However, based on the given information, it is stated that L. Sheridan did not make any additional investments during the year, so this item does not apply.
Considering these factors, the correct option for the items that increase owner's equity is: C) Net Income.
Net income directly contributes to owner's equity as it represents the company's profitability. It reflects the amount of earnings that belong to the owner after all expenses have been deducted from the revenues. Therefore, the net income figure should be included in the owner's equity statement for Sheridan Company.
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26. Passive fund managers attempt
to:
a. outperform the market.
b. time the market.
c. replicate the performance of the
index.
d. produce returns with less risk than
the index
replicate the performance of the index.
Since they cancel each other out, it is not required to reproduce the idiosyncratic (firm-specific) return components of an index. Instead, a replicating portfolio ought to reflect the risks that are common to all of the assets in the benchmark index.
Passive fund managers aim to replicate the performance of a specific market index, such as the S&P 500 or the FTSE 100, rather than trying to outperform or time the market. They achieve this by constructing their portfolios to closely mirror the composition and weightings of the underlying index. The objective is to match the returns of the index as closely as possible, rather than actively selecting and trading securities to beat the market.
Passive investing strategies, such as index funds or exchange-traded funds (ETFs), have gained popularity due to their lower costs, simplicity, and the belief that it is difficult for active fund managers to consistently outperform the market over the long term.
While passive fund managers do not aim to produce returns with less risk than the index (option d), their goal is to provide investors with returns that closely track the index's performance. By replicating the index, they offer investors exposure to the broad market and its returns, without attempting to outperform or time market movements.
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A mechanical engineer who is planning for his daughter's college education plans to start depositing money now (year 0) and continue through year 17. If he deposits RM 5,000 each year, (i) Determine how much will his daughter be able to withdraw each year starting in year 18 and continuing through year 22? Assume the account earns interest at 10% per year. (ii) Draw the cash flow diagram for the problem in Q2 (b) (i)
Given that, a mechanical engineer is planning for his daughter's college education plans to start depositing money now (year 0) and continue through year 17.
If he deposits RM 5,000 each year. The account earns interest at 10% per year. The questions are(i) Determine how much will his daughter be able to withdraw each year starting in year 18 and continuing through year 22?
Given,Annual payment = A = RM5000
Interest rate = i = 10% = 0.1
Total number of years = N = 17
Number of years for withdrawal = n = 5
Total amount deposited = RM 5000 x 17 = RM 85,000
Using the formula to find the Future value of Annuity,FV of annuity = (A*((1+i)^n-1)/i)*(1+i) = (5000*(((1+0.1)^5-1)/0.1))*(1+0.1) = RM 31,216.10
The daughter will be able to withdraw RM 31,216.
10 each year starting in year 18 and continuing through year 22.(ii) Draw the cash flow diagram for the problem in Q2 (b) (i)The cash flow diagram for the problem is shown below:
Answer: The daughter will be able to withdraw RM 31,216.10 each year starting in year 18 and continuing through year 22.
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Samsung Corporation produces a single product. The standard costs for one unit of its product are as follows: Direct materials (6 pounds at $0.50 per pound) $3 Direct labor (2 hours at $10 per hour) Variable manufacturing overhead (2 hours at $5 per hour) 10 During November, 8,000 units were produced. The costs associated with November operations were as follows: Material purchased (36,000 pounds at $0.60 per pound) $21,600 Material used in production (28,000 pounds) Direct labor (18,400 hours at $9.75 per hour) 179,400 Variable manufacturing overhead incurred 110,400 What is the variable overhead spending variance for the product for November? O $30,400 Unfavorable O$ 18,400 Favorable O$ 18,400 Unfavorable O$ 30,400 Favorable 20
The variable overhead spending variance for the product for November is $30,400 unfavorable. To calculate the variable overhead spending variance, we need to compare the actual variable overhead costs incurred with the standard variable overhead costs based on the production volume.
Given data:
Actual variable manufacturing overhead incurred: $110,400
Calculation:
Standard variable overhead per unit = Variable manufacturing overhead (2 hours at $5 per hour) = $10
Standard variable overhead for 8,000 units = Standard variable overhead per unit * Number of units produced = $10 * 8,000 = $80,000
Variable overhead spending variance = Actual variable overhead incurred - Standard variable overhead for the units produced
= $110,400 - $80,000
= $30,400
The variable overhead spending variance for the product for November is $30,400 unfavorable.
