one worker can produce 7 units of output with a selling price of $2.60 each. even though the firm competes in an imperfect market, business is so good that the manager hires a second worker who produces 6 units. to sell these six additional units the firm must lower the price to $2.40 each. calculate the total revenue for the firm with two workers.

Answers

Answer 1

The total revenue for the firm with two workers is $32.60.

With one worker, the firm produces 7 units of output and sells them for $2.60 each, so the total revenue is:Total revenue with one worker = 7 units × $2.60/unit = $18.20When the firm hires a second worker, they produce an additional 6 units of output, but the selling price has to be lowered to $2.40 each. So the revenue from these additional units is:Additional revenue with second worker = 6 units × $2.40/unit = $14.40

Therefore, the total revenue for the firm with two workers is:Total revenue with two workers = Total revenue with one worker + Additional revenue with second workerTotal revenue with two workers = $18.20 + $14.40Total revenue with two workers = $32.60So the total revenue for the firm with two workers is $32.60.

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Related Questions

a manager skilled at evaluating where the company will be in the future and thinking creatively to solve problem has good ______ skills.
conceptual
planning
analytical
technical

Answers

A manager skilled at evaluating where the company will be in the future and thinking creatively to solve problems has good conceptual skills.

Conceptual skills refer to the ability to understand complex and abstract ideas and think critically to analyze situations and develop innovative solutions.

Managers with strong conceptual skills can see the big picture and envision the future of the company. They can identify trends, evaluate opportunities and threats, and develop strategies to achieve the organization's goals.

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some of the inputs to this problem will change with each submission, so you will need to recompute your answer each time you submit. your portfolio is invested 35 percent in stock x, 20 percent in stock y, and 45 percent in stock z. the expected returns on these three stocks are 8 percent, 15 percent, and 13 percent, respectively. what is the expected return of your portfolio?

Answers

The expected return of your portfolio is 11.65%.

How to determine the expected return

To calculate the expected return of your portfolio, you need to consider the percentage allocated to each stock and their respective expected returns.

In your case, your portfolio consists of 35% stock X, 20% stock Y, and 45% stock Z.

The expected returns for these stocks are 8%, 15%, and 13%, respectively.

To find the expected return of the portfolio, you can use the following formula:

Expected return of portfolio = (Weight of stock X * Expected return of stock X) + (Weight of stock Y * Expected return of stock Y) + (Weight of stock Z * Expected return of stock Z)

Using the given data, the expected return of your portfolio can be calculated as:

Expected return of portfolio = (0.35 * 0.08) + (0.20 * 0.15) + (0.45 * 0.13)

Expected return of portfolio = 0.028 + 0.03 + 0.0585

Expected return of portfolio = 0.1165 or 11.65%

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At which point is supervision most critical in the cash receipts system?
a. accounts receivable
b. general ledger
c. mail room
d. cash receipts

Answers

Supervision is most critical in the cash receipts system at point (c) mail room. This is because it is the initial stage where payments are received and handled, and having proper supervision ensures that payments are recorded accurately and promptly, reducing the risk of errors, misplacement, or fraud.

The supervision is most critical in the cash receipts system at the point of cash receipts. This is because at this point, there is a risk of misappropriation or mishandling of cash. The supervisor should ensure that all cash receipts are properly recorded in the ledger and that receipts are accounted for. Failure to properly supervise the cash receipts process could lead to errors in the ledger, loss of receipts, or even theft.

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Roy is power oriented. He does not tolerate people on his negotiating team who do not go along with his ideas. Roy's resolves conflict in the _____ mode.
A. competing
B. accommodating
C. avoiding
D. collaborating
E. compromising

Answers

Roy is power oriented. He does not tolerate people on his negotiating team who do not go along with his ideas. Roy's resolves conflict in the competing mode, Based on information, it can be inferred that Roy is a person who values power, control in negotiations. The correct answer is option A



The competing mode is a conflict resolution strategy where one party tries to win at the expense of the other party. In this mode, the parties involved are more interested in achieving their own goals rather than finding a mutually beneficial solution. This mode is often used by individuals who are power-oriented and assertive, just like Roy.


