if the required rate of return for each project is 14%, do the npv and irr methods agree or conflict?

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Answer 1

The methods agree do the npv and irr methods agree or conflict.

Both NPV and IRR will provide you the same indication about whether to accept the project or not when you are examining a single conventional project. The NPV and IRR, however, could yield values that are in disagreement when comparing two projects.

One project may have a higher NPV while the other may have a higher IRR. When comparing various projects against one another or in circumstances where calculating a discount rate is challenging, IRR is helpful. When there are several discount rates or different directions of cash flow over time, NPV is preferable. The NPV and IRR may occasionally favor opposing project decisions.

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Maurice and brenda are 15-year-olds who are friends from the same neighborhood. research on gender differences would lead one to predict that maurice is __________ vulnerable to developing anxiety and ____________ vulnerable to color-deficient vision than brenda is.

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Research on gender differences would lead one to predict that Maurice is more vulnerable to developing anxiety than Brenda is.

This is because studies have shown that males are more likely to experience anxiety disorders compared to females. This could be due to a variety of factors, including differences in brain chemistry and societal expectations of masculinity.

On the other hand, Maurice is less vulnerable to color-deficient vision than Brenda is. This is because color blindness is a genetic condition that is linked to the X chromosome. Since females have two X chromosomes, they are more likely to carry the gene for color blindness. Therefore, it is less likely for males like Maurice to have color-deficient vision.

Overall, gender plays a significant role in determining one's susceptibility to certain health conditions and traits. Understanding these differences can help individuals better identify and manage their health needs.

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consider a u.s. treasury bill with 270 days to maturity. if the annual yield is 3.8 percent, what is the price?

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The 270-day U.S. Treasury bill with a 3.8% annual yield has a price of $992.15, calculated using the price formula.

To calculate the price of a U.S. Treasury bill with 270 days to maturity and an annual yield of 3.8 percent, we can use the following formula:

Price = Face Value / (1 + (Yield x Days to Maturity / 360))

First, we need to convert the annual yield to a daily yield by dividing it by 360:

Daily yield = 3.8% / 360 = 0.01056%

Next, we can plug in the values and solve for the price:

Price = $1,000 / (1 + (0.01056% x 270 / 360))

Price = $1,000 / 1.007956

Price = $992.15 (rounded to the nearest cent)

Hence, the price of the U.S. Treasury bill is $992.15.

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TRUE/FALSE. "operating leverage" is the use of fixed costs to magnify returns at high levels of operation.

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The statement "operating leverage is the use of fixed costs to magnify returns at high levels of operation." is true.

Operating leverage refers to a company's ability to increase its profits through the use of fixed costs. When a company has high fixed costs and low variable costs, it can generate higher profits at higher levels of operation.

This is because the fixed costs remain constant, regardless of the number of units produced, while the variable costs change with the level of production. As the company produces more units, the fixed costs are spread over a larger number of units, resulting in a lower average cost per unit.

This ultimately leads to increased profit margins. However, it's important to note that operating leverage can also magnify losses if the company doesn't reach a high enough level of production to cover its fixed costs.

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short answer is only. 3-4 sentences 1. In environmental economics, emission and effluent are used to describe environmental pollution. Explain why these terms are used in environmental economics. 2. What is a trade-off between the production of market goods and

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In environmental economics, emission and effluent are used to describe environmental pollution because they refer to the release of pollutants into the air and water respectively. These terms help quantify and assess the impacts of economic activities on the environment, which is essential for creating policies and regulations to mitigate the pollution.

2. A trade-off between the production of market goods and environmental protection exists because increased production often leads to more pollution and resource depletion.

Balancing these concerns requires evaluating the economic benefits of production against the environmental costs, and making informed decisions about resource allocation and regulatory policies to ensure sustainable growth.

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If the outcome of a long-term contract can be measured reliably, the preferred accounting method under both IFRS and US GAAP is: O a. The cost recovery method Ob The completed contract method O c The percentage of completion method

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If the outcome of a long-term contract can be measured reliably, the preferred accounting method under both IFRS (International Financial Reporting Standards) and US GAAP (Generally Accepted Accounting Principles) is the percentage of completion method.