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The activities summarized in the following table must be preformed by the promoter of a country music concert in Dallas.
Activity Expected Time (in days) Immediate Predecessors
A. Find location 4 -
B. Hire opening act 3 A
C. Hire technicians 3 A
D. Set up radio ads 2 B
E. Distribute tickets 5 B
F. Rent sound and lights 2 B,C
G. Set up newspaper ads 3 B
H. Hire security 1 F
I. Conduct rehearsal 2 Н
What is the critical path for this project?
o A-> B>E
o A->C->E-> F->H->I
o A-> C->F->H-> I
o B>G
o A-> B -> F->H->I
The critical path for this project is A->B->F->H->I.
What is the critical path for this project?The critical path for the project is: A->B->F->H->I. This means that these activities must be completed in sequence without any delays in order to ensure the timely completion of the project.
The critical path represents the longest path of activities that determine the project's overall duration.
In this case, finding the location (A) is followed by hiring the opening act (B), which is then followed by renting sound and lights (F), hiring security (H), and conducting rehearsals (I). Any delay in completing activities along the critical path will directly impact the project's timeline.
It is crucial for the promoter of the country music concert in Dallas to pay close attention to these activities to ensure a successful and timely event.
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Wildhorse Co. issued $1,320,000, 12-year bonds. It agreed to make annual deposits of $106,000 to a fund (called a sinking fund), which will be used to pay off the principal amount of the bond at the end of 12 years. The deposits are made at the end of each year into an account paying 9% annual interest. Click here to view the factor table. (For calculation purposes, use 5 decimal places as displayed in the factor table provided.) What amount will be in the sinking fund at the end of 12 years? (Round answer to 2 decimal places, e.g. 25.75.) Amount in the sinking fund LA
The amount in the sinking fund at the end of 12 years will be $1,825,156.23.
To calculate the amount that will be in the sinking fund at the end of 12 years, we need to determine the future value of the annual deposits made into the fund.
Given:
Principal amount of bonds = $1,320,000
Annual deposit into the sinking fund = $106,000
Interest rate = 9%
Number of years = 12
We can use the future value of an annuity formula to calculate the amount in the sinking fund:
FV = P * ((1 + r)^n - 1) / r
Where:
FV = Future value of the annuity
P = Annual deposit into the sinking fund
r = Interest rate per period
n = Number of periods
Substituting the given values into the formula, we have:
FV = $106,000 * ((1 + 0.09)^12 - 1) / 0.09
Using a financial calculator or a spreadsheet, we can calculate the future value of the annuity to be approximately $1,825,156.23.
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Consider the market for skis. Skis are made of a combination of some or all of the following materials: fiberglass, wood, plastic, steel, aluminum or ceramics. Once the skis are made, bindings must be fixed to the skis. Then customers must buy a proper pair of boots. What would happen to the equilibrium price and equilibrium quantity in the market for skis if the following events were to happen (one at a time)? Explain your reasoning. a. The price of skis is expected to rise. b. The price of fiberglass falls. c. Income rises. d. The price of ski boots rises and wages in the ski industry rise. e. The price of kayaks, also made of a combination of some or all of the following materials: fiberglass, wood, or plastic, rises.
Various factors such as price expectations, input prices, income levels, and the presence of substitutes can impact the equilibrium price and quantity in the market for skis.
a. If the price of skis is expected to rise, it would likely lead to an increase in the equilibrium price and a decrease in the equilibrium quantity in the market for skis. As customers anticipate the price increase, they may choose to purchase skis in advance, leading to higher demand and upward pressure on prices. This would result in a new equilibrium with a higher price and potentially a lower quantity of skis traded.
b. If the price of fiberglass falls, it would lower the production cost of skis since fiberglass is one of the materials used in their production. This decrease in production costs would lead to an increase in the supply of skis. With a higher supply, the equilibrium price of skis would decrease, and the equilibrium quantity would increase as more skis can be produced and sold at a lower cost.
c. If income rises, it would generally lead to an increase in the demand for skis. As consumers have more disposable income, they are more likely to purchase skis as a leisure or recreational activity. This increase in demand would shift the demand curve to the right, resulting in a higher equilibrium price and quantity in the market for skis.
d. If the price of ski boots rises and wages in the ski industry rise, it would increase the production costs for skis. With higher costs, ski manufacturers would be inclined to increase the price of skis to maintain their profitability. This increase in price would lead to a higher equilibrium price and potentially a lower equilibrium quantity of skis traded as the cost of production and related inputs increase.
e. If the price of kayaks, which are substitutes for skis in terms of recreational activities, rises, it could potentially lead to an increase in the demand for skis. Consumers may switch from kayaks to skis as the relative price of kayaks becomes higher. This would result in an increase in the demand for skis, leading to a higher equilibrium price and quantity in the market for skis.