Roy's unwillingness to tolerate dissenting opinions and his focus on his own ideas suggest that he is more interested in dominating the negotiation rather than working collaboratively with his team member to find a mutually beneficial solution. Thus, his conflict resolution mode is more aligned with the competing mode.


However, it's important to note that this mode is not always the most effective approach to conflict resolution. In situations where building relationships and maintaining long-term partnerships are crucial, the collaborative mode may be more effective. The collaborative mode involves finding a solution that benefits both parties, rather than focusing solely on individual interests.  The correct answer is option A

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What is MicroDrives's cost of common equity using the CAPMmethod?A. 4.88%B. 5.11%C. 6.52%D. 7.88%

Answers

The answer is not one of the options provided. The correct answer is 8%. Therefore, option D. Is the closest answer to 8%. So, 7.88% is Microdrive's cost of common equity.

 To calculate the cost of common equity:  

To calculate the cost of common equity using the CAPM method, we need three inputs: the risk-free rate, the market risk premium, and the company's beta.

Assuming that the risk-free rate is 2.5% and the market risk premium is 5%, we need to find MicroDrives' beta.

Let's say that MicroDrives has a beta of 1.2.

Using the CAPM formula: Cost of Equity = Risk-Free Rate + Beta x (Market Risk Premium)

Cost of Equity = 2.5% + 1.2 x 5% = 8%
Therefore, the answer is not one of the options provided. The correct answer is 8%.

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1) Considering the spot exchange rate S(USD/CAD) to be 0.9830and the forward exchange rate F90days(USD/CAD) to be 0.9750,quantify the annualised premium/discount of the USD.

Answers

The annualised premium/discount of the USD is -3.24%. This means that the forward exchange rate is trading at a discount to the spot exchange rate, and that over the course of a year, investors could expect to lose 3.24% by entering into a forward contract to exchange USD for CAD.

To calculate the annualised premium/discount of the USD, we need to use the formula:

Annualised premium/discount = [(Forward rate - Spot rate) / Spot rate] x (360 / days to maturity)

Using the given values, we have:

Forward rate = 0.9750
Spot rate = 0.9830
Days to maturity = 90

Substituting these values into the formula, we get:

Annualised premium/discount = [(0.9750 - 0.9830) / 0.9830] x (360 / 90)
= (-0.008 / 0.9830) x 4
= -0.0324 or -3.24%

This can be seen as a reflection of the relative strength of the Canadian economy compared to the US economy, which may be driving demand for CAD and pushing down the price of USD in the forward market.

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1. Which of the following topics are more likely to be studied by a macroeconomist than by a microeconomist? a. the effect of taxes on the prices of airline tickets, and the profitability of automobile-manufacturing firms b. the price of beef, and wage differences between genders c. how consumers maximize utility, and how prices are established in markets for agricultural products d. the percentage of the labor force that is out of work, and differences in average income from country to country 2. The basic tools of supply and demand are a. useful only in the analysis of economic behavior in individual markets b. useful in analyzing the overall economy, but not in analyzing individual markets. c. central to microeconomic analysis, but seldom used in macroeconomic analysis. d. central to macroeconomic analysis as well as to microeconomic analysis

Answers

Answer: d. the percentage of the labor force that is out of work, and differences in average income from country to country are more likely to be studied by a macroeconomist than by a microeconomist.

d. The basic tools of supply and demand are central to macroeconomic analysis as well as to microeconomic analysis.

Explanation: Brainlist?

marguerite is reviewing a project with projected sales of 1,400 units a year, a cash flow of $39 a unit and a 3-year project life. the initial cost of the project is $94,000. the relevant discount rate is 14 percent. marguerite has the option to abandon the project after one year at which time she feels she could sell the project for $63,000. at what quantity of sales per year should she be willing to abandon the project after the first year? group of answer choices 899 981 967 1199

Answers

The quantity of sales per year she should be willing to abandon the project after the first year is 981.

