The registered agent is the professional responsible for receiving the process service for the business.
What is a registered agent?It is an individual who has a central responsibility for maintaining the compliance of organizational processes through compliance with federal, state and local laws.
This professional is responsible for receiving the company's official documents and communications, analyzing them and forwarding them to the appropriate person in the company.
Therefore, there are several benefits for companies that have a registered agent, the main one being the company's legal compliance, which is essential for it to be able to carry out its operations effectively and transparently, demonstrating reliability to its stakeholders.
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pina company has the following cost information pertaining to their raw materials inventory account: - december 31, balance (ending) $32000 - material purchases $82000 - materials used during year $72000 what was the raw materials inventory balance on january 1 (beginning)? $22000
Pina company has the following cost information pertaining to their raw materials inventory account: - december 31, balance (ending) $32000 - material purchases $82000 - materials used during year $72000, the raw materials inventory balance on january 1 (beginning) is $22000
It is calculated as:
Direct material used = Opening inventory + Material purchases - Closing inventory
$72000 = Opening inventory + $82000 - $ 32000
$72000 + $32000 - $82000 = Opening inventory
$22000 = Opening inventory
Inventory on the first day of the financial year is known as Opening inventory.
Direct material used is the material which is used in production process in whole year.
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a company had net revenues of $1,800,000 and total expenses of $800,000, not including income taxes. it paid $300,000 in dividends. what was its net income before taxes?
The company's total expenses, excluding income taxes, were $800,000, with net revenues of $1,800,000. It distributed dividends of $300,000. and it has a net income of $1,000,000 before taxes.
Net revenues = $1,800,000
Less: Total expense = $800,000
Net income before tax = $1,000,000
A dividend is a payment made by a company to its shareholders out of its profits. When a business generates a profit or surplus, it can distribute a portion of that profit to shareholders in the form of a dividend. Any unused funds are retained and reinvested back into the company. Both the profit from the current year and the retained earnings from prior years are available for distribution; a corporation is typically not allowed to pay a dividend out of its capital.
The amount that is distributed to shareholders may be paid in cash (typically a deposit into a bank account) or, if the company has a dividend reinvestment plan, it may be paid by the issuance of additional shares or the repurchase of shares.
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what is the price of a u.s. treasury bill with 68 days to maturity quoted at a discount yield of 2.10 percent? assume a $1 million face value.
The price of US treasury bill is $995,737.5.
The Price is the number of money. The bond equivalent yield equation is determined by dividing the difference between the face value of the bond and the purchase price of the bond, by the price of the bond.
From the scenario we know that
Face value = $1,000,000
Discount yield = 2.10 or 0.021
Time = 68 days
To calculate about the BEY we should find the price of the bond use this formula:
Discount yield = [ (FV - P)/P ] x (360/d)
0.021 =[ (1,000,000 -P)/P ] x 360/68
0.021P = (1,000,000 -P ) 5.2941
0.021P + 5.294P = 5,294,100
5.3151P = 5,294,117.65
P = $995,737.5
The price is $996,052.313
Thus, plug in the numbers in the bond equivalent yield (BEY) formula;
BEY = (Face Value - Purchase Price)/Purchase Price x 365/day
BEY = [ (1,000,000 - 996,052.313)/$ 996,052.313] x 365/68
BEY = (188,143.215 / $ 996,052.313) x 5.2941
BEY = 0.1889 x 5.2941
BEY = 0,97
If we convert the amount of BEY to percent it will be 97%.
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a default happens when: multiple choice a borrower fails to pay back a loan according to the agreed-upon terms. a lender fails to allot money according to the terms set by the government. a bank fails to have enough cash on hand to give all depositors their money. all of these are considered defaults.
A default happens when a borrower fails to pay back the loan as given in the first option.
What exactly do you mean by a bank?A bank is a company that offers additional financial services in addition to dealing with money and its alternatives. A bank serves as a financial middleman by accepting deposits and making loans.
What exactly is a bank? What does one do?Although banks perform a number of different tasks, their primary duty is to gather deposits from people who have money, pool them, and then lend the money to people who need it. Banks serve as a go-between for depositors (who give the bank money) and borrowers.
