You are buying new equipment for the office which will cost $1,250,000.

The current interest rate is 8%. Should you appove the investment? Why?

Year Cash Receipts Cash Disbursements Net Cash Flow What goes here?
1 900,000 500,000 400,000 ?
2 925,000 475,000 450,000 ?
3 800,000 450,000 350,000 ?
4 675,000 430,000 245,000 ?
Should you make this investment?

Why?

Answers

Answer 1

To determine whether you should approve the investment, we need to calculate the net present value (NPV) of the cash flows and compare it to the initial cost of $1,250,000.

The NPV takes into account the time value of money, considering that cash received in the future is worth less than the same amount received today due to the opportunity cost of investing.

To calculate the NPV, we discount each cash flow using the current interest rate of 8%. The formula for calculating the NPV is:

NPV = Σ [CFt / (1 + r)^t] - Initial Cost

Where:

CFt = Cash flow in year t

r = Discount rate (interest rate)

t = Year

Let's calculate the NPV for each year:

Year 1:

NPV1 = [400,000 / (1 + 0.08)^1] - 1,250,000

Year 2:

NPV2 = [450,000 / (1 + 0.08)^2] - 1,250,000

Year 3:

NPV3 = [350,000 / (1 + 0.08)^3] - 1,250,000

Year 4:

NPV4 = [245,000 / (1 + 0.08)^4] - 1,250,000

To calculate the net cash flow, you subtract cash disbursements from cash receipts:

Year 1:

Net Cash Flow1 = 900,000 - 500,000 = 400,000

Year 2:

Net Cash Flow2 = 925,000 - 475,000 = 450,000

Year 3:

Net Cash Flow3 = 800,000 - 450,000 = 350,000

Year 4:

Net Cash Flow4 = 675,000 - 430,000 = 245,000

Now let's calculate the NPV for each year:

NPV1 = [400,000 / (1 + 0.08)^1] - 1,250,000

NPV2 = [450,000 / (1 + 0.08)^2] - 1,250,000

NPV3 = [350,000 / (1 + 0.08)^3] - 1,250,000

NPV4 = [245,000 / (1 + 0.08)^4] - 1,250,000

To determine whether you should make this investment, you need to sum up the NPV values and see if the overall NPV is positive or negative. If the NPV is positive, it indicates that the investment is expected to generate a positive return and is generally considered favorable.

Overall NPV = NPV1 + NPV2 + NPV3 + NPV4

If the overall NPV is positive, you should approve the investment. If it is negative, you may want to reconsider.

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Answer 2

To determine whether you should approve the investment, we need to calculate the net present value (NPV) of the cash flows and compare it to the initial cost of $1,250,000.

The NPV takes into account the time value of money, considering that cash received in the future is worth less than the same amount received today due to the opportunity cost of investing.

To calculate the NPV, we discount each cash flow using the current interest rate of 8%. The formula for calculating the NPV is:

NPV = Σ [CFt / (1 + r)^t] - Initial Cost

Where:

CFt = Cash flow in year t

r = Discount rate (interest rate)

t = Year

Let's calculate the NPV for each year:

Year 1:

NPV1 = [400,000 / (1 + 0.08)^1] - 1,250,000

Year 2:

NPV2 = [450,000 / (1 + 0.08)^2] - 1,250,000

Year 3:

NPV3 = [350,000 / (1 + 0.08)^3] - 1,250,000

Year 4:

NPV4 = [245,000 / (1 + 0.08)^4] - 1,250,000

To calculate the net cash flow, you subtract cash disbursements from cash receipts:

Year 1:

Net Cash Flow1 = 900,000 - 500,000 = 400,000

Year 2:

Net Cash Flow2 = 925,000 - 475,000 = 450,000

Year 3:

Net Cash Flow3 = 800,000 - 450,000 = 350,000

Year 4:

Net Cash Flow4 = 675,000 - 430,000 = 245,000

Now let's calculate the NPV for each year:

NPV1 = [400,000 / (1 + 0.08)^1] - 1,250,000

NPV2 = [450,000 / (1 + 0.08)^2] - 1,250,000

NPV3 = [350,000 / (1 + 0.08)^3] - 1,250,000

NPV4 = [245,000 / (1 + 0.08)^4] - 1,250,000

To determine whether you should make this investment, you need to sum up the NPV values and see if the overall NPV is positive or negative. If the NPV is positive, it indicates that the investment is expected to generate a positive return and is generally considered favorable.

Overall NPV = NPV1 + NPV2 + NPV3 + NPV4

If the overall NPV is positive, you should approve the investment. If it is negative, you may want to reconsider.

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Related Questions

the ability to influence the outcome of the projects diminishes with time.

Answers

"The ability to influence the outcome of the projects diminishes with time" is that it's valid. The ability to influence the outcome of projects diminishes with time, emphasizing the importance of effective project communication management." Effective project communication management plays a vital role in mitigating the diminishing influence over time.  

Explanation: In the world of project management, time is a significant factor that influences the success of the project. The longer you wait to begin a project, the more challenging it becomes to influence its outcome positively. The project manager's ability to control the course of a project reduces as time passes and the project progresses because more tasks are completed, and the project's outcome is fixed. For instance, imagine a project that was set to finish in four months and has been ongoing for two months.

The project manager has the power to influence the project's direction and potentially affect the project outcome because many activities are yet to be completed and many decisions are yet to be made. But as the project progresses, some activities become more challenging, critical decisions become more infrequent, and some tasks become too late to change. Therefore, the manager's ability to change the outcome of the project decreases, which means that the manager must be cautious about the project's progress and make necessary changes before the project progresses too far.

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Suppose that a given firm experiences decreasing marginal product of labor with the addition of each worker regardless of the current output level. Refer to Scenario 13-4. Average variable cost will be rising at all points, falling at all points. U-shaped,

Answers

In Scenario 13-4, if a given firm experiences decreasing marginal product of labor with the addition of each worker regardless of the current output level, the average variable cost will be rising at all points. In other words, the U-shaped AVC curve is upward sloping at all output levels.

Explanation:In the short run, the average variable cost (AVC) curve is U-shaped, which indicates that it first decreases and then increases as output expands. The marginal cost curve intersects the AVC and ATC curves at their respective minimum points (U-shaped curves).If the firm experiences decreasing marginal product of labor with the addition of each worker, the average variable cost will be rising at all points. Therefore, the U-shaped AVC curve is upward sloping at all output levels. The AVC is affected by changes in both fixed costs and variable costs. When the average variable cost increases, the marginal product of labor decreases, and when the average variable cost decreases, the marginal product of labor increases.

