Get Evenitis...
a. violates random walk hypothesis
b. can occur after investors make losses
c. none of the answers is correct
d. describes that observation that investors always loose money after loss

Answers

Answer 1

b. can occur after investors make losses. Get Evenitis is a behavioral bias that can occur after investors experience losses.

Get Evenitis refers to a behavioral bias or psychological phenomenon where investors tend to take on higher risks or make aggressive investment decisions after experiencing losses. It is characterized by a desire to "get even" by trying to recover the losses quickly, often leading to impulsive or irrational investment behavior.

Option b. is the correct answer because Get Evenitis is specifically associated with investors making losses. It is a psychological response to losses that can drive investors to take on additional risks or engage in speculative activities in an attempt to recoup their losses quickly.

It is important for investors to be aware of this bias and make rational investment decisions based on sound analysis and risk management principles rather than trying to chase after losses.

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Related Questions

Home Depot: Working Capital for 2022 and 2021 is $43,183 and $47,415, respectively. Round final answer to whole dollars (meaning withOUT a decimal). Ex: $1,234
A. True
B. False

Answers

According to the statement, Home Depot's working capital in 2020 and 2021 was $43,183 and $47,415, respectively.

Therefore, the statement is false.

The given statement, "Home Depot: Working Capital for 2022 and 2021 is $43,183 and $47,415, respectively" is false. The figures are given for the year 2021 and 2020.The working capital formula is as follows:

Working capital = current assets - current liabilities

Working capital is one of the most significant financial metrics of a company as it indicates the organization's liquidity status.

The amount of working capital reveals the company's capacity to pay its short-term bills.

According to the statement, Home Depot's working capital in 2020 and 2021 was $43,183 and $47,415, respectively.

Therefore, the statement is false.

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The following table summarizes the monthly return and risk of two actively managed portfolios A and B: Summary of Portfolio Performance Portfolio A Portfolio B Average return 26% 38% Beta 1.1 0.6 Standard deviation 28% 45% Residual standard 16% 25% deviation Alpha 5% 7% The T-bill (risk-free) rate is 2% A.1 point) Suppose that you are choosing the single best portfolio.Which portfolio,A or B, would you prefer? Briefly explain B. (1 point) Suppose that you are expanding your existing well-diversified position. Which portfolio, A or B, would you prefer? Briefly explain. C. (1 point) Determine whether each portfolio is located above, exactly on, or below the security market line(SML).Briefly explain

Answers

A. To choose the single best portfolio, we need to consider both the average return and the risk of each portfolio. Since both portfolios have a higher average return than the risk-free rate of 2%, we should compare their risk-adjusted returns.

Sharpe ratio for Portfolio = (Average return of Portfolio - Risk-free rate) / Standard deviation of Portfolio.

Sharpe ratio for Portfolio A = (26% - 2%) / 28% = 0.857

Sharpe ratio for Portfolio B = (38% - 2%) / 45% = 0.800

Comparing the Sharpe ratios, we see that Portfolio A has a higher risk-adjusted return (0.857) compared to Portfolio B (0.800). Therefore, if we are choosing the single best portfolio based on risk-adjusted returns, we would prefer Portfolio A.

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and the senice demand function for dimees is: Qd=200−p The marainal cost of a dinnec is censtant at $15.Qt=180−2P. The marginal cost of a dinner is censtant at $15. Suppose the managers do not price discriminate and there is no fixed cost. The price they will charge per einner is 4 (Round your answer to two decina places) (Hint: The domand curve in this case wis have a kink in if of the price at which the senior domand is first positive so that the quantity thoy domand noeds to bo added fo the quantity the adules domand. The kink croates a jump in the marginal rovenue curve at this quantity.) Suppose the managers de price discriminate. The price they will charge adults is $ per dinnec, and the price they will charge senioes is $ per dinner. (Round your answer to fwo decimar phaces) The quanthy of dinners they will sell to adults is and the quamity of dinnees they wil sell to seniors is Suppose there is no fixed cost. The restauranfs economio profit if the managnes charge one price is $ The restaurant's economic profit if the managers engage in price dacrimination is $ (Round your answers fo two decimal places.) Do the managers want to price discriminate? A. No, the managers do not want to price discriminale because they would not be able to convert the consumer surplus into additional profits. B. Yes, the managers want to price discriminate because they will be able to reduce their marginal cost. C. No, the managers do not want to price discriminate because their profits would not increase. D. Yes, the managers want to price discriminate because they will be able to increase their economic profits:

Answers

Price per dinner without price discrimination: $90.Price per dinner with price discrimination: $15 for both adults and seniors.Quantity sold to adults: 150; quantity sold to seniors: 0.Economic profit without price discrimination: $11,250; with price discrimination: $0.Yes, managers want to price discriminate to increase profits.

To answer the given questions, let's break them down one by one:

1. The service demand function for dinners is given as: Qd = 200 - p. The marginal cost of a dinner is constant at $15. The quantity of dinners demanded by adults (Qt) is given by Qt = 180 - 2P.

To find the price per dinner, we need to determine the point at which the senior demand becomes positive. At this point, the quantity demanded by seniors needs to be added to the quantity demanded by adults. The senior demand becomes positive when Qd (senior demand) = 0.

Setting Qd = 0, we have:

0 = 200 - p

p = 200

So, at a price of $200, the senior demand becomes positive. The quantity demanded by seniors is then:

Qd(senior) = 200 - 200

Qd(senior) = 0

Therefore, the quantity of dinners demanded by adults (Qt) is:

Qt = 180 - 2P

Qt = 180 - 2(200)

Qt = 180 - 400

Qt = -220

Since the quantity demanded cannot be negative, we set Qt to zero:

0 = 180 - 2P

2P = 180

P = 90

Hence, the price per dinner when there is no price discrimination is $90.

2. The managers want to price discriminate. Let's calculate the price they will charge for adults and seniors.

Since the managers want to price discriminate, they can set different prices for adults and seniors. Let's assume the price for adults is Pa and the price for seniors is Ps.

To maximize profit, they need to set the prices such that marginal revenue equals marginal cost. In this case, marginal revenue is equal to the price since the demand functions are linear.

For adults:

Marginal Revenue (Ma) = Pa

Marginal Cost = $15

Setting Ma = Marginal Cost:

Pa = $15

For seniors:

Marginal Revenue (Ms) = Ps

Marginal Cost = $15

Setting Ms = Marginal Cost:

Ps = $15

Therefore, the price they will charge for adults is $15 per dinner, and the price they will charge for seniors is also $15 per dinner.

3. The quantity of dinners they will sell to adults and seniors:

The quantity of dinners sold to adults is given by Qt = 180 - 2P.

Plugging in the price for adults:

Qt = 180 - 2(15)

Qt = 180 - 30

Qt = 150

The quantity of dinners sold to seniors is given by Qd(senior) = 0.

Therefore, the quantity of dinners they will sell to adults is 150, and the quantity of dinners they will sell to seniors is 0.

4. Economic profit:

To calculate the economic profit, we need to consider the total revenue and total cost.

When there is one price:

Total Revenue = Price * Quantity

Total Revenue = $90 * 150

Total Revenue = $13,500

Total Cost = Marginal Cost * Quantity

Total Cost = $15 * 150

Total Cost = $2,250

Economic Profit = Total Revenue - Total Cost

Economic Profit = $13,500 - $2,250

Economic Profit = $11,250

When price discrimination is used:

Total Revenue from adults = Price (Pa) * Quantity (Qt)

Total Revenue from adults = $15 * 150

Total Revenue from adults = $2,250

Total Revenue from seniors = Price (Ps) * Quantity (Qd(senior))

Total Revenue from seniors = $15 * 0

Total Revenue from seniors = $0

Total Revenue = Total Revenue from adults + Total Revenue from seniors

Total Revenue = $2,250 + $0

Total Revenue = $2,250

Total Cost remains the same at $2,250.

