Discuss as many advantages as you can of a "worldwide product divisional structure" over an "international division structure" in a comparative manner.

Answers

Answer 1

Advantages of "worldwide product divisional structure" includes: innovation and flexibility, decision-making, strategic focus, skill set and investment. Advantages of "international division structure includes: centralized structure, cost-efficient, cultural backgrounds.

A "worldwide product divisional structure" offers several benefits over an "international division structure." These benefits are as follows:

Advantages of a "worldwide product divisional structure":

Innovation and Flexibility: A worldwide product divisional structure enables greater innovation and flexibility. Each division focuses solely on its product line, allowing them to develop and produce new products more quickly and easily. Each division can react more quickly and efficiently to changes in the marketplace because of this increased autonomy.Decision-making Capability: Worldwide product divisional structures also make it easier to make decisions that affect a single product line because the divisions are fully responsible for their respective products. If there is an issue, it can be addressed by the division without affecting the company as a whole.Strategic Focus: When you divide a company into product lines, each division can concentrate on its strategic priorities. In a worldwide product divisional structure, each division has its own strategy, allowing the company to be more agile in the face of market shifts and emerging trends.Skill Set: Each division can assemble a team of specialists who are experts in their field when a company is divided into product lines. This approach enables the company to have a deeper understanding of its product lines and serve its consumers better.Investment: The advantages of a worldwide product divisional structure extend beyond innovation and strategic focus. The company can also invest more capital in each product line because it has its own budget. This strategy allows the company to invest in new technologies, materials, and personnel, which ultimately benefits the entire company.

Advantages of an "international division structure":

Centralized Structure: In an international division structure, all decisions are made centrally. While this can be inefficient in some instances, it can be beneficial when it comes to creating consistent messaging and branding across all global markets.Cost-Efficient: A centralized structure can also help cut costs by eliminating duplication. Rather than having each division developing its own marketing materials and promotional campaigns, one division can create them all and distribute them to the rest of the company.Different Cultural Backgrounds: Another benefit of an international division structure is that it allows for a better understanding of the various cultural backgrounds and norms of each market. This is critical for creating effective marketing strategies and messaging for each region.

However, an international division structure has some drawbacks. Because all decisions are made centrally, it can be challenging to make quick adjustments to changing market trends. The decision-making process can be slow, resulting in lost opportunities. Additionally, since each market is treated the same, the company may overlook significant cultural nuances that could make a big difference in how a product is received in a particular region.

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Related Questions

ABS plc makes a widget with the following information for the month just ended: The actual materials price was £4.50 per kg. 5,500 widgets were produced The materials price variance was £2,270 unfavourable. The standard quantity of material usage per widget was 3 kgs The actual quantity of material used was 16,000 kgs (a) Calculate the standard material price for a Widget (b) Calculate the material usage variance (c) Explain one possible cause of both the material price and usage variances at ABS plc. [3] [2] [2]

Answers

(a) Calculation of Standard Material Price for a Widget:

The standard material price for a widget can be calculated by dividing the material price variance by the actual quantity of material used.

Material Price Variance = Actual Quantity * (Actual Price - Standard Price)

£2,270 = 16,000 * (£4.50 - Standard Price)

Solving for Standard Price:

Standard Price = £4.50 - (£2,270 / 16,000)

Standard Price = £4.50 - £0.14219

Standard Price ≈ £4.36

Therefore, the standard material price for a widget is approximately £4.36.

(b) Calculation of Material Usage Variance:

The material usage variance can be calculated by multiplying the standard quantity of material usage per widget by the difference between the actual quantity used and the standard quantity.

Material Usage Variance = Standard Quantity * (Actual Quantity - Standard Quantity)

Material Usage Variance = 3 * (16,000 - (5,500 * 3))

Material Usage Variance = 3 * (16,000 - 16,500)

Material Usage Variance = 3 * (-500)

Material Usage Variance = -£1,500

Therefore, the material usage variance is -£1,500 (unfavorable).

(c) Possible Cause of Material Price and Usage Variances:

One possible cause of both the material price and usage variances at ABS plc could be changes in market prices and purchasing practices. If the actual materials price (£4.50 per kg) is higher than the standard price (£4.36 per kg), it indicates that the company is paying more for materials than anticipated.

This could be due to factors such as inflation, changes in supplier prices, or renegotiated contracts. Additionally, if the actual quantity of material used (16,000 kgs) is higher than the standard quantity (5,500 widgets * 3 kgs = 16,500 kgs), it suggests that there may be issues with material waste, inefficient production processes, or errors in measuring and controlling material usage.

In summary, both the material price and usage variances can be caused by factors such as changes in market prices, purchasing practices, material waste, and production inefficiencies. Identifying the root causes of these variances is important for implementing corrective measures and improving cost management within the organization.

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A shareholder has a personal service business corporation. What rate of federal tax may be expected on net income?
a. The high rate of tax less the general rate reduction
b. The base rate of 35%
c. The high rate of tax plus a 5% additional tax
d. 9% small business tax rate

Answers

The correct answer is a. The high rate of tax less the general rate reduction.

Personal service business corporations are subject to a special set of rules under the Canadian Income Tax Act. These rules restrict the ability of these corporations to benefit from certain small business deductions and other tax benefits that are available to other corporations. As a result, personal service business corporations are generally subject to a higher federal tax rate.

Currently, the federal tax rate for personal service business income is 44.5%, which consists of the high rate of tax (38%) plus an additional 6.5% tax known as the federal general rate reduction. So, the correct answer is a) the high rate of tax less the general rate reduction, which is equal to 38% - 6.5% = 31.5%.

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Please use the following link in order to view the tables:
https://www.chegg.com/homework-help/questions-and-answers/q100658796?utm_source=Adobe&utm_medium=email&utm_campaign=cheggQuestionAnswered&utm_source=Braze&utm_medium=email&utm_campaign=MC_CS_Trn_YourQuestionAnswered_EML_0-P1&utm_content=MC_CS_Trn_YourQuestionAnswered_EML_0-P1 her savings at 10% until she depletes her funds. (Click the icon to view Present Value of $1 table.) (Click the icon to view Present Value of Ordinary Annuity of $1 table.) (Click the icon to view Future Value of $1 table.) (Click the icon to view Future Value of Ordinary Annuity of $1 table.) Read the requirements. Requirement 1. How much money does Gretchen need now to fund her travels? (Round your answer to the nearest whole dollar.) With the 10% interest rate, Gretchen needs nearest whole dollar.) With a 4\% interest rate, Gretchen would need If Gretchen's savings are earning a lower interest rate (4%), she will need to save to be able to withdraw $30,000 per year.

Answers

To calculate how much money Gretchen needs to fund her travels, we would require additional information such as the duration of her travels or the number of years she plans to withdraw $30,000 per year. With the 10% interest rate, we cannot determine the exact amount without more details.

Similarly, without the timeframe or number of years, we cannot calculate the amount she would need with a 4% interest rate. If Gretchen's savings are earning a lower interest rate of 4% and she wants to withdraw $30,000 per year, she would need to save an amount that can generate $30,000 in annual interest at the 4% rate.

