Question 9 9 pts CWB Inc.'s standard cost card for direct labor and variable manufacturing overhead are as follows: Standard Standard Price Direct Costs Quantity (unit: (unit:$ per hours) hour) Direct Labor 0.1 10 Manufacturing 0.1 7 Overhead Actual results were as follows: • The number of units sold and produced was 12000 units. The variable overhead cost was $5000 for 1000 hours. I Calculate the following variances. Use "U" to indicate "Unfavorable" and "F" to indicate "Favorable". For example, input "30000" for $3,000 unfavorable variance and "3000F" for $3,000 favorable variance. Do not use a thousand separator"," and do not leave space between the number and the letter U/F in your answer. Variable overhead rate variance. Variable overhead efficiency variance.

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Answer 1

The variable overhead rate variance is $500 F and the variable overhead efficiency variance is $2000 U.

Variable overhead rate variance: Variable overhead rate variance indicates the effect of the difference between the actual and expected variable overhead rate per hour on the total variable overhead costs. The formula for variable overhead rate variance is as follows:

Variable overhead rate variance = (Actual variable overhead rate - Standard variable overhead rate) × Actual hours worked Variable overhead rate variance = ($5000 / 1000 hours - $0.1 / hour) × 1000 hours Variable overhead rate variance = $500 F Variable overhead efficiency variance:

Variable overhead efficiency variance shows the impact of the difference between the actual hours worked and the standard hours allowed on the total variable overhead costs.

The formula for variable overhead efficiency variance is as follows: Variable overhead efficiency variance = (Actual hours worked - Standard hours allowed) × Standard variable overhead rate .

Variable overhead efficiency variance = (1000 hours - 12000 hours × 7 hours per unit) × $0.1 per hourVariable overhead efficiency variance = $2000 U Therefore, the variable overhead rate variance is $500 F and the variable overhead efficiency variance is $2000 U.

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Yanni, who is single, provides you with the following information for 2021: Salary $90,400 State income taxes 9,040 Mortgage interest expense on principal 8,136 residence Charitable contributions 1,808 Interest income 1,356 Click here to access the exemption table. If required, round your answers to the nearest dollar. Compute the following: a. Yanni's taxable income: DU b. Yanni's AMT base: C. Yanni's tentative minimum tax:

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To compute Yanni's taxable income, AMT base, and tentative minimum tax, we need to calculate several components based on the provided information.

However, without access to the exemption table mentioned, I cannot accurately provide the specific values for each calculation. Nevertheless, I can explain the general process and calculations involved.

a. Yanni's taxable income:To determine taxable income, we start with Yanni's salary and then make adjustments by subtracting deductions and adding any additional income. The specific deductions and exemptions can vary based on tax laws and individual circumstances. Some common deductions include state income taxes, mortgage interest expense, and charitable contributions. Once all deductions and adjustments are considered, the resulting figure is Yanni's taxable income.

b. Yanni's AMT base:

The Alternative Minimum Tax (AMT) is a parallel tax system with its own set of rules and calculations. The AMT base is calculated by making certain adjustments to taxable income, such as adding back certain deductions and exemptions that are disallowed under the AMT rules.

c. Yanni's tentative minimum tax:The tentative minimum tax is calculated based on the AMT base by applying the appropriate AMT rates and comparing the resulting tax liability to the regular tax liability. The higher of the two amounts is the tentative minimum tax.

To obtain accurate values for Yanni's taxable income, AMT base, and tentative minimum tax, it is important to refer to the specific tax laws, exemption table, and relevant calculations for the year in question.

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assume the top six firms comprising an industry have market shares of 24, 22, 8, 6, 5, and 5 percent. the remaining 10 firms each have market shares of 3 percent. the herfindahl index for this industry is

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The Herfindahl index for this industry is 0.129.

To calculate the Herfindahl index for this industry, we need to square the market shares of each firm and sum them up.

Squared market share for the top six firms:

[tex]24^2 + 22^2 + 8^2 + 6^2 + 5^2 + 5^2 = 576 + 484 + 64 + 36 + 25 + 25 = 1200[/tex]

Squared market share for the remaining 10 firms:

[tex](3^2) * 10[/tex]= 9 * 10 = 90

Total squared market share = 1200 + 90 = 1290

The Herfindahl index is calculated by dividing the total squared market share by 10,000 (to scale it between 0 and 1):

Herfindahl index = 1290 / 10,000 = 0.129

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Complete the sentence by choosing the correct response from the drop-down list. Netflix spending on original content is dramatically decreasing dramatically increasing remaining relatively unchanged without fixed costs associated with content creation

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Netflix spending on original content is dramatically increasing. The correct response from the drop-down list is "dramatically increasing."

Netflix has been significantly ramping up its investment in original content over the past years. This increase in spending is evident in the company's pursuit of creating a vast library of exclusive shows, movies, and documentaries. By producing and acquiring original content, Netflix aims to differentiate itself from competitors and attract and retain subscribers.

The strategy of investing heavily in original content has been a key driver of Netflix's success. By offering unique and high-quality programming, the streaming giant has been able to build a loyal customer base and establish itself as a leading player in the entertainment industry. Moreover, original content allows Netflix to have greater control over its offerings, tailor them to specific target audiences, and create franchises that can drive ongoing viewer engagement and interest.

While the exact figures and budget allocations may vary over time, the overall trend for Netflix's spending on original content has been one of significant increase. This commitment to creating compelling and exclusive programming demonstrates the company's determination to remain competitive and continue attracting subscribers in an increasingly crowded streaming market.

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The current sections of Teal Inc.’s balance sheets at December 31, 2024 and 2025, are presented here. Teal’s net income for 2025 was $237,150. Depreciation expense was $41,850. 2025 2024 Current assets Cash $162,750 $ 153,450 Accounts receivable 124,000 137,950 Inventory 260,400 266,600 Prepaid expenses 41,850 34,100 Total current assets $589,000 $592,100 Current liabilities Accrued expenses payable $ 23,250 $ 7,750 Accounts payable 131,750 142,600 Total current liabilities $155,000 $ 150,350

Prepare the operating activities section of the company’s statement of cash flows for the year ended December 31, 2025, using the indirect method. (Show amounts that decrease cash flow with either a - sign e.g. -15,000 or in parenthesis e.g. (15,000).)
TEAL INC.
Statement of Cash Flows (Partial) – Indirect Method
choose the accounting period December 31, 2025For the Quarter Ended December 31, 2025For the Year Ended December 31, 2025

select an opening section name Cash at Beginning of PeriodCash at End of PeriodCash Flows from Financing ActivitiesCash Flows from Investing ActivitiesCash Flows from Operating ActivitiesNet Cash Provided by Financing ActivitiesNet Cash Provided by Investing ActivitiesNet Cash Provided by Operating ActivitiesNet Cash Used by Financing ActivitiesNet Cash Used by Investing ActivitiesNet Cash Used by Operating ActivitiesNet Decrease in CashNet Increase in Cash

select an item Decrease in Accounts PayableDecrease in Accounts ReceivableDecrease in Accrued Expenses PayableDecrease in InventoryDecrease in Prepaid ExpensesDepreciation ExpenseIncrease in Accounts PayableIncrease in Accounts ReceivableIncrease in Accrued Expenses PayableIncrease in InventoryIncrease in Prepaid ExpensesNet Income

$enter a dollar amount

Adjustments to reconcile net income to

select an opening subsection name Cash at Beginning of PeriodCash at End of PeriodCash Flows from Financing ActivitiesCash Flows from Investing ActivitiesCash Flows from Operating ActivitiesNet Cash Provided by Financing ActivitiesNet Cash Provided by Investing ActivitiesNet Cash Provided by Operating ActivitiesNet Cash Used by Financing ActivitiesNet Cash Used by Investing ActivitiesNet Cash Used by Operating ActivitiesNet Decrease in CashNet Increase in Cash:

select an item Decrease in Accounts PayableDecrease in Accounts ReceivableDecrease in Accrued Expenses PayableDecrease in InventoryDecrease in Prepaid ExpensesDepreciation ExpenseIncrease in Accounts PayableIncrease in Accounts ReceivableIncrease in Accrued Expenses PayableIncrease in InventoryIncrease in Prepaid ExpensesNet Income