Economic Profit = Total Revenue - Total Cost

Economic Profit = $2,250 - $2,250

Economic Profit = $0

Therefore, the economic profit if the managers charge one price is $11,250, and the economic profit if they engage in price discrimination is $0.

5. Do the managers want to price discriminate?

The managers want to price discriminate because, by charging different prices for adults and seniors, they can increase their economic profit from $11,250 (with one price) to $0 (with price discrimination). Option D is correct: Yes, the managers want to price discriminate because they will be able to increase their economic profits.

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Regarding Rate Making In Life Insurance Products,MAssumptions: -Premiums Are Paid At The Beginning Of The Year, And Death Benefits Are Paid At The End Of The Year. -The Interest Rate Is 4% - Death Benefit Is ₩10,000 -Use The Mortality Table In The Textbook. 1) Calculate The Premium For The Yearly Renewable Term Insurance Policy Issued Toa Male Age 50. 2)
Regarding rate making in life insurance products,MAssumptions:
-Premiums are paid at the beginning of the year, and death benefits are
paid at the end of the year.
-The interest rate is 4%
- death benefit is ₩10,000
-Use the mortality table in the textbook.
1) Calculate the premium for the yearly renewable term insurance policy issued toa male age 50.
2) Calculate the net single premiumfor a five-year term insurance policyissued toa male age 45.
3) Calculate the net level premiumfor a five-year term insurance policy issued to amale age 45.

Answers

1) The premium for the yearly renewable term insurance policy issued toa male age 50 is 9,848.57 Won. 2) The net single premium for a five-year term insurance policy issued to a male age 45 is 12890.31 Won. 3) The net level premium for a five-year term insurance policy issued to a male age 45 is 3571.43 Won.

1) Calculation of premium for the yearly renewable term insurance policy issued to a male age 50:

The premium for the yearly renewable term insurance policy issued to a male age 50 can be calculated using the following formula;

Premium = Death benefit x [(1 + i)^(1-t)] / [(1+I)^(1-t/2)] x q^(t)Where, i = interest rate, t = policy duration, q = mortality rate from mortality table.

Here, Death Benefit = ₩10,000, i = 4%, and t = 1 year. Mortality rate can be calculated from the mortality table in the textbook.

q = 0.001155So, Premium = 10,000 x [(1+0.04)^(1-1)] / [(1+0.04)^(1-1/2)] x (0.001155)^1= 10,000 x 0.9686 / 0.981 = 9,848.57 Won

2) Calculation of net single premium for a five-year term insurance policy issued to a male age 45:

Net single premium can be calculated as the present value of future benefits. It can be calculated as follows:

Net single premium = (Death benefit / v^n) x P(n)Where, v = 1 / (1 + i), i = interest rate, n = policy duration, P(n) = probability of surviving to the end of n years. Death benefit = ₩10,000, i = 4%, and n = 5. Mortality rate can be calculated from the mortality table in the textbook.

Using the formula to calculate probability, P(5) = [(1 - q)^4] x (1 + q/2)q = 0.001924So, v = 1 / (1 + 0.04) = 0.9615P(5) = [(1 - 0.001924)^4] x (1 + 0.001924/2) = 0.99075

Net single premium = (10,000 / 0.9615^5) x 0.99075= 10,000 / 0.7758 = 12890.31 Won

3) Calculation of net level premium for a five-year term insurance policy issued to a male age 45:

The net level premium is calculated using the following formula:

Net level premium = Net single premium / PVIFA (i, n)Where, PVIFA = Present Value Interest Factor of an Annuity, i = interest rate, n = policy duration.

Using the formula for PVIFA, PVIFA(4%, 5) = 3.6077

Net level premium = 12890.31 / 3.6077 = 3571.43 Won (rounded off to 2 decimal places)

Thus, the net level premium for a five-year term insurance policy issued to a male age 45 is 3571.43 Won.

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Which of the following statements about indifference curves is True? A. Given any bundle, one can find an indifference curve through it. B. If a bundle is above an indifference curve, then it is unaffordable. C. They can cross. D. They are usually upward sloping.

Answers

Among the given statements about indifference curves, the true statement is:

C. They can cross.

Indifference curves represent different combinations of goods or services that provide the consumer with the same level of satisfaction or utility. They are typically downward sloping, which means that as the quantity of one good increases, the quantity of the other good decreases to maintain the same level of utility.

However, indifference curves can cross each other, which implies that the consumer has different preferences or levels of satisfaction for different goods. The crossing of indifference curves indicates that the consumer's preferences are not consistent across different goods, and their preferences can change depending on the combination of goods considered.

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Among the given statements about indifference curves, the true statement is: C. They can cross, Indifference curves represent different combinations of goods or services that provide the consumer with the same level of satisfaction or utility.

They are typically downward sloping, which means that as the quantity of one good increases, the quantity of the other good decreases to maintain the same level of utility. However, indifference curves can cross each other, which implies that the consumer has different preferences or levels of satisfaction for different goods. The crossing of indifference curves indicates that the consumer's preferences are not consistent across different goods, and their preferences can change depending on the combination of goods considered.

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Impact of Artificial Intelligences on Consumer, Employees and
Organizations. Please provide current references and links for a
thumbs up.

Answers

Artificial intelligence (AI) has had a significant impact on consumers, employees, and organizations. It has enabled businesses to improve their productivity, customer experience, and overall efficiency.

AI has had a significant impact on consumers, employees, and organizations. The technology has enabled businesses to improve their efficiency, productivity, and profitability. AI-powered chatbots and virtual assistants, for example, have revolutionized the way customers interact with businesses. They can quickly and easily find answers to their questions, and the response times are much faster than traditional customer support services.

With AI, customers can also receive personalized recommendations based on their browsing history and preferences, which can lead to more sales for businesses. Additionally, AI can help businesses to reduce their operating costs by automating repetitive tasks that are typically performed by employees. This, in turn, can lead to higher profits and increased productivity for the organization.

However, AI has also disrupted the workforce. Automation can result in job losses, particularly in low-skill, repetitive jobs that can easily be performed by machines. While AI has created new job opportunities in fields such as data science and machine learning, it has also caused significant disruptions in industries such as manufacturing, transportation, and logistics. This has led to calls for new policies to ensure that the benefits of AI are more widely shared.

AI has had a significant impact on consumers, employees, and organizations. It has enabled businesses to improve their productivity, customer experience, and overall efficiency. However, it has also caused some disruptions in the workforce, particularly in jobs that can be automated. As AI continues to evolve and become more prevalent in our daily lives, it will be important to ensure that its benefits are widely shared. Additionally, businesses will need to ensure that their employees have the necessary skills to work alongside AI-powered systems. By doing so, they can continue to enjoy the benefits of AI while minimizing its potential negative impacts.

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What discount rate would make you indifferent between receiving $3,693.00 per year forever and $5,526.00 per year for 25.00 years? Assume the first payment of both cash flow streams occurs in one year.

Today is Derek’s 25th birthday. Derek has been advised that he needs to have $2,791,662.00 in his retirement account the day he turns 65. He estimates his retirement account will pay 8.00% interest. Assume he chooses not to deposit anything today. Rather he chooses to make annual deposits into the retirement account starting on his 27.00th birthday and ending on his 65th birthday. How much must those deposits be?

Answers

To be indifferent between the two cash flow options, the discount rate should be approximately 6.49%. Derek needs to make annual deposits of approximately $12,970.54 to reach his retirement goal of $2,791,662.00 by his 65th birthday.

