Question 5: For each of the costs listed below, identify whether it is an explicit or implicit cost to a firm. Which costs would be subtracted from a firm's total revenue to calculate economic profit,

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Answer 1

The terms "explicit cost" and "implicit cost" are to be included in the answer to the following question, which costs would be subtracted from a firm's total revenue to calculate economic profit. For each of the costs listed below, identify whether it is an explicit or implicit cost to a firm.

Which costs would be subtracted from a firm's total revenue to calculate economic profit?There are two forms of costs: Explicit costs and implicit costs.Explicit costs refer to the expenses that a business can pay in cash or by check. That is, explicit costs are the tangible out-of-pocket expenses incurred by a company to maintain its operations. Explicit costs, as the name suggests, are clear, and they may be seen and accounted for by the company or the outsider.

In calculating its economic profit, a company subtracts explicit costs from its total revenue.Implicit costs, on the other hand, refer to the business opportunity costs associated with resources and time that have been put to alternate use. Implicit costs are the expenses that are not reported on a balance sheet but that are incurred when an owner chooses not to do something else with their resources. Implicit costs are defined as the total opportunity costs of activities forgone in order to engage in the best activity. For example, the proprietor of a one-person company who previously worked as a freelancer in a consulting firm and now works as the owner of the company will have a higher implicit cost, as he will lose the opportunity to work in the consulting firm and earn higher income. The cost of entrepreneurs' time, forgone wages, and lost opportunities are all examples of implicit costs. It is subtracted from the total revenue, along with explicit costs, to obtain economic profit.

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Related Questions

Two-Sided Argument Your sister and brother want your advice on picking out an anniversary gift for your parents. Your sister wants to order a monogrammed towel set. Your brother wants to give them cash. What advice would you give to your siblings in regard to maximizing social welfare from the gift you choose? Use the concept of market efficiency to support your answer. Answer the prompt using at least four sentences.

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When deciding on an anniversary gift for your parents, it is important to consider maximizing social welfare. This means that the gift chosen should provide the most benefit to both the recipients and society as a whole.

While both options of a monogrammed towel set and cash have their merits, the concept of market efficiency favors cash as the more socially beneficial option. This is because cash allows the recipients to use the money as they see fit, potentially using it to purchase goods or services that provide greater overall benefit.

Monogrammed towel sets, on the other hand, have a more limited use and may not provide as much overall benefit to society. Therefore, when considering maximizing social welfare, it is recommended to go with the cash option rather than a monogrammed towel set.

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under federal fair housing law which advertisement is acceptable A)
beautiful home in Gables community B) woman seeking woman roommate
C) bachelor pad in the heart of downtown

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Under federal fair housing law, the advertisement that is acceptable is A) beautiful home in Gables community. This is because it does not discriminate against any specific gender, race, religion, or national origin.

The federal fair housing law prohibits discrimination based on race, color, religion, sex, national origin, disability, and familial status in all aspects of renting and selling housing. This means that landlords, property managers, and real estate agents must treat all applicants fairly and equally, regardless of their race, gender, religion, national origin, disability, or family status. Advertisements that indicate a preference, limitation, or discrimination based on any of these protected classes are not allowed. In option B, the advertisement indicates a preference for a specific gender, which is discriminatory. Similarly, option C implies a preference for a single, male tenant, which is also discriminatory. In summary, it is important for landlords and property managers to be aware of federal fair housing law and to ensure that their advertisements comply with the law. The advertisement should not discriminate against any specific group of people.

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Which of the following are ways that a firm can reduce cash flows in order to prevent managers from wastefully spending excess cash flows? Check all that apply.
A) Funneling excess cash flows back to shareholders through higher dividends
B) Minimizing the amount of debt in the firm’s capital structure so that the firm can borrow money at a reasonable rate when good investment opportunities arise
C) Funneling excess cash flows back to shareholders through stock repurchases
D) Increasing the amount of debt in the firm’s target capital structure in the hope that higher debt-service requirements will force managers to be more disciplined

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There are two ways that a firm can reduce cash flows in order to prevent managers from wastefully spending excess cash flows. The correct options are A) Funneling excess cash flows back to shareholders through higher dividends and C) Funneling excess cash flows back to shareholders through stock repurchases.

These ways are as follows:

Funneling excess cash flows back to shareholders through higher dividends

Funneling excess cash flows back to shareholders through stock repurchases

Investment opportunities are crucial to any organization. When a firm has excess cash, it may use the money to invest in investment opportunities. However, if the firm has invested the cash flows unwisely, it may lead to a decrease in the cash flows of the company. Therefore, a firm can reduce cash flows by funneling the excess cash back to the shareholders. The shareholders can use the cash in any way they desire. This helps to prevent managers from investing the cash flows unwisely.

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The following information relates to the Atlantic Division of Ocean Enterprises: Interest rate on debt capital: 7.2% Cost of equity capital: 9.7% Market value of debt capital: $43 million Market value of equity capital: $77 million Income tax rate: 30% On the basis of this information, Atlantic's weighted-average cost of capital is: a. 8.03% b. 8.80% c. 7.37% d. 8.45% e. 7.05%

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To calculate the weighted-average cost of capital (WACC), we need to consider the weight of each component of capital (debt and equity) in the overall capital structure of the company.

Given information:

Interest rate on debt capital: 7.2%

Cost of equity capital: 9.7%

Market value of debt capital: $43 million

Market value of equity capital: $77 million

Income tax rate: 30%

First, we need to calculate the weight of debt and equity in the capital structure:

Weight of debt = Market value of debt capital / Total market value of capital

Weight of debt = $43 million / ($43 million + $77 million) = 0.358 or 35.8%

Weight of equity = Market value of equity capital / Total market value of capital

Weight of equity = $77 million / ($43 million + $77 million) = 0.642 or 64.2%

Next, we can calculate the WACC using the formula:

WACC = (Weight of debt * Cost of debt) + (Weight of equity * Cost of equity)

WACC = (0.358 * 7.2%) + (0.642 * 9.7%)

WACC = 2.5776% + 6.2174%

WACC = 8.795%

Therefore, the WACC for the Atlantic Division of Ocean Enterprises is approximately 8.80%. The correct answer is option b.

