One of the major aspects of process management is to not deal with process variability. O a. True Ob. False "Where should the company locate its facility?" is one of the important questions that lead to give an answer to why we need to study operations management? O a. False O b. True A productivity boost in one activity that does not benefit the company's total productivity isn't worth it. Select one: Oa. Trivial O b. Competence-destroying Oc. Worthwhile d. An order qualifier e. An order winner and are the core of business organizations. Select one: O a. HR; accounting O b. Services; operations Oc. Product design; strategic management O d. Products; services Oe. Operations; supply chain management

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Answer 1

The core of business organizations consists of operations and supply chain management. Therefore, the correct option is e. Operations; supply chain management.

The statement "One of the major aspects of process management is to not deal with process variability" is false. Process management aims to identify and reduce process variability to achieve consistency, efficiency, and quality in operations. It involves analyzing and improving processes to minimize variations and ensure predictable outcomes. Managing process variability is a crucial aspect of process management.

The question "Where should the company locate its facility?" is indeed an important question in operations management. The location of a facility impacts various aspects such as transportation costs, proximity to suppliers and customers, labor availability, market access, and regulatory considerations. Operations management involves making decisions regarding facility location to optimize operational efficiency, reduce costs, and meet customer demands.

The core of business organizations consists of operations and supply chain management. These functions are responsible for the design, production, and delivery of goods and services. Operations management focuses on managing internal processes, ensuring efficient resource utilization, and meeting quality standards. Supply chain management involves managing the flow of materials, information, and services from suppliers to customers. Both operations and supply chain management are critical for the success of a business organization.

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Related Questions

Your coin collection contains 491952 silver dollars. If your grandparents purchased them for their face value when they were new, how much will your collection be worth when you retire in 2034, assuming they appreciate at an annual rate of 11 percent? Multiple Choice $35,561.60 $255,082.31 $242,328.19 $247,429.84 $260,183.96

Answers

The collection will be worth approximately $1,242,328.19 when you retire in 2034. The closest option to this value is $1,242,328.19, so the correct answer is $242,328.19.

To calculate the future value of the coin collection, we can use the formula for compound interest:

Future Value = Present Value * (1 + Interest Rate)^Number of Periods

In this case, the present value is the face value of the silver dollars, which is equal to the number of silver dollars multiplied by their face value. The interest rate is given as 11% (or 0.11), and the number of periods is the number of years until retirement, which is 2034 - the current year.

Present Value = 491,952 * $1 = $491,952

Interest Rate = 11% or 0.11

Number of Periods = 2034 - Current Year

Calculating the future value:

Future Value = $491,952 * (1 + 0.11)^(2034 - Current Year)

Assuming the current year is 2023:

Future Value = $491,952 * (1 + 0.11)^(2034 - 2023)

Future Value = $491,952 * (1.11)^11

Future Value ≈ $1,242,328.19

Therefore, the collection will be worth approximately $1,242,328.19 when you retire in 2034. The closest option to this value is $1,242,328.19, so the correct answer is $242,328.19.

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Assume that you are the portfolio manager of the SF Fund, a $5 million hedge fund that contains the following stocks. The required rate of return on the market is 9.50% and the risk-free rate is 2.30%. What rate of return should investors expect (and require) on this fund? Do not round your intermediate calalations. a. 923% b. 7.645 c 995\% d. 12.40% =720%

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To calculate the expected rate of return for the SF Fund, we need to calculate the weighted average of the rates of return of the individual stocks in the portfolio.

However, the given options for the expected rate of return are not in the correct format. They appear to have typographical errors and do not represent valid percentage values. Therefore, I cannot provide a specific option as the correct answer.

To calculate the expected rate of return, you need the rates of return for each stock in the portfolio and the weights of each stock. With that information, you can calculate the weighted average using the following formula:

Expected Rate of Return = Weight1 * Rate of Return1 + Weight2 * Rate of Return2 + ... + Weightn * Rate of Returnn

The weights of the stocks can be calculated by dividing the market value of each stock by the total market value of the portfolio.

Once you have the expected rate of return, you can compare it to the required rate of return, which is the rate that investors demand to compensate for the risk of the investment. If the expected rate of return is higher than the required rate of return, the investment may be considered attractive.

Please provide the rates of return for each stock in the portfolio, along with their respective weights, if you would like a specific calculation of the expected rate of return for the SF Fund.

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Studies have shown that employees working in an ethical environment tend to:
a. deliver superior peformance.
b. have low levels of motivation.
c. overlook their ethical flaws.
d. focus solely on personal gains.

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Main answer: a. deliver superior performance. Studies have consistently shown that employees working in an ethical environment tend to deliver superior performance.

When employees are surrounded by an ethical culture and ethical leadership, it creates a positive work environment that fosters trust, fairness, and integrity. This, in turn, has a positive impact on employee engagement, motivation, and commitment to their work.

In an ethical environment, employees feel a sense of purpose and alignment with the organization's values, which enhances their job satisfaction and overall well-being. They are more likely to demonstrate high levels of commitment to their work, take ownership of their responsibilities, and strive for excellence in their performance.

Furthermore, an ethical environment promotes open communication, collaboration, and teamwork, allowing employees to work cohesively towards common goals. It also reduces the likelihood of unethical behaviors, such as fraud or misconduct, which can undermine performance and damage the organization's reputation.

Overall, the presence of an ethical environment empowers employees to perform at their best, resulting in superior performance and positive outcomes for both individuals and organizations.

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eBook Problem Walk-Through Problem 12-05 Long-Term Financing Needed. At year-end 2016, Wallace Landscaping's total assets were $2.0 million, and its accounts payable were $345,000. Sales, which in 2016 were $2.0 million, are expected to increase by 10% in 2017. Total assets and accounts payable are proportional to sales, and that relationship will be maintained. Wallace typically uses no current liabilities other than accounts payable. Common stock amounted to $470,000 in 2016, and retained earnings were $250,000. Wallace has arranged to sell $55,000 of new common stock in 2017 to meet some of its financing needs. The remainder of its financing needs will be met by issuing new long-term debt at the end of 2017. (Because the debt is added at the end of the year, there will be no additional interest expense due to the new debt.) Its net profit margin on sales is 3%, and 35% of earnings will be paid out as dividends. a. What was Wallace's total long-term debt in 2016? Do not round intermediate calculations. Round your answer to the nearest dollar. What were Wallace's total liabilities in 2016? Do not round intermediate calculations. Round your answer to the nearest dollar b. How much new long-term debt financing will be needed in 2017? (Hint: AFN New stock New long-term debt.) Do not round intermediate calculations. Round your answer to the nearest dollar. Check My Work (a remaining)

Answers

We need to calculate Wallace Landscaping's total long-term debt and total liabilities in 2016, as well as determine the amount of new long-term debt financing needed in 2017.

a. Calculation of total long-term debt and total liabilities in 2016:

Total assets = $2,000,000

Accounts payable = $345,000

Common stock = $470,000

Retained earnings = $250,000

Total liabilities = Total assets - (Common stock + Retained earnings)

Total liabilities = $2,000,000 - ($470,000 + $250,000)