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Which of the following is TRUE regarding ESTIMATION OF PROJECT
CASH
FLOWS?
Question content area bottom
Part 1
A.
Increases in net working capital increase a project's cash
flows.
B.
Whenever a
Answer:Increases in net working capital increase a project's cash flows
Explanation:
The correct statement regarding the estimation of project cash flows is that Increases in net working capital increase a project's cash flows.
How does net working capital affect project cash flow?
The total amount of a company's current assets is its net working capital. Among other things, the current assets include cash, receivables, and inventory. On the other hand, current liabilities are deducted from current assets, including accounts payable, accumulated obligations, and taxes due the next year. The net working capital change resulting from a project is its working capital.The following are some instances of how working capital affects project cash flow:Net working capital increase: The net growth in working capital reduces the cash flow.
For instance, an increase in accounts receivable from project sales or an increase in inventory required for the project may result in a net rise in working capital.Net working capital decline A net reduction in working capital will result in an improvement in cash flow. A decrease in inventory or an increase in accounts payable could both lead to a net decrease in working capital.
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Consider the valuation of a share of common stock that paid a Php 2 dividend at the end of last year and is expected to pay a cash dividend every year from now to infinity. Each year, the dividends are expected to grow at a rate of 10%. Based on an assessment of the riskiness of the common stock, the investor’s required rate of return is 15%. What is the value of this common stock?
If Jollibee Foods, Inc.’s net income is P200 million, its common equity is P833 million, and the management plans to retain 70% of the firm’s earnings to finance new investments, what would be the growth rate?
The growth rate of Jollibee Foods, Inc. is 16.8%.
To calculate the price of the share of common stock, we can use the Gordon growth model, which is as follows:
Current Price of Stock = Dividend in the current period / (Discount rate - Expected growth rate)
Given:
Dividend at the end of last year = Php 2
Growth rate of dividend (g) = 10%
Required rate of return (k) = 15%
Calculations:Price of Stock = 2 / (15%-10%) = 2/0.05 = Php 40
Hence, the value of this common stock is Php 40.
To calculate the growth rate, we can use the retention growth model, which is as follows:
Growth rate = Retained Earnings / Common Equity
Given: Net Income (NI) = P200 million
Common Equity (CE) = P833 million
Retention ratio (RR) = 70%
Calculations: Retained Earnings (RE) = NI x RR= P200 million x 0.70= P140 million
Growth rate = P140 million / P833 million= 0.168 or 16.8%
Therefore, the growth rate of Jollibee Foods, Inc. is 16.8%.
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Chef Schmitty owns a professional catering business that contracts to provide fine food and beverage services of social events or business gatherings. Schmitty and Ginger agree that Schmitty will cater Ginger's wedding for $40 per plote. On the day of the wedding. Schmitty determines that he needs more money and Informe Ginger that the price is now $45 per plate Ginger-who is desperate and wants to provide an elegant and upscale experience for her guests-agrees is the $45 per plate contract modification enforceable? Yes, since Ginger could have counteroffered but declined to do so O No, since promissory estoppel automatically prohibits the modification 0 Yes, since Ginger agreed to the new $45-per-plate price No, since the modification is based on an illusory promise No, since Schmitty had a preexisting duty to cater the wedding for S40 per plate
The correct option is C) Yes, since Ginger agreed to the new $45-per-plate price the $45-per-plate contract modification is enforceable since Ginger agreed to the new price.
Chef Schmitty owns a professional catering business that contracts to provide fine food and beverage services of social events or business gatherings. Schmitty and Ginger agree that Schmitty will cater Ginger's wedding for $40 per plate. On the day of the wedding, Schmitty determines that he needs more money and informs Ginger that the price is now $45 per plate.