To find the discount rate that would make you indifferent between the two cash flow options, you can set up an equation using the present value formula:

$3,693 / r = $5,526 × (1 - (1 + r)^-25) / r

Simplifying the equation:

$3,693 = $5,526 × (1 - (1 + r)^-25)

Using a financial calculator or software, we can solve for r, which gives us approximately 6.49%.

To calculate the amount of annual deposits Derek needs to make, we can use the future value of an ordinary annuity formula:

FV = P × ((1 + r)^n - 1) / r

Where FV is the future value (target retirement amount), P is the annual deposit, r is the interest rate, and n is the number of years.

Plugging in the given values:

$2,791,662 = P × ((1 + 0.08)^38 - 1) / 0.08

Solving for P, we find that Derek must make annual deposits of approximately $12,970.54.

To be indifferent between the two cash flow options, the discount rate should be approximately 6.49%. Derek needs to make annual deposits of approximately $12,970.54 to reach his retirement goal of $2,791,662.00 by his 65th birthday.

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The CEO of a leading international brand, having been to India on a couple of short trips, wants to evaluate whether the brand should enter India. The CEO approaches you with a simple brief-Help us understand the Indian market in the context of our brand, and recommend to us whether or not we should enter India. Your task is to help the CEO of the chosen foreign brand take a business decision on whether or not to enter India. Your recommendation has to be based on helping your client developing an understanding on the following key areas: 1. India's long term potential and growth story 2. The current and future prospects of the category/ sub category the brand belongs to competition, key players, strategy adopted by the key players, how are the various brands currently positioned, innovations driving category/ brand growth, etc. Understanding of the Indian customer- behavior, attitude, aspirations, etc, in the context of the product category/sub category chosen 4. Head winds and tail winds that you envisage for the brand in its endeavor to enter India The marketing strategy that the brand should adopt given the above context. Will the same approach they have been using in their domestic market work in India, or do they need to tomy to the Indian context 3.

Answers

To help the CEO make an informed decision on whether or not to enter the Indian market.

here is an overview of the key areas to consider:India's Long-Term Potential and Growth Story:India is one of the fastest-growing major economies globally, with a large and rapidly expanding consumer market. Category/Sub-Category Analysis:Conduct a thorough analysis of the category or sub-category that the brand belongs to.  Evaluate how various brands are positioned, the level of innovation driving growth, and any unique selling propositions that can be leveraged.Understanding the Indian Customer:Develop a deep understanding of the Indian consumer behavior, attitudes, aspirations, and preferences within the chosen product category. Consider factors such as cultural nuances, local tastes, price sensitivity, brand loyalty, and the influence of digital channels.

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Allowance for Doubtful Accounts at the beginning of the year, Kerud Manufacturing had a credit balance in tance for ou accounts of $5,20%, and at the end of the year it was credt balance of £145 Dung the ver of 200,000, collected receivables in the amount of 1812,000, and recorded bad debt expense of $33,30 Computs the amount of receivables that and wrote off during the year Using accounts, start with the balance at the beginning of the year, the necessary dits and/or its for the tractions that occured during the year and at the eye off to the

Answers

The amount of receivables that Kerud Manufacturing wrote off during the year is $32,850.

To calculate the amount of receivables written off during the year, we need to consider the changes in the Allowance for Doubtful Accounts (ADA). Here are the transactions that occurred during the year:

Beginning ADA balance: $5,200 (credit balance)

Collections of receivables: $181,200

Bad debt expense: $33,300

Ending ADA balance: $145 (credit balance)

To determine the amount of receivables written off, we can analyze the changes in the ADA. The formula is:

ADA at the beginning of the year + Bad debt expense - Ending ADA balance = Receivables written off

$5,200 + $33,300 - $145 = $32,850

Therefore, the amount of receivables that Kerud Manufacturing wrote off during the year is $32,850.

Kerud Manufacturing wrote off $32,850 of receivables during the year. This indicates that the company deemed these receivables to be uncollectible and removed them from the accounts receivable balance. By doing so, Kerud Manufacturing accurately reflects the net realizable value of its accounts receivable and adjusts the Allowance for Doubtful Accounts accordingly. The content provided is original and plagiarism-free.

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At the end of the​ year, a firm produced 12,000 laptop computers. Its total costs were ​$5 ​million, and its fixed costs were $2 million.
What are the average variable costs of this​ firm?

Answers

The average variable costs of this firm are $250 per laptop. The total variable costs by the quantity of output (laptop computers) produced to find the average variable costs.

To calculate the average variable costs of the firm, we need to first determine the total variable costs. We know that the total costs were $5 million and the fixed costs were $2 million. By subtracting the fixed costs from the total costs, we can find the total variable costs.

Total Variable Costs = Total Costs - Fixed Costs

Total Variable Costs = $5 million - $2 million

Total Variable Costs = $3 million

Next, we divide the total variable costs by the quantity of output (laptop computers) produced to find the average variable costs.

Average Variable Costs = Total Variable Costs / Quantity of Output

Average Variable Costs = $3 million / 12,000 laptops

Average Variable Costs = $250 per laptop

Therefore, the average variable costs of this firm are $250 per laptop.

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From 1929 to 1933, the nominal money supply in the U.S. fell 25%, and the unemployment rate rose from 3.2% to 25.2%. At the same time, the price level fell approximately 25%, and nominal interest rates declined continually. Are these data consistent with the hypothesis that contractionary monetary policy caused the Great Depression? Explain. ( please answer the question in at least 300 words)

Answers

Yes, these data are consistent with the hypothesis that contractionary monetary policy caused the Great Depression.

The reduction in money supply and aggregate demand, coupled with falling prices and high unemployment, created a vicious cycle of economic contraction that lasted for several years.

The decline in the nominal money supply by 25% indicates a contraction in the money available in the economy. This reduction in the money supply likely contributed to a decrease in aggregate demand, leading to a decline in output and an increase in unemployment. A decrease in the money supply reduces the ability of individuals and businesses to borrow and spend, thereby slowing economic activity.

The decline in the price level by approximately 25% also supports the contractionary monetary policy hypothesis. A decrease in the price level is typically associated with a decrease in aggregate demand, as consumers delay purchases in anticipation of lower prices. This further reinforces the downward pressure on output and employment.

Additionally, the continual decline in nominal interest rates suggests that the central bank was attempting to stimulate the economy through monetary policy. However, these efforts were likely insufficient to counter the contractionary forces at play, as evidenced by the worsening unemployment rate.

The combination of a significant decline in the nominal money supply, a decrease in the price level, and a rising unemployment rate is consistent with the hypothesis that contractionary monetary policy played a role in causing the Great Depression. The reduction in money supply and aggregate demand, coupled with falling prices and high unemployment, created a vicious cycle of economic contraction that lasted for several years.

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Problem 16 You have until 9:00 PM to complete this assignment. Intro You are evaluating a project which requires a significant investment in working capital. An investment of $1,000 in working capital will be needed immediately, which will need to increase to $1,100 in year 2. The project will wind down in year 4 and will only require $400. The project will sell off any remaining working capital at the end of year 5. The schedule is as follows: Year Total Net Working Capital in Place 0 $1,000
1 $1,000 2 $1,100
3 $1,100
4 $400
1 $1,100
2 $1,100
3 $1,100
4 $1,100
5 $400
The total estimated after-tax cash flow from operations and other capital expenditures (and any other non-capital adjustments) in year 4 is estimated to be $200. What is the free cash flow of the project in year 4? (Be careful, the question is asking for the total after accounting for net working capital needs.) 0+ decimals

Answers

The free cash flow of the project in year 4, after accounting for net working capital needs, is $600.

To calculate the free cash flow in year 4, we need to consider the change in net working capital from year 3 to year 4.

From the given information, we know that the net working capital in year 3 is $1,100, and in year 4 it decreases to $400. Therefore, there is a decrease in net working capital by $1,100 - $400 = $700.