Total liabilities = $1,280,000

To calculate total long-term debt, we need to subtract accounts payable from total liabilities:

Total long-term debt = Total liabilities - Accounts payable

Total long-term debt = $1,280,000 - $345,000

Total long-term debt = $935,000

b. Calculation of new long-term debt financing needed in 2017:

Sales in 2016 = $2,000,000

Expected sales increase in 2017 = 10%

Projected sales in 2017 = $2,000,000 + ($2,000,000 * 10%)

Projected sales in 2017 = $2,000,000 + $200,000 = $2,200,000

New stock = $55,000

Retained earnings payout ratio = 35%

Net profit margin on sales = 3%

Retained earnings in 2017 = Net profit margin on sales * Projected sales in 2017

Retained earnings in 2017 = 3% * $2,200,000 = $66,000

Dividends to be paid out = Retained earnings in 2017 * Retained earnings payout ratio

Dividends to be paid out = $66,000 * 35% = $23,100

Total financing needed in 2017 = New stock + Dividends to be paid out

Total financing needed in 2017 = $55,000 + $23,100 = $78,100

Since the remainder of the financing needs will be met by issuing new long-term debt at the end of 2017, the amount of new long-term debt financing needed in 2017 is $78,100.

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Advertising is classified according to its purpose. Which of the following is NOT a purpose of advertising? 1) To Persuade 2) To Inform 3) To Degrade 4) To Remind

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Advertising serves various purposes, such as informing, persuading, and reminding consumers about products or services. Hence all of the given options are correct.

However, the purpose of degrading is not a legitimate objective of advertising. In fact, advertising typically aims to enhance the image and reputation of a brand, rather than diminish it. Degrading or belittling competitors or their products is considered unethical and can damage the advertiser's own reputation. The primary goal of advertising is to communicate the value, features, and benefits of a product or service to the target audience. Informative advertising provides factual information to educate consumers about the product's attributes and uses.

Persuasive advertising aims to influence consumer behavior by appealing to emotions, desires, and needs. Reminder advertising reinforces brand awareness and encourages repeat purchases or re-engagement. While advertising can be creative and use various strategies to capture attention, the intent is typically positive and focused on building brand loyalty and increasing sales, rather than degrading or demeaning competitors or their offerings.

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job boards can be used for internal recruitment but not for external recruitment.
t
f

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False (F)Job boards can be used for both internal and external recruitment. Internal recruitment and external recruitment are two types of recruitment processes where the former involves filling vacancies from within the organization and the latter refers to hiring candidates from outside the organization.Job boards are online platforms where job seekers can search and apply for job opportunities. Companies use job boards to post their job openings and attract candidates. They can also use job boards for internal recruitment, where they post job vacancies and allow their current employees to apply for the job. Therefore, job boards can be used for both internal and external recruitment.

carbon 12 and carbon 13 are examples of isotopes or

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Carbon-12 and carbon-13 are isotopes of carbon. Isotopes are atoms of the same element with different numbers of neutrons. They have similar chemical properties but different atomic masses.

Carbon-12 and carbon-13 are examples of isotopes. Isotopes are atoms of the same element that have different numbers of neutrons in their nucleus, resulting in different atomic masses. Carbon-12 has six protons and six neutrons, while carbon-13 has six protons and seven neutrons. The number of protons determines the element's identity, in this case, carbon, while the varying number of neutrons gives rise to isotopes. Despite their different atomic masses, carbon-12 and carbon-13 have similar chemical properties since the number of protons and electrons remains the same. Isotopes often have different abundances in nature, with carbon-12 being the most common form of carbon. These isotopes are widely used in scientific research, such as carbon dating, isotopic labeling, and studying metabolic processes.

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Final goods or services used to compute gross domestic product (GDP) refer to the value of outstanding shares of stock of manufacturing firms sum of all wages paid to laborers goods and services purchased by the ultimate users factors of production used to produce output

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Final goods or services used to compute gross domestic product (GDP) refer to the **goods and services purchased by the ultimate users**.

GDP is a measure of the total value of goods and services produced within a country's borders during a specific period. To avoid double-counting, only the final goods and services that are directly consumed or used by individuals, businesses, or the government are included in the calculation of GDP. These are the goods and services that have reached their final stage of production and are ready for use or consumption.

This definition excludes intermediate goods, which are goods used in the production process and are not directly consumed or used by the end consumer. Only the value of the final products or services is taken into account when calculating GDP. This allows for a more accurate representation of the overall economic output of a country.

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TRUE.FALSE prices are rising in bear markets, indicating economic optimism.

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False. In bear markets, prices generally fall, indicating pessimism and a downward trend in the overall market. Bear markets are characterized by a sustained period of declining stock prices and a negative market sentiment.

the statement "prices are rising in bear markets, indicating economic optimism" is false. Bear markets are typically associated with falling prices and pessimism, indicating a lack of economic optimism.

Investors tend to sell off their holdings due to concerns about the economy, corporate earnings, or other factors that may negatively impact the market. This selling pressure leads to lower prices.

Rising prices, on the other hand, are typically associated with bull markets, which are characterized by an optimistic outlook, increasing stock prices, and a positive market sentiment.

Bull markets are typically driven by factors such as strong economic growth, improving corporate profits, and high investor confidence.

Therefore, in bear markets, prices generally decline, indicating a lack of economic optimism and a more pessimistic outlook.

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according to peter drucker, what are managers who do things right addressing?

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According to Peter Drucker, managers who do things right are addressing "Efficiency."Efficiency means doing things right. Managers who are efficient make the best use of available resources to achieve organizational objectives.

It is about doing things in the right manner. The idea behind efficiency is that if all elements are aligned, the organization will be more productive and effective. It means using fewer resources to achieve the same output, providing better services or products to customers, improving organizational performance, and delivering quality work.

Drucker identified divisions where a clear objective is required and placed an emphasis on the objective function. Innovation, productivity, market standing, financial resources, profitability, managerial performance and development, employee performance, and social responsibility are all examples of these characteristics.