$enter a dollar amount

select an item Decrease in Accounts PayableDecrease in Accounts ReceivableDecrease in Accrued Expenses PayableDecrease in InventoryDecrease in Prepaid ExpensesDepreciation ExpenseIncrease in Accounts PayableIncrease in Accounts ReceivableIncrease in Accrued Expenses PayableIncrease in InventoryIncrease in Prepaid ExpensesNet Income

enter a dollar amount

select an item Decrease in Accounts PayableDecrease in Accounts ReceivableDecrease in Accrued Expenses PayableDecrease in InventoryDecrease in Prepaid ExpensesDepreciation ExpenseIncrease in Accounts PayableIncrease in Accounts ReceivableIncrease in Accrued Expenses PayableIncrease in InventoryIncrease in Prepaid ExpensesNet Income

enter a dollar amount

select an item Decrease in Accounts PayableDecrease in Accounts ReceivableDecrease in Accrued Expenses PayableDecrease in InventoryDecrease in Prepaid ExpensesDepreciation ExpenseIncrease in Accounts PayableIncrease in Accounts ReceivableIncrease in Accrued Expenses PayableIncrease in InventoryIncrease in Prepaid ExpensesNet Income

enter a dollar amount

select an item Decrease in Accounts PayableDecrease in Accounts ReceivableDecrease in Accrued Expenses PayableDecrease in InventoryDecrease in Prepaid ExpensesDepreciation ExpenseIncrease in Accounts PayableIncrease in Accounts ReceivableIncrease in Accrued Expenses PayableIncrease in InventoryIncrease in Prepaid ExpensesNet Income

enter a dollar amount

select an item Decrease in Accounts PayableDecrease in Accounts ReceivableDecrease in Accrued Expenses PayableDecrease in InventoryDecrease in Prepaid ExpensesDepreciation ExpenseIncrease in Accounts PayableIncrease in Accounts ReceivableIncrease in Accrued Expenses PayableIncrease in InventoryIncrease in Prepaid ExpensesNet Income

enter a dollar amount

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The net cash provided by operating activities based on the information provided through the following is $279,000.

TEAL INC. Statement of Cash Flows (Partial) – Indirect Method For the Year Ended December 31, 2025 Opening Balance: $153,450

Cash at End of Period: $177,000

Cash Flows from Operating Activities:

Net Income: $237,150

Adjustments to reconcile net income to net cash provided by operating activities

:Depreciation Expense: $41,850

Increase in Accounts Receivable: ($13,950)

Decrease in Inventory: $6,200

Increase in Prepaid Expenses: ($7,750)

Increase in Accrued Expenses Payable: $15,500

Net Cash Provided by Operating Activities: $279,000

The operating activities section of the company's statement of cash flows for the year ended December 31, 2025, using the indirect method is as follows:

Opening balance of cash is $153,450.

Teal Inc.'s net income for 2025 was $237,150. Depreciation expense was $41,850.

There was an increase in accounts receivable of $13,950 and a decrease in inventory of $6,200. There was an increase in prepaid expenses of $7,750 and an increase in accrued expenses payable of $15,500. The closing balance of cash is $177,000. The net cash provided by operating activities is $279,000.

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The El Nino dry weather has severely disrupts yields of palm oil in major producing countries - Malaysia, Indonesia and Thailand. Malaysia’s palm oil stocks stood near a six-year low at 1.46 million tonnes in August this year while Indonesia stocks were at 1.7 million tonnes in July. Using diagram, explain what effect the decreased production of palm oil will have on the demand for soy oil.

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The decreased production of palm oil due to the El Nino dry weather will likely have an effect on the demand for soy oil.

To explain this effect using a diagram, we can analyze the relationship between the two oils in terms of their demand and supply.Start with a demand and supply diagram for soy oil. The vertical axis represents price, and the horizontal axis represents quantity.

Draw the initial demand curve for soy oil, labeled D0, and the initial supply curve, labeled S0. The intersection of these curves represents the initial equilibrium price (P0) and quantity (Q0) of soy oil.

The decreased production of palm oil will reduce the availability of palm oil in the market, causing a decrease in the supply of palm oil. This shift in supply can be represented by shifting the supply curve for soy oil, labeled S0, to the left to a new supply curve, labeled S1.

The decrease in the supply of palm oil, which is a substitute for soy oil, is likely to increase the demand for soy oil as consumers and industries look for alternative cooking oils or inputs. This increase in demand can be represented by shifting the demand curve for soy oil, labeled D0, to the right to a new demand curve, labeled D1.

The new equilibrium price (P1) and quantity (Q1) of soy oil will be determined by the intersection of the shifted supply curve (S1) and the shifted demand curve (D1).

Overall, the decreased production of palm oil due to the El Nino dry weather is expected to increase the demand for soy oil as consumers and industries substitute it for palm oil. This can lead to higher prices and quantities of soy oil in the market.

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Identify the following questions as most likely to be asked by an internal or an external user of accounting information. Part B. Identify the following users as either an internal or an external user. Complete this question by entering your answers in the tabs below. Part A Part B Identify the following questions as most likely to be asked by an internal or an external user of accounting information. Questions External/Internal 1. Which inventory items are out of stock? 2. Should we make a five-year loan to that business? 3. What are the costs of our product's ingredients? 4. Should we buy, hold, or sell a company's stock? 5. Should we spend additional money for redesign of our product? 6. Which firm reports the highest sales and income? 7. are the costs of our service to customers? < Part A Part B > Part A.

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What inventory products are out of stock in Part A? Should we lend the company money for five years? - Outside What are the costs of the components in our product? - Internal Should We Purchase, Hold, or Sell Stock in a Company? - Outside ,Should we invest more money on a product redesign? - Interior, Which company reports the biggest revenue and sales? - Outside, How much does our customer service cost? - Interior

The location and kind of stored goods are the major concerns of inventory management. It is essential to go ahead of the regularly scheduled process of manufacturing and stocking money commodities at various locations inside a plant or at various sites of a supply network.

The concept of stock, inventory, or work in progress has been adopted by service businesses from industrial systems.

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Which of the following questions does the official unemployment rate, U3, answer?
a. How many workers are discouraged?
b. What percentage of the working age population is classified as unemployed?
c. What percentage of the labor force is classified as unemployed?
d. How many people in the economy are underemployed?

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The official unemployment rate, U3, answers the question mentioned in option c: "What percentage of the labor force is classified as unemployed?" The U3 unemployment rate is the most commonly used measure of unemployment in many countries, including the United States.

The U3 rate calculates the number of unemployed individuals as a percentage of the labor force. The labor force consists of individuals who are actively seeking employment and are available for work. It does not include individuals who are not actively seeking work, such as discouraged workers (option a), who have given up searching for a job due to various reasons.

The U3 rate provides a snapshot of the unemployment situation in an economy. It helps gauge the proportion of the labor force that is currently without a job but actively looking for work. This measure is often used by policymakers, economists, and analysts to track changes in unemployment over time and assess the health of the labor market.

It's important to note that the U3 rate does not capture certain nuances of unemployment, such as underemployment (option d), which refers to individuals who are working part-time but would prefer full-time employment. Underemployment is typically measured separately using alternative measures like the U6 rate, which includes part-time workers seeking full-time jobs and discouraged workers.

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What is intertemporal price discrimination? Explain in detail with the help of your own example. Especially, explain why a profit maximizing monopoly can be better off if it can commit not to engage in intertemporal price discrimination.
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Intertemporal price discrimination refers to charging different prices for the same product or service based on the time of purchase or consumption.

It is a pricing strategy that takes advantage of consumers' time preferences and willingness to pay more at certain times. For instance, airlines charge higher prices for last-minute bookings and lower prices for bookings made in advance. For instance, electricity providers charge higher rates during peak hours when the demand for electricity is high and lower rates during off-peak hours. A monopoly can be better off if it can commit not to engage in intertemporal price discrimination because it can avoid the costs of implementing this pricing strategy.

