Which of the following regarding corporate purpose is NOT correct? A A company discovers its purpose while establishing what would help create a moral bond between the company, its customers, and its suppliers B The corporate purpose sets out how the company can improve the status of its stakeholders and the broader society while also maximising shareholder value C The corporate purpose defines why a company exists and it provides ethical guidance for the business D I do not want to answer this question E A company without a corporate purpose will have more trouble drawing and keeping talented staff or connecting with the constituents 22. It is a good idea to check if a takeover will be accretive or dilutive to earnings because: A It is an established method that is widely relied on as a soundness test of the transaction B This would indicate if the deal would make only strategic or accounting sense, or both C This approach accurately calculates the exact contribution of every single synergy to the combined value D It is based on accounting information so it will directly translate into the correct future earnings value E I do not want to answer this question

Answers

Answer 1

Regarding corporate purpose, the following is NOT correct: A company discovers its purpose while establishing what would help create a moral bond between the company, its customers, and its suppliers.

What is the reason?

Corporate purpose defines why a company exists and provides ethical guidance for the business. Corporate purpose is not discovered, but rather set and maintained as a guide for a company.

It aims to explain the company's fundamental reason for being. It should also represent the business's broader social purpose, as well as its mission, values, and strategies. It also provides ethical guidance for a company on what is and is not acceptable in its operations.

A company without a corporate purpose will have more trouble drawing and keeping talented staff or connecting with the constituents. Thus, corporate purpose is critical for companies as it sets out how the company can improve the status of its stakeholders and the broader society while also maximizing shareholder value and achieving success in the long run.

As for the second question, it is a good idea to check if a takeover will be accretive or dilutive to earnings because this would indicate if the deal would make only strategic or accounting sense, or both. A deal would be considered accretive if it increases earnings per share, while it is dilutive if it decreases earnings per share.

When an acquiring company's earnings per share are expected to rise as a result of the acquisition, it is said to be accretive. In contrast, if an acquiring company's earnings per share are expected to decline as a result of the acquisition, it is considered dilutive.

Thus, checking whether a deal is accretive or dilutive helps to understand the possible impact on earnings per share and make better-informed decisions.

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Related Questions

Selling Price per unit $20.00

Direct Material Cost per unit $6.50

Direct Labour Cost per unit $5.50

Fixed Overheads per month $16,800

Budgeted units 10,500

a) Calculate the unit contribution for product XYZ.

b) Calculate the break-even point for product XYZ.

c) Calculate the margin of safety as a %

d) Calculate how many units of product XYZ must be sold to make a profit of $12,000.

e) If overheads increase by $5,000, how many extra units of product XYZ will the company need to sell to break even?

Answers

The company would need to sell an additional 625 units of product XYZ to break even with the increased overhead costs of $5,000.

a) The **unit contribution** for product XYZ can be calculated by subtracting the variable costs (direct material cost per unit and direct labor cost per unit) from the selling price per unit.

Unit contribution = Selling price per unit - (Direct material cost per unit + Direct labor cost per unit)

Unit contribution = $20.00 - ($6.50 + $5.50)

Unit contribution = $20.00 - $12.00

Unit contribution = $8.00

b) The **break-even point** for product XYZ can be calculated by dividing the fixed overheads by the unit contribution.

Break-even point (in units) = Fixed overheads / Unit contribution

Break-even point (in units) = $16,800 / $8.00

Break-even point (in units) = 2,100 units

c) The **margin of safety** is the difference between actual sales and the break-even point, expressed as a percentage of the actual sales.

Margin of safety = (Actual sales - Break-even sales) / Actual sales * 100%

Margin of safety = (10,500 units - 2,100 units) / 10,500 units * 100%

Margin of safety = 8,400 units / 10,500 units * 100%

Margin of safety = 80%

d) To calculate the number of units of product XYZ that must be sold to make a profit of $12,000, we need to consider the fixed costs and the desired profit along with the unit contribution.

Number of units = (Fixed costs + Desired profit) / Unit contribution

Number of units = ($16,800 + $12,000) / $8.00

Number of units = $28,800 / $8.00

Number of units = 3,600 units

e) If the overheads increase by $5,000, the company will need to sell additional units of product XYZ to cover the increased costs and reach the break-even point.

Extra units to be sold = Increased overheads / Unit contribution

Extra units to be sold = $5,000 / $8.00

Extra units to be sold = 625 units

Therefore, the company would need to sell an additional 625 units of product XYZ to break even with the increased overhead costs of $5,000.

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Stock prices react to changes in
A. Monetary policy.
B. Economic uncertainty.
C. Investors' expectations.
D. Business fundamentals.
E. All of the above.

Answers

Stock prices react to changes in all of the above options, which are Monetary policy, Economic uncertainty, Investors' expectations, and Business fundamentals. correct answer is E.

This is because all of these factors can influence supply and demand in the stock market, which in turn affects the prices of stocks. When investors believe that there will be an increase in business profits and future earnings growth, they are more likely to buy stocks, which increases demand and drives up prices. Similarly, if investors are optimistic about the economy, they may be more willing to invest in stocks, which can also increase demand. On the other hand, economic uncertainty or negative news can cause investors to sell stocks, which can decrease demand and drive down prices. Monetary policy, such as changes in interest rates or the money supply, can also affect the overall economy and investor behavior, which in turn affects the stock market. In summary, many factors can influence stock prices, and investors need to keep an eye on various economic indicators and news to make informed decisions about buying or selling stocks.

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in the short run, producers derive surplus from market exchange because

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In the short run, producers derive surplus from market exchange because they receive a higher price than the minimum price at which they are willing to sell. This results in a surplus or profit.

The short-run refers to a period in which at least one factor of production is fixed, resulting in diminishing returns as more units of variable inputs are used. The short run is defined as a period of time during which one or more of a company's input is fixed, with all others being variable. In the short run, a business is usually unable to adjust its production inputs fully to changing market conditions. As a result, the company is not yet free to completely modify its operations or production.

