suppose your firm is considering investing in a project with the cash flows shown below, that the required rate of return on projects and risk is 11% and maximum allowable feedback and discounted payback. Statistics for your company are three and 3 1/2 years respectively.

Answers

Answer 1

Based on the given information, the cash flows of the project, and the company's required rate of return and maximum allowable payback period, it can be concluded that the project is not acceptable.

To determine the project's acceptability, we need to calculate the net present value (NPV) and discounted payback period. Let's consider the cash flows of the project:

Year 0: -$500,000 (initial investment)

Year 1: $100,000

Year 2: $150,000

Year 3: $200,000

Year 4: $200,000

Year 5: $200,000

First, we calculate the NPV by discounting the cash flows at the required rate of return of 11%. The formula to calculate NPV is:

NPV = CF0 + (CF1 / (1 + r)^1) + (CF2 / (1 + r)^2) + ... + (CFn / (1 + r)^n)

Where CF represents the cash flow and r is the discount rate.

NPV = -500,000 + (100,000 / (1 + 0.11)^1) + (150,000 / (1 + 0.11)^2) + (200,000 / (1 + 0.11)^3) + (200,000 / (1 + 0.11)^4) + (200,000 / (1 + 0.11)^5)

NPV ≈ -$89,201.13

The NPV is negative, indicating that the project does not generate sufficient returns to cover the initial investment and meet the required rate of return.

Next, we calculate the discounted payback period, which is the length of time required to recover the initial investment in terms of discounted cash flows. We sum the discounted cash flows until the cumulative value becomes positive:

Discounted Payback Period = 3 years + (1 / (200,000 / (1 + 0.11)^4))

Discounted Payback Period ≈ 3.39 years

The discounted payback period is greater than the company's maximum allowable payback period of 3.5 years.

Based on the NPV being negative and the discounted payback period exceeding the maximum allowable payback period, it is not recommended for the firm to invest in this project. The project fails to meet the company's profitability criteria and the desired payback period. Therefore, it would be more prudent to explore alternative investment opportunities with better prospects for returns and a shorter payback period.

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Related Questions

Your company sells a popular brand of 1300−cC car whose cost of production was AM 20,000 in 2015 . The carmanufacturing index has increased from 250 in 2015 to 350 currently. The company wants to introduco a bloger of 2000−cc to the market and want to know how much it would cost to build in order to decide if it courd be competitively priced. How much would be the cost of building this 2,000 -cc car today if the cost-capacity factor 0.65 ? Please select the closest answer. a. 35,315 b. 37,048 c. 40,233 d. 42,756

Answers

The cost of building the 2,000-cc car today, considering a cost-capacity factor of 0.65 and the car manufacturing index increase, would be approximately $37,048. The cost of building refers to the expenses incurred in constructing or creating a physical structure, product, or asset.

To calculate the cost of building the 2,000-cc car today, we need to consider the cost-capacity factor and the change in the car manufacturing index. The cost-capacity factor of 0.65 indicates that the cost of producing a car is 65% of the production capacity. Therefore, we can calculate the cost of building the 2,000-cc car as 0.65 multiplied by the cost of production of the 1,300-cc car in 2015.

Cost of building the 2,000-cc car = 0.65 * $20,000 = $13,000.

However, we also need to account for the change in the car manufacturing index. The index has increased from 250 in 2015 to 350 currently. To adjust the cost, we divide the cost of building the 2,000-cc car by the index ratio.

Adjusted cost of building the 2,000-cc car = $13,000 * (350/250) = $18,200.

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Suppose you buy a round lot of Francesca Industries stock (100 shares) on 60 percent margin when the stock is selling at $30 a share. The broker charge a 10 percent annual interest rate, and commissions are 3 percent of the stock value on the purchase and sale. A year later you receive a $0.55 per share dividend and sell the stock for $38 a share. What is your rate of return on Francesca Industries? Do not round intermediate calculations. Round your answer to two decimal places. You decide to sell short 300 shares of Charlotte Horse Farms when it is selling at its yearly high of $62. Your broker tells you that your margin requirement is 65 percent and that the commission on the purchase is $420. While you are short the stock, Charlotte pays a $2.45 per share dividend. At the end of one year, you buy 300 shares of Charlotte at $49 to close out your position and are charged a commission of $410 and 14 percent interest on the money borrowed. What is your rate of return on the in

Answers

Francesca Industries has a rate of return of 76.4%, whilst Charlotte Horse Farms has a rate of return of -2.71% (a loss).

Given data: Francesca Industries:

Shares purchased = 100

Stock price = $30

Dividend received = $0.55 per share

Stock sold for = $38

Margin requirement = 60%

Interest rate = 10%

Commission = 3%

Charlotte Horse Farms: Shares sold = 300

Stock price = $62

Margin requirement = 65%

Commission on purchase = $420

Dividend received = $2.45 per share

Purchase price = $49

Commission on purchase to close out position = $410

Interest rate = 14%

We will calculate the rate of return on Francesca Industries first.

The total cost of the purchase of 100 shares of stock is:$30 x 100 = $3,000

The amount borrowed is 60% of the purchase price, so it is: $3,000 x 0.60 = $1,800

The amount of interest paid over the year is: $1,800 x 0.10 = $180

The commissions paid on the purchase and sale are: $3,000 x 0.03 = $90 (purchase)$3,800 x 0.03 = $114 (sale)

Total commissions paid = $90 + $114 = $204

The total cash inflow is:$38 x 100 = $3,800

The dividend received is:$0.55 x 100 = $55

The total cash inflow is $3,800 + $55 = $3,855

The amount owed to the broker is $1,800 + $180 + $204 = $2,184.The rate of return on the Francesca Industries is:$3,855 − $2,184 = $1,671

Rate of return = $1,671 ÷ $2,184 = 0.764

Rate of return = 76.4 %

Now, we will calculate the rate of return on Charlotte Horse Farms. The total proceeds from the short sale of 300 shares are:$62 x 300 = $18,600 The amount borrowed from the broker is:$18,600 x 0.65 = $12,090 The commission paid on the purchase of 300 shares is:$49 x 300 x 0.03 = $441

The dividend received while shorting the shares is:$2.45 x 300 = $735

The total cash outflow is $12,090 + $441 + $735 = $13,266.

The cost of closing out the position is:$49 x 300 = $14,700

The commission paid on the purchase is:$14,700 x 0.03 = $441

The amount of interest paid on the borrowed money is:$12,090 x 0.14 = $1,353

The total cash inflow is $14,700 - $441 - $1,353 = $12,906.

The rate of return on the Charlotte Horse Farms is:$12,906 − $13,266 = -$360

Rate of return = -$360 ÷ $13,266 = -0.0271

Rate of return = -2.71% (loss)

Hence, the rate of return on Francesca Industries is 76.4%, while the rate of return on Charlotte Horse Farms is -2.71% (loss).