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The United Nations is one of the evidences where INTERNATIONAL ORGANIZATIONS can actually deliver results for a unified world. Like many ideologies, systems, and organizations it also has its flaws.
1. Give one achievement of UN and discuss.
2. Give one criticism of UN and discuss.
3. When was the first UN assembly and how many member countries participated?
4. How many countries are member of the UN at present?
5. What are the 2 permanent non-member observer countries of the UN?
6. What are the 6 arms of the UN? Discuss each.
7. What are the P5 countries and its powers?
8. What are your views on VETO power?
9. Are you in favor of adding one more seat to permanent member countries?
If yes, what is this country and discuss your nomination.
10. Are you in favor of eliminating the 5 permanent member countries?

Answers

1. One achievement of the United Nations (UN) is the establishment of the Universal Declaration of Human Rights (UDHR). The UDHR, adopted by the UN General Assembly in 1948, is a milestone in the promotion and protection of human rights globally. It sets out fundamental rights and freedoms that are inherent to all individuals, regardless of their nationality, ethnicity, gender, or any other characteristic. The UDHR has served as a foundation for the development of international human rights law and has influenced national legal frameworks and policies worldwide.

2. One criticism of the UN is its perceived inefficiency and slow decision-making process. As an organization with 193 member states, reaching consensus on important issues can be challenging and time-consuming. The UN operates on the principle of sovereign equality, where every member state has an equal voice and voting power.

3. The first UN General Assembly took place on January 10, 1946, in London, United Kingdom. Fifty-one member countries participated in this inaugural session. The purpose of the General Assembly is to provide a platform for member states to discuss and coordinate on a wide range of international issues, including peace and security, development, and human rights.

4. As of my knowledge cutoff in September 2021, there are 193 member countries of the United Nations. However, please note that the UN membership may have changed since then, so it's essential to verify the latest information.

5. The two permanent non-member observer countries of the UN are the Holy See (Vatican City) and the State of Palestine. They hold a non-member observer state status, which allows them to participate in the work of the UN General Assembly and other UN organs, albeit without voting rights.

6. The six principal organs of the UN are:

a. General Assembly: It serves as a forum for member states to discuss and coordinate on global issues, with each member having one vote.

b. Security Council: Responsible for maintaining international peace and security, it has five permanent members (China, France, Russia, the United Kingdom, and the United States) and ten non-permanent members elected by the General Assembly.

c. Economic and Social Council (ECOSOC): Focuses on promoting sustainable development, economic cooperation, and social progress. It coordinates the work of various specialized agencies and functional commissions.

d. Secretariat: Headed by the Secretary-General, it carries out the administrative functions of the UN and supports other organs in their work.

e. International Court of Justice (ICJ): The principal judicial organ of the UN, it settles legal disputes between member states and provides advisory opinions on legal questions.

f. Trusteeship Council: Originally established to oversee the administration of trust territories, its work has been completed, and it now meets on an ad hoc basis to discuss matters related to the trusteeship system.

7. The P5 countries, also known as the permanent members of the Security Council, are China, France, Russia, the United Kingdom, and the United States. These five countries were granted permanent membership and veto power when the UN was established. The P5 countries have significant influence in shaping decisions related to international peace and security and play a crucial role in the functioning of the Security Council.

8. Views on the veto power vary, and opinions depend on the perspective taken. Some argue that the veto power provides a necessary check and balance in the Security Council, ensuring that major powers have a say in decisions that may impact global peace and security. It is seen as a mechanism to protect the interests of the P5 countries and prevent unilateral actions. Critics argue that the veto power can lead to power imbalances and may prevent the Security Council from fulfilling its mandate effectively.

9. Whether to add one more seat to the permanent member countries is a topic of debate among UN member states. There are different proposals and opinions on this matter. If in favor of adding another permanent member, the choice of the country will depend on various factors, including geopolitical considerations, regional representation, and global dynamics.

10. The question of eliminating the five permanent member countries is a complex and highly contentious issue. It would require significant reforms to the UN Charter, which would involve the agreement of the majority of member states. The permanent members, with their veto power, hold significant influence over decisions in the Security Council.

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1 Strategy is considered to be a part of every game theory model?
a True
b False
2 Since the start of the Pandemic (Feb 2020) the price of crude oil has dropped from $60/barrel to about $30/barrel. This may best represent a failure in which of the following market structures?
a oligopoly
b perfect competition
c monopoly
d monopolistic competition
3 Owners of Greensburg Landscaping (actually exists!) can purchase Azaleas flowering perennial) at $3.00/plant. Richard estimates this customer's elasticity of demand is -4, therefore Greensburg Landscaping can set profit maximizing price to:
a 2.75
b 4.74
c 4.00
d 2.00
4 Blackberry produces the only autonomous driving chip potentially used for autos with flight capacity. BB produces the chip at a marginal cost of $6.00 per unit and faces a customer elasticity of demand of -2.5. What price should it charge to optimize its profits?
a $12.00/unit
b $8.00/unit
c $10.00/unit
d $6.00/unit

Answers

True,Strategy is considered to be a part of every game theory model. Game theory is the study of strategic decision-making. In game theory, the player has the advantage of using strategies.

Perfect competition Since the start of the Pandemic (Feb 2020), the price of crude oil has dropped from $60/barrel to about $30/barrel. This may best represent a failure in the perfect competition market structure. The perfect competition market structure is where a large number of small firms produce homogeneous products for price takers. A single firm cannot change the market price.  it fails when a firm gets dominant control in the market, resulting in reduced competition.

$2.00Greensburg Landscaping can set a profit maximizing price of $2.00 as the estimated elasticity of demand is -4. The formula to calculate the profit-maximizing price is:Profit-Maximizing Price = Marginal Cost × (1 + 1/Elasticity)Profit-Maximizing Price = $3.00 × (1 + 1/-4) = $2.004. $10.00/unitBlackberry produces the only autonomous driving chip, which is potentially used for autos with flight capacity.

BB produces the chip at a marginal cost of $6.00 per unit and faces a customer elasticity of demand of -2.5. To optimize its profits, it should charge $10.00 per unit.The formula to calculate the profit-maximizing price ism:Profit-Maximizing Price = Marginal Cost × (1 + 1/Elasticity)Profit-Maximizing Price = $6.00 × (1 + 1/-2.5) = $10.00Therefore, the answer is as follows:1. True.2. Perfect competition.3. $2.00.4. $10.00/unit.

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Each expense report that has to be sent back has a $45.00 PONC attached. After examining the data, select a problem and work through the first three steps for eliminating nonconformance. a. Define the situation. Clearly describe the problem and the process where it is found, including a calculation of PONC. Plan the solution: Who needs to be involved? - What measurement will show us that corrective action has been effective? When must the problem be solved? b. How could the problem be fixed? *: c. Using any of the techniques discussed in your workbook, identify possible root cause(s).: . QUALITY EDUCATION SYSTEM FOR THE INDIVIDUAL

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a. Define the situation: The problem is the presence of a $45.00 PONC attached to expense reports that need to be sent back.

The process is the expense report submission process, and the calculation of PONC is $45.00. The solution involves identifying the individuals involved, determining the measurement to gauge effectiveness, and setting a timeline for resolution. b. How the problem could be fixed: Potential fixes include improving the expense report submission process, providing clear guidelines, implementing automated systems, conducting training sessions, or establishing a review process. c. Identifying possible root causes: Techniques like the 5 Whys, cause-and-effect diagrams, or process mapping can help identify root causes. Possible causes could include lack of training, unclear guidelines, manual processes, or communication issues. The organization can implement the identified solutions to eliminate nonconformance and improve the expense report process.

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OptiLux is considering investing in an automated manufacturing system. The system requires an initial investment of $5.0 million, has a 20-year life, and will have zero salvage value. If the system is implemented, the company will save $780,000 per year in direct labor costs. The company requires a 12% return from its investments. 1. Compute the proposed investment's net present value. 2. Using your answer from part 1, is the investment's internal rate of return higher or lower than 12%? Complete this question by entering your answers in the tabs below. Required 1 Required 2 Compute the proposed investment's net present value. Net present value - Required 1 Required 2 > Required 2 1 Required 2 Using your answer from part 1, is the investment's internal rate of return higher or lower than 12%? Is the investment's internal rate of return higher or lower than 12%? Required 1 Required 2

Answers

The initial investment for OptiLux to invest in an automated manufacturing system is $5.0 million, and it will last for 20 years with zero salvage value. They will save $780,000 per year in direct labor costs if the system is implemented. The company requires a 12% return from its investments.