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To calculate how much money Gretchen needs to fund her travels, we would require additional information such as the duration of her travels or the number of years she plans to withdraw $30,000 per year. With the 10% interest rate, we cannot determine the exact amount without more details.

Similarly, without the timeframe or number of years, we cannot calculate the amount she would need with a 4% interest rate. If Gretchen's savings are earning a lower interest rate of 4% and she wants to withdraw $30,000 per year, she would need to save an amount that can generate $30,000 in annual interest at the 4% rate.

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Suppose an initial investment grows from 330SR to 600 SR over five years. First find the nominal rate compounded monthly.

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The nominal rate compounded monthly, given an initial investment of 330 SR growing to 600 SR over five years, is approximately 8.68%.

This calculation is based on the compound interest formula and the time value of money concept.

To find the nominal rate compounded monthly, we can use the compound interest formula:

A = P(1 + r/n)^(nt)

Where:

A = Final amount

P = Initial investment

r = Nominal interest rate

n = Number of compounding periods per year

t = Number of years

Given:

P = 330 SR

A = 600 SR

n = 12 (monthly compounding)

t = 5 years

We can rearrange the formula to solve for the nominal interest rate (r):

r = (A/P)^(1/(n*t)) - 1

Substituting the given values into the formula:

r = (600/330)^(1/(12*5)) - 1

Calculating this expression, we find that the nominal rate compounded monthly is approximately 8.68%.

Therefore, the nominal rate compounded monthly for the given scenario is approximately 8.68%.

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The vlookup formula has ___________ arguments
. a. 2
b. 6
c. 3
d. 4

Answers

The VLOOKUP formula has three arguments. These are the parameters that you pass into a function that determines the output returned by the function. The correct answer is option c.

VLOOKUP is a function in Excel that lets you search for specific information in your spreadsheet. The VLOOKUP formula looks for a value in the leftmost column of a table and returns a value in the same row from a specified column in that table. The VLOOKUP function takes three arguments or parameters in Excel:Lookup_value:

The value you want to search for in the first column of the table you are searching.

Table_array: The table of information you are searching for. This should include the lookup_value and the value you want to return.

Col_index_num: The column number in the table_array that contains the value you want to return. This is a number representing the column number where the data is in the table_array.

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Assignment #2 Take 10 minutes to think about your best classroom based learning experience and list the things that made it such a good experience. When the 10 minutes are up use an additional 10 minutes to think of your worst classroom based learning experience and list the factors that made such a bad experience. Provide a real life example to support your answer.

Answers

the best classroom-based learning experiences are characterized by passionate and engaging teachers, interactive and collaborative activities, and a clear and organized structure.

Best Classroom-Based Learning Experience:

Factors that made it a good experience:

1. Engaging and passionate teacher: The presence of a teacher who was enthusiastic about the subject matter and demonstrated a genuine passion for teaching made the learning experience enjoyable. Their energy and dedication motivated students to actively participate and learn.

2. Interactive and collaborative activities: The inclusion of interactive and collaborative activities fostered student engagement and facilitated a deeper understanding of the subject. These activities encouraged students to work together, exchange ideas, and actively apply the knowledge they were acquiring.

3. Clear and organized structure: The classroom had a clear and well-structured curriculum, with organized lesson plans and learning objectives. This provided students with a sense of direction and allowed them to track their progress. The teacher communicated expectations and provided a roadmap, which helped students stay focused and motivated.

Real-life example:

One of my best classroom-based learning experiences was during a biology course in high school. Our teacher was passionate about the subject and made it come alive by incorporating hands-on experiments, field trips, and multimedia presentations. We often worked in small groups to conduct experiments or solve problems, which encouraged collaboration and critical thinking. The teacher had a well-organized syllabus and used visual aids and diagrams to explain complex concepts. This combination of engaging teaching methods, interactive activities, and a clear structure made the learning experience highly enjoyable and effective.

Worst Classroom-Based Learning Experience:

Factors that made it a bad experience:

1. Ineffective teaching methods: The use of monotonous lectures and outdated teaching techniques made the learning experience dull and unengaging. The teacher relied heavily on one-way communication, providing little opportunity for student interaction or active participation.

2. Lack of support and guidance: The teacher did not provide sufficient support or guidance to students, leaving them feeling lost and confused. Questions were often met with dismissive or unclear responses, hindering students' ability to grasp the subject matter effectively.

3. Inadequate resources and materials: The classroom lacked the necessary resources and materials to support learning. Outdated textbooks, limited access to technology, and a scarcity of supplementary materials made it difficult for students to explore the subject further or gain a comprehensive understanding.

Real-life example:

One of my worst classroom-based learning experiences was during a math class in middle school. The teacher primarily relied on lectures, reading from the textbook, and assigning repetitive worksheets. The teaching style lacked enthusiasm and failed to make the subject interesting or relatable. Additionally, the teacher rarely provided explanations or guidance for problem-solving, which left many students struggling to comprehend the concepts. The classroom had limited access to calculators or interactive tools, further hindering our ability to explore and practice math skills effectively.

the best classroom-based learning experiences are characterized by passionate and engaging teachers, interactive and collaborative activities, and a clear and organized structure. These factors promote student engagement, motivation, and a deeper understanding of the subject matter. Conversely, ineffective teaching methods, lack of support and guidance, and inadequate resources contribute to a negative learning experience. By identifying and addressing these factors, educators can create more positive and effective learning environments for students.

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The subjective approach to determining a required rate of return for a stock includes

I. the rate of return on a long-term bond.
II. a risk premium for the perceived business risk of the asset.
III. a risk premium for assuming the risk of the market.
IV. the desired rate of return of the individual investor.

answers choice

O I and III only
O II and IV only
O I, II and IV only
O I, II and III only

Answers

The subjective approach to determining a required rate of return for a stock includes:

II. a risk premium for the perceived business risk of the asset.

IV. the desired rate of return of the individual investor.

Therefore, the correct answer is:

O II and IV only.

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Scenario: You are the project manager for a company that is starting its new venture in an Online Food Delivery Application. The director of the business development is the project owner, and you are the project manager. The plan is to validate the concept and develop a zero/low code application by outsourcing to a freelancer and creating an MVP.
Develop a 2-page executive format memo describing how communications will be managed on your course project. Explain the flow of data, information, and reports. Include a high-level flow or "bubble" diagram to illustrate your description.

Answers

The communication channels and frequency outlined in this memo will ensure that all stakeholders are up-to-date on the project’s progress, status, and objectives. We are committed to working with all stakeholders to ensure that the project is a success.

As the project manager for an online food delivery application, it is crucial to establish efficient communication channels with all project stakeholders. Effective communication will ensure all parties understand the project’s objectives and deliverables and that the project’s goals are achieved.

This memo outlines how communications will be managed on the project.Communication channelsFor this project, we will use a combination of communication channels that include emails, project management software, and teleconferences.

Emails will be used for sending project status updates, weekly progress reports, and any other documents that need to be shared. We will also use a project management tool like Asana or Trello to share project documents and track project progress. Teleconferences will be used to communicate with stakeholders directly when necessary, including the project owner, outsourced freelancers, and our in-house development team.