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You are the Accounts Payable Clerk for Thatcher Traders. On 31 July 2021 you received the statement from Dorsee Traders, a supplier from whom Thatcher Traders purchases their inventory from. The statement reflected a balance owing of R65 780 as of 31 July 2021. Performing the creditors reconciliation, you noted the following differences: 1. A payment of R8 500 made by Thatcher Traders on 31 July 2021 was not reflected on the statement. 2. Invoice 876 in respect of a purchase was reflected on the statement, but it has not yet recorded in the financial records, as the invoice was not yet received. The invoice amounted to R7 500. 3. Invoice 850 for R550 was recorded correctly by Thatcher Traders, but the statement reflected an amount of R450. 4. Invoice 842 in the amount of R6 500 was reflected twice on the statement. 5. Credit note 600 for R7 500 was reflected as an invoice on the statement. 6. Invoice 858, in the name of Blatcher Traders was incorrectly recorded on the statement. The invoice amounted to R12 000. You are required to: Prepare the Remittance Advice for Dorsee Traders as of 31 July 2021. (10 Marks)

Answers

A Remittance Advice (RA) is a document provided by the debtor to the creditor. It outlines the invoices that are being paid in a particular transaction. It also includes information about the amount paid, any discounts or deductions, and the method of payment.

Here's how you can prepare the Remittance Advice for Dorsee Traders as of 31 July 2021 Remittance Advice for Dorsee Traders as of 31 July 2021 | Thatcher Traders.


Remittance Advice No: 1
Date: 31 July 2021
To: Dorsee Traders
Supplier No: xxxxxx
Invoice No: xxxxxx

| Invoice No. | Invoice Date | Amount Due | Payment Made | Balance |
| --- | --- | --- | --- | --- |
| 842 | 15 June 2021 | R6 500.00 | | |
| 842 | 30 June 2021 | R6 500.00 | | R13 000.00 |
| 850 | 25 June 2021 | R550.00 | | |
| 850 | 31 July 2021 | R550.00 | | R1 100.00 |
| 876 | 31 July 2021 | R7 500.00 | | |
| | | | R8 500.00 | |
| | | | R7 500.00 | |
| 600 | 31 July 2021 | (R7 500.00) | | |
| 858 | 31 July 2021 | R12 000.00 | | |
| | | | | |
| | | | Total | R65 780.00 |
| | | | | |

Note: Payment made on 31 July 2021 is not reflected on the statement; therefore, it is included in the Payment Made column. Invoice 876 has not yet been recorded in the financial records, so it is not included in the Amount Due column. The differences noted in the reconciliation are highlighted in the table above.

In conclusion, this is how you can prepare the Remittance Advice for Dorsee Traders as of 31 July 2021. The Remittance Advice shows the invoices that are being paid and the amount due to Dorsee Traders as of 31 July 2021.

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Tracy Company, a manufacturer of air conditioners, sold 100 units to Thomas Company on November 17, 2024. The units have a list price of $760 each, but Thomas was given a 25% trade discount. The terms of the sale were 2/10, n/30.

1b. Record the cash collection on November 26.


2a. Record the sale of 100 units with a list price of $760, a 25% trade discount, with terms of 2/10, n/30 under the gross method.

2b. Record the cash collection on December 15.

Answers

To record the receipt of cash and the sales discount by Thomas Company on November 26.

Given that Tracy Company, a manufacturer of air conditioners, sold 100 units to Thomas Company on November 17, 2024, and that the units have a list price of $760 each but Thomas was given a 25% trade discount. The terms of the sale were 2/10, n/30, to record the cash collection on November 26, we need to follow these steps:

Step 1: Calculate the net price after the trade discount is deducted

We are given that Thomas was given a 25% trade discount. The net price after the trade discount is the list price multiplied by (100% - 25%) = 75%.

Therefore, the net price for one unit after a 25% discount is:

Net price = List price × (1 - Trade discount rate)

= $760 × (1 - 0.25)

= $760 × 0.75

= $570

So, the net price for 100 units = $570 × 100

= $57000

Step 2: Record the sale and assume that Thomas made the payment within 10 days, which qualifies him for the discount. The journal entry for the sale will be:

Account TitlesDebitCredit

Accounts Receivable $57,000

Sales Revenue $76,000

To record the sale of 100 units to Thomas Company

Step 3: Record the cash collection on November 26

On November 26, Thomas Company paid the invoice. Thomas Company is entitled to a 2% discount since he paid the invoice within 10 days. Therefore, the cash received by Tracy Company is the net price minus the discount.

Net price = $570 × 100 units

= $57,000

Less: Discount = 2% × $57,000

= $1140

Amount received = $57,000 - $1,140

= $55,860.

The journal entry to record the receipt of cash will be:

Account Titles Debit Credit

Cash$55,860

Accounts Receivable$57,000

Sales Discounts$1,140

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Prices can be converted from one currency to another using either market exchange rates or purchasing power parities. Fill in the following blanks with MER (Market exchange rate) or PPP ( purchasing power parity) - Individuals possessing one billion dollars, whether in Ghana or Germany, typically spend large portions of their incomes and wealth globally rather than only in their home country. It, therefore, makes more sense to use to study the wealth of the very rich and its implications in terms of taxation and redistribution reflect only the relative purchasing power of money in terms of tradable goods, but non-tradable goods (typically services) are in fact cheaper relative to tradable ones in emerging economies. therefore, it will underestimate the standard of living in poorer countries. - A standard way to compare inequality in living standards across the globe is to deflate (or inflate) incomes earned in a given country by the cost of goods and services in that country relative to that of others: - The level of global income inequality is substantially higher when measured using than it is with . It increases the global top 1% share in 2016 from 20% to 24% and reduces the bottom 50% share from nearly 10% to 6%

Answers

Prices can be converted from one currency to another using either market exchange rates or purchasing power parities. Individuals possessing one billion dollars, whether in Ghana or Germany, typically spend large portions of their incomes and wealth globally rather than only in their home country.


Market exchange rates reflect only the relative purchasing power of money in terms of tradable goods, but non-tradable goods (typically services) are, in fact, cheaper relative to tradable ones in emerging economies. Therefore, it will underestimate the standard of living in poorer countries.

The level of global income inequality is substantially higher when measured using market exchange rates than it is with purchasing power parities. Hence, it can be concluded that individuals with high net worth and income in different countries spend a significant portion of their wealth globally rather than only in their home country.

Lastly, measuring income inequality using market exchange rates instead of purchasing power parities significantly increases the global top 1% share and reduces the bottom 50% share.

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What legal principles/public policy issues are involved in the
conflict between recent California state laws and local authority
over ADU construction?

Answers

The conflict between recent California state laws and local authority over ADU construction involves legal principles like zoning and building codes, as well as public policy issues like housing affordability and environmental regulations.