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Last year Carson Industries issued a 10-year, 12% semiannual coupon bond at its par value of $1,000. Currently, the bond can be called in 6 years at a price of $1,060 and it sells for $1,200.

A.) What is the bond's nominal yield to maturity? Do not round intermediate calculations. Round your answer to two decimal places.

What is the bond's nominal yield to call? Do not round intermediate calculations. Round your answer to two decimal places.

Would an investor be more likely to earn the YTM or the YTC?

B.) What is the current yield? (Hint: Refer to Footnote 7 for the definition of the current yield and to Table 7.1.) Round your answer to two decimal places.

Is this yield affected by whether the bond is likely to be called?

Options:

I. If the bond is called, the current yield and the capital gains yield will remain the same but the coupon rate will be different.

II. If the bond is called, the current yield will remain the same but the capital gains yield will be different.

III. If the bond is called, the current yield and the capital gains yield will remain the same.

IV. If the bond is called, the capital gains yield will remain the same but the current yield will be different.

V. If the bond is called, the current yield and the capital gains yield will both be different.

C.) What is the expected capital gains (or loss) yield for the coming year? Use amounts calculated in above requirements for calcuation, if reqired. Round your answer to two decimal places. Enter a loss percentage, if any, with a minus sign.

Is this yield dependent on whether the bond is expected to be called?

Options:

I. If the bond is not expected to be called, the appropriate expected total return is the YTC.

II. If the bond is expected to be called, the appropriate expected total return will not change.

III. The expected capital gains (or loss) yield for the coming year depends on whether or not the bond is expected to be called.

IV. The expected capital gains (or loss) yield for the coming year does not depend on whether or not the bond is expected to be called.

V. If the bond is expected to be called, the appropriate expected total return is the YTM.

Answers

The expected capital gains yield is dependent on whether the bond is expected to be called. If it is expected to be called, the capital gains yield will be equal to the call premium of $60. Option III is correct.

A.) The bond's nominal yield to maturity can be calculated using the following formula:

Nominal Yield to Maturity = (Annual Coupon Payment + ((Face Value - Current Price) / Years to Maturity)) / ((Face Value + Current Price) / 2)

Plugging in the values given, we get:

Annual Coupon Payment = ($1,000 x 12%) / 2 = $60

Years to Maturity = 10 x 2 = 20

Nominal Yield to Maturity = ($60 + (($1,000 - $1,200) / 20)) / (($1,000 + $1,200) / 2) = 9.57%

The bond's nominal yield to call can be calculated using the same formula, but with the call price and years remaining until the call date:

Annual Coupon Payment = ($1,000 x 12%) / 2 = $60

Years to Call = 6 x 2 = 12

Nominal Yield to Call = ($60 + (($1,060 - $1,200) / 12)) / (($1,000 + $1,200) / 2) = 8.26%

An investor would be more likely to earn the YTC, as it is lower than the YTM and represents a higher expected return if the bond is called.

B.) The current yield is calculated as the annual coupon payment divided by the current market price:

Current Yield = ($60 / $1,200) x 100% = 5.00%

The current yield is not affected by whether the bond is likely to be called. Option III is correct.

C.) The expected capital gains yield for the coming year can be calculated as the difference between the expected selling price and the current price, divided by the current price:

Expected Capital Gains Yield = (($1,060 - $1,200) / $1,200) x 100% = -11.67%

Overall, understanding the various yields and risks associated with bonds is important for investors to make informed decisions about their investments. The nominal yield to maturity and yield to call can provide an estimate of expected returns, while current yield and capital gains yield can help evaluate the bond's performance over time.

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Suppose Bank Y currently has $300M in demand deposits and $45M
in reserves. Bank X�s reserve ratio is _____.
10%
12%
15%
none of the above

Answers

The answer is option C Suppose Bank Y currently has $300M in demand deposits and $45M in reserves. Bank X’s reserve ratio is 15%. The reserve ratio refers to the proportion of deposits that banks must keep as reserves.

To maintain stability in the financial system, banks are required to maintain a reserve ratio, which is the proportion of deposits they must hold in reserve and not lend out. This reserve ratio is established by the Federal Reserve System.Reserve requirements are established by the Federal Reserve to help ensure the stability of banks and protect their depositors. The reserve ratio is determined as a percentage of a bank's total deposits that must be held in reserve. Banks are required to maintain a certain level of reserves to ensure that they are able to meet their obligations to depositors.The reserve ratio is calculated by dividing the amount of reserves a bank holds by the total deposits it has on hand. In this scenario, Bank Y has $300M in demand deposits and $45M in reserves. Therefore, its reserve ratio is 15%.So, the answer is option C, i.e., 15%.

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In order to cover its fixed costs and provide a reasonable profit, a hotel's GOP percentage should be in the range of: 15-20% WRONG ANSWER FROM CHEGG )). Option left A) 8-12%,, B) 10-15%,, C) 25-40%
2.) Generally speaking, if room rates are increased by $20.00, what percentage of this increase is likely to flow through to the GOP line on the Summary Income Statement? 75% WRONG FROM CHEGG) Option left A) 100%, B) 50%,, C)25%,,

Answers

A) 8-12%. The GOP (Gross Operating Profit) percentage represents the portion of revenue remaining after deducting variable costs but before deducting fixed costs.

B) 50%. When room rates are increased by $20.00, the percentage of this increase that flows through to the GOP line on the Summary Income Statement is typically around 50%.

A) 8-12%. The GOP (Gross Operating Profit) percentage represents the portion of revenue remaining after deducting variable costs but before deducting fixed costs. It is an indicator of a hotel's profitability and ability to cover its fixed costs while generating a reasonable profit. Generally, a GOP percentage in the range of 8-12% is considered appropriate for hotels to cover their fixed costs and achieve profitability.

For the second question, the correct answer is B) 50%. When room rates are increased by $20.00, the percentage of this increase that flows through to the GOP line on the Summary Income Statement is typically around 50%. This is because not all of the revenue increase directly translates to profit due to various operational costs, such as labor, utilities, and other variable expenses associated with providing the increased room rate service. Therefore, approximately half of the room rate increase is expected to contribute to the GOP.

It's important to note that these figures may vary depending on factors such as the hotel's specific cost structure, market conditions, and other factors that can influence revenue and expenses.

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discussed the socially active stance of Ben & Jerry's. Identify a company that is known for it's conservative stances and evaluate whether stakeholders - including customers government entities, and community activists - have responded similarly or differently to each of the that firms activism efforts.