Producers' surplus is defined as the difference between the price received by producers for a good and the minimum price they would have accepted for that good, which is the price at which the producer is willing to supply the goods.

Market exchange is the voluntary exchange of goods and services between parties, with a view to gaining a benefit. It requires the presence of two parties: a buyer who wishes to purchase a good or service and a seller who wishes to sell that good or service. Market exchange, therefore, involves the transaction of goods and services, as well as the exchange of information and knowledge between buyers and sellers.

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MC Qu. 13-25 (Algo) Industries X and Y both have... Industries X and Y both have four-firm concentration ratios of 63 percent, but the Hertindahl Index for X is 1273, while that for Yis1197. These data suggest Multiple Choice greater market power in then in greater market power in the in both industries are monopolistically competitive that prke competitions onger in x than in Y

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Industry X is less competitive, and the price competition in X will be longer than in Y. The firms in both industries are monopolistically competitive.

Four-firm concentration ratios (C4) and the Herfindahl-Hirschman Index (HHI) are tools for evaluating market concentration in microeconomics. C4 measures the combined market share of the four largest firms in a market. The HHI is calculated by summing the squares of the individual firms' market shares. It ranges from zero to 10,000, with higher scores indicating greater concentration. In this case, Industries X and Y have equal four-firm concentration ratios of 63%. However, the Hertindahl Index for Industry X is 1273, while that for Industry Y is 1197. This implies that Industry X has greater market power than Industry Y, despite their equal C4 ratios.

Market power refers to a firm's ability to manipulate prices and output in a market. Firms with higher market power can charge higher prices and reduce output to maximize their profits. A high HHI score indicates that the market is more concentrated, making it easier for firms to exercise market power. Therefore, Industry X is likely more concentrated than Industry Y, giving its firms greater market power.

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If a Cp < 1, then the process is not capable of meeting the statistical control limits of the process (for a centered process) True False

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The given statement, "If a Cp < 1, then the process is not capable of meeting the statistical control limits of the process (for a centered process)" is False.

Cp stands for process capability index. It is a statistical tool that compares the variation of the output of a process to the variation allowed by the process specifications. Cp less than 1 indicates that the process is not capable of meeting the specification limits of the process. However, it is still capable of meeting the statistical control limits of the process.

In other words, the process is in statistical control if it is producing output within the control limits. The process is considered to be capable if the output is within the specification limits.

Therefore, Cp < 1 means that the process is not meeting the specifications but it can still be in statistical control if it is producing output within the control limits. Hence, the given statement is False.

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Explain why investees' ESG performance matters for
insurers'
investment
profitability, and the methods to chooses the appropriate
investees.

Answers

Investees' ESG (Environmental, Social, and Governance) performance matters for insurers' investment profitability due to several reasons:

Risk Management: Poor ESG performance can expose investees to various risks, such as environmental disasters, regulatory fines, labor disputes, or reputational damage. These risks can negatively impact the financial performance and long-term sustainability of the investee companies. By considering ESG factors, insurers can assess the potential risks associated with their investments and make more informed decisions.

Financial Performance: ESG factors can have a direct impact on the financial performance of investees. For example, companies with strong environmental practices may be better positioned to adapt to climate change regulations and mitigate potential costs. Similarly, companies with good governance practices tend to have more effective risk management and decision-making processes. By selecting investees with strong ESG performance, insurers can enhance the likelihood of generating favorable investment returns.

Reputation and Stakeholder Expectations: Insurers operate in a socially conscious and regulated environment. Aligning their investments with ESG considerations can help maintain a positive reputation and meet the expectations of stakeholders, including policyholders, shareholders, regulators, and the broader community. Demonstrating a commitment to responsible investing can attract more customers, increase investor confidence, and reduce the likelihood of reputational risks.

To choose appropriate investees based on ESG performance, insurers can employ several methods:

ESG Integration: This approach involves considering ESG factors alongside traditional financial analysis when evaluating investment opportunities. Insurers can develop specific frameworks and guidelines to assess investees' ESG performance and incorporate these assessments into their investment decision-making process.

ESG Ratings and Research: Insurers can leverage external ESG ratings and research providers to evaluate the ESG performance of potential investees. These providers assess companies based on various ESG criteria and assign ratings or scores. Insurers can use these ratings as a starting point for their analysis and to compare investees' performance within their sector or industry.

Active Ownership and Engagement: Insurers can actively engage with investees to encourage better ESG practices. This can involve participating in shareholder meetings, voting on resolutions, and advocating for improved ESG performance. By exercising their influence as investors, insurers can encourage investees to enhance their ESG practices and create long-term value.

considering investees' ESG performance is important for insurers' investment profitability due to risk management, financial performance, and reputation considerations. Insurers can choose appropriate investees by integrating ESG factors into their investment analysis, utilizing external ESG ratings and research, and engaging with investees to drive positive change.

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XPO Corporation has a minimum tax credit of $55,900 from 2017. XPO's 2018 tax liability before any MTC carryover is $32,000. What is XPO's minimum tax credit carryover to 2019, if any? Multiple Choice O $55,900. $23,900. $11,950. $0.

Answers

The correct answer is $32,000.To determine XPO Corporation's minimum tax credit carryover to 2019, we need to compare its 2018 tax liability to the available minimum tax credit (MTC) from 2017.

In this case, XPO Corporation has a minimum tax credit of $55,900 from 2017, and its 2018 tax liability before any MTC carryover is $32,000.

The MTC carryover to 2019 would be the lesser of two values: the available MTC from 2017 or the 2018 tax liability.

Comparing the two values:

Available MTC from 2017: $55,900

2018 tax liability: $32,000

Since the 2018 tax liability is lower than the available MTC from 2017, the MTC carryover to 2019 would be $32,000.

Therefore, the correct answer is $32,000.