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An industry has 10 firms, each with a market share of 10 percent. There is no foreign competition, entry into the industry is difficult, and no firm is on the verge of bankruptcy. a. If 5 of the firms in the industry seek to merge, the Herfindahl index would change from
2,200 to 2,200.
600 to 1,000.
600 to 1,600.
1,000 to 2,200.

b. This merger would
be challenged, because of the value of the new Herfindahl index only.
not be challenged.
be challenged, because of the substantial change in the Herfindahl index only.
be challenged, because of the value of the new Herfindahl index and the substantial change in the index

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The Herfindahl index is a commonly used measure of market concentration that quantifies the distribution of market shares among firms in an industry. It is calculated by summing the squared market shares of all firms.

a. The Herfindahl index is a measure of market concentration and is calculated by summing the squares of the market shares of all firms in the industry. In this case, each firm has a market share of 10 percent, so the initial Herfindahl index is 10² * 10 = 1,000.

If 5 of the firms in the industry seek to merge, their market shares would be combined into a single entity with a market share of 10% * 5 = 50%. The remaining 5 firms would still have a market share of 10% each. Therefore, the new Herfindahl index would be calculated as follows:

(50²) + (10² * 5) = 2,500 + 500 = 3,000

So, the correct answer is that the Herfindahl index would change from 1,000 to 3,000.

b. Based on the information provided, it is not possible to determine whether the merger would be challenged or not. The question does not provide any information about the specific regulations or antitrust laws in place, nor does it mention any other factors that may trigger a challenge to the merger. Therefore, we cannot make a definitive conclusion about whether the merger would be challenged or not based solely on the Herfindahl index.

When a merger occurs, it can have an impact on the Herfindahl index, reflecting changes in market concentration. The specific impact depends on the market shares of the merging firms and the overall structure of the industry.

If two firms with significant market shares merge, it can result in a substantial increase in the Herfindahl index. This is because the squared market shares of the merging firms are combined, leading to a higher concentration of market power in the hands of the merged entity.

On the other hand, if a merger involves firms with smaller market shares, the impact on the Herfindahl index may be relatively smaller. This is because the squared market shares of the merging firms are relatively small and may not significantly alter the overall concentration in the market.

In general, the impact of a merger on the Herfindahl index depends on the size and market shares of the merging firms, as well as the number of firms in the industry. A merger that involves a significant consolidation of market power among a few firms is likely to result in a higher Herfindahl index, indicating increased concentration. Conversely, a merger among smaller firms may have a relatively smaller impact on the Herfindahl index.

It's worth noting that the Herfindahl index is just one measure of market concentration, and its interpretation may vary depending on the specific industry and market conditions. Regulatory authorities and antitrust agencies often use the Herfindahl index as part of their evaluation process to assess the potential impact of a merger on competition and consumer welfare.

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You are the project manager for a software consulting firm that is developing a new software program for a customer in another country. Things seem to be progressing well. Recently, your stakeholders examined the work of the project and formally accepted the work results. Which process was just performed? Manage Assurance • Close Project or Phase . Validate Scope • Control Quality 33-Which of the following is TRUE about the development of a project charter? . The project team creates the project charter, and the PMO approves it . The project manager creates the project charter, and the sponsor approves it . The sponsor creates the project charter, and the project manager approves it The executive manager creates the project charter, and the functional manager approves it 34-Changes in organizational size or structure and the introduction of new technologies are examples of . Disruptive changes • Planned changes • Demographic changes • Unplanned changes 35- An end-user needs analysis and assessment project can take many forms. An assessment project is all the following EXCEPT? Can be formal or informal . Can result in the selection of a product • Can result in the selection of a service • Can result in the selection of the appropriate project plan 36-within an origination, rules and regulations are examples of which type of interface? . Resource • Functional • Organizational • Knowledge 37- All the following are inputs to develop the project charter EXCEPT? . Benefits management plan . Business case • Project statement .. Contacts 38- An activity with zero duration that is used to determine the activity accomplishment of work products after being reviewed for quality and approved is . Work package . Outcome . Module . Milestone

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Manage Assurance was performed, as your stakeholders formally accepted the work results of your team. Further explanation is given below.

Processes are fundamental to the project management discipline as they provide the foundation and structure to help project managers to manage their work efficiently. Among the given processes (Manage Assurance, Close Project or Phase, Validate Scope, and Control Quality), the process that was just performed is Manage Assurance. It is the process of auditing the quality requirements and the outcomes from quality control activities to ensure that the appropriate quality standards and operational definitions are utilized. It also verifies that the project is finished with minimal errors, that risks have been minimized, and that the project meets the project sponsor's objectives. Therefore, it ensures that all project products are delivered and all project work is finished satisfactorily.The project charter is a document that outlines the project's goals, deliverables, scope, stakeholders, schedule, and budget. It is created by the project manager, and the sponsor approves it. Therefore, the project manager creates the project charter, and the sponsor approves it.

Disruptive changes such as changes in organizational size or structure and the introduction of new technologies. Disruptive changes can be both positive and negative, and they can influence every part of an organization. They cause significant changes in the organization, and there is a possibility of both risks and opportunities.An end-user needs analysis and assessment project can take many forms, and it can result in the selection of a product, a service, or an appropriate project plan. It can be formal or informal. It is essential to choose the most appropriate technique to accomplish the objectives of the assessment.Rules and regulations are an example of an organizational interface. It is an interface between the project team and the external environment that can affect the project's activities, resources, and outcomes. It provides project managers with the necessary information to determine the most effective approach for dealing with external stakeholders such as government entities, community groups, or regulatory agencies.The inputs to develop the project charter include the business case, the project statement, and the benefits management plan. Contacts is not an input to develop the project charter.An activity with zero duration that is used to determine the activity accomplishment of work products after being reviewed for quality and approved is called a milestone. Therefore, the correct answer is a milestone.

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What are some of the challenges in creating an effective supply
chain and some of the trade offs involved

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Creating an effective supply chain involves several challenges and trade-offs.

One challenge is achieving a balance between cost and responsiveness. Companies often face the trade-off of reducing costs by streamlining the supply chain versus increasing responsiveness by maintaining excess inventory or utilizing faster shipping methods. Another challenge is managing complexity. As supply chains become more global and interconnected, coordinating multiple suppliers, transportation modes, and regulatory requirements becomes complex. This complexity increases the risk of disruptions, such as delays or quality issues. Trade-offs must be made between simplicity and flexibility. Lastly, achieving visibility and collaboration across the supply chain requires sharing sensitive data, which involves trade-offs between data security and operational efficiency.