How to calculate the quantity of sales per year

To determine the quantity of sales per year at which Marguerite should be willing to abandon the project after one year, we need to calculate the net present value (NPV) of the project.

Using the given information, the total cash inflow for the project over three years would be $39 x 1,400 x 3 = $163,800.

Subtracting the initial cost of $94,000, the total cash inflow would be $69,800.

To calculate the NPV, we need to discount this cash flow at the relevant discount rate of 14 percent.

Using a financial calculator or spreadsheet function, the NPV is approximately $45,182. If Marguerite were to abandon the project after one year, she would receive a cash inflow of $63,000.

Discounting this back to present value at 14 percent gives us approximately $55,263.

Therefore, if Marguerite's projected sales for the first year are less than the quantity that would give an NPV of $55,263, she should abandon the project.

Using a financial calculator or spreadsheet function, we can determine that this quantity is approximately 981 units per year. Therefore, the answer is 981.

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Innovative team firms should have managers who provide and perspective to the team. Multiple Choice finances, awareness authority, structure support guidance

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Innovative team firms should have managers who provide guidance and perspective to the team. Innovation teams require a certain degree of autonomy and creativity,

but they still need some level of guidance to ensure that their efforts are aligned with the overall objectives of the company.

Managers can provide this guidance by offering their perspective and expertise, helping to set priorities, and clarifying goals and expectations.

Additionally, managers can provide support in terms of resources and funding, and can establish the appropriate authority and structure to empower the team to succeed.

While financial awareness is certainly important, it is not the primary focus of managers leading innovative teams.

Instead, their focus is on fostering a culture of innovation, promoting collaboration and creativity, and providing the necessary support and guidance for the team to succeed.

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Over the years, Ahmed and Aamina El-zayaty, of Berkeley, California, have accumulated $200,000 and $220,000, respectively, in their employer-sponsored retirement plans. If the amounts in their two accounts earn a 6 percent rate of return over Ahmed and Aamina's anticipated 20 years of retirement, how large of an amount could be withdrawn from Ahmed's account each month? Use the Garman/Forgue companion website or Appendix A-4 to make your calculations. A. $1,787 B. $1,453 C. $2,287 D. $1,919

Answers

None of the answer options match this amount exactly but the closest one is option C.

To calculate the amount that could be withdrawn from Ahmed's account each month, we can use the present value annuity formula:

PMT = PV x (r / (1 - (1 + r)^-n))

Where PMT is the monthly payment, PV is the present value of Ahmed's retirement account, r is the monthly interest rate (which is 6% / 12 = 0.5%), and n is the number of months in retirement (which is 20 years x 12 months/year = 240 months).

Plugging in the numbers for Ahmed's retirement account, we get:

PMT = 200,000 x (0.005 / (1 - (1 + 0.005)^-240))

PMT = 200,000 x (0.005 / 0.3567)

PMT = 200,000 x 0.014

PMT = $2,800

Therefore, Ahmed could withdraw $2,800 per month from his retirement account.

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what is the yeild to maturity of bond with 10 years to maturity anda coupon of 14% the current price of the bond is $1100. assumeinterest is paid annuallya13.5%b 12%c 13%d 12.21%

Answers

The yield to maturity (YTM) of a bond with 10 years to maturity, a coupon rate of 14%, and a current price of $1100 and hold it until maturity, you can expect an annual return of about 12.21%.The correct option is d.

Thisvcan be calculated using the following steps:

1. Identify the bond's face value, coupon payment, and current price: The face value is typically $1000, the coupon payment is 14% * $1000 = $140, and the current price is $1100.

2. Use a financial calculator or spreadsheet software to find the YTM by inputting the values: N = 10 (years to maturity), PMT = $140 (coupon payment), PV = -$1100 (current price, entered as a negative value), and FV = $1000 (face value).

3. Solve for the YTM, which is the interest rate that equates the present value of the bond's future cash flows to its current price. The calculator or spreadsheet software will provide the YTM as a percentage.