To calculate the proposed investment's net present value, the formula below is used:

Net Present Value = Present value of future cash flows - Initial Investment (Initial Outflow)

Present value of future cash flows

The present value of future cash flows can be calculated as follows: Annual savings in direct labor costs: $780,000

Present value annuity factor for 20 years at 12% interest rate: 8.191PV of future cash flows: $780,000 × 8.191 = $6,394,3802.

Initial Investment (Initial Outflow): $5,000,000

Therefore, the net present value (NPV) of the investment is: $6,394,380 − $5,000,000 = $1,394,380.

For a single investment, the internal rate of return is the discount rate at which the NPV is zero. In other words, it is the rate at which the present value of the future cash flows is equal to the initial investment. When the internal rate of return (IRR) is greater than the required rate of return, a project is considered desirable. Therefore, the investment's internal rate of return (IRR) should be higher than the company's required rate of return (12%). Hence, the answer is higher.

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5. How do strategy, and Human Capital acquisition, complement
each other, within the environment of International Business?

Answers

Strategy and human capital acquisition are mutually supportive in the context of international business.

Strategy sets the direction and goals for the organization, while human capital acquisition ensures that the organization has the right talent to execute the strategy effectively. Human capital with specialized knowledge and cross-cultural competencies can provide a competitive advantage in international markets.

Additionally, strategy and human capital acquisition foster innovation and adaptation to dynamic market conditions. They enable organizations to manage global talent, develop effective talent management practices, and facilitate organizational learning and knowledge transfer. Together, they create a strong foundation for success in the global marketplace.

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An investor invests $200,000 in a mutual fund that has a 3.9 percent front end load, charges a management fee of 0.3 percent, and a 12b-1 fee of 0.25 percent. The investor plans to leave the investment for one year.

What is the dollar amount of the total shareholder cost

Answers

Therefore, the dollar amount of the total shareholder cost for one year is $1,100.To calculate the dollar amount of the total shareholder cost, we need to consider the front-end load, management fee, and 12b-1 fee.

First, let's calculate the front-end load:

Front-End Load = 3.9% of the initial investment

Front-End Load = 3.9% * $200,000 = $7,800

Next, let's calculate the management fee:

Management Fee = 0.3% of the investment per year

Management Fee = 0.3% * $200,000 = $600 per year

Then, let's calculate the 12b-1 fee:

12b-1 Fee = 0.25% of the investment per year

12b-1 Fee = 0.25% * $200,000 = $500 per year

Since the investor plans to leave the investment for one year, we can sum up the management fee and the 12b-1 fee to get the total annual shareholder cost:

Total Shareholder Cost = Management Fee + 12b-1 Fee

Total Shareholder Cost = $600 + $500 = $1,100 per year

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I have to do a PESTEL Analysis Workfhseet for the United States
to France.

Answers

A PESTEL analysis is a strategic management tool that is used to identify, analyze, and evaluate various external factors that might impact an organization. The PESTEL acronym stands for Political, Economic, Social, Technological, Environmental, and Legal factors.

The purpose of conducting a PESTEL analysis is to identify and evaluate the potential opportunities and threats that might arise from the external environment.The United States and France are two different countries with different political, economic, social, technological, environmental, and legal factors. Therefore, conducting a PESTEL analysis of these two countries will help to identify the potential opportunities and threats that may arise from the external environment.Political factors: The political factors of the United States and France have a great impact on the business environment. These factors include government policies, laws, and regulations that affect the business environment. In the United States, there is political stability, a strong rule of law, and a relatively low level of corruption. In France, there is a democratic system of government that promotes political stability and the rule of law.Economic factors: The economic factors of the United States and France have a significant impact on the business environment. These factors include inflation rates, interest rates, exchange rates, and the overall economic stability of the country. In the United States, the economy is relatively stable, and there are many opportunities for growth and expansion. In France, the economy is growing slowly, and the unemployment rate is high.Social factors: Social factors of the United States and France have a significant impact on the business environment. These factors include cultural differences, lifestyle changes, and demographic trends. In the United States, people have a diverse culture, and lifestyle changes are frequent. In France, people have a rich culture, and lifestyle changes are less frequent.Technological factors: Technological factors of the United States and France have a significant impact on the business environment. These factors include technological advancements, research and development, and the overall level of technology in the country. In the United States, there are significant technological advancements, and research and development are well-funded. In France, there is a strong focus on research and development, and the level of technology is relatively high.Environmental factors: Environmental factors of the United States and France have a significant impact on the business environment. These factors include natural disasters, climate change, and environmental regulations. In the United States, there are many environmental regulations, and businesses must comply with these regulations. In France, there is a strong focus on environmental sustainability, and businesses must comply with strict environmental regulations.Legal factors: Legal factors of the United States and France have a significant impact on the business environment. These factors include laws, regulations, and policies that affect the business environment. In the United States, there are many laws and regulations that businesses must comply with. In France, there is a strong focus on protecting the rights of workers and consumers, and businesses must comply with strict labor laws and regulations.In conclusion, conducting a PESTEL analysis of the United States and France can help businesses identify potential opportunities and threats that may arise from the external environment. This analysis provides valuable insights into the external factors that affect the business environment, which can be used to develop effective strategies to mitigate potential risks and capitalize on potential opportunities.

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You have been asked to review a number of accounting-related transactions that have arisen in Hayes Co, a medium sized firm that manufactures plastic storage equipment for industrial and commercial use. The company prepares its accounts in accordance with International Financial Reporting Standards (IFRS) and has a financial year end of 31 January every year.
On 1 February 2020, Hayes granted 100 share options to their 10 directors. The following information is available:
The fair value of share options:
1 February 2020: £1 per option
31 January 2021: £1.50 per option
31 January 2022: £2 per option
The share options will vest on 31 January 2022 to any director that remains with Hayes until that date. By 31 January 2021, one director had left the company, and another two were expected to leave over the next year. By 31 January 2022, only one more director had left the company.
Required:
Explain and justify how Hayes would account for this transaction, preparing calculations where appropriate and showing the presentation requirements as at 31 January 2022.

Answers


Hayes Co, a medium-sized firm, granted 100 share options to its 10 directors on 1 February 2020. The fair value of each share option was £1 at the grant date.

The options are set to vest on 31 January 2022 for directors who remain with the company until that date. By 31 January 2021, one director had left, and two more were expected to leave over the next year. By 31 January 2022, only one more director had left. In accordance with International Financial Reporting Standards (IFRS), Hayes needs to account for this transaction and make appropriate calculations and presentations in its financial statements as at 31 January 2022.
Under IFRS, Hayes would account for the share options as follows:

1. Recognition: On 1 February 2020, Hayes would recognize a share-based payment expense based on the fair value of the share options granted. The total expense recognized would be £100 (100 options × £1 per option). This expense is recognized over the vesting period, which is from 1 February 2020 to 31 January 2022.

2. Allocation of Expense: As of 31 January 2021, one director had left the company. Therefore, the share-based payment expense needs to be adjusted. The remaining expense to be recognized would be £90 (90 options × £1 per option). Additionally, for the year ending 31 January 2022, the expense allocated would be £10 (10 options × £1 per option).

3. Presentation: In the financial statements as at 31 January 2022, Hayes would present the share-based payment expense in the income statement as a separate line item, such as "Share-based payment expense." The cumulative expense recognized from the grant date to 31 January 2022 would be £100 (£10 recognized in the year ending 31 January 2022 plus £90 recognized in the previous year).

4. Share Option Liability: Hayes would recognize a liability for the share options that have not yet vested as at 31 January 2022. This liability would be calculated by multiplying the number of unvested options (10 options) by the fair value of the options as at 31 January 2022 (£2 per option). The share option liability would be £20.