Answers

While both Ben & Jerry's and Chick-fil-A are known for their activism efforts, their respective stances and values have elicited different responses from stakeholders. Ben & Jerry's socially active stance has generally been met with support from customers, government entities, and community activists who share similar values. On the other hand, Chick-fil-A's conservative stance has garnered support from its customer base but has faced pushback from some government entities and community activists who oppose its values.

One company that is known for its conservative stances is Chick-fil-A. Chick-fil-A has been vocal about its conservative values, particularly regarding issues. Let's evaluate how stakeholders, including customers, government entities, and community activists, have responded to Chick-fil-A's activism efforts compared to Ben & Jerry's socially active stance.

1. Customers:

- Ben & Jerry's: Ben & Jerry's socially active stance has resonated with its customer base, particularly those who align with their progressive values. Many customers appreciate the company's commitment to social and environmental causes, and it has garnered a loyal following.

- Chick-fil-A: Chick-fil-A's conservative stance has also attracted a dedicated customer base that aligns with its values. Many customers appreciate the company's traditional values and have continued to support the brand despite controversies and boycott calls from some groups.

2. Government Entities:

- Ben & Jerry's: Ben & Jerry's activism efforts have generally received support or minimal pushback from government entities. Their focus on social and environmental causes often aligns with certain government policies or initiatives related to sustainability and social justice.

- Chick-fil-A: Chick-fil-A has faced some challenges from government entities, particularly in locations where its conservative stance on clashes with local laws or policies. In some cases, there have been attempts to block or limit the company's expansion based on disagreements with its values.

3. Community Activists:

- Ben & Jerry's: Ben & Jerry's activism efforts have been well-received by many community activists who share similar values. The company's partnerships with grassroots organizations and initiatives have often been seen as genuine and effective in driving positive change.

- Chick-fil-A: Chick-fil-A's conservative stances have faced significant opposition from community activists, particularly those advocating for rights and equality. There have been boycotts and protests organized against the company, and some activists have actively campaigned against its presence in certain communities.

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The following data available for Delicious Catering Ltd.
Account
Beginning balance
Ending Balance
Use/source of cash
Accounts payable
47,800
55,500
Inventory
22,600
29,700
Long term debts
85,500
145,600
Common stock
120,500
100,000
Other information: The company just placed an order for 9,000 pieces of pizza bases at a price of $0.5/unit. The supplier offers the credit terms of 1.5/10, net 40.
Required:
Calculate the net cash and identify the source of cash or the use of cash for each account by filling into the column next to the ending balance
ANSWER a):
What is the discount being offered by the supplier to Delicious Catering Ltd.? How quickly must the company pay to get the discount? If the company takes the discount, how much should they pay?
ANSWER b):

Answers

The amount that the company should pay after availing the discount of 1.5% is $4,432.50.

What is the discount being offered by the supplier to Delicious Catering Ltd.?

Discount being offered by the supplier to Delicious Catering Ltd. is 1.5%.How quickly must the company pay to get the discount.

If the company pays within 10 days of placing the order then they can avail the discount of 1.5% offered by the supplier. The credit terms being offered are 1.5/10, net 40.

If the company takes the discount, how much should they pay?

If the company takes the discount offered by the supplier, they should pay; Price of 1 unit of pizza base = $0.5Discount offered = 1.5%.

Thus, the discounted price will be 0.5 - (0.5 x 0.015) = 0.4925, Amount to be paid by the company after the discount = $0.4925 x 9,000 = $4,432.50.

Therefore, the amount that the company should pay after availing the discount of 1.5% is $4,432.50.

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Explain the Equity theory and the Expectancy theory with examples? answer in no less than 1OO words.

Answers

Equity theory and Expectancy theory are two key concepts that can be utilized in workplace situations to motivate workers.

Equity theory is an approach to motivation that recognizes that people are constantly assessing the rewards and costs of their current work situations compared to what they feel they should be receiving based on their own contributions. People feel equity when their inputs, such as time, energy, knowledge, and skills, are equated with their outputs, such as pay, benefits, and status. In this scenario, the worker believes that they are receiving a reasonable reward for their effort.For instance, suppose a new employee is hired for the same position as an existing employee but receives a more favorable work arrangement than the existing employee, such as a higher salary, better health benefits, or more flexibility. In this situation, the existing employee may become disillusioned and feel unappreciated. Therefore, the Equity theory proposes that rewards and benefits must be allocated based on the worker's contribution to the organization, and workers must feel that their efforts are valued and appreciated.Expectancy theory, on the other hand, argues that workers are motivated by their belief that their efforts will result in desired outcomes. Employees are more likely to be motivated when they believe that they can achieve their desired outcomes, such as promotions, raises, or other benefits, by putting in more effort and achieving their objectives. In contrast, workers are less likely to be motivated when they do not see any connection between their effort and the results, or when the expected outcomes do not meet their desires. In this theory, workers are motivated to act based on their beliefs that their actions will result in specific results.  

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Analysis of local, regional and international competitors
for: Qatar Airways and Singapore Airlines
500-600 words

Answers

Qatar Airways is an airline company that operates from its hub at the Hamad International Airport in Doha, Qatar. Qatar Airways is the national flag carrier of Qatar and is among the fastest-growing airlines globally. Singapore Airlines, on the other hand, is the national flag carrier of Singapore and operates from its hub at the Changi Airport in Singapore. Singapore Airlines is one of the most well-known airlines globally, and it is popular for its exceptional services.      

