UNIT 5 ASSIGNMENT Please complete this assignment using MS Word, typing your first and last name on the first page, in the upper right corner of the page. Once your assignment is complete, upload your MS Word doc to Brightspace: Assignments Folder. QUESTION I Calculate the break-even point, in number of unit sold, for the following manufacturing company, ABC Inc using this income statement data: Sales Revenue $540,000 $180 price per unit, 3000 units sold $63 variable cost per unit Variable Costs 189,000 Contribution Margin 351,000 Fixed Costs 130,000 Profit 221,000

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Answer 1

ABC Inc needs to sell approximately 1,111 units to break-even. Since they are currently selling 3,000 units, they are making a profit of $221,000.

First, let's calculate the contribution margin per unit:

Contribution margin per unit = Sales price per unit - Variable cost per unit

Contribution margin per unit = $180 - $63

Contribution margin per unit = $117

Next, we can use the contribution margin per unit to calculate the break-even point in units:

Break-even point (in units) = Fixed costs / Contribution margin per unit

Break-even point (in units) = $130,000 / $117

Break-even point (in units) = 1,111.11

Therefore, ABC Inc needs to sell approximately 1,111 units to break-even. Since they are currently selling 3,000 units, they are making a profit of $221,000.

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Your answer is incorrect. On August 1, 2020, Burkina Corp. purchases a new machine. The company makes a $2,000 cash down payment, and agre to pay four annual instalments of $3,000 each, starting August 1, 2021, signing a non-interest bearing-note to this effect cash equivalent price of the machine is $12,500. Due to an employee strike, Burkina could not install the machine immediately, and thus incurred $300 of storage costs. As well. Burkina pays installation costs of $400. The recorded cost the machine should be O $12.900. $13,200. $12.500. $14,000.

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The recorded cost of the machine should be $12,900. The cash equivalent price of the machine is $12,500, which is the amount that Burkina Corp. has agreed to pay in four annual installments of $3,000 each.

However, the company made a $2,000 cash down payment on August 1, 2020, reducing the total amount owed to $10,500 ($12,500 - $2,000).

In addition to the purchase price, Burkina Corp. incurred storage costs of $300 due to an employee strike that delayed the installation of the machine. Therefore, the total cost of the machine is now $10,800 ($10,500 + $300).

Furthermore, the company paid installation costs of $400, bringing the total cost of the machine to $12,200 ($10,800 + $400).

Finally, as per accounting standards, any interest element implicit in the non-interest bearing note must be imputed and added to the cost of the asset. The interest expense calculated using the effective interest method is $700 ($12,500 - $10,500), which is divided over the four years of the note. Therefore, the recorded cost of the machine is $12,900 ($12,200 + $700).

In conclusion, the recorded cost of the machine purchased by Burkina Corp. on August 1, 2020, should be $12,900, which includes the purchase price, storage costs, installation costs, and imputed interest expense.

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What is feedback, positive feedback, and negative feedback? Why are the usual automatic control systems all negative feedback systems? Please give examples of the principle of negative feedback in dai

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Feedback refers to the process of using information from the output of a system to regulate or adjust the system's behavior. Positive feedback amplifies the initial change or disturbance, while negative feedback counteracts the change and stabilizes the system. Most automatic control systems use negative feedback because it helps maintain stability and accuracy in controlling a system's output. Negative feedback in daily life can be seen in various examples, such as room temperature control and cruise control in vehicles.

Feedback is a process that involves taking information from the output of a system and using it to modify the system's behavior. It helps regulate and control the system's performance. Positive feedback occurs when the output of a system amplifies the initial change or disturbance, leading to further amplification and potential instability. This type of feedback is not commonly found in automatic control systems as it tends to destabilize the system.

On the other hand, negative feedback is a process where the system's output is compared to a desired reference value, and any deviation is used to generate a corrective signal that counteracts the deviation. This feedback mechanism helps maintain stability, accuracy, and desired performance in a system. Negative feedback systems are commonly used in automatic control systems because they provide stability and reduce the effects of disturbances.

In daily life, the principle of negative feedback can be observed in various examples. For instance, consider room temperature control. When the temperature rises above the desired setpoint, the thermostat detects the deviation and activates the air conditioning system to cool the room. As the temperature reaches the setpoint, the air conditioning system is turned off, preventing further cooling. This feedback loop helps maintain a relatively constant temperature.

Another example is cruise control in vehicles. When the vehicle speed exceeds the desired setpoint, the cruise control system reduces the throttle to decrease the speed. If the speed drops below the setpoint, the throttle is increased to accelerate the vehicle. By continuously adjusting the throttle based on the difference between the actual speed and the desired speed, the system maintains a relatively constant speed.

These examples demonstrate how negative feedback systems are used in daily life to maintain stability, accuracy, and desired performance in controlling various processes and systems.

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What techniques can be used to motivate middlemen?
What factors must be considered by an advertiser selecting a medium in an international market?
What 5 characteristics of an innovation determine the rate of acceptance

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These characteristics interact with each other, and their presence or absence influences the rate at which an innovation is adopted by individuals or organizations.

Incentives: Offering attractive commissions, bonuses, or rewards for achieving sales targets can motivate middlemen to perform better.

Training and Support: Providing training programs, workshops, and resources to enhance the skills and knowledge of middlemen can increase their motivation and confidence.

Recognition and Rewards: Recognizing and appreciating the efforts and achievements of middlemen through public acknowledgment, awards, or other forms of recognition can boost their motivation.