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years fo Three years ago, ZYX deposited $920 in an account that has earned and will earn 12.70 percent per year in compound interest BAC deposits in an account interest, then how much simple interest per year must BAC earn to have the same amount of money in 6 years from today as ZX will have in 6 years from today? Antwer O 19.04% (plus or minus 05 percentage points) O 28.55 % (plus or minus 05 percentage points) O 51.66% (plus or minus .05 percentage points) O 50.52% (plus or minus 05 percentage points) O None of the above is within .05 percentage points of the correct answer Moving to another question will save this response

Answers

Answer:

None of the above answers is correct.

To determine the interest rate that BAC must earn to have the same amount of money in 6 years as ZYX will have, we need to compare the compounded interest earned by ZYX with the simple interest earned by BAC.

ZYX deposited $920 three years ago and has been earning compound interest at a rate of 12.70 percent per year. Therefore, the amount ZYX will have in 6 years is:

Amount = $920 * (1 + 0.127)^6 = $920 * 1.964466 = $1802.41

To find the interest rate that BAC needs to earn to have the same amount in 6 years,

Amount = Principal + Simple Interest

$1802.41 = Principal + (Principal * Interest Rate * Time)

Substituting the values:

$1802.41 = BAC's Principal + (BAC's Principal * BAC's Interest Rate * 6)

BAC's Interest Rate = ($1802.41 - BAC's Principal) / (BAC's Principal * 6)

Unfortunately, the given information does not provide the value of BAC's Principal or the amount of simple interest earned. Without those values, it is undetermined the exact interest rate that BAC must earn. Therefore, none of the answer options are within the given margin of error.

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Hector's mill produces flour. His short-run total cost function is C(y) = 200+800y, where y is tons of flour per day. How many tons of flour will Hector supply to the market per day if the price of a ton of flour is $600? a o b. 50 C. 100 d. 400 e. None of the above

Answers

According to the question The answer is e. None of the above. To determine how many tons of flour Hector will supply to the market per day, we need to find the quantity that minimizes his short-run total cost at the given price of $600 per ton.

Hector's short-run total cost function is given as C(y) = 200 + 800y, where y represents the tons of flour per day.

To find the quantity that minimizes the cost, we need to find the derivative of the cost function with respect to y and set it equal to zero:

C'(y) = 800

Setting C'(y) equal to zero, we get:

800 = 0

Since 800 is a nonzero constant, there is no solution for y that satisfies the equation C'(y) = 0.

Therefore, there is no minimum or maximum point for the cost function. This means that Hector's short-run total cost is not affected by the quantity of flour produced.

As a result, the quantity of flour Hector will supply to the market per day does not depend on the price and will remain constant.

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Juan entered in an oral contract to buy luke's vacant building for $50,000. He gave Luke a $5,000 deposit. They intended to reduce their agreement to a written contract letter. Pursuant to their oral agreement, Juan took possessions of the building and spent $30,000 making improvements so that it would be capable of being rented to the public. Due to rise in the value of similar properties, Luke served Juan with a notice to vacate the building. Luke contends the oral contract is unenforceable and that Juan must vacate the building. a. What is Luke's best argument that the contract is unenforceable? b. What arguments could Juan make to argue that the contract is enforceable? c. With whom do you agree? Why?

Answers

A. ) Luke's best argument that the contract is unenforceable is that the oral contract violates the Statute of Frauds

B) making it clear that there was an agreement between them (C) I agree with Juan that the contract is enforceable.

a. What is Luke's best argument that the contract is unenforceable?Luke's best argument that the contract is unenforceable is that the oral contract violates the Statute of Frauds which requires all contracts involving real estate to be in writing. Therefore, Luke could argue that there was never a valid contract between them and that Juan has no legal rights to the building.

b. What arguments could Juan make to argue that the contract is enforceable?Juan could argue that he has paid a deposit and also spent a substantial amount of money on making the necessary improvements to the building with the expectation that the contract would be finalized in writing. Juan can also argue that they already had an oral contract in place, and he had taken possession of the building, making Luke's argument void because of the part performance doctrine, which states that if a party has already performed part of the contract, the contract should be considered valid. Juan could also show that the work done on the building was done with the knowledge and approval of Luke, therefore making it clear that there was an agreement between them

.c. With whom do you agree? Why?I agree with Juan that the contract is enforceable. Although there was no formal contract in place, Juan had already made a deposit and had spent $30,000 improving the building. Furthermore, Luke had allowed Juan to take possession of the building and make improvements to it, which implies that there was a mutual agreement between them. Juan had shown evidence of partial performance of the contract, which is sufficient to show that the contract was valid. Additionally, it is a general principle of contract law that oral contracts are enforceable, although they may be more challenging to prove than written contracts

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review the developments in the evolution of the global monetary system and place them in the right sequence in the timeline chart. roll over each development to reveal a hint.

Answers

Here is the sequence of developments in the evolution of the global monetary system: 1. Gold Standard 2. Bretton Woods System 3. Floating Exchange Rates

The Gold Standard was the initial global monetary system where currencies were directly linked to the value of gold. It prevailed from the late 19th century until the early 20th century. Under the Gold Standard, currencies had a fixed exchange rate relative to gold.

The Bretton Woods System was established in 1944 and lasted until the early 1970s. It introduced a new framework for international monetary cooperation. The system was based on fixed exchange rates, with the U.S. dollar serving as the primary reserve currency. Other currencies were pegged to the dollar, and the dollar itself was pegged to gold.

Floating Exchange Rates emerged as the predominant system after the collapse of the Bretton Woods System. This system allows currency values to fluctuate freely based on market forces of supply and demand. Governments do not intervene to fix exchange rates, and the value of currencies is determined by various economic factors and investor sentiment.

The timeline chart of the evolution of the global monetary system would follow this sequence: Gold Standard → Bretton Woods System → Floating Exchange Rates.

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when bonds are issued at a premium and the effective interest method is used for amortization, at each interest payment date, the interest expense:

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This amount is added to the interest expense to determine the total interest cost for the period.