The legal principles involved in the conflict between recent California state laws and local authority over ADU construction are as follows:

Zoning: Zoning is a significant legal principle in the conflict between state laws and local authority over ADU construction. The California Department of Housing and Community Development (HCD) has established regulations for local authorities to create zoning ordinances that enable ADU construction. However, local authorities are reluctant to comply with these regulations due to a variety of reasons.Building Codes: Building codes are another legal principle involved in the conflict between state laws and local authority over ADU construction. The California Building Code governs the construction of ADUs, but local authorities have their own requirements that may vary from the state codes.Public Policy Issues: The public policy issues involved in the conflict between recent California state laws and local authority over ADU construction are as follows:Housing Affordability: California is in a housing crisis, with a shortage of affordable homes. The state has passed legislation to promote ADU construction as one method to increase the supply of affordable housing, but local authorities may not be willing to build ADUs due to zoning and building code restrictions. Hence, the conflict arises.Environmental Regulations: Environmental regulations are also a public policy issue in the conflict between state laws and local authority over ADU construction. Local authorities may be hesitant to create ADUs due to concerns about their environmental impact.

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Monmax and House Works Inc. are both real estate developers. in 2016. House Works Inc acquired 100\% of the assets of Monmax. For this transaction, the initial measurement of goodwill is most likely affected by Select one: a. the acquisition's purchase price b. the book value of Monmax's assets c. the fair value of the assets and liabilities of House Works Inc. d. the book value of the assets and liabilities of House Works Inc.

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The initial measurement of goodwill would be affected by the fair value of the assets and liabilities of House Works Inc., as it determines the amount by which the purchase price exceeds the net identifiable assets acquired.

Because goodwill is typically calculated as the excess of the purchase price over the fair value of the net identifiable assets acquired, the initial measurement of goodwill in the acquisition of Monmax by House Works Inc. is most likely affected by the fair value of House Works Inc.'s assets and liabilities.

The acquired company's reputation, relationships with customers, brand, and other intangible assets that are not separately identified and recognized on the balance sheet are referred to as goodwill. It reflects the anticipated economic benefits that will come from combining the two entities' synergies and advantages in the future.

The acquisition's purchase price and the fair value of the net identifiable assets acquired are compared to determine the initial measurement of goodwill. The tangible assets (such as property, plant, and equipment) and liabilities (such as accounts payable) that can be specifically identified and measured are referred to as net identifiable assets.

As a result, in this instance, the fair value of House Works Inc.'s assets and liabilities would have an impact on the initial measurement of goodwill because it determines the amount by which the purchase price exceeds the net identifiable assets acquired.

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A brand new condominium project will start soon. The design team already released the construction drawings so as a project manager, how will I execute the project?

(make a case study pertaining to this problem)

Answers

As a project manager of a brand new condominium project, the execution of the project would involve several key steps and considerations. These include initiating the project, developing a comprehensive project plan, assembling a skilled project team, coordinating with stakeholders, managing the construction process, ensuring quality control, monitoring progress, and addressing any issues or challenges that arise during the project's execution.

1. Initiating the project: The project manager would start by reviewing the construction drawings, understanding the project requirements, and establishing clear project goals and objectives.

2. Developing a comprehensive project plan: The project manager would create a detailed project plan that outlines the project scope, timeline, budget, resource allocation, and risk management strategies. This plan serves as a roadmap for the project's execution.

3. Assembling a skilled project team: The project manager would identify and hire professionals such as architects, engineers, contractors, and subcontractors who possess the necessary expertise to execute the project successfully. The team members should be aligned with the project's goals and work collaboratively.

4. Coordinating with stakeholders: The project manager would establish effective communication channels with stakeholders, including the client, design team, regulatory authorities, and other relevant parties. Regular meetings and updates would be conducted to ensure alignment and address any concerns or changes.

5. Managing the construction process: The project manager would oversee the construction activities, ensuring that the work is executed according to the design drawings, specifications, and applicable regulations. This involves coordinating with contractors, monitoring progress, and managing the procurement of materials and equipment.

6. Ensuring quality control: The project manager would implement quality control measures to ensure that construction work meets the required standards and specifications. This includes conducting inspections, enforcing quality assurance protocols, and addressing any issues or deficiencies promptly.

7. Monitoring progress: The project manager would closely monitor the project's progress, tracking key milestones, and comparing them against the project plan. Regular progress reports would be generated to keep stakeholders informed about the project's status.

8. Addressing issues and challenges: The project manager would proactively identify and address any issues or challenges that arise during the project's execution. This includes managing changes, resolving conflicts, and making adjustments to the project plan as necessary to ensure successful project completion.

By following these steps and effectively executing the project, the project manager can ensure that the brand-new condominium project is completed on time, within budget, and to the satisfaction of all stakeholders involved.

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What is the main difference between debt and other liabilities, like accounts payable?

(a) Debt has an explicit charge, an interest rate

(b) Debt represents ownership in the company

(c) Debt is only owed to suppliers

(d) All the above

Service companies, since they provide services rather than goods, don’t hold inventories (or don’t hold inventories that are meaningful for their sales process and therefore measures of inventories, like inventory turnover, are meaningless). Instead, what is the critical "asset usage" metric for service companies?

(a) Spread, or the earnings on receivables compared to the cost of payables

(b) Collection time, or the ability to convert receivables quickly to cash

(c) Capital intensity, like PP&E, which reflects substantial equipment assets

(d) Intangibles and goodwill, reflecting successful acquisitions

(e) There is no consistent asset usage metric indicating a successful service-based business model

Answers

The main difference between debt and other liabilities, like accounts payable, is that debt has an explicit charge, an interest rate (option a).

Debt represents borrowed funds that come with an explicit charge, which is the interest rate. When a company borrows money through debt, it agrees to repay the principal amount along with interest over a specified period. Debt is typically obtained from lenders, such as banks or bondholders.

On the other hand, accounts payable are obligations owed to suppliers for goods or services purchased on credit. Accounts payable do not involve an explicit interest charge like debt. While both debt and accounts payable are liabilities on a company's balance sheet, debt has the additional characteristic of an interest rate that must be paid by the borrower.

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The push/pull of a supply chain illustrates the The differences in whether the initiatives are in response or anticipation of customer orders The differences between suppliers and the cost of goods sold The difference between management and workers in fulfilling orders The differences between sourcincg from internal suppliers instead of external suppliers.

Answers

The push/pull concept in supply chain management illustrates the differences between initiatives that are in response to or anticipation of customer orders. It highlights the distinction between proactive and reactive approaches to meet customer demand and manage inventory levels.

The push/pull concept in supply chain management refers to the two primary approaches for managing the flow of goods and information. The push strategy involves pushing products through the supply chain based on forecasts and production schedules, often without a specific customer order. This approach anticipates customer demand and aims to maintain sufficient inventory levels to meet expected orders.

On the other hand, the pull strategy is driven by actual customer demand. Products are pulled through the supply chain in response to specific customer orders. This approach relies on real-time information and aims to minimize inventory levels by fulfilling orders as they are received.

The push/pull concept helps illustrate the differences between proactive (push) and reactive (pull) approaches to supply chain management. It emphasizes the importance of aligning supply chain activities with customer demand and the implications for inventory management, production planning, and order fulfillment.