In the percentage of completion method, revenues and expenses are recognized throughout the duration of the contract as progress is made. This method requires estimating the total costs and revenues of the project and then recognizing them as a percentage of the work completed.

The percentage of completion is usually determined by comparing the actual costs incurred to the total estimated costs.

This method is preferred because it provides a more accurate representation of a company's financial performance over time, especially for long-term contracts. It allows for a smoother recognition of revenues and expenses, avoiding significant fluctuations in financial results.

Moreover, the percentage of completion method better aligns with the economic reality of the project as it reflects the ongoing efforts and resources invested in the contract.

To summarize, when the outcome of a long-term contract can be measured reliably, both IFRS and US GAAP prefer the percentage of completion method as it offers a more accurate and consistent reflection of the company's financial performance during the contract period.

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3.2 Explain how, using elasticity as the basis for your answer, it can be determined whether two goods, A and good B are complement goods or substitute goods in consumption (10)

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By analyzing the cross-price elasticity of demand between two goods, we can determine whether they are complements or substitutes in consumption.

Elasticity is a useful concept in determining whether two goods, A and B, are complements or substitutes in consumption. Complementary goods are those that are consumed together, while substitute goods are those that can be used in place of each other.The cross-price elasticity of demand is used to measure the responsiveness of the demand for one good to changes in the price of another good. If the cross-price elasticity of demand between goods A and B is positive, it suggests that they are substitute goods, meaning that a change in the price of one good leads to a change in the demand for the other good in the opposite direction. For example, if the price of coffee (good A) increases, consumers may switch to tea (good B) as a substitute.On the other hand, if the cross-price elasticity of demand between goods A and B is negative, it suggests that they are complementary goods, meaning that a change in the price of one good leads to a change in the demand for the other good in the same direction. For example, if the price of printers (good A) decreases, the demand for printer ink (good B) may increase, as more people purchase printers and need ink to use them.Therefore, by analyzing the cross-price elasticity of demand between two goods, we can determine whether they are complements or substitutes in consumption.

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multiple choice questionmindy's marble shop has a net section 1231 gain in the current year of $18,000. in the previous five years, there are $13,000 in unrecaptured section 1231 losses. how will mindy's gain be taxed in the current year?multiple choice question.due to the unrecaptured losses, $13,000 will be recharacterized as ordinary income, and $5,000 will be characterized as long-term capital gain.due to the unrecaptured losses, $13,000 will offset the current year's gain, and the remaining $5,000 is characterized as long-term capital gain.the $18,000 gain will be combined with long-term capital gains and losses and taxed at preferential rates.due to the unrecaptured losses, $13,000 is characterized as unrecaptured sec. 1250 gain taxed at 25%, and the remaining $5,000 is taxed at 15%.need help? review these concept resources.

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Because of the unrecaptured losses, $13,000 will be reclassified as regular income and $5,000 as long-term capital gain. Therefore Mindy's Marble shop will be taxed $5,000 in the current year.

What exactly is Section 1231?

The Internal Revenue Code section 1231 addresses the taxation of profits and losses on the sale or exchange of certain types of property utilized in a trade or company. If a net Section 1231 gain occurs within a tax year, it is considered as long-term capital gain and is taxed at a lower rate than ordinary income.

Mindy's Marble Shop had a net Section 1231 gain of $18,000 this year. However, there were $13,000 in unrecaptured Section 1231 losses in the prior five years. This implies Mindy's Marble Shop can offset up to $13,000 of the current year's profit with losses from past years.

As a result, only $5,000 of the current year's Section 1231 gain ($18,000 - $13,000) will be subject to the reduced long-term capital gains tax rate. The remaining $13,000 is subject to regular income taxation.

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What furniture company is owned by the family of the husband of the actress who played the role of lizzie mcguire?

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The furniture company owned by the family of the husband of the actress who played the role of Lizzie McGuire is called Ashley Furniture Industries.

What's Ashley Furniture Industries?

This company is one of the largest manufacturers of home furnishings in the world, and it was founded in 1945 by Carlyle Weinberger.