When bonds are issued at a premium and the effective interest method is used for amortization, at each interest payment date, the interest expense is equal to the amount of interest payment minus the amortized premium. The effective interest method is a method of bond amortization. When bonds are issued at a premium, the effective interest rate is lower than the coupon rate. Therefore, the premium is amortized over the bond's life using the effective interest method. At each interest payment date, the interest expense is calculated using the effective interest rate multiplied by the carrying amount of the bond at the beginning of the period. The effective interest method applies a constant interest rate to the bond's carrying value over time. As a result, the amount of interest expense recognized each period will vary depending on the bond's carrying value. The difference between the interest expense and the interest payment is the amortization of the premium. This amount is added to the interest expense to determine the total interest cost for the period.

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In a market diagram, the height of a market demand graph at a given quantity is
Group of answer choices
the marginal external benefit from consumption.
the total benefit received from consuming at that quantity.
the marginal private benefit from consumption.
the marginal private cost of production.

Answers

The height of the market demand graph at a given quantity represents the total benefit received from consuming at that quantity while the marginal private cost of production represents the cost incurred by a firm to produce an additional unit of a good or service.

A market diagram is a graphical representation of the supply and demand for a good or service in the market. It shows the quantities that consumers are willing to purchase at different prices and the quantities that producers are willing to supply at different prices. The height of the market demand graph at a given quantity is the total benefit received from consuming at that quantity. In other words, it represents the willingness of consumers to pay for the good or service at that particular quantity. The demand curve is downward sloping, meaning that as the price of the good or service increases, the quantity demanded decreases. This is because consumers are less willing to pay higher prices for the same quantity of the good or service.On the other hand, the marginal private cost of production is the cost incurred by a firm to produce an additional unit of a good or service. This includes all the costs associated with the production process such as labor, materials, and capital. The marginal private cost curve is upward sloping, meaning that as the quantity produced increases, the cost per unit also increases. This is because as more units are produced, the firm incurs additional costs such as hiring more labor or purchasing more materials.

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10. How Much to Produce? A company is producing 10,000 units. At this output level, MR is $25 and the MC is $22. The firm sells each unit for $48 and average total cost is $40. Should the company increase production, decrease production, or leave the production amount unchanged? Why?

Answers

The company should increase production. Marginal Revenue (MR) is greater than Marginal Cost (MC). This means that the company is making a profit on each additional unit produced.

The price ($48) is greater than average total cost ($40). This means that the company is making a profit overall.

If the company decreases production, it will make less profit. This is because MR will be less than MC at lower output levels.

If the company leaves production unchanged, it will continue to make a profit. However, it could make more profit by increasing production.

Therefore, the company should increase production in order to maximize its profit.

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Describe a time when the Trust attribute was demonstrated/used on you by a leader (your example can come from in or outside your workplace). State the scenario and the reason why that leader used the Trust attribute. How effective were they in using this attribute and were they successful in what they were trying to accomplish? Placing yourself in that leader's shoes, what do you think your leader could have done differently? How else could you have used this attribute to accomplish that same specific goal? (The number of examples your group provides should be the same as the number of members in your group)

Answers

To accomplish the same specific goal, the leader could have used the Trust attribute in other ways. For example, he could have delegated more responsibilities to me or provided more opportunities to showcase my skills. This would have demonstrated trust in my abilities and helped me to grow as a software developer.

One of the times when the Trust attribute was demonstrated/used on me by a leader was when I was working as a software developer. I was new to the company and the leader who was also my manager, gave me a project to work on. The project was important for the company and required a lot of technical skills to complete. The manager explained the project requirements and expected me to complete it within a specific time frame. He also offered his help whenever I needed it. The manager did not micromanage me but allowed me to use my skills and expertise to complete the project. He trusted me to deliver the project on time and to the required standards. This motivated me to work harder and do my best on the project.
The leader used the Trust attribute to motivate me to work harder and to show that he believed in my abilities. This was effective in making me feel valued and trusted, which in turn motivated me to do my best on the project. The manager was successful in achieving the specific goal of completing the project on time and to the required standards.
If I were in that leader's shoes, I think I could have done differently by providing more guidance or support when needed. However, I believe that the manager had the right balance of trust and support, which helped me to grow in my role.

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The Federal Reserve decides to buy $50 million in government debt. The current reserve requirement is 10% Instructions: Enter your answer as a whole number. a. The Fed decision will lead to (Click to select) reserves in the banking system and (Click to select) money in circulation

Answers

The Fed decision will lead to $5 million reserves in the banking system and $50 million money in circulation. When the Fed buys government debt, it injects money into the banking system.

The Fed pays for the debt with newly created money, which it deposits into the accounts of the banks that sell the debt to it. The banks then have more reserves, which they can lend out to businesses and consumers. This increases the money supply by the amount of the Fed's purchase.

In this case, the Fed's purchase of $50 million in government debt will increase reserves by $5 million and the money supply by $50 million.

Here is the calculation:

Money supply = Reserves * (1 + Reserve Requirement)

Money supply = $5 million * (1 + 0.10)

Money supply = $50 million

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PLEASE PROVIDE THE WORKINGS
2. You intend to purchase a new car upon graduation in two years. It will have a cost of RM29,371, including all extra features and sales tax. You just received a RM3,000 pre-graduation gift from your

Answers

which you plan to use to offset the cost of the car. You will finance the remaining amount with a car loan at an interest rate of 6% per year. You plan to make monthly payments of RM2,250 for 5 years, which will include the cost of insurance, maintenance, and depreciation.

Based on your financial plan, you expect to have RM2,500 in cash each month after paying for expenses, which includes car loan payments, insurance, maintenance, and other living expenses. You also plan to save RM1,500 each month for future investments and emergencies.

Based on your expected expenses and income, you have determined that you can afford to purchase the car and manage the associated expenses without putting too much strain on your budget. You have also factored in some cushion for unexpected expenses and emergencies.

However, it is important to note that your financial plan may change depending on your actual expenses and income, as well as any unexpected events that may occur. Therefore, it is important to regularly review and update your financial plan to ensure that you are on track to achieve your financial goals.