In this case, the YTM is approximately 12.21% . This means that if you purchase the bond at its current price of $1100 and hold it until maturity, you can expect an annual return of about 12.21%.The correct option is d.

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Requirements 1. What is the original ROI for Hepburne Ceramics (before making any additional investment)? 2. What would the ROI be for Hepburne Ceramics if this investment opportunity were undertaken? Would the manager of the Hepbume Ceramics division want to make this investment if she evaluated it based on ROI? Why or why not? 3. What is the ROI of the investment opportunity? Would the investment be desirable from the standpoint of Placid Corporation? Why or why not? 4. What would the Rl be for Hepburne Ceramics if this investment opportunity were undertaken? Would the manager of the Hepburne Ceramics division want to make this investment if she evaluated it based on RI? Why or why not? 5. What is the Rl of the investment opportunity? Would the investment be desirable from the standpoint of Placid Corporation? Why or why not? 6. Which performance measurement method, ROI or RI, promotes goal congruence? Why? Print Done Save Hepbure Ceramics, a division of Placid Corporation, has an operating income of $71,000 and total assets of $400,000. The raqured rate of return for the company is 14%. The company is evaluating whether it should use ROI or Rl as a measurement of performance for its division managers The manager of Haplume Ceramics has the opportunity to undertake a ww project that will require an investment of $108,000. This investment would earn $18,000 tot Hepburne Ceramics

Answers

Hepburne Ceramics' original ROI was 17.75%, and an investment opportunity would slightly decrease it but still be above the required rate of return. RI promotes goal congruence by aligning division manager goals with the company's goals.

1. The original ROI for Hepburne Ceramics is 17.75%.

To calculate the original ROI for Hepburne Ceramics, we use the following formula:

ROI = Operating Income / Total Assets

Using the information given:

Operating Income = $71,000

Total Assets = $400,000

ROI = $71,000 / $400,000 = 0.1775 or 17.75%

Therefore, the original ROI for Hepburne Ceramics is 17.75%.

2. The ROI has decreased slightly, so the manager would need to consider other factors as well.

If the investment opportunity were undertaken, we need to recalculate the ROI for Hepburne Ceramics:

Operating Income = $71,000 + $18,000 = $89,000

Total Assets = $400,000 + $108,000 = $508,000

ROI = $89,000 / $508,000 = 0.1754 or 17.54%

The manager of the Hepburne Ceramics division would likely want to make this investment, as the ROI would still be above the required rate of return of 14%. However, the ROI has decreased slightly, so the manager would need to consider other factors as well.

3. The ROI of the investment is lower than the original ROI of Hepburne Ceramics, so the investment would not increase the overall ROI of the company.

To calculate the ROI of the investment opportunity, we use the same formula as before:

ROI = Operating Income / Total Assets

Using the information given:

Operating Income = $18,000

Total Assets = $108,000

ROI = $18,000 / $108,000 = 0.1667 or 16.67%

The investment may or may not be desirable from the standpoint of Placid Corporation, as it depends on the required rate of return and other factors.

However, the ROI of the investment is lower than the original ROI of Hepburne Ceramics, so the investment would not increase the overall ROI of the company.

4. The RI is relatively small compared to the investment, so the manager would need to consider other factors as well.

To calculate the RI for Hepburne Ceramics, we use the following formula:

Operating Income - (Total Assets x Required Rate of Return) = RI

Using the information given:

Operating Income = $71,000 + $18,000 = $89,000

Total Assets = $400,000 + $108,000 = $508,000

Required Rate of Return = 14%

RI = $89,000 - ($508,000 x 0.14) = $12,920

The manager of the Hepburne Ceramics division would likely want to make this investment, as the RI would be positive. However, the RI is relatively small compared to the investment, so the manager would need to consider other factors as well.

