Material Requirements Planning is intended to replace the older
techniques of determining economic order quantities. True
False

Answers

Answer 1

The statement is false. Material Requirements Planning (MRP) is not intended to replace the older techniques of determining economic order quantities.

Material Requirements Planning (MRP) and Economic Order Quantity (EOQ) are two different concepts in inventory management. MRP is a computer-based system used to manage and plan the production and inventory requirements of items needed to meet customer demands. It helps determine the quantity and timing of materials needed for production.

On the other hand, Economic Order Quantity (EOQ) is a traditional technique used to determine the optimal order quantity that minimizes total inventory costs, considering factors such as ordering costs and carrying costs.

While MRP and EOQ both play a role in inventory management, they serve different purposes. MRP focuses on production planning and scheduling, ensuring materials are available at the right time, while EOQ focuses on optimizing order quantities to minimize costs.

Therefore, MRP is not intended to replace the older techniques of determining economic order quantities like EOQ. Instead, MRP complements and enhances the inventory management process by integrating various factors and providing a more comprehensive approach to production planning and inventory control.

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Related Questions

(5p) What are the Black-Scholes prices for a European put option and a European can option on the following non-dividend-paying stock? The stock price is $10, the strike price is $10, the risk-free interest rate is 5% per annum with continuous compounding, the volatility is 20% per annum, and the time to maturity is one year? Round your d1,d2​ to four decimal places (you may round them to two decimal places but you will lose one point for that).

Answers

The Black-Scholes price for the European Call option is $3.0187.

Given:Stock price = $10

Strike price = $10

Risk-free interest rate = 5% per annum

Volatility = 20% per annum

Time to maturity = 1 year

Black-Scholes formula for European Put Option:

$$P=S_0N(-d_1)-Ke^{-rt}N(-d_2)

whereS0= Stock price

= $10K

= Strike price

= $10r

= Risk-free interest rate

= 5% per annum

T= Time to maturity

= 1 yeartime in years

= 1

Volatility= 20% per annum

= 0.2

Using the formula for d1 and d2:

d1 = (ln(S/K) + (r + σ²/2)T) / (σ√T)

d1 = (ln(10/10) + (0.05 + 0.2²/2)×1) / (0.2×√1)

d1 = 0d2 =

d1 - σ√T

d2 = 0 - 0.2×√1

d2 = -0.2

Now, calculate the Put price:

P=S_0N(-d_1)-Ke^{-rt}N(-d_2)

P=10N(-0)-10e^{-0.05×1}N(-0.2)

P=10(1)-10e^{-0.05}(0.4207)

P=10-10(0.3981)

P=$3.0187(round to four decimal places)

Therefore, the Black-Scholes price for the European Put option is $3.0187.

Black-Scholes formula for European Call Option:

C=S_0N(d_1)-Ke^{-rt}N(d_2)

where

S0= Stock price = $10

K= Strike price = $10

r= Risk-free interest rate = 5% per annum

T= Time to maturity = 1 yeartime in years= 1

Volatility= 20% per annum= 0.2

Using the formula for d1 and d2:

d1 = (ln(S/K) + (r + σ²/2)T) / (σ√T)

d1 = (ln(10/10) + (0.05 + 0.2²/2)×1) / (0.2×√1)

d1 = 0d2 = d1 - σ√T

d2 = 0 - 0.2×√1

d2 = -0.2

Now, calculate the Call price:

C=S_0N(d_1)-Ke^{-rt}N(d_2)

C=10N(0)-10e^{-0.05×1}N(-0.2)

C=10(0)-10e^{-0.05}(0.4207)

C=0-10(0.3981)

C=$3.0187(round to four decimal places)

Therefore, the Black-Scholes price for the European Call option is $3.0187.

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A. $17.000 bond redeemable at par on March 23,2017 is purchased on September 28,2006 , Interest is 5.1% payable semi-annually and the yield is 6.1% compounded semi-snnually. (a) What is the cash price of the bond? (b) What is the accrued interest? (c) What is the quotod price? (a) The cash price is s (Round the final answer to the nearest cent as needod. Round all intermediale values to six docimal places as needed.)

Answers

The cash price of the bond is approximately $18,573.34. The accrued interest is $1,573.34. The quoted price is $102.85.

To calculate the cash price of the bond, we need to determine the present value of the bond's future cash flows. The bond will be redeemed at par value on March 23, 2017, which is $17,000. The bond pays semi-annual interest at a rate of 5.1%, and the yield is 6.1% compounded semi-annually.

First, we calculate the number of periods between the purchase date (September 28, 2006) and the redemption date (March 23, 2017), which is approximately 10.5 years or 21 semi-annual periods.

Next, we calculate the present value of the interest payments using the yield rate. Each interest payment is half of the annual interest rate, so it is 2.55% per semi-annual period. We use the present value of an annuity formula to calculate the present value of the interest payments.

PV of interest payments = 2.55% * $17,000 * [1 - (1 + 2.55%)⁻²¹] / 2.55%

After calculating the present value of the interest payments, we add it to the present value of the redemption amount ($17,000) to get the cash price of the bond.

To calculate the accrued interest, we subtract the cash price of the bond from the quoted price of the bond. The quoted price is given as a percentage of the par value, so we can calculate it as follows:

Quoted price = 100% + accrued interest

Finally, we subtract the cash price from the quoted price to obtain the accrued interest.

Accrued interest = Quoted price - Cash price

Therefore, the cash price of the bond is approximately $18,573.34, the accrued interest is $1,573.34, and the quoted price is $102.85.

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iStar Inc. finances, invests in and develops real estate and real estate related projects. True Fake

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iStar Inc. finances, invests in and develops real estate and real estate-related projects. The authenticity of this statement is true.

iStar Inc. is a company that finances, invests in and develops real estate and real estate-related projects. The statement "iStar Inc. finances, invests in and develops real estate and real estate related projects" is true. The company has been operating for almost three decades and is well-known for investing in and financing several construction projects across the United States.