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Snap, Inc., provides the following data for the next three months: April May. Budgeted production units..... 442 units 570 Ending raw materials inventory 663 lbs. Ending finished goods inventory ...... 174 units Desired ending inventory: Raw Materials = 30% of next month's production needs Pounds of raw material required for each finished Unit = 5 lbs. Calculate the amount of purchases of raw materials in pounds for April and May. June 544

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To calculate the amount of purchases of raw materials for April and May, we need to consider the raw material requirements for production and the desired ending inventory.

For April:

Raw material required for April's production = April's budgeted production units x pounds of raw material required per finished unit

Raw material required for April's production = 442 units x 5 lbs/unit

Raw material required for April's production = 2,210 lbs

Ending raw materials inventory for April = Desired ending inventory - Raw material required for April's production

Ending raw materials inventory for April = 30% of May's production needs - 2,210 lbs

For May:

Raw material required for May's production = May's budgeted production units x pounds of raw material required per finished unit

Raw material required for May's production = 570 units x 5 lbs/unit

Raw material required for May's production = 2,850 lbs

Ending raw materials inventory for May = Desired ending inventory - Raw material required for May's production

Ending raw materials inventory for May = 30% of June's production needs - 2,850 lbs

Therefore, to calculate the amount of purchases of raw materials in pounds for April and May, we need the information about May's production needs and June's production needs. The given data does not provide that information, so the calculation cannot be completed with the provided data.

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Lenovo uses the ZX-81 chip in some of its laptop computers. The prices for the chip during the last 12 months were as follows: Price Per Chip Price Per Chip Month Month $1.80 July August September $1.80 January $1.67 $1.83 February March $1.70 $1.70 April May $1.85 $1.65 October $1.90 $1.70 November $1.87 December $1.75 June This exercise contains only parts a, b, and c a) Using a 2-month moving average, the forecast for periods 11 and 12 is (round your responses to two decimal places) Month Mar Apr May Jun Jul Aug Sep Oct Nov Dec $1.74 Forecast 1.69 1.78 1.88 1.89 1.84 1.82 1.77 b) Using a 3-month moving average, the forecast for periods 11 and 12 is (round your responses to two decimal places): Month Apr May Jun Jul Aug Sep Oct Nov Dec $1.72 Forecast 1.74 1.82 1.87 1.86 1.83 1.78 c) The mean absolute deviation based on a 2-month moving average of March through December is $(round your response to three decimal places). The mean absolute deviation based on a 3-month moving average of April through December is $ (round your response to three decimal places).

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a) Using a 2-month moving average, the forecast for periods 11 and 12 is: Month Mar Apr May Jun Jul Aug Sep Oct Nov Dec$1.74 Forecast 1.69 1.78 1.88 1.89 1.84 1.82 1.77

The formula for calculating a 2-month moving average is: MA = (P1 + P2) / 2Where P1 is the price for the first month and P2 is the price for the second month.

We will use this formula to calculate the moving averages for the given months: Month Price 2-month Moving Average July $1.80 August $1.80 $1.80 September $1.80 $1.80 January $1.67 $1.74

February $1.83 $1.75 March $1.70 $1.77 April $1.70 $1.70 May $1.85 $1.78 June $1.65 $1.75 July $1.90 $1.78 August $1.70 $1.80 September $1.87 $1.79 October $1.75 $1.81 November $1.82 $1.78 December $1.88 $1.85

The forecast for periods 11 and 12 using a 2-month moving average is $1.69 and $1.78 respectively.

b) Using a 3-month moving average, the forecast for periods 11 and 12 is: Month Apr May Jun Jul Aug Sep Oct Nov Dec$1.72 Forecast 1.74 1.82 1.87 1.86 1.83 1.78To calculate a 3-month moving average, we use the following formula: MA = (P1 + P2 + P3) / 3

Where P1, P2, and P3 are the prices for the first, second, and third month, respectively. We will use this formula to calculate the moving averages for the given months: Month Price 3-month Moving Average July $1.80 August $1.80 September $1.80 $1.80 January $1.67 $1.75 February $1.83 $1.

77 March $1.70 $1.73 April $1.70 $1.73 May $1.85 $1.73 June $1.65 $1.73 July $1.90 $1.75 August $1.70 $1.75 September $1.87 $1.82 October $1.75 $1.77 November $1.82 $1.

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Which of these items should be reported as "other financing uses" in a governmental funds statement of revenues, expenditures, and changes in fund balances?

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In a governmental funds statement of revenues, expenditures, and changes in fund balances, certain items are reported as "other financing uses." These include debt service payments, contributions to other funds, and transfers to other government entities.

Debt service payments are typically the largest component of "other financing uses" in a governmental funds statement. These payments include principal and interest payments on outstanding debt obligations, such as bonds or loans.

Contributions to other funds are another type of "other financing use." These occur when one fund contributes resources to another fund, typically for a specific purpose, such as capital improvements or debt service.

Transfers to other government entities are also reported as "other financing uses." These occur when a government entity transfers resources to another government entity, usually for the purpose of providing shared services or funding joint projects.

In summary, "other financing uses" in a governmental funds statement include debt service payments, contributions to other funds, and transfers to other government entities.

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King Waterbeds has an annual cash dividend policy that raises the dividend each year by 4%. The most recent dividend, Divo, was $0.50 per share. What is the stock's price if a. an investor wants a return of 7%? b. an investor wants a return of 8%? c. an investor wants a return of 11%? d. an investor wants a return of 12%? e. an investor wants a return of 19%? 

Answers

The stock's price would be:

a. $16.67

b. $12.50

c. $7.14

d. $6.25

e. $3.33

To calculate the stock's price based on the desired investor return, we need to use the dividend growth model, also known as the Gordon growth model. The formula for the Gordon growth model is as follows:

Stock Price = Dividend / (Required Return - Dividend Growth Rate)

Given:

Dividend (Divo) = $0.50 per share

Dividend Growth Rate (g) = 4% = 0.04 (expressed as a decimal)

We can now calculate the stock price for each desired investor return:

a. For a required return of 7%:

Required Return (r) = 7% = 0.07 (expressed as a decimal)

Stock Price = $0.50 / (0.07 - 0.04) = $0.50 / 0.03 = $16.67

b. For a required return of 8%:

Required Return (r) = 8% = 0.08 (expressed as a decimal)

Stock Price = $0.50 / (0.08 - 0.04) = $0.50 / 0.04 = $12.50

c. For a required return of 11%:

Required Return (r) = 11% = 0.11 (expressed as a decimal)

Stock Price = $0.50 / (0.11 - 0.04) = $0.50 / 0.07 = $7.14

d. For a required return of 12%:

Required Return (r) = 12% = 0.12 (expressed as a decimal)

Stock Price = $0.50 / (0.12 - 0.04) = $0.50 / 0.08 = $6.25

e. For a required return of 19%:

Required Return (r) = 19% = 0.19 (expressed as a decimal)

Stock Price = $0.50 / (0.19 - 0.04) = $0.50 / 0.15 = $3.33

Therefore, the stock's price would be:

a. $16.67

b. $12.50

c. $7.14

d. $6.25

e. $3.33.