Ashley Furniture Industries is now run by his son, Ron Wanek, who is married to actress Hilary Duff, known for her role as Lizzie McGuire.

The company's products include furniture for the bedroom, living room, dining room, and home office, as well as accessories such as lighting, rugs, and wall decor.

Ashley Furniture Industries operates over 900 stores in 46 countries, and its products are also available through various retailers and e-commerce sites.

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you collect the following data for andes scientific, a publicly traded biotech firm: 10 year us treasury yield 2.4% beta 0.85 equity risk premium (erp) 3.7% pretax cost of debt 4.2% tax rate 35.0% market value of debt (in millions) $480.0 book value of debt (in millions) $400.0 shares outstanding 100.0 price per share $33.00 book value of equity (in millions) $2,450.0 calculate the wacc for andes scientific.

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The WACC for Andes Scientific is 3.58%.

To calculate the Weighted Average Cost of Capital (WACC) for Andes Scientific, we need to first calculate the cost of equity and the weight of debt and equity in the company's capital structure.

Cost of Equity:

Using the Capital Asset Pricing Model (CAPM), we can calculate the cost of equity as follows:

Ke = Rf + Beta * ERP

Where,

Rf = Risk-free rate = 10-year US Treasury yield = 2.4%

Beta = Beta of the company = 0.85

ERP = Equity Risk Premium = 3.7%

Ke = 2.4% + 0.85 * 3.7% = 5.945%

Weight of Equity:

We can calculate the weight of equity as follows:

We = Market value of equity / Total market value

Total market value = (Price per share * Shares outstanding) + Market value of debt = (33.00 * 100.0) + 480.0 = $3,210.0 million

We = (Price per share * Shares outstanding) / Total market value = (33.00 * 100.0) / 3,210.0 = 1.026%

Cost of Debt:

The cost of debt is given as 4.2%, and we need to adjust it for taxes as the interest expense is tax-deductible.

Kd = Pretax cost of debt * (1 - Tax rate)

Kd = 4.2% * (1 - 35.0%) = 2.73%

Weight of Debt:

The weight of debt can be calculated as follows:

Wd = Market value of debt / Total market value

Wd = 480.0 / 3,210.0 = 14.95%

WACC:

Now that we have calculated the cost of equity, weight of equity, cost of debt, and weight of debt, we can calculate the WACC as follows:

WACC = We * Ke + Wd * Kd

WACC = 1.026% * 5.945% + 14.95% * 2.73% = 3.58%

Therefore, the WACC for Andes Scientific is 3.58%.

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Bonds and Loans: What household item can also refer to the investing strategy of buying a diversified portfolio of bonds (or certificates of deposit/CDs) with varying maturities so that the risk of reinvestment of maturities at inopportune times is minimized?

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Reinvestment risk is the chance that an investor won't be able to reinvest cash flows from an investment, like interest or coupon payments, at a pace that is comparable to their present rate of return. The reinvestment rate is the name given to this new rate.

Reinvestment risk is the likelihood that an investor won't be able to reinvest cash flows at a rate that matches their present return, such as coupon payments. Due to the absence of coupon payments, zero-coupon bonds are the only fixed-income instrument without investment risk. Consider a "buy and hold" strategy if keeping your money intact while generating interest is your objective.

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eva has just been asked to analyze an investment to determine if it is acceptable. unfortunately, she is not being given sufficient time to analyze the project using various methods. she must provide an answer based on only one method. which method do you suggest she use in this situation?

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Eva has just been asked to analyze an investment to determine if it is acceptable. By discounting the anticipated the Net Present Value Method (NPV) recognises. The correct answer is C. Net present value.

That cash flows received sooner are worth more than cash flows received later. Therefore, in contrast to the Payback method, it takes into account the cost of capital and the risk involved in making assumptions about the future. The NPV approach also reveals, in terms of money.

As a result, ranking various projects according to their profitability and selecting between competing investments are both made very simple utilising this strategy. Additionally, unlike the Internal Rate of Return, which can provide various solutions, the results are not affected when the investments under analysis have more than one cash outflow during the investment period. Due to the fact that multiple investments may have the same profitability index but have very different absolute dollar profitability, the NPV is also preferable to the profitability index.