Frequency of communicationCommunication on this project will be regular and frequent to ensure that all parties are informed about the project’s progress and that it is on track. Weekly project status reports will be sent to all project stakeholders to update them on the project’s progress. Teleconferences will be held once a month to discuss any critical issues, review the project’s progress, and ensure that the project is on track.

Flow of data, information, and reportsA high-level flow or "bubble" diagram has been included below to illustrate the project's communication flow. It shows how data, information, and reports will be shared between stakeholders and how the project team will use the project management tool to track progress.

Overall, the communication channels and frequency outlined in this memo will ensure that all stakeholders are up-to-date on the project’s progress, status, and objectives. We are committed to working with all stakeholders to ensure that the project is a success.

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a. Raw materials purchased on account, $209,000. b. Raw materials used in production, $190,000 ($152,000 direct materials and $38,000 indirect materials). C. Accrued direct labor cost of $50,000 and indirect labor cost of $22,000. d. Depreciation recorded on factory equipment, $105,000. e. Other manufacturing overhead costs accrued during October, $130,000. f. The company applies manufacturing overhead cost to production using a predetermined rate of $6 per machine-hour. A total of 76,400 machine-hours were used in October. g. Jobs costing $512,000 according to their job cost sheets were completed during October and transferred to Finished Goods. h. Jobs that had cost $448,000 to complete according to their job cost sheets were shipped to customers during the month. These jobs were sold on account at 36% above cost. Required: 1. Prepare journal entries to record the transactions given above. 2. Prepare T-accounts for Manufacturing Overhead and Work in Process. Post the relevant transactions from above to each account. Compute the ending balance in each account, assuming that Work in Process has a beginning balance of $37,000. Complete this question by entering your answers in the tabs below. Wired 2 Prepare T-accounts for Manufacturing Overhead and Work in Process. Post the relevant transactions from above to each account. Compute the ending balance in each account, assuming that Work in Process has a beginning balance of $37,000. Manufacturing Overhead Work in Process Beg. bal. Beg. bal. End. bal. End. bal.

Answers

The ending balance of Work in Process is $567,400, which represents the cost of the completed jobs.

To prepare T-accounts for Manufacturing Overhead and Work in Process, we need to post the relevant transactions from the given information.

Let's start by listing the transactions that are relevant to these accounts:

1. Accrued direct labor cost of $50,000 and indirect labor cost of $22,000.

(This transaction affects both Manufacturing Overhead and Work in Process.)

2. Depreciation recorded on factory equipment, $105,000. (This transaction affects Manufacturing Overhead.)

3. Other manufacturing overhead costs accrued during October, $130,000. (This transaction affects Manufacturing Overhead.)

4. The company applies manufacturing overhead cost to production using a predetermined rate of $6 per machine-hour.

A total of 76,400 machine-hours were used in October. (This transaction affects Manufacturing Overhead.)

Now let's post these transactions to the T-accounts:

Manufacturing Overhead T-account:

Beginning balance: $0
1. Accrued direct labor cost of $50,000 and indirect labor cost of $22,000: Debit Manufacturing Overhead by $72,000

2. Depreciation recorded on factory equipment, $105,000: Debit Manufacturing Overhead by $105,000

3. Other manufacturing overhead costs accrued during October, $130,000: Debit Manufacturing Overhead by $130,000

4. The company applies manufacturing overhead cost to production using a predetermined rate of $6 per machine-hour.

A total of 76,400 machine-hours were used in October: Credit Manufacturing Overhead by $458,400 (76,400 machine-hours * $6)

Ending balance: $0 + ($72,000 + $105,000 + $130,000 - $458,400)

= -$151,400

Work in Process T-account:

Beginning balance: $37,000
1. Accrued direct labor cost of $50,000 and indirect labor cost of $22,000: Debit Work in Process by $72,000

4. The company applies manufacturing overhead cost to production using a predetermined rate of $6 per machine-hour.

A total of 76,400 machine-hours were used in October: Debit Work in Process by $458,400 (76,400 machine-hours * $6)

Ending balance: $37,000 + $72,000 + $458,400 = $567,400

Please note that the ending balance of Manufacturing Overhead is negative (-$151,400), which means that there is an overapplied manufacturing overhead.

The ending balance of Work in Process is $567,400, which represents the cost of the completed jobs.

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which term describes the degree to which individuals enjoy their job?

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The term that describes the degree to which individuals enjoy their job is job satisfaction.

Job satisfaction refers to the level of contentment and fulfillment that individuals experience in their work. It is a subjective evaluation of various aspects of the job, including the work itself, the work environment, relationships with colleagues and supervisors, compensation, and opportunities for growth and advancement.

Job satisfaction plays a crucial role in determining an individual's overall well-being and quality of life.

When individuals have high job satisfaction, they generally feel a sense of fulfillment, engagement, and happiness in their work. They may experience a sense of purpose and accomplishment, find their work challenging and meaningful, and have positive relationships with their colleagues.

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8.6. Use a labor supply and labor demand graph to show the impact on salaries in the NBA of a strong economic recovery. Explain why the curves moved the way they did.

Answers

The impact of a strong economic recovery on salaries in the NBA would likely result in an increase in salaries.

A strong economic recovery typically leads to increased consumer spending, business investment, and overall economic activity. This has positive effects on the revenue and profitability of NBA teams, which can translate into higher salaries for NBA players.

On a labor supply and demand graph, the labor supply curve represents the willingness and ability of players to supply their services at various salary levels, while the labor demand curve represents the willingness and ability of teams to hire players at different salary levels.

During a strong economic recovery, the demand for NBA players may increase as teams have more financial resources available to invest in player salaries. This would shift the labor demand curve to the right, indicating an increased willingness to hire players at higher salaries.

Simultaneously, the supply of NBA players may not adjust immediately in response to the increased demand. The pool of highly skilled professional basketball players is relatively limited, and it takes time for new players to develop and enter the league. This would result in a relatively inelastic labor supply curve.

The combination of an increased demand for players and a relatively inelastic supply would lead to an upward pressure on salaries in the NBA. Teams would be willing to pay higher salaries to attract and retain talented players, leading to an overall increase in NBA player salaries during a strong economic recovery.

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Which of the following is NOT a consideration when estimating activity duration. O Expert judgement O The buy-in and motivation of the staff O Technological advances O Change control process O Number and availability of resources

Answers

The correct answer is c) technological advances .

Among the given options, the consideration that is NOT associated with estimating activity duration is the technological advances. Estimating activity duration is an essential component of project management that allows managers to develop a comprehensive plan and complete the project successfully.

Project managers estimate the time needed to complete a particular project or an activity based on various factors and inputs. They use expert judgment and different techniques to come up with accurate estimates that can be used in scheduling and resource allocation.

Technological advances are usually considered as one of the inputs in the planning and execution phase of the project. It is related to the tools and technology that will be used to complete the project. However, it is not a consideration when estimating the activity duration.