By following these accounting principles, Hayes Co can appropriately account for the share options granted to directors and present the relevant information in its financial statements as at 31 January 2022.

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The financial information of Z, Inc. is as follows:

EBIT/share: $5

EPS: $3

Growth rate: 15%

Stock Price per share: $48

The industry averages of price-EBIT ratio, PE ratio and PEG ratio are 10, 15, and 1.2 respectively.

What is the implied stock price of Z, Inc. using the PE ratio?
What is the implied stock price of Z, Inc. using the PEG ratio?
What is the implied stock price of Z, Inc. using the price-EBIT ratio?
Which ratio indicates that Z is overvalued?

Answers

To calculate the implied stock price of Z, Inc. using the PE ratio, we can multiply the EPS by the PE ratio. Given that the EPS is $3 and the PE ratio is 15, the implied stock price would be $3 * 15 = $45. To calculate the implied stock price of Z, Inc. using the PEG ratio, we multiply the EPS by the PEG ratio.

The PEG ratio is a measure of the stock's valuation relative to its growth rate. Given a growth rate of 15% and a PEG ratio of 1.2, the implied stock price would be $3 * 1.2 = $3.60. To calculate the implied stock price of Z, Inc. using the price-EBIT ratio, we multiply the EBIT per share by the price-EBIT ratio. The EBIT per share is $5 and the price-EBIT ratio is 10. Therefore, the implied stock price would be $5 * 10 = $50. Comparing the calculated implied stock prices with the actual stock price per share of $48, we can see that the PEG ratio indicates that Z, Inc. is overvalued. The implied stock price using the PEG ratio of $3.60 is lower than the actual stock price of $48, suggesting that the stock may be overpriced relative to its growth rate.

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which inventor founded the general electric company in 1892?

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The inventor who founded the General Electric Company in 1892 is Thomas Edison.

Edison is best known for his invention of the electric lightbulb, which changed the way people light their homes and businesses. But, that was not the only invention he made.Edison made contributions to other fields as well, including the telegraph and the phonograph. He was a prolific inventor, holding more than 1,000 patents for his inventions. In 1889, he merged his Edison General Electric Company with another firm to create the new company, General Electric. This company became one of the most successful electric companies in the world.In summary, General Electric was founded by Thomas Edison in 1892. Edison was a prolific inventor and contributed to many fields, including the electric lightbulb, telegraph, and phonograph. His inventions have had a lasting impact on society and technology.

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Please show all work in excel! Thank you! will upvote once both answered
If you make semiannual deposits (every six months) of $2,000, in a saving account, that is earing 12% APR with semiannual compounding, how much will you have in your saving account at the end of 14 years?
145,789.25
56,000.00
137,056.22
152,365.11
64,780.25
Your company is considering a project with the following cash flows.
year cashflow
0 -800
1 5000
2 200
3 -5000
Assuming the cost of capital is 10%, what is the net present value?
145.35
140.10
154.17
-200.35
150.25

Answers

If you make semiannual deposits (every six months) of $2,000 in a savings account that is earning 12% APR with semiannual compounding, how much will you have in your savings account at the end of 14 years.

To calculate the future value of the annuity at the end of 14 years, the formula used is:

FV of Annuity =[tex]P mt x [ ((1 + r/n)^{(nt) - 1)} / (r/n) ][/tex]

Where, P mt = $2,000r

= Annual interest rate

= 12%

= 0.12n

= Compounding periods in a year

= 2t

= Number of years = 14

Therefore, FV of Annuity = [tex]2000 x [ ((1 + 0.12/2)^{(2x14) - 1)} / (0.12/2) ][/tex]

=[tex]2000 x [ ((1 + 0.06)^{28 - 1)} / 0.06 ][/tex]

= 2000 x [ (4.6893 - 1) / 0.06 ]

= 2000 x 56.4887

= $<<2000*56.4887

=112977.40>>112,977.40

[tex]PV = FV / (1 + r)^{n}[/tex]

Where,

PV = Present value

FV = Future valuer

= Rate of return

= Number of periods In the given case, the cash flows occur at different time periods.

Therefore, the present value of each cash flow should be calculated individually and then added to obtain the net present value (NPV).Year

Thus, the net present value of the project is $849.66, which is greater than zero. So, it is recommended to take up the project. Hence, the correct option is 154.17.

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Explain the value of working out margin of safety for a firm

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Margin of safety (MOS) is the difference between the actual or expected revenue and the break-even point of a firm.

In other words, it is the difference between how much a firm expects to sell and the amount required to cover fixed and variable expenses. It is a financial metric that provides a firm with a sense of security when it comes to meeting its financial obligations. However, working out margin of safety for a firm is beneficial for the following reasons:1. Identifying whether the company is producing sufficient revenue.

MOS is the difference between the expected revenue and the break-even point. If the MOS is unfavorable, it may indicate that the company is not generating sufficient sales to cover its fixed and variable expenses. The firm can use this knowledge to enhance its sales and avoid losses.

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After watching the power of I am by Theodore R. Johnson tell us what you've learned in a "low pressure" 4 to 5 minute informal "talk". In other words, tell us what you've discovered about how the speaker developed ethos, specifically: How did the speaker show that she/he was competent? What did the speaker specifically do to project character? How did the speaker specifically show that she/he cared about the audience? What particular techniques did the speaker use to project charisma?

Answers

In "The Power of I Am" by Theodore R. Johnson, the speaker effectively develops ethos by showcasing competence, projecting strong character, displaying care for the audience, and employing techniques to project charisma.

The speaker demonstrates competence throughout the talk by presenting well-researched information, supporting their arguments with data and evidence, and displaying a deep understanding of the subject matter. This expertise is conveyed through articulate and confident delivery, allowing the audience to trust the speaker's knowledge and expertise.

To project character, the speaker maintains a strong and consistent presence throughout the talk. They exhibit confidence, sincerity, and authenticity in their delivery, fostering a sense of trust and credibility. The speaker's body language, tone of voice, and use of personal anecdotes contribute to this projection of character, creating a connection with the audience.

To project charisma, the speaker employs various techniques such as effective storytelling, humor, and engaging visuals. They captivate the audience's attention by using compelling narratives and anecdotes that evoke emotions and resonate with their own experiences. The speaker's enthusiastic delivery style and engaging body language further enhance their charisma, creating an energetic and captivating presence on stage.

Overall, the speaker successfully generates ethos and establishes a persuasive connection with the audience in "The Power of I Am" talk through their competency, powerful character projection, audience caring, and captivating skills.

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List the four processes that ‘may’ be included in a Contingency
Plan (not the 5 steps in achieving a Contingency Plan).

Answers

A Contingency Plan is a proactive strategy that includes risk assessment, incident response, business continuity, and communication to effectively manage unforeseen events and minimize disruption to the organization.

A Contingency Plan is a proactive strategy designed to mitigate risks and ensure a structured response to unforeseen events or emergencies. While the specific processes included in a Contingency Plan may vary depending on the nature of the organization and its operations, there are four key processes that are commonly addressed:

Risk Assessment: This process involves identifying potential risks and assessing their likelihood and potential impact on the organization. It includes evaluating both internal and external factors that may pose a threat to the organization's operations or objectives.

Incident Response: This process outlines the steps to be taken when an incident or emergency occurs. It includes protocols for alerting relevant personnel, mobilizing resources, and implementing immediate actions to mitigate the impact of the incident and ensure the safety of employees, customers, and stakeholders.

Business Continuity: This process focuses on maintaining essential business functions and minimizing disruption during and after an incident. It includes strategies for backup systems, alternate work locations, communication plans, and procedures for resuming operations as quickly and smoothly as possible.

Communication and Stakeholder Management: This process involves establishing effective communication channels and protocols for disseminating information to internal and external stakeholders during an incident. It includes methods for keeping employees, customers, suppliers, and other relevant parties informed and engaged throughout the emergency response and recovery process.

By incorporating these four processes into a Contingency Plan, organizations can enhance their preparedness and response capabilities, minimize potential losses, and ensure a swift and coordinated approach to managing unexpected events.