5. The RI of the investment opportunity can be calculated as follows:

RI = Net Income - (Required Rate of Return x Total Assets)

= $18,000 - (0.14 x $108,000)

= $3,480

The investment would be desirable from the standpoint of Placid Corporation because the RI is positive, indicating that the investment would earn more than the required rate of return on the assets invested.

6. RI promotes goal congruence more than ROI because it focuses on the residual income generated by a division after taking into account the cost of capital invested in the division.

This means that managers are incentivized to make investments that generate a positive residual income, rather than simply maximizing the ROI by increasing sales or reducing costs without regard for the cost of capital.

This aligns the goals of the division manager with those of the company as a whole, as the company's overall goal is to generate a positive return on its investments.

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identify whether each of the following statements best illustrates the concept of consumer surplus, producer surplus, or neither.statementconsumer surplusproducer surplusneithereven though i was willing to pay as much as $44 for a used record, i bought a used record for just $34.yesterday i paid $37 for a polaroid camera. today, the same store is selling cameras for $29.i sold a crew neck for $31, even though i was willing to accept as little as $22 in exchange for it.

Answers

Statement:  Consumer Surplus, Producer Surplus, or Neither

Even though I was willing to pay as much as $44 for a used record, I bought a used record for just $34. Consumer Surplus

Yesterday I paid $37 for a Polaroid camera. Today, the same store is selling cameras for $29. Neither

I sold a crew neck for $31, even though I was willing to accept as little as $22 in exchange for it. Producer Surplus

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How many employees are required to operate the business of wirelesszonefranchise.com

Answers

I'm not sure how many employees are required to operate the business of wirelesszonefranchise.com, as I don't have access to that information. However, according to their website, Wireless Zone is a franchisor of Verizon Wireless retail stores, and they provide training, support, and marketing assistance to their franchisees. The number of employees needed to operate a Wireless Zone franchise would depend on the size and location of the store, as well as other factors.

Activity-based costing information may be used by managers for
vendor selection decisions and customer profitability.
process improvement and product cost control.
process improvement and CVP analysis.
pricing decisions and variance analysis.

Answers

Activity-based costing information may be used by managers for process improvement and product cost control. The correct option is process improvement and product cost control.

This method of costing provides a detailed analysis of the activities and resources involved in producing a product or providing a service and the costs associated with each activity. This information can help managers identify inefficiencies in their processes, make improvements to reduce costs and control the cost of producing products.

While activity-based costing information can be used in other areas such as vendor selection decisions and customer profitability, its primary focus is on process improvement and cost control.

Therefore, the correct option is process improvement and product cost control.

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Allen is conducting qualitative research. Which of the following is most likely to be the objective of his research?
A.
To probe into subconscious consumer motivations
B.
To make accurate predictions about relationships between market forces and purchase behavior
C.
To validate the relationship between advertising expenses and sales volume
D.
To make generalizable observations about a target population's buying behavior
E.
To test a hypothesis linking coupon value to brand preference

Answers

Allen conducting qualitative research and which of the following is most likely to be the objective of his research:

The correct answer is A. To probe into subconscious consumer motivations.

Qualitative research aims to explore and understand the deeper, underlying reasons behind human behavior, attitudes, and motivations. It focuses on the "why" and "how" of decision-making, rather than just the "what" or "when".

Therefore, the most likely objective of Allen's qualitative research would be to probe into subconscious consumer motivations.

In contrast, options B, C, D, and E are more aligned with quantitative research objectives, which typically involve hypothesis testing, statistical analysis, and generalizable observations.

Quantitative research is more focused on quantifiable data, while qualitative research delves into the subjective experiences and perspectives of individuals.

In summary, Allen's qualitative research is most likely aimed at uncovering subconscious consumer motivations by gathering rich, detailed insights into their thoughts, feelings, and behaviors.

This type of research is valuable for understanding the complexities of human behavior and informing marketing strategies, product development, and other business decisions.

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a service contract for a video projection system costs $220 a year. you expect to use the system for five years. instead of buying the service contract, what would be the future value of these annual amounts after five years if you earn 3 percent on your savings? use exhibit 1-b. (round fva factor to 3 decimal places and final answer to 2 decimal places.)