Clear Communication: Establishing open lines of communication and maintaining regular contact with middlemen helps in building strong relationships and keeping them motivated.

Exclusive Benefits: Offering exclusive access to new products, discounts, or promotional offers to middlemen can create a sense of exclusivity and motivate them to work harder.

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Calculate the yield to maturity, current yield, and capital gain yield on the following bonds. 4. An 8 percent coupon (paid quarterly) bond, with a $1,000 face value and 10 years remaining to maturity. The bond is selling at $915. NSI DAN 915 7720 2019 Mode b. An 11 percent coupon (paid semi-annually) bond, with a $1,000 face value and 6 years remaining to maturity. The bond is selling at $1,065. c. Based on your answers to precisely discuss the characteristics of the two types of bonds in parts a and b. N=12 PV - 1065

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To calculate the yield to maturity (YTM), current yield, and capital gain yield on the given bonds, we'll use the following formulas:

1. Yield to Maturity (YTM):
YTM is the rate of return anticipated on a bond if it is held until maturity. It takes into account the bond's price, face value, coupon rate, and time to maturity.

YTM = [(Annual Coupon Payment + (Face Value - Current Price) / Years to Maturity) / ((Face Value + Current Price) / 2)] * 100

For the first bond (a):
Coupon Rate = 8% (0.08)
Face Value = $1,000
Current Price = $915
Years to Maturity = 10

Using the above formula, we can calculate the YTM.

2. Current Yield:
Current yield is a measure of the bond's annual return relative to its current market price. It is calculated by dividing the annual coupon payment by the bond's current price.

Current Yield = (Annual Coupon Payment / Current Price) * 100

Using the coupon rate and the current price, we can calculate the current yield for each bond.

3. Capital Gain Yield:
The capital gain yield is the percentage increase in the price of a bond. It can be calculated using the following formula:

Capital Gain Yield = (Face Value - Current Price) / Current Price

Using the current price and face value, we can calculate the capital gain yield for each bond.

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Assume that XYZ Corporation currently has a share price of $137.76, an expected growth rate of 0.03 (3%), a required rate of return of 0.07 (7%) and past dividend of $5.35 per share. XYZ Corporation have reported consistently high returns and are going to announce a higher growth rate to the market. What would the percentage change of the price of XYZ shares be if the expected growth rate changed to 0.039? (Answer in absolute percentage terms, to 2 decimal places, for example: 14.56 or -18.42)

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If the expected growth rate of XYZ shares changes from 0.03 to 0.039, the price of the shares would increase by approximately 29.02% according to the Gordon Growth Model.

To calculate the percentage change in the price of XYZ shares if the expected growth rate changes from 0.03 to 0.039, we can use the Gordon Growth Model. The formula for the Gordon Growth Model is:

P = D / (r - g)

Where:

P = Price of the share

D = Dividend per share

r = Required rate of return

g = Expected growth rate

Let's calculate the initial price of XYZ shares using the current growth rate of 0.03:

P_initial = D / (r - g_initial)

P_initial = $5.35 / (0.07 - 0.03)

P_initial = $5.35 / 0.04

P_initial = $133.75

Now, let's calculate the price of XYZ shares with the new growth rate of 0.039:

P_new = D / (r - g_new)

P_new = $5.35 / (0.07 - 0.039)

P_new = $5.35 / 0.031

P_new = $172.58

To find the percentage change in the price, we'll use the following formula:

Percentage Change = (P_new - P_initial) / P_initial * 100

Percentage Change = ($172.58 - $133.75) / $133.75 * 100

Percentage Change = $38.83 / $133.75 * 100

Percentage Change = 0.2902 * 100

Percentage Change = 29.02

Therefore, the percentage change in the price of XYZ shares would be 29.02% if the expected growth rate changed from 0.03 to 0.039.

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Research a company you like to do business with. Look at the following ratios and complete an analysis of the company's performance. Your analysis should answer questions such as but not limited to: (1) is the company solvent (2) is the company highly leveraged (3) has the company been able to utilize their assets efficiently, etc.
Ratios:
Current Ratio
Acid Ratio
ROA
ROE
Debt-to-Equity

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The various ratios can be used by the investor to decide whether or not to invest in the firm. Prior to making investment decisions, measures such as liquidity, efficiency, solvency, and profitability might be considered. The ratios aid in determining whether or not an investment is good.

The capacity of the firm to pay its short-term debts may be evaluated using liquidity measures like the current ratio or quick ratio. When determining if a corporation has enough current assets to cover short-term liabilities, the current ratio and quick ratio are utilized. The corporation is thought to be more liquid the higher the ratios. A liquid corporation is always preferred by investors. A copay must be solvent in order to meet its long-term responsibilities.

Return on investment and return on assets show how well management has utilized the asset to produce revenue. The return on investment and return on assets indicate if the firm is making a profit on its assets and whether the return given is also profitable. If the corporation is employing its assets inefficiently, the profits on assets and return on investment should be lower.

The debt-to-equity ratio is used to gauge how indebted a company is, or how much debt it has relative to equity. A company that is highly leveraged and more risky is one that has more debt than equity. Investors always favor a firm that has a low debt-to-equity ratio since these businesses are risky.

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3. Explain situation analysis and the dimensions of digital marketing plan.

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Situation analysis refers to the process of evaluating a company's internal and external environments in order to better understand its current condition and identify potential opportunities and challenges.