The company is well-known for its innovative projects and creative financial solutions, as well as its ability to finance risky projects that other companies may not. The company has a solid reputation in the industry for its ability to finance high-risk real estate projects, such as developing large buildings in urban areas. They take care of the project's design, construction, and marketing, ensuring that the project is completed on time and to the satisfaction of all stakeholders.

Overall, iStar Inc. is a renowned company in the real estate and finance sectors, known for its unique approach and innovative solutions. This statement is authentic and trustworthy.

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what are people with whom you develop a valued, mutual relationship?

Answers

People with whom you develop a valued, mutual relationship are individuals who exhibit a strong sense of trust, respect, and understanding. These relationships are built on a foundation of shared values, open communication, and support.

They can include family members, close friends, romantic partners, mentors, colleagues, and even community members with whom you engage in meaningful interactions.

Valued, mutual relationships are characterized by several key factors. Trust is the belief that the other person will act in your best interest, keep their promises, and maintain confidentiality. Respect involves treating each other with dignity, acknowledging individuality, and appreciating different perspectives. Understanding implies empathy, active listening, and recognizing each other's needs and feelings.

To determine the value and mutuality of a relationship, you can assess the level of reciprocity and emotional investment. Consider how much effort both parties contribute to maintaining the relationship, whether it is through spending quality time together, providing emotional support, or helping each other achieve personal goals.

People with whom you develop a valued, mutual relationship are those who embody trust, respect, and understanding. These relationships are characterized by a strong sense of reciprocity, emotional investment, and shared values. Such connections can be found within various spheres of life, including family, friends, romantic partners, mentors, colleagues, and community members. Building and nurturing these relationships requires open communication, active listening, and a willingness to support and understand one another. By cultivating these valued, mutual relationships, individuals can experience a greater sense of fulfillment, support, and personal growth.

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In a competitive industry, a firm's short-run supply curve is represented by its marginal cost curve. The short-run supply curve of a competitive firm does not include the part of the marginal cost curve that is
A. above the average total cost curve, since the firm would be earning profits, which is not possible in a competitive market
B. below the average variable cost curve, since the firm would be losing too much money, shut down, and produce zero output
C. above the average total cost curve, since the firm would be incurring losses, shut down, and produce zero output
D. below the average total cost curve, since the firm would be incurring losses, shut down, and produce zero output

Answers

C. above the average total cost curve, since the firm would be incurring losses, shut down, and produce zero output.

the correct answer is option C. The short-run supply curve of a competitive firm does not include the part of the marginal cost curve that is above the average total cost curve, as the firm would be incurring losses, potentially leading to shutting down and producing zero output in the long run.

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Suppose one of the suppliers to the Baylor Scott \& White Health System offers terms of \( 2 / 15 \), net \( 45 . \) How many days does the business have to pay its bill from this supplier in order to

Answers

The business has 30 days to pay its bill from this supplier in order to take advantage of the cash discount.

to determine how many days the business has to pay its bill from the supplier, we need to analyze the terms provided: \(2/15, net 45\).

the terms can be broken down as follows:

- \(2/15\): this indicates a cash discount of 2% if the payment is made within 15 days.

- net 45: this indicates that the full payment is due within 45 days.

to calculate the number of days the business has to pay the bill to receive the cash discount, we subtract the discount period (15 days) from the net payment period (45 days). in this case, the business would have \(45 - 15 = 30\) days to pay the bill and still be eligible for the cash discount.

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Discuss five reason(s) for deciding to use consumer advertising over any other advertisement classification option. Ensure to motivate the reasons given.

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Companies choose consumer advertising over other advertisement classification options due to its wide reach, influence on consumer behavior, brand-building potential, targeting capabilities, and ability to measure results and ROI.

Consumer advertising offers a broad audience reach, allowing companies to connect with a large and diverse group of potential customers. It has the power to influence consumer behavior through persuasive messaging and storytelling techniques. By consistently exposing consumers to brand messages, consumer advertising helps build brand equity and fosters long-term customer relationships. It also allows companies to target specific consumer segments based on demographics, psychographics, or behaviors, increasing campaign effectiveness. Additionally, consumer advertising provides measurable results and ROI through various tracking mechanisms, enabling companies to evaluate campaign performance and make data-driven decisions. Overall, these reasons highlight the advantages of consumer advertising in reaching, engaging, and influencing consumers effectively.

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1.​The law of demand simply states that the lower the price of a product, the less amount that consumers are willing to buy. ( )

2.​The availability of substitutes affects the slope of the demand curve. ( )

3.​Generally, a change in the price of a good cause a movement along a demand curve, while a change in any other factor besides the price the good causes a shift of the demand curve. ( )

4.​An increase in the price of lamb will shift out the demand curve for steak. ( )

5.​The imposition of a $5 per ton tax on coal will shift out the supply curve for coal. ( )

6.​Economic tax incidence depends on the relative slopes of the supply and demand curves. Specifically, the greater share of the economic tax incidence falls on the more inelastic party. ( )

7.​The price elasticity of demand, ε, means a 1% increase in price leads to an ε% change in quantity demanded. ( )

Answers

1. False. The law of demand states that as the price of a product decreases, the quantity demanded by consumers increases, ceteris paribus.

2. True. The availability of substitutes can affect the slope of the demand curve. If there are more close substitutes available, consumers may be more responsive to price changes, resulting in a relatively elastic demand curve. On the other hand, if there are fewer substitutes, the demand curve may be relatively inelastic.