Answers

If the service contract is not purchased and the annual amounts are saved at a 3% interest rate for five years, the future value of those amounts would be $1,271.34.

To calculate the future value of the annual amounts if the service contract is not purchased, we can use the Future Value of an Annuity (FVA) formula:

FVA = PMT x (FVA factor at i% for n periods)

Where:

PMT = Annual amount of $220

i = 3% (the interest rate earned on savings)

n = 5 (the number of years)

Using Exhibit 1-B, we can find the FVA factor for 3% and 5 periods, which is 5.797.

Plugging in the numbers, we get:

FVA = $220 x 5.797

FVA = $1,271.34

Therefore, if the service contract is not purchased and the annual amounts are saved at a 3% interest rate for five years, the future value of those amounts would be $1,271.34.

It's important to consider that by not purchasing the service contract, there may be additional costs in the future if the video projection system requires maintenance or repairs.

It's also important to consider the time value of money and the opportunity cost of not investing those annual amounts elsewhere.

However, if there are no unexpected costs and the annual amounts are saved at a 3% interest rate, the future value can be calculated using the FVA formula.

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You take the end of the year inventory of your store. You find you have 40 cans of latex paint on the shelf selling for $40. You maintain a 60% markup at retail on your paint. What did each can cost y

Answers

If the cans of latex paint are selling for $40 and there is a 60% markup at retail, then the cost of each can would be $25. To calculate this, first divide the selling price by 1 plus the markup percentage (60% or 0.6):

$40 ÷ (1 + 0.6) = $25

Therefore, each can of latex paint cost $25

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Benjamin has a degree in ecology and is passionate about conservation. What company might be interested in hiring Benjamin?

Question 2 options:

an eco-tour company looking for a guide


a bakery that specializes in donuts


a hotel chain in need of an advertisement executive


an amusement park looking for a security officer

Answers

Answer:

eco tour company looking for a guide

Explanation:

true or false? :All the manufactures make sure they are not misusing the "green label"

Answers

False. Unfortunately, not all manufacturing ensure that they are not misusing the "green label".

There have been instances of companies making false or exaggerated environmental claims about their products, often referred to as "greenwashing". Greenwashing is a marketing tactic that seeks to make products appear more environmentally friendly than they actually are, often through misleading or incomplete information. It is important for consumers to be aware of greenwashing and to do their own research to verify environmental claims made by companies. Additionally, there are organizations and certifications, such as Energy Star and the Forest Stewardship Council, that can help consumers identify products that meet certain environmental standards.

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suppose you trade dollars and euros for a bank that has branches in los angeles and paris. you can electronically transfer the funds between the two branch locations at no cost, and trading commissions are negligible. the current dollar-per-euro exchange rate in los angeles is e$/eurla

Answers

Assuming other foreign exchange traders face the same situation, they will also buy dollars in Rome and sell them in Los Angeles, As a result: the dollar-per-euro exchange rate will eventually reach equilibrium between the two locations.

The current dollar-per-euro exchange rate in Los Angeles is E = 1.5952, and in Rome, it is E/EUR 80 = 1.6244. Since the exchange rate is higher in Rome, you can make a profit for the bank by buying euros in Los Angeles and selling them in Rome.

1. Buy euros in Los Angeles at the exchange rate of E = 1.5952 dollars per euro.


2. Transfer the euros electronically to the Rome branch at no cost.


3. Sell the euros in Rome at the exchange rate of E/EUR 80 = 1.6244 dollars per euro.

The difference between the two exchange rates represents the profit you can make for the bank. Assuming other foreign exchange traders face the same situation as you, they will also buy dollars in Rome and sell them in Los Angeles. As a result, the dollar-per-euro exchange rate will eventually reach equilibrium between the two locations.