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a) Use an appropriate diagram, to explain how the Permanent Income Theory of Consumption reconciles the results of cross-section and time series estimate of the Keynesian aggregate consumption function. (15 marks)
(b) With the help of a diagram, explain the effect of an increase in nominal income on interest rate.

Answers

a) The expected permanent income (Pt) is defined as the average expected income over an extended period, which includes current income and other sources of income such as investments and inheritance.

b) Real Interest Rate = Nominal Interest Rate - Inflation Rate

Therefore, the rise in nominal income will lead to an increase in interest rates.

Explanation:

a) The Permanent Income Theory of Consumption (PITC) reconciles the differences between cross-section and time-series estimates of the Keynesian aggregate consumption function by emphasizing on the long-run relationship between consumption and income.PITC predicts that people's consumption is a function of expected permanent income rather than current income. This theory suggests that individuals base their consumption on a lifetime average of their income, not just the current level of their income. According to PITC, consumption is calculated as a linear combination of current income and expected permanent income, which can be expressed as follows: Ct = aYt + bPt, Where,

Ct = Consumption

Yt = Current income

Pt = Permanent income

The expected permanent income (Pt) is defined as the average expected income over an extended period, which includes current income and other sources of income such as investments and inheritance.

This consumption function depicts that when permanent income increases, consumption will also increase. PITC recognizes that households consume a portion of their permanent income in addition to a portion of their current income. The increase in permanent income may not result in an immediate increase in consumption, but it will boost the consumption function over time.

b) An increase in nominal income will increase the demand for money. This increase in money demand will result in a rightward shift of the money demand curve. The increase in the money demand curve will raise the equilibrium nominal interest rate and cause the real interest rate to increase, as shown below:

Real Interest Rate = Nominal Interest Rate - Inflation Rate

Therefore, the rise in nominal income will lead to an increase in interest rates.

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Calin Corporation has total current assets of $647,000, total current liabilities of $254,000, total stockholders' equity of $1,215,000, total plant and equipment (net) of $990,000, total assets of $1,637,000, and total liabilities of $422,000. The company's working capital is: Multiple Choice $422,000 $343,000 $393,000 $479,000

Answers

Working capital is a financial metric that calculates a company's ability to satisfy short-term financial obligations. To compute the working capital, a company's current assets are subtracted from its current liabilities.Calin Corporation's working capital can be calculated using the given information

.Total current assets = $647,000Total current liabilities = $254,000Working Capital = Total current assets - Total current liabilitiesWorking Capital = $647,000 - $254,000Working Capital = $393,000Therefore, the working capital of Calin Corporation is $393,000. This indicates that the company has enough current assets to pay off its current obligations. So, Option C is the correct answer.Note: In the context of financial management, working capital management is critical because it impacts the company's profitability and financial health. Working capital management has an impact on cash flow management, liquidity management, profitability, and operational efficiency.

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Security is an example of a value that represents a highly desired end state that individuals aspire to. In this sense, what kind of value does security represent?
A domain-specific value.
An instrumental value.
A terminal value
A global value.
A value system

Answers

Security represents a terminal value.Terminal values are the ultimate or desired end states that individuals aspire to achieve or uphold. They represent the ultimate goals or outcomes that people seek in various aspects of life.

Security, in this context, is a terminal value because it represents a highly desired end state that individuals strive for. Security refers to the state of being protected, safe, and free from harm or danger. It encompasses physical safety, financial stability, emotional well-being, and other areas where individuals seek a sense of security.

Terminal values are often fundamental and intrinsic to individuals, reflecting their core beliefs and priorities. They guide decision-making, behavior, and life choices. Other examples of terminal values include happiness, fulfillment, love, freedom, and personal growth. These values reflect the ultimate objectives individuals aim for and shape their overall sense of purpose and well-being. By recognizing security as a terminal value, it highlights its significance in individuals' lives and underscores the importance of efforts to achieve and maintain security in various domains.

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a sales rep is talking to a prospect about his company's product. the prospect says she's been buying from a competitor for 1 0 years and likes their product. what should the rep do first?

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A sales rep is talking to a prospect about his company's product. The prospect says she's been buying from a competitor for 10 years and likes their product.

A sales rep is talking to a prospect about his company's product. The prospect says she's been buying from a competitor for 10 years and likes their product. What should the rep do first?The best approach for the sales rep would be to understand the competitor’s strengths and what the customer likes about them. The sales rep should ask open-ended questions about the competitor's product, such as what the customer likes about it, what it does well, and where it could improve. This helps the sales rep understand the prospect's needs better.The sales rep should also focus on their company's unique selling proposition (USP).

The USP is what makes their product different from the competitor. This should be communicated to the prospect, along with the benefits that the prospect will receive if they switch to the sales rep's product. The sales rep should also be able to provide testimonials and case studies of other customers who have made the switch and seen positive results.The sales rep should avoid being confrontational or negative towards the competitor. Instead, they should focus on building a relationship with the prospect and demonstrating the value of their product. The sales rep should also follow up with the prospect after the meeting and provide additional information as needed.In conclusion, the sales rep should focus on understanding the competitor's strengths, communicating their company's USP, and building a relationship with the prospect. The goal is to demonstrate the value of their product and persuade the prospect to make the switch.

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these are the main strength points for simple structure design except:
A. Flexible
B. Relying in one person
C. Clear accountability
D. Inexpensive to maintain

Answers

The correct option among the given options that are the main strength points for a simple structure design except the one that is relying on one person is option (B).

A simple structure refers to an organizational configuration that has a low degree of division of labor, relatively wide spans of control, centralized authority, and little formalization of procedures.The following are the main strength points for a simple structure design except:FlexibleRelying on one personClear accountabilityInexpensive to maintainThe strength points of a simple structure design include the following;Flexible: This is a vital strength of simple structures. They are adaptable, dynamic, and can quickly respond to changes in the market.

Relying on one person: This is not one of the strength points for a simple structure. In a simple structure, the decision-making power rests on one person. This creates a situation where the entire structure can come tumbling down if the leader becomes ill or unavailable.Clear accountability: In a simple structure, the chain of command is well established, and everyone understands their role in the organization. This is beneficial in that it aids in the delivery of specific results.Inexpensive to maintain: Another advantage of simple structure is that they are less expensive to maintain than more complicated designs. The less complex structure means that there is less bureaucracy and less hierarchy. This reduces the costs of running the organization.In conclusion, we can see that the main strength points for a simple structure design except the one that is relying on one person.

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Five years ago, Vladimir Ulyanov, a professional hockey player, signed a contract with the Rebels Hockey Club, which contained these terms:
Vladimir Ulyanov agrees to perform for the Rebels Hockey Club and not to perform for any other hockey club for the duration of this contract.
This contract shall run for 10 years from the date of signing.
The Rebels Hockey Club agrees to pay Vladimir Ulyanov a base salary of $6 000 000 per year for the duration of this contract.
Last year, the Rebels hired a new coach, who changed the club's style of play by focusing far more on intimidation and far less on skill. Vladimir, a highly talented, but slightly built, player, wants no part of the new approach and has signed a contract to play with a rival team. The Rebels have brought an action against him for breach of contract. The team argues that monetary damages would not be an adequate remedy because (i) no amount of money would allow them to hire another player of Vladimir's calibre, and (ii) it is impossible to accurately predict the loss of merchandising and ticket revenue that would be caused by Vladimir's defection to a rival team. In response, Vladimir says that his only employment prospects outside of professional hockey lie in the food service industry, and that if he is required to take a job in a restaurant, his annual income would drop from $6 000 000 to $25 000. Will a court order specific performance against Vladimir? Will a court order an injunction against Vladimir? What do you believe would be a fair result in this case?
What is the most appropriate legal remedy that should be granted to the Rebels for Vladimir's breach of contract? (Provide a full 3-step legal analysis.)
can you please provide a 3 step legal analysis on this case study?
this question is related to business law
thanks

Answers

The most appropriate legal remedy that should be granted to the Rebels for Vladimir's breach of contract would be a court order for specific performance against Vladimir.