Complete question:

Eva has just been asked to analyze an investment to determine if it is acceptable. unfortunately, she is not being given sufficient time to analyze the project using various methods. she must provide an answer based on only one method. which method do you suggest she use in this situation?

A. Internal rate of return

B. Payback Liquidity method

C. Net present value

D. Profitability indexX

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in advertising, what are television, radio, newspapers, magazines, billboards, direct mail, and digital entertainment, commonly described as? multiple choice modes media suppliers externalities communication networks

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The seven types of media commonly used in advertising, namely television, radio, newspapers, magazines, billboards, direct mail, and digital entertainment, are often described as modes of communication or advertising channels.

Each mode has its own unique features, advantages, and disadvantages, and is suitable for different types of products, services, and target audiences.

For example, television advertising is often used to reach a wide audience with a visual and audio message, while direct mail is often used to reach a specific audience with a personalized message. Digital entertainment, such as social media and online video streaming, is becoming an increasingly popular advertising channel due to its interactive and engaging nature.

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what is the project's net present value? a negative value should be entered with a negative sign. enter your answer in millions. for example, an answer of $1.2 million should be entered as 1.2, not 1,200,000. round your answer to two decimal places. $ million

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The project's net present value is $0.06 million, or $60,000.

To calculate the project's net present value, we need to first calculate the present value of each cash flow associated with the project. This involves discounting each cash flow to its present value using the project's discount rate. Once we have the present value of each cash flow, we can add them up to determine the net present value of the project.
Let's assume that the project has the following cash flows:
- Year 0: -$2 million (initial investment)
- Year 1: $0.5 million
- Year 2: $0.8 million
- Year 3: $1.2 million
- Year 4: $1.5 million
Assuming a discount rate of 10%, we can calculate the present value of each cash flow as follows:
- Year 0: -$2 million (no discounting necessary)
- Year 1: $0.45 million (PV = $0.5 million / 1.1)
- Year 2: $0.66 million (PV = $0.8 million / 1.1^2)
- Year 3: $0.89 million (PV = $1.2 million / 1.1^3)
- Year 4: $1.08 million (PV = $1.5 million / 1.1^4)
Adding up these present values, we get a net present value of $0.06 million, or $60,000. Since this is a positive value, we do not need to enter a negative sign.Therefore, the project's net present value is $0.06 million, or $60,000.

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A term in common law for movable or transferable property shares an etymology with a word commonly used today for certain livestock. What is this legal term?

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The legal term that shares an etymology with a word commonly used for certain livestock in common law is "chattel." Chattel is a legal term that refers to movable or transferable property, including livestock. Chattel refers to movable or transferable property, while the word it shares its etymology with is "cattle," which is a type of livestock.  Both terms have origins in the Latin word "capitale," meaning property or wealth. In a legal context, chattel can encompass personal property such as vehicles, furniture, and equipment, but it does not include real property like land or buildings.

In common law, chattel refers to any property that is not real estate, such as animals, crops, furniture, and vehicles. Livestock, which are animals raised for meat, dairy, or other agricultural purposes, are considered chattel in the eyes of the law.

The concept of chattel has been an important part of legal systems throughout history. It has been used to establish ownership rights, resolve disputes, and regulate trade. For example, in the United States, the Uniform Commercial Code provides a framework for the sale and transfer of chattel, including livestock.

Overall, the term "chattel" is an important legal concept that has evolved over time. Today, it remains a useful tool for protecting property rights and promoting trade and commerce, including the buying and selling of livestock.

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question content area journalizing the entry for the application of factory overhead costs to jobs would include a credit to a.work in process b.wages payable c.cost of goods sold d.factory overhead

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The journal entry for the application of factory overhead costs to jobs includes a credit to Work in Process and a debit to Factory Overhead. Thus option A is correct.

The application of manufacturing overhead charges to jobs triggers the creation of a journal entry to document the transaction. The transaction contains a credit to Work in Process and a debit to Factory Overhead. The cost transfer from the overhead account to the work-in-progress account is reflected here.