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Perfect Parties, Inc. has several divisions, one of which provides birthday parties at their facility, and has provided the actual and planning budget results for the month of June. The Controller has asked you prepare the Birthday Party Division Budget Performance Report. Use the information included in the Excel Simulation and the Excel functions described below to complete the task.
Cell Reference: Allows you to refer to data from another cell in the worksheet. From the Excel Simulation below, if in a blank cell, "=E11" was entered, the formula would output the result from cell E11, or 80 in this example.
Basic Math functions: Allows you to use the basic math symbols to perform mathematical functions. You can use the following keys: + (plus sign to add), - (minus sign to subtract), * (asterisk sign to multiply), and / (forward slash to divide). From the Excel Simulation below, if in a blank cell "=E13+F13" was entered, the formula would add the values from those cells and output the result, or 75,560 in this example. If using the other math symbols the result would output an appropriate answer for its function.
SUM function: Allows you to refer to multiple cells and adds all the values. You can add individual cell references or ranges to utilize this function. From the Excel Simulation below, if in a blank cell "=SUM(E16,E17,E18)" was entered, the formula would output the result of adding those three separate cells, or 13,300 in this example. Similarly, if in a blank cell "=SUM(E16:E18)" was entered, the formula would output the same result of adding those cells, except they are expressed as a range in the formula, and the result would be 13,300 in this example.
ABS function: Allows you to return the absolute value of a number or calculation. You can reference any cell to display its absolute value, or surround another formula with the ABS function, to return the final result as an absolute value. From the Excel Simulation below, you can see in cell H18 that the ABS function is being used, "=ABS(F18-E18)" which first calculates the subtraction of F18-E18 that results in -200. Then, the ABS portion of the formula returns the absolute value of the subtraction result, which would be 200 in this example.
IF function: Allows you to test a condition and return a specific value is the result is true and different value if the result is false. The syntax of the IF function is "=IF(test_condition,value_if_true,value_if_false)" and specific considerations need to be made when using this function. The test_condition argument is an evaluation of the status of a cell, such as if the value of a cell is greater than, less than, or equal to another number or cell. The value_if_true and value_if_false arguments will return any specific result for each option, such as another cell reference, a value, or text. Throughout the entire equation, if text is being used in the test_condition, value_if_true, orvalue_if_false arguments then the text itself should be entered in quotations so that Excel will recognize the text as a "string of text" instead of another function. From the Excel Simulation below, if in a blank cell "=IF(E13>30000,"Revenue is good","Revenue is bad") was entered, the formula would output the result of the value_if_true since the test_condition would be result as true, or in this case the text "Revenue is good". Excel processes the IF function by separating it out into separate parts. First the test_condition – Excel thinks, find cell E13 and determine if the value is greater than 30,000. Once Excel determines if the result of that test_condition is TRUE or FALSE, it will return the value_if_true or value_if_false.

Answers

The following is the Birthday Party Division Budget Performance Report for Perfect Parties, Inc. for the month of June. The report has been prepared using the information given in the Excel Simulation provided in the question. The Excel functions have been utilized to get the desired results, and the calculations have been done in separate columns as required.

Calculation of Budget Variance and Percentage Variance: Using the ABS function to calculate the absolute value of variance between Actual Revenue and Budget Revenue. The same function is used to calculate the absolute value of variance between Actual Expenses and Budget Expenses. Then, the variance is calculated using the simple formula of Actual minus Budget for both Revenue and Expenses. After calculating the variances, percentage variances are calculated using the basic math formula of (Variance / Budget) * 100. The calculations are shown below.

Calculation of Revenue and Expenses as a Percentage of Total Budget: Using the SUM function, the Total Budget is calculated for both Revenue and Expenses, by adding the Actual and Budget values. Then, using the basic math formula of Actual / Total Budget, the Actual Revenue and Actual Expenses as a percentage of Total Budget are calculated. The calculations are shown below.

Presentation of Budget Performance Report: Using the IF function, the Revenue and Expense performance is evaluated, and the report is presented with respect to the evaluation. The IF function syntax used is "=IF(E29>0,"Favourable","Unfavourable")". If the Revenue variance is positive, it will be Favourable, and if it is negative, it will be Unfavourable. Similarly, if the Expense variance is positive, it will be Unfavourable, and if it is negative, it will be Favourable.

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Final answer:

The question involves using Excel functions such as Cell Reference, Basic Math Functions, the SUM function, the ABS function, and the IF function to prepare a Budget Performance Report for the Birthday Party Division of Perfect Parties, Inc.

Explanation:

To prepare the Birthday Party Division Budget Performance Report for Perfect Parties, Inc., you will need to utilize a variety of Excel functions. Here are some examples of how to use these functions based on the provided Excel Simulation data:

Cell Reference: =E11 will display the value from cell E11. Basic Math Functions: =E13+F13 will add the values from cells E13 and F13. SUM Function: =SUM(E16,E17,E18) or alternatively =SUM(E16:E18) will add the values from cells E16 through to E18. ABS Function: =ABS(F18-E18) will calculate the absolute difference between the values in cells F18 and E18. IF Function: =IF(E13>30000, "Revenue is good", "Revenue is bad") will check if the value in E13 is greater than 30000 and returns the respective string value.

By properly applying these Excel functions, you can prepare a comprehensive Budget Performance Report for the Birthday Party Division of Perfect Parties, Inc. with precise and reliable calculations.

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On December 3, Wildhorse Company sold $593,600 of merchandise to Novak Co, terms 4/10, n/30, FOB destination. Wildhorse paid $610 for freight charges. The cost of the merchandise sold was $383,200. On December 8, Novak Co. was granted an allowance of $29,300 for merchandise purchased on December 3. On December 13, Wildhorse Company received the balance due from Novak Co. Prepare the journal entries to record these transactions on the books of Wildhorse Company using a perpetual inventory system. (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts) Date _____ Account Titles and Explanation ____ Debit ____ Credit ____

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The freight charges are not included in the calculation of sales revenue, as the terms are FOB destination. The allowance granted to Novak Co. reduces the amount receivable from them.

Here are the journal entries to record the transactions on the books of Wildhorse Company:

Date Account Titles and Explanation Debit Credit

December 3 Accounts Receivable $593,600

Sales Revenue $593,600

To record the sale of merchandise to Novak Co.

December 3 Cost of Goods Sold $383,200

Inventory $383,200

To record the cost of the merchandise sold.

December 3 Freight Out $610

Cash $610

To record the payment for freight charges.

December 8 Sales Returns and Allowances $29,300

Accounts Receivable $29,300

To record the allowance granted to Novak Co. for merchandise purchased.

December 13 Accounts Receivable $564,300

Sales Revenue $564,300

To record the collection of the balance due from Novak Co.

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The objective function for the model is Max Z = 6.50(X1s + X2s + X3s + X4s) + 5.90(X1d + X2d + X3d + X4d) + 4.10(X1r + X2r + X3r + X4r) -2.0(X1s + X1d + X1r) - 2.75(X2s + X2d + X2r) - 2.9(X3s + X3d + X3r) - 1.7(X4s + X4d + X4r). O True O False One of the constraints for the model is X3d ≥ 0.4(X3s + X3d + X3r). O True O False One of the constraints for the model is X2r ≤ 0.3(X1r + X2r + X3r) O True O False One of the constraints for the model is X3s + X3d + X3r ≥ 140. O True O False

Answers

The objective function for the model is:

Max Z = 6.50(X1s + X2s + X3s + X4s) + 5.90(X1d + X2d + X3d + X4d) + 4.10(X1r + X2r + X3r + X4r) - 2.0(X1s + X1d + X1r) - 2.75(X2s + X2d + X2r) - 2.9(X3s + X3d + X3r) - 1.7(X4s + X4d + X4r).

The statement says: One of the constraints for the model is X3d ≥ 0.4(X3s + X3d + X3r).

This statement is **True**. The constraint indicates that the value of X3d (a decision variable) must be greater than or equal to 0.4 times the sum of X3s, X3d, and X3r.

The statement says: One of the constraints for the model is X2r ≤ 0.3(X1r + X2r + X3r).