3. True. A change in the price of a good causes a movement along the demand curve, known as a change in quantity demanded. However, a change in any other factor besides price (such as income, preferences, prices of related goods, etc.) can cause a shift of the entire demand curve, indicating a change in demand.

4. False. An increase in the price of lamb would not directly shift out the demand curve for steak. The demand for steak may be influenced by factors such as the price of beef, consumer preferences, or income levels, but a change in the price of lamb alone would not directly shift the demand curve for steak.

5. False. The imposition of a tax on coal would not shift out the supply curve for coal. Instead, it would increase the production cost for coal suppliers, leading to a decrease in the quantity supplied at each given price. This would result in a leftward shift of the supply curve, indicating a decrease in supply.

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Clordia Patterson-Nathanial handles all accounts payable for her company. She has a bill for $730 and plans to make a partial payment of $400 within the discount period. If the terms of the transactions were 3/10, n/30, find the amount credited to the account and find the outstanding balance.

Answers

Claudia Patterson-Nathanial plans to make a partial payment of $400 within the discount period on a bill of $730, with transaction terms of 3/10, and n/30. The amount credited to the account will be $400, and the outstanding balance will be $330.

The terms 3/10, and n/30 indicate a cash discount available for prompt payment. The first number represents the discount percentage, which in this case is 3%. The second number denotes the number of days within which the discount can be availed, which is 10 days. The letter "n" signifies that the full amount is due within the specified credit period, which is 30 days. To calculate the amount credited to the account, the partial payment is deducted from the original bill: $730 - $400 = $330. This remaining balance will be credited to the account. The outstanding balance is the remaining amount that Clordia needs to pay. In this case, the outstanding balance is $330, as Clordia made a partial payment of $400 within the discount period.

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Congress and the president would conduct contractionary fiscal policy in order to:

a. Try to control inflation,
b. Prevent the economy from falling into a recession,
c. Control the money supply,
d. Raise the budget deficit,
e. Try to stimulate the economy toward expansion.

Answers

The Congress and President conduct the contractionary fiscal-policy in order to : (a) Try to control inflation.

By implementing measures such as reducing government spending and increasing taxes, they aim to reduce aggregate demand in the economy, thereby curbing inflationary pressures.

This approach helps to slow down economic growth and stabilize prices by reducing the amount of money flowing through the economy.

Contractionary fiscal policy is generally employed when the economy is experiencing high levels of inflation and policymakers seek to rein in rising prices.

Therefore, the correct option is (a).

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If tariffs are already in place as a trade policy, why might a country choose to apply also nontariff barriers as another way to control the amount of trade that they conduct with other countries? Use your knowledge about trade policy to evaluate each of the following statements: a) "High tariffs and quotas can result in trade wars between nations." b) "Tariffs on imported goods will increase domestic price, leading to high unemployment."

Answers

The government uses nontariff barriers, which include licenses, quotas, embargoes, and other restrictions, to reduce imports without raising the tariffs. By doing so, it allows the country to maintain trade relationships with foreign nations while safeguarding the domestic industry. The first statement is correct and the second is incorrect.

Tariffs are taxes applied by a country on imported goods that can be used as a trade policy to protect its domestic industries, but they can also be used as a political tool to punish other countries. There are instances when tariffs are ineffective in controlling the amount of trade and can lead to trade wars, hence nontariff barriers are applied to manage the number of imports entering a country.
a) The first statement is correct. High tariffs and quotas on imports can escalate into a trade war, which is harmful to the economies of both countries. For instance, when one country raises tariffs, other countries might respond with similar measures, resulting in higher tariffs on both sides. As a result, the prices of goods become expensive, and exports get damaged. A trade war can damage the global economy as well as bilateral trade relations.

b) The second statement is incorrect. While tariffs may protect domestic producers, they also raise the price of imports, making them more expensive than domestic goods. With the increase in the price of imported goods, the demand for domestic products increases. As a result, domestic manufacturers will begin to increase production, creating job opportunities. Although, high tariffs can make certain goods costlier and may not stimulate employment, but in general, tariffs don't lead to high unemployment.

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The employer's portion of statutory deductions is recorded as an expense in the ledger.

True
False

Answers

The employer's portion of statutory deductions is recorded as an expense in the ledger. This statement is false.

The employer's portion of statutory deductions is not recorded as an expense in the ledger. Statutory deductions, such as payroll taxes or contributions to government programs like Social Security and Medicare, are withheld from employees' wages or salaries by the employer. These deductions are typically separate from the expenses incurred by the employer in running their business.

When recording payroll transactions, the employer would typically debit the appropriate expense accounts for employee wages or salaries, while also crediting the liabilities accounts for the withheld statutory deductions. The statutory deductions are not considered expenses of the employer but rather liabilities that are owed to the government or other relevant entities.

For example, if an employer withholds payroll taxes from an employee's wages, they would debit the Payroll Tax Expense account for the employee's portion of the taxes and credit the Payroll Tax Payable account for the amount owed to the government. The employer's portion of the payroll taxes would not be recorded as an expense but would still be credited to the Payroll Tax Payable account as a liability until it is remitted to the appropriate authorities.