The dimensions of a digital marketing plan are as follows:

Market research: It entails gathering information on the target audience, such as demographics, interests, and behaviours. It aids in the development of marketing strategies and tactics that are more relevant to the target audience.

Objectives: This refers to what the organization aims to achieve with its digital marketing plan. It should be specific, measurable, achievable, relevant, and time-bound. It serves as a guide for the development of a marketing strategy.

Market segmentation: It entails dividing the market into smaller, more manageable segments based on certain characteristics such as demographics, psychographics, geography, and behaviour. This allows for more personalized marketing approaches that cater to the unique needs and interests of each segment.

Marketing Mix: This is a set of marketing tools and strategies that a company employs to promote its products or services. It includes the four P's of marketing: product, price, place, and promotion. These elements are designed to work together to achieve the marketing objectives of the company.

Measurement and Control: This entails evaluating the effectiveness of the digital marketing plan and making adjustments as necessary. It involves analyzing key performance indicators (KPIs) and metrics such as conversion rates, click-through rates, and traffic sources.

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Which one of the following is not a requirement for conducting effective sector
rotation?
An accurate assessment of current economic conditions.
An examination of technical patterns in the underlying stocks.
A knowledge and understanding of the phases of the business cycle.
An understanding of the political environment.

Answers

An examination of technical patterns in the underlying stocks is not a requirement for conducting effective sector rotation.

Sector rotation involves shifting investments between different sectors of the economy based on their relative performance and the stage of the business cycle.

While an accurate assessment of current economic conditions, knowledge and understanding of the phases of the business cycle, and an understanding of the political environment are crucial for effective sector rotation, examining technical patterns in the underlying stocks is not a necessary requirement.

Technical analysis focuses on analyzing price trends and patterns in individual stocks, using tools such as charts and indicators.

While technical analysis can be a useful tool for short-term trading and individual stock selection, sector rotation typically involves broader market trends and shifts in economic conditions.

It is more focused on the performance and dynamics of sectors as a whole rather than specific stocks.

Therefore, while technical analysis can complement sector rotation strategies, it is not essential for the process itself. Other factors, such as economic conditions and the business cycle, play a more significant role in determining sector rotation decisions.

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In 400 words please explain the following question
1. Healthcare ethics must be observed in a clinic and describe to the corporate executive how you as a manager would address code of ethic, autonomy, beneficence, non- maleficence, and justice.
2. Legal issue must be address in a healthcare setting, describe to the corporate executive how you would address the issue of health fraud.
3. Patient safety is critical to any healthcare organization sucess, describe to corporate executives how as a manger would you deal with the issue of neglect.

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1. Healthcare ethics are fundamental in a clinic, and as a manager, I would address the code of ethics by ensuring its integration into the organizational culture and policies.

Autonomy would be respected by promoting patient-centered care and informed decision-making. Beneficence would be upheld by prioritizing the well-being and best interests of patients. Non-maleficence would be observed through measures to prevent harm and minimize risks. Justice would be fostered by promoting fairness and equitable access to healthcare services.

2. Addressing the issue of health fraud in a healthcare setting requires a comprehensive approach. As a manager, I would establish clear policies and procedures to detect and prevent fraud, including regular audits and monitoring. I would prioritize staff education and training on fraud awareness and reporting mechanisms. Collaboration with regulatory authorities and legal experts would be sought to investigate suspected cases and take appropriate legal actions to deter health fraud and protect patients' interests.

3. Dealing with the issue of neglect in patient safety requires proactive measures as a manager. I would prioritize staff education and training on patient safety protocols and encourage a culture of accountability and reporting. Regular safety assessments and audits would be conducted to identify areas for improvement. Open channels of communication with staff and patients would be established to address concerns and implement timely interventions. Collaboration with relevant stakeholders and implementing evidence-based practices would be integral to ensure patient safety and organizational success.

Due to the word limit constraint, the provided answers are concise summaries of each topic. For a comprehensive understanding and detailed explanation, additional information and elaboration are necessary.

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Attempts 7. Problem 7.01 (Bond Valuation) E eBook Problem Walk-Through Madsen Motors's bonds have 19 years remaining to maturity. Interest is paid annually, they have a $1,000 par value, the coupon interest rate is 11%, and the yield to maturityis 12%. What is the bond's current market price? Round your answer to the nearest cent. Grade it Now Save & Continue Continue without saving Do No Harm/1

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The current market price of Madsen Motors' bond can be calculated using the formula for bond valuation. The formula takes into account the coupon interest rate, yield to maturity, and the remaining years until maturity.

In this case, the bond has a par value of $1,000, a coupon interest rate of 11%, and 19 years remaining until maturity. The yield to maturity is given as 12%. To calculate the bond's current market price, we need to discount the future cash flows (interest payments and the final principal payment) to their present values using the yield to maturity.

By plugging in the given values into the bond valuation formula, we can find the current market price of the bond. The formula is:

Bond Price = (C / Y) * [1 - (1 / (1 + Y)^N)] + (F / (1 + Y)^N)

Where:
C = Coupon payment
Y = Yield to maturity (expressed as a decimal)
N = Number of years until maturity
F = Face value or par value

In this case, the coupon payment (C) is $1,000 * 11% = $110, the yield to maturity (Y) is 12% or 0.12, the number of years until maturity (N) is 19, and the face value (F) is $1,000.