Ginger-who is desperate and wants to provide an elegant and upscale experience for her guests-agrees. since Ginger agreed to the new $45-per-plate price.Explanation:Yes, the $45-per-plate contract modification is enforceable since Ginger agreed to the new price. When two parties agree to contract, they become bound by the contract's terms and conditions.However, the contract modification requires the assent of both parties.
Schmitty cannot unilaterally modify the contract's terms, but Ginger can accept or reject the new offer. Ginger accepted the new offer, which made the modification enforceable.In conclusion, Ginger agreed to the new price of $45 per plate, which means that the $45 per plate contract modification is enforceable.
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All organisations you choose to use to discuss your answers must be real organisations IN AUSTRALIA.
Scenario:
You have woken this morning feeling very unwell. You have already had your two doses of the COVID-19 vaccination but you have not had a flu injection at this time. You drag yourself out of bed and take your temperature. It's a bit high. You spent the weekend with some friends and saw a movie on Saturday night. You text your friends, but none of them say they are feeling sick. You start feeling worse than you were when you first woke up about an hour ago. You are sitting at home trying to decide what you should do.
Question A: Create an infographic to show your use of the consumer decision-making process showing the key detail of the steps you are using to solve your health challenge.
Question B: Write a complete explanation of your consumer decision-making process using in-depth research. You are required to use in-text citations and a reference list.
Question A: Infographic: In this scenario, the individual evaluates whether the decision to see a physician was the best one based on the results of the doctor's visit.
Explanation: As a consumer, the decision-making process involved six steps to solve the health challenge. These six stages of the consumer decision-making process are explained below:
1. Problem recognition: The first stage is recognizing that there is a problem. In this scenario, the problem is that the person is feeling unwell.
2. Information search: After recognizing the issue, the person looks for information about the issue. In this scenario, the person searches the internet for symptoms of illnesses and possible treatments.
3. Evaluation of alternatives: Once the individual has gathered information, they begin to evaluate their alternatives. In this scenario, the person decides between going to the hospital, seeing a physician, or waiting for a few more hours to see if the symptoms will disappear.
4. Purchase decision: The next step is making a purchase decision, which involves selecting a particular alternative. In this scenario, the person decides to see a physician.
5. Purchase: After making the purchase decision, the next step is actually buying the product or service. In this scenario, the person schedules a doctor's appointment.
6. Post-purchase evaluation: After making the purchase, the person evaluates the decision.
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Kiegan O'Sullivan's mother, Maeve, died in 2021. Kiegan was named the designated beneficiary of Maeve's Roth IRA. The rules for distributions from an inherited Roth IRA allow for Kiegan to take withdrawals over:
The period Kiegan chooses, but subject to the 10% early distribution penalty if he is under age 59½.
Ten years after the year of Maeve's death.
Maeve's remaining life expectancy.
Kiegan's expected life span.
The option that best answers the question is the first option: The period Kiegan chooses, but subject to the 10% early distribution penalty if he is under age 59½.
Kiegan O'Sullivan's mother, Maeve, died in 2021. Kiegan was named the designated beneficiary of Maeve's Roth IRA. The rules for distributions from an inherited Roth IRA allow for Kiegan to take withdrawals over the period Kiegan chooses, but subject to the 10% early distribution penalty if he is under age 59½. The rules for distributions from an inherited Roth IRA allow the designated beneficiary to withdraw money from the account over the period they choose, but they are subject to the 10% early distribution penalty if they are under age 59½. This means that Kiegan O'Sullivan can take withdrawals from Maeve's Roth IRA at any time over any duration he chooses, but if he is under 59½ years old, he will be subjected to a 10% early distribution penalty.
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Sunsuria Corporation is one of the investment companies in Malaysia. The main business of the company is to invest in numerous projects and earn a return from their investments. Currently, Sunsuria Corporation is considering investing in some of the renewable energy projects proposed by several project owners. After the initial screening process, now the company has to decide which one of the three proposed projects as listed in TABLE 4 should be invested in. TABLE 4 is the details of the estimated cash layout and cash inflows for these three projects. The cost of capital for the company is 10%. Using the information provided in TABLE 4 to solve the following questions. TABLE 4 Year Project ABC Project LMN Project XYZ (RM) (RM) (RM) Initial Investment (580,000.00) (650,000.00) (590,000.00) 1 180,000.00 300,000.00 100,000.00 180,000.00 250,000.00 120,000.00 180,000.00 200,000.00 250,000.00 180,000.00 150,000.00 350,000.00 180,000.00 100,000.00 150,000.00 (1) Calculate the paybacks periods for all projects in TABLE 4 (ii) Calculate the Net Present Value (NPV) for all projects in TABLE 4. 2345
To calculate the payback period for each project in TABLE 4, we need to determine the time it takes for the cumulative cash inflows to equal or exceed the initial investment.