This statement is **False**. The constraint states that the value of X2r (a decision variable) must be less than or equal to 0.3 times the sum of X1r, X2r, and X3r. However, based on the given information, there is no such constraint in the model.

The statement says: One of the constraints for the model is X3s + X3d + X3r ≥ 140.

This statement is **True**. The constraint indicates that the sum of X3s, X3d, and X3r (decision variables) must be greater than or equal to 140.

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Part 1. A code of business ethics is a document that provides behavioral guidelines and general principles that cover daily activities and decisions within the organization as they relate to the organization's beliefs on matters such as mission, quality, privacy, or the environment.
Refer to the Code of Ethics of Hilton and write on the behavioral guidelines you see they have communicated to their stakeholders. What does this document tell you about their ethical culture?
Part 2. Watch What is the difference between Creating Shared Value and Corporate Social Responsibility
Social Responsibility is the actions an organization takes beyond what is legally required to protect or enhance the well-being of living things. What evidence of Social Responsibility do you find addressed in the Code of Ethics? What evidence of Creating Shared Value do you find addressed in the Code of Ethics? How does this make you feel about the company?

Answers

A commitment to addressing societal needs, contributing to communities, and creating long-term value through sustainable and responsible operations. This commitment is likely to resonate positively with stakeholders, reflecting a company that cares about its impact on society and is actively working towards making a positive difference.

Part 1: The Code of Ethics of Hilton communicates several behavioral guidelines to its stakeholders, highlighting the company's commitment to ethical conduct and responsible business practices. The document emphasizes the importance of integrity, respect, and accountability in all interactions, both internal and external. It sets clear expectations for employees, managers, and business partners regarding their behavior and decision-making processes.

Hilton's Code of Ethics promotes fair treatment, non-discrimination, and diversity and inclusion. It emphasizes the importance of creating a safe, inclusive, and respectful work environment, where individuals are treated with dignity and respect regardless of their background or characteristics. The code also emphasizes the company's commitment to environmental sustainability, encouraging responsible resource management and reducing the environmental impact of operations.

The document also addresses issues related to privacy and data protection, highlighting Hilton's commitment to safeguarding the personal information of its guests, employees, and business partners. It outlines guidelines for ensuring the privacy and confidentiality of sensitive information, in compliance with applicable laws and regulations.

Overall, Hilton's Code of Ethics demonstrates a strong ethical culture within the organization. It conveys a commitment to integrity, respect, diversity, sustainability, and responsible business practices. By setting clear behavioral guidelines and emphasizing the importance of ethical conduct, Hilton shows its dedication to maintaining a positive reputation and fostering trust among its stakeholders.

Part 2: The Code of Ethics of Hilton exhibits evidence of both Social Responsibility and Creating Shared Value, reflecting the company's commitment to making a positive impact beyond legal requirements and creating long-term value for society.

Regarding Social Responsibility, the code emphasizes Hilton's dedication to community engagement and philanthropic initiatives. It encourages employees to contribute to their communities through volunteering and supporting charitable causes. This demonstrates Hilton's commitment to enhancing the well-being of living things and going beyond its legal obligations to make a positive difference.

In terms of Creating Shared Value, the code emphasizes Hilton's focus on sustainable business practices that create value for both the company and society. It highlights the company's efforts to minimize environmental impacts, conserve resources, and promote responsible sourcing and waste management. This demonstrates Hilton's recognition of the interconnectedness between its business success and societal well-being, aiming to create shared value through its operations.

The inclusion of both Social Responsibility and Creating Shared Value in Hilton's Code of Ethics showcases the company's comprehensive approach to ethical and responsible business practices. It indicates a commitment to addressing societal needs, contributing to communities, and creating long-term value through sustainable and responsible operations. This commitment is likely to resonate positively with stakeholders, reflecting a company that cares about its impact on society and is actively working towards making a positive difference.

**Keywords: Code of Ethics, Hilton, behavioral guidelines, ethical culture, integrity, respect, accountability, diversity, inclusion, privacy, data protection, social responsibility, creating shared value, sustainability, philanthropy.**

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A capital gain on a security is a return resulting from
a change in price
dividends paid
coupon interest
a reduction in risk
QUESTION 6
A decrease in the price of a fixed-rate bond is equivalent to
a reduction in risk associated with treasury bills
an increase in the bond’s yield
an increase in wealth
all of these
A positive feedback loop where prices continue to rise as investors gain confidence and talk up the market is called
social contagion
empirical efficiency
loss aversion
the January effect
priced to sell
one that offers protection from inflation risk
a bond that sells on the over-the-counter (OTC) market
collateral pledged to secure the bond

Answers

A capital gain on a security is a return resulting from a change in price

A decrease in the price of a fixed-rate bond is equivalent to an increase in the bond’s yield.

A positive feedback loop where prices continue to rise as investors gain confidence and talk up the market is called the January effect.

A Treasury Inflation-Protected Security (TIPS) is one that offers protection from inflation risk.

A capital gain on a security is a return resulting from a change in price. A capital gain is an increase in the value of a capital asset (investment or real estate) that gives it a higher worth than its original price. When the asset is sold, the gain is realized.

A decrease in the price of a fixed-rate bond is equivalent to an increase in the bond’s yield. When the bond’s price decreases, the bond's yield increases because the bond will pay out the same interest rate, but the coupon payments are now based on the lower market price of the bond.

A positive feedback loop where prices continue to rise as investors gain confidence and talk up the market is called the January effect. This positive feedback loop causes people to invest more in the market, leading to even higher prices. Over time, the January effect has become less and less pronounced.

A Treasury Inflation-Protected Security (TIPS) is one that offers protection from inflation risk. A TIPS is a bond issued by the US Treasury that pays a fixed interest rate and adjusts the principal value for inflation. By protecting the principal value of the investment from inflation, TIPS offer investors a real rate of return.

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Q40 If the unemployment is in the form of: Inflation rate = parameters of a and b. rate in 2019 was 5% and was 6% in 2020. The Philips curve function a*(unemployment rate) + b. Find out the value of the

Answers

The parameters a and b in the Philips curve equation can be determined by using the given information of the inflation rates in 2019 and 2020.


The Philips curve relates the inflation rate to the unemployment rate, and it can be expressed as: Inflation rate = a * Unemployment rate + b. We are given the inflation rates of 5% in 2019 and 6% in 2020. By substituting these values into the equation, we can set up a system of equations to solve for the parameters a and b.

Using the given data, we have:

2019: 5% = a * Unemployment rate in 2019 + b

2020: 6% = a * Unemployment rate in 2020 + b

By subtracting the two equations, we can eliminate the constant term b: 6% - 5% = a * (Unemployment rate in 2020 - Unemployment rate in 2019)

Simplifying further:

1% = a * (Unemployment rate in 2020 - Unemployment rate in 2019)


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Suppose the demand and supply functions are: Q x
d

=15−5P x

Q x
s

=3+3P x


What is the equilibrium quantity for the competitive market? 7.5 1.5 4.5 2.5

Answers

The equilibrium quantity for the competitive market is 7.5. It represents a state of balance or equilibrium in the market, where there is no shortage or surplus of the product.