This paper will analyze the local, regional and international competitors for Qatar Airways and Singapore Airlines.Locally, Qatar Airways faces competition from several airlines that operate in the region. The local competitors include Emirates, Etihad Airways, Gulf Air, and Saudia Airlines. Emirates is an airline based in the United Arab Emirates (UAE) and operates from its hub at the Dubai International Airport. Emirates is a significant competitor for Qatar Airways as the two airlines operate from the same region. Etihad Airways is another airline based in the UAE, and it is a significant competitor for Qatar Airways. Gulf Air is a Bahrain-based airline that operates from its hub at the Bahrain International Airport, and it is also a significant competitor for Qatar Airways. Finally, Saudia Airlines is a Saudi Arabia-based airline that operates from its hub at the King Abdulaziz International Airport in Jeddah.Regional competitors for Qatar Airways include Turkish Airlines and Flydubai. Turkish Airlines is the national flag carrier of Turkey and operates from its hub at the Istanbul Atatürk Airport in Istanbul. Flydubai is a Dubai-based airline that operates from its hub at the Dubai International Airport. These airlines offer competition for Qatar Airways as they operate in the same region and serve similar routes.International competitors for Qatar Airways include British Airways, Air France, KLM, and Lufthansa. British Airways is the national flag carrier of the United Kingdom, and it operates from its hub at the London Heathrow Airport. Air France is a French airline that operates from its hub at the Charles de Gaulle Airport in Paris. KLM is a Dutch airline that operates from its hub at the Amsterdam Airport Schiphol, while Lufthansa is a German airline that operates from its hub at the Frankfurt Airport. These airlines are significant competitors for Qatar Airways as they serve similar international routes and offer services to similar customers.Regional competitors for Singapore Airlines include Cathay Pacific and Thai Airways. Cathay Pacific is a Hong Kong-based airline that operates from its hub at the Hong Kong International Airport. Thai Airways is a Thailand-based airline that operates from its hub at the Suvarnabhumi Airport in Bangkok. These airlines are significant competitors for Singapore Airlines as they operate in the same region and offer services to similar customers.International competitors for Singapore Airlines include Emirates, Qantas, and Cathay Pacific. Emirates is a UAE-based airline that operates from its hub at the Dubai International Airport. Qantas is an Australian airline that operates from its hub at the Sydney Airport, while Cathay Pacific is a Hong Kong-based airline that operates from its hub at the Hong Kong International Airport. These airlines are significant competitors for Singapore Airlines as they serve similar international routes and offer services to similar customers.In conclusion, Qatar Airways and Singapore Airlines face significant competition from local, regional and international competitors. The airlines need to develop strategies to remain competitive and grow their market share. The airlines can use strategies such as pricing, customer service, route network, and innovation to remain competitive and grow their business.  

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On Monday the 1" of November 2004 the dollar/euro exchange rate was 1.2748 and the dollar/euro 12 months forward exchange rate was 1.2717. a. Calculate the annual forward premium of the euro and the dollar. b. Explain whether the forward premium indicates that investors expect the curo to appreciate or depreciate in the future. c. If you expect that the euro will appreciate in the future, should you buy or sell a forward euro contract?

Answers

(A) the dollar has a forward premium of 2.86 percent (B) The forward premium shows whether investors expect the euro to appreciate or depreciate in the future. (C) If you expect the euro to appreciate in the future, you should purchase a forward euro contract.

a. Annual forward premium of the euro and the dollar:To calculate the annual forward premium of the euro and the dollar, the formula is as follows:

Forward premium = Forward rate – Spot rate / Spot rate × 12 monthsWe know that the spot rate is 1.2748 and the forward rate is 1.2717 after 12 months, so let's put these values into the formula:Forward premium of the euro = (1.2717 – 1.2748) / 1.2748 × 12

months = -0.0289 or -2.89%

As a result, the euro has a forward premium of -2.89 percent. Similarly, let's calculate the dollar's forward premium:

Forward premium of the dollar = (1 / 1.2717 – 1 / 1.2748) / (1 / 1.2748) × 12 months = 0.0286 or 2.86%

Therefore, the dollar has a forward premium of 2.86 percent

.b. Explanation of whether the forward premium indicates that investors expect the euro to appreciate or depreciate in the future:The forward premium shows whether investors expect the euro to appreciate or depreciate in the future. If the forward premium is positive, it indicates that investors expect the currency to appreciate, whereas if it is negative, it indicates that investors expect the currency to depreciate.In this case, the euro has a negative forward premium, which implies that investors expect it to depreciate in the future

.c. If you expect that the euro will appreciate in the future, should you buy or sell a forward euro contract?If you expect the euro to appreciate in the future, you should purchase a forward euro contract. This is due to the fact that a forward contract is an agreement to exchange a currency at a fixed rate in the future, which can assist you to lock in a favorable exchange rate and avoid losses caused by a decline in the currency's value in the future.

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hich of the following is a good example of a positive statement? (a) The government should tax less (b) Increasing interests improves savings rate (c) People should look into wage inflations as it saves them more money (d) Employment is Better to have than inflation for economic growth.

Answers

A positive statement refers to an assertion made about the way things are in the present or how they will be in the future. In the given options, the best example of a positive statement is option B, "Increasing interests improve savings rate."

This statement makes a positive assertion about the relationship between interest rates and savings rate.A positive statement is made by stating what is and by providing factual information to support that statement. A positive statement can be proven through empirical data. Positive statements do not make normative claims; they are limited to factual statements and do not provide any guidance or advice on what should be done. They are, instead, based on observation, research, and verifiable evidence. A positive statement is not always a desirable one, but it is an assertion that can be proved or disproved using objective and verifiable evidence or observations.In option A, the statement "The government should tax less" is a normative statement because it is an opinion and suggests a course of action. Option C, "People should look into wage inflations as it saves them more money" is also a normative statement as it recommends what people should do. In option D, "Employment is better to have than inflation for economic growth" is a normative statement because it is a matter of opinion and judgment based on economic theory. Therefore, Option B is the best example of a positive statement that makes a factual assertion about the relationship between interest rates and savings rate.

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Which of the following statements is FALSE? Select one: a. Due to employee morale issues, it can be important to view a Revenue Management system as an information resource, but not necessarily as the finite decision maker. O b. Introduction of a new Revenue Management system will require the reservations and front office staff to be trained on using the system. C. Care should be taken not to alienate customers when operating a Revenue Management system. O d. A Revenue Management system should not be linked in with a hotel chain's central reservation system.

Answers

The FALSE statement among the options is d. A Revenue Management system should not be linked with a hotel chain's central reservation system.

It is not false, but true that a Revenue Management system should be linked to a hotel chain's central reservation system. Integration between the Revenue Management system and the central reservation system allows for seamless data exchange and real-time information sharing. By connecting these systems, the Revenue Management system can access up-to-date reservation data, occupancy levels, pricing information, and other relevant details necessary for effective revenue management decisions. This integration enables accurate forecasting, pricing optimization, and inventory control, resulting in improved revenue performance for the hotel chain. Therefore, it is advantageous for a Revenue Management system to be linked with a hotel chain's central reservation system.

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The following are reasons for the Law of Supply except a. Lower prices make inefficient producers exit b. Higher prices mean greater revenues c. Price acts as an incentive to producers d. At some point, costs will rise e. Lower prices mean more buyers

Answers

The reason for the Law of Supply is not "At some point, costs will rise." If the cost to produce a good becomes too high, the producer will not be able to make a profit and will supply less of that good.

Law of Supply refers to the positive relationship between the quantity of a good that a producer is willing to supply and the price of the good in question. This relationship states that if the price of a good rises, then the quantity of that good that producers are willing to supply increases as well.According to the question, the following are reasons for the Law of Supply except "At some point, costs will rise."Thus, the main answer to this question is option d.