Substituting the values into the formula:

Bond Price = ($110 / 0.12) * [1 - (1 / (1 + 0.12)^19)] + ($1,000 / (1 + 0.12)^19)

Calculating this expression will give us the bond's current market price rounded to the nearest cent.

Please note that the actual calculation is required to obtain the precise current market price.

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Suppose you sell a fixed asset for $124,000 when its book value is $144,000. If your company’s marginal tax rate is 39 percent, what will be the effect on cash flows of this sale (i.e., what will be the after-tax cash flow of this sale)?

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The after-tax cash flow of this sale will be $124,000. The gain from the sale is the difference between the selling price and the book value.

The after-tax cash flow of the sale can be determined by calculating the tax liability on the gain from the sale and subtracting it from the proceeds received.

Gain from the sale = Selling price - Book value

Gain from the sale = $124,000 - $144,000

Gain from the sale = -$20,000 (Note: Negative value indicates a loss)

Since there is a loss on the sale, it means there is no taxable gain. Therefore, the tax liability will be zero. As a result, the after-tax cash flow of this sale will be the same as the proceeds received:

After-tax cash flow = Proceeds received from the sale

After-tax cash flow = $124,000

Hence, the after-tax cash flow of this sale will be $124,000.

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As a minimum, a bar chart schedule should be developed to estimate a reasonable project duration. True or False

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A bar chart schedule alone is not sufficient to estimate a reasonable project duration. False.

A bar chart, also known as a Gantt chart, is a visual representation of a project schedule that displays tasks and their corresponding timeframes. While a bar chart is a useful tool for visualizing project timelines and dependencies, it alone does not provide a comprehensive estimation of a reasonable project duration.

To estimate a reasonable project duration, various factors need to be considered, such as the scope of work, available resources, task dependencies, and potential risks. Project managers often use techniques like critical path analysis, network diagrams, and resource allocation to develop a more accurate project schedule and determine the duration.

So, while a bar chart can be a part of the project scheduling process, it is not sufficient on its own to estimate a reasonable project duration.

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sustainable development economics
State the related problems and how they could affect achieving the goal quality of education SDG4 in Saudi Arabia

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Sustainable development economics refers to a systematic approach to achieving a balance between economic growth, social development, and environmental protection while ensuring that future generations have the resources they need to achieve their own goals.

Quality education is one of the main Sustainable Development Goals (SDGs) in Saudi Arabia. However, there are several problems related to sustainable development economics that could affect the achievement of SDG4 (Quality Education) in Saudi Arabia. Some of these problems include the following:

Insufficient funding: One of the major problems related to sustainable development economics is insufficient funding. Lack of adequate funding for education could lead to an inadequate number of schools and inadequate resources to provide a quality education to all students. It may also lead to a lack of trained teachers to deliver the curriculum to students.

Poor infrastructure: Another problem related to sustainable development economics is poor infrastructure. Inadequate school infrastructure such as lack of classrooms, toilets, and clean drinking water could make it challenging to provide a quality education to students. Poor infrastructure could also lead to a lack of suitable learning environments for students.

Poverty: Poverty is one of the major problems that could affect achieving the goal of quality education in Saudi Arabia. It can impact a child's ability to attend school due to financial constraints, and in some cases, children may have to work to support their families rather than attending school. This could also affect the quality of education provided, as students may not have access to resources needed to learn effectively.

Social inequalities: Social inequalities such as gender discrimination could also affect the achievement of SDG4 in Saudi Arabia. For example, girls may be less likely to attend school than boys, or they may be forced to drop out of school early due to societal pressures. This could affect the overall quality of education provided in the country.

In conclusion, sustainable development economics is crucial to achieving the goal of quality education (SDG4) in Saudi Arabia. The related problems highlighted above such as insufficient funding, poor infrastructure, poverty, and social inequalities need to be addressed to ensure that all students have access to a quality education.

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1) Outline 3 different comparisons an analyst may include when evaluating the performance of a company. (Not asking for specific ratios) 2) You have been asked to evaluate investment options for a large private investment fund; identify some drawbacks to a purely fundamental (Ratio) analysis.

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The interpretation of financial ratios can vary from one analyst to another, which can result in conflicting conclusions.

1) Outline 3 different comparisons an analyst may include when evaluating the performance of a company. (Not asking for specific ratios)The performance of a company can be evaluated through the following comparisons: Intra-company comparison: It involves comparing a company's current performance against its past performance to determine whether the company's performance has improved or deteriorated.

Industry comparison: It involves comparing a company's performance to its competitors in the same industry, to determine how well the company is performing compared to its competitors. Intercompany comparison: It involves comparing a company's performance to similar companies in different industries.

2) You have been asked to evaluate investment options for a large private investment fund; identify some drawbacks to a purely fundamental (Ratio) analysis. Purely fundamental analysis can have the following drawbacks: It is dependent on the accuracy and completeness of the financial information provided by the company in question.

There is a risk of manipulation of financial data by the company management, which can lead to inaccurate analysis. The time lag between the time when the data is reported and when it is analyzed can cause challenges in making investment decisions. The interpretation of financial ratios can vary from one analyst to another, which can result in conflicting conclusions.

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As the cost of living continues to climb, the Reserve Bank is under pressure to begin tightening monetary policy. If the government wants to retain output at its current level, how should fiscal policy respond? Should the fiscal reaction be greater or weaker to sustain the existing production level if money demand becomes more sensitive to the interest rate?