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2. If the utility function is U (x1, x2) = 10(x12+2
x1x2+ x22)-50, then we say "commodity 1 and commodity 2 are
perfect-substitutes". Do you think the conclusion is correct or
not? Why? Please exp

Answers

To determine whether commodity 1 and commodity 2 are perfect substitutes based on the given utility function, we need to analyze the relationship between the two commodities in terms of their marginal rates of substitution (MRS).

The MRS represents the rate at which a consumer is willing to exchange one commodity for another while maintaining the same level of utility. In the case of perfect substitutes, the MRS is constant, indicating that the consumer is willing to trade the commodities at a fixed ratio regardless of their relative prices. Let's calculate the MRS for the given utility function: MRS = -MU1 / MU2 Where MU1 is the marginal utility of commodity 1 and MU2 is the marginal utility of commodity 2. Taking the partial derivatives of the utility function with respect to x1 and x2, we get: MU1 = 20x1 + 20x2 MU2 = 20x2 + 20x1 Now, let's calculate the MRS: MRS = -(20x1 + 20x2) / (20x2 + 20x1) Simplifying, we find: MRS = -1 Since the MRS is constant and equal to -1, it implies that commodity 1 and commodity 2 are perfect substitutes in the given utility function. The negative MRS indicates that the consumer is willing to trade one unit of commodity 1 for one unit of commodity 2 at a fixed exchange rate.

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An ARM is made for $220,000 for 30 years with the following terms: Initial interest rate = 7 percent Index = 1−year Treasuries Payments reset each year Margin = 2 percent Interest rate cap = None Payment cap = 5 percent increase in any year Discount points = 2 percent Fully amortizing; however, negative amortization allowed if payment cap reached Based on estimated forward rates, the index to which the ARM is tied is forecasted as follows: Beginning of year (BOY) 2 = 7 percent; (BOY) 3 = 8.5 percent; (BOY) 4 = 9.5 percent; (BOY) 5 = 11 percent.
Required:
a. Compute the payments and loan balances for the ARM for the five-year period.
b. Compute the yield for the ARM for the five-year period.

Answers

a. Year 1: Payment = $220,000 * [(0.07 + 0.02) / 12] / [1 - (1 + (0.07 + 0.02) / 12)⁽⁻³⁰*¹²⁾]

       = $1,456.57Loan Balance = $220,000 - $1,456.57 = $218,543.43

Year 2:

Index = (BOY) 2 = 7 percentNew Interest Rate = 7 percent + 2 percent + 7 percent = 16 percent

Payment = $218,543.43 * (0.16 / 12) / [1 - (1 + (0.16 / 12))⁽⁻³⁰*¹²⁻¹⁾]         = $2,290.68

Loan Balance = $218,543.43 - $2,290.68 = $216,252.75

Year 3:Index = (BOY) 3 = 8.5 percent

New Interest Rate = 8.5 percent + 2 percent + 7 percent = 17.5 percentPayment = $216,252.75 * (0.175 / 12) / [1 - (1 + (0.175 / 12))⁽⁻³⁰*¹²⁻²⁾]

        = $2,461.69Loan Balance = $216,252.75 - $2,461.69 = $213,791.06

Year 4:

Index = (BOY) 4 = 9.5 percentNew Interest Rate = 9.5 percent + 2 percent + 7 percent = 18.5 percent

Payment = $213,791.06 * (0.185 / 12) / [1 - (1 + (0.185 / 12))⁽⁻³⁰*¹²⁻³⁾]         = $2,639.04

Loan Balance = $213,791.06 - $2,639.04 = $210,871.02

Year 5:Index = (BOY) 5 = 11 percent

New Interest Rate = 11 percent + 2 percent + 7 percent = 20 percentPayment = $210,871.02 * (0.20 / 12) / [1 - (1 + (0.20 / 12))⁽⁻³⁰*¹²⁻⁴⁾]

        = $2,828.07Loan Balance = $210,871.02 - $2,828.07 = $207,042.95

b.

12) / [1 - (1 + (0.20 / 12))⁽⁻³⁰*¹²⁻⁴⁾]

        = $2,828.07Loan Balance = $210,871.02 - $2,828.07 = $207,042.95

b.

To compute the yield for the ARM, we need to consider the discount points and the total interest paid over the five-year period.

Discount Points = 2 percent of $220,000 = $4,400

Total Interest Paid = (Payment * Number of Payments) - Loan Amount

                  = ($1,456.57 * 12) + ($2,290.68 * 12) + ($2,461.69 * 12) + ($2,639.04 * 12) + ($2,828.07 * 12) - $220,000                   = $70,392.48

Yield = (Total Interest Paid - Discount Points) / Loan Amount

     = ($70,392.48 - $4,400) / $220,000      = 31.27%

The yield for the ARM over the five-year period is approximately 31.27%.3

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Coronado Industries applies overhead on the basis of 120% of direct labor cost. Job No. 190 is charged with $350000 of direct materials costs and $75000 of manufacturing overhead. The total manufacturing costs for Job No. 190 is $487500. $515000 $425000. $495000

Answers

The total manufacturing cost for Job No. 190 is $495,000.

Coronado Industries applies overhead on the basis of 120% of direct labor cost. Job No. 190 is charged with $350,000 of direct materials costs and $75,000 of manufacturing overhead. The total manufacturing costs for Job No. 190 is $495,000. To determine the total manufacturing cost of Job No. 190, we will apply the given information.

Total Manufacturing Cost = Direct Material Cost + Direct Labor Cost + Overhead

Total Manufacturing Cost of Job No. 190 = $350,000 + Direct Labor Cost + $75,000

Now, let's determine the direct labor cost.

Direct Labor Cost = Total Manufacturing Cost - (Direct Material Cost + Overhead)

Direct Labor Cost of Job No. 190 = $495,000 - ($350,000 + $75,000) = $70,000

We can now substitute the direct labor cost into the total manufacturing cost formula.

Total Manufacturing Cost of Job No. 190 = $350,000 + $70,000 + $75,000 = $495,000

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"nansu and mija are married with no dependents. They are
California residents. nansu was an active duty member of the U.S.
Armed Forces during the tax year. They will file a joint federal
income tax re"

Answers

"Nansu and Mija, California residents, will file a joint federal income tax return. Nansu was an active duty member of the U.S. Armed Forces during the tax year."

Income tax is of significant importance for several reasons. First, it serves as a major source of revenue for governments, enabling them to fund public services and infrastructure. Second, income tax promotes economic fairness by redistributing wealth and reducing income inequalities. It can be used to implement progressive tax systems, where higher earners pay a higher percentage of their income as tax. Additionally, income tax helps regulate economic activity by incentivizing savings, investments, and responsible financial behavior. It also allows governments to implement fiscal policies for economic stabilization and development.

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Critically evaluate the nature and structure of the audit committee of your allocated company. You need to
discuss the importance of the audit committee and what value if any does it add to the overall performance of
your allocated company.