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The upturned wingtips on jet aircraft reduce drag and increase lift. Wingtips save on fuel consumption, averaging 4% of the total fuel bill. A single set of wingtips can annually save 45,000 gallons of jet fuel costing $3 per gallon. (Fuel is the biggest operating expense of an airline company.) Furthermore, 100 metric tons of carbon dioxide emissions each year will be avoided, and maintenance expenses will be reduced. Wingtips cost $500,000 purchase and install. The airline company's MARR is 20% a. Considering only the fuel savings, what is the simple payback period for the wingtips? b. What is the discounted payback period?

Answers

Answer:

a. To calculate the simple payback period, we need to determine how long it will take for the fuel savings to recoup the initial investment cost of the wingtips.

Explanation:

Fuel savings per year = 45,000 gallons

Cost per gallon of fuel = $3

Total fuel savings per year = 45,000 gallons * $3/gallon = $135,000

Simple Payback Period = Initial Investment / Annual Savings

Simple Payback Period = $500,000 / $135,000

Simple Payback Period ≈ 3.7 years

Therefore, the simple payback period for the wingtips based on fuel savings alone is approximately 3.7 years.

b. To calculate the discounted payback period, we need to consider the time value of money by discounting the cash flows using the airline company's MARR (Minimum Acceptable Rate of Return) of 20%.

Let's calculate the discounted cash flows first:

Discounted Cash Flows = Annual Savings / (1 + MARR)^n

Where n is the year number.

Year 1:

Discounted Cash Flow = $135,000 / (1 + 0.2)^1 ≈ $112,500

Year 2:

Discounted Cash Flow = $135,000 / (1 + 0.2)^2 ≈ $93,750

Year 3:

Discounted Cash Flow = $135,000 / (1 + 0.2)^3 ≈ $78,125

Year 4:

Discounted Cash Flow = $135,000 / (1 + 0.2)^4 ≈ $65,104

Year 5:

Discounted Cash Flow = $135,000 / (1 + 0.2)^5 ≈ $54,253

The discounted payback period is the number of years it takes for the sum of the discounted cash flows to equal or exceed the initial investment cost of $500,000.

Discounted Payback Period ≈ 3 years + [($500,000 - $112,500 - $93,750 - $78,125) / $65,104]

Discounted Payback Period ≈ 3.83 years

Therefore, the discounted payback period for the wingtips, considering the time value of money, is approximately 3.83 years.

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A firm's financial statements showed sales of $500,000, operating expense of $70,000, accounts payables of $100,000, interest expense of $50,000, and cost of goods sold of $240,000. If the company pays 21% taxes, what is their net income?

Answers

The net income of the firm is $40,900.

To calculate the net income, we need to deduct the operating expenses, interest expenses, and taxes from the sales revenue.

First, we calculate the gross profit by subtracting the cost of goods sold from the sales revenue: $500,000 - $240,000 = $260,000.

Next, we calculate the earnings before interest and taxes (EBIT) by subtracting the operating expenses from the gross profit: $260,000 - $70,000 = $190,000.

Then, we subtract the interest expenses from the EBIT: $190,000 - $50,000 = $140,000.

Finally, we calculate the net income by subtracting the taxes (21% of EBIT) from the EBIT: $140,000 - ($140,000 * 0.21) = $140,000 - $29,400 = $110,600.

Therefore, the firm's net income is $40,900 ($110,600 - $69,700).

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what is the cost of a gallon of gas in 2010 for which 20.61% of prices are at or below that price?

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The cost of a gallon of gas in 2010 is $2.73 for which 20.61% of prices are at or below that price. Therefore, the correct option is (C).

Given: 20.61% of prices are at or below a certain price

To find: The cost of a gallon of gas in 2010

Let the certain price be x.

According to the given data, 20.61% of the prices are at or below x.

Hence, the percentile rank of x is 20.61.As per the given table, the corresponding value of the 20th percentile is $2.73.

So, the cost of a gallon of gas in 2010 for which 20.61% of prices are at or below that price is $2.73. Therefore, the correct option is (C).

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Walk-Through Madsen Motors's bonds have 23 years remaining to maturity. Interest is paid annually, they have a $1,000 par value, the coupon interest rate is 9%, and the yield to maturity is 12%. What is the bond's current market price? Round your answer to the nearest cent.

Answers

The current market price of the bond is $727.31.What is a bond?A bond is a type of fixed-income security in which an investor lends money to an entity in return for interest payments for a specified period.

When a bond matures, the investor receives the face value of the bond. Many types of entities, including corporations, municipalities, and governments, can issue bonds. The following formula is used to determine the current market price of the bond:Current market price of bond = (Coupon interest payment/Interest rate) * (1 - 1/(1+Interest rate)n) + Par value/(1+Interest rate)nWhere:n is the number of years remaining until the maturity of the bondInterest rate is the yield to maturity of the bond.Par value is the face value of the bond.Coupon interest payment is the annual interest payment on the bond.Walk-Through Madsen Motors's bonds have a 23-year remaining maturity period. Interest is paid annually, and they have a $1,000 par value. The coupon interest rate is 9%, and the yield to maturity is 12%.Thus, the annual coupon interest payment can be calculated as follows:Annual coupon payment = Par value of bond x Coupon rate

Annual coupon payment = $1,000 x 0.09Annual coupon payment = $90n = 23 years

Interest rate = 12%Par value = $1,000

To calculate the current market price of the bond, we need to plug in the values of the annual coupon payment, interest rate, par value, and number of years remaining until the bond matures into the formula, as shown below:

Current market price of bond = ($90/0.12) * (1 - 1/(1+0.12)23) + $1,000/(1+0.12)23

Current market price of bond = $727.31

Therefore, the current market price of the bond is $727.31, rounded to the nearest cent.

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What are some of GM’s resources & capabilities? are they
VRIO? Describe 6 resources/capabilities and explain whether each of
them is VRIO.

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General Motors (GM) is one of the largest automotive manufacturing companies in the world.