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Simon recently received a credit card with an 18% nominal interest rate. With the card, he purchased an Apple iPhone 11 for $550. The minimum payment on the card is only $20 per month.
a. If Simon makes the minimum monthly payment and makes no other charges, how many months will it be before he pays off the card? Do not round intermediate calculations. Round your answer to the nearest whole number.
____ month(s)
b. If Simon makes monthly payments of $65, how many months will it be before he pays off the debt? Do not round intermediate calculations. Round your answer to the nearest whole number.
____ month(s)
c. How much more in total payments will Simoh make under the $20-8-month plan than under the $65-a-month plan? Do not round intermediate calculations. Round your answer to the nearest cent
$

Answers

a. Rounded to the nearest whole number, it will take Simon 27 months to pay off the card by making only the minimum monthly payment. To determine how many months it will take for Simon to pay off the credit card by making only the minimum monthly payment, we need to calculate the total amount of interest charged on the outstanding balance. The monthly interest rate can be calculated as 18% divided by 12.

Let's denote the outstanding balance as B, the minimum payment as P, and the monthly interest rate as r. The formula to calculate the remaining balance after each payment is:

Remaining Balance = (1 + r) * B - P

Since Simon will continue making the minimum payment until the balance reaches zero, we can set up an equation:

(1 + r) * B - P = 0

Substituting the given values:

(1 + 18%/12) * $550 - $20 = 0

Simplifying the equation:

1.015 * $550 - $20 = 0

Calculating:

$557.25 - $20 = $537.25

To determine the number of months, we divide the remaining balance by the minimum payment:

$537.25 / $20 = 26.86

Rounded to the nearest whole number, it will take Simon 27 months to pay off the card by making only the minimum monthly payment.

b. If Simon makes monthly payments of $65, we can use a similar approach to determine the number of months required to pay off the debt. Let's denote the remaining balance as B and the monthly payment as P:

(1 + r) * B - P = 0

Substituting the given values:

(1 + 18%/12) * $550 - $65 = 0

Simplifying the equation:

1.015 * $550 - $65 = 0

Calculating:

$557.25 - $65 = $492.25

$492.25 / $65 = 7.57

Rounded to the nearest whole number, it will take Simon 8 months to pay off the debt by making monthly payments of $65.

c. To determine the difference in total payments between the $20-a-month plan and the $65-a-month plan, we need to calculate the total payments for each scenario.

Total payments under the $20-a-month plan can be calculated by multiplying the minimum payment of $20 by the number of months determined in part (a):

Total payments = $20 * 27 = $540

Total payments under the $65-a-month plan can be calculated by multiplying the monthly payment of $65 by the number of months determined in part (b):

Total payments = $65 * 8 = $520

The difference in total payments is:

$540 - $520 = $20

Therefore, Simon will make $20 more in total payments under the $20-a-month plan compared to the $65-a-month plan.

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QUESTION 1 The financial managers of a publicly-traded company consider the amounts and timings of cash flows from projects and their related- risks as they attempt to achieve the firm's primary operating goal which is the OA. Maximization of the firm's dividends paid OB Maximization of the firm's accounting profits OC. Minimization of the risks of potential losses taken by the firm OD. Maximization of the firm's value to its shareholders QUESTION 2 The capital budgeting technique that is generally preferred by the financial managers of publicly-traded companies because it best considers the amounts and timings of cash flows from projects and their related risks as they attempt to achieve the firm's primary operating goal is the: CA Modified Internal Rate of Return OB Payback Period OC Internal Rate of Return D.Net Present Value 2 points 2 points Save Arte QUESTION 3 Which of the following capital budgeting techniques ignares the time value of money: OA Payback Period OB. Net Present Value OC Modified Internal Rate of Return OD. Internal Rate of Return QUESTION 4 The discount rate that equates the present value of the cash inflows with the initial investment is called: OA Net Present Value OB Weighted-Average Cost of Capital OC Payback Period OD. Internal Rate of Return Click Save and Submit to save and submit. Click Save All Anneers to save all answers 2 points 2 points Tove All Armen'S Save and S

Answers

The financial managers of a publicly-traded company consider the amounts and timings of cash flows from projects and their related- risks as they attempt to achieve the firm's primary operating goal which is the maximization of the firm's value to its shareholders. Hence, the option (D) is correct.

The capital budgeting technique that is generally preferred by the financial managers of publicly-traded companies because it best considers the amounts and timings of cash flows from projects and their related risks as they attempt to achieve the firm's primary operating goal is the Net Present Value (NPV). Hence, the option (D) is correct.

Among the given capital budgeting techniques, Payback Period ignores the time value of money. Hence, the option (A) is correct.QUESTION 4The discount rate that equates the present value of the cash inflows with the initial investment is called the Internal Rate of Return (IRR). Hence, the option (D) is correct.

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ClamShell Security (CSS) is a division of a large, listed company, X3Cate Limited (X3L). The CSS Division produces software products to protect customer’s computers from infection from computer viruses and other malware. The sales of its products have been growing over the last few years as its products become more accepted in the market. The Board of X3L want to introduce a new product line that would specifically protect against Ransomware, a new security threat, particularly business customers. Each Divisional Manager can earn large bonuses on top of their base salaries if they maintain Return on Investment greater than 25% otherwise the bonus payments are halved.
The following information is for the year that has just ended related to the CSS Division performance:
Profit percentage (Return on Sales): 30%
Sales revenue: $15 000 000
Average capital invested $18 000 000
Additional information:
The Manager of the CSS Division has been reviewing the proposed additional revenue and costs to launch the new anti-ransomware product and makes the following financial estimates for the following year:
New projected profit percentage: 25%
New TOTAL projected sales revenue: $25 000 000
New level of Average Invested capital: $31 250 000

Answers

To evaluate the performance and potential bonus payment for the Manager of the CSS Division, we can calculate the Return on Investment (ROI) based on the given information.

Current ROI:

Profit: $15,000,000 x 30% = $4,500,000

ROI: $4,500,000 / $18,000,000 = 0.25 or 25%

Since the current ROI is already greater than 25%, the Manager would be eligible for a full bonus payment.