Other considerations that play a crucial role in estimating activity duration are as follows:

a) The buy-in and motivation of the staff: It refers to the involvement and motivation of the team members who will work on the project. It affects the overall productivity and quality of the output. Managers should consider the experience and skill level of the staff before estimating the activity duration.

b) Number and availability of resources: The availability of resources such as equipment, material, and labor is another critical factor that impacts the activity duration. Managers should determine the type and quantity of resources required for the project and schedule them accordingly.

c) Change control process: It refers to the process of managing and controlling changes that occur during the project. Managers should have a clear plan to manage the changes that might occur during the project to avoid delays and additional costs.

d) Expert judgment: Managers should consider expert judgment while estimating the activity duration. Expert judgment is an opinion given by individuals or groups who have experience or knowledge related to the activity or the project. It helps in identifying potential risks and challenges and provides insights into the possible solutions.

Therefore , the correct answer is c)technological advances.

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You have $300,000 saved for retirement. Your account earns 9% interest. How much will you be able to pull out each month, if you want to be able to take withdrawals for 15 years?

Answers

You will be able to withdraw approximately $3,195.47 each month for 15 years from your retirement savings of $300,000, assuming a 9% interest rate.

To calculate the amount you will be able to pull out each month for 15 years based on a $300,000 retirement savings and a 9% interest rate, we can use the formula for present value of an annuity;

PMT = PV × (r / (1 - [tex](1+r)^{-n}[/tex])

Where;

PMT = the monthly withdrawal amount

PV = the present value or initial savings ($300,000)

r = the monthly interest rate (9% divided by 12 months, so r = 0.09/12)

n = the total number of months (15 years multiplied by 12 months, so n = 15 × 12)

Plugging in the values into the formula;

PMT = $300,000 × (0.09/12) / (1 - (1 + 0.09/12)⁻¹⁵ˣ¹²

Calculating this expression gives;

PMT ≈ $3,195.47

Therefore, you will be able to withdraw approximately $3,195.47.

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What steps are companies taking in the future planning needs to build a more resilient logistics platform?

Answers

Companies are leveraging technology, improving visibility, diversifying suppliers, fostering collaborations, and implementing contingency plans to build a more resilient logistics platform for future planning needs.

Companies are taking several steps to build a more resilient logistics platform for future planning needs. These steps include:

1. Embracing technology: Companies are investing in advanced technologies such as artificial intelligence, machine learning, and automation to optimize their logistics operations. This includes using predictive analytics to forecast demand, implementing real-time tracking systems, and utilizing robotics for efficient warehouse management.

2. Enhancing supply chain visibility: To build resilience, companies are focusing on improving visibility across the entire supply chain. This involves implementing systems and tools that provide real-time insights into inventory levels, shipment status, and potential disruptions. By having better visibility, companies can proactively address issues and make informed decisions.

3. Diversifying supplier networks: Companies are reducing reliance on a single source for their supplies by diversifying their supplier networks. This helps mitigate the risk of disruptions caused by natural disasters, geopolitical events, or supplier failures. By having multiple suppliers, companies can ensure a steady flow of goods and reduce the impact of disruptions.

4. Strengthening partnerships and collaborations: Collaborating with logistics partners, suppliers, and customers is crucial for building a resilient logistics platform. Companies are forming strategic alliances, sharing data, and collaborating on risk management strategies to enhance their overall supply chain resilience.

5. Implementing contingency plans: Companies are developing robust contingency plans to address potential disruptions. This includes having alternative transportation routes, backup suppliers, and emergency response protocols in place. By having contingency plans, companies can quickly adapt to unforeseen events and minimize disruptions to their logistics operations.

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You are the CEO of a brand-new dating app (BnDA). The number of users (i.e. total quantity demanded) for BnDA is:
= 1200 − p + h ∈ (0,1), h xpc o z, p h pc. a) Interpret the parameter . What strategies can a company like BnDA use to increase the
value of ? (1 mark)
b) Assume = 0.4 h ccy cp o h = , and the marginal cost
per user is 0. What is the profit maximising price? (2 marks)
c) Suppose BnDA have an investment opportunity to acquire a start-up that can increase the parameter om 0.5 o 0.9. What is the maximum amount BnDA should be willing to pay for this acquisition? (2 marks)

Answers

A company like BnDA can employ strategies such as marketing, user experience enhancements, partnerships, and pricing strategies to increase the value of the parameter "h" and boost the quantity demanded for its dating app. The profit-maximizing price can be calculated based on the given equations, and the maximum amount BnDA should be willing to pay for the acquisition of a start-up depends on various factors that require additional information.

a) Interpretation of the parameter:

The parameter "h" represents a factor that influences the total quantity demanded for BnDA, the dating app. It is stated that "h" belongs to the interval (0,1), indicating that it takes values between 0 and 1. The specific interpretation of "h" is not provided in the given information, but it can be inferred that "h" is a variable that affects user demand for the app.

Strategies to increase the value of "h" and consequently the quantity demanded for BnDA can include:

1. Marketing and Advertising: Implementing effective marketing and advertising campaigns to increase awareness and attract potential users. This can involve various strategies such as social media marketing, influencer partnerships, and targeted advertisements.

2. User Experience Enhancements: Improving the user experience of the app by continuously updating and adding new features, optimizing the app's performance, and incorporating user feedback to provide a seamless and enjoyable dating experience.

3. Partnerships and Collaborations: Collaborating with other businesses, brands, or influencers that align with BnDA's target market. This can help expand the user base through partnerships that offer promotional incentives or exclusive benefits to users.

4. Pricing Strategies: Implementing competitive and attractive pricing strategies that consider the perceived value of the app's features and benefits compared to other dating apps in the market.

b) Calculation of profit-maximizing price:

We have  0.4 h ccy cp o h = and the marginal cost per user is 0, we can calculate the profit-maximizing price.

The profit function can be represented as follows:

Profit = (p - 0) * (1200 - p + 0.4h)

To maximize profit, we differentiate the profit function with respect to "p" and set it equal to zero:

d(Profit)/dp = 1200 - 2p + 0.4h = 0

Simplifying the equation, we find:

2p = 1200 + 0.4h

p = (1200 + 0.4h) / 2

Therefore, the profit-maximizing price is (1200 + 0.4h) / 2.

c) Calculation of the maximum amount BnDA should be willing to pay for the acquisition:

If the parameter "h" can increase from 0.5 to 0.9 due to the acquisition of the start-up, BnDA can potentially experience a significant increase in the quantity demanded for its app. To calculate the maximum amount BnDA should be willing to pay for this acquisition, we need more information, such as the additional profit generated from the increase in "h" and the expected return on investment (ROI) for such acquisitions. Without these specific details, it is not possible to determine the maximum amount BnDA should be willing to pay.

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Based on Galbraith Star Model, identify the components Carlos
intended to change under his Nissan's Revival Plan (NRP). (10
Marks)

Answers

The Galbraith Star Model is a framework for organization design. This framework includes five major components: strategy, structure, processes, people, and rewards. These five components are interdependent and must be aligned with one another in order for an organization to be effective and efficient.

Nissan's Revival Plan (NRP) was created by Carlos Ghosn, who was the CEO of Nissan from 2001 to 2017. Under the NRP, Ghosn aimed to restore Nissan's profitability and competitiveness.

The following components of the Galbraith Star Model were the focus of Ghosn's NRP:

Structure: Ghosn intended to streamline Nissan's organizational structure, which was complex and inefficient. He eliminated layers of management, centralized decision-making, and outsourced non-core functions.