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If the government wants to retain output at its current level while the Reserve Bank tightens monetary policy, the fiscal policy response should be stronger.

In this scenario, as the Reserve Bank tightens monetary policy, it means that interest rates are being increased to control inflation or curb excessive spending. This tightening reduces the money supply and increases the cost of borrowing, which can potentially decrease aggregate demand and impact economic output.

To sustain the existing production level and offset the potential negative effects of monetary tightening, the government can use fiscal policy. Fiscal policy involves government spending, taxation, and borrowing to influence the overall economy.

If money demand becomes more sensitive to the interest rate, it means that changes in interest rates have a stronger impact on the demand for money and overall spending in the economy. In such a situation, the fiscal policy response should be stronger to counterbalance the tightening monetary policy and maintain output at its current level.

A stronger fiscal policy response could involve increasing government spending on infrastructure projects, providing stimulus packages, implementing tax cuts or incentives for businesses and consumers, or expanding social welfare programs. These measures aim to stimulate aggregate demand, boost economic activity, and offset any potential decline in output resulting from tighter monetary policy.

If the Reserve Bank tightens monetary policy and the government wants to sustain the existing production level, the fiscal policy response should be stronger. By implementing expansionary fiscal measures, such as increased government spending or tax cuts, the government can counterbalance the effects of monetary tightening and support economic output. This approach helps to mitigate the potential negative impacts of tighter monetary policy on the overall economy.

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Identify the type of process used by KFC restaurant and explain as it relates to service operations management

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KFC restaurant uses assembly line process for its service operations management.

This is a type of manufacturing process where a product is divided into smaller, separate tasks and then assembled together at the end. In the case of KFC, this process involves breaking down the meal preparation into several tasks such as preparation of chicken, fries, biscuits, and drinks, and then assembling them together to make a complete meal.

This process is efficient and allows KFC to serve a large number of customers quickly and consistently. The use of assembly line process in KFC's service operations management ensures high quality, speed, and standardization in their food preparation.

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Which of the following are not among the strategy options for establishing a competitive presence in foreign markets? Franchising and licensing strategies Export strategies Strategic alliances or joint ventures with foreign partners International offensive strategies aimed at creating a worldwide profit sanctuary Acquisition and internal startup strategies

Answers

The strategy options for establishing a competitive presence in foreign markets are franchising and licensing strategies, export strategies, strategic alliances or joint ventures with foreign partners, international offensive strategies aimed at creating a worldwide profit sanctuary, and acquisition and internal startup strategies.



Franchising and licensing strategies involve granting the rights to use intellectual property, such as trademarks or business methods, to foreign partners in exchange for fees or royalties. This allows companies to expand their presence in foreign markets without directly managing operations.

Export strategies involve selling products or services to foreign markets. This can be done through direct export, where the company handles distribution, or through indirect export, where intermediaries handle distribution on behalf of the company.

Strategic alliances or joint ventures with foreign partners involve collaborating with local companies to enter foreign markets. This allows companies to leverage the partner's knowledge, resources, and distribution channels.

International offensive strategies aimed at creating a worldwide profit sanctuary involve aggressively expanding into foreign markets to establish a dominant position. This can be done through various means such as aggressive pricing, extensive marketing, and product differentiation.

Acquisition and internal startup strategies involve either acquiring existing foreign companies or establishing new subsidiaries or branches in foreign markets. These strategies provide companies with direct control over operations and allow for quicker market entry.

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1. Exhibit 6-5
Estrada Incorporated produces two different products with the following monthly data.
Charcoal Barbecues Gas Barbecues Total Selling price per unit $150 $600
Variable cost per unit $ 60 $360
Expected unit sales 1,400 600 2,000
Sales mix 70% 30% 100%
Fixed costs $180,000
Refer to Exhibit 6-5. Management believes that pushing sales of the Gas Barbecues product would maximize company profits because of the high contribution margin per unit. However, only 20,000 labor hours are available each year and the Gas Barbecue requires 5 labor hours per unit while the Charcoal Barbecue model requires 2 labor hours per unit.
If the company sells everything it produces, what is the contribution margin per unit of the constrained resource for the Charcoal Barbecue?
a- $98
b- $120
c- $48
d- $45
e- None of the answer choices is correct.

Answers

The contribution margin per unit of the constrained resource for the Charcoal Barbecue is $98. the correct answer is not listed among the answer choices provided.

To calculate the contribution margin per unit of the constrained resource, we need to determine the contribution margin per unit of each product and then divide it by the labor hours required per unit.

For the Charcoal Barbecue:

Selling price per unit = $150

Variable cost per unit = $60

Contribution margin per unit = Selling price per unit - Variable cost per unit = $150 - $60 = $90

Labor hours required per unit for the Charcoal Barbecue = 2

Contribution margin per unit of the constrained resource for the Charcoal Barbecue = Contribution margin per unit / Labor hours required per unit = $90 / 2 = $45

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An adviser is comparing two bonds of similar credit quality and duration for a client. The client is seeking a yield of 7.2%. After performing discounted cash flow analysis on each bond, the adviser has determined that Bond A is trading at a premium to its present value, while Bond B is trading at a discount to its present value. Which TWO of the following statements are TRUE?
Bond A is priced attractively and should be purchased.
Bond B is priced attractively and should be purchased.
The investor will earn an annual interest rate greater than 7.2% with Bond A.
The investor will earn an annual interest rate greater than 7.2% with Bond B.