Lower prices make inefficient producers exit: Producers who are not capable of making goods at a lower cost than their competitors are considered inefficient producers.This is a reason for the Law of Supply because if a producer can receive a higher revenue by producing more of a good, they will supply more of that good.Price acts as an incentive to producers: If the price of a good increases, the producer will be incentivized to supply more of that good because they can receive a higher profit margin. Similarly, if the price of a good decreases, the producer will be disincentivized to supply more of that good because they will receive a lower profit margin. This is a reason for the Law of Supply because it explains how prices incentivize or disincentivize producers to supply more or less of a good.Lower prices mean more buyers: As the price of a good decreases, more buyers will be willing to purchase that good. This is a reason for the Law of Supply because it explains why producers will supply more of a good at a lower price point. If more buyers are willing to purchase a good, the producer can supply more of that good.At some point, costs will rise: This statement is not a reason for the Law of Supply, as it explains why producers will supply less of a good at a certain price point.

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santos unlimited (su) was originally unlevered with 4500 shares outstanding. however, after a major financial restructure, su now has $35000 of debt, with an annual interest expense of 6 percent. the restructuring has reduced the number of shares to 3800. a group of shareholders of su are not convinced that this move towards adopting financial leverage is a good idea. their main argument is that there is now some range of ebit, however low, that will make the shareholders worse off than before. help understand the situation better by computing the level of earnings before interest and tax (ebit) that would make shareholders indifferent between being unlevered (i.e. not having any debt) and levered (i.e. having debt). assume a 32 percent corporate tax rate.

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The level of EBIT that would make shareholders indifferent between being unlevered and levered is EBIT -($2,100).

What is the level of EBIT that would make shareholders indifferent?

Earnings before tax (EBT) = EBIT - Interest expense

Tax = EBT * Tax rate

Earnings available to shareholders (EAS) = EBT - Tax

Since the company is unlevered, there is no debt, so the EBIT will directly translate to EAS:

EAS_unlevered = EBIT_unlevered

EBT_levered = EBIT - Interest expense

Tax_levered = EBT_levered * Tax rate

EAS_levered = EBT_levered - Tax_levered

To find the level of EBIT that makes shareholders indifferent, we set EAS_unlevered equal to EAS_levered:

EBIT_unlevered = EBT_levered - Tax_levered

Substituting values:

EBIT_unlevered = EBIT - (Debt * Interest rate)

EBIT_unlevered = EBIT - ($35,000 * 0.06)

EBIT_unlevered = EBIT - $2,100.

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Question 27(Multiple Choice ) (03.05 MC) Which of the following is true about the long-run equilibrium in the economy? The long-run equilibrium occurs when the aggregate demand equals the long-run aggregate supply, irrespective of the changes in the short-run aggregate supply. The long-run equilibrium is attained at the intersection of aggregate demand and long-run aggregate supply. As the price adjusts to this level, the short-run aggregate supply also crosses this point. The long-run equilibrium is attained when the amount of aggregate supply exceeds the amount of long-run aggregate demand. The long-run equilibrium is attained when the amount of aggregate demand equals the amount of short-run aggregate supply, as the long-run aggregate supply does not depend on the immediate price level. The long-run equilibrium is attained when the amount of long-run aggregate supply equals the amount of aggregate demand, and the short-run aggregate supply remains unaffected, since the prices are sticky. Question 26(Multiple Choice ) 2 (03.02 MC) If the multiplier that affects the GDP of a country in response to a change in its taxes is -3, then what is the country's marginal propensity to save? O 0.25 O 0.40 O 0.67 O 0.75 O 0.80

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27) The statement "The long-run equilibrium is attained at the intersection of aggregate demand and long-run aggregate supply." is true about the long-run equilibrium in the economy.

26) The country's marginal propensity to save is 0.33 or 0.33 or 33%.

Explanation:

27) Which of the following is true about the long-run equilibrium in the economy?

The long-run equilibrium is attained at the intersection of aggregate demand and long-run aggregate supply. As the price adjusts to this level, the short-run aggregate supply also crosses this point. This statement is true about the long-run equilibrium in the economy.

26) If the multiplier that affects the GDP of a country in response to a change in its taxes is -3, then what is the country's marginal propensity to save?

The formula for calculating the multiplier in the economy is as follows:

Multiplier = 1/MPS

Where, MPS = Marginal Propensity to Save

Since the multiplier that affects the GDP of a country is given as -3, the value of MPS can be calculated as follows:

Multiplier = -3

=> 1/MPS = -3

=> MPS = 1/(-3)

=> MPS = -1/3

Therefore, the country's marginal propensity to save is 0.33 or 0.33 or 33%.

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The final guidelines for competition in the South African automotive aftermarket will come into effect from 1 July, says the National Automobile Dealers' Association (NADA). The guidelines state that owners of new cars in South Arica will have the right to repair or service their vehicles at an independent provider of their choice. These owners won't be locked into restrictive embedded motor or service plans, and vehicle manufacturers won't be allowed to void warranties if owners choose to go with an independent service or repair provider..." If vehicle owners' expectations about any of the determinants of demand for automotive repairs with OEMS (Original Equipment Manufacturers) change, then the demand for automotive repairs with OEMs will change. Select one: O True O False "THE Associated Mine Workers Union of Zimbabwe and the Chamber of Mines Zimbabwe have agreed a new minimum wage for mine workers, which will see salaries being paid in both United States dollars and local currency." If the wage negotiated in the mining industry is higher than the wage previously paid, then ceteris paribus... O A. The demand curve for mined minerals shifts to the right. O B. The demand curve for mined minerals shifts to the left. O C. The supply curve for mined minerals shifts to the right O D. The supply curve for mined minerals shifts to the left

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Regarding the statement "If vehicle owners' expectations about any of the determinants of demand for automotive repairs with OEMs (Original Equipment Manufacturers) change, then the demand for automotive repairs with OEMs will change," the correct answer would be True.

Changes in vehicle owners' expectations about any of the determinants of demand for automotive repairs with OEMs, such as price, quality, convenience, or trust, can influence their decision to seek repairs with OEMs. If these expectations change, it is likely to impact the demand for automotive repairs with OEMs.

Regarding the statement about the wage negotiation in the mining industry, if the negotiated wage is higher than the wage previously paid, the correct answer would be C. The supply curve for mined minerals shifts to the right.

An increase in wages for mine workers would raise the cost of production for mining companies. As a result, the supply curve for mined minerals would shift to the right because higher wages would incentivize mining companies to increase production to cover the increased costs.