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on january 1, year 1, zero company obtained a $52,000, 4-year, 6.5% installment note from regional bank. the note requires annual payments consisting of principal and interest of $15,179, beginning on december 31 of the current year. the december 31, year 1 carrying amount in the allocation of periodic payments table for this installment note will be equal to: a.$36,821 b.$39,000 c.$40,201 d.$27,635
The December 31, year 1 carrying amount in the allocation of periodic payments table for this installment note will be equal to $27,635
An installment note is a legal obligation or liability requiring the borrower to repay the lender's principal in periodic payments. On the other hand, a lump sum note or balloon loan requires the borrower to repay the entire note principal on a specific date. There is no payment schedule.
An installment note typically has a payment schedule in which the borrower repays the lender in equal monthly, quarterly, semi-annually, or annual payments until the loan is fully repaid with interest. It functions similarly to a personal mortgage. There is a note term and a set payment amount that is paid in equal installments over the term.
These notes are common among franchises and businesses that need trade debts to float their inventory over multiple accounting periods.
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true or false: under the currency board in place in hong kong, the government is limited in its ability to print money.
The statement is True. Under the currency board in place in hong kong, the government is limited in its ability to print money.
Government formation is the system in a parliamentary device of choosing a high minister and cupboard contributors. If no birthday party controls a majority of seats, it could also involve identifying which parties might be part of a coalition government.
There are numerous distinctive forms of government for the duration of the sector. The main kinds of authorities include autocracy, aristocracy, and democracy. The autocracy-One individual holds absolute strength within the united states.
In precis, proper governance pertains to the political and institutional methods and results that are essential to gain the goals of improvement. The genuine take look at 'suitable' governance is the degree to which it provides the promise of human rights: civil, cultural, economic, political, and social rights.
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the opportunity cost of holding money part 2 a. is the forgone interest from holding bonds. b. decreases with inflation. c. increases as the holding return on bonds fall. d. decreases as one accumulates more of it.
The opportunity cost of holding money is the interest forgone on an alternative asset.
What is an asset?
According to financial accounting, an asset is any resource that a company or other economic organization owns or controls. It is anything that has the potential to provide positive economic value. The ownership value represented by assets can be converted into cash.
An item with economic value to the business, either now or in the future, is referred to as an asset. In essence, a business's assets are anything it owns or controls that is valuable today or has the potential to be profitable in the future. Examples include investments, machines, and patents.
The regular distribution of an asset's depreciable amount over the course of its useful life is known as depreciation. The depreciable amount of an asset is equal to the asset's cost or another number substituted for cost, less its residual value.
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what term refers to extra markup to the schedule of values (sov) items completed early in the project?
Front-loading refers to extra markup to the schedule of values (sov) items completed early in the project.
Contractors will front load in an effort to counteract any negative effects on cash flow. This might be as a result of aggressive retention policies, making up for upfront material and mobilization costs, or lowering the risk of a slow-paying client.
The construction sector relies heavily on borrowing. In other words, services are typically paid for long after they have been truly done. By charging a little bit more up front, you can make enough money to last through the (often long) period between payments.
Front-loading a job by a contractor or subcontractor isn't inherently unethical or even bad taste if done within limits. However, purposely overbilling clients or charging for services not yet rendered is a surefire way to end relationships and potentially get you in legal trouble.
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a bond that pays interest only when a firm has sufficient earnings to cover the interest payments is called a(n) .
A bond that pays interest only when a firm has sufficient earnings to cover the interest payments is called an Income bond.
An income bond is a type of financial security in which the investor is only guaranteed to receive the bond's face value; any coupon payments are only delivered if the company issuing the bond has enough revenue to meet the coupon payment. In the case of corporate bankruptcy, an adjustment bond is a specific type of income bond.
The income bond is a type of financial instrument that is very uncommon and often serves a purpose for the company similar to that of preferred shares. Unlike preferred shares, which have missed dividend payments added to later periods until they are paid off, common shares do not have this limitation.
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when the interest rate parity equation does not hold and it is possible to earn profits without exchange-rate risk, there is said to be a(n) interest arbitrage opportunity.
The interest rate parity equation does not hold, and it is possible to earn profits without exchange-rate risk, there is said to be a(n) interest arbitrage opportunity covered.
If the hobby fee parity courting does now no longer maintain true, then you may make a secure profit. The scenario wherein IRP does now no longer maintain might permit for the usage of an arbitrage strategy.First, there can be variations in default danger and liquidity. Second, there are transactions fees which might also additionally save you returns from being precisely equal. Third, it does now no longer recollect exchange-fee danger.