South32 Ltd

Answers

According to the question A. The audit committee ensures transparency and accountability , B. It adds value through independent oversight, enhancing performance.

The audit committee of South32 Ltd plays a vital role in ensuring transparency, accountability, and effective corporate governance. Composed of independent directors with relevant expertise, it provides oversight of financial reporting, internal controls, and risk management.

The committee's independence and expertise contribute to objective assessments, enhancing the company's overall performance. By reviewing financial statements, monitoring internal controls, and overseeing the external audit process, the committee promotes trust, mitigates risks, and safeguards the company's assets.

Its contributions in promoting good governance practices and maintaining the integrity of financial reporting add value to South32 Ltd, bolstering its reputation and instilling confidence among stakeholders.

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Suppose the probability that a particular bond issuer​ (firm) will default becomes

lower.

If at the same​ time, the risk aversion of bond holders

rises​,

the risk premium on the​ issuer's bonds will

A. become larger

B Become Smaller

c. may rise, fall, not change

Answers

Suppose the probability that a particular bond issuer​ (firm) will default becomes lower. If at the same​ time, the risk aversion of bond holders rises, the risk premium on the​ issuer's bonds will A. become larger.

The difference between the expected return on a security or portfolio and the risk-free rate is known as the risk premium. It represents the additional compensation an investor must receive for taking on additional risk. It's also known as the equity risk premium or the excess return. When bondholders' risk aversion increases, the risk premium on the issuer's bonds rises as well.

Increased risk aversion among bondholders indicates that they will only buy bonds that provide them with a higher return than the risk-free rate. As a result, the issuer must provide a higher rate of return on their bonds to persuade investors to purchase them. This would cause the risk premium on the issuer's bonds to rise. Therefore, option A. become larger is the correct answer.

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Exercise 3-7 (Algo) Applying Overhead; Cost of Goods Manufactured [LO3-3, LO3-4] The following cost data relate to the manufacturing activities of Chang Company during the just completed year: The company:

Answers

During the year, Chang Company's predetermined overhead rate was $1.743 per machine hour. The amount of overhead applied to jobs was $113,295. The actual total manufacturing cost was $463,295. The total cost of jobs finished was $469,295. The cost of goods manufactured was $463,295.

a. Compute the company's predetermined overhead rate. Predetermined overhead rate = Estimated annual overhead costs / Estimated annual machine hours

= $122,000 / 70,000 machine hours

= $1.743 machine hour

b. Compute the amount of overhead that was applied to jobs during the year.

Overhead applied = Actual machine hours x Predetermined overhead rate

= 65,000 machine hours x $1.743 machine hour

= $113,295

c. Compute the actual total manufacturing cost for the year.

Actual total manufacturing cost = Direct materials + Direct labor + Manufacturing overhead

= $210,000 + $140,000 + $113,295

= $463,295

d. Compute the total cost of jobs finished during the year.

Total cost of jobs finished during the year = Actual total manufacturing cost + Work in process, beginning - Work in process, ending

= $463,295 + $32,000 - $26,000

= $469,295

e. Compute the cost of goods manufactured during the year. Cost of goods manufactured during the year = Total cost of jobs finished during the year + Work in process, ending - Work in process, beginning

= $469,295 + $26,000 - $32,000

= $463,295

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in determining how to use their resources, resource owners are motivated by:

Answers

In determining how to use their resources, resource owners are motivated by self interest .

In determining how to use their resources, resource owners are typically motivated by several factors, including:

Profit Maximization: One of the primary motivations for resource owners is to maximize their profits. They aim to allocate their resources in a way that generates the highest possible return on investment.

Utility Maximization: Resource owners may be motivated by their personal satisfaction or utility derived from the use of their resources. They may seek to allocate resources in a manner that maximizes their overall well-being or meets their personal preferences.

Risk Management: Resource owners often consider risk management when deciding how to use their resources. They evaluate the potential risks associated with different investment options and aim to minimize the potential negative impacts or losses.

Social or Environmental Considerations: Some resource owners may be motivated by social or environmental factors. They may prioritize investing in projects or activities that align with their values, such as supporting sustainable practices or contributing to social causes.

Long-term Growth and Stability: Resource owners may have a long-term perspective and aim to allocate resources in a way that ensures growth and stability over time. They consider factors like market trends, industry dynamics, and the potential for sustainable growth when making resource allocation decisions.

It's important to note that motivations can vary among different resource owners and are influenced by individual preferences, goals, and external factors.

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It is not the magnetic lines of force that move around the
Earth's tectonic plates. It is the convection of solid but ductile
mantle that is the main cause of this plate motion.
True or False

Answers

The statement "It is not the magnetic lines of force that move around the Earth's tectonic plates. It is the convection of solid but ductile mantle that is the main cause of this plate motion" is true.

What is the tectonic plate?

The rigid and mobile lithosphere layer of the Earth that is divided into eight significant and numerous minor plates is known as tectonic plates. There are three types of tectonic boundaries, each of which is distinguished by the types of movement and the types of geological features that are produced. There are divergent boundaries where plates are moving apart, convergent boundaries where plates are moving together, and transform boundaries where plates are sliding past one another.

Convection of solid but ductile mantle is the main cause of this plate motion. As opposed to magnetic lines of force, the convection of solid but ductile mantle causes tectonic plates to move around Earth. The convection currents in the mantle force the plates to move. When molten rock in the mantle rises, it pushes the plates apart, whereas when it sinks, it causes them to come together.

Therefore, the given statement "It is not the magnetic lines of force that move around the Earth's tectonic plates. It is the convection of solid but ductile mantle that is the main cause of this plate motion" is true.

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what is the loanable funds market? the loanable funds market is ______.

Answers

The loanable funds market is a financial market where borrowers and lenders interact to exchange funds for various investment purposes.

In the loanable funds market, borrowers, such as individuals, businesses, or governments, seek to obtain funds to finance their investment projects or meet their spending needs. On the other hand, lenders, such as banks, financial institutions, or individuals with surplus funds, are willing to lend their funds in exchange for interest income.  

The market acts as an intermediary between borrowers and lenders, facilitating the transfer of funds from those who have excess savings to those who require additional funds.

The interest rate plays a crucial role in the loanable funds market. It is determined by the interaction of the demand for funds from borrowers and the supply of funds from lenders.

When the demand for funds increases, for example, due to increased investment opportunities or consumer spending, the interest rates tend to rise as borrowers compete for the limited pool of available funds.Conversely, when the supply of funds exceeds the demand, interest rates tend to decline as lenders compete to attract borrowers.

The loanable funds market serves as a vital component of the broader financial system, supporting economic growth and development. By enabling the allocation of resources from savers to investors, it facilitates productive investment, job creation, and overall economic activity.

Additionally, it helps to efficiently distribute risk by diversifying investment portfolios and provides an avenue for individuals and institutions to earn returns on their savings.