In business, equilibrium quantity refers to the quantity of a product or service that is demanded by consumers and supplied by producers in a market, where the quantity demanded equals the quantity supplied.

To find the equilibrium quantity for the competitive market, we need to set the quantity demanded equal to the quantity supplied and solve for the equilibrium quantity.

Given the demand function is Qd = 15 - 5Px and the supply function is Qs = 3 + 3Px.

Setting Qd equal to Qs:

15 - 5Px = 3 + 3Px

Simplifying the equation:

15 - 3 = 5Px + 3Px

12 = 8Px

Px = 12/8

Px = 1.5

Substituting the value of Px we get,

Qd = 15 - 5(1.5)

Qd = 15 - 7.5

Qd = 7.5

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Examine two or three most notable differences in high- and low-context communication styles among your
team members. What implications do these differences have for the various functions of teamwork (e.g.,
collaboration, coordination, facilitation, leadership, scheduling, decision-making, document-controlling, goal-
setting, conflict-management)? Provide examples of situations where differences in communication styles had
an impact your team members’ interactions and work. Examine where potential future misunderstanding and
conflicts may arise on your team and why?

Answers

The high-context communication style is more implicit and dependent on the context and background information, while the low-context communication style is more explicit and straightforward. In my setting, the workplace, this difference in communication styles can affect conflict management. For instance, if a low-context communicator is talking to a high-context communicator, the low-context communicator might feel that the high-context communicator is withholding important information, while the high-context communicator might feel that the low-context communicator is being too blunt and not taking into account the context of the situation.

One example of this in my workplace is when we were discussing a project that was behind schedule. The high-context communicator on the team suggested that we could still meet the deadline if we worked overtime and put in extra effort. However, the low-context communicator on the team didn't understand the urgency of the situation and thought that it would be better to delay the project. The difference in communication styles led to a conflict, as the team was divided over which approach to take. It was only after the team discussed the situation in more detail and explained their perspectives that they were able to come to a compromise.

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List the five principles of finance
What is the primary goal of the firm?

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el capital en una sola inversión, ya que esto aumentaría el riesgo de pérdidas significativas. La diversificación permite mitigar el riesgo al distribuir los activos en diferentes clases de activos, sectores o regiones geográficas.4. Apalancamiento: El apalancamiento implica utilizar capital prestado para invertir o financiar una operación. Puede aumentar tanto las ganancias como las pérdidas potenciales. Es importante utilizar el apalancamiento de manera prudente y comprender los riesgos asociados antes de utilizarlo en las decisiones financieras.5. Mercados eficientes: Este principio sostiene que los precios de los activos en los mercados financieros reflejan toda la información disponible públicamente y se ajustan rápidamente a nueva información. Implica que es difícil superar consistentemente el rendimiento del mercado a través de la selección de acciones o el tiempo de mercado, lo que lleva a la recomendación de invertir en fondos indexados o diversificados.

Los cinco principios financieros son los siguientes:1. Valor temporal del dinero: esta idea reconoce que el dinero tiene valor temporal y que un dólar recibido hoy vale más que un dólar recibido en el futuro. It sets the groundwork for ideas like interest rates, present value, and future value.Los inversores esperan recibir una compensación por asumir el riesgo. El principio establece que altos niveles de riesgo están vinculados a mayores posibilidades de retorno. It helps guide investment decisions by balancing the desire for higher returns with the need to effectively manage risk.3. Diversificación: La práctica de distribuir inversiones entre diferentes activos o valores para reducir el riesgo se conoce como diversificación. Esta idea resalta la importancia de no colocar todo

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Thursday, May 19, 2022 Les Konyago The South African Reserve Bank's Monetary Policy Committee (MPC) has once again increased the repo rate by 50 basis points. The move, announced by SARB Governor Lesetja Kganyago on Thursday following an MPC meeting on Wednesday, will see the repo rate increase to 4.7% per year. The increase is effective from 20 May 2022. Addressing the media on Thursday, the Governor said four members of the MPC preferred the announced increase and one member preferred a 25 basis point rise in the repo rate. This was the third consecutive increment following a two 25 basis points hike in November and in January. At that time. the rise was the first in almost three years following a series of repo rate cuts amid the COVID-19 pandemic The bank's forecast of headline inflation for this year is revised higher to 5.9% (from 5.8%) The Governor said this was primarily due to the higher food and fuel prices. "While food prices will stay high fuel price inflation should ease in 2023, helping headline inflation to fall to 5.0%, despite slightly higher core inflation. Headline Inflation of 4.7% is now expected in 2024," he said. He said: "The economy is expected to grow by 1.7% in 2022, revised down from 2.0% at the time of the March meeting. This is due to a combination of short-term factors, including the flooding in Kwa-Zulu Natal and the continued electricity supply constraints." -SAnews.gov.za https://www.sanews.gov.za/south-africa/repo-rate-rises-475 With reference to the above, explain how this repo rate adjustment affects a) your company b) the rest of the economy? HINT: Remember to refer to evidence in the case and do not discuss only theory; elaborate on how the repo rate adjustment will have an influence. Use practical examples to support your answer.

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(a) The repo rate adjustment affects my company in the following ways:

1. Increased borrowing costs: As the repo rate increases, it becomes more expensive for my company to borrow money from financial institutions. This can impact our ability to finance investments, expand operations, or meet working capital needs. Higher borrowing costs may lead to a decrease in capital expenditures or delayed investment decisions.

2. Impact on debt servicing: If my company has existing loans or debt with variable interest rates, the repo rate adjustment can result in higher interest payments. This can increase our financial obligations and reduce available funds for other business activities.

3. Consumer spending and demand: Higher interest rates can affect consumer borrowing costs, including mortgages, car loans, and personal loans. This may lead to decreased consumer spending, which can impact sales and demand for our products or services.

4. Investment decisions: The repo rate adjustment can influence investment decisions by businesses and individuals. Higher interest rates can make savings more attractive compared to investing in riskier assets or business ventures. This can potentially reduce the availability of funding for my company's growth initiatives or investment projects.

(b) The repo rate adjustment also has implications for the rest of the economy:

1. Monetary policy transmission: Changes in the repo rate impact the cost of borrowing for all economic agents, including businesses and consumers. The adjustment affects interest rates in the economy, influencing lending rates, mortgage rates, and other borrowing costs. This, in turn, can affect consumption, investment, and overall economic activity.

2. Inflation control: The repo rate adjustment is a tool used by the central bank to control inflation. By raising the repo rate, the central bank aims to curb inflationary pressures in the economy. Higher interest rates can help reduce demand, leading to lower spending and potentially slowing down price increases.

3. Exchange rate and capital flows: Changes in interest rates can influence exchange rates and capital flows. If higher interest rates make domestic assets more attractive, it can lead to increased foreign investment, resulting in an appreciation of the currency. This can impact trade competitiveness and export performance.

4. Financial stability: The repo rate adjustment can have implications for financial stability. Higher interest rates can help moderate excessive borrowing and speculative activities, reducing the risk of asset bubbles or financial imbalances. It can also encourage savings and discourage excessive leverage.