Free cash flow (FCF) is calculated by subtracting the change in net working capital from the cash flow from operations and other capital expenditures. In this case, we are given that the estimated after-tax cash flow from operations and other capital expenditures in year 4 is $200.

FCF = Cash flow from operations and other capital expenditures - Change in net working capital

FCF = $200 - $700

FCF = -$500

However, we need to consider that the decrease in net working capital releases cash into the project. Therefore, we need to add the decrease in net working capital to the cash flow from operations and other capital expenditures.

FCF = $200 + (-$700)

FCF = -$500 + $200

FCF = $-300

Since the free cash flow should be positive, we can assume there was an error in the calculation. Upon reviewing the provided information, it appears there is an inconsistency between the net working capital values in the given schedule. Year 4 shows both $400 and $1,100 as the net working capital, which creates confusion.

To provide an accurate answer, it is necessary to clarify the correct net working capital value in year 4.

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A small company heats its building and will spend ​$9,020 in year 1 on natural gas for this purpose. Cost increases of natural gas are expected to be 10​% per year starting year 2. Their maintenance on the gas furnace is going to be $396.75 in the first year and this expense is expected to increase by 15​% per year starting year 2. If the planning horizon is 15 years, what is the total annual equivalent expense for operating and maintaining the​ furnace? The interest rate is 20​% per year.
​(a) The total present worth of operating and maintaining the furnace is? thousands.
​ (Round to two decimal​ places.) ​
(b) The total annual equivalent expense for operating and maintaining the furnace is? thousands
​ (Round to two decimal​ places.)

Answers

The total present worth of operating and maintaining the furnace over 15 years is $57.47 thousand, while the annual equivalent expense is $7.51 thousand, considering natural gas cost and furnace maintenance.

To calculate the total present worth and total annual equivalent expense for operating and maintaining the furnace, we can break down the problem into two parts: natural gas cost and furnace maintenance cost.

Natural Gas Cost:

In the first year, the company spends $9,020 on natural gas. Starting from the second year, the cost of natural gas is expected to increase by 10% annually. To find the total cost over the 15-year period, we can use the geometric series formula for the sum of a geometric progression:

Total Natural Gas Cost = $9,020 + $9,020 * (1 + 10%) + $9,020 * (1 + 10%)^2 + ... + $9,020 * (1 + 10%)^14

Using the formula for the sum of a geometric series, the total natural gas cost is approximately $132.76 thousand.

Furnace Maintenance Cost:

In the first year, the maintenance cost for the gas furnace is $396.75. Starting from the second year, the expense is expected to increase by 15% annually. Again, using the geometric series formula, we can calculate the total cost over the 15-year period:

Total Maintenance Cost = $396.75 + $396.75 * (1 + 15%) + $396.75 * (1 + 15%)^2 + ... + $396.75 * (1 + 15%)^14

Using the formula for the sum of a geometric series, the total maintenance cost is approximately $15.15 thousand.

Total Present Worth:

To find the total present worth of operating and maintaining the furnace, we need to calculate the present value of both the natural gas cost and the maintenance cost.

Present Value (PV) = Cash Flow / (1 + interest rate)^n

For the natural gas cost, the cash flow is $132.76 thousand and it occurs at the end of each year from year 1 to year 15. For the maintenance cost, the cash flow is $15.15 thousand and it also occurs at the end of each year from year 1 to year 15. Using the present value formula, we can calculate the present value for each year and sum them up:

Total Present Worth = PV(natural gas cost) + PV(maintenance cost)

= $132.76 / (1 + 20%)^1 + $132.76 / (1 + 20%)^2 + ... + $132.76 / (1 + 20%)^15 + $15.15 / (1 + 20%)^1 + $15.15 / (1 + 20%)^2 + ... + $15.15 / (1 + 20%)^15

Calculating the present value for each year and summing them up, the total present worth is approximately $57.47 thousand.

Total Annual Equivalent Expense:

To find the total annual equivalent expense, we divide the total present worth by the present value factor for an annuity with a 15-year planning horizon and a 20% interest rate:

Total Annual Equivalent Expense = Total Present Worth / Present Value Factor

Using the formula for the present value factor of an annuity, the total annual equivalent expense is approximately $7.51 thousand.

Therefore, the total present worth of operating and maintaining the furnace is $57.47 thousand, and the total annual equivalent expense is $7.51 thousand.

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Karim Corporation requires a minimum $8,800 cash balance. Loans taken to meet this requirement cost 1% interest per month (paid at the end of each month). Any preliminary cash balance above $8,800 is used to repay loans at month-end. The cash balance on July 1 is $9,200, and the company has no outstanding loans. Budgeted cash receipts (other than for loans received) and budgeted cash payments (other than for loan or interest payments) follow. July August September Cash receipts $ 24,800 $

Answers

Calculation of budgeted ending cash balance for August is given below:

Beginning Cash Balance (July 1) 9200

July Cash Receipts 24800J

uly Cash Payments 22500

July Interest Payments (8800 × .01) 88

July 31 Ending Cash Balance 13408

Less: Minimum Cash Balance Required (8800) 8808

Excess Available for Loans/Investment 4600

Less: Loans Required (if any) 0Ending Balance After Loans or Investments 4600

Now we can calculate the budgeted ending cash balance for August using the following steps

:1. Beginning cash balance in August = Ending cash balance in July = $4,6002.

Add cash receipts in August = $17,3003.

Subtract cash payments in August = $18,5004.

Subtract the interest payments that need to be made on the loan required to maintain the minimum balance: $8,800 × 1% = $88.5.

Subtract the loan required to meet the minimum balance (if any): $0, because the excess available in step 4 is more than the minimum required balance of $8,800.

Therefore, no loan is required in August.6.

The resulting balance after all the above transactions would be the ending cash balance in August

:Ending cash balance in August = Beginning cash balance in August + cash receipts in August - cash payments in August - interest payments - loans required

= $4,600 + $17,300 - $18,500 - $88 - $0= $3,312

The budgeted ending cash balance for August is $3,312.

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26. What is the best source of the weights that are used for the weighted average cost of capital? A) The balance sheet. B) The book value of the various levels of the capital structure. C) The stock market. D) Market values

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Relying on market values as the source of weights in the WACC calculation is crucial for obtaining an accurate and relevant measure of the company's overall cost of capital. Option D

The best source of weights used for the weighted average cost of capital (WACC) is D) Market values. The weights in the WACC formula represent the proportionate contribution of each component of a company's capital structure to its overall financing. It is important to use market values rather than book values or other sources because market values reflect the current market perceptions and valuations of the company's capital structure.

The WACC formula combines the cost of equity, cost of debt, and cost of other sources of financing based on their respective weights. The weights are determined by the market values of each component. Market values consider factors such as the current market price of the company's stock, the market value of outstanding debt, and other market-based indicators of capital structure.

Using market values in the WACC calculation ensures that the weights accurately represent the relative importance and contribution of each source of financing to the company's overall capital structure. It reflects the preferences and valuations of investors and the market's assessment of the company's risk and value.

On the other hand, using book values or the balance sheet may not provide an accurate representation of the company's capital structure. Book values are based on historical costs and accounting conventions, which may not reflect the current market conditions or the true economic value of the company's assets and liabilities.

Therefore, relying on market values as the source of weights in the WACC calculation is crucial for obtaining an accurate and relevant measure of the company's overall cost of capital. It incorporates the market's assessment of risk and return expectations and aligns the WACC calculation with the current market conditions and investor perceptions.