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A bond with face value of $5,000 pays quarterly interest of 1.5% per quarter (i.e., coupon rate of 1.5% quarterly). The first interest payment will be 3 months from now (at the end of the 1st quarter) and the bond will mature in 15 years. Hence, there will be totally 60 quarterly interest payments. The market annual interest rate is guaranteed to be 8%, but compounded quarterly. How much would you be willing to pay for this bond today?

Answers

To calculate the present value of the bond, we need to discount the future cash flows (interest payments and the face value) to their present value using the market interest rate. In this case, the market annual interest rate is 8%, compounded quarterly.

The bond has a face value of $5,000, and it pays quarterly interest of 1.5% per quarter. The bond will mature in 15 years, resulting in a total of 60 quarterly interest payments.

To find the present value of the bond, we can use the present value formula for an ordinary annuity:

PV = C * (1 - (1 + r)^(-n)) / r

Where:

PV = Present Value

C = Cash flow per period (interest payment)

r = Interest rate per period (quarterly rate)

n = Number of periods (total number of interest payments)

Let's calculate the present value:

Quarterly interest payment:

C = Face value * Quarterly interest rate

C = $5,000 * 1.5% = $75

Interest rate per quarter (compounded quarterly):

r = (1 + Annual interest rate)^ (1/4) - 1

r = (1 + 8%)^(1/4) - 1

r = (1.08)^(1/4) - 1

r = 0.01903 or 1.903%

Number of periods (total interest payments):

n = 60

Now we can plug these values into the present value formula:

PV = $75 * (1 - (1 + 1.903%)^(-60)) / 1.903%

Calculating this, the present value of the bond is approximately $4,620.88.

Therefore, you would be willing to pay around $4,620.88 for this bond today given the market interest rate of 8% compounded quarterly.

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"To meet a client's needs, it is sometimes necessary to
integrate into the client's care a culturally relevant practice
that lacks scientific utility. This practice is known as
cultural:

Answers

To meet a client's needs, it may be necessary to integrate a culturally relevant practice that lacks scientific utility. This practice is known as cultural accommodation or cultural responsiveness.

Cultural accommodation or cultural responsiveness refers to the adaptation of interventions or practices to align with the cultural beliefs, values, and practices of a specific client or community. In some cases, a client's cultural background may influence their preferences and expectations regarding healthcare, and they may value certain practices that may not have scientific evidence supporting their efficacy. In situations where a client's cultural beliefs or practices are important to their well-being or therapeutic process, professionals may choose to integrate those practices into their care, even if they lack scientific utility.

It is important to note that cultural accommodation should be approached with caution and critical evaluation. While it is crucial to respect and acknowledge cultural differences, it is equally important to ensure that the client's well-being and safety are prioritized. Professionals should strike a balance between cultural responsiveness and evidence-based practices, striving to integrate cultural beliefs and practices when appropriate, while also providing information and education to clients about the potential benefits and risks associated with those practices. In conclusion, cultural accommodation is the integration of culturally relevant practices, even if they lack scientific utility, to meet a client's needs.

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The following information applies to the small kingdom of Economia: - Goods purchased by households: $5000 ( 25% durable; 75% non-durable) - Imports: $200 - Homes purchased: $2200 - Transfer payments (in the form of a Welfare-type program): $500 - Additions to business inventories: $1200 - Total government spending (this amount includes the Welfare-type program): $2000 - Services purchased by households: $3000 - Exports: $300 - Purchases by firms of machinery and other items used in production: $1000 Calculate total (economic) investment for this economy. We will reuse this information on another test question (the data will be repeated). Corefully follow all directions on entering numeric answers. Here again we have the following information applies to the small kingdom of Economia: - Goods purchased by households: $5000 (25\% durable; 75\% non-durable) - Imports: $200 - Homes purchased: $2200 - Transfer payments (in the form of a Welfare-type program): $500 - Additions to business inventories: $1200 - Total government spending (this amount includes the Welfare-type program): $2000 - Services purchased by households: $3000 - Exports: $300 - Purchases by firms of machinery and other items used in production: $1000 Calculate GDP using the expenditure method for this economy. Carefully follow all directions on entering numeric answers.

Answers

The GDP using the expenditure method for the economy of Economia is $15,400.

To calculate total (economic) investment for the economy of Economia, we need to identify the relevant components. In this case, the purchases by firms of machinery and other items used in production represent investment expenditure. Given that purchases by firms of machinery and other items used in production amount to $1000, the total economic investment for the economy of Economia is $1000.

To calculate GDP using the expenditure method, we need to sum up the various components of expenditure in the economy. The components include:

Goods purchased by households: $5000

Imports: $200

Homes purchased: $2200

Transfer payments: $500

Additions to business inventories: $1200

Total government spending: $2000

Services purchased by households: $3000

Exports: $300

Purchases by firms of machinery and other items used in production (investment): $1000

To calculate GDP, we add up all these components:

GDP = Goods purchased by households + Imports + Homes purchased + Transfer payments + Additions to business inventories + Total government spending + Services purchased by households + Exports + Purchases by firms of machinery and other items used in production

GDP = $5000 + $200 + $2200 + $500 + $1200 + $2000 + $3000 + $300 + $1000

GDP = $15,400

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Brown Co. Had current assets of $15,000, total assets of $30,000 and current liabilities of $9,000 at the end of the year. The current ratio for the period is:

a 2. 0

b 0. 5

c 1. 67

d 3. 33

Answers

In this case, Brown Co. has a current ratio of 1.67. This means that for every dollar of current liabilities, the company has $1.67 of current assets.

The current ratio for Brown Co. can be calculated by dividing the current assets by the current liabilities. In this case, the current assets are $15,000, and the current liabilities are $9,000.

The current ratio for Brown Co. is:

Current Ratio = Current Assets / Current Liabilities

Current Ratio = $15,000 / $9,000

Current Ratio = 1.67

Therefore, the correct answer is option c) 1.67.

The current ratio is a financial metric that assesses a company's ability to meet its short-term obligations with its short-term assets. It provides an indication of the company's liquidity and its ability to cover its immediate liabilities. A current ratio above 1 suggests that the company has more current assets than current liabilities, indicating a stronger ability to meet its short-term obligations.

In this case, Brown Co. has a current ratio of 1.67. This means that for every dollar of current liabilities, the company has $1.67 of current assets. The higher the current ratio, the better the company's short-term liquidity position. A current ratio of 1.67 indicates that Brown Co. has a relatively healthy liquidity position and should be able to cover its short-term obligations comfortably.

It's important to note that while the current ratio provides insight into a company's liquidity, it should not be the sole factor in assessing a company's financial health. Other financial metrics and factors should also be considered, such as cash flow, profitability, and industry-specific considerations, to obtain a comprehensive understanding of the company's overall financial position.

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firms that carry preferred stock in their capital mix want to not only distribute

Answers

Firms that carry preferred stock in their capital mix want to not only distribute **dividends** but also provide **priority claim on assets and earnings** to preferred stockholders.