This transaction has no impact on the wages that must be paid or the cost of the items supplied. This entry's goal is to properly calculate the overall cost of production by allocating the indirect production expenses to certain tasks or goods.

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frederique has eaten three burritos at the county fair, and if she eats another, she will get sick on the roller coaster. knowing this, and ignoring any impact price might have on her decision, we can say that, for the fourth burrito, the:

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For the fourth burrito, Frederique is likely to decide not to eat it because she knows that she will get sick on the roller coaster if she eats another one.

The fact that she has already eaten three burritos indicates that she enjoys eating them, but the potential consequence of getting sick on the roller coaster is a negative consequence that she wants to avoid. Therefore, based on this information, we can infer that Frederique will prioritize her health and safety over her desire to eat another burrito and will choose not to eat it.

It is important to note that this decision is based solely on the information provided, which only takes into account Frederique's physical well-being and the potential consequence of getting sick on the roller coaster. Other factors, such as the price of the burrito or her level of hunger, may also impact her decision to eat another burrito.

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the economy's inflation rate is the question 2 options: a) price level in the current period. b) change in the price level from the previous period. c) change in the gross domestic product from the previous period. d) percentage change in the price level from the previous period.

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The economy's inflation rate is the percentage change in the price level from the previous period.

Inflation is an increase in the general level of prices of goods and services over time, which reduces the purchasing power of money. In order to measure inflation, economists use a price index, such as the Consumer Price Index (CPI), which measures the price changes of a basket of goods and services over time.

The inflation rate is the percentage change in the price index from one period to another. For example, if the CPI in year 1 is 100 and in year 2 it is 105, the inflation rate would be 5% ((105-100)/100)*100).

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1. Discuss the advantages and disadvantages of cashless economy. 600 - 700 words (not counting the reference list) Discursive Essay Structure Introduction ► give background information on the the paper

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A cashless economy is one in which all transactions are conducted electronically, without the need for physical cash. This has both advantages and disadvantages, and this essay will explore them in depth.

Advantages of a Cashless Economy

Convenience - One of the biggest advantages of a cashless economy is convenience. People can carry out transactions using mobile devices, credit or debit cards, and online payment systems from the comfort of their homes. This reduces the need to carry cash or visit physical banks, which can be time-consuming and inconvenient.Lower Costs - A cashless economy can be more cost-effective compared to a cash-based economy. For instance, cash handling involves costs such as transportation, storage, and security. By going cashless, the costs associated with these services can be reduced, which translates to savings for businesses and consumers alike.Improved Financial Transparency - A cashless economy can improve financial transparency. All transactions are recorded electronically, making it easier to monitor and track financial transactions. This can help reduce cases of fraud and money laundering, as well as improve tax collection and compliance.Increased Efficiency - Electronic transactions are faster and more efficient than cash transactions. For instance, payment processing time can be reduced from days to seconds. This can help increase productivity and enable businesses to operate more efficiently.Enhanced Security - With electronic transactions, people don't have to carry large sums of cash, which can be lost or stolen. Electronic payment systems are also more secure compared to cash transactions, which can be counterfeited.

Disadvantages of a Cashless Economy

Exclusion - A cashless economy can exclude people who do not have access to electronic payment systems. This includes people who live in rural areas, the elderly, and the poor who do not have access to banking services or technology. This can lead to financial exclusion and inequality.

Dependency on Technology - A cashless economy is highly dependent on technology, such as mobile devices, payment systems, and the Internet. Any system failures or power outages can disrupt electronic transactions, leading to financial losses for businesses and individuals alike.

Privacy Concerns - Electronic transactions can be traced and monitored, raising concerns about privacy and surveillance. This can be a major concern for individuals who value their privacy.

Cybersecurity Risks - A cashless economy is vulnerable to cyber-attacks, hacking, and identity theft. This can lead to financial losses, as well as reputational damage for businesses.

Transaction Fees - Electronic transactions often attract transaction fees. These fees can be a burden, especially for small businesses or individuals who frequently carry out transactions.