Consideration of the terms of the contractThe first step in determining whether or not to grant a specific performance is to consider the terms of the contract between Vladimir and the Rebels Hockey Club. Vladimir Ulyanov agreed to perform for the Rebels Hockey Club and not to perform for any other hockey club for the duration of this contract. This contract was to run for ten years from the date of signing. The Rebels Hockey Club agreed to pay Vladimir Ulyanov a base salary of $6,000,000 per year for the duration of this contract. This means that Vladimir is under a contractual obligation to perform for the Rebels Hockey Club for the duration of the ten-year contract.Step 2: Consideration of the Defences AvailableThe second step is to consider the defences available to Vladimir. Vladimir argues that his only employment prospects outside of professional hockey lie in the food service industry, and that if he is required to take a job in a restaurant, his annual income would drop from $6,000,000 to $25,000.

This means that Vladimir is unable to perform his contractual obligation to play for the Rebels Hockey Club and that specific performance would be an inappropriate remedy. In response to this argument, the Rebels Hockey Club argues that monetary damages would not be an adequate remedy because  no amount of money would allow them to hire another player of Vladimir's calibre, and  it is impossible to accurately predict the loss of merchandising and ticket revenue that would be caused by Vladimir's defection to a rival team.Step 3: Balancing the interests of the partiesThe third step in determining whether or not to grant a specific performance is to balance the interests of the parties. In this case, it is clear that the Rebels Hockey Club has a legitimate interest in having Vladimir perform for them for the duration of the ten-year contract. It is also clear that Vladimir has a legitimate interest in being able to work in his chosen profession and to play hockey in a manner that suits his style of play. In this case, a court order for specific performance against Vladimir would be an appropriate remedy.

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1) in
term of housing scheme what is the differences of private and
government sector? explain with examples
2)
give reasons why government set price ceiling? explain with
examples

Answers

Private sector housing schemes are market-driven, offer diverse options, and have higher prices. Government sector schemes prioritize social welfare, provide subsidies, and have regulations. Price ceilings set by the government ensure affordability, control monopolistic behavior, and promote social and political stability.

1) In terms of housing schemes, the differences between the private and government sectors can be summarized as follows:

Private Sector:

The private sector refers to housing developments and initiatives undertaken by private individuals, companies, or organizations. These projects are driven by profit motives and are typically aimed at meeting the demands of the market. Here are some key characteristics of the private sector in housing:

a. Market-driven: Private sector housing developments are influenced by market forces such as supply and demand. Developers assess the market conditions, identify profitable opportunities, and build housing units accordingly.

b. Diverse options: The private sector offers a wide range of housing options to cater to different segments of the population. These may include luxury apartments, townhouses, gated communities, and affordable housing projects.

c. Higher prices: Since the private sector operates for profit, the prices of housing units are generally higher compared to government sector schemes. The focus is on maximizing returns and catering to buyers with the ability to pay.

Example: A private real estate developer purchases a piece of land, develops it into a residential community with modern amenities, and sells the housing units at market prices to potential buyers.

Government Sector:

The government sector refers to housing schemes initiated and implemented by governmental bodies or agencies. These projects are driven by social objectives and aim to address housing needs, particularly for low-income and vulnerable populations. Here are some key characteristics of the government sector in housing:

a. Social objectives: Government sector housing initiatives prioritize social welfare and aim to provide affordable housing options to those in need. The focus is on addressing housing shortages and providing secure shelter for all citizens.

b. Subsidized housing: Government schemes often involve subsidies, grants, or financial assistance to make housing affordable for lower-income individuals and families. This may include rent control, low-interest loans, or direct provision of housing units.

c. Regulation and oversight: The government sector plays a regulatory role in setting standards, ensuring quality, and monitoring compliance in housing projects. It may enforce certain guidelines, building codes, and safety regulations.

Example: A government agency launches a low-income housing program, providing subsidized rental units for individuals and families with limited financial resources. The rents charged are below market rates, making them more affordable and accessible.

2) The government may set price ceilings for various reasons. A price ceiling refers to a maximum price that can be legally charged for a particular good or service. Here are some reasons why the government may implement price ceilings:

a. Affordability: Price ceilings are often imposed to make essential goods and services more affordable for the general population, especially low-income individuals or those facing financial difficulties. By capping prices, the government aims to prevent excessive price increases and ensure access to basic necessities.

Example: During times of natural disasters, the government may implement price ceilings on essential items like food, water, or shelter to prevent price gouging and ensure affordability for affected communities.

b. Market control: Price ceilings can be used to control and regulate markets where there is a risk of monopolistic or oligopolistic behavior. They prevent businesses from charging exorbitant prices and exploit consumers. By limiting prices, the government aims to promote fair competition and protect consumers from excessive market power.

Example: In some countries, governments may set price ceilings on essential utilities like electricity, water, or gas to prevent utility companies from exploiting their monopoly status and charging excessively high rates.

c. Social and political stability: Price ceilings can contribute to social and political stability by controlling inflation and reducing economic disparities. By preventing rapid price increases, the government aims to maintain social harmony and avoid potential unrest caused by high living costs.

Example: In certain regions or countries with volatile economies, the government may implement price ceilings on key commodities like fuel or staple food items to stabilize prices and ensure affordability for the population.

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You plan to buy shares in a new company called FC. Your stockbroker estimates that the company will pay $1.00 per share in dividends a year from now, and that in a year the market price of the company will be $80.00 per share. You are willing to accept a 6% return to hold the stock. What is the most that you should be willing to pay today per share of FC?+

Answers

The solution is as follows: As per the given information,

• The dividends that the company will pay per share after a year = $1.00

• The market price of the company per share after a year = $80.00

• The required rate of return = 6%

We can use the Dividend discount model to calculate the maximum amount of money one should pay for the shares of the company. The dividend discount model is used to calculate the intrinsic value of a stock based on the expected dividends paid in the future and the present value of that future earnings stream. For the Dividend discount model, the formula is as follows: P = D1 / (r - g)

Where, P = the maximum price one should pay for the stock today. D1 = the dividend per share after a year. r = the required rate of return. g = the dividend growth rate. To find g, we use the Gordon Growth Model. g = (D1 / P0) + r

Where, P0 = current stock price Substituting the given values,

• D1 = $1.00• r = 6%• g = ($1.00/$0) + 6% = ∞+6% = 6%

Therefore, P = D1 / (r - g) = $1.00 / (6% - 6%) = $1.00 / 0.06 = $16.67

The maximum price one should pay for the shares of the company FC is $16.67 per share.