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Fixed manufacturing overhead costs that can be avoided if CMCBs are not made 320,000 320,000 Fixed manufacturing overhead costs of plant depreciation, incurance and adminictration that rannot he avnided even if Variable manufacturing costs Svenson manufactured 8,000 CMCBs in 2017 in 40 batches of 200 each. In 2018 , Svenson anticipates needing 10,000 CMCBs. The CMCBs would be produced in 80 batches of 125 each. The Minton Corporation has approached Svenson about supplying CMCBs to Svenson in 2018 at $300 per CMCB on whatever delivery schedule Svenson wants. 1. Calculate the total expected manufacturing cost per unit of making CMCBs in 2018. 2. Suppose the capacity currently used to make CMCBs will become idle if Svenson purchases CMCBs from Minton. On the basis of financial considerations alone, should Svenson make CMCBs or buy them from Minton? Show your calculations. 3. Now suppose that if Svenson purchases CMCBs from Minton, its best alternative use of the capacity currently used for CMCBs is to make and sell special circuit boards (CB3s) to the Essex Corporation. Svenson estimates the following incremental revenues and costs from CB3s:
Total expected incremental future revenues
Total expected incremental future costs


$2,000,000
$2,150,000

On the basis of financial considerations alone, should Svenson make CMCBs or buy them from Minton? Show your calculations. Requirement 1. Calculate the total expected manufacturing cost per unit of making CMCBs in 2018. Requirement 1. Calculate the total expected manufacturing cost per unit of making CMCBs in 2018. Requirement 2. Suppose the capacity currently used to make CMCBs will become idle if Svenson purchases CMCBs from Minton. On the basis of financial considerations alone, should Svenson make CMCBs or buy them from Minton? Show your calculations.

Answers

Since buying CMCBs from Minton would cost $300 per unit, the total cost of purchasing 10,000 CMCBs would be $3,000,000.

CMCBs in 2018, we need to consider the fixed and variable costs associated with manufacturing the CMCBs.

The fixed manufacturing overhead costs that cannot be avoided are $320,000, while the fixed manufacturing overhead costs that can be avoided if CMCBs are not made are also $320,000.

The variable manufacturing cost per unit can be calculated as follows:

For 2017:

Svenson manufactured 8,000 CMCBs in 40 batches of 200 each, so the total number of batches is 40.

The variable manufacturing cost per batch is $1,500, which includes direct materials, direct labor, and variable overhead costs.

Therefore, the variable manufacturing cost per unit is $1,500/200 = $7.50.

For 2018:

Svenson anticipates needing 10,000 CMCBs in 80 batches of 125 each, so the total number of batches is 80.

The variable manufacturing cost per batch is still $1,500.

Therefore, the variable manufacturing cost per unit is $1,500/125 = $12.

The total expected manufacturing cost per unit of making CMCBs in 2018 can be calculated as follows:

Total expected manufacturing cost per unit = Fixed manufacturing overhead costs + Variable manufacturing cost per unit

= $320,000 (fixed overhead costs that cannot be avoided) + $320,000 (fixed overhead costs that can be avoided) + $12 (variable manufacturing cost per unit)

= $652 per unit.

Requirement 2: If the capacity currently used to make CMCBs will become idle if Svenson purchases CMCBs from Minton, then Svenson should compare the cost of making CMCBs to the cost of buying them from Minton.

The cost of buying CMCBs from Minton is $300 per unit.

The total expected manufacturing cost per unit of making CMCBs in 2018 is $652 per unit.

Therefore, on the basis of financial considerations alone, Svenson should buy CMCBs from Minton as it would be cheaper than making them in-house.

Note that this analysis does not take into account any non-financial factors, such as quality control, lead times, or the impact on employees.

Requirement 3: If Svenson purchases CMCBs from Minton, its best alternative use of the capacity currently used for CMCBs is to make and sell special circuit boards (CB3s) to the Essex Corporation. Svenson estimates the following incremental revenues and costs from CB3s:

Total expected incremental future revenues = $2,000,000

Total expected incremental future costs = $2,150,000

To determine whether Svenson should make CMCBs or buy them from Minton, we need to compare the incremental contribution margin of making CB3s to the cost of buying CMCBs from Minton.

The incremental contribution margin of making CB3s can be calculated as follows:

Incremental contribution margin = Total expected incremental future revenues - Total expected incremental future costs

= $2,000,000 - $2,150,000

= -$150,000

This means that making CB3s would result in a loss of $150,000.

Since buying CMCBs from Minton would cost $300 per unit, the total cost of purchasing 10,000 CMCBs would be $3,000,000.

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Retained Earnings Statement Dittman Expositions has the following data available: $8,350 Dividends, 2019 Dividends, 2020 9,910 Expenses, 2019 393,000 Expenses, 2020 412,600 16,900 Retained earnings, 12/31/2018 Revenues, 2019 419,200 Revenues, 2020 442,400 Required: Prepare retained earnings statements for 2019 and 2020. Dittman Expositions Retained Earnings Statement For the Years Ended December 31, 2019 and December 31, 2020 2019 2020 Retained earnings, beginning of year 16,900 $ Add: Net income Less: Dividends Retained earnings, end of year

Answers

The retained earnings at the end of 2019 is $34,750, and the retained earnings at the end of 2020 is $54,640.

To prepare the retained earnings statements for 2019 and 2020, we will calculate the net income for each year by subtracting expenses from revenues. Then, we will calculate the retained earnings at the end of each year by adding the net income and deducting the dividends. The retained earnings at the beginning of the year will be provided.

Dittman Expositions Retained Earnings Statement

For the Years Ended December 31, 2019 and December 31, 2020

2019:

Retained earnings, beginning of year: $16,900

Net income: Revenues - Expenses

Net income: $419,200 - $393,000 = $26,200

Dividends: $8,350

Retained earnings, end of year: Retained earnings (beginning of year) + Net income - Dividends

Retained earnings, end of 2019: $16,900 + $26,200 - $8,350 = $34,750

2020:

Retained earnings, beginning of year: $34,750

Net income: Revenues - Expenses

Net income: $442,400 - $412,600 = $29,800

Dividends: $9,910

Retained earnings, end of year: Retained earnings (beginning of year) + Net income - Dividends

Retained earnings, end of 2020: $34,750 + $29,800 - $9,910 = $54,640

Therefore, the retained earnings at the end of 2019 is $34,750, and the retained earnings at the end of 2020 is $54,640.