Conclusion: In conclusion, a cashless economy has both advantages and disadvantages. While it can provide convenience, lower costs, improve financial transparency, increase efficiency, and enhance security, it can also lead to exclusion, dependency on technology, privacy concerns, cybersecurity risks, and transaction fees.

Therefore, policymakers should weigh the pros and cons carefully before implementing a cashless economy. Any transition to a cashless economy should be done in a manner that takes into account the needs and concerns of all citizens, including the poor, elderly, and rural populations.

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What is product life cycle in terms of A level syallbus

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The steps a product undergoes from its launch to its eventual demise are outlined by the marketing concept referred to as the goods life cycle.

Beginning, development, completion, and demise are the four primary phases. Sales are often slow during the debut phase when the product is fresh on the market and becoming known to consumers.

Sales rise quickly during the growth stage as the product becomes more well-liked and accepted by consumers. As the market gets crowded with competition and the product realises its full potential, the increase of sales slows during the maturity period.

The product eventually phases out as sales diminish and it is eventually become obsolete being replaced by newer items in the decline stage. Understanding the product life cycle is important for businesses to make informed decisions about their marketing strategies, such as when to introduce new products, how to price and promote them, and when to discontinue them.

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Though uninformed consumers focus largely on the extra markups from each, channel intermediaries deliver four utilities that provide:_______

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The four utilities that channel intermediaries deliver are time utility, place utility, form utility, and possession utility.

1. Time utility: Channel intermediaries help make products available to consumers at the right time. They manage the inventory and distribution of products to ensure they are accessible when customers need them.

2. Place utility: Channel intermediaries ensure that products are available at convenient locations for customers. They are responsible for the transportation and warehousing of products, making it easier for customers to find and purchase the items they want.

3. Form utility: Channel intermediaries may offer services that add value to the products, such as customization or assembly. This utility enhances the product's appeal to customers and can lead to increased sales.

4. Possession utility: Channel intermediaries facilitate the transfer of ownership from the producer to the consumer. They may offer financing options, payment terms, and return policies that make it easier for customers to acquire and use the products.

In summary, channel intermediaries deliver four utilities: time utility, place utility, form utility, and possession utility, which enhance the value of products for consumers and facilitate the overall buying process.

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Quincy is preparing for a debate competition about an unfamiliar topic. What are THREE ways Quincy’s argument can be enhanced through collaboration with teammates?

(THIS IS CRITICAL THINKING!!!)

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Answer & Explanation:

1. Brainstorming and Idea Generation: Collaborating with teammates enables Quincy to gather diverse ideas and perspectives on the topic. The team can collectively brainstorm solutions or arguments, and generate a wider range of ideas than Quincy could have done alone. Moreover, team members can offer unique insights into the topic area, which could help explore different angles and elements of the argument.

2. Research and Information Sharing: The team can divide tasks and research different aspects of the topic. By pooling information, the team can avoid duplicate efforts while gathering more information on the topic. This allows for more in-depth research, more extensive fact-checking, and better organization of content.

3. Peer Review and Feedback: A team can also provide critical feedback on Quincy's delivery, tone, and style to hone their argument. Moreover, each team member can review Quincy's argument, provide constructive criticism, and identify best practices for improvement. This peer review can also allow different perspectives to come forward to help refine the argument.

Through collaborative efforts, Quincy can gather a vast array of information, ideas, and perspectives, which they may not have had when working alone. They can also practice active listening to gather useful insights that can help refine their position and the overall argument.

"raider chemical co. and ram, inc., had similar intentions to reduce the volatility of their cash flows. raider implemented a long-range plan to establish 40 percent of its business in canada. ram, inc., implemented a long-range plan to establish 30 percent of its business in europe and asia, scattered among 12 different countries. which company will more effectively reduce cash flow volatility once the plans are achieved?"

Answers

Both Raider Chemical Co. and Ram, Inc. have similar intentions to reduce the volatility of their cash flows, but their plans differ in terms of geographic diversification.