The motives why hobby fee parity does not usually maintain are just like a number of the motives why shopping electricity parity does not usually maintain: economic belongings aren't equal in distinctive countries (a few investments are riskier than others and a danger top rate ought to be paid), there are authorities controls on.
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close company purchased merchandise inventory with an invoice price of $9,000 and credit terms of 2/10, n/30. what is the net cost of the goods if close company pays within the discount period?
$ 8,820 is the net cost of the goods if close company pays within the discount period with an invoice price of $9,000.
given data:
invoice price = $9,000
credit terms are 2/10, n/30
Net Cost of Goods = invoice price -( invoice price / discount )
2/10, n/30 is known that if the payment will be made with in 30 days of purchase, it can get a discount of 2 % on purchases.
discount = 2%
by substitution, we get:
= $ 9,000 - $ 9,000 * 2%
= $ 8,820
the net cost of the goods is $ 8,820
The actual cost of a product as paid for by the end user retailer to the manufacturer or distributor is known as the invoice price. The "invoice cost," or the price of a product, differs from the "net purchase cost" in many industries.
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a project's equivalent annual annuity (eaa) is the annuity cash flow that yields the same present value as the project's npv. group of answer choices true false
A project's equivalent annual annuity (EAA) is the annuity cash flow that yields the same present value as the project's NPV is True.
In capital budgeting, one of two approaches is used to compare projects that are mutually exclusive and have different lifetimes. This strategy is known as the equivalent annual annuity approach.
According to the EAA method, a project's annual cash flow would be calculated as if it were an annuity over the course of its existence.
An analyst initially determines the NPV of each project over its lifetime. The EAA for each project is then calculated to ensure that the NPV and the present value of the annuities are exactly equal. The analyst then compares the EAA of each project and chooses the one with the highest EAA.
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in analyzing unsystematic risk, all of the following would be unsystematic risk except: group of answer choices asset-specific risk. market risk. diversifiable risk. unique risk.
In analyzing unsystematic risk, all of the following would be unsystematic risks except market risk.
A market is a place in which customers and dealers can meet to facilitate the change or transaction of goods and services. Markets can be physical like a retail outlet, or virtual like an e-retailer. different examples include unlawful markets, auction markets, and financial markets.
The marketplace definition provides a framework for opposition analysis. for instance, marketplace shares can be calculated most effectively after the market has been described, and, whilst thinking about the capacity for a brand new entry, it's far essential to identify the marketplace that is probably entered.
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how does depreciation affect the tax basis of an asset? multiple choice question. the tax basis is reduced by the depreciation expense deducted on the tax return each year. the original basis is increased by the depreciation allowed or allowable on the asset each year. the original basis is increased by the depreciation expense deducted on the tax return each year. the tax basis is reduced by the depreciation allowed or allowable on the asset each year.
Each year that an asset's tax basis is affected by depreciation, the tax basis is reduced by the amount of allowable or allowed depreciation on the asset.
An asset is a resource with economic value that a person, organization, tax or nation owns or manages with the hope that it will someday be useful. Each year that an asset's tax basis is affected by depreciation, the tax basis is reduced by the amount of allowable or allowed depreciation on the asset.
A company's balance sheet lists its assets. They are divided into current, fixed, financial, and intangible categories. They are acquired or produced tax to raise a company's value or enhance its operations.
Whether it's a piece of manufacturing equipment or a patent, an asset can be thought of as something that will, in the future, increase sales, lower costs, or generate cash flow.
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The T in T-Account stands for
A. Transaction
B. Transfer
C. None of the Above
D. T-Chart
Answer:
Transfer
Explanation:
because it is transfer-account
kitchen sinking is a. an authoritative use of power. b. dredging up past, unrelated problems. c. holding a grudge against your relational partner. d. an effective conflict-management strategy.
Kitchen sinking is an Option (b)dredging up past, unrelated problems.
An effective way to complain is to "throw everything in except the kitchen sink," which means that whenever there is an argument, one of the partners decides to spell out all of your faults and complaints.
Sometimes a partner would act in this way when they find it difficult to convey their sentiments and emotions. Poor communication skills are another factor in this. The ability to constructively complain may not always be present in a relationship. Additionally, they occasionally avoid tackling the problem head-on. This causes resentment as a result.