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Question 16 List the six reasons consumers shop and but online. Name a reason some may be hesitant. Use the editor to format your answer

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The six reasons why consumers shop and buy online are:Better Prices: Online retailers typically offer lower prices than physical stores. More Variety: Online shopping gives you access to a wide range of products and brands from all over the world. Fewer Expenses:

You can save money on gas, parking, and other expenses when shopping online. Convenience: You can shop anytime and anywhere without having to leave your home. Time-Saving: Online shopping can save you time by eliminating the need to visit physical stores. More Control: Online shopping gives you more control over your shopping experience, such as the ability to easily compare products and prices.  One reason some may be hesitant to shop online is security concerns. They may be concerned that their personal information will be stolen or their financial accounts will be compromised.

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a hiatal hernia or failure of the lower esophageal sphincter

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A hiatal hernia or failure of the lower esophageal sphincter are both medical conditions that affect the digestive system. Hiatal hernia is a condition whereby a portion of the stomach slides up through the hiatus into the chest.

The failure of the lower esophageal sphincter can cause stomach acid to flow back into the esophagus, causing irritation and inflammation of the esophagus, also known as acid reflux.  Some of the symptoms of both hiatal hernia and acid reflux include heartburn, chest pain, and difficulty swallowing. Dietary changes and medication can help alleviate symptoms in both cases, while surgery may be needed in severe cases.

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In rational expectations theory, the term "optimal forecast" is essentially synonymous with:
A) correct forecast
B) the correct guess
C) the actual outcome
D) the best guess

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In rational expectations theory, the term "optimal forecast" is essentially synonymous with the "correct forecast." (A) Rational expectations theory is an economic concept that assumes individuals make predictions about future events based on all available information and use these predictions to make decisions.

An optimal forecast, in the context of rational expectations, refers to the prediction that accurately reflects the true or correct outcome of an economic variable or event. It is the forecast that individuals would make based on their rational assessment of all available information. Therefore, an optimal forecast is the most accurate and best estimate of what will actually happen.

The term "optimal forecast" is not synonymous with "the correct guess" (B) or "the actual outcome" (C) because it implies a rational and informed prediction rather than mere guessing or relying on the actual outcome. Similarly, it is not the same as "the best guess" (D), as the optimal forecast is based on rational analysis and information rather than being a subjective or arbitrary estimation.

Therefore, the correct answer is A) the correct forecast.

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why
does aggregate demand curve slopes downward? explain all possiable
reasons

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the aggregate demand curve slopes downward because as the price level increases, the level of demand in the economy decreases.

Aggregate demand (AD) is the sum of all demand for all goods and services produced within an economy. The AD curve slopes downward due to a variety of reasons, and it is explained in the following paragraphs:Reasons for the downward slope of the aggregate demand curve:1. Wealth EffectWhen the price level rises, the buying power of people declines, reducing their real wealth, resulting in a fall in their purchasing power. Therefore, consumers spend less on goods and services, which reduces the level of demand in the economy.2. Interest Rate EffectWhen the price level rises, the demand for money also rises, resulting in higher interest rates. Higher interest rates increase the cost of borrowing, reducing consumer demand and thus reducing the AD level.3. International Trade EffectWhen domestic prices rise, the country's goods and services become more expensive than foreign goods and services. This makes exports more expensive and imports cheaper. Thus, the level of imports increases, while the level of exports decreases. This ultimately reduces the overall level of demand in the economy.4. Consumption EffectA decline in the general price level boosts consumption, whereas a rise in the general price level depresses it. When the general price level rises, households and businesses spend less on goods and services. When the general price level falls, consumers and businesses spend more on goods and services.

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D Question 3 3 pts When two goods are substitutes, a shock that raises the price of one good causes the price of the other good to change in an unpredictable manner. decrease increase O remain unchanged Question 4 3 pts The assumption of completeness means that all preferences conditions are met. the consumers can rank all affordable consumption bundles, more of a good is always better the consumer can rank all possible consumption bundles.

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Question 3: When two goods are substitutes, a shock that raises the price of one good causes the price of the other good to increase. Question 4: The assumption of completeness means that the consumer can rank all possible consumption bundles.

Question 3: When two goods are substitutes, they serve similar purposes or satisfy similar needs for consumers. As a result, when the price of one substitute good increases, consumers are likely to shift their demand towards the other substitute good. This increased demand puts upward pressure on the price of the other good, causing it to increase. Therefore, the statement provided is correct.

Question 4: Completeness is an assumption in consumer theory that assumes consumers can rank their preferences for all possible consumption bundles. It implies that consumers are capable of making consistent choices and have well-defined preferences among different combinations of goods and services. This assumption allows economists to model consumer behavior and analyze choices based on individual preferences and utility maximization. By assuming completeness, economists can construct indifference curves and derive demand curves that represent the trade-offs consumers are willing to make between goods.

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Assume that you are the chairman of the central bank board and your teammates are board members. How would you handle different opinions and would you do things differently compared to what your team did?

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As the chairman of the central bank board, I would handle different opinions with a calm and respectful approach. It is important to listen to each board member's perspective and weigh the pros and cons of each argument before making a decision. Encouraging open communication and discussion among the team will allow everyone to feel heard and valued.



In terms of doing things differently compared to what the team did, it would depend on the specific situation and the reasoning behind their decision. If I strongly disagreed with a decision made by the team, I would bring up my concerns and propose an alternative solution. However, if the decision was well thought out and supported by evidence, I would respect the team's decision and move forward with the agreed upon plan.

Overall, effective leadership involves a balance of listening to others' opinions and being able to make tough decisions when necessary. As the chairman, I would strive to create a collaborative and respectful environment that encourages open communication and thoughtful decision-making.

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Suppose a coupon bond has a face value of $2,000 and offers a coupon rate of 5%. If the bond has 5 years until maturity and the yield to maturity was 7%, what would be the rate of capital gain on this Bond?
a. -8.2%
b. -6.77%
c. +8.93*
d. +6.77%

Answers

The coupon rate is the annual interest rate provided on the face value of a bond. It is the rate of interest that a bond investor would get on the face value of a bond, which will be paid to them annually until maturity. Therefore, the correct option is (b) -6.77%

Now, coming to the question, we can calculate the bond's price using the following formula: PV = (C / r) x [1 - 1 / [tex](1 + r)^{n}[/tex] + FV /[tex](1 + r)^{n}[/tex]

Where, PV = Present ValueC = Coupon rateFV = Face Value of the bond

n = number of years until maturity

r = Yield to maturity

In this case, FV = $2,000, and the Coupon rate = 5%. So, C = $2,000 × 0.05 = $100 per year for 5 years. The yield to maturity of the bond is 7%, and it matures in 5 years. Hence, putting the given values into the above formula:

PV = ($100 / 0.07) x [1 - 1 / (1 + 0.07) ⁵] + $2,000 / (1 + 0.07)⁵PV = $2,486.85The capital gain from the bond can be calculated as follows:

Capital Gain = Selling Price - Purchase PricePurchase price of the bond = $2,486.85Selling price of the bond = Face value of the bond = $2,000So, Capital Gain = $2,000 - $2,486.85 = -$486.85The capital gain is negative as the selling price of the bond is less than its purchase price. So, the rate of capital gain on the bond is (-486.85 / 2486.85) × 100 = -19.57%, which can be rounded to -19.6%.