Projected ROI with new product line:

Projected Profit: $25,000,000 x 25% = $6,250,000

Projected ROI: $6,250,000 / $31,250,000 = 0.2 or 20%

The projected ROI with the new product line is 20%, which is below the required threshold of 25% for the Manager to receive the full bonus payment. In this case, the bonus payments would be halved.

Therefore, based on the projected performance with the new product line, the Manager of the CSS Division would receive a reduced bonus payment.

It's worth noting that ROI is just one metric used to evaluate performance, and other factors may also be considered by the Board when determining bonus payments.

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In a short essay, discuss in detail the major advantage of
projective techniques over the unstructured direct techniques
(focus groups and depth interviews). Be sure to elaborate and
justify answers f

Answers

Projective techniques and unstructured direct techniques are two important qualitative research methods. The former refers to a series of methods that elicit information from respondents by asking indirect questions or using stimuli like images and metaphors to stimulate responses. The latter, on the other hand, refers to interview or focus group techniques that are more direct in nature, meaning that the questions posed are direct and explicit. In this essay, we will discuss the major advantage of projective techniques over the unstructured direct techniques.

The main advantage of projective techniques over unstructured direct techniques is that they provide a way to uncover unconscious or latent motivations, feelings, and attitudes of respondents. Since projective techniques use indirect methods to elicit responses, they help researchers to bypass the defenses that respondents might put up in response to direct questioning.
For example, in a focus group, respondents may be reluctant to share their true feelings or beliefs about a topic, either because they fear judgment or want to present themselves in a certain way. Projective techniques, such as word association or storytelling, can help bypass these defenses and reveal more about respondents’ true beliefs or attitudes.

Additionally, projective techniques are useful for uncovering emotional responses or associations that may not be easily articulated in words. By using visual or symbolic stimuli, projective techniques tap into a deeper level of the respondent’s psyche, revealing unconscious thoughts and feelings.
In conclusion, while both projective techniques and unstructured direct techniques are useful qualitative research methods, the former offers several advantages over the latter. By uncovering latent motivations and unconscious thoughts and feelings, projective techniques provide a valuable tool for qualitative researchers seeking to gain a deeper understanding of their respondents.

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Which of the following statements about PERT charts is correct? There should ideally be no critical path O The ideal PERT chart has no activities that have slack time There will always be one and only one critical path Charts must have at least one critical path Once created, a PERT chart will never change during the course of a project

Answers

The correct statement about PERT (Program Evaluation and Review Technique) charts is that they must have at least one critical path. The other statements are incorrect.

PERT charts are graphical tools used in project management to schedule and visualize the activities and dependencies of a project. The critical path is the longest sequence of dependent activities that determines the minimum project duration. It represents the path that must be completed within the estimated time to avoid project delays.

The first statement, "There should ideally be no critical path," is incorrect. In a PERT chart, there will always be at least one critical path. The critical path represents the activities that must be completed sequentially and without delay to ensure the project is completed on time.

The second statement, "The ideal PERT chart has no activities that have slack time," is also incorrect. Slack time refers to the amount of time an activity can be delayed without affecting the overall project duration. In a PERT chart, some activities may have slack time, indicating that they can be delayed without impacting the project's completion time.

The third statement, "There will always be one and only one critical path," is incorrect as well. While a PERT chart can have multiple critical paths if there are parallel activities with the same duration, the critical path with the longest duration is the one that determines the overall project timeline.

Finally, the fourth statement, "Once created, a PERT chart will never change during the course of a project," is incorrect. PERT charts are dynamic tools that can be modified and updated as the project progresses. Changes in activity durations, dependencies, or new activities can affect the critical path and require adjustments to the PERT chart.

In conclusion, the correct statement is that PERT charts must have at least one critical path. The other statements about PERT charts are incorrect, as critical paths can exist, activities can have slack time, multiple critical paths can be present, and PERT charts are subject to modifications during the course of a project.

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A team should make the team leader look good. Select one: True O False

Answers

The statement "A team should make the team leader look good" is TRUE. A team comprises a group of people who work together to achieve a common objective.

In this case, the team leader is in charge of the team, and it is the team's responsibility to assist the team leader in achieving the team's objectives. A team leader must have a clear vision, mission, and goals in mind when leading a team. The leader will ensure that the team members are adequately motivated and committed to achieving the team's objectives. In addition, a team leader is responsible for allocating duties, providing guidelines, and tracking team progress. The team members must work together and coordinate their efforts to complete the tasks assigned to them by the leader.

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At the beginning of the month, the Forming Department of Martin Manufacturing had 18,000 units in inventory, 40% complete as to materials, and 10% complete as to conversion. During the month the department started 68,000 units and transferred 74,000 units to the next manufacturing department. At the end of the month, the department had 12,000 units in inventory, 80% complete as to materials and 70% complete as to conversion. If Martin Manufacturing uses the weighted average method of process costing, compute the equivalent units for materials and conversion respectively for the Forming Department. 00:43:22 Ask Multiple Choice O 83,600 materials; 82,400 conversion. 65,600 materials; 64,400 conversion. 66,200 materials; 69,800 conversion. 76,400 materials; 82,400 conversion. 76,400 materials; 80,600 conversion.

Answers

According to the problem, at the beginning of the month, the Forming Department of equivalent unit Manufacturing had 18,000 units in inventory, 40% complete as to materials, and 10% complete as to conversion. During the month, the department started 68,000 units and transferred 74,000 units.

To the next manufacturing department. At the end of the month, the department had 12,000 units in inventory, 80% complete as to materials and 70% complete as to conversion.

If Martin Manufacturing uses the weighted average method of process costing, the equivalent units for materials and conversion respectively for the Forming Department can be computed as follows :Equivalent units for materials

= Units completed and transferred out + Units in ending WIP inventory * Equivalent units of production

= (74,000 units) + (12,000 units * 80%)= 74,000 units + 9,600 units

= 83,600 units Equivalent units for conversion

= Units completed and transferred out + Units in ending WIP inventory * Equivalent units of production

= (74,000 units) + (12,000 units * 70%)= 74,000 units + 8,400 units= 82,400 unitsTherefore, the correct option is:76,400 materials; 82,400 conversion.

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Amazon's Flywheel based strategy relies first on which of the following achievements? Customer satisfaction Profit margins A highly scalable website Supplier base

Answers

Amazon's Flywheel-based strategy relies first on the achievement of customer satisfaction among the given options mentioned above.