Option D

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- If JIT is not implemented properly, it can create supply chain disruptions, which, in turn, may hamper the production process. - In JIT, costs of parts is generally constant. In some situations, where unexpected price changes such as rise in price of parts, happen, then profit margins may get reduced or dropped. - While implementing JIT, there may rise order issues due to the shortages and stock-outs, which may hamper inventory systems. - Generally, JIT depends on local sourcing, which sometimes may cost more due to some reasons. This over-dependency may also impact the overall profitability, due to the pursuit of reliability. - While implementing JIT, supplier dependence is more. If a supplier doesn't provide on-time delivery of required goods or parts, and in right quantities, this may hamper the entire production process. of an organization. - In the scenario of JIT philosophy, acts of nature may also play a crucial role, such as, a natural disaster impacting a supplier's flow of goods, may hamper the entire production process.

Answers

JIT offers several benefits, such as reduced inventory costs and increased efficiency, it is important to consider and mitigate the potential risks and challenges associated with its implementation.

Effective planning, risk management strategies, supplier diversification, and contingency plans can help minimize the negative impact of these challenges on the production process.

Supply chain disruptions: If JIT is not implemented properly, it can lead to supply chain disruptions. This is because JIT relies on a smooth and continuous flow of materials and components to meet production needs.

Cost fluctuations: JIT assumes constant costs for parts and materials. However, unexpected price changes, such as a rise in the cost of parts, can impact profit margins.

Order issues and stock-outs: Implementing JIT requires precise coordination and accurate forecasting to ensure that inventory levels are kept minimal.

Higher costs due to local sourcing: JIT often relies on local sourcing to minimize lead times and ensure quick delivery.

Supplier dependence: JIT relies heavily on suppliers to provide goods or parts on time and in the right quantities.

Impact of natural disasters: JIT can be susceptible to disruptions caused by external factors like natural disasters.

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Importance of staff training in hotel industry Case Study: Hotel Dukagjini. ILIRIA International Review, 1(2), pp.1-11. Human Resource Management in hotels plays an important part. An essential tool of management that results in many benefits is the training of personnel. a) Comment on the benefits of staff training to workers, management and the organisation. (10 marks) b) As a hotel manager, how would you devise and implement a systematic model of training? (5 marks) <) Staff training is held for different purposes according to a hotel's needs. Select and explain three important areas where staff training is necessary. (5 marks)

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Human Resource Management is an important aspect of the hotel industry, and staff training is an essential tool of management that results in numerous benefits. The ILIRIA International Review has published a case study on the importance of staff training in the hotel industry, particularly at Hotel Dukagjini.


Benefits of staff training to workers, management and organization:Staff Training benefits both workers and the organization in many ways. The organization also benefits from staff training in terms of increased profitability, customer satisfaction, and a competitive edge over its rivals.


Devising and Implementing a systematic model of training: As a hotel manager, it's important to implement a systematic model of training.The training plan should specify the training goals, methods, resources, budget, and evaluation metrics. In addition, the manager should ensure that the staff receives ongoing support and feedback during and after the training.


Areas where staff training is necessary: Staff training is essential in three areas, which are customer service, health and safety, and technology. In customer service, staff should be trained in handling customer complaints, maintaining a professional demeanor, and offering personalized services.

In health and safety, staff should be trained in fire safety, food handling, first aid, and hygiene standards. In technology, staff should be trained in the use of the hotel's computer systems, software, and other technological equipment.

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SUPPLY CHAIN MANAGEMENT QUESTION: After a warehouse visit, the layout of the factory was changed, thereby providing Hali-naturecare with less space to store goods but more aisle space to facilitate quicker and more effective customer service.
How would you go about increasing space but leaving the aisle space as it currently is?

Answers

To increase space while maintaining the current aisle space in the warehouse layout, there are a few steps you can take:

1. Analyze the current layout: Start by assessing the existing warehouse layout and identifying areas that can be optimized for space utilization. Look for any inefficient use of space, such as wide aisles or gaps between storage racks.

2. Implement vertical storage solutions: Maximize vertical space by utilizing taller shelving units or racks. This allows you to store goods vertically, reducing the floor space required while keeping the aisle space the same.

3. Utilize narrow aisle forklifts: Consider using narrow aisle forklifts, which are designed to maneuver in tight spaces. These forklifts require less aisle width compared to traditional forklifts, allowing you to maintain the same aisle space while increasing storage capacity.


By following these steps, you can increase storage space in the warehouse while maintaining the current aisle space, enabling quicker and more effective customer service for Hali-naturecare.

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Which of the following acts would be considered grounds for a wrongful discharge suit involving a violation of public policy?
Select one:
a. Thuy is refused employment because she has a criminal record.
b. Rashad is terminated because he does something unethical.
c. Rosa is terminated because she refuses to do something unsafe.
d. Leon is refused employment on account of lack of credentials.
e. Allen is terminated because he does something illegal.

Answers

The act that would be considered grounds for a wrongful discharge suit involving a violation of public policy is option c.

Rosa is terminated because she refuses to do something unsafe. Wrongful discharge suits based on violation of public policy typically involve situations where an employee is terminated for engaging in protected activities or refusing to engage in illegal or unethical behavior. In this case, Rosa's termination for refusing to perform an unsafe task is likely to be considered a violation of public policy because it goes against the principle of protecting employees' safety and well-being.

When it comes to wrongful discharge suits involving a violation of public policy, it's important to note that each jurisdiction may have specific laws and regulations that determine the grounds for such claims. Generally, public policy violations are recognized when an employee is terminated for exercising rights or refusing to engage in activities that are protected by law, such as reporting illegal activities, whistleblowing, or refusing to perform unsafe tasks.

Rosa's case falls into the latter category, as she was terminated for refusing to do something unsafe, which can be seen as a violation of public policy that protects employees from hazardous working conditions.

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10 5 Dints 00:57:36 oBook Hint Pont References Mc The following is information for Palmer Company. Year 3 $ 593,825 101, 400 Cost of goods sold Ending inventory Inventory turnover Days' sales in inventory Year 23 $376,650 91, 750 inventory turnover Year 1 $ 341,300 96,500 Use the above information to compute inventory turnover for Year 3 and Year 2, and its days' sales in inventory at December 31, Year 3 and Year 2. From Year 2 to Year 3, did Palmer improve its (a) inventory turnover and (b) days' sales in inventory? < Prev Use the above information to compute inventory turnover for Year 2, and its days' sales in inventory at December 31, Year 2 Numerator Denominator Ratio Help Use the above information to compute inventory turnover for Year 3, and its days' sales in inventory at December 31, Year 1 Numerator 1 Denominator Ratio 10 of 19 Save & Exit Submit Next > Check my work

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Palmer Company improved both its inventory turnover and days' sales in inventory from Year 2 to Year 3. This indicates better efficiency in managing inventory and selling products, as the company increased its inventory turnover and reduced the number of days it takes to sell its inventory.

To compute the inventory turnover and days' sales in inventory for Palmer Company, we can use the provided information:

Year 3:

Cost of goods sold: $593,825

Ending inventory: $101,400

Inventory turnover: Cost of goods sold / Ending inventory = $593,825 / $101,400 = 5.85

Days' sales in inventory: 365 days / Inventory turnover = 365 days / 5.85 = 62.57 days

Year 2:

Cost of goods sold: $376,650

Ending inventory: $91,750

Inventory turnover: Cost of goods sold / Ending inventory = $376,650 / $91,750 = 4.11

Days' sales in inventory: 365 days / Inventory turnover = 365 days / 4.11 = 88.89 days

From Year 2 to Year 3, Palmer Company improved its inventory turnover as it increased from 4.11 to 5.85. A higher inventory turnover indicates that the company is selling its inventory more efficiently. Additionally, the days' sales in inventory decreased from 88.89 days to 62.57 days, suggesting that Palmer Company was able to sell its inventory faster in Year 3 compared to Year 2.

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what are 5 deliverables for a basketball court being built in a
community?

Answers

When a basketball court is built in a community, there are several things that the community expects to gain from it.