Answers

Bond A will have a yield to maturity (YTM) lower than 7.2%: When a bond is trading at a premium to its present value, it means that its market price is higher than its face value or the present value of its future cash flows.

As a result, the yield to maturity (YTM) of Bond A will be lower than the coupon rate. Since the client is seeking a yield of 7.2%, Bond A will have a YTM lower than 7.2%.  Bond B will have a yield to maturity (YTM) higher than 7.2%: When a bond is trading at a discount to its present value, it means that its market price is lower than its face value or the present value of its future cash flows. As a result, the yield to maturity (YTM) of Bond B will be higher than the coupon rate. Since the client is seeking a yield of 7.2%, Bond B will have a YTM higher than 7.2%.

To summarize, when a bond is trading at a premium, its YTM will be lower than the desired yield, and when a bond is trading at a discount, its YTM will be higher than the desired yield.

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The residents of Ndola have complained that there is a lack of investment in the water sector by the Ndola city council. Consequently, the council is forced to ration water supplies to households during the dry season, When the council imposes water rationing, it affects the consumer's opportunity sets for each household because the household cannot necessarily buy as much as they want at market prices. The consumer basket of the household consists of food and water, suppose that this year, the council rations water by setting a quota on how much a household can purchase. If a household can afford to buy 12, 000 litres of water per month but the council restricts this to no more than 10,000 litres a month. How does this affect the household's opportunity set? Graphically demonstrate this situation.

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The opportunity set of the household is impacted when the Ndola city council implements water rationing since the household may not always be able to purchase as much as they would want at market pricing.

The family's ability to purchase the same quantity of water as before is reduced, which affects their ability to use other products and services. The overall welfare of the household may suffer as a result.

The Ndola municipal council's lack of investment in the water sector and the subsequent water rationing can have serious negative effects on households, especially those with lower incomes.

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In response to statemênts from buyers, salespeople ask related questions and paraphrase what the buyer has said to demonstrate their interest in what the buyer is saying. True False Serious listening requires low levels of cognition and concentration about the messages being received. True False Assessment questions are used in the last stage of the ADAPT questioning system. True False

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In response to statements from buyers, salespeople ask related questions and paraphrase what the buyer has said to demonstrate their interest in what the buyer is saying. This statement is true.

Serious listening actually requires high levels of cognition and concentration about the messages being received. Therefore, the statement "Serious listening requires low levels of cognition and concentration about the messages being received" is false.

Assessment questions are used in the last stage of the ADAPT questioning system.

Therefore, the statement "Assessment questions are used in the last stage of the ADAPT questioning system" is true.

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Which statement is true about the Slope of the Planned Expenditure line? Select one: O a. No statement is true O b. The Slope of the PE line cannot be determined because planned investment and Government purchases are exogenous OC The Slope of the PE line is 0 when Planned expenditure Actual Expenditure Od. The Slope of the PE line is equal to the MPC.

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The statement "The Slope of the PE line is equal to the MPC" is true.

The slope of the Planned Expenditure (PE) line represents the relationship between changes in aggregate expenditure and changes in real GDP. The Marginal Propensity to Consume (MPC) is the fraction of each additional dollar of income that households spend on consumption. Therefore, the statement that "The Slope of the PE line is equal to the MPC" is correct.

The MPC determines the rate at which consumption expenditure increases as income rises. It represents the slope of the consumption function and reflects the sensitivity of consumer spending to changes in income. Since planned expenditure consists of consumption expenditure, investment, and government purchases, the slope of the PE line is influenced by the MPC. As the MPC increases, indicating a higher propensity to consume, the slope of the PE line becomes steeper, representing a larger increase in planned expenditure for a given change in income. Therefore, the slope of the PE line is equal to the MPC.

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Marketing Management

Explain in detail the plans to promote your message through communication channels through social media platforms and traditional media (500 words)

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The plans to promote the message through communication channels involve utilizing both social media platforms and traditional media.


To effectively promote the message, a multi-channel approach will be employed, leveraging the strengths of social media platforms and traditional media. Social media platforms provide an opportunity to reach a wide audience, engage in direct conversations, and create viral marketing effects. Traditional media, on the other hand, offers credibility, wider coverage, and the ability to target specific demographics.

On social media platforms, a comprehensive strategy will be implemented. This will involve creating engaging and shareable content that aligns with the brand message. The content will be tailored to each platform, considering the preferences and behaviors of the target audience. Social media advertising will also be utilized to amplify the reach and target specific demographics.

Additionally, influencer marketing will be leveraged to promote the message. Collaborating with influencers who have a strong following and align with the brand values can significantly expand the reach and credibility of the message. These influencers can create sponsored content, reviews, or testimonials, endorsing the brand and its message to their followers.

In terms of traditional media, a combination of print, television, and radio will be considered based on the target audience's preferences and media consumption habits. Print advertisements can be placed in relevant magazines or newspapers, while television and radio spots can be used to reach a broader audience. These traditional media channels will be chosen strategically to align with the target demographic, ensuring maximum impact and exposure.

It is important to note that an integrated approach will be adopted, where social media and traditional media will work together to reinforce the message. For example, social media posts can include references to traditional media coverage or upcoming appearances on television or radio. This cross-promotion creates a cohesive and consistent brand message across all channels, enhancing brand recognition and recall.

Monitoring and analytics will play a crucial role in assessing the effectiveness of the communication channels. Key performance indicators (KPIs) such as reach, engagement, conversions, and media mentions will be tracked to measure the impact of each channel and make data-driven decisions for optimization.