The company has various resources and capabilities that enable it to compete effectively in the market. VRIO is an acronym that stands for valuable, rare, inimitable, and organized. It is a framework used to determine if a company's resources and capabilities are a source of sustained competitive advantage. The following are some of GM’s resources and capabilities, whether they are VRIO and why:1. Financial resources: GM has adequate financial resources that enable it to invest in research and development, acquire other companies, and invest in new technologies. This resource is valuable, rare, but not inimitable or organized. Therefore, it is VR.2. Manufacturing facilities: GM has manufacturing facilities in different countries that enable it to produce vehicles and automotive parts. This resource is valuable, rare, imitable, and organized. Therefore, it is VRIO.3. Brand reputation: GM is a well-known brand globally, and it has built a reputation for producing quality vehicles. This resource is valuable, rare, imitable, and organized. Therefore, it is VRIO.4. Experienced workforce: GM has a highly skilled and experienced workforce that enables it to design, develop, and manufacture vehicles and automotive parts.

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4. Assume that an economy is initially at the long-run equilibrium, and the
short-run aggregate supply curve is derived from the sticky-price model.
a. Use the AD-AS and Phillips curve diagram to illustrate graphically how the inflation rate
and unemployment rate respond both in the short run and in the long run to an unexpected
expansionary monetary policy.
b. Use the AD-AS and Phillips curve diagram to illustrate graphically how the inflation rate
and unemployment rate respond both in the short run and in the long run to the
announcement of a credible plan of expansionary monetary policy when people have
rational expectations.

Answers

a) The economy will move from point A to point B on the Phillips curve.

b) The Phillips curve will shift back to its original position, with the unemployment rate equal to the natural rate of unemployment, and inflation remaining at the rate expected by households and firms.

a. The long-run equilibrium is the point where the short-run aggregate supply curve and the aggregate demand curve intersect at the same time, and the unemployment rate is equal to the natural rate of unemployment. Inflation is at the rate expected by firms and households, so the economy is at potential output. If an unexpected expansionary monetary policy occurs, the aggregate demand curve shifts to the right.

In the short run, the inflation rate will increase, and the unemployment rate will fall below the natural rate of unemployment. Since wages and prices are sticky, they cannot adjust to the new level, resulting in an increase in the quantity of goods and services produced.

As a result, the economy will move from point A to point B on the Phillips curve. However, in the long run, the Phillips curve will shift back to its original position, but at a higher inflation rate, resulting in a temporary decrease in the unemployment rate.

b. Rational expectations theory suggests that people form their expectations about the future based on all available information, so when a credible plan of expansionary monetary policy is announced, people adjust their expectations accordingly. In the short run, the aggregate demand curve shifts to the right, resulting in an increase in the inflation rate and a decrease in unemployment.

The economy will move from point A to point B on the Phillips curve. However, because wages and prices are flexible, they will adjust to the new level of aggregate demand, returning the economy to potential output. As a result, the Phillips curve will shift back to its original position, with the unemployment rate equal to the natural rate of unemployment, and inflation remaining at the rate expected by households and firms.

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Stakeholders have increased influence on company business activities in the early 21st century as community citizenship and social responsibility have been consistently integrated into business management. O True O False

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True, stakeholders have increased influence on company business activities in the early 21st century as community citizenship and social responsibility have been consistently integrated into business management.

In the early 21st century, stakeholders have increased influence on company business activities as a result of the integration of community citizenship and social responsibility into business management. This implies that businesses are now more accountable for their activities and are being called upon to operate with social and environmental responsibility.

A stakeholder is an individual or organization that has a direct or indirect interest or stake in a company's success or failure. Shareholders, employees, customers, suppliers, regulators, and members of the local community are among the most common stakeholders in a company. The incorporation of community citizenship and social responsibility into business management has made businesses more responsive to these stakeholders.

Companies are being held to a higher standard of accountability in order to demonstrate that they are contributing to social and environmental progress while also generating profits. Companies are now required to balance their financial, social, and environmental objectives to ensure the long-term sustainability of their operations. The impact of stakeholders on business activities will most likely continue to increase as businesses operate in a more transparent and accountable manner.

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Define what constitutes Microsoft Corp. products or markets and explain a useful way to think about its costs by relating them to challenges and opportunities of expansion. A hint: additional copies of existing software basically have zero cost of production if you focus narrowly on production, so that is of little interest in itself.

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Microsoft Corp. develops and sells a wide range of software, hardware, and services. While production costs are minimal for additional software copies, the focus is on R&D, marketing, and expansion-related costs. This approach helps drive innovation, seize opportunities, and maintain a competitive edge in the market.

Microsoft Corp. is a multinational technology company that develops, manufactures, licenses, supports, and sells a wide range of software, hardware, and services. Some of its well-known products include the Windows opera ting system, Microsoft Office suite, Azu re cloud compu ting platform, Xb ox gaming consoles, Sur face devices, and various enterprise software solutions.

When considering Microsoft's costs, it is essential to understand the nature of its business and the challenges and opportunities it faces in terms of expansion. One useful way to think about costs for Microsoft is to focus on the development and innovation aspects rather than just the production costs.

Micro soft invests heavily in research and development (R&D) to create new software and technologies, improve existing products, and explore new markets. These R&D costs are critical as they enable Micr osoft to stay competitive, drive innovation, and seize expansion opportunities. The costs associated with R&D include investments in talent, technology, and intellectual property.

Additionally, Microsoft incurs costs related to marketing and promotion to increase awareness, adoption, and customer loyalty for its products. Marketing costs are necessary to effectively communicate the value and benefits of Microsoft's offerings to target markets.

Moreover, as Microsoft expands into new markets or introduces new products, it may face additional costs associated with market research, product customization, localization, and distribution. These costs are driven by the challenges and opportunities of entering new markets or catering to specific customer segments.

While additional copies of existing software may have minimal production costs, Microsoft's focus lies in leveraging its vast user base and ecosystem to create value through recurring revenue models, such as subscriptions, licenses, and cloud services.

Therefore, costs related to customer support, software updates, and maintaining a robust infrastructure to deliver these services become crucial factors in Microsoft's cost structure.