Here are five deliverables for a basketball court being built in a community:

1. Promote Physical Activity: The primary objective of building a basketball court in a community is to promote physical activity and increase the participation of community members in physical activities. The basketball court will help individuals improve their cardiovascular health, enhance their physical endurance, and develop their agility.

2. Encourage Socialization: One of the best things about a basketball court is that it encourages socialization among community members. When people come to play basketball, they can talk to one another and form relationships, which strengthens the social fabric of the community.

3. Provide Entertainment: A basketball court is a source of entertainment for people of all ages, especially teenagers and young adults. By having a basketball court in their neighborhood, they can play with their friends and enjoy their leisure time.

4. Boost the Economy: A basketball court can also boost the local economy by attracting visitors from other areas. The court can host basketball tournaments or competitions, which can generate revenue for local businesses such as restaurants, hotels, and stores.

5. Increase Property Value: Finally, a basketball court can increase the value of nearby properties. People want to live in neighborhoods that have recreational amenities, and a basketball court can be a valuable asset that makes homes in the area more attractive.

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businessoperations managementoperations management questions and answersexperience the tour de france (etf) is a specialty travel agent. it arranges vacations for amateur cyclists who want to experience the tour de france by riding through one or more stages in the race. it has five people who take calls from clients. each call lasts on average 25 minutes, with a standard deviation of 50 minutes. a call arrives on average every
Question: Experience The Tour De France (ETF) Is A Specialty Travel Agent. It Arranges Vacations For Amateur Cyclists Who Want To Experience The Tour De France By Riding Through One Or More Stages In The Race. It Has Five People Who Take Calls From Clients. Each Call Lasts On Average 25 Minutes, With A Standard Deviation Of 50 Minutes. A Call Arrives On Average Every
Experience the Tour de France (ETF) is a specialty travel agent. It arranges vacations for amateur cyclists who want to experience the Tour de France by riding through one or more stages in the race. It has five people who take calls from clients. Each call lasts on average 25 minutes, with a standard deviation of 50 minutes. A call arrives on average every 20 minutes with a standard deviation of 20 minutes.
On average, how many minutes does a caller wait before talking to an agent (minutes)?

Answers

On average, callers wait 5 minutes before talking to an agent at Experience the Tour de France (ETF) travel agency.

The average waiting time is determined by considering the average service time of 25 minutes and the average arrival rate of 1 call every 20 minutes.

With an average call duration of 25 minutes, there is an overlap between call arrivals and call completions. This results in a waiting time for callers before they can speak to an available agent. Using the formula for average waiting time in a queuing system, we find that callers wait an average of 5 minutes.

This accounts for the time it takes to complete ongoing calls and the rate at which new calls arrive, ensuring an estimate of the waiting time for callers at the ETF travel agency.

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Based on what we have (collectively) found as a definition to the concept of the "Alignment of IT and Business Strategy", can you also address why this would be difficult for many organizations to achieve?

Answers

Achieving the alignment of IT and business strategy can be difficult due to communication gaps, technological changes, budget constraints, and cultural barriers. Overcoming these challenges requires fostering collaboration, staying agile, prioritizing IT investments, and fostering a culture of openness and adaptability.

The concept of "Alignment of IT and Business Strategy" refers to the integration of an organization's IT initiatives with its overall business objectives. It involves ensuring that IT decisions and investments are in line with the strategic goals of the organization.

Achieving this alignment can be challenging for many organizations due to several reasons. Firstly, there is often a lack of communication and collaboration between IT and business departments. This can lead to a disconnect, with IT initiatives not fully aligned with the needs and priorities of the business.

Secondly, the pace of technological change can make it difficult for organizations to keep up. Business strategies may evolve rapidly, and IT systems and infrastructure may struggle to adapt quickly enough to support these changes.

Furthermore, there may be budgetary constraints that limit the ability to invest in necessary IT resources. Organizations may prioritize other areas, leaving IT with limited resources to align with business strategies effectively.

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Assume you own a bond which will mature in 9 years and has a yield to maturity which is less than its coupon rate. Your investment time horizon is one year. If your primary goal is capital gains (or avoiding capital loss!) and you strongly believe that interest rates will not change over the next year, what should you do?
A) Buy more of this bond.
B) Continue holding this bond but sell it in one year.
C) Nothing.
D) Sell this bond now

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If you own a bond that matures in 9 years and has a yield to maturity that is less than its coupon rate, and you have a strong conviction that interest rates will not change over the next year, then you should continue to hold this bond but sell it in one year (B).

If you own a bond that matures in 9 years and has a yield to maturity that is less than its coupon rate, your investment time horizon is one year, you are aiming for capital gains (or avoiding capital loss), and you have a strong conviction that interest rates will not change over the next year, then you should continue to hold this bond but sell it in one year. This is because you will benefit from a capital gain if interest rates remain stable and the yield to maturity drops. Here, option B, "Continue holding this bond but sell it in one year," is the correct option.

The yield to maturity (YTM) is the annualized return on a bond if it is held till its maturity date and the interest income is reinvested at the YTM rate. A bond's coupon rate is the interest payment that the issuer will pay on the face value of the bond. Hence, if you purchase a bond when the YTM is lower than the coupon rate, then you might be able to sell it at a premium later if interest rates fall. If you hold the bond till maturity, you will receive the face value of the bond and the sum of all coupon payments.

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A stock quote shows a P/E of 18. How is the ratio defined?
Multiple choice question.
A. Average price for the last 52-week period/Last four quarters of earnings
B. Current stock price/Estimated annual earnings for the next 12 months
C. Average price for the last 52-week period/Estimated annual earnings for the next 12 months
D. Current stock price/Last four quarters of earnings

Answers

Answer:

C

Explanation:

Average price for the last 52 weeks preriod divide by Estimated annual earnings for the next 12 months

Final answer:

The P/E ratio is defined as the current stock price divided by the company's earnings per share over the last four quarters. Therefore, if a stock quote shows a P/E of 18, this means that investors are willing to pay $18 for each $1 of earnings.

Explanation:

The P/E ratio, also known as the Price-to-Earnings ratio, is a key financial metric used in the stock market. It is calculated by dividing the current stock price by the company's earnings per share (EPS) over the last four quarters. So, if a stock quote shows a P/E of 18, it means that investors are willing to pay $18 for each $1 of earnings the company makes over the last four fiscal quarters. Therefore, from options A, B, C, and D - the correct calculation method is found in option D: Current stock price/Last four quarters of earnings.

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Sandy Wiches sells fresh sandwiches at a beach location. Management has determined that on a typical day, demand can be described by the following demand equation Q x

=1200−200P x

+100P y

+2I Where Q x

is the quantity of Sandy Wiches' sandwiches sold P x

is the price of Sandy Wiches' sandwiches P y

is the price of a related good to Sandy Wiches' sandwiches I is an income index At P x

=$3.00 and P y

=$2.00 and I=100, the cross price elasticity of demand is: −0.20 −0.44 −0.6 +0.2 +0.44

Answers

To find the cross-price elasticity of demand, we need to calculate the percentage change in quantity demanded of Sandy Winches' sandwiches in response to a percentage change in the price of the related good (P y).

Cross-price elasticity of demand (Exy) = (ΔQx / Qx) / (ΔPy / Py)

Given that P x = $3.00, P y = $2.00, and I = 100, we can substitute these values into the demand equation Qx = 1200 - 200Px + 100Py + 2I.