Project ABC:
Year 1: $180,000
Year 2: $180,000 + $250,000 = $430,000
Year 3: $430,000 + $200,000 = $630,000
Year 4: $630,000 + $180,000 = $810,000
The payback period for Project ABC is between Year 3 and Year 4. To calculate the exact payback period, we need to determine the proportion of the final year's cash flow required to reach the initial investment:
Payback period = Year 3 + [(Initial investment - Cumulative cash flow at the end of Year 3) / Cash flow in Year 4]
Year 3 cumulative cash flow = $630,000
Cash flow required to reach the initial investment = $580,000 - $630,000 = -$50,000 (negative value means it hasn't reached the initial investment yet)
Cash flow in Year 4 = $180,000
Payback period for Project ABC = 3 + (-$50,000 / $180,000) = 3.28 years
Project LMN:
Year 1: $250,000
Year 2: $250,000 + $200,000 = $450,000
Year 3: $450,000 + $150,000 = $600,000
Year 4: $600,000 + $100,000 = $700,000
The payback period for Project LMN is between Year 3 and Year 4. Using the same formula as above:
Year 3 cumulative cash flow = $600,000
Cash flow required to reach the initial investment = $650,000 - $600,000 = $50,000
Cash flow in Year 4 = $150,000
Payback period for Project LMN = 3 + ($50,000 / $150,000) = 3.33 years
Project XYZ:
Year 1: $120,000
Year 2: $120,000 + $180,000 = $300,000
Year 3: $300,000 + $350,000 = $650,000
Year 4: $650,000 + $100,000 = $750,000
The payback period for Project XYZ is between Year 3 and Year 4
Year 3 cumulative cash flow = $650,000
Cash flow required to reach the initial investment = $590,000 - $650,000 = -$60,000
Cash flow in Year 4 = $100,000
Payback period for Project XYZ = 3 + (-$60,000 / $100,000) = 3.4 years
(ii) To calculate the Net Present Value (NPV) for each project in TABLE 4, we need to discount the cash flows at the company's cost of capital (10%) and subtract the initial investment.
Project ABC:
NPV = -$580,000 + ($180,000 / (1+0.1)^1) + ($250,000 / (1+0.1)^2) + ($200,000 / (1+0.1)^3) + ($150,000 / (1+0.1)^4) + ($350,000 / (1+0.1)^5) + ($100,000 / (1+0.1)^6)
Project LMN:
NPV = -$650,000 + ($250,000 / (1+0.1)^1) + ($200,000 / (1+0.1)^2) + ($150,000 / (1+0.1)^3) + ($100,000 / (1+0.1)^4)
Project XYZ:
NPV = -$590,000 + ($120,000 / (1+0.1)^1) + ($180,000 / (1+0.1)^2) + ($350,000 / (1+0.1)^3) + ($100,000 / (1+0.1)^4) + ($150,000 / (1+0.1)^5)
You can calculate the NPV for each project using the respective formulas.
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Manufacturing Operations is often referred to as the "Technical Core" of any business or organization. In your opinion, describe how and why manufacturing operations would be qualified as the "Technical Core".
Think about how manufacturing operations plays a 2-way role in the exchange of information (or deliverables) between Marketing/Sales, Human Resources, Suppliers, Finance/Accounting. Choose any one (1) of these functional areas mentioned above and describe 1 or 2 things that manufacturing operations would be consulted on, or leveraged by these functional areas in terms of helping the business or organization to be successful.
Aim for 50 to 75 words in your response.
Answer Should be unique and in word limit will be appreciated.
Manufacturing operations can be qualified as the "Technical Core" of a business or organization due to its central role in converting raw materials into finished products.