Amazon's Flywheel strategy is a business model that focuses on customer experience and creating a positive feedback loop between the company and its customers. Amazon has a long history of focusing on customer satisfaction. By providing fast shipping, easy returns, and competitive pricing, Amazon has built a loyal customer base. This, in turn, has led to higher sales and profits, which has allowed Amazon to invest more in improving the customer experience. By focusing on customer satisfaction, Amazon has been able to create a positive feedback loop that drives growth and innovation. However, Amazon's success is not solely due to customer satisfaction. Profit margins, a highly scalable website, and a robust supplier base are also crucial components of its business model.

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1. China's company A, located in Xian, exported 30 M/T of Liquorice Cream to Japan for USD 54,000 FOB
Xingang, Tianjin. Shipment should be made on or before December 25 as contracted. A transported the above
goods to its Tianjin office in early December. Unfortunately, the goods were burnt in the warehouse the third
day after arrival. Tianjin office had no choice but to notify A to send another 30 M/T so as to catch the time of
shipment. Please make your comment.

Answers

In this scenario, Company A, located in Xian, China, exported 30 M/T of Liquorice Cream to Japan for USD 54,000 FOB Xingang, Tianjin. However, the goods were burnt in the Tianjin warehouse shortly after their arrival. As a result, A was notified to send another 30 M/T to meet the contracted shipment deadline.

Based on the given information, the key points to consider are as follows:

Initial Export: Company A exported 30 M/T of Liquorice Cream to Japan from Xingang, Tianjin, with a contracted FOB value of USD 54,000. This means that A was responsible for delivering the goods to the port and arranging for their shipment.

Incident: Unfortunately, after the goods arrived at A's Tianjin office in early December, they were burnt in the warehouse just three days later. This implies that the goods were damaged and rendered unfit for shipment.

Request for Replacement: The Tianjin office notified Company A about the incident and requested another 30 M/T of Liquorice Cream to meet the contractual obligation of shipping the goods on or before December 25.

In this situation, the goods being burnt in the Tianjin warehouse is an unfortunate event that has disrupted the export process. Company A will need to take appropriate action to fulfill its contractual obligations and replace the damaged goods within the specified timeframe. It is essential for A to assess the cause of the incident, address any safety or security concerns, and expedite the shipping of the replacement goods to meet the agreed-upon shipment deadline. Proper communication and coordination between Company A and its Tianjin office will be crucial to resolve the issue promptly and ensure customer satisfaction.

   

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Consider the following average annual returns: Average Return 23.3% 13.1% 7.3% 62% Investment Small Stocks S&P 500 Corporate Bonds Treasure Bonds Treasury Bills What is the excess return for Treasury bills? OA. -9% OB. 0% O.C. -21% OD. -32% Next questor

Answers

If Investment Small Stocks S&P 500 Corporate Bonds Treasure Bonds Treasury Bills then the excess return for Treasury bills is C. -21%.

How to find?

The average annual returns for four different investments Small Stocks, S&P 500, Corporate Bonds, Treasure Bonds and Treasury Bills are given in the question as 23.3%, 13.1%, 7.3%, 6.2%, and what we need to find is the excess return for Treasury bills.

What is excess return?

Excess return is the return above and beyond a benchmark that is expected. It is calculated by subtracting the benchmark return from the investment return.

What is the excess return for Treasury bills?

Benchmark return is the risk-free return for an investment in the treasury bills. Therefore, the excess return for treasury bills can be calculated as follows: Excess return for Treasury Bills = Average return for Treasury Bills - Benchmark Return Benchmark Return = Annual return for Treasury Bonds Excess Return for Treasury Bills = 6.2% - 7.3% = -1.1%Hence, the excess return for Treasury bills is -1.1%.

Hence, option c.  is correct.

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Briefly discuss how would you go about managing the social
contract?

Answers

Managing the social contract requires effective communication, transparency, and provision of public goods and services, and upholding the rule of law and human rights is the answer.

The social contract refers to the unwritten agreement between people and government, where the government agrees to provide public goods and services and people agree to obey laws and pay taxes. Managing the social contract is crucial for maintaining social order, economic stability, and political legitimacy. Among the various ways to manage the social contract, communication and transparency are the most effective ones. The government should communicate its policies, programs, and activities to the public and involve them in the decision-making process. This would help in building trust and confidence in government, and prevent misunderstandings and conflicts.

Similarly, the government should be transparent in its actions and decisions, and be accountable to the public for its performance. It should also ensure that the public's rights and interests are protected and that their grievances are addressed in a timely and efficient manner. Another way to manage the social contract is by providing public goods and services that meet people's needs and aspirations. These could include education, healthcare, housing, transportation, and other basic amenities. By providing these goods and services, the government can improve people's quality of life, enhance their productivity, and promote social inclusion and cohesion. Finally, managing the social contract requires the government to uphold the rule of law, protect human rights, and ensure justice and equity for all. This would help in promoting social justice, reducing inequality, and preventing conflict and violence.

In summary, managing the social contract requires effective communication, transparency, provision of public goods and services, and upholding the rule of law and human rights.

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Are there differences between leadership theories and leadership styles? A leadership theory explains how and why certain people become leaders; whereas, leadership style depicts the way a leader approaches a situation. so there is a difference. Leaders are focused on supervising and getting things done to achieve the goals of the organization (Ugochukwo, 2021). When organizations hire these types of leaders the company can be very successful; however, if the organization was filled with transformational leaders, is there a danger for the organization if most of their leaders are transformational? What would the danger be?

Answers

While having transformational leaders in an organization can bring many benefits, there can be potential dangers if most of the leaders possess this leadership style. One of the main dangers is the potential for a lack of balance in leadership approaches and organizational dynamics.

Overemphasis on Visionary Leadership: Transformational leaders are known for their ability to inspire and motivate their followers by creating a compelling vision and setting high expectations. However, if most leaders in the organization are focused solely on being transformational, there may be a lack of attention to other important aspects of leadership, such as operational efficiency, task management, and day-to-day supervision. This could result in a gap between the inspirational vision and the practical execution of tasks and goals.

Limited Attention to Maintenance Functions: Transformational leaders often prioritize change and innovation, which can lead to neglecting important maintenance functions within the organization. Maintenance functions include activities like monitoring performance, ensuring compliance, managing resources effectively, and maintaining stability. If these functions are overlooked, it can lead to operational inefficiencies, increased risk, and decreased overall organizational effectiveness.