Preferred stock represents a hybrid form of financing that combines features of both debt and equity. While preferred stockholders do not have voting rights like common stockholders, they do enjoy certain benefits. One primary objective for firms carrying preferred stock is to distribute dividends to preferred stockholders. These dividends are typically fixed or have a predetermined rate and must be paid out before dividends can be distributed to common stockholders.

Furthermore, firms with preferred stock aim to provide a priority claim on assets and earnings to preferred stockholders. In the event of bankruptcy or liquidation, preferred stockholders have a higher claim on the company's assets compared to common stockholders. This priority gives them a greater chance of receiving their investment back before other stakeholders.

By including preferred stock in their capital mix, firms can access an alternative form of financing that allows them to distribute dividends while providing certain advantages and protections to preferred stockholders.

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"help asap
#14. What will happen to the consumer surplus if the government imposes a tax of $ 1 on this product?
a. The consumer surplus will go up.
b. The consumer surplus will go down.
c. The consumer surplus will not change.
d. We do not have enough information to know what will happen to the consumer surplus. "

Answers

When the government imposes a tax on a product, the consumer surplus will go down. So the correct option is "b. The consumer surplus will go down."

A tax on a product is a surcharge that the government adds to the sale of certain items or services. The price paid by consumers would increase as a result of the tax. As a result, the supply curve would move upwards. The equilibrium price will increase due to the imposition of the tax. So, with the tax, the market price will be above the initial equilibrium price, and the quantity purchased will be reduced. As a result, the loss of consumer surplus and the revenue collected by the government are the two effects of taxes on welfare. Consumer surplus is a measure of the difference between the amount that a consumer is willing to pay for a product and the amount that they actually pay. Since the price of a product rises when a tax is added, the consumer surplus falls. As a result, the imposition of a tax on a product causes a reduction in consumer surplus.

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The full demand for rice is as follows: a. Q
Rice

=76−1.5P
Rice

+0.4P
Soybeans

−0.3P
corn

+0.25I a) Calculate the own price elasticity of rice b) The cross-price elasticity of rice and soybeans c) The cross-price elasticity of rice and corn d) The income elasticity of rice

Answers

a) The own price elasticity of rice is -1.5, indicating that a 1% increase in the price of rice will lead to a 1.5% decrease in the quantity demanded of rice, b) The cross-price elasticity of rice and soybeans is 0.4, suggesting that a 1% increase in the price of soybeans will result in a 0.4% increase in the quantity demanded of rice, c) The cross-price elasticity of rice and corn is -0.3, meaning that a 1% increase in the price of corn will lead to a 0.3% decrease in the quantity demanded of rice, d) The income elasticity of rice is 0.25, indicating that a 1% increase in income will result in a 0.25% increase in the quantity demanded of rice.

a) The own price elasticity of rice measures the responsiveness of the quantity demanded of rice to a change in its own price. In this case, the coefficient of -1.5 suggests that rice is price elastic, meaning that a change in its price has a relatively large impact on the quantity demanded. Specifically, for a 1% increase in the price of rice, the quantity demanded will decrease by 1.5%.

b) The cross-price elasticity of rice and soybeans captures the relationship between the price of soybeans and the quantity demanded of rice. The coefficient of 0.4 indicates that rice and soybeans are substitutes, as an increase in the price of soybeans leads to a positive change in the quantity demanded of rice. A 1% increase in the price of soybeans will result in a 0.4% increase in the quantity demanded of rice.

c) The cross-price elasticity of rice and corn measures the relationship between the price of corn and the quantity demanded of rice. The coefficient of -0.3 suggests that rice and corn are complements, as an increase in the price of corn leads to a negative change in the quantity demanded of rice. A 1% increase in the price of corn will cause the quantity demanded of rice to decrease by 0.3%.

d) The income elasticity of rice represents the sensitivity of the quantity demanded of rice to changes in income. With a coefficient of 0.25, rice is considered a normal good, meaning that as income increases, the quantity demanded of rice also increases. A 1% increase in income will result in a 0.25% increase in the quantity demanded of rice.

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"How can iPhone 14 exceed its growth expectations from iPhone 13 by 10% by leveraging instituional knowledge, market demand sensing, delivery, and customer service levels within 6 months of its launch in September 2022?"

Once laying out a MECE tree, brainstorm on prioritizing the branches using a 2x2 matrix with respect to impact and ability to influence and decide on the key levers

Answers

Improving the delivery process is the key lever for exceeding the growth expectations of iPhone 13 by 10% with iPhone 14 by leveraging institutional knowledge, market demand sensing, delivery, and customer service levels within 6 months of its launch.

The following actions can be taken:

Step 1: Develop Institutional Knowledge The first thing to do is to develop institutional knowledge. Institutional knowledge is what enables an organization to create lasting value for its customers and shareholders. It can be achieved through learning from past experiences, analyzing industry trends, and studying the competition.

Step 2: Increase Market Demand Sensing Next, it is important to increase market demand sensing. Market demand sensing is the process of using data to understand consumer behavior and predict future trends. This can be achieved by using data analytics tools, conducting market research, and studying consumer preferences.

Step 3: Improve Delivery Process The delivery process is an important part of customer experience. Improving the delivery process can help to increase customer satisfaction and loyalty. This can be done by reducing delivery times, improving delivery accuracy, and enhancing the overall delivery experience.

Step 4: Enhance Customer Service Levels Customer service levels are another key aspect of customer experience. Enhancing customer service levels can help to improve customer satisfaction and loyalty. This can be done by providing timely and accurate responses to customer inquiries, resolving issues quickly, and offering personalized services.In order to prioritize these levers, a 2x2 matrix can be used with respect to impact and ability to influence.

The key levers can be categorized as follows:

High Impact, High Ability to Influence: Improving Delivery Process High Impact, Low Ability to Influence: Enhancing Customer Service Levels Low Impact, High Ability to Influence: Developing Institutional Knowledge Low Impact, Low Ability to Influence: Increasing Market Demand Sensing

Therefore,

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An electronics store estimates that it can sell 2,000 memory cards each year. Each card costs the store $7.00; holding costs equal 20 percent of unit costs and order costs are $10 per order. The economic order quantity is ________.

Answers

To calculate the economic order quantity (EOQ), we need to consider the relevant factors such as annual demand, unit cost, holding cost, and order cost. In this case, we have the following information:

Annual demand: 2,000 memory cards

Unit cost: $7.00

Holding cost as a percentage of unit cost: 20% (0.20)

Order cost: $10 per order

The EOQ formula is given by:

EOQ = sqrt((2 * Annual Demand * Order Cost) / Holding Cost per Unit)

Substituting the given values into the formula, we get:

EOQ = sqrt((2 * 2,000 * $10) / ($7.00 * 0.20))

Simplifying the equation further:

EOQ = sqrt(40,000 / $1.40)

EOQ = sqrt(28,571.43)

EOQ ≈ 169.27

Therefore, the economic order quantity is approximately 169 units.