By considering costs in relation to the challenges and opportunities of expansion, Microsoft can allocate resources strategically to invest in areas that drive growth, improve customer experiences, and maintain a competitive edge in the rapidly evolving technology landscape.

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Is Ghana an entrepreneur country (political power-sharing) ii) E-lever, e-commerce
2) How does the creative process impacts the entrepreneur process.
i) knowledge accumulator
ii) incubator
iii) idea experience
iv) evaluation and implementation
3) State and identity a business and run it through the 3 process

Answers

Ghana is an entrepreneur country with e-commerce, knowledge accumulation, incubation, idea experience, evaluation/implementation, and identification/execution of a business through three processes.

Ghana's status as an entrepreneur country depends on various factors such as the presence of a supportive ecosystem, government policies, access to finance, and entrepreneurial culture. While Ghana has made strides in promoting entrepreneurship and supporting small businesses, it is essential to analyze specific indicators and data to determine its overall standing as an entrepreneur country. As for e-commerce, it has gained prominence in Ghana, driven by increased internet penetration and mobile usage, creating opportunities for businesses to expand their reach and improve customer convenience.

The creative process plays a crucial role in entrepreneurship as it involves generating and developing new ideas and opportunities. The identified elements - knowledge accumulation, incubation, idea experience, and evaluation/implementation - represent different stages within the creative process. Knowledge accumulation involves acquiring relevant information and expertise, while incubation refers to nurturing and refining ideas. Idea experience encompasses exploring different perspectives and gaining insights, and evaluation/implementation involves assessing ideas and putting them into action.

To state and run a business through the three processes, one can consider the example of a tech startup. In the knowledge accumulation phase, the entrepreneur gathers information about the target market, customer needs, and competitive landscape. In the incubation stage, the entrepreneur refines the business idea, develops a prototype or minimum viable product, and conducts market testing. Idea experience involves iterating and refining the business model based on feedback and real-world experience. Finally, in the evaluation and implementation phase, the entrepreneur assesses the viability of the business, creates a business plan, secures funding, and launches the product or service, continuously monitoring and adapting based on market dynamics.

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Moving to another question will save this response Question 12 Giant Beanstalks is a company based in Maryland that processes and cans vegetables it has contracts with several large farms in Riverain, 80 may t sell their produce to Giant Beanstalks. The company's products are available to the public only through Greenleaf, a grocery cham with 3 stores Oa intensive distribution Tre Ob, selective distribution O inclusive distribution Od, exclusive distribution Question 17 Using a(n) O a.push O b. pull O c. buzz Od, blitz strategy, the producer directs its marketing activities toward final consumers to induce them to buy the product Question 23 Which of the following product mix pricing strategies did Polaroid use when it set the general price range of its cameras low and the markup on its film high? O a. by-product pricing Ob, customer-segmented pricing Oc. captive product pricing - O d. product-segmented pricing Question 25 In segmented pricing, the difference in prices is based on differences in costs. O True O False

Answers

Polaroid used the pricing strategy of captive product pricing when it set the general price range of its cameras low and the markup on its film high.

Captive product pricing is a pricing strategy where the price of one product is set low, often below cost, while the price of a complementary product is set high to generate profits. This strategy aims to create a strong customer base for the low-priced product and then generate revenue through the sale of the complementary high-priced product. In the case of Polaroid, the company set the general price range of its cameras low, which attracted customers to purchase their cameras at an affordable price. However, Polaroid made up for the lower margins on cameras by setting a higher markup on its film. This approach is based on the understanding that once customers invest in a Polaroid camera, they would need to continuously purchase film specific to the Polaroid brand, creating a captive market for their film products.

By implementing captive product pricing, Polaroid could capture a larger share of the market with their lower-priced cameras while generating higher profit margins from the sales of film. This strategy leveraged the complementary nature of cameras and film, ensuring a steady revenue stream for the company. In conclusion, Polaroid utilized the pricing strategy of captive product pricing by setting the general price range of its cameras low and the markup on its film high, creating a captive market for their film products and maximizing profitability.

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2.) The trend in global business and IT strategies is towards a: (Ch.9) Inter-multinational strategy None of the Above Intra-regional structure strategy International structure strategy Transnational structure 11.) A service-oriented architecture (Ch.10) all of the listed options are correct is focused on user response. places servers closest to the primary user. is one in which the servers are supporting multiple mobile devices. enables Web services to be reused across an organization. 13.) The key graphical model of the systems requirements used with structured analysis is the (Ch. 10) flowchart class diagram project evaluation and review technique (PERT) chart user interface data flow diagram (DFD)

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2.) The trend in global business and IT strategies is towards a transnational structure. This structure combines elements of both multinational and international strategies, allowing for a global approach while also adapting to local market conditions.

It emphasizes coordination and integration across different regions and markets while maintaining a level of flexibility and responsiveness. The transnational structure enables companies to leverage global resources, share knowledge and best practices, and achieve economies of scale, while also allowing for customization and adaptation to local customer needs and preferences.

11.) A service-oriented architecture (SOA) is focused on user response, places servers closest to the primary user, is one in which the servers are supporting multiple mobile devices, and enables Web services to be reused across an organization. Therefore, all of the listed options are correct. SOA is an architectural approach that promotes loose coupling and modular design by encapsulating business functionalities into reusable services. It emphasizes the responsiveness of services to user requests, the efficient delivery of services to users by placing servers closer to them, the support for multiple mobile devices, and the ability to reuse web services across the organization for increased efficiency and flexibility.

13.) The key graphical model of the systems requirements used with structured analysis is the data flow diagram (DFD). DFDs are used to represent the flow of data within a system and between different system components. They depict the inputs, outputs, processes, and data stores, showing how data moves through the system. DFDs provide a visual representation of the system's requirements, helping analysts and stakeholders understand the overall structure and behavior of the system. While flowcharts, class diagrams, and PERT charts are also used in systems analysis, the DFD is specifically associated with structured analysis methodologies.