Potential for Unbalanced Decision-Making: Transformational leaders tend to rely on their vision and intuition when making decisions, which can sometimes lead to a lack of thorough analysis and consideration of alternative perspectives. If a majority of leaders in the organization possess this style, there may be a tendency to make decisions based on personal beliefs and emotions rather than relying on data, facts, and diverse viewpoints.

Dependency on Individual Leaders: Having a high concentration of transformational leaders can create a dependency on a few key individuals for driving change and innovation. This can be risky as it creates a potential single point of failure if these leaders leave the organization or are unable to effectively fulfill their roles.

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Describe the Air Asia's customer value proposition. (i.e., How does the company
create customer value? What is/are distinctive about the company’s products or
services?)

Answers

Air Asia creates customer value by offering affordable and convenient air travel with a strong focus on customer satisfaction. Their distinctive features include low-cost fares, extensive route network, innovative digital services, and a customer-centric approach.

Air Asia's customer value proposition revolves around providing affordable and convenient air travel options while prioritizing customer satisfaction. The company is known for its low-cost fares, which make air travel accessible to a wider audience. By offering competitive prices, Air Asia aims to make flying affordable for both leisure and business travelers, attracting a large customer base.

One distinctive aspect of Air Asia's products and services is their extensive route network. The airline operates flights to various domestic and international destinations, connecting travelers to popular tourist spots as well as business hubs. This wide coverage allows customers to choose from a diverse range of destinations and plan their trips conveniently.

Another key aspect of Air Asia's customer value proposition is their emphasis on innovative digital services. The company has invested heavily in technology, offering features such as online booking, mobile check-in, and self-service kiosks. These digital solutions streamline the customer experience, saving time and enhancing convenience.

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please solve all the questions in 20mins and I will
rate your answer highly
5. Easter Island Biochemical Co. has a $1,000 par value bond outstanding that pays 11 percent annual interest. The current yield to maturity on such bonds in the market is 8 percent. Compute the price

Answers

To compute the price of the bond, we can use the formula:

P = C/D

where:

P = price of the bond

C = coupon rate (11% = 0.11)

D = maturity value (1,000 = 1,000)

Plugging in the values, we get:

P = 0.11/1,000

P = 0.011

Therefore, the price of the bond is 1,000/0.011=1,000/0.011=8,888.89

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Use the diagram below to answer the question below: S₂ S₁ P3 D3 Price p D₁ 92 91 Quantity q Assuming that the curves above are representative of an inferior good, which of the following could explain a movement from point p1q2 to p3q1 in the figure? O A. an increase in the price of a complement O B. an increase in the price of the good O C. an increase in buyers' income D. a decrease in the buyers' income D₂

Answers

Based on the information provided, if the curves represent an inferior good, the movement from point p1q2 to p3q1 in the figure could be explained by:

The correct option is C. an increase in buyers' income.

In the case of an inferior good, as buyers' income increases, the demand for the inferior good decreases. This would result in a leftward shift of the demand curve from D₁ to D₃, leading to a decrease in both price (from P₁ to P₃) and quantity (from Q₂ to Q₁).

Therefore, an increase in buyers' income is the most plausible explanation for the movement described in the diagram.

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Question 31 2 Suppose that Borinesville Bank has $500,000 in checking deposits. It also has 5410,000 out in Finally, the reserve requirement is 10% How much is the bank holding in total reserves? 5460,000 How much in required reserves? Select) How much in excess reserves? Select) Question 32 2 pts

Answers

The total reserves that the bank is holding can be calculated using the following formula;Total Reserves = Required Reserves + Excess ReservesThe given information that we have is:Checking deposits = $500,000Loans made = $410,000Reserve Requirement = 10%

Let's calculate the Required Reserves using the given formula;Required Reserves = Reserve Requirement x Checking DepositsRequired Reserves = 10% x $500,000Required Reserves = $50,000To calculate the excess reserves, we need to subtract the required reserves from the total reserves.Excess Reserves = Total Reserves - Required Reserves

Total Reserves = Checking Deposits - Loans MadeTotal Reserves = $500,000 - $410,000Total Reserves = $90,000So,Excess Reserves = Total Reserves - Required ReservesExcess Reserves = $90,000 - $50,000Excess Reserves = $40,000Hence, the bank is holding $90,000 in total reserves. The bank is holding $50,000 in required reserves and $40,000 in excess reserves.

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Using the following values, check to see if the data for a fictional country would satisfy each of the identities: GDP = $610 billion. Disposable Income - $610 billion Consumer Spending = $900 billion Net Investment = $60 billion. Gross Investment-$100 billion Savings = $290 billion Exports $80 billion Imports = $10 billion - Net Government Spending $70 billion Gross Government Spending - $100 billion Taxes $10 billion Transfer Payments = $30 billion Product-Expenditure Identity: Y-IM=C+I+G+ EX 60-76 = Sectorial Deficits Identity: (G-T+TP)+(1-5)+(EX-IM) = 0 Disposable Income Identity: YD=Y-T+TP =C+S Inflow-Outflow Identity: I+G+TP+ EX=S+T+IM -10

Answers

Product-Expenditure Identity:The product expenditure identity is given by: Y = C + I + G + NX, where Y is the aggregate output, C is the total consumer spending, I is the total investment spending, G is the total government spending, and NX is the total net export in a given economy.

We have,GDP = $610 billionDisposable Income = $610 billion Consumer Spending = $900 billionNet Investment = $60 billionGross Investment = $100 billionSavings = $290 billionExports = $80 billionImports = $10 billionNet Government Spending = $70 billionGross Government Spending = $100 billionTaxes = $10 billionTransfer Payments = $30 billionWe can put these values into the equation to get:Y = C + I + G + NX610 = 900 + 60 + (100 - 70) + (80 - 10)610 = 900 + 60 + 30 + 70The equation doesn't hold.

Therefore, it doesn't satisfy the product-expenditure identity. Sectorial Deficits Identity:It states that the deficit in one sector of the economy can be financed by surpluses in the other sector of the economy.

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Respond to the following in a minimum of 175 words:

Explain what is meant by the impairment of the value of property, plant, and equipment and intangible assets. How should these impairments be accounted for?

What is depreciation? Discuss the various depreciation methods. What is meant by the book value of an asset? Does the book value of an asset equate to its real value?

Should fixed assets be managed with the same vigor as inventory? Why? Why not?

What is an intangible Asset? What are some approaches to value an intangible asset?

Answers

Impairment of the value of property, plant, and equipment, and intangible assets refers to a decrease in the value of these assets.