In summary, the repo rate adjustment affects my company by increasing borrowing costs and potentially impacting consumer spending and investment decisions. At the same time, it has broader implications for the economy, including inflation control, exchange rates, capital flows, and financial stability. These effects can influence business conditions, investment climate, and overall economic performance.

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Templeton Industries currently assigns overhead to products by using a predetermined rate based on direct labor hours. The company is considering the adoption of an activity-based costing (ABC) system, and management desires a brief overview of this system before it makes a final decision. Compare ABC with the company's current system, focusing on the number of cost pools and cost drivers, costing accuracy, and cost distortion.

Answers

Activity-Based Costing (ABC) is an alternative costing system that provides a more detailed and accurate approach to allocating overhead costs compared to traditional methods like using a predetermined rate based on direct labor hours. When comparing ABC with Templeton Industries' current system, several key differences emerge:

1. Number of Cost Pools and Cost Drivers:

Current System: The current system at Templeton Industries likely uses a single cost pool (overhead) and assigns overhead costs based on direct labor hours. This assumes that the labor hours are the primary driver of overhead costs.Activity-Based Costing (ABC) System: ABC recognizes that overhead costs are caused by various activities within the organization, not solely by direct labor. It involves identifying multiple cost pools that correspond to different activities (e.g., setup costs, material handling costs, quality control costs) and selecting appropriate cost drivers for each activity. Cost drivers are the factors that cause or influence the costs within each activity pool. Examples of cost drivers in ABC may include machine hours, number of setups, or number of inspections.

2. Costing Accuracy:

Current System: Using a single predetermined rate based on direct labor hours may result in inaccurate cost allocations. It assumes that all overhead costs are driven solely by direct labor, which may not reflect the true cost drivers in the organization. This can lead to over or under-costing certain products, especially if they have different overhead cost drivers.ABC System: ABC provides a more accurate allocation of overhead costs by considering multiple cost pools and their respective cost drivers. By identifying the specific activities that consume resources and relating them to cost drivers, ABC provides a more granular and precise understanding of cost behavior. This improves the accuracy of allocating overhead costs to products based on their actual consumption of resources.

3. Cost Distortion:

Current System: Traditional systems relying on a single cost driver like direct labor hours can lead to cost distortion. Products that use a higher proportion of overhead resources but have fewer direct labor hours may be undercosted, while products with more direct labor hours may be overcosted. This distorts the true cost of products, potentially affecting pricing and profitability decisions.ABC System: ABC aims to reduce cost distortion by identifying the activities that drive overhead costs and allocating them based on their respective cost drivers. This approach helps attribute overhead costs more accurately to the products that consume those resources, leading to a better understanding of the true costs of individual products.

In summary, ABC differs from Templeton Industries' current system in terms of the number of cost pools and cost drivers used, costing accuracy, and cost distortion. By implementing ABC, Templeton Industries can gain a more precise understanding of their cost structure, leading to better decision-making related to pricing, product mix, and resource allocation.

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The VALS system is a(n) ______ measure of consumers. a brand loyalty b. family life cycle c. attitude d. psychographic e. involvement level.

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The correct option is D. psychographic. The VALS system is a psychographic measure of consumers. VALS or Values and Lifestyles is a psychographic research tool that is used to categorize consumers based on their values, attitudes, and lifestyles.

VALS is designed to help businesses better understand their target market and develop marketing strategies that will effectively appeal to them.The VALS system is used to categorize consumers into eight different segments based on their psychological motivations, preferences, and behavior. These segments are based on the degree to which individuals exhibit three primary motivations: ideals, achievement, and self-expression.

A psychographic measure examines an individual's values, personality, beliefs, and motivations. Therefore, the correct option is D. psychographic.

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is $70,000, and the project's unlevered cost of capital is 12%. The risk-free interest rate is 7%. (Assume no taxes or distress costs.) a. What is the NPV of this project? money can be raised in this way -that is, what is the initial market value of the unlevered equity?

Answers

The NPV of the project is the present value of cash flows minus the initial investment. The initial market value of the unlevered equity is the initial investment minus the NPV.

The exact values can be calculated using the provided cash flows and discount rate. To find the initial market value of the unlevered equity, we subtract the NPV from the initial investment: Initial market value of unlevered equity = Initial investment - NPV Performing the calculations will provide the exact values for the NPV and the initial market value of the unlevered equity.

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Vaughn Industries would like its Alabama Division to sell 28900 units to its Arkansas Division for a price of $44. The Alabama Division is currently operating at capacity. Alabama Division's unit variable cost is $25, unit fixed cost is $20, and unit selling price is $64. What is the minimum transfer price that the Alabama Division should accept? a. $25 b. $39 c. $45 d. $64

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Vaughn Industries would like its Alabama Division to sell 28900 units to its Arkansas Division for a price of $44, The minimum transfer price that the Alabama Division should accept is b. $39.

To determine the minimum transfer price, we need to consider the opportunity cost for the Alabama Division. The Alabama Division is currently operating at capacity, meaning that selling 28,900 units to the Arkansas Division would require them to forgo selling those units in the external market.

The unit variable cost for the Alabama Division is $25, and the unit fixed cost is $20. Considering these costs, the minimum transfer price should at least cover the variable cost and the opportunity cost (foregone contribution margin) of selling externally. The unit selling price in the external market is $64.

To calculate the minimum transfer price, we need to determine the contribution margin per unit:

Contribution margin per unit = Selling price - Variable cost

Contribution margin per unit = $64 - $25 = $39

Therefore, the Alabama Division should accept a minimum transfer price of $39 to cover its variable cost and the opportunity cost of forgoing external sales.

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Cherry-picking and redlining of benefits in the private insurance industry, quantity setting behavior in the physician services industry, and medical arms race in the hospital industry are all the result of which of the following?
a. Corruption
b. Competition
c. Benchmarking
d. Utilization

Answers

Cherry-picking and redlining of benefits in the private insurance industry, quantity setting behavior in the physician services industry, and medical arms race in the hospital industry are all the result of Competition. The answer is option B.

Competition is a situation in which different people or companies compete for the same resources. Competition is the process of trying to win something by defeating others who are also trying to win it. Competition is the state of being in a competition or of competing against others for the same thing.

As a result of competition, Cherry-picking and redlining of benefits in the private insurance industry, quantity setting behavior in the physician services industry, and medical arms race in the hospital industry are all the result of competition.

These are some of the activities which will help the healthcare providers to attain a competitive edge in the healthcare industry. Cherry-picking and redlining of benefits in the private insurance industry is the phenomenon of insurers rejecting higher-risk customers in order to keep insurance rates low.

Quantity setting behavior in the physician services industry refers to a situation in which physicians increase the volume of services provided to patients to improve their income.

Therefore, Option B is correct.

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A corporate bond with a coupon rate of 9.2% pays interest semiannually and matures in 20 years. The market rate of interest for comparable twentyyear bonds is 8.3%. What is the value of the bond?

Answers

The value of the bond is $1,209.30.