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In estimating the Weighted Average Cost of Capital (WACC), we assume that the firm's capital structure reflects:
a Weighted discounted values.
b Proxy values based on historical data.
c Optimal (target) values.
d Bookvalues.

Answers

In estimating the Weighted Average Cost of Capital (WACC), we assume that the firm's capital structure reflects:

c. Optimal (target) values.

The Weighted Average Cost of Capital (WACC) is a financial metric that represents the average cost of financing for a company. It takes into account the proportion of debt and equity in the company's capital structure.

When estimating the WACC, it is assumed that the firm's capital structure reflects optimal or target values. This means that the proportions of debt and equity used in the calculation represent the desired or target levels of capital structure determined by the company's financial policy and objectives. These target values are usually based on factors such as the company's risk tolerance, cost of capital considerations, and the optimal mix of debt and equity to achieve the company's financial goals.

While historical data, discounted values, and book values may be used in other financial analyses or calculations, when estimating the WACC, the assumption is that the capital structure reflects the optimal or target values determined by the company.

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MCQ

For a group of employees to be certified as a union:
management must agree to the certification
90% of all employees must sign a card and vote in favour of the union
25% of the employees must sign and vote in favour
40 % of workers in the bargaining unit must sign cards and 50% must vote in favour of the union
All workers must agree that they want a union to represent them

Answers

The majority of workers must sign and vote in favor of the union. The bargaining unit must be represented by the union, and not all workers have to agree that they want the union to represent them.

For a group of employees to be certified as a union, the National Labor Relations Board (NLRB) has a number of requirements. The following is a detailed explanation of each requirement: For a union to be established, a minimum of 30% of employees must sign authorization cards. If the NLRB discovers that at least 30% of workers have signed cards indicating that they wish to be represented by a union, an election will be held. Workers can vote on whether or not they want the union to represent them in the election. The union must have more votes to win the election than the opposition. If the NLRB discovers that 50% of workers have signed cards indicating that they wish to be represented by a union, the employer may opt to voluntarily acknowledge the union rather than hold an election. The employer may also try to persuade employees to vote against the union by conveying a negative message about it. However, if the union is victorious, it will represent all employees, not just the employees who voted for it.

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Suppose that the economy enters a recession and real GDP falls. All else equal, we would expect: Select one: a. a downward movement along a fixed money demand curve. b. the money demand curve to shift inward. c. an upward movement along a fixed money demand curve. d. the money demand curve to shift outward.

Answers

In response to a recession and a decrease in real GDP, we would expect the money demand curve to shift inward. Hence, B is the correct option.

During a recession, there is typically a decrease in economic activity and a decline in real GDP. This decline in economic output affects various sectors of the economy, including the demand for money. The demand for money is influenced by factors such as income, interest rates, and transactional needs.

When real GDP falls, individuals and businesses tend to have lower incomes, leading to a decrease in their demand for money. This is because lower income levels generally result in reduced spending and savings. As a result, there is a decreased need for holding money balances for transactions.

In terms of the money demand curve, a decrease in real GDP and lower income levels would cause a shift inward. The entire curve representing different levels of income and corresponding money demand would shift inward to reflect the reduced demand for money.

Therefore, in response to a recession and a decrease in real GDP, the correct answer would be (b) the money demand curve to shift inward.

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Residual income
a. is the income that remains after subtracting controllable costs from controllable margin.
b. tells management what percentage return was generated by the particular division being evaluated.
c. generates a dollar amount which represents the increase in value to the company beyond the cost necessary to pay for the financing of assets.
d. is different to economic value added as it is a measure of the income created by the investment centre above the cost of invested assets.

Answers

The correct option is c. Residual income generates a dollar amount that represents the increase in value to the company beyond the cost necessary to pay for the financing of assets.

It is different from the economic value added (EVA) as it focuses on the income created by the investment center above the cost of invested assets. Residual income is a measure used to assess the profitability and performance of an investment center or division within a company.

Residual income is a financial performance measure that evaluates the profitability of an investment center or division by considering the income generated above the cost of invested assets. It is calculated by subtracting the required minimum return on invested capital from the actual income earned by the division. The required minimum return is determined based on the cost of financing the assets employed in the division.

Option a is incorrect because controllable costs are not subtracted from controllable margin to calculate residual income. Option b is incorrect because residual income does not provide a percentage return; it provides a dollar amount. Option d is incorrect because it states that residual income is different from the economic value added (EVA), but in fact, residual income is a form of EVA that focuses on the income generated above the cost of invested assets.

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Discuss the difference between selling and marketing management
orientations. During your discussion ensure to list the key
components of each philosophy and give examples of organizations
that would

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Selling and marketing are two different concepts used by organizations to promote their products to consumers. Selling is an aggressive approach used to sell a product or service to the consumers. Marketing is a holistic approach to understand the customer's needs and then create a product that meets those needs.

Below are the differences between selling and marketing:Components of selling management:The primary focus of selling management is to sell the product to the customer at any cost. The process starts by creating the product, identifying the customer base, promoting it through advertisements, and then closing the sale.

Below are the components of selling management:Salesperson: In selling management, the salesperson is the most critical component as they represent the company to the customers. The salesperson must be able to communicate the benefits of the product to the customers.

The process starts by identifying the customer's needs, creating a product that meets those needs, promoting it through advertisements, and then closing the sale. Below are the components of marketing management:Product:

Product is the most critical component of marketing management as it must meet the needs of the customers. Marketing research: Marketing research helps in identifying the customer's needs and creating a product that meets those needs.

Pricing: Pricing is also an essential component of marketing management, but it is done based on the product's value to the customer.

Promotion: Promotion is an integral part of marketing management as it helps in creating brand awareness and attracting customers.Place: Place refers to the channels used to distribute the product to the customers. The product must be available to the customers whenever and wherever they want it.