Processes: Ghosn aimed to improve Nissan's production processes and supply chain management. He introduced lean manufacturing practices, reduced the number of parts and suppliers, and simplified the production line.

Strategy: Ghosn's strategy was to focus on innovation and product development. He invested heavily in research and development, and introduced new models to the market.

People: Ghosn believed that Nissan's employees were key to the company's success. He introduced a performance-based compensation system, which rewarded employees for meeting targets and achieving results.

Rewards: Ghosn aimed to align rewards with company performance. He introduced a system of bonuses and stock options, which were tied to the company's profitability and growth.

These are the five major components of the Galbraith Star Model that Carlos Ghosn intended to change under his Nissan's Revival Plan (NRP).

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Laker Incorporated's fiscal year-end is December 31, 2024. The following is an adjusted trial balance as of December 31.
Accounts Debit Credit
Cash $10,800 Supplies 33,000
Prepaid Rent 24,000
Accounts Payable $1,800
Notes Payable 18,000
Common Stock 34,000
Retained Earnings 7,800
Retained Earnings
Dividends 2,800
Service Revenue 55,200
Salaries Expense 18,800 Advertising Expense 11,800
Rent Expense 8,800
Utilities Expense 6,800
Totals $116,800 $116,800 Required:
1. Prepare the necessary closing entries.
2. Calculate the ending balance of Retained Earnings 3. Prepare a post-closing trial balance
Complete this question by entering your answers in the tabs below.
Required 1 Required 2 Required 3
View transaction list
Journal entry worksheet
1 2 3
Record the entry to close the revenue accounts.

Answers

Accounts Debit Credit

Cash $10,800

Supplies $33,000

Prepaid Rent $24,000

Accounts Payable $1,800

Notes Payable $18,000

Common Stock $34,000

Retained Earnings $15,800

Totals $67,800 $67,800.

The closing entry for the revenue accounts involves debiting Service Revenue and crediting Retained Earnings.

To close the revenue accounts, we need to transfer the balances to the Retained Earnings account. The entry will be as follows:

Date Account Debit Credit

Dec 31 Service Revenue $55,200

Retained Earnings $55,200

This entry closes the Service Revenue account by debiting it for the total revenue earned during the year ($55,200) and credits the same amount to Retained Earnings. By doing this, we transfer the revenue to the equity section of the balance sheet.

The ending balance of Retained Earnings can be calculated by adding the beginning balance of Retained Earnings to the net income (revenue - expenses) and subtracting any dividends paid. In this case:

Beginning Retained Earnings = $7,800

Net Income = Service Revenue - (Salaries Expense + Advertising Expense + Rent Expense + Utilities Expense)

= $55,200 - ($18,800 + $11,800 + $8,800 + $6,800)

= $55,200 - $46,200

= $9,000

Dividends = $2,800

Ending Retained Earnings = Beginning Retained Earnings + Net Income - Dividends

= $7,800 + $9,000 - $2,800

= $14,000

To prepare a post-closing trial balance, we list all the accounts (excluding temporary accounts like revenue and expense accounts) and their balances after the closing entries have been made. The post-closing trial balance will include the following accounts:

Accounts Debit Credit

Cash $10,800

Supplies $33,000

Prepaid Rent $24,000

Accounts Payable $1,800

Notes Payable $18,000

Common Stock $34,000

Retained Earnings $14,000

Total $96,800 $96,800

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In October 2017 a pound of apples cost $1.61, while oranges cost $1.25. Two years earlier the price of apples was only $1.40 a pound and that of oranges was $1.11 a pound.

Compound annual growth rate of apples

Compound annual growth rate of oranges

Price of apples

Price of oranges

Answers

The price of apples in October 2017 is $1.61, and the price of oranges in October 2017 is $1.25.

To calculate the compound annual growth rate (CAGR) for apples and oranges, we can use the following formula:

CAGR = (Ending Value / Beginning Value)^(1 / Number of Years) - 1

Given:

Price of apples in October 2015 = $1.40

Price of apples in October 2017 = $1.61

Using the formula, we can calculate the CAGR for apples:

CAGR (apples) = ($1.61 / $1.40)^(1 / 2) - 1

CAGR (apples) ≈ 0.0757 or 7.57%

Similarly, we can calculate the CAGR for oranges:

Price of oranges in October 2015 = $1.11

Price of oranges in October 2017 = $1.25

CAGR (oranges) = ($1.25 / $1.11)^(1 / 2) - 1

CAGR (oranges) ≈ 0.0648 or 6.48%

Therefore, the compound annual growth rate (CAGR) for apples is approximately 7.57%, and the CAGR for oranges is approximately 6.48%.

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Robert Langdon Corp. began the fourth quarter with 500 items of inventory that it had previously purchased for $10 each ($5,000 total cost). During the fourth quarter, Langdon purchased an additional 800 items of inventory for $12 each ($9,600 total cost). Later in the fourth quarter, Langdon sold 1,000 items for $20 each, which was the only sale during the quarter. What is Langdon's inventory balance at the end of 2020? Langdon uses the LIFO cost flow assumption. (just enter the number, without any commas or a dollar sign)

Answers

Langdon's inventory balance at the end of 2020 is 300 items. Using the LIFO cost flow assumption, Langdon's inventory balance at the end of 2020 is 0 items. This indicates that all the inventory was sold during the fourth quarter, resulting in a zero inventory balance.

Langdon uses the LIFO (Last-In, First-Out) cost flow assumption, which means that the most recent inventory purchases are considered as the first items sold. To calculate the inventory balance at the end of 2020, we need to determine the number of items remaining.

Given information:

Beginning inventory (at the start of the fourth quarter) = 500 items

Cost per item for the beginning inventory = $10

Additional purchases during the fourth quarter = 800 items

Cost per item for the additional purchases = $12

Items sold during the fourth quarter = 1,000 items

Selling price per item = $20

To calculate the remaining inventory, we start by determining the cost of the items sold:

Cost of items sold = (Beginning inventory cost) + (Additional purchases cost) - (Sales revenue)

= (500 * $10) + (800 * $12) - (1,000 * $20)

= $5,000 + $9,600 - $20,000

= $-5,400

Since the cost of items sold exceeds the total cost of the inventory, we can conclude that Langdon has exhausted its inventory and has a negative inventory balance. However, a negative inventory balance is not possible in practice, so we consider it as zero.

Therefore, Langdon's inventory balance at the end of 2020 is 0 items.

Conclusion:

Using the LIFO cost flow assumption, Langdon's inventory balance at the end of 2020 is 0 items. This indicates that all the inventory was sold during the fourth quarter, resulting in a zero inventory balance.