To determine the value of a bond, the formula used is Price of the Bond = PV of Future Interest Payments + PV of Principal Payment. Therefore, to determine the value of a bond, we must calculate the present value of both the future principal and the interest payments. Let us take a look at the solution to the given problem:Given, Face value of the bond (F) = $1000Coupon rate (r) = 9.2%Semi-annual coupon paymentsNumber of years to maturity (t) = 20Market interest rate (i) = 8.3%The first step is to find the periodic interest rate.

The bond pays semi-annual interest, and the coupon rate is annual. Hence, we must divide the coupon rate by two. Periodic Interest Rate = (9.2% / 2) = 4.6%.Next, we must calculate the present value of the coupon payments. As it pays semi-annual coupon payments, we must divide the coupon rate by two to get the periodic interest rate.

We will use the present value of an annuity formula to calculate the PV of coupon payments.PV of coupon payments = C × [(1 - (1 + r)^-n)/ r]where,C = Periodic coupon paymentn = Number of paymentsr = Periodic interest ratePV of coupon payments = 46 × [1 - (1 + 4.6%)^-40 / 4.6%]= $917.08The second step is to calculate the present value of the principal payment. We will use the present value formula for a single payment.PV of principal payment = F / (1 + i)t= $1000 / (1 + 8.3%)^20= $292.22The final step is to calculate the total value of the bond.Price of the bond = PV of future interest payments + PV of principal payment= $917.08 + $292.22= $1,209.30Therefore, the value of the bond is $1,209.30.

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a.both a store of value and a medium of exchange.

b.a store of value, but not a medium of exchange.

c.a medium...

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monopolist’s inverse demand function is estimated as P = 550 − 2Q. The company produces output at two facilities; the marginal cost of producing at facility 1 is MC1(Q1) = 3Q1, and the marginal cost of producing at facility 2 is MC2(Q2) = 4Q2.
a. Provide the equation for the monopolist’s marginal revenue function. (Hint: Recall that Q1 + Q2 = Q.)
MR(Q) = − Q1 − Q2
b. Determine the profit-maximizing level of output for each facility.
Instructions: Round your response to two decimal places.
Output for facility 1:
Output for facility 2:
c. Determine the profit-maximizing price.
Instructions: Round your response to the nearest penny (two decimal places).
$

Answers

a. Marginal revenue function = 550 - 4Q

b. Output for facility 1: 78.57 units, Output for facility 2: 68.75 units

c. Profit-maximizing price: $255.36

a. The marginal revenue function can be derived by taking the derivative of the inverse demand function with respect to quantity:

MR(Q) = d(PQ)/dQ = d(550Q - 2Q^2)/dQ = 550 - 4Q

Therefore, the monopolist's marginal revenue function is MR(Q) = 550 - 4Q.

b. To determine the profit-maximizing level of output for each facility, we need to equate the marginal cost to the marginal revenue for each facility separately.

For facility 1:

MC1(Q1) = MR(Q1)

3Q1 = 550 - 4Q1

7Q1 = 550

Q1 = 78.57 (rounded to two decimal places)

For facility 2:

MC2(Q2) = MR(Q2)

4Q2 = 550 - 4Q2

8Q2 = 550

Q2 = 68.75 (rounded to two decimal places)

c. The profit-maximizing price can be determined by substituting the optimal quantities obtained in part (b) into the inverse demand function:

P = 550 - 2Q

P = 550 - 2(Q1 + Q2)

P = 550 - 2(78.57 + 68.75)

P = 550 - 2(147.32)

P = 550 - 294.64

P = 255.36

Therefore, the profit-maximizing price is $255.36 (rounded to the nearest penny).

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Valmont Company has developed a new industrial piece of equipment called the XP-200. The company is considering two methods of establishing a selling price for the XP-200—absorption cost-plus pricing and value-based pricing.
Valmont’s cost accounting system reports an absorption unit product cost for XP-200 of $10,400. Its markup percentage on absorption cost is 85%. The company’s marketing managers have expressed concerns about the use of absorption cost-plus pricing because it seems to overlook the fact that the XP-200 offers superior performance relative to the comparable piece of equipment sold by Valmont’s primary competitor. More specifically, the XP-200 can be used for 29,000 hours before replacement. It only requires $3,000 of preventive maintenance during its useful life and it consumes $220 of electricity per 1,450 hours used.
These figures compare favorably to the competing piece of equipment that sells for $29,000, needs to be replaced after 14,500 hours of use, requires $6,000 of preventive maintenance during its useful life, and consumes $260 of electricity per 1,450 hours used.
Required:
a. If Valmont uses absorption cost-plus pricing, what price will it establish for the XP-200?
b. What is XP-200’s economic value to the customer (EVC) over its 29,000-hour life?
c. If Valmont uses value-based pricing, what range of possible prices should it consider when setting a price for the XP-200?

Answers

a. Valmont will establish a price of $19,240 for the XP-200 using absorption cost-plus pricing.

b. The XP-200's economic value to the customer (EVC) over its 29,000-hour life is $20,380.

c. When using value-based pricing, Valmont should consider a price range between $20,380 and $29,000 for the XP-200.

a. Absorption cost-plus pricing involves adding a markup percentage to the absorption unit product cost. In this case, Valmont's markup percentage is 85%, resulting in a selling price of $19,240 ($10,400 + $10,400 * 85%).

b. The economic value to the customer (EVC) is determined by comparing the superior performance of the XP-200 with the competing equipment. Over its 29,000-hour life, the XP-200 offers cost savings in preventive maintenance ($3,000) and electricity consumption ($220 per 1,450 hours). Calculating the total savings and adding it to the price of the competing equipment ($29,000 - $9,080), the XP-200's EVC is $20,380 ($29,000 - $9,080 + $3,000 + $3,080).

c. Value-based pricing considers the perceived value of a product to customers. The range of possible prices for the XP-200 should be based on its economic value to the customer. Therefore, Valmont should consider a price range between $20,380 (EVC) and $29,000 (price of competing equipment) when setting a price for the XP-200, taking into account the superior performance and cost savings it offers compared to the competitor's product.

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Your client, Albert Davis Leasing Company, is preparing a contract to lease a machine to Souvenirs Corporation for a period of 25 years. Davis has an investment cost of $428,700 in the machine, which has a useful life of 25 years and no salvage value at the end of that time. Your client is interested in earning an 12% return on its investment and has agreed to accept 25 equal rental payments at the end of each of the next 25 years. Click here to view factor tables. You are requested to provide Davis with the amount of each of the 25 rental payments that will yield an 12% return on investment. (Round factor values to 5 decimal places, e.s. 1.25124 and final answer to 0 decimal places, e.g. 458,581.) Amount of eachrental payments

Answers

The amount of each rental payment that will yield a 12% return on investment for Albert Davis Leasing Company is $59,498.28.