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There are 4 consecutive integers with a sum of 50. What is the least of the 4 integers? What is the impact of deTocqueville's statement that"Americans . . . form associations . . . of a thousand kinds,religious, moral, serious, futile, general or restricted, enormousor diminutive"? figure 3 is a diagram of water waves crossing over a shallow area. Do the waves move faster or slower through the second medium? what is happening to the wave at the edges of the shallow area? CFAS Company provided the following information at year-end: Preference share capital, P100 par P3,000,000 Share premium - preference share Ordinary share capital, P10 par 500,000 9,000,000 Share premium - ordinary share 2,000,000 Subscribed ordinary share capital 4,000,000 Retained earnings 2.500,000 Subscription receivable - ordinary share 1,000,000 What is the amount of legal capital? The mold that is used in an injection molding process is constructed of metal (p = 7800 kg/m", c = 450 J/kg .K). The mold, to be heated to 190C prior to injection of the thermoplastic material, must be subsequently cooled before ejection of the finished part. Pressurized water at 30C is available for cooling. The mold has dimensions 50 mm x 100 mm x 40 mm and the mold designer must specify inclusion of N cooling passages, of diame- ter 5 mm, to be machined into the mold. If one passage can be placed every 10 mm along the length or width of the mold, the designer can therefore specify either five 100-mm-long passages or ten 50-mm-long passages. The total mass flow rate of water, divided equally among the channels, is 0.02 kg/s. Which configuration (N = 5 long passages or N= 10 short passages) should the mold designer specify in order to cool the mold faster and, in turn, increase the number of parts that can be manufactured daily? What is the initial rate of cool- ing of the mold (C/s)? The velocity profile in each channel is fully developed prior to entering the hot mold. Neglect the mass of the thermoplastic part. Which of the following statements best describes a condition for the existence of a perfectly competitive market? A small number of firms control the price of the good. Barriers to entry exist because of scale economies. Extensive advertising is used to promote the firm's product. Firms produce a standardized product. how does a base system differ from a traditional distributed database system? why might one use one over the other? An advertisement makes the claim: "Lighter shoes make you run faster." Of the following, which is the best way to investigate this claim? Group of answer choices Choose the records of the top twenty runners who are wearing the lighter shoes and compare their times to run 400 meters before and after they began wearing the shoes. Choose twenty runners and select ten at random to wear lighter shoes and have the other ten wear heavier shoes to run 400 meters and compare their times. Choose twenty runners at random and have the women wear the lighter shoes and the men wear the heavier shoes to run 400 meters and compare their times. Choose to observe the results of 400-meter races for the next year and see how many winners are wearing the lighter shoes Sunn Company manufactures a single product that sells for $165 per unit and whose variable costs are $132 per unit. The company's annual fixed costs are $498,300. (a) Compute the company's contribution margin per unit Contribution margin (b) Compute the company's contribution margin ratio. Numerator: Denominator: Contribution Margin Ratio Contribution margin ratio 0 c) Compute the company's break-even point in units. Numerator: Denominator Break-Even Units 1 Break-even units (d) Compute the company's break-even point in dollars of sales. Numerator Denominator Break Even Dollars Break-even dollars - 0 From the following trial balance of R Graham, you are required to draw up the Income Statement for the year ended 30 September 2021, and a Balance Sheet as at that date. Dr Cr $ $ Opening inventory as at 1 October 2020 2,368 Transportation 510 Returns inwards / returns outwards 205 322 Purchases 11,874 Sales 18,600 Salaries and wages 3,862 Rent 304 Insurance 78 Motor vehicles repairs expenses 664 Office expenses 216 Lighting and heating expenses 166 General expenses 314 Premises 5,000 Discount allowed / discount received 500 600 Motor Vehicles 1,800 Fixtures and fittings 350 Accounts Receivable 1,896 Accounts Payable 1,631 Cash at bank 2,482 Withdrawals 1,200 Capital (Owners equity) 12,636 33,789 33,789 Closing inventory as at 30 September 2021 was $2,946. When a partnership is created, what is the contract called that gives the amounts invested by each partnership, how income and losses should be distributed, etc.? O partnership charter O partnership O partnership agreement none of these 2 pts isted below is the 2021 income statement for Tom and Sue Travels, Inc.TOM AND SUE TRAVELS, INC.Income Statement for Year Ending December 31, 2021(in millions of dollars)Net sales$16.800Less: Cost of goods soldGross profits7.600$9.200Less: Other operating expenses3.450Earnings before interest, taxes, depreciation, andamortization (EBITDA)$5.750Less: Depreciation2.400.Earnings before interest and taxes (EBIT)$3.350 3.770Less: Interest$2.5800.542Earnings before taxes (EBT) Less: TaxesNet income$2.038The CEO of Tom and Sue's wants the company to earn a net income of $2.500 million in 2022. Cost of goods sold is expected to be 60 percent of net sales, depreciation and other operating expenses are not expected to information security often comes at the cost of some level of convenience and privacy.T/F Here is the guidelines. Text for Mary Prince can be found on theinternet. I just need help on where to start and some ideas. The ADT stack lets you peek at its top entry without removing it. For some applications of stacks, you also need to peek at the entry beneath the top entry without removing it. We will call such an operation peek2: If the stack has more than one entry, peek2 method returns the second entry from the top without altering the stack. If the stack has fewer than two entries, peek2 throws InsufficientNumberOfElementsOnStackException. Write a linked implementation of a stack that includes a method peek2Skeleton of LinkedStack class is provided. The class includes main with test cases to test your methods.public final class LinkedStack implements TextbookStackInterface{ private Node topNode; // references the first node in the chain public LinkedStack() { this.topNode = null; // TODO PROJECT #3 } // end default constructor public void push(T newEntry) { // TODO PROJECT #3 } // end push public T peek() throws InsufficientNumberOfElementsOnStackException { // TODO PROJECT #3 return null; // THIS IS A STUB } // end peek public T peek2() throws InsufficientNumberOfElementsOnStackException { // TODO PROJECT #3 return null; // THIS IS A STUB } // end peek2 public T pop() throws InsufficientNumberOfElementsOnStackException { // TODO PROJECT #3 return null; // THIS IS A STUB } // end pop public boolean isEmpty() { // TODO PROJECT #3 return false; // THIS IS A STUB } // end isEmpty public void clear() { // TODO PROJECT #3 } // end clear // These methods are only for testing of array implementation public int getTopIndex() { return 0; } public int getCapacity() { return 0; } private class Node { private S data; // Entry in stack private Node next; // Link to next node private Node(S dataPortion) { this(dataPortion, null); } // end constructor private Node(S dataPortion, Node linkPortion) { this.data = dataPortion; this.next = linkPortion; } // end constructor } // end Node public static void main(String[] args) { System.out.println("*** Create a stack ***"); LinkedStack myStack = new LinkedStack(); System.out.println("--> Add to stack to get: " + "Joe Jane Jill Jess Jim\n"); myStack.push("Jim"); myStack.push("Jess"); myStack.push("Jill"); myStack.push("Jane"); myStack.push("Joe"); System.out.println("Done adding 5 elements.\n"); System.out.println("--> Testing peek, peek2, and pop:"); while (!myStack.isEmpty()) { String top = myStack.peek(); System.out.println(top + " is at the top of the stack."); try { String beneathTop = myStack.peek2(); System.out.println(beneathTop + " is just beneath the top of the stack."); } catch (InsufficientNumberOfElementsOnStackException inoeose) { System.out.println(" CORRECT - exception has been thrown: " + inoeose.getMessage()); } top = myStack.pop(); System.out.println(top + " is removed from the stack.\n"); } // end while System.out.println("--> The stack should be empty: "); System.out.println("isEmpty() returns " + myStack.isEmpty()); try { String top = myStack.peek(); System.out.println(top + " is at the top of the stack."); } catch (InsufficientNumberOfElementsOnStackException inoeose) { System.out.println(" CORRECT - exception has been thrown: " + inoeose.getMessage()); } try { String top = myStack.pop(); System.out.println(top + " is at the top of the stack."); } catch (InsufficientNumberOfElementsOnStackException inoeose) { System.out.println(" CORRECT - exception has been thrown: " + inoeose.getMessage()); } try { String beneathTop = myStack.peek2(); System.out.println(beneathTop + " is just beneath the top of the stack."); } catch (InsufficientNumberOfElementsOnStackException inoeose) { System.out.println(" CORRECT - exception has been thrown: " + inoeose.getMessage()); } System.out.println("*** Done ***"); } // end main} // end LinkedStackpublic class InsufficientNumberOfElementsOnStackException extends RuntimeException{ public InsufficientNumberOfElementsOnStackException(String reason) { super(reason); }} Help Explain how would you classify the following consumer products and why would you choose that classification. (Remember, there are four different classifications you can choose from: convenience, shopping, specialty, and unsought).- L.L. Bean Hiking Boots-Johnsons Baby Shampoo-Ford F150 Truck-Geico Car InsuranceBased on the classification you assigned each product, explain how the marketing action would differ for each product and the classification that you assigned to it. In no less than 100 words, analyze and discuss the vital role of intelligent systems such as Case-Based reasoning and Expert systems in leveraging knowledge and human capital Part I) The Great Depression nicely illustrates the concept of complexity because there probably was no single cause for it, but rather a combination of causes.A) TrueB) FalsePart II) Ida B. Wells well illustrates the power of the pen in that her work as a journalist helped expose the inherent evils of Jim Crow laws in the South.A) TrueB) False knowledge push innovation isa. the set of activities that support disruption and crisesb. new knowledge., perhaps as a result of R&D creates new products, services or opportunitiesc. the use of imagination or original ideas to create something which is novel and useful.d. when an unfulfilled need is present and someone comes up with an idea to fill it what happens as you increase the number of people working on a project from three to six?