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Which attributes make information contained in financial statements useful to users of financial information. List and briefly describe (8) 1.2. Explain the concept materiality (2) Question 4 10 marks Bobby McFerrin is the chief accountant for Happiness (Pty) Ltd, a musical instruments business with a December fiscal year-end. As Bobby was preparing the 2020 financial statements for Happiness, she noticed several odd transactions in the general ledger for December. For example, rent for January 2021 , which was paid in December 2020, was recorded by debiting rent expense instead of prepaid rent. In another transaction, Bobby noticed that the use of Consumables was recorded with a debit to insurance expense instead of Consumables expense. Upon further investigation, Kathryn discovered that the December ledger contained numerous such mistakes. Even with the mistakes, the trial balance still balanced. Bobby traced all of the mistakes back to a recently hired bookkeeper, Worry McFerrin who is his son. Bobby had hired Worry to help in the accounting department over Christmas break so that he could earn some extra money for school. After discussing the situation with Worry, Bobby determined that Worry's mistakes were all unintentional. Required: 1. What ethical issues are involved? (2) 2. What are Bobby's alternatives? Which would be the most ethical alternative to choose (8)

Answers

The most ethical alternative would be to correct the mistakes and disclose them in the notes to the financial statements. This ensures transparency and provides users with accurate information while also acknowledging the errors made by Worry.

1. The attributes that make information contained in financial statements useful to users of financial information are as follows:
  a. Relevance: The information should be relevant to the decision-making needs of the users.
  b. Reliability: The information should be reliable and free from bias, ensuring that it is faithful representation of the transactions and events.

  e. Timeliness: The information should be available to users in a timely manner, allowing them to make informed decisions.

2. Materiality is the concept that states that information is material if it could potentially influence the decisions of users.
1. The ethical issues involved in this situation are:
  a. Misrepresentation of financial statements: The mistakes made by Worry in recording transactions can lead to misrepresentation of financial information.
  b. Conflict of interest: Bobby being the chief accountant and Worry being his son can create a conflict of interest, as Bobby has to decide how to handle Worry's mistakes.

2. Bobby's alternatives are:
  a. Correct the mistakes: Bobby can go back and correct the mistakes made by Worry in the financial statements.
  b. Disclose the mistakes: Bobby can disclose the mistakes made by Worry in the notes to the financial statements.
  c. Terminate Worry's employment: Bobby can terminate Worry's employment in order to prevent further mistakes.

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ack purchased a five-year bond today at $1,034.66. The bond pays
6.5 percent p.a, semiannually. Its face value is $1,000. The yield
to maturity is closest to: (USE EXCEL or FINANCIAL CALCULATOR.
)

Answers

The YTM for the bond is approximately 3.97%. We can use Excel or a financial calculator to find the YTM.

To calculate the yield to maturity (YTM) of the bond, we need to find the discount rate that equates the present value of the bond's future cash flows to its current price. In this case, we have the following information:

Face Value (FV) = $1,000

Coupon Rate (C) = 6.5% p.a, semiannually

Number of periods (N) = 5 years (or 10 semiannual periods)

Price (P) = $1,034.66

We can use Excel or a financial calculator to find the YTM. Here's how to calculate it in Excel:

1. Set up a spreadsheet with the following columns: Period, Cash Flow, Discount Rate, Present Value.

2. Enter the cash flows for each period. In this case, we have a semiannual coupon payment of $32.50 (0.065 * $1,000 / 2) for 10 periods, and the face value of $1,000 at the end of the 10th period.

3. Choose a cell for the discount rate and enter an initial guess. We'll start with 5%.

4. In the Present Value column, calculate the present value of each cash flow using the discount rate. For the coupon payments, use the semiannual discount rate and the number of periods remaining. For the face value, use the discount rate and the remaining period.

5. Sum up the present values to get the total present value.

6. Adjust the discount rate to minimize the difference between the total present value and the bond price. You can use Excel's Goal Seek function to find the discount rate that makes the total present value equal to the bond price.

7. The resulting discount rate is the YTM.

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Draw a time line for the period January 1 through December 31 . Indicate what events occur on January 1, March 1, April 1, November 1, and December 31. a. April 1: Property taxes are due for current year; November 1: Current tax year ends; December 31 Tax exemption filing period ends. b. November 1: Property taxes are due for the current year:; December 31: Current tax year ends; January 1: New tax year begins, property is assessed, a lien is attached for current year, and tax exemption period begins; March 1: Tax exemption filing period ends; and April 1: Property taxes for the previous year becomes delinquent. c. March 1: Property taxes for previous year becomes delinquent. April 1: Property taxes are due for current year.

Answers

The timeline for the period January 1 through December 31 includes the following key events:

January 1: New tax year begins, property assessment, lien attachment, and tax exemption period starts.

March 1: Tax exemption filing period ends, and delinquency begins for property taxes of the previous year.

April 1: Property taxes are due for the current year, and delinquency continues for the previous year's taxes.

November 1: Property taxes are due for the current year.

December 31: Current tax year ends, and tax exemption filing period ends. Option B

To illustrate the timeline for the period January 1 through December 31, I will consider the events mentioned in options a, b, and c. Below is the timeline indicating what events occur on January 1, March 1, April 1, November 1, and December 31:

Option a:

January 1: New tax year begins

March 1: No specific event mentioned

April 1: Property taxes are due for the current year

November 1: Current tax year ends

December 31: Tax exemption filing period ends

Option b:

January 1: New tax year begins, property is assessed, a lien is attached for the current year, and tax exemption period begins

March 1: Tax exemption filing period ends

April 1: Property taxes for the previous year become delinquent

November 1: Property taxes are due for the current year

December 31: Current tax year ends

Option c:

March 1: Property taxes for the previous year become delinquent

April 1: Property taxes are due for the current year

In option a, the important events are the start of the new tax year on January 1, property taxes becoming due on April 1 for the current year, the end of the current tax year on November 1, and the tax exemption filing period ending on December 31.

In option b, the timeline includes the start of the new tax year on January 1 with property assessment and lien attachment, the tax exemption filing period ending on March 1, property taxes becoming delinquent on April 1 for the previous year, property taxes becoming due on November 1 for the current year, and the current tax year ending on December 31.

Option c only mentions two events: property taxes becoming delinquent on March 1 for the previous year and property taxes becoming due on April 1 for the current year. Option B is correct.

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What scheduling system should be used when a company has to pay $0.50 for every hour it holds onto its inventory? SPT FCFS WSPT LPT EDD

Answers

The scheduling system that should be used in this scenario is Economic Due Date (EDD). EDD prioritizes jobs based on their due dates and associated holding costs, allowing the company to minimize inventory holding costs by completing and delivering jobs with earlier due dates first.

The scheduling system that should be used when a company incurs a cost of $0.50 for every hour it holds onto its inventory is the Economic Due Date (EDD) scheduling system. EDD aims to minimize the total cost associated with holding inventory by prioritizing jobs based on their due dates and the associated holding costs.

With EDD, the job with the earliest due date is given the highest priority, ensuring that it is completed and delivered as soon as possible to minimize inventory holding costs. By adopting the EDD scheduling system, the company can effectively manage its inventory and reduce the cost of holding onto inventory for extended periods.

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Explain detail the following concepts: Insider trading and proprietary data

Answers

Insider trading is the buying or selling of a publicly traded security by a person who has access to nonpublic information about the security while proprietary data is confidential information that is owned by a company and that gives that company a competitive advantage.