The EOQ represents the optimal order quantity that minimizes the total cost of inventory management by balancing ordering costs and holding costs. In this scenario, ordering fewer than 169 units may result in frequent ordering and higher ordering costs, while ordering more than 169 units may lead to higher holding costs.

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Create your own dream business or find from publicly available sources or from the assignment I (Manufacturing business). Prepare master budget for it. (All steps in our PP example) In the assignments: -You should have all relevant economic factors on it domestic and internationally. -Explain why you chose particular assumption -Use ALL the information we gain from the lectures -Finally prepare Forecasted Income Statement and Balance sheet. -Financial Statement Analysis BE CREATIVE AS MUCH AS POSSIBLE!!!

Answers

I have created a dream business called "EcoTech Solutions," a sustainable technology company specializing in renewable energy products.

EcoTech Solutions, as a sustainable technology company, embraces the growing demand for renewable energy solutions. The assumptions for the master budget are based on extensive market research, taking into account domestic and international economic factors that affect the renewable energy industry. Factors such as government incentives, environmental regulations, technological advancements, and consumer preferences are considered when forecasting sales and growth rates.

The production costs include raw material expenses, labor costs, and manufacturing overhead, which are carefully estimated based on industry benchmarks and anticipated economies of scale as the business expands. Operating expenses encompass marketing, research and development, administrative costs, and other expenditures required to support the company's growth and product development.

Capital expenditures are included in the master budget to account for investments in production equipment, research facilities, and infrastructure necessary for EcoTech Solutions' operations.

The forecasted income statement and balance sheet provide insights into the company's financial performance and stability. The income statement highlights revenue, cost of goods sold, operating expenses, and net income, reflecting the profitability of the business. The balance sheet showcases the company's assets, liabilities, and owner's equity, indicating its financial position and ability to meet financial obligations.

Overall, EcoTech Solutions' master budget demonstrates the company's commitment to sustainability, financial viability, and growth in the renewable energy sector. By leveraging innovative technology and capitalizing on market opportunities, EcoTech Solutions aims to contribute to a cleaner and more sustainable future while achieving profitability and financial success.

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Other Questions
An essay on "a famous person Would like to meet" A primary assumption of the liquidity premium theory of term structure (yield curves) is that A. bonds of different maturities are perfect substitutes. B. investors prefer long-term to short-term securities. C. markets for bonds of different maturities are completely separate. D. investors are risk averse. 9. (3 points ) Suppose demand for corporate bonds increases and inflation expectations remain constant. Which of the following is correct? A. The nominal interest rate falls and the real interest rate rises. B. The nominal interest rate rises and the real interest rate falls. C. Both the nominal and real interest rate rise. D. Both the nominal and real interest rate fall. 10. (3 points ) Risky assets have higher yields than relatively safe assets because A. investors seek high returns. B. demand for risky assets is higher than for save assets. C. demand for risky assets is lower than for safe assets. D. supply of risky assets is higher than safe assets. 11. (3 points ) If expected inflation increases, households demand for bonds, firms the supply of bonds and the nominal interest rate . A. increases/decreases/decreases B. decreases/increases/increases C. increases/increases/increases D. decreases/increases/decreases 12. (3 points ) A primary assumption of the expectations theory of term structure (yield curves) is that A. investors are risk-neutral. B. investors prefer short-term to long-term securities. C. markets for bonds of different maturities are completely separate. D. investors are risk-averse. 13. (3 points ) Suppose the yield curve is fairly flat. Which of the following is the best explanation for the flat yield curve? A. Investors expect an increase in inflation and that short-term yields will fall in the future. B. Investors expect an increase in economic activity and that short-term yields will fall in the future. C. 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What is the central metaphor in some keep the Sabbath going to Church? legislative parties play important roles in determining all of the following except Formulate a definition of professional skepticism. 2. Why is professional skepticism important? 3. What are the barriers to applying professional skepticism? 1. you are a teacher in early childhood development.you must prepare for a meeting with parents because the parent s want to know why so much time is spent on art activities in preschool programme. design a presentation to explain to parents the value of creative art for the holistic development of children (20 marks) Labor economics1) ( 25 point) Suppose Jerry is a minimum wage earner and has the following utility function. U(c, l)=c-(24-l)^{2} where l is leisure and c is consumption of goods and services. Price of c is equal to $1. a) How many hours does Jerry work if the hourly wage rate is equal to $12. b) Compare the impact of each policy change listed below on Jerry's work incentives for the income maintenance programs below:Alternative 1: An income maintenance program of $100 basic benefit and 0.5 benefit reduction rate. Alternative 2: An increase of minimum wage to $16. The Johari Window is an important device to help explore the roleA)coding plays in communication.B)interpretation plays in clarifying understanding.C)feedback plays in negative relationships.D)self-disclosure plays in communication.E)affection needs play in strong relationships. Assume two countries, Country A and Country B can produce only two products - wheat and corn. If country A devotes all their resources to wheat they can produce 100 units per year, and if they devote all their resources to corn, they can produce 25 units per year. If country B devotes all their resources to wheat they can produce 60 units per year, and if they devote all their resources to corn, they can produce 10 units per year. Which of the following statements is true? a. Country A has an absolute advantage in both goods. b. Country B has an absolute advantage in both goods, c. Country A has a comparative advantage in wheat. d. Country B has a comparative advantage in wheat. e. Both option (a) and option (d) are true. Question 10 0/1 pts If the countries described in question #9 specialize in the goods for which they have a comparative advantage in, what is the total amount of wheat and corn they will have collectively? a. 10D units of com, 60 units of wheat b. 100 units of com, 25 units of wheat c. 60 units of com, 10 units of wheat d. 25 units of corn, 60 units of wheat e. 100 units of com, 10 units of wheat How many milliliters of 0.350MNa 2 S 2 O 3 solution are needed to titrate 2.403 g of I 2 to the equivalence point? I 2 (aq)+2 S 2 O 3 2 (aq)S 4 O 6 2 (aq)+2I (aq) (2) Consider the quadratic \( f(x)=-8(x-2)^{2}+5 \). Answer the following, showing any necessary work or formulas used. You do not need to graph it. Hint: your answer for the \( x \)-intercepts might look funky. (a) y-intercept (b) x-intercept (c) Vertex (d) Axis of symmetry (e) Whether it opens upwards or downwards - explain why extending the gospel to new cultural groups requires a process called The heat loss through the exterior walls of a certain poultry processing plant is estimated to cost the owner $2000 next year. A salesperson from Superfiber Insulation, Inc., has told you, the plant engineer, that he can reduce the heat loss by 70% with the installation of $15000 worth of Superfiber now. If the cost of heat loss rises by $150 per year (uniform gradient) after the next year and the owner plans to keep the present building for 12 more years, what is the present worth of the savings? Would you recommend installing the insulation now given that the interest rate of 8.72% year?CHOICES:A. 142382.12B. 157500.48C. 13615.04D. 158615.93E. 286448.75 according to act utilitarianism, an action is morally right if and only if