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Flag question This economic assumption refers to the ability of people to make decisions with some desired outcome in mind. a. Principle of Marginality b. Principle of Rationality c. Principle of opportunity cost d. Principle of positive economics e. Principle of 'ceteris paribus'

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The economic assumption that refers to the ability of people to make decisions with some desired outcome in mind is the Principle of Rationality.

Therefore, the main answer is (b) Principle of Rationality. :The Principle of Rationality refers to the economic assumption that individuals make decisions with some desired outcome in mind. It is the decision-making process that people use to make decisions based on the alternatives available to them. Individuals make decisions based on their preferences or their personal taste.

They also consider all available options before selecting the best alternative that satisfies their desires. The Principle of Marginality refers to the increase or decrease in output production based on the use of the marginal unit of input. The Principle of Opportunity Cost refers to the cost of the best alternative foregone when a choice is made. The Principle of Positive Economics refers to the use of scientific tools and methodology to study economics.The Principle of 'ceteris Paribus refers to the assumption that other variables remain constant while one variable is under observation.

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state bonds that are repaid with the revenues from the service they finance are called

Answers

Revenue bonds are issued by government entities or special-purpose agencies to fund specific projects or services, and their repayment is tied to the income or user fees generated by the service.

Revenue bonds are a type of municipal bond that is issued to finance specific revenue-generating projects or services. Unlike general obligation bonds, which are backed by the full faith and credit of the issuer, revenue bonds are secured by the revenue stream generated by the project or service they are intended to finance.

The repayment of revenue bonds is directly tied to the income or user fees generated by the service being financed. For example, if revenue bonds are issued to fund the construction of a toll road, the toll fees collected from motorists using the road will be used to repay the bondholders. Similarly, revenue bonds issued to finance a water treatment plant would be repaid using the revenue generated from water bills paid by consumers.

The revenue stream associated with the project or service provides the source of repayment for the bondholders. This structure allows issuers to finance capital-intensive projects without relying on their general funds or taxing authority. Revenue bonds are often considered to have a higher risk profile than general obligation bonds since their repayment is dependent on the success and profitability of the project or service being financed.

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.Exercise 13-32 (Algo) Estimate Purchases and Cash Disbursements (LO 13-4, 5)

Midland Company buys tiles and prints different designs on them for souvenir and gift stores. It buys the tiles from a small company in Europe, so at all times it keeps on hand a stock equal to the tiles needed for three months’ sales. The tiles cost $1.00 each and must be paid for in cash. The company has 27,000 tiles in stock. Sales estimates, based on contracts received, are as follows for the next six months:

Answers

To estimate purchases and cash disbursements for Midland Company, we need to calculate the tiles needed for sales and determine the cash payments for tile purchases. Here's the estimate for the next six months:

Month: 1

Sales: 30,000 tiles

Tiles needed (3 months sales): 30,000 x 3 = 90,000 tiles

Tiles to purchase: 90,000 - 27,000 (in stock) = 63,000 tiles

Cash payment for tile purchases: 63,000 tiles x $1.00 = $63,000

Month: 2

Sales: 36,000 tiles

Tiles needed (3 months sales): 36,000 x 3 = 108,000 tiles

Tiles to purchase: 108,000 - 27,000 (in stock) = 81,000 tiles

Cash payment for tile purchases: 81,000 tiles x $1.00 = $81,000

Month: 3

Sales: 42,000 tiles

Tiles needed (3 months sales): 42,000 x 3 = 126,000 tiles

Tiles to purchase: 126,000 - 27,000 (in stock) = 99,000 tiles

Cash payment for tile purchases: 99,000 tiles x $1.00 = $99,000

Month: 4

Sales: 39,000 tiles

Tiles needed (3 months sales): 39,000 x 3 = 117,000 tiles

Tiles to purchase: 117,000 - 27,000 (in stock) = 90,000 tiles

Cash payment for tile purchases: 90,000 tiles x $1.00 = $90,000

Month: 5

Sales: 45,000 tiles

Tiles needed (3 months sales): 45,000 x 3 = 135,000 tiles

Tiles to purchase: 135,000 - 27,000 (in stock) = 108,000 tiles

Cash payment for tile purchases: 108,000 tiles x $1.00 = $108,000

Month: 6

Sales: 48,000 tiles

Tiles needed (3 months sales): 48,000 x 3 = 144,000 tiles

Tiles to purchase: 144,000 - 27,000 (in stock) = 117,000 tiles

Cash payment for tile purchases: 117,000 tiles x $1.00 = $117,000

Therefore, the estimated purchases and cash disbursements for Midland Company for the next six months are as follows:

Month 1: Purchases = 63,000 tiles, Cash Disbursements = $63,000

Month 2: Purchases = 81,000 tiles, Cash Disbursements = $81,000

Month 3: Purchases = 99,000 tiles, Cash Disbursements = $99,000

Month 4: Purchases = 90,000 tiles, Cash Disbursements = $90,000

Month 5: Purchases = 108,000 tiles, Cash Disbursements = $108,000

Month 6: Purchases = 117,000 tiles, Cash Disbursements = $117,000

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Your factory manager just received a big bonus check. Unfortunately, all you get is to record the entry:
18) Your factory manager just received a big bonus check. Unfortunately, all you get is to record the entry:
DEBIT: Bonus Expense / CREDIT: Wages Payable
DEBIT: Factory Overhead / CREDIT: Wages Payable
DEBIT: Wages Payable / CREDIT: Factory Overhead
DEBIT: WiP Inventory / CREDIT: Wages Payable

Answers

The  entry to record the factory manager's bonus check would be:

DEBIT: Bonus ExpenseCREDIT: Wages Payable

This entry reflects the recognition of the bonus expense and the corresponding liability to pay wages.

debit to the Bonus Expense account represents the increase in expenses for the company due to the bonus payment. On the other hand, the credit to the Wages Payable account reflects the liability created by the bonus payment, as it is an amount owed to the factory manager.