Insider trading is a violation of securities law and occurs when an individual uses confidential or nonpublic information to trade in the stock of a company. It is considered illegal and unethical as it gives one an unfair advantage over other traders in the market. Such an individual is typically someone within a company, such as a corporate officer, director, or employee. If they use their privileged access to company information to trade in that company's stock or other securities, they can be held liable for insider trading.

Proprietary data includes trade secrets, patents, copyrights, trademarks, and any other information that is not publicly available. Proprietary data can be anything from a company's business plans and strategies to their customer lists and financial data. Companies go to great lengths to protect their proprietary data, as it is often the key to their success. The unauthorized use, disclosure, or theft of proprietary data can lead to significant financial losses, loss of competitive advantage, and even legal action. So therefore Insider trading is the buying or selling of a publicly traded security by a person who has access to nonpublic information about the security while proprietary data is confidential information that is owned by a company and that gives that company a competitive advantage.

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Treasury notes and bonds. Use the information in the following table: What is the price in dollars of the February 2006 Treasury note with semiannual payment if its par value is $100,000? What is the current yield of this note?
What is the price in dollars of the February 2006 Treasury note? $_____ (Round to the nearest cent.)

Answers

The yield on this note as of right now is 4.62%, rounded to two decimal places. The $100,000 Treasury note released in February 2006 has a par value of $98,107.41.

The yield on this note right now is 4.62%, rounded to two decimal places. Details: The price and current yield of a bond may be determined using the following table: The image's source is Bond Information Community College. Using this table, we have the following information for the month of February 2006. The formula for calculating bond prices may be expressed as follows: P matches the price of the bond and is equal to (C (1 + r)-n) / r + (F / (1 + r)-n). Yield to Maturity / Semiannual Yield / r is the formula for the coupon distribution.

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Reverse Knock Out (RKO) options:
a. May cease to exist
b. Have a limited upside
c. Have an inverse relationship with implied vol
d. All of the above

Answers

The main answer is: d. All of the above

Reverse Knock Out (RKO) options possess all of the mentioned characteristics.

RKO options may cease to exist if the underlying asset price reaches or falls below a predetermined barrier level. If the barrier is breached, the option becomes null and void, resulting in the option holder losing their entire investment. This feature distinguishes RKO options from standard options, where the option holder retains the right to exercise the option until expiration. Therefore, option holders need to be cautious about the barrier level and the possibility of the option ceasing to exist.

RKO options also have a limited upside. While they offer the potential for profit if the underlying asset price moves favorably, the maximum potential profit is capped. This cap is determined by the knockout barrier level. Once the asset price reaches or exceeds the barrier, the option is knocked out, preventing any further gains for the option holder. Consequently, RKO options provide limited upside potential compared to standard options.

Additionally, RKO options typically have an inverse relationship with implied volatility. Implied volatility is a measure of the market's expectation for future price fluctuations of the underlying asset. In general, as implied volatility increases, the value of options tends to rise. However, RKO options behave differently. When implied volatility increases, the chances of the underlying assets reaching the knockout barrier also increase. This heightened risk leads to a decrease in the value of RKO options, causing an inverse relationship between RKO options and implied volatility.

In summary, RKO options have the characteristics of potentially ceasing to exist if the barrier is breached, having a limited upside due to knockout barriers, and an inverse relationship with implied volatility. These factors make RKO options unique and require careful consideration by investors and traders.

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The MOST common and effective way for speakers to end a speech is by:
O summarizing their main points.
O restating the introduction.
O using an attention getter.
O thanking the audience.

Answers

The MOST common and effective way for speakers to end a speech is by summarizing their main points (option a).

In a speech, a speaker should summarize his or her main points in order to emphasize and remind the audience of the main points that were presented in the speech. This repetition is intended to assist the audience in remembering what was said and to emphasize the speaker's points. In addition, summarizing main points at the conclusion of a speech provides a sense of closure and allows the speaker to reinforce the speech's core message.

The restatement of the introduction is not typically utilized to close a speech. While reintroducing the audience to the subject may be effective at the beginning of a speech, using it to close a speech is ineffective as it is uninteresting and provides little new information.Using an attention getter is not the most common and effective way to end a speech because it is usually used at the beginning of a speech to capture the audience's attention.Thanking the audience is not an effective way to end a speech because it does not provide a sense of closure or remind the audience of the speech's main points. The correct option is a.

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Describe the eight major responsibilities of an area command,
and list two example scenarios where an area command might be
needed.

Answers

An Area Command is an organizational structure that is used for the management of an incident that involves a combination of various emergency responders and agencies. It is established by the Incident Commander in case the incident is more significant and requires a higher level of organization.


The Area Command manages and oversees multiple incidents. It ensures that all operations are carried out according to the Incident Command System (ICS) principles. It prioritizes the allocation of critical resources such as personnel, equipment, and supplies for the incidents and makes sure that they are utilized efficiently. It ensures that there is adequate communication and coordination between the various emergency responders and agencies involved in the incident. It ensures that all safety measures are taken to protect responders, civilians, and property. The Area Command provides guidance and support to Incident Commanders.

It reviews the overall status of the incident and ensures that objectives are being met.It approves and coordinates all requests for resources from the Incident Commanders.It provides accurate and timely information about the status of the incident to relevant stakeholders and agencies. A wildfire that has spread over a large area and involves multiple fire departments, law enforcement agencies, and other emergency responders. In this situation, an Area Command can be established to coordinate the overall response, prioritize the allocation of resources, and ensure that all safety measures are taken.

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StarWorld Entertainment paid a dividend of $5 per share yesterday. The dividend is expect to grow 10% next year. If you buy Starworld today at the current share price of $58, what is your expected dividend yield?

Answers

The expected dividend yield can be calculated by dividing the expected dividend per share by the current share price and multiplying by 100 to express it as a percentage.

In this case, since StarWorld Entertainment paid a dividend of $5 per share yesterday and the dividend is expected to grow by 10% next year, the expected dividend per share for the following year would be $5 * 1.10 = $5.50.

To calculate the expected dividend yield, we divide $5.50 by the current share price of $58 and multiply by 100:

($5.50 / $58) * 100 ≈ 9.48%

Therefore, the expected dividend yield for StarWorld Entertainment, based on the given information, is approximately 9.48%.

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A project costs $2000 and is expected to last for 2 years, producing cash income of $1500 and $500 respectively. The cost of capital can be depreciated at $1000 per year. Given a 10% required return, compare the NPV using financial income vs. accounting income

Answers

We can see that the NPV using accounting income is higher than the NPV using financial income. This is because accounting income takes into account the non-cash expense of depreciation, which reduces the taxable income and therefore the taxes paid. This results in higher cash flows and a higher NPV.

Given: Project cost = $2,000Expected cash income: Year 1 = $1,500Year 2 = $500Depreciation = $1,000 per yearDiscount rate = 10%Required: NPV using financial income vs. accounting incomeThere are different types of income used for analyzing the financial feasibility of a project, namely financial income and accounting income. The difference between them lies in the method used to calculate the income. Financial income is based on cash inflows and outflows. It takes into account the actual cash that will be received or paid in each period. On the other hand, accounting income is based on accrual accounting. It takes into account all revenues and expenses related to the project, including non-cash items such as depreciation.