Raider Chemical Co. intends to establish 40 percent of its business in Canada, which represents a single country. On the other hand, Ram, Inc. intends to establish 30 percent of its business in Europe and Asia, scattered among 12 different countries.

In general, geographic diversification can help to reduce cash flow volatility by spreading out risks across different regions and economies. In this regard, Ram, Inc.'s plan to establish its business in multiple countries may be more effective in reducing cash flow volatility than Raider Chemical Co.'s plan to establish its business in a single country.

However, it's important to note that there are other factors that can affect cash flow volatility, such as industry trends, market competition, and currency fluctuations. Therefore, it's difficult to say definitively which company will more effectively reduce cash flow volatility once the plans are achieved without considering these other factors.

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how does contribution unit and contribution margin ratio impact break even and target profit analysis? reddit

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The contribution margin ratio impacts break-even and target profit analysis by indicating the percentage of revenue that covers fixed costs and contributes to profit. The contribution unit measures the revenue generated per unit sale after covering variable costs, helping determine how many units must be sold to break even or reach target profits.

The contribution margin ratio and contribution unit are crucial in break-even and target profit analysis. The contribution margin ratio, expressed as a percentage, shows the proportion of sales revenue that contributes to covering fixed costs and generating profit. A higher ratio means a larger portion of each sale contributes to fixed costs and profit, making it easier to achieve break-even and target profits. The contribution unit is the amount of revenue left after subtracting variable costs from sales revenue for each unit sold. By dividing fixed costs by the contribution unit, you can determine how many units must be sold to break even. To calculate the number of units needed for a target profit, divide the sum of fixed costs and target profit by the contribution unit.

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The market where loans are made to borrowers is called the:A. secondary loan market.B. money market.C. loan market.D. primary loan market.

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The market where loans are made to borrowers is called the primary loan market. Option D is correct.

In the primary loan market, loans are made directly to borrowers by lenders. This market includes various types of loans, such as personal loans, mortgages, and business loans. Lenders can be banks, credit unions, or other financial institutions that provide funds to borrowers in exchange for interest payments and repayment of the principal amount. The primary loan market is essential for individuals and businesses seeking to finance their needs, and it helps in facilitating economic growth.

The other markets mentioned have different functions:

A. Secondary loan market: This is where existing loans are bought and sold, often in the form of loan packages or securities. It allows lenders to free up capital by selling their loans to investors, who then receive the interest payments from borrowers.

B. Money market: This is a financial market that deals with short-term debt securities, typically with maturities of less than one year. It helps financial institutions and companies manage their short-term liquidity needs.

C. Loan market: This is a broader term that can encompass both the primary and secondary loan markets. It generally refers to the markets where loans are originated, traded, and managed.

In summary, the market where loans are made directly to borrowers is called the primary loan market, where lenders provide funds to individuals and businesses for their financing needs. Option D is correct.

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the best reason economists take only final goods and services into account when calculating gdp is that group of answer choices they want to avoid the problem of double counting. this is the way things have always been done, but there is no particular reason why. they want to avoid the problem of final counting. this is the only way it can be done.

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Economists consider only final goods and services in GDP to avoid double counting; it's the only way to do it, and tradition plays a role.

To avoid duplicate counting, economists only count finished commodities and services when calculating GDP. Incorporating intermediate items into GDP calculations would result in their worth being multiplied by the number of manufacturing stages they go through.

This has long been the accepted method because it guarantees that GDP accurately reflects the value of the finished goods and services generated in an economy. There is no other realistic way to compute GDP, hence the major purpose is to prevent double counting.

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companies establish retirement plans following which of these three design configurations?

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Companies typically establish retirement plans following one of these three design configurations: defined benefit plans, defined contribution plans, and cash balance plans.

Defined benefit plans provide a specific benefit payout at retirement based on factors such as salary and years of service.

Defined contribution plans, such as 401(k)s, allow employees to contribute a set amount of money from their paycheck and invest it for retirement. Cash balance plans are a hybrid of the two, providing a guaranteed benefit but also allowing for investment gains.

In summary, companies choose from three main retirement plan designs: defined benefit, defined contribution, and cash balance plans. Each has its own benefits and drawbacks, and companies may choose one or a combination depending on their goals and employee needs.