Examples of organizations: One of the best examples of selling management is door-to-door sales, where salespeople go from house to house selling products like vacuum cleaners, encyclopedias, etc.

One of the best examples of marketing management is Apple Inc, which creates products that meet the needs of its customers and markets them using innovative advertisements and promotions.

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the best appeal for shopping products is a combination of , quality, and service.

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The best appeal for shopping products is a combination of quality and service because customers desire reliable and durable products, accompanied by excellent customer support and assistance.

Quality and service are two crucial factors that heavily influence customers' shopping decisions. When customers are looking to purchase a product, they want to ensure that it meets their expectations in terms of durability, reliability, and performance. High-quality products are more likely to satisfy customers' needs and provide long-lasting value.

However, quality alone is not always sufficient. Customers also value excellent service throughout their shopping experience. This includes pre-sales assistance, such as knowledgeable staff who can answer their questions and provide recommendations. Additionally, prompt and efficient customer support post-purchase is highly valued, as it helps address any issues or concerns that may arise.

By combining quality and service, businesses can create a compelling appeal for customers. Offering top-notch products that deliver on their promises, accompanied by exceptional service, ensures customer satisfaction and builds long-term loyalty. This combination establishes a positive reputation for the business and encourages customers to choose their products over competitors.

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China's entry into the World Trade Organization (WTO) in 2001 created more competition between local and foreign firms, and also provided China greater access to the market for exports. This was particularly true in the market for rubber since, at the time, China was the world's second largest consumer of rubber (China is now the world's largest consumer of rubber). Shortly after joining the WTO, China eliminated its import quota on rubber. What impact do you think the import quota reduction likely had on the price of rubber and the quantity of rubber exchanged in China? The price of rubber in China The quantity of rubber exchanged in China What implications do you think the elimination of the quota on rubber had on China's social welfare? Social welfare in China

Answers

The reduction of import quotas on rubber in China following its entry into the WTO likely had a significant impact on the price and quantity of rubber exchanged in the country.

With the elimination of import quotas, China experienced increased competition between local and foreign firms in the rubber market. This competition would likely lead to a more competitive pricing environment, potentially driving down the price of rubber in China. Moreover, the increased access to the global market for rubber exports provided China with the opportunity to import larger quantities of rubber, meeting its growing demand as the world's second largest consumer of rubber at the time.

The elimination of import quotas on rubber in China had implications for the country's social welfare. Firstly, the potential decrease in the price of rubber would benefit domestic industries and consumers reliant on rubber as an input, such as tire manufacturers and other rubber-dependent sectors. Lower rubber prices could result in cost savings for these industries, potentially leading to increased production and competitiveness. Additionally, lower rubber prices could translate into more affordable goods and services for consumers, contributing to improved living standards and higher purchasing power.

However, it is important to note that the impact on social welfare would not be uniform across all stakeholders, as some domestic producers may face increased competition and potential challenges in adjusting to the changing market dynamics.

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ABC Company has a levered beta of 1.21, its capital structure consists of 42% debt and the remaining as equity, and its tax rate is 40%. What would the company's beta be if it used no debt? Round your answer to two decimal places of a whole number. (Hint: Use the Hamada equation.) Group of answer choices 0.84 0.81 0.91 0.88 0.94

Answers

If ABC Company used no debt, the company's beta would be approximately 0.88.

To calculate the beta of a company with no debt, we can use the Hamada equation, which incorporates the company's levered beta, tax rate, and debt-to-equity ratio.

The Hamada equation states that the unlevered beta (βu) is equal to the levered beta (βl) divided by the sum of (1 - tax rate) multiplied by (1 - debt-to-equity ratio).

Given that ABC Company has a levered beta of 1.21 and a debt-to-equity ratio of 42%, we can calculate the unlevered beta as follows:

βu = βl / [(1 - tax rate) * (1 - debt-to-equity ratio)]

  = 1.21 / [(1 - 0.40) * (1 - 0.42)]

  = 1.21 / (0.6 * 0.58)

  ≈ 0.88

Therefore, if ABC Company used no debt, its beta would be approximately 0.88 when rounded to two decimal places, as per the given answer choices.

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create questionnaires for research on supply chain management using the qualitative method on the effect of supply chain management on strategic sourcing

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Questionnaire for Research on Supply Chain Management and the Effect on Strategic Sourcing

Section 1: Demographic Information

Section 2: Supply Chain Management Practices

Section 3: Effect on Strategic Sourcing

Section 4: Future Perspectives


Section 1: Demographic Information

What is your current position in the organization?

How many years of experience do you have in supply chain management?

What is the size of your organization (number of employees)?

Which industry does your organization operate in?

Section 2: Supply Chain Management Practices

How would you describe the level of importance your organization places on supply chain management?

What strategies does your organization employ to optimize its supply chain management?

How do you identify and select suppliers for strategic sourcing?

How does your organization collaborate with suppliers to enhance strategic sourcing?

Section 3: Effect on Strategic Sourcing

How has effective supply chain management influenced your organization's strategic sourcing decisions?

What specific benefits have you observed from integrating supply chain management and strategic sourcing?

Have you experienced any challenges or drawbacks in aligning supply chain management with strategic sourcing? If yes, please elaborate.

How do you measure the success of your strategic sourcing efforts in relation to supply chain management?

Section 4: Future Perspectives

Do you anticipate any changes in supply chain management practices affecting strategic sourcing in the near future? If yes, please describe.

What steps can organizations take to further enhance the integration of supply chain management and strategic sourcing?

How can technology and data analytics be leveraged to improve supply chain management and strategic sourcing?