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A business that is legally regarded as a separate entity from it's owners is called a
O non-profit
O partnership
O corporation
O sole proprietorship
A business that is legally regarded as a separate entity from its owners is called a corporation. Hence the correct choice of answer for this question is an option (c).
Give a brief account of the corporation.A corporation's stockholders are not considered to be part of it legally. Corporations and individuals have many of the same legal rights and responsibilities. They have the authority to enter into agreements, give and receive loans, sue and be sued, appoint staff, own property, and pay taxes.
The majority of big companies are corporations, such as Microsoft Corp. and Coca-Cola Co. Some corporations operate both under their own identities and under different company names.
While a corporation's exact legal definition varies from jurisdiction to jurisdiction, its most crucial feature is always a limited liability. This indicates that, despite the possibility of dividends and stock appreciation, shareholders are not individually liable for the obligations of the company.
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a manager is holding a $4.4 million bond portfolio with a modified duration of ten years. she would like to hedge the risk of the portfolio by short-selling treasury bonds. the modified duration of t-bonds is 11 years. how many dollars' worth of t-bonds should she sell to minimize the risk of her position? (
The first calculation entails deducting the cost of the T-bill from 100 and dividing the resulting sum by the cost.
How do you calculate the price of a Treasury bond?"Interest" is the sum you pay between the face value and the discounted price.Use this formula to get the purchase price at a specific discount rate: Price is equal to Face Value (1 – (Discount Rate x Time)/360).The yield on the T-bill for the maturity period is shown by this number.To convert this value to a percentage, multiply it by 100.For Example :Duration of bond portfolio (Dp) = 10
Value of bond portfolio (Vp) = 4,000,000
Duration of bonds (Df) = 11
T-bonds to be sold = Dp × Vp / Df
T-bonds to be sold = 10 × 4,000,000 / 11
T-bonds to be sold = $3,636,363.
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leonore's luxury leather footwear corp. conducts a swot analysis and determines that at least 57 percent of consumers demand high-end footwear, and, as a result, its sales should increase by 18 percent in the next year. this vision of what could happen is known as a
This vision of what could happen is known as a Forecast. One example of a prognosis for future occurrences Rise in sales of Leonore's Luxury Leather footwear.
A forecast is an estimate of a future event or trend that might take place. Analysis and foresight SWOT are the business venture's marketing partners. SWOT acknowledges the practices used to create a specific business model in accordance with the company's potential means and talents, including the environments in which the organization operates.
It observes internal and external factors that affect the firm's success, both positive and negative. The analysis helps the company forecast or prognosticate various trends that aid in any business's decision-making process. Accurate forecasting lowers risk and improves decision-making effectiveness demonstrably.
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in the decline stage of the industry life cycle a. the product may have reached obsolescence. b. the industry will grow at a rate less than the overall economy. c. the industry may experience negative growth. d. a and b only. e. a, b, and c.
The product may have reached obsolescence during the industrial life cycle's decline stage.
What is obsolescence?When something is no longer needed or maintained, even though it may still be in fine functioning order, it enters the state of obsolescence. The phrase "transition from available to unavailable from the manufacturer in line with the original specification" is used to define obsolescence in the international standard IEC 62402:2019 Obsolescence Management. Obsolescence typically happens when a substitute has emerged with, overall, more benefits compared to the drawbacks of maintaining or fixing the original. Another definition of obsolete is something that has already been abandoned, discarded, or outmoded. Usually, a slow drop in popularity comes before obsolescence. New components are produced and introduced to the market at a faster rate thanks to the quickening pace of technological progress.
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A performance report shows that the planning revenue was $240,000, the flexible budget revenue was $225,000, and actual revenue was $230,000. The activity variance is $_______.
A performance report shows that the planning revenue was $240,000, the flexible budget revenue was $225,000, and actual revenue was $230,000. The activity variance is $Unfavourable.
Activity variance is another name for the discrepancy between a project’s actual and planned progress.Numerous factors can affect the frequency of activity variance. Accurate estimations and predictions, insufficient resource planning and management, and the human element are other causes of activity variation. The activity variation with the specified planning income and fixed budget revenue is unfavourable by $15,000 dollars.An activity variance is the difference between what wasThe budgeted flexible revenue reflects what could have been reached but wasn’t, and the additional actual revenue received represents the revenue variance. expected and what really occurred during a project.