It involves the use of specialized equipment, processes, and technical knowledge to ensure efficient production. This core function interacts with other departments, such as Marketing/Sales, Human Resources, Suppliers, and Finance/Accounting, in a two-way exchange of information and deliverables.
For example, in the context of Marketing/Sales, manufacturing operations would be consulted on production capacity and lead times. This information is crucial for determining product availability, setting realistic delivery timelines, and managing customer expectations.
Additionally, manufacturing operations may provide insights on product design and feasibility, helping marketing teams understand the limitations and possibilities of production processes, which can influence product development strategies and pricing decisions. Overall, manufacturing operations play a vital role in enabling successful marketing and sales efforts by ensuring realistic production capabilities and informing product-related decisions.
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1. Suppose you are planning for your retirement in 40 years’ time. You currently have $3,000 invested in a money market account and $5,000 in a share market fund. The money market account is estimated to earn an annual return of 5.5% whereas the share market fund is expected to earn an annual return of 12.5%. You plan to add $100 per month at the end of each month for the next 40 years to the money market account and $200 per month to the share market fund.
When you retire, you plan to withdraw an equal amount for each of the next 30 years at the end of each month and have nothing left at the end (of 30 years after retirement). Additionally, when you retire you will transfer all amount from these two funds into a saving account that earns 3.25% annual rate of interest per year.
i. Assuming the rates will remain as forecasted, how much can you withdraw each month when (and after) you retire? Show all steps, workings, and formula(s) clearly.
ii. Briefly explain the calculation steps and formulae used. Interpret and comment on your final answer. Does the final answer seem too large? Why or why not? You could use a simple example to illustrate your point. [Note: The discussion must be in your own words. Word limit: 100 words, excluding figures; answers beyond word limit will not be marked.]
i. You can withdraw money amount $4,829.10 per month at the end of each month when (and after) you retire.
ii. The formulae used are: FV of an annuity: FV = PMT [(1 + r)n – 1] / r + PV (1 + r)n ; PV of an annuity: PV = PMT [(1 – (1 + r)-n) / r].
i. Calculation of total future value of Money Market Account (MMA)Future value of a sum of money invested today and receiving periodic payments at fixed interval for a specified number of years at a specified rate of interest is given by the formulae:
FV = PMT [(1 + r)n – 1] / r+ PV (1 + r)n
Where,FV is the future value,PMT is the payment made at the end of each period,r is the interest rate,n is the number of periods, andPV is the present value of the investment.
Therefore, FV of $3000 invested in a money market account with an annual interest rate of 5.5% and monthly contribution of $100 for 40 years: r = 5.5%/12, n = 40 * 12, PMT = 100, and PV = 3000$
FV = 3000[(1 + 0.00458)^(40*12) - 1]/0.00458 + 100[(1 + 0.00458)^(40*12) - 1]/0.00458 = $199,206.17
Calculation of total future value of Share Market Fund (SMF)
Therefore, FV of $5000 invested in a share market fund with an annual interest rate of 12.5% and monthly contribution of $200 for 40 years: r = 12.5%/12, n = 40 * 12, PMT = 200, and PV = 5000
$FV = 5000[(1 + 0.01042)^(40*12) - 1]/0.01042 + 200[(1 + 0.01042)^(40*12) - 1]/0.01042 = $1,038,325.79
Total Future value of savings: $199,206.17 + $1,038,325.79 = $1,237,531.96
Calculation of Monthly Payment: Thus, we can calculate the required monthly payment assuming constant payments for 30 years and a future value of $1,237,531.96 after the 30th year.
The formulae to calculate monthly payment is:
PV = PMT [(1 - (1 + r)-n) / r] Where, PV is the present value of the investment, PMT is the payment made at the end of each period, r is the interest rate per period, and n is the total number of periods.
Therefore, PMT = PV * r / [1 - (1 + r)-n] We have, PV = $1,237,531.96, r = 3.25%/12 and n = 30 * 12=360 months
Therefore, PMT = 1,237,531.96*0.00270833/[1 - (1 + 0.00270833)^(-360)] = $4,829.10
ii. The calculation involves calculating the future value of the investment in Money Market Account (MMA) and Share Market Fund (SMF) by using the future value of an annuity formulae.
The future values are then summed up to find the total future value. Finally, the required monthly payment that can be withdrawn for a constant payment for 30 years with a future value of total savings is calculated by using the present value of an annuity formulae.
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