To calculate the amount of each rental payment that will yield a 12% return on investment for Albert Davis Leasing Company, we can use the present value of an annuity formula. The formula is as follows:

Payment amount = Investment cost / Present value of annuity factorGiven: Investment cost = $428,700 Return on investment rate = 12% Number of periods (years) = 25

First, we need to calculate the present value of annuity factor using the formula: Present value of annuity factor =[tex](1 - (1 / (1 + r)^n)) / r[/tex]Where: r = interest rate per period n = number of periods

Using the given values: r = 12% = 0.12 n = 25 Calculating the present value of annuity factor: Present value of annuity factor = ([tex](1 - (1 / (1 + r)^n)) / r[/tex][tex]1 - (1 / (1 + 0.12)^2))[/tex] / 0.12 = 7.19387 Now, we can calculate the amount of each rental payment:

Payment amount = $428,700 / 7.19387 = $59,498.28 Therefore, the amount of each rental payment that will yield a 12% return on investment for Albert Davis Leasing Company is $59,498.28.

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Consider the following situation. Company X wonder the outcomes of opening their business in a new country. The Market is active and people in the country know the brand
but have no access to products. Competitors similar to Company X have a market share of 12% which makes 20M$ per year. Company X is considering to buy a report about the
clients in the new country. A local consultancy firm offers to Company X a Market report which cost is 50.000$ and according to the technical note will allow company X to grow
1% over similar competitors in the new country. Which is the cost of information? Express it as a number

Answers

the cost of information is $1.62 million.The cost of information can be calculated by considering the additional revenue that Company X expects to generate by using the market report. Given that the competitors have a market share of 12% and generate $20 million per year, we can estimate their revenue as $20 million / 12% = $166.67 million.

If Company X expects to grow 1% over similar competitors by using the market report, the additional revenue would be 1% of $166.67 million, which is $1.67 million.

Since the cost of the market report is $50,000, we can subtract this cost from the additional revenue to find the cost of information:
Cost of information = Additional revenue - Market report cost
Cost of information = $1.67 million - $50,000
Cost of information = $1.62 million.

Therefore, the cost of information is $1.62 million.

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Question Help: Video Message instructor Submit Question Question 11 0/6 pts 100 Detail Which investment will earn more money, a $1,000.00 investment for 8 years at 10% compounded continuously or a $1,000.00 investment for 8 years at 11% compounded annual (Round to 2 decimal a) 10% compounded continuously would be worth $ places.) b) 11% compounded annual would be worth $ (Round to 2 decimal places.) c) 10% compounded continuously would be worth more O 11% compounded annual would be worth more The would be worth the same. Consider the following ode: (x - 1)y" (x) + 3xy'(x) + 3y = 0. (1) Is x = 100 an ordinary point? What is the radius of convergence? (2) Is x = 1 a regular singular point? If so, the solution of the form 8 y(x) = (x - 1)" an(x 1)" - n=0 exists, what are the possible values of r? (3) Is x = -1 a regular singular point? If so, the solution of the form y(x) = (x + 1) an (x + 1)n n=0 exists, what are the possible values of r? How do you calculate (projected compound annual growth rate(CAGR) for cars and light trucks...? Fractures that are allowed to heal without treatment might show: what does ontogenetic mean in relation to infants' gross motor development? Regarding the consumer choice model, which of the following statements is true? if at a particular point, the MRS is equal to the MRT, the person can further increase their utility by exchanging some goods the optimal budget is NOT found where the indifference curve and the budget constraint are tangent to each other if at a particular point, the MRS is greater than theMRT, the budget constraint is steeper than the indifference curve if at a particular point, the MRS is greater than the MRT, the person can increase their utility by exchanging some of their goods Question 3 2 points Save Answer A "three-against-nine" FRA has an agreement rate of 4.79 percent. You believe six-month LIBOR in three months will be 5.13 percent. You decide to take a speculative position in a FRA with a $3,000,000 notional value. There are 183 days in the FRA period. Determine what your expected profit will be if your forecast is correct about the six-month LIBOR rate. (USD with cents) which substance is not used when making a toolmark cast Mr. Robert Early read a book with more than 100 and fewer than 200 pages. The sum of the three digits in the number of pages is 10. The second digit is twice the last digit. How many pages did his book have? Elle Inc. makes two types of handbags: standard and custom. The controller has decided to use a plant-wide overhead rate based on direct labour costs. The president has heard of activity-based costing and wants to see how the results would differ if this system were used. Two activity cost pools were developed: machining and machine set-up. Presented below is information related to the company's operations. Standard Custom Direct labour costs $50,000 $100,000 Machine hours 500 1,000 Set-up hours 100 400 Total estimated overhead costs are $360,000. The overhead cost allocated to the machining activity cost pool is $187,500, and $172,500 is allocated to the machine set-up activity cost pool. (a) Your answer is incorrect. Calculate the overhead rate using the traditional (plant-wide) approach. Predetermined overhead rate % of direct labour cost Compute the overhead rates using the activity-based costing approach. (Round answers to 2 decimal places, e.g. 12.25.) Machining per machine hour Machine setup per setup hour $ LINK TO TEXT LINK TO TEXT Determine the difference in allocation between the two approaches. (Round answers to 0 decimal places, e.g. 1,225.) Traditional costing: Standard ____ Custom ____ Activity-based costing: Standard ____ Custom ____ what accounts for the reluctance to actively pursue organ transplantation in japan? A rise in r causes a lender to feel wealthier according to the IE. Select one: True False Find T5(x): Taylor polynomial of degree 5 of the function f(x) = cos(x) at a = = 0. T5(x) = Using the Taylor Remainder Theorem, find all values of x for which this approximation is within 0.004774 of the right answer. Assume for simplicity that we limit ourselves to |x| 1. |x| 60) Which of these descriptions best matches the term lymphocytes?A) release histamineB) become macrophagesC) defend against specific pathogens or toxinsD) kill bacteria using cytotoxic chemicalsE) often elevated in allergic individuals Azza Sdn Bhd has recorded the following transactions in month of May 2020.1/5/2020 - Sold 2 units of products by cash amounting RM 2,00025/5/2020 - Sold 10 units of products to Mr. Zaim Luqmanamounting RM 10,000 with credit terms of 30 days andtrade discount of 10%.Show the records of sales day book for month of May 2020. Which of the following is true regarding tax leverage?Loans based on tax leverage incur interest.The amount of any "loan" is the same regardless of a taxpayers financial positionThere are three ways to create tax leverageThe most common tax leverage involves capital appreciation. Which feature did Tiktaalik possess that were not possessed by earlier vertebrates? a.gills b.fins c.fingers and toes d.lungs e.a flexible wrist On 30 June 2020, the Statement of Financial Position of Rocket Ltd showed the following non-current asset after charging depreciation: Machine 400,000 Accumulated Depreciation (250,000) 150,000 As of 30 June 2020, the company decided to adopt the revaluation method for the machine. Therefore, on 30 June 2020, an independent valuer assessed the fair value of the machine to be $160,000 with a remaining useful life of 8 years and a zero-residual value. On 30 June 2021, the machine was revalued again to its fair value of $125,000 with a remaining useful life of 5 years and a zero-residual value. The income tax rate is 30% and the company uses straight line depreciation for all property, plant and equipment. Required: Prepare all necessary entries related to the machine from 30 June 2020 to 30 June 2022. (15 marks) Note: Narrations are not required.