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Nuns: For our last order of business, some nun fashion! On a traditional full Benedictine habit, the headdress is made up of several parts: the coif; the veil; and this (modeled here by Sister Mary Clarence), a cloth worn around the cheeks, neck, and chin that was also popular among medieval Christian women as a means of modesty?

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The cloth worn around the cheeks, neck, and chin that was also popular among medieval Christian women as a means of modesty is called a wimple.

It was traditionally worn as part of the headdress of nuns and other religious women. The wimple covered the neck and chin and sometimes the forehead, leaving only the face visible. It was worn to symbolize the woman's religious devotion and to signify her renunciation of worldly vanity and fashion.

The wimple is an important part of the traditional Benedictine habit, which is worn by nuns of the Benedictine order. The Benedictine habit is a full-length black or dark brown robe worn with a scapular and a white wimple. The habit is a symbol of the nun's commitment to a life of prayer, simplicity, and service to God and the community.

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Compare and contrast when taxpayers are allowed to deduct amounts for warranties provided by others to the taxpayer and when taxpayers are allowed to deduct expenses associated with warranties they provide to others.

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Taxpayers are allowed to deduct amounts for warranties provided by others to the taxpayer and expenses associated with warranties they provide to others under different circumstances.

Some of these circumstances are outlined below:

Deducting amounts for warranties provided by others to the taxpayer:

Taxpayers can deduct amounts paid for warranties provided by others to the taxpayer as a business expense if the warranty is directly related to the taxpayer's business.The deduction is allowed as long as it is an ordinary and necessary expense for the taxpayer's business and is not a capital expenditure.For example, if a company purchases equipment and the manufacturer provides a warranty for the equipment, the company can deduct the cost of the warranty as a business expense.

Deducting expenses associated with warranties provided to others:

Taxpayers can deduct expenses associated with warranties they provide to others as a business expense if the warranty is directly related to the taxpayer's business.The deduction is allowed as long as it is an ordinary and necessary expense for the taxpayer's business and is not a capital expenditure.For example, if a company sells equipment and offers a warranty to the customer, the cost of providing the warranty can be deducted as a business expense.

In summary, taxpayers can deduct amounts for warranties provided by others and expenses associated with warranties they provide to others as long as they are directly related to the taxpayer's business, ordinary and necessary, and not capital expenditures. The key difference is who is providing the warranty - in one case, it is a third party providing the warranty to the taxpayer, and in the other case, the taxpayer is providing the warranty to their customer.

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x years ago, archie lost his job as a highly skilled craftsman at a metal working shop. before accepting a job as a maintenance worker at a local community college, he searched for a job similar to his old trade for several months. while he is happy to have employment, he is frustrated that he had to settle for a job that did not take full advantage of his skills. archie is a(n)

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Archie is an example of an underemployed worker. Underemployment refers to a situation where a worker is employed, but their skills, education, or experience are not being fully utilized in their current job.

In Archie's case, he is working as a maintenance worker, a job that is less skilled and less demanding than his previous job as a highly skilled craftsman at a metalworking shop.

Underemployment can have negative impacts on workers, such as reduced job satisfaction, lower wages, and slower career advancement. It can also have negative effects on the overall economy, as resources are not being allocated efficiently, and there may be a loss of productivity and innovation that would result from fully utilizing workers' skills and talents.

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a monopolistically competitive firm will produce output as long as the marginal revenue is group of answer choices less than price. less than marginal costs. above price. above marginal costs.

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A monopolistically competitive firm will produce output as long as the marginal revenue is above marginal costs. (Option D).

This is because the profit-maximizing output for a monopolistically competitive firm occurs where marginal revenue equals marginal cost. However, since a monopolistically competitive firm has some degree of market power, its marginal revenue curve will be downward-sloping, meaning that marginal revenue will be less than price. Therefore, the firm will produce output as long as the marginal revenue is above its marginal cost, which allows it to earn a positive profit. If the marginal revenue is less than its marginal cost, the firm will not produce that output level as it will incur losses.

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