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Complete question:

Suppose you trade dollars and euros for a bank that has branches in Los Angeles and Rome, You can electronically transfer the funds between the two branch locations at no cost, and trading commissions are negligible. The current dollar-per-euro exchange rate in Los Angeles s E=1.5952 while in Rome it is E/EUR 80=1.6244. You can make a profit for the bank if you buy euros in and sell them in Los Angeles Assuming other foreign exchange traders face the same as you do, they will buy dollars in As a result, the dollar-per-euro e Rome Angeles(ESEUR and seil them in:

c. Discuss in detail the prevalent models of Loan Loss Provisioning and calculation of expected loss for an individual using appropriate example calculation

Answers

Loan loss provisioning models include incurred loss, expected loss, and discounted cash flow. Expected loss calculates credit loss over a loan's life.

Loan Loss Provisioning (LLP) is a process used by financial institutions to account for potential future loan losses. There are two prevalent models of LLP, namely the Incurred Loss Model and the Expected Loss Model. The Incurred Loss Model is a traditional method where banks and financial institutions recognize losses after they have been incurred. In this model, banks wait for a loan to become delinquent or default, and then they recognize the loss in their financial statements. This model is criticized for being reactive and not being able to predict future losses, as it does not account for potential future loan losses.

The Expected Loss Model, on the other hand, is a forward-looking model that accounts for potential future losses. This model is required by accounting standards such as IFRS 9 and CECL (Current Expected Credit Loss). The expected loss is calculated as the probability of default (PD) of the borrower, multiplied by the loss given default (LGD), and the exposure at default (EAD).

For example, suppose a bank has issued a loan of $100,000 to a borrower with a PD of 2%, an LGD of 50%, and an EAD of $80,000. The expected loss for this loan would be calculated as follows:

Expected Loss = PD x LGD x EAD

Expected Loss = 0.02 x 0.5 x $80,000

Expected Loss = $800

This means that the bank would provision $800 as a loan loss provision for this loan.

In conclusion, the Expected Loss Model is a forward-looking approach that is gaining popularity due to its ability to predict future loan losses. It allows banks to set aside reserves to cover potential losses, which helps them to better manage their risks and comply with accounting standards.

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The role of in the production process is central to why the United States is rich and most of the rest of the world is poor. A) labor B) land C) capital D) government

Answers

The role of "capital" in the production process is central to why the United States is rich and most of the rest of the world is poor. So, the answer to your question is C) capital.

Capital plays a central role in the production process and is a key factor in the economic success of the United States. Capital refers to the tools, machines, and other resources that are used in the production process.

The United States has been able to accumulate a large amount of capital over time, which has allowed for more efficient and productive production methods. This has resulted in higher levels of economic growth and higher standards of living. In contrast, many other countries lack the capital necessary to modernize their production methods and are thus unable to compete on a global scale.

Additionally, many countries lack the institutional framework necessary to encourage investment and the accumulation of capital. In conclusion, the role of capital in the production process is critical to economic success, and the United States has been able to leverage this advantage to become one of the richest nations in the world.

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when using the aida strategy to present a persuasive message, you should motivate action in the body of your message. true or false

Answers

The answer for the statement ''when using the aida strategy to present a persuasive message, you should motivate action in the body of your message'' is True.

When using the AIDA (Attention, Interest, Desire, Action) strategy to present a persuasive message, it is important to motivate action in the body of your message. This means that after capturing the audience's attention and generating interest, you need to create a desire for your product or service and then provide a clear and compelling call to action.

This could be an invitation to visit a website, make a purchase, or sign up for a service. By motivating action, you are encouraging the audience to take the next step towards making a decision and achieving the desired outcome. Without this call to action, your message may not be effective in achieving the desired results.

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47. If projected net cash flow for November is ($10,000); beginning cash balance is $4,000; minimum cash balance is $3,000; beginning loan balance is $8,000, what will be the cumulative loan balance at the end of November?
A. $14,000
B. $5,000
C. $17,000
D. $22,000

Answers

The cumulative loan balance at the end of November is $17,000. Option (c) is correct.