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the marginal revenue of a monopolistically competitive firm group of answer choices can be negative if the firm charges a low price and sells a large quantity of the good. can be negative if the firm charges a high price and sells a small quantity of the good. cannot be negative because the price the firm charges will always be greater than zero. will equal average revenue.
The marginal revenue of a monopolistically competitive firm option(a) can be negative if the firm charges a low price and sells a large quantity of the good.
What is marginal revenue?Marginal revenue is an increase in income resulting from the sale of an additional unit of product. Even though marginal revenue can remain constant over a certain output level, it will eventually decrease as output increases due to the law of diminishing returns.
Firms that are ambitious should produce output until marginal revenue approaches marginal cost.
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a firm has just completed a new marketing campaign and would like to measure how effective it was at increasing profits. which metric would indicate if the money spent on the campaign contributed to profits?
A business wants to gauge how successful a new marketing campaign was at boosting revenues after it recently finished. An indicator of the effectiveness of marketing campaigns is the return on marketing investment.
ROI measures the relationship between an investment's return and its cost. It is used as part of analytics and serves as a basis for creating future marketing initiatives. This makes it possible for you to identify which marketing tactics are successful and which ones should be improved.
For three key reasons, it is difficult to determine the marketing return on investment (ROI): Some marketing campaigns don't always translate into increased sales. Assessment methods for determining what counts as a marketing cost are not well-established. There are too many payback cycles to count.
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kyoto joe, incorporated, sells earnings forecasts for japanese securities. its credit terms are 1/10, net 30. based on experience, 55 percent of all customers will take the discount. a. what is the average collection period for the company? (use 365 days a year. do not round intermediate calculations and round your answer to 2 deceimal places, e.g., 32.16.) b. if the company sells 1,500 forecasts every month at a price of $1,280 each, what is its average balance sheet amount in accounts receivable? (use 365 days a year. do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
Average collection period = 0.55 (10 days) + 0.35(30 days)
Average collection period = 16 days
And the average daily balance is:
Average balance = 1,500 ($1,280)(12)(16/365)
Average balance = $1,009,972.60
What is Average collection period?
The average collection period is the amount of time it takes for a company to obtain accounts receivable payments due from its clients (AR). To make sure they have enough cash on hand to cover their financial responsibilities, businesses employ the average collection period. For businesses that largely rely on receivables for their cash flows, the average collection period is an important metric since it shows how well a company manages its accounts receivable. To make sure they have enough cash on hand to cover their financial obligations, businesses determine the average collection period.
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spot co. purchases office supplies from sally supplies, inc.. spot does not pay cash for the purchase, and now owes the amount to sally. this transaction would typically be recorded in which account in spot's books?
If spot co. purchases office supplies from sally supplies, inc.. spot does not pay cash for the purchase, and now owes the amount to sally. this transaction would typically be recorded in account payable account in spot's books.
What is account payable?Account payable can be defined as the money a company is yet to pay to their suppliers for the goods that was supplied to them.
Spot co is still owning sally supplies inc based on the fact that after receiving the goods the are yet to pay sally supplies inc which is why the transaction will be recorded as account payable in spot books and sally supplies inc will record it the transaction in their account as account receivables because they are yet to received the money for the goods they supplied to spot.co.
Which is why account payable is often treated as current liability under the balance sheet while account receivable is treated as current assets.
Therefore it will be record as account payable.
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a car costs 25750 and depriciates in value by 20% per yearf. how much will the car be worth after 5 years
The worth of the car after 5 years will be $8437.76.
What is worth?He said he wasn't sure if what he wanted to say would be helpful or appreciated after this. I don't think your father meant to offend you.Good, Valuable, or Important: refers to the worth of somethingWinner A well-written cover letter and resume are worth the effort. It takes a long time to secure a table at the restaurant, but the food is worth the wait. The movie was good, but I didn't think it was worth the fuss/hype.Values are only used after verbs like 'be', 'look'. It means 'having a certain value', especially when it comes to money: 'worth' The worth whatever price it took to get it means "It's worth" has a more abstract meaning, similar to "it's good" or "noble" or "wonderful".To learn more about worth from the given link:
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which of the following are reasons why a firm may choose to use non-financial criteria, rather than financial, to accept a strategic project? multiple select question. capture greater market share. to enhance government intervention and regulation. to develop a product that will increase sales in other more profitable areas.