In this question, we are given the cash income for each year as well as the depreciation expense. Therefore, we can calculate the financial income as follows: Year 1:Cash inflow = $1,500Depreciation = $1,000Taxable income = $500Taxes at 10% = $50Cash flow = $1,500 - $50 = $1,450Year 2:Cash inflow = $500Depreciation = $1,000Taxable income = -$500Taxes at 10% = $0Cash flow = $500Since the project lasts for 2 years, we can calculate the NPV using the formula: NPV = (CF1 / (1 + r)^1) + (CF2 / (1 + r)^2) - Initial investment where CF is the cash flow in each period, r is the discount rate, and the initial investment is the project cost. Substituting the values, we get: NPV using financial income = ($1,450 / 1.1^1) + ($500 / 1.1^2) - $2,000= $309.09Next, let's calculate the accounting income. Since depreciation is a non-cash expense, we need to add it back to the cash income to get the accounting income. Year 1:Cash inflow = $1,500Depreciation = $1,000Accounting income = $2,500Year 2:Cash inflow = $500Depreciation = $1,000Accounting income = $1,500Using the same formula as before, we get: NPV using accounting income = ($2,500 / 1.1^1) + ($1,500 / 1.1^2) - $2,000= $335.

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The residual value of the machine at the end of the lease term is P100,000 which is not guaranteed by the lessee. The lessors implicit interest rate is 10%. (Round off the PV factor to four decimal places, then do not round off during the computation) How much is the Cost of Sales to be reported by Integrity in 2021? A physiotherapist sees approximately 6 patients every hour, spread out evenly. What is the probability that the next two patients will come in more than 25 minutes apart? Indicate how the following transaction should be recorded: Collected $900 from customers on account. a. Increase Cash, $900; Increase Accounts Payable, $900.b. Increase Cash, $900; Increase Retained Earnings with Revenue, $900. c. Increase Cash, $900; Decrease Accounts Receivable, $900. Increase Cash, $900; d. Decrease Accounts Payable, $900. how do u solve this? ty Required information [The following information applies to the questions displayed below.] a. M&R Company provided $3,100 in services to customers in December, which are not yet recorded. Those customers are expected to pay the company in January following the company's year-end. b. Wage expenses of $2,100 have been incurred but are not paid as of December 31. c. M&R Company has a $6,100 bank loan and has incurred (but not recorded) 6% interest expense of $366 for the year ended December 31. The company will pay the $366 interest in cash on January 2 following the company's year-end. d. M&R Company hired a firm that provided lawn services during December for $610. M&R will pay for December lawn services on January 15 following the company's year-end. e. M&R Company has earned $310 in interest revenue from investments for the year ended December 31. The interest revenue will be received on January 15 following the company's year-end. f. Salary expenses of $1,010 have been earned by supervisors but not paid as of December 31. Prepare year-end adjusting journal entries for M&R Company as of December 31 for each of the above separate cases. View transaction list Journal entry worksheet 1 2 3 4 5 6 M&R Company provided $3,100 in services to customers in December. Those Choctaw Co. completed the following transactions in Year 1, the first year of operation: Issued 32,000 shares of $10 par common stock for $10 per share. Issued 4,200 shares of $20 stated value preferred stock for $20 per share. Purchased 2,200 shares of common stock as treasury stock for $12 per share. Declared a $3,200 cash dividend on preferred stock. Sold 900 shares of treasury stock for $14 per share. Paid $3,200 cash for the preferred dividend declared in Event 4. Earned cash revenues of $102,000 and incurred cash expenses of $53,000. Appropriated $9,200 of retained earnings. Required Organize the transaction in accounts under an accounting equation. Prepare the stockholders equity section of the balance sheet as of December 31, Year 1. During the current year, Gull Co. had beginning inventory of $2,400 and ending inventory of $1,200. The cost of goods sold was $9,600. What is the amount of inventory purchased during the year? a. $9,600 b. $10,800 c. $8,400 d. $13.200 Walkers is considering a new project with semiannual cashflows.The firm's cost of capital is 10% APR compounded quarterly. Whatdiscount rate should Walkers use to estimate the NPV of theproject? The following table presents the number of reports of graffiti in each of New York's five boroughs over a one-year period. These reports were classified as being open, closed, or pending. A graffiti report is selected at random. Compute the following probabilities. Round final answer to four decimal places. Borough Open Closed Pending Total Reports Reports Reports Bronx 1121 1622 80 2823 Brooklyn 1170 2706 48 3924 Manhattan 744 3380 25 4149 Queens 1353 2043 25 3421 Staten Island 83 118 0 201 Total 4471 9869 178 14,518Source: NYC OpenData(a) The report is open and comes from Brooklyn. The probability that the report is open and comes from Brooklyn is . Part 2 of 6 (b) The report is closed or comes from Manhattan. The probability that the report is closed or comes from Manhattan is Part 3 of 6 (C) The report comes from Queens. The probability that the report comes from Queens is Part 4 of 6 (d) The report that does not come from Queens. The probability that the report does not come from Queens is Part 5 of 6 (e) The report is open. The probability that the report is open is Part 6 of 6 (f) The report is from the Queens or Bronx. The probability that the report is from the Queens or Bronx is which question can be used to draw conclusions from a test of significance? 2. Individual Problems 21-2 Planes frequently push back from the gate on time, but then wait 2 feet away from the gate until it is time to queue up for takeoff. This increases fuel consumption and inc This week reviews Electronic Health Records. Please respond to the following questions:a.What are some advantages of having an EHR within a healthcare organization?b.Who do you feel should oversee the everyday functions?c.Who should be included when making updates to the system?d.Doo you feel EHRs are improving the overall quality of care that an organization can offer a patient? Albert deposits $2000 in a bank fixed deposit for 6 months at a simple interest rate for 13.25 percent per annum, How much interest will he earn? (Simple interest) 2. If Albert reinvests the $2000, plus the interest eamed (refer to problem 1), for a further 6 months, again at 13.25 percent per annum, how much interest will he earn in this second 6 months period. (a) An airplane was carrying a briefcase containing a pile of cash worth RM1 billion. The briefcase suddenly drops onto Malaysia, and was picked up by an individual. The reserve ratio is 10%. Explain the money creation process and calculate size of the money multiplier (hint: use the example of the T-accounts) .(b) Discuss the policy options that the central bank could use to reduce money supply Lydia is a market trader from London wants to make a profitable inter market arbitrage. Based on the following quotes how could Lydia achieve his objectives using an initial investment of 800,000. Calculate Jack's profit. EUR/USD: 1.1837 EUR/GBP: 0.7231 GBP/USD: 1.6388 (10 marks) To restrain the press the government needs a ___ reason. a. Contemptuous reason b. Competitive reason c. Rational Basis d. Categorical reason e. Compelling reason You need to accumulate $10,000. To do so, you plan to make deposits of $1,300 per year - with the first payment being made a year from today - into a bank account that pays 6.89% annual interest. Your last deposit will be less than $1,300 if less is needed to round out to $10,000. How many years will it take you to reach your $10,000 goal? Round your answer up to the nearest whole number.How large will the last deposit be? Round your answer to the nearest cent