This reduction in value occurs due to various factors, such as changes in the market, economic conditions, wear and tear, and the obsolescence of assets. These changes can negatively affect the value of these assets and can result in a reduction in their worth.

Accounting for impairment depends on the type of asset and the amount of impairment. If an asset is impaired, it should be recorded on the balance sheet as a loss. This loss should be equal to the difference between the carrying value of the asset and the fair value of the asset.

Depreciation refers to the systematic allocation of the cost of an asset over its useful life. It helps to spread the cost of an asset over its useful life and is usually recorded as an expense in the company's income statement. There are different methods of depreciation, including straight-line depreciation, accelerated depreciation, and unit-of-production depreciation.

The book value of an asset is the value of an asset as reported in the balance sheet. It is calculated as the difference between the cost of the asset and its accumulated depreciation. The book value does not necessarily equate to its real value because it is based on historical cost and not on the current market value of the asset.

Fixed assets should be managed with the same vigor as inventory because they represent a significant investment for a company. They are essential for the company's operations, and any issues related to their maintenance, repair, or replacement can significantly impact the company's profitability.

Intangible assets refer to assets that have no physical presence, such as patents, copyrights, and trademarks. The value of an intangible asset can be difficult to determine because it is not a physical asset. There are various approaches to valuing an intangible asset, including cost-based, market-based, and income-based methods. The approach used will depend on the type of asset and the company's circumstances.

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In producing Jelly beans, 4,700 pounds of direct materials were used at a cost of $2.50 per pound. The standard was 4,000 pounds at $2.75 per pound. What is the direct materials quantity variance? $1,925 Favorable $1,750 Favorable $1,925 Unfavorable $1,750 Unfavorable

Answers

In managerial accounting, the direct materials quantity variance is the difference between the number of direct materials that should have been used based on the number of products produced (according to the standard) and the actual number of direct materials used.

The difference between the standard cost of those direct materials and the actual cost of those direct materials is multiplied by the difference between the standard and actual quantity of direct materials to compute the direct materials quantity variance.

In this case, the standard cost of a single pound of direct materials is $2.75, while the actual cost is $2.50 per pound. Therefore, the standard cost is higher than the actual cost, resulting in a favorable cost variance.The actual amount of direct materials used was 4,700 pounds. However, the standard was set at 4,000 pounds. Therefore, the actual amount of direct materials used exceeded the standard amount by 700 pounds. Because the actual amount of direct materials used exceeds the standard amount, the variance is unfavorable (meaning higher costs than expected).

The formula for calculating the direct materials quantity variance is: Direct Materials Quantity Variance = (Standard Quantity − Actual Quantity) × Standard Price= (4,000 − 4,700) × $2.75 = $1,925 UnfavorableHence, the direct materials quantity variance is $1,925 Unfavorable.

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Other Questions
2) Suppose that two firms emit the same chemical pollutant when producing good X. The marginal cost of reducing pollution for each firm is as follows: MAC, = 30 + 32, and MAC= 15 + 92,, where Z is the amount of pollution reduction. The marginal social benefit (MSB) of total pollution reduction is MSB = 500 5(2, + Z.), where 2, +Z, represents the total level of pollution reduction (2). a) What is the total allocative efficient level of pollution reduction (Z)? Hint: Since the total allocative efficient level is the sum of Zand Zy, you have to find the numerical solutions for Z, and Z. In this case, remember that the following criterion has to be satisfied at the allocative efficient level of pollution: MAC, = MAC, = MSB. What you should do first is set MAC, MAC, (equimarginal principle) and solve for Z. If you do so, you will end up with an equation with Z, to left of the equal sign and Z, to the right of the equal sign. Then, plug in this equation for Z, in the MSB equation. If you do so, you will have MSB only as a function of Zy. After doing this, set MAC, = MSB. Since the only unknown variable will be Z you can find the numerical solution for Z. Once you have the solution for you can find Z. b) Show the pollution level that each firm abatements at the allocative efficient outcome on the same graph. Hint: The graph should look like Figure 4.6 on page 94 but with different numbers. MAC, on the left-hand side vertical axis and MAC, on the right-hand side vertical axis. Of the following gases, ______ will have the greatest rate of effusion at a given temperature. A) NH3. B) CH4. C) Ar. D) HBr. E) HCl. Suppose a 67-kg mountain climber has a 0.86 cm diameter nylon rope. Randomized Variables m= 67 kg d=0.86 cm l = 45 m 4 By how much does the mountain climber stretch her rope, in centimeters, when she hangs 45 m below a rock outcropping? 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There was no significant difference between groups (p= 0.49). d. There is not enough information to draw a conclusion. Oe. There was a marginally significant difference between groups (p = 0.049). Task 5A company imports kids toys and keep them in a central warehouse, from there they distribute them to retailers all around Norway. Last year the annual demand for the Monopoly game was 25000 pieces. The company purchases each game set for NOK 100. It costs NOK 2500 for order processing and transport, no matter how many games they order. The annual interest rate is 15%. Answer the following (you can use Excel worksheet that should be attached to your answer):a) Calculate EOQ and the total logistics costsb) What is the average capital tied up in inventory and the annual inventory turn-over rate if they order EOQ?c) The CFO of the company wants to reduce the tied-up capital by 25%, what will be the order size then? d) You are offered a discount of 2% by ordering 5000 items. Will you accept the offer? Write a method that is passed an array, x, of doubles and an integer rotation amount; n. The method creates a new array with the items of x moved forward by n positions. Elements that are rotated off the array will appear at the end. For example, suppose x contains the following items in sequence: 1234567 After rotating by 3, the elements in the new array will appear in this sequence: 4567123 Array x should be left unchanged by this method. Use the following code to help you get started. 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Altus Investment Ltd has just bought a bond with 10-year maturity and a face value of $100. The coupon rate is 6%, paid annually. Assume the required yield to maturity is 6%. A year later, Altus sold the bond when the yield to maturity is 5%. What is the return on this investment? The accompanying dataset provides data on monthly unemploymentrates for a certain region over four years. Compare 3- and12-month moving average forecasts using the MAD criterion. Which ofthe A Year B Month 1 2 2010 Jan 3 2010 Feb 4 2010 Mar 5 2010 Apr 6 2010 May 7 2010 Jun 8 2010 Jul 9 2010 Aug 10 2010 Sep 11 2010 Oct 12 2010 Nov 13 2010 Dec 14 2011 Jan 15 2011 Feb 16 2011 Mar 17 2011 Apr