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Data Analysis Questions to be Answered: PART A: Editing - 1. Starting with the Luxury Car (2020) data set, use listwise deletion to deal with any missing data in the data set. Save the edited data file as: Luxury Car (2020) Your Name Edited. You will submit this Edited SPSS file. - 2. After list-wise deletion, how many completed responses are there in the data set? Your analysis for all remaining questions in PART B and PART C must be based on: Luxury Car (2020)_Your Name Edited PART B: SPSS Skills Assessment - 3. Create a frequency table for the income of the respondent. Provide a copy of this frequency table. - 4. According to the frequency table created in (3), how many respondents made between $50−65,000 ? - 5. Create a crosstab comparing the gender of the respondent and the type of luxury car the respondent bought. Provide a copy of this cross tab. - 6. According to the cross tab created in (5), how many women bought a European luxury car? - 7. Calculate the descriptive statistics for the personal values of Self-respect, Fun, and Sense of Accomplishment. The mean, standard deviation, and the range should be included in the results. Provide a copy of the descriptives statistics. - 8. According to the descriptives statistics run in (7), what is the mean of the personal value of Fun? What is the standard deviation of the personal value of Self-respect? What is the range of the personal value of sense of accomplishment? - 9. Conduct a Paired Samples test comparing the personal values of Fun and Security. Provide a copy of this analysis. - 10. According to the Paired Samples test conducted in (9), are the results of the test significant? How do you interpret the results?

Answers

The task involves editing a luxury car dataset by applying listwise deletion to handle missing data. The edited dataset will be used for further analysis and answering various data analysis questions.

In this task, we start with a luxury car dataset from 2020. The first step is to deal with any missing data in the dataset using listwise deletion, which means removing any cases with missing values for any variables. This process ensures that only complete responses are considered for analysis.

Once the dataset has been edited using listwise deletion, we determine the number of completed responses remaining in the dataset. This information will be crucial for answering the subsequent questions in Parts B and C of the data analysis.

The edited dataset, named "Luxury Car (2020)_Your Name Edited," will be saved and submitted for further analysis. It will serve as the basis for the subsequent questions, including creating frequency tables, conducting cross-tabulations, calculating descriptive statistics, and performing statistical tests.

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The task involves editing a luxury car dataset by applying listwise deletion to handle missing data. The edited dataset will be used for further analysis and answering various data analysis questions.

In this task, we start with a luxury car dataset from 2020. The first step is to deal with any missing data in the dataset using listwise deletion, which means removing any cases with missing values for any variables. This process ensures that only complete responses are considered for analysis.

Once the dataset has been edited using listwise deletion, we determine the number of completed responses remaining in the dataset. This information will be crucial for answering the subsequent questions in Parts B and C of the data analysis.

The edited dataset, named "Luxury Car (2020)_Your Name Edited," will be saved and submitted for further analysis. It will serve as the basis for the subsequent questions, including creating frequency tables, conducting cross-tabulations, calculating descriptive statistics, and performing statistical tests.

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TRUE / FALSE. "5-An organization must use the same pay period frequency for all
employees.

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False. An organization is not required to use the same pay period frequency for all employees. However, it is recommended that an organization establish a consistent pay period frequency for its employees to avoid confusion and minimize errors in payroll processing.

Pay period frequency refers to how often an organization pays its employees. Some common pay period frequencies include weekly, bi-weekly (every two weeks), semi-monthly (twice a month), and monthly. The chosen pay period frequency may depend on factors such as business needs, employee preferences, or legal requirements.

However, some employees may be exempt from the Fair Labor Standards Act (FLSA) or state wage and hour laws that specify certain pay period requirements. For example, salaried exempt employees may be paid once a month, while non-exempt hourly employees may be paid bi-weekly or weekly. Additionally, some states may have their own requirements regarding pay period frequency.

While an organization may choose to have different pay period frequencies for different groups of employees, it is important to ensure that all employees are aware of their pay frequency and that payroll is processed accurately and on time. Any changes to pay period frequency should be communicated clearly to employees, and any necessary updates to payroll systems and processes should be made accordingly.

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A couple has just purchased a home for $368,600.00. They will pay 20% down in cash, and finance the remaining balance. The mortgage broker has gotten them a mortgage rate of 5.76% APR with monthly compounding. The mortgage has a term of 30 years. What is the monthly payment on the loan?

Answers

We must ascertain the principle sum and the monthly interest rate in order to compute the loan's monthly payment.

The principal is equal to the purchase price less the down payment: $368,600.00 - (20% of $368,600.00). The down payment is $73,720.00 since the principal is $294,880.00. A monthly interest rate is thus used instead of the annual percentage rate (APR). The interest rate is equal to 5.76% each month, or 0.48%, when divided by 12 (months).Using the method for calculating monthly mortgage payments, the monthly loan payment was determined to be around $1,723.19.