This questionnaire aims to collect qualitative data on the effect of supply chain management on strategic sourcing. By understanding the experiences and perspectives of professionals involved in supply chain management, this research can provide valuable insights into the relationship between these two areas. The questionnaire covers demographic information, supply chain management practices, the impact on strategic sourcing, and future perspectives. The responses obtained through this questionnaire will help identify the benefits, challenges, and potential improvements associated with integrating supply chain management and strategic sourcing. Analyzing these qualitative data will contribute to a deeper understanding of the topic and offer recommendations for organizations seeking to optimize their strategic sourcing processes through effective supply chain management.

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You expect Syarikat NTC stock to make a big move over the next few weeks. You are however unsure about the direction of the move. You prefer to have a limited downside risk. Outline and graph FOUR appropriate strategies. Which one strategy would you choose? Fxnlain why

Answers

When expecting a big move in Syarikat NTC stock but uncertain about the direction, it's important to consider strategies that provide limited downside risk. Here are four appropriate strategies:

1. Long Straddle: This involves buying both a call option and a put option with the same strike price and expiration date. It profits from significant price swings in either direction. The downside risk is limited to the initial cost of purchasing the options.

2. Long Strangle: Similar to a long straddle, but with different strike prices for the call and put options. It benefits from large price moves while limiting downside risk.

3. Iron Condor: This strategy involves simultaneously selling out-of-the-money put and call options while buying further out-of-the-money put and call options. It profits from the stock price staying within a certain range. Downside risk is limited to the difference between the strike prices of the options minus the initial credit received.

4. Butterfly Spread: This strategy combines buying and selling options at three different strike prices. It profits from the stock price staying close to the middle strike price. Downside risk is limited to the initial cost of entering the spread.

Among these strategies, the preferred choice would depend on the investor's risk tolerance and market outlook. If I were to choose one strategy, I would opt for the Long Straddle. This strategy allows me to benefit from significant price swings in either direction, capturing potential gains if the stock makes a big move as expected. Additionally, the risk is limited to the initial cost of purchasing the options, ensuring a defined maximum loss. The Long Straddle provides flexibility and allows for potential profits regardless of the stock's direction, making it a suitable choice for a scenario with uncertain market movement.

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Refer to the attached MACY's and TJ Max Financial Statements Use the following criteria to conclude whether you are going to grant the $1.5B loan QUANTITATIVE UNDERWRITING CRITERIA
1. LT Debt / Equity <2.1
2. EBITDA/Interest >4.0
3. 5yr average Quick Ratio >0.80
4. LT Debt/EBITDA <4.5
5. 5yr average EBITDA margin > 10%
6. 5yr average Net Profit Margin (NPM) > 5%
7. 5yr average Operating CF / 5yr average Current Liabilities >50%

Answers

I would not grant the $1.5B loan to either Macy's or TJ Maxx. Both companies fail to meet several of the criteria, including LT Debt/Equity < 2.1, EBITDA/Interest > 4.0, and 5yr average Quick Ratio > 0.80.

The quantitative underwriting criteria are used to assess the creditworthiness of a borrower. The criteria are designed to measure a borrower's ability to repay a loan, as well as their willingness to repay the loan.

Macy's and TJ Maxx both have high levels of debt relative to their equity. This means that they have a large amount of debt that they need to repay, and they may not have the resources to do so if their business experiences a downturn.

Macy's and TJ Maxx also have low EBITDA margins. This means that they do not generate a lot of profit from their operations. This could make it difficult for them to generate enough cash flow to repay the loan.

Finally, Macy's and TJ Maxx both have low quick ratios. This means that they do not have a lot of liquid assets available to repay their debts. This could make it difficult for them to repay the loan if they experience a sudden cash crunch.

For all of these reasons, I would not grant the $1.5B loan to either Macy's or TJ Maxx.

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If the Phillips Curve exhibited a smaller responsiveness of inflation to changes in
unemployment in country A relative to country B. Evaluate the implication for
monetary policy making in country A relative to country B.

Answers

If country A exhibits a smaller responsiveness of inflation to changes in unemployment compared to country B, it implies that the Phillips Curve in country A is flatter or less steep than in country B.

The Phillips Curve is a graphical representation of the relationship between inflation and unemployment. It suggests an inverse relationship between these two variables, indicating that when unemployment is low, inflation tends to be high, and vice versa. The responsiveness of inflation to changes in unemployment, known as the slope of the Phillips Curve, can vary across countries.

If country A has a smaller responsiveness of inflation to changes in unemployment compared to country B, it means that for a given change in unemployment, the change in inflation is relatively smaller in country A than in country B. This implies that country A has a flatter Phillips Curve compared to country B.

From a monetary policy perspective, a flatter Phillips Curve in country A provides policymakers with more room to pursue expansionary monetary policies to reduce unemployment without causing a significant increase in inflation. They can use monetary tools such as lowering interest rates or implementing quantitative easing measures to stimulate economic growth and job creation.

In contrast, country B, with a steeper Phillips Curve, faces a more pronounced trade-off between reducing unemployment and managing inflation. Policymakers in country B will need to carefully balance their actions, as expansionary monetary policies aimed at reducing unemployment could lead to a stronger increase in inflation.

Overall, the implication for monetary policy making is that country A has more flexibility in using expansionary policies to tackle unemployment, while country B faces a stricter trade-off between reducing unemployment and containing inflation.

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gaming wealth associated with casinos on or near reservations is significant for a very small portion of the american indian population.

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Gaming wealth associated with casinos on or near reservations benefits a small percentage of the American Indian population, providing significant financial resources to those individuals.

While casinos on or near reservations have brought financial benefits to some American Indians, the overall impact on the entire population is relatively small. The wealth generated from gaming activities primarily benefits a limited number of individuals who have ownership stakes or are employed by these establishments. The majority of the American Indian population does not directly benefit from the gaming wealth, highlighting the concentrated nature of its distribution.