Cumulative loan balance = Net cash flow + Beginning cash balance + Cumulative cash balance - Loan repayment

Cumulative loan balance = (10,000) + 4,000+ (6,000) +9,000.

The amount of cash on hand on the last day of the month is known as the closing balance. The following equation is used to determine the Closing Balance: Opening Balance plus Total Income minus Total Expenditure equals Closing Balance.

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which of the following are advantages of budgeting? multiple select question. allows for better planning ensures profitability enables better coordination across departments assists in performance evaluation provides advance notice of potential problems lowers accountability increases an employee's individual freedom

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The following are advantages of budgeting:

Allows for better planning

Ensures profitability

Enables better coordination across departments

Assists in performance evaluation

Provides advance notice of potential problems

Therefore, the correct options are:

Allows for better planning

Ensures profitability

Enables better coordination across departments

Assists in performance evaluation

Provides advance notice of potential problems

The remaining options, "lowers accountability" and "increases an employee's individual freedom," are not advantages of budgeting.

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9. The opposite of free trade is protectionism.

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Protectionism is the opposite of free trade. While free trade encourages open markets, unrestricted flow of goods, and removal of trade barriers between countries, protectionism aims to shield domestic industries from foreign competition. This is achieved through implementing measures such as tariffs, import quotas, and subsidies.

Tariffs are taxes imposed on imported goods, making them more expensive and less competitive compared to domestically produced items. Import quotas, on the other hand, limit the quantity of specific goods that can be imported within a given time frame. Subsidies are financial support provided by the government to domestic industries, enabling them to reduce production costs and maintain competitive pricing. Protectionism can be beneficial for developing economies, as it helps nurture infant industries until they can compete on the global stage.

However, critics argue that protectionism stifles international trade, reduces global economic growth, and leads to trade wars. It also discourages innovation and efficiency in domestic industries, as they face less competitive pressure. In summary, while free trade promotes global exchange and cooperation, protectionism focuses on safeguarding domestic industries from international competition through measures like tariffs, quotas, and subsidies. The choice between free trade and protectionism depends on a nation's economic goals, level of development, and overall strategy for growth.

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Businesses have responded to the increase in single-parent households by:

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Businesses have responded to the increase in single-parent households by implementation of programs like flextime and family leaves.

Flexible hours benefits single parents. For parents with young children, their work timing can be made in tune with the baby's sleep time. Single parents can take leaves for specific family and medical reasons.

Single moms in workplaces need time off their work to pick up their kids or drop them to school. Or to take them to an appointment with a doctor, attend parent-teacher meet, etc. Employers are embracing the idea of giving more leaves and flexible working time to single parents.

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In July and December, the BOR may meet to _

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In July and December, the BOR may meet to review and discuss important matters related to their organization. During these meetings, they may address topics such as financial reports, strategic planning, and any other issues that may impact the overall success of the organization.

The purpose of these meetings is to ensure that all members of the BOR are informed and updated on the progress and direction of the organization. Additionally, these meetings may also provide an opportunity for members to collaborate and brainstorm ideas for future initiatives.

It is important for the BOR to meet regularly to ensure that they are fulfilling their responsibilities and making informed decisions that align with the goals and values of the organization. By doing so, they can ensure the continued growth and success of the organization.

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the goal of employee awareness and training is to ensure that individuals are equipped with the tools necessary for the implementation of security policies. which of the following is one of the other benefits of a successfully enacted training and awareness program?

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The goal of employee awareness and training is to ensure that individuals are equipped with the tools necessary for the implementation of security policies.

One of the other benefits of a successfully enacted training and awareness program is that it helps to reduce the occurrence of security incidents and their potential impact on the organization.

By educating employees about potential risks, common threats, and best practices for maintaining security, they become more aware of their responsibilities and the importance of adhering to security policies.

This heightened awareness can lead to more proactive identification and reporting of suspicious activities, ultimately resulting in a more secure working environment.

In summary, a well-implemented training and awareness program contributes to the overall security posture of an organization by fostering a culture of vigilance and responsibility among employees.

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