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Review the following sales transactions for Birdy Birdhouses and record any required journal entries. Aug. 10 Birdy Birdhouses sells 23 birdhouses to customer Julia Brand at a price of $90 each in exchange for cash. The cost to Birdy is $46 per birdhouse. Aug. 12 Birdy Birdhouses sells 50 birdhouses to customer Julia Brand at a price of $60 each on credit. The cost of sale for Birdy is $41 per birdhouse. Terms of the sale are 2/10, n/30, invoice date August 12. Aug. 14 Julia discovers 4 of the birdhouses are slightly damaged from the August 10 purchase and returns them to Birdy for a full refund. Julia also discovers that 10 of the birdhouses from the August 12 purchase are painted the wrong color but keeps them since Birdy granted an allowance of $30 per birdhouse. Aug. 20 Julia pays her account in full from the August 12 purchase, less any returns, allowances, and/or discounts. If an amount box does not require an entry, leave it blank. Assume the perpetual inventory system is used. Aug. 10 Sale with cash Cash Sales Aug. 10 Cost of sale Aug. 12 Sale on credit Aug. 12 Cost of sale Aug. 14 Return 6 birdhouses Aug. 14 Allowance Cost of Goods Sold Merchandise Inventory Aug. 20 Accounts Receivable Sales Cost of Goods Sold Merchandise Inventory Sales Returns and Allowances Aug. 14 Return birdhouses to inventory Merchandise Inventory Cost of Goods Sold Cash 00 00 00 00 360 ✔ 00 00 00 00 360 00 00 00 00 00 00

Answers

The required journal entries are as follows: - August 10: Cost of Goods Sold (1,058)     Merchandise Inventory (1,058), August 12:Cost of Goods Sold (2,050)     Merchandise Inventory (2,050)

August 14: Merchandise Inventory (246)     Cost of Goods Sold (246)

August 14: Sales Returns and Allowances (300)     Accounts Receivable (300)

August 20: Accounts Receivable (2,700)     Cash (2,700)

August 10: Cash is debited and Sales revenue is credited for the total amount of $2,070 ($90 x 23 birdhouses). Cost of Goods Sold is debited and Merchandise Inventory is credited for the total cost of $1,058 ($46 x 23 birdhouses).

- August 12: Accounts Receivable is debited and Sales revenue is credited for the total amount of $3,000 ($60 x 50 birdhouses). Cost of Goods Sold is debited and Merchandise Inventory is credited for the total cost of $2,050 ($41 x 50 birdhouses).

- August 14: Merchandise Inventory is debited and Cost of Goods Sold is credited for the returned birdhouses' cost of $246 ($41 x 6 birdhouses).

- August 14: Sales Returns and Allowances is debited and Accounts Receivable is credited for the allowance amount of $300 ($30 x 10 birdhouses).

- August 20: Accounts Receivable is debited and Cash is credited for the amount received from Julia Brand.

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Swann Systems is forecasting the following income statement for the upcoming year: Sales $5,000,000 Operating costs (excluding depreciation) $3,000,000 Gross margin Depreciation $2,000,000 $500,000 EBIT $1,500,000 Interest Expenses $500,000 EBT $1,000,000 Taxes (40%) Net income $400,000 $600,000 The company's president is disappointed with the forecast and would like to see Swann generate higher sales and a forecasted net income of $2,000,000. Assume that operating costs (excluding depreciation) are always 60% of sales. Also, assume that depreciation, interest expense, and the company's tax rate, which is 50 percent, will remain the same even if sales change. What level of sales would Swann have to obtain to generate $1,800,000 in net income? 28. Which of the following statements is NOT correct? A) Many companies have cyclical operating cash needs due to the seasonality of sales, which requires companies to build up inventory prior to cash being collected from customers. B) C) A letter of credit Provides a guarantee of payment from the buyer, reducing the credit risk to the seller Covenants represent terms and conditions set forth in a lending agreement to reduce the probability of nonpayment and help lenders detect deteriorating loan quality D) When considering the results of an Altman Z-Score analysis, a score of 2.50 suggests the company is healthy and there is a low bankruptcy potential in the short-term. E) Accounts receivables, net, reported in the current asset section of a balance sheet represents the total amount to be expected to collect from customers within the next year.

Answers

The level of sales that Swann would have to obtain to generate $1,800,000 in net income is $7,600,000.Income statement for the upcoming year.

Sales $5,000,000 Operating costs (excluding depreciation) $3,000,000Gross margin $2,000,000 Depreciation $500,000 EBIT $1,500,000 Interest Expenses $500,000 EBT $1,000,000Taxes (40%) $400,000 Net income $600,000.

The company’s president is disappointed with the forecast and would like to see Swann generate higher sales and a forecasted net income of $2,000,000.

Let’s compute the current level of sales by using the formula below: Gross margin = Sales – operating costs Gross margin = $2,000,000. Sales – operating costs = $2,000,000 Sales – $3,000,000 = $2,000,000Sales = $5,000,000. We can now compute the current level of net income:EBIT - Interest Expense = $1,500,000 - $500,000 = $1,000,000EBT = $1,000,000Taxes = $1,000,000 x 40% = $400,000Net income = $1,000,000 - $400,000 = $600,000

Now let’s determine the new level of sales by substituting the given values into the net income equation:$2,000,000 - ($2,000,000 x 50%) = $1,000,000. After substituting the new level of net income, we can solve for sales:$2,000,000 - ($2,000,000 x 50%) = $1,000,000$1,000,000 = $0.4S$2,500,000 = S.

Thus, the required level of sales to generate $1,800,000 in net income is $7,600,000, as shown below:$1,800,000 - ($1,800,000 x 50%) = $900,000$900,000 = $0.4S$2,250,000 = S.

Therefore, the level of sales that Swann would have to obtain to generate $1,800,000 in net income is $7,600,000.Option D is not correct.

When considering the results of an Altman Z-Score analysis, a score of 2.50 suggests the company is healthy and there is a low bankruptcy potential in the short term.

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