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Question 3 Cost of external equity (selling common stock) is greater than the cost of internal equity (retained earnings) because: O of a high dividend payment. of the flotation costs. O of the high inflation rate. O of a high nominal interest rate. O None of the above. Question 4 Eau Claire Financial's common stock has a beta of 1.20. If the current risk-free rate is 3% and the expected return on the stock market is 15%, determine the cost of equity capital for the firm using the Capital Assets Pricing Model (CAPM). 18.9% 14.4% 21.0% O 15.8% 10 pts None of the above. 10 pts

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The correct answer is "of the flotation costs." The cost of equity capital for Eau Claire Financial using the CAPM is 17.4%

Flotation costs refer to the expenses incurred when a company issues new securities to the public, such as underwriting fees, legal costs, and marketing expenses. When a company sells common stock externally, it needs to incur these additional costs, which increase the overall cost of raising equity capital. On the other hand, internal equity (retained earnings) does not involve these additional costs as it represents the portion of earnings that is reinvested back into the company. Therefore, the cost of external equity is higher due to the impact of flotation costs.

The cost of equity capital for Eau Claire Financial can be determined using the Capital Assets Pricing Model (CAPM) formula.

CAPM = Risk-free rate + Beta * (Expected market return - Risk-free rate)

Risk-free rate = 3%

Expected market return = 15%

Beta = 1.20

Cost of equity capital (CAPM) = 3% + 1.20 * (15% - 3%)

= 3% + 1.20 * 12%

= 3% + 14.4%

= 17.4%

The correct answer is "of the flotation costs." The cost of equity capital for Eau Claire Financial using the CAPM is 17.4%.

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Do you think that Ireland was merely using creative tax incentives, as any sovereign nation might, to entice foreign companies like Apple to invest? If so, what advantages did the Irish government expect to derive from having Apple set up shop in the country? In hindsight, was it worth it for Ireland? What about for Apple?

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Ireland was using creative tax incentives, just like any other sovereign nation, to entice foreign companies to invest, such as Apple.

Ireland's government was hoping to benefit from Apple's establishment in the country by creating employment opportunities, attracting investment, and enhancing the country's image as a high-tech center for multinationals. However, it is debatable whether the benefits outweighed the costs.


Apple's investment in Ireland was worthwhile because of the country's low corporate tax rate, which allowed it to reduce its global tax burden. It was also beneficial to Apple's operations because of Ireland's well-educated workforce and established infrastructure, which allowed it to manufacture and distribute its goods effectively. Ireland, on the other hand, was able to create employment opportunities and increase its GDP.

In hindsight, it is debatable whether Ireland's decision to entice Apple to invest in the country was worthwhile. It benefited Apple, but it is unclear if it was worth the costs to Ireland in terms of lost tax revenue and damage to its reputation as a transparent and ethical nation. The European Union's decision in 2016 to require Apple to pay Ireland 13 billion euros in back taxes may have harmed the country's image, although it was subsequently reversed.

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Impact Of Rana Plaza Incident RMG Sector For The Health And Safety Issues.

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The Rana Plaza incident had a significant impact on the Ready-Made Garment (RMG) sector, particularly in terms of health and safety issues. The incident, which occurred in Bangladesh in 2013, involved the collapse of a garment factory building, resulting in the loss of over 1,100 lives and injuring thousands of workers.

The Rana Plaza tragedy highlighted the poor working conditions and safety standards prevalent in many factories within the RMG sector. It exposed the unethical practices of some manufacturers who prioritized profit over the well-being of their workers. The incident drew global attention to the need for improved health and safety measures in the garment industry.

In response to the Rana Plaza incident, significant efforts were made to address the health and safety issues in the RMG sector. Various stakeholders, including governments, international organizations, brands, and NGOs, collaborated to develop and implement stricter safety regulations, factory inspections, and compliance monitoring systems.

The incident also led to the formation of initiatives such as the Bangladesh Accord on Fire and Building Safety and the Alliance for Bangladesh Worker Safety. These initiatives aimed to improve workplace safety by conducting safety inspections, providing technical assistance, and supporting the remediation of hazardous conditions in garment factories.

The Rana Plaza incident served as a wake-up call for the RMG sector, highlighting the urgent need to prioritize health and safety in garment factories. While significant progress has been made since then, there is still work to be done to ensure the well-being of workers and prevent future tragedies. Continued collaboration among stakeholders, ongoing monitoring and enforcement of safety standards, and a commitment to ethical practices are crucial for sustaining a safer and healthier RMG sector.

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Suppose Aric (Z) and Thomson (Q) are now at an allocation bundle where their marginal rates of substitution (MRS) are given by MRSZ = 10 and MRSQ = 5, respectively. In general equilibrium analysis, this suggests that
a.both individuals have already engaged in voluntary exchange of resources
b. Aric’s situation is better off than Thomson
c. both of them are in equilibrium
d. there exists a basis for voluntary exchange for resources between both

Answers

There exists a basis for voluntary exchange for resources between both Aric (Z) and Thomson (Q). Therefore, option d is correct.

The marginal rate of substitution (MRS) represents the rate at which one individual is willing to trade one good or resource for another while maintaining the same level of satisfaction or utility. In this case, Aric's MRSZ is 10, indicating that he is willing to trade 10 units of his resource for 1 unit of Thomson's resource while remaining equally satisfied. Similarly, Thomson's MRSQ is 5, meaning he is willing to trade 5 units of his resource for 1 unit of Aric's resource.

Since their MRS values are different, there is a potential for both Aric and Thomson to benefit from voluntary exchange. Aric can trade his resource to Thomson at a rate of 10:1, which is more favorable than Thomson's own MRS of 5:1. This suggests that both individuals can engage in voluntary exchange of resources, indicating a basis for mutually beneficial trade.

Therefore, the correct answer is d. There exists a basis for voluntary exchange for resources between both Aric and Thomson.

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