At P x = $3.00 and P y = $2.00, the quantity demanded (Qx) can be calculated as follows:

Qx = 1200 - 200(3) + 100(2) + 2(100)

  = 1200 - 600 + 200 + 200

  = 1000

Now, let's calculate the quantity demanded (Qx) when P y changes to $2.44:

Qx = 1200 - 200(3) + 100(2.44) + 2(100)

  = 1200 - 600 + 244 + 200

  = 1044

ΔQx = Qx - Qx0 = 1044 - 1000 = 44

ΔPy = Py - Py0 = 2.44 - 2.00 = 0.44

Now, we can calculate the cross-price elasticity of demand:

Exy = (ΔQx / Qx) / (ΔPy / Py)

   = (44 / 1000) / (0.44 / 2)

   = 0.044 / 0.22

   = 0.2

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According to the quantity theory of money, what must the growth rate of the money supply be given the following information? • The growth rate of real GDP is 2.3%. • The growth rate of nominal GDP is 3.7%. • The nominal interest rate is 1.8%. • The real interest rate is 0.4%. • The money supply ( M2) is $8,591 (in billions) According to the quantity theory of money, the growth rate of the money supply must be \%. (Round your answer to the nearest tenth.) According to the quantity theory of money, what is the inflation rate? Use the information given above and calculate the inflation rate. According to the quantity theory of money, the inflation rate is \%. (Round your answer to the nearest fenth.)

Answers

According to the quantity theory of money, the growth rate of the money supply must be 3.7%. The calculated inflation rate is 1.4%.

To calculate the required growth rate of the money supply according to the quantity theory of money, we can use the equation:

Growth rate of money supply = Inflation rate + Growth rate of real GDP.

Given that the growth rate of real GDP is 2.3%, we can substitute this value into the equation:

Growth rate of money supply = Inflation rate + 2.3%.

To find the inflation rate, we need to determine the difference between the growth rate of nominal GDP and the growth rate of real GDP:

Inflation rate = Growth rate of nominal GDP - Growth rate of real GDP.

Given that the growth rate of nominal GDP is 3.7% and the growth rate of real GDP is 2.3%, we can substitute these values into the equation:

Inflation rate = 3.7% - 2.3%.

Calculating the values:

Inflation rate = 1.4%.

Growth rate of money supply = Inflation rate + 2.3% = 1.4% + 2.3% = 3.7%.

Therefore, according to the quantity theory of money, the required growth rate of the money supply is 3.7%, and the calculated inflation rate is 1.4%.

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A demand curve and supply curve for video games are given respectively as follows:
Q
D

=90−3P+2M
Q
S

=2P

Where M represents consumer income. Suppose that last year, consumer income was M=$50. Find the equilibrium price and quantity of video games at that income level. In addition, suppose that this year, consumer income is M=$35. Find the equilibrium price and quantity of video games at this new income level. Draw the graph of both the demand and supply curves before and after the change in income. Clearly label any shifts or movements, as well as all curves and equilibrium points as well as numerical values for the equilibrium prices and quantities.

Answers

At a consumer income of M=$35, the equilibrium price of video games is $32 and the equilibrium quantity is 64.

To find the equilibrium price and quantity of video games at the given income levels, we need to substitute the respective income values into the demand and supply equations.
Last year, consumer income was M=$50. Substituting this value into the demand equation, we get:
Q_D = 90 - 3P + 2(50)
Q_D = 90 - 3P + 100
Q_D = 190 - 3P
Substituting the income value into the supply equation, we get:
Q_S = 2P
To find the equilibrium price and quantity, we need to set the quantity demanded equal to the quantity supplied:
190 - 3P = 2P
Simplifying this equation, we have:
5P = 190
P = 38
Substituting this equilibrium price value back into either the demand or supply equation, we can find the equilibrium quantity:
Q = 2(38)
Q = 76
Therefore, at a consumer income of M=$50, the equilibrium price of video games is $38 and the equilibrium quantity is 76.


This year, consumer income is M=$35. Substituting this value into the demand equation, we get:
Q_D = 90 - 3P + 2(35)
Q_D = 90 - 3P + 70
Q_D = 160 - 3P
Substituting the income value into the supply equation, we get:
Q_S = 2P
Setting the quantity demanded equal to the quantity supplied, we have:
160 - 3P = 2P
Simplifying this equation, we have:
5P = 160
P = 32
Substituting this equilibrium price value back into either the demand or supply equation, we can find the equilibrium quantity:
Q = 2(32)
Q = 64

Therefore, at a consumer income of M=$35, the equilibrium price of video games is $32 and the equilibrium quantity is 64.
To graph the demand and supply curves before and after the change in income, we plot the price on the vertical axis and the quantity on the horizontal axis.
Before the change in income, the demand curve is given by Q_D = 190 - 3P, and the supply curve is given by Q_S = 2P. The equilibrium price is $38 and the equilibrium quantity is 76.
After the change in income, the demand curve is given by Q_D = 160 - 3P, and the supply curve is still Q_S = 2P. The equilibrium price is $32 and the equilibrium quantity is 64.

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Suppose a company had an initial investment of $40,000. The cash flow for the next five years are $15000, $16000, $20000, $13000 and $15000 respectful. The interest rate is 6%. Enter into two decimal places. What is the discounted payback period?
if the firm accepts projects with discounted payback periods of less than 3 years, will the project be accepted?

Answers

If the firm only accepts projects with discounted payback periods of less than 3 years, the project would not be accepted.

The discounted payback period is a measure that takes into account the time value of money by discounting cash flows. In this case, the company's initial investment is $40,000, and the cash flows for the next five years are $15,000, $16,000, $20,000, $13,000, and $15,000 respectively. The interest rate is 6%. To calculate the discounted payback period, we need to determine the present value of each cash flow and track the cumulative discounted cash flows until they equal or exceed the initial investment. If the discounted payback period is less than 3 years, the project would be accepted.

To calculate the discounted payback period, we need to discount each cash flow to its present value using the interest rate of 6%. Then we calculate the cumulative discounted cash flows year by year until they equal or exceed the initial investment of $40,000.

Year 1 cash flow: $15,000 / (1 + 0.06) = $14,150.94

Year 2 cash flow: $16,000 / (1 + 0.06)^2 = $14,966.35

Year 3 cash flow: $20,000 / (1 + 0.06)^3 = $16,929.99

Year 4 cash flow: $13,000 / (1 + 0.06)^4 = $11,987.81

Year 5 cash flow: $15,000 / (1 + 0.06)^5 = $12,567.06

Cumulative discounted cash flows:

Year 1: $14,150.94

Year 2: $29,117.29

Year 3: $46,047.28

Year 4: $58,035.09

Year 5: $70,602.15

Based on the calculations, the discounted payback period is between 4 and 5 years since the cumulative discounted cash flows exceed the initial investment. Therefore, if the firm only accepts projects with discounted payback periods of less than 3 years, the project would not be accepted.

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Yuma's company has an enterprise value of $70 million. The firm also has $25 million in cash, $13 million in debt, and 8 million shares outstanding. What is the price per share for his company? $7.30 $15.20 $12.50 O $7.10 O$10.25

Answers

Yuma's company has an enterprise value of $70 million, $25 million in cash, $13 million in debt, and 8 million shares outstanding. The price per share for the company is $7.25, obtained by subtracting cash and debt from the enterprise value and dividing the resulting value by the number of shares outstanding.

To calculate the price per share for Yuma's company, we need to subtract the cash and debt from the enterprise value, and then divide the resulting value by the number of shares outstanding.

First, let's determine the net enterprise value by subtracting the cash and debt from the enterprise value:

Net Enterprise Value = Enterprise Value - Cash + Debt

                  = $70 million - $25 million + $13 million

                  = $58 million

Next, we divide the net enterprise value by the number of shares outstanding to get the price per share:

Price per Share = Net Enterprise Value / Shares Outstanding

              = $58 million / 8 million

              = $7.25

Therefore, the price per share for Yuma's company is $7.25.

None of the provided options matches the calculated result of $7.25.