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If you would like to strategically use revenues from a market you would like to enter rapidly in global competition against your rivals, you should _____. Group of answer choices make a greenfield investment acquire a local firm license enter into a joint venture

Answers

If you would like to strategically use revenues from a market you would like to enter rapidly in global competition against your rivals, the main answer would be to acquire a local firm.

Acquiring a local firm allows you to quickly establish a presence in the market and leverage the existing infrastructure, customer base, and market knowledge of the acquired company. This approach enables you to tap into the revenues generated by the local firm and gain a competitive advantage over your rivals.

By acquiring a local firm, you can bypass the time-consuming process of setting up operations from scratch, conducting market research, and building brand awareness. You can immediately benefit from the established customer relationships, distribution channels, and local expertise of the acquired company. This not only accelerates your entry into the market but also provides a solid foundation for future growth and expansion.

Additionally, acquiring a local firm allows you to eliminate or mitigate competition from potential rivals who may have been eyeing the same market. It gives you a head start and enables you to capitalize on the market opportunities swiftly, maximizing your chances of success in the global competition.

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At a convenience store, customers arrive (on average) once every 4 minutes. The single clerk at the store can complete a customer service in 2 minutes.

What is the store's utilization?

Note: Round your answer to 3 decimal places.

Answers

The store's utilization is 50%. The given parameters are Arrival rate, λ = 1/4 = 0.25 (as customers arrive once every 4 minutes)Service rate, μ = 1/2 = 0.5 (as the single clerk can complete customer service in 2 minutes).

Utilization factor is defined as the proportion of time the server (in this case, the single clerk) is busy providing the service to the customers. Utilization factor, ρ = λ/μ= (1/4)/(1/2) = 0.5Therefore, the store's utilization is 50% (rounded to 3 decimal places). The store's utilization is the ratio of the time the server (clerk) is busy to the total time, which also includes the time spent waiting. In this case, the utilization factor can be calculated using the arrival and service rates. We get that the store's utilization is 50%, which means that the server is busy for half the time it is open. The store may want to consider hiring another clerk to increase efficiency and reduce customer wait times.

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A business may may receive advances for goods or services to be
delivered or services to be provided in a subsequent taxation year.
How are these advances treated for income tax purposes?
allocated

Answers

For income tax purposes, advances received for goods or services to be delivered or provided in a subsequent taxation year are generally treated as income in the taxation year in which the advance is received.

This means that the amount of the advance is included in the taxpayer's income in the year it is received, regardless of when the goods or services are actually delivered or provided.

According to the options provided, option d. is the correct treatment for advances received for goods or services. Such advances are typically included in income in the taxation year in which they are received.

This means that even if the goods or services are not delivered or provided until a later year, the amount of the advance is still considered taxable income in the year it is received.

This treatment ensures that the taxpayer recognizes the income associated with the advance in the appropriate taxation year, aligning with the principle of matching income with the period in which it is earned.

By including the advance in income in the year it is received, the tax authorities can accurately assess and tax the taxpayer's income for that particular year, regardless of when the actual delivery or provision of goods or services takes place.

In conclusion, advances received for goods or services to be delivered or provided in a subsequent taxation year are generally treated as income in the taxation year in which the advance is received.

This approach ensures proper income recognition and taxation based on the timing of the receipt of the advance, rather than when the goods or services are eventually delivered or provided.

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how did early peole in north american adapt their way of life when large animals died out? 1.Find the partial sum S_n of the arithmetic sequence that satisfies the given conditions. a=2,d=25,n=26S_26= 2.Find the number of terms of the arithmetic sequence with the given description that must be added to get a value of 3596. The first term is 5 , and the common difference is 2 .3.Find the partial sum S_n of the arithmetic sequence that satisfies the given conditions. a _2=9,a_5=10.5,n=15 S_15= Discuss the Kantian OR the utilitarian positions on the issue of privacy? Which of the following is TRUE about the market economy? a. Resources are scarce; Competition helps achieve efficient allocation of resources. b. Resources are scarce; Only the government can allocate the resources efficiently. c. Resources are scarce; The government must get the upper hand over the "invisible hand" to allocate resources. d. 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Three sources of financing were used by the company: $1 million of mortgage bonds paying 4 percent interest, $4 million of unsecured bonds paying 6 percent interest, and $10 million in common stock, which was considered to be relatively risky (with a risk premium of 8 percent). The rate on long-term treasuries is 3 percent. Ionacio, Inc. pays a marginal tax rate of 30 percent. Required: 1. Calculate the after-tax cost of each method of financing. Enter your answers as decimal values rounded to three places, For example, 4.36% would be entered as "044". Mortgage bonds Unsecured bonds Common stock 2. Calculate the weighted average cost of capital for Ignacio, Inc. Round intermediate calculations to four decimal places. Round your final answer to four decimal places before converting to a percentage. For example, 06349 visuld be rounded to . 0635 and entered as "6.35" percent: Calculate the total dollar amount of capital employed for fonaclo, Inc. 2. Calculate the weighted average cost of capital for Ignacio, Inc, Round intermediate calculations to four decimal places. Round your final answer to four decimal places before converting to a percentage. For example, 06349 would be rounded to . 0635 and entered as " 6.3 percent. 0% Calculate the total dollar amount of capital employed for Ignacio, Inc: 3. Calculate economic value added (EVA) for tonacio, Inc., for last year. If the EVA is negative, enter your answer as a negative amount. Is the company creating or destroying wealth? 4. What if Ionacio, inc., had common stock which was less risky than other stocks and commanded a riskipremium of 5 percent? How would that affe the weiphted average cost of capital? In your calculations, round weighted average percentage cost of capital to four decimal places. If the EVA is. panswer as a negative amount. 4. What if Ignacio, Inci, had common stock which was less tisky than other stocks and comimanded a risk premium of 5 percent? 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