To make certain the decision model contains only tangible criteria.
What are non monetary standards for project selection?Non-Financial Considerations: An company must reflect onconsideration on many non-financial factors when deciding on a project. These can encompass environmental impact, social and purchaser impact, and adherence to business enterprise goals and values
Why are non-financial elements important?By monitoring non-financial factors early, executives and managers make better decisions concerning wished adjustments. They can figure out to proceed for example, whether a purchaser service seminar is necessary. If the trouble is drastic enough, they can even determine who have to be let go.
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https://brainly.com/question/28465040#SPJ4an analyst comes across dates listed as strings in a dataset, for example december 10th, 2020. to convert the strings to a date/time data type, which function should the analyst use?
In order to convert the strings to a date/time data type, the analyst will use mdy() function. Hence, the correct choice of answer for this question is option (b)
Give a brief account on data type.In programming, a data type is a categorization that describes the kind of value a variable possesses and the kinds of mathematical, relational, or logical operations that can be performed on it without producing an error. An integer is a data type that is used to categorize whole numbers, while a string is a data type that is used to classify text.
A grouping or collection of data items is known as a data type. One may define such a grouping for a variety of purposes, including similarity, practicality, or attention-getting. Understanding complicated terminology is frequently aided by good organization. The concept of a data type is explicitly included in almost all programming languages.
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The complete question is given below :
An analyst comes across dates listed as strings in a dataset, for example December 10th, 2020. To convert the strings to a date/time data type, which function should the analyst use?
A now()
B mdy()
C datetime()
D lubridate()
question 4 (10 pts): the first design alternative (a) requires a $300,000 investment and will produce net annual revenue of $55,000 over the 10-year planning horizon. the second alternative (b) requires a $450,000 investment and will produce net annual revenue of $80,000 annually. both alternatives are expected to have negligible salvage values at the end of the 10-year planning horizon. based on a 10 percent marr and an irr comparison, which design (if any) should be chosen?
Since the incremental IRR for project B is greater than the MARR of 10% Project B should be chosen basis the incremental IRR method.
1) For IRRa, -300000+55000/(1+r)+55000/(1+r)^2+....55000/(1+r)^10=0
Or -300000+55000/(1+r)*((1-(1/(1+r)^10)/(1-(1/1+r)) gives r=12.9%=IRRa
For IRRb, -450000+80000/(1+r)*((1-(1/(1+r)^10)/(1-(1/1+r)) solving gives,r=12.1%=IRRb
Basis IRR, IRRa>IRRb hence Project A is a better basis IRR method
2. For the increment IRR method let's see the cash flows of project B vs Project A
Initial investment=450000-300000=150000
And annual revenues =80000-55000=25000
Now calculating Incremental IRR,
-150000+25000/(1+r)+....25000/(1+r)^10=0 gives -150000+25000/(1+r)*((1-(1/(1+r)^10)/(1-(1/(1+r))) solving for r gives r=0.105 or 10.5%
Incremental describes normal, measurable actions which can be usually small. on occasion, a basketball group may additionally make a big development, like a set that is 32-50 three hundred and sixty-five days after which 50-32 the following. more frequently, progress is small and tiny incremental.
Incremental innovation does not create new standards or products, because it specializes in marginal upgrades to what already exists. as an example, Gillette constantly improves its razors, including new capabilities, like more blades, heated razors, and a pivoting head.
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what is the process of determining which persons in the applicant pool possess the qualifications necessary to be successful on the job.
The selection process is the process of determining which persons in the applicant pool possess the qualifications necessary to be successful on the job.
The selection process refers to the stairs worried in selecting a person who has the right qualifications to fill a modern-day or future job starting.
Recruitment is the general method of identifying, sourcing, screening, shortlisting, and interviewing candidates for jobs inside an business enterprise. Recruitment is also the tactics worried in choosing people for unpaid roles.
Selection is deciding on the maximum suitable candidates from folks that apply for the task. it is a procedure of supplying jobs to favored applicants. as soon as the potential applicants are diagnosed, the subsequent step is to assess their qualifications, traits, enjoy, abilities, and so forth. & make the choice.
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