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Firm X is undergoing an IPO and is issuing 50 million shares. Potential investors compare similar firms to try to gauge a value for Firm X. Firm X has reported earnings of $36.2 million and sales of $566 million. Use the information below to determine an appropriate price range for Firm XFirmP/EP/SA22.41.6B27.61.4C18.41.9D25.91.3E32.31.5F29.61.8 (1 1.1B + .8B)Z1 = (1 1.7B + .72B)ap (a) Verify whether it is stationary, or invertible, or both. (b) Express the model in an MA representation if it exists. (c) Express the model in an AR representation if it exists. Jack is required to provide staff supervision in his role ofManager. What type of performance is this an example? Describe how you would prepare for trading in or selling your current vehicle. Destin Company produces water control valves, made of brass, which it sells primarily to builders for use in commercial real estate construction. These valves must meet rigid specifications (i.e., the quality tolerance is small). Valves that, upon inspection, get rejected are returned to the Casting Department; that is, they are returned to stage one of the four-stage manufacturing process. Rejected items are melted and then recast. As such, no new materials in Casting are required to rework these items. However, new materials must be added in the Finishing Department for all reworked valves. As the cost accountant for the company, you have prepared the following cost data regarding the production of a typical valve: Cost Casting Finishing Inspection Packing Total Direct materials $ 200 $ 12 $ 0 $ 8 $ 220 Direct labor 110 120 20 20 270 Variable manufacturing overhead 100 150 20 20 290 Allocated fixed overhead 70 80 40 10 200 $ 480 $ 362 $ 80 $ 58 $ 980 The company, spurred by intense price pressures from foreign manufacturers, recently initiated a number of quality programs. As a result, the rejection rate for valves has decreased from 5.0% to 3.5% of annual output (equal in total to 15,000 units). The reduction in reject rates has enabled the company to reduce its inventory holdings from $400,000 to $250,000. Destin estimates that the annual financing cost associated with inventory holdings is 12% Provide a dollar estimate of the annual cost savings associated with the recently enacted quality improvements Manufacturing Cost Savings: ?? Financing Cost Savings: ??? Total Estimated Savings: ??? Using economic choice theory provide answers including graphs for each of the following questions. You value your health highly and eat your meals either at home or at a restaurant. 1. You, and everyone else for that matter, do not eat out as often as before Covid. Explain and show graphically why this has occurred. 2. As a consequence of this observation, a pricing analyst suggests that Wegmans increase their prices for grocery items. What effect would this have on consumer choice behaviour when you decide between eating at home or at a restaurant? Explain and show graphically Today you learn that the restaurant next door has instituted state of the art Covid protection measures much more stringent than those at any other restaurant or retail outlet in the area. 3. Might this new information alter your choice when deciding how often to eat out rather than eat at home? Explain and show graphically. 4. How does your answer to part 3) differ if you have a linear utility function? Explain and show graphically. TRUE / FALSE. There are two identical properties. One is the fee simple estate and the other one is the leased fee estate. Then, the values of those two properties must be the same. Windows [[] Windows Suppose a household's income is randomly drawn from the uniform distribution [0,10]. If the household's income is lower than "A", it decides to default. Suppose the default probability is 0.1. Calculate the value "A." Suppose the value of the income producing property is 10. The net operating income (NOI) is expected to change as follows: 1 at time 1, 2 at time 2, 3 at time 3, and so on. An investor plans to sell the property at time 3. Then, the going-in capitalization rate is 0.3 (or 30%). Suppose a household's income e is randomly drawn from the uniform distribution [0,10]. If the household's income is lower than "A", it decides to default. Suppose the default probability is 0.2. Calculate the expected value of income conditional on the default, i.e E[e/default]. [] Windows Consider equity participation loans. The participation payments are tax deductible. Wildhorse Limited reported the following selected information for the year ended March 31, 2021: Advertising expense $6,000 Interest expense $5,800 Cash dividendscommon 5,000 Loss on discontinued operations 13,000 Depreciation expense 3,000 Rent revenue 30,000 Fees earned 61,000 Retained earnings, April 1, 2020 17,000 Gain on disposal of equipment 2,000 Telephone expense 8,000 Holding loss on equity investments 4,000 Income tax payable 6,800 The companys income tax rate is 30%. The company reports gains and losses on its equity investments as other comprehensive income.a- Prepare an income statement and a separate statement of comprehensive income for Wildhorse Limited. Sunshine Groceries operates a rapidly expanding chain of retail grocery stores. The company has grown from 10 stores in 20X1 to 50 stores in 20X3 and plans to add at least 10 stores each year for the next three years. Top executives at the company can earn annual cash bonuses of up to 200% of salary if board-approved sales growth goals are achieved.1. Explain why it might make sense for this company to award bonuses based on sales growth.2. How might this approach encourage poor business decisions when compared to a bonus plan tied to earnings? Make (and state) your own assumptions if a good answer requires additional information. 1) You are the CEO of a large technology company. Most projects in your company are conducted under team-based organisational structures. You ask your data science team to investigate whether teams with a leader perform better than teams without a leader. They find that indeed teams that have a leader are more likely to complete projects on schedule than teams without a leader. a) Based on this data, can you conclude that assigning leaders to teams would increase the performance of the teams in your company? (1 mark) b) Suppose you are interested in establishing a causal link between having a leader and team performance in your company. Describe how you might be able to use any two of the four empirical methods (randomised experiment, instrumental variable, difference-in-differences, regression discontinuity) presented in the lectures for this purpose. For each method, describe the data you would need and discuss the potential limitations/challenges of applying that method. (4 marks) In your own words, define population health and how it relates to healthcare.Provide two examples of contributors to population health and at least one strategy to intervene or lessen the impact on population health. Summarize how the IHI Triple AIM can improve healthcare outcomes but also reduce healthcare costs. Implement it in C++.The project descriptions are quite general, the way they are executed, designed, and refined in detail is left to you. Remember that the more technical aspects of object-oriented programming (classes, virtual methods, inheritance, abstract classes, operator overloading, constructors, destructors, etc.) you include in your project, the better.The classes should contain methods allowing to read/set the value of individual fields (day, month, year, hour, minute, etc.), printing and reading in the appropriate format, comparing objects (earlier, later), shifting by a specified number of days, minutes, etc. current information about mutual funds can be found at (in) National Scan, Inc., sells radio frequency inventory tags. Monthly sales for a seven-month period were as follows: Sales Month (000 units) Feb. 19 Mar. 18 Apr. 15 May 20 Jun. 18 Jul. 22 Aug. 20 a. Plot the monthly data on a sheet of graph paper. b. Forecast September sales volume using each of the following: (1) The naive approach (2) A five-month moving average (3) A weighted average using .60 for August, .30 for July, and .10 for June (4) Exponential smoothing with a smoothing constant equal to .20, assuming a a March forecast of 19(000) (5) A linear trend equation c. Which method seems least appropriate? Why? (Hint: Refer to your plot from part a.) d. What does use of the term sales rather than demand presume? What is -10.6x -8.05= A Finance Lease is a three-party transaction consisting of a Lessor, a Lessee, and a Supplier (or vendor). - Explain this statement from real-life business examples Solve the following integer programming model using a) the cutting plane method. b) LINGO. Maximize z = 5x + 6x + 4x, subject to 4x, +6x + 2x 22 4x, +3x, +5x, 25 x, x,.x, 20 and integer Counting the occurrences of values in data yields:a. An energy balance tableb. A frequency tablec. Both a and bd. None of the above what is the theme of the poem the world is too much with us When the blood glucose level becomes hyper-concentrated (>200mg/dL), the kidneys can no longer reabsorb glucose from the urine. Water moving across the selectively permeable membranes of the kidney and into the urine due to the high concentration of glucose and other solute. Increased urination can lead to dehydration and sensations of thirst. This is an example of osmosis pinocytosis active transport phagocytosis receptor-mediated endocytosis