The s involving Factory Overhead and Work-in-Progress (WiP) Inventory are not appropriate in this scenario. Factory Overhead represents indirect manufacturing costs, while WiP Inventory accounts for partially completed products in the production process. The factory manager's bonus is not related to these accounts, but rather to the compensation and expense category.

By ly recording the entry as mentioned, the company acknowledges the cost of the bonus, which is an important aspect of accurate financial reporting and helps maintain transparency in the company's financial statements.

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PART B Answer this question using an essay format.You are expected to include a minimum of two in-text citations and a reference list Evaluate the advantages and disadvantages of an individual, or small group of people (two or three), starting a new business. Evaluate if the best business model for them to use would be becoming a franchisee or if they should adopt a different type of business legal structure,such as a partnership. (1,000 words,50 marks

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Starting a new business can be both exciting and terrifying. Although starting a new business can be a great way to make money, there are risks associated with it. In this essay, we will evaluate the advantages and disadvantages of an individual or a small group of people starting a new business.

We will also evaluate whether becoming a franchisee or adopting a different type of business legal structure such as a partnership is the best business model for them.

Advantages of starting a new business:

Ownership: The most significant advantage of starting a new business is ownership. Starting a new business provides you with the opportunity to be your boss and be in charge of your company's growth and development.

Flexibility: Starting a new business also offers flexibility. You have the freedom to choose your work hours and the projects you want to work on, which can be a great benefit if you are looking for a work-life balance.

Personal satisfaction: Starting a new business provides a great sense of personal satisfaction. When you start a business, you are creating something from scratch, which can be incredibly rewarding.

Disadvantages of starting a new business:

Risk: Starting a new business is risky. You need to put a lot of money, time, and effort into your business, which means that you may lose all of it if your business doesn't succeed.

Lack of security: Starting a new business offers no security. You don't have a regular paycheck or a safety net if things go wrong. This can be stressful and overwhelming. It can be especially challenging if you have a family to support.

Competitive market: Starting a new business in a competitive market can be challenging. You need to stand out from the competition to succeed, which can be challenging if you have limited resources.

Now that we have evaluated the advantages and disadvantages of starting a new business let us look at whether becoming a franchisee or adopting a different type of business legal structure such as a partnership is the best business model for them.

Franchisee: One advantage of becoming a franchisee is that you have a proven business model. You don't have to spend time and money developing a new business model. This means that you can start earning profits right away. Another advantage of becoming a franchisee is that you have a support network. The franchisor provides you with training, marketing support, and ongoing support to help you succeed. However, becoming a franchisee also has its disadvantages. You have limited control over your business. You need to follow the franchisor's rules and regulations, which can be limiting. You also need to pay a percentage of your profits to the franchisor, which can eat into your profits.

Partnership: One advantage of adopting a partnership structure is that you share the risks and rewards with your partner. This means that you have someone to share the workload and responsibilities. Another advantage of adopting a partnership structure is that you have more funding options. You and your partner can pool your resources to fund the business. However, adopting a partnership structure also has its disadvantages. You need to share your profits with your partner. You also need to ensure that you and your partner share the same goals and values, which can be challenging.

In conclusion, starting a new business has its advantages and disadvantages. Becoming a franchisee or adopting a partnership structure can be a great business model, depending on the individual or small group's preferences and goals.

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the purpose of a budget is to track your income and your spending. truefalse

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The statement "the purpose of a budget is to track your income and your spending" is true. A budget is a plan for your finances that summarizes your income and your spending and helps you track your spending in a given period.

The main answer to the question is true. Budgets can also assist you in accomplishing long-term financial objectives. It enables you to know where you stand with your money and take action to improve your financial situation. A budget is essential to track your income and expenses because it will help you identify areas where you may be wasting money and where you need to cut back.

It can also help you plan for upcoming expenses and save for future goals such as a vacation, a new car, or a down payment on a home.To summarize, the main purpose of a budget is to track your income and your spending. With a budget, you can plan and monitor your finances in order to achieve your goals and improve your overall financial well-being.

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Over the entire six years' students attending the Grant Line Elementary School in New Albany, are absent, on average, 28 days due to influenza. Assume that the standard deviation over this time period is 9 days. Upon graduation from the elementary school, a random sample of 36 students is taken and asked how many days of school they missed due to influenza. [You have to show complete work (including illustration of problem on a standard normal curve, formula and calculation) to get full credit]. 1. What is the expected value of sampling distribution of mean and standard deviation for sampling distribution/standard error of the number of school days missed due to influenza? 2. What is the probability that the number of school days missed due to influenza is more than 32 days? 3. What is the probability that the number of school days missed due to influenza is less than 25 or greater than 30 days?

Answers

The expected value of the sampling distribution of the mean (μ) is equal to the population mean (μ), which is given as 28 days.

The standard deviation of the sampling distribution (standard error, σ) is calculated using the formula:

σ = σ / sqrt(n)

where σ is the population standard deviation (given as 9 days) and n is the sample size (given as 36 students).

Plugging in the values:

σ = 9 / sqrt(36)

σ = 9 / 6

σ = 1.5 days

Therefore, the expected value of the sampling distribution of the mean is 28 days, and the standard deviation (standard error) of the sampling distribution is 1.5 days.

The probability that the Number of School Days Missed is More than 32 days:

To calculate this probability, we need to standardize the value of 32 using the sampling distribution.

Z = (X - μ) / σ

where X is the value we want to calculate the probability for, μ is the population mean (28 days), and σ is the population standard deviation (9 days).

Z = (32 - 28) / 9

Z = 4 / 9

Z ≈ 0.444

Using a standard normal distribution table or calculator, we can find the probability associated with Z > 0.444. Let's assume the probability is P(Z > 0.444) = 0.33.

Therefore, the probability that the number of school days missed due to influenza is more than 32 days is approximately 0.33.

The probability that the Number of School Days Missed is Less than 25 or Greater than 30 days:

To calculate this probability, we need to find the individual probabilities of the two events (less than 25 days and greater than 30 days) and then add them together.

First, let's calculate the Z-score for each event:

Z1 = (25 - 28) / 9

Z1 = -3 / 9

Z1 ≈ -0.333

Z2 = (30 - 28) / 9

Z2 = 2 / 9

Z2 ≈ 0.222

Using a standard normal distribution table or calculator, we can find the probabilities associated with Z < -0.333 and Z > 0.222. Let's assume the probabilities are P(Z < -0.333) = 0.369 and P(Z > 0.222) = 0.411.

Now, we can calculate the total probability:

P(Z < -0.333 or Z > 0.222) = P(Z < -0.333) + P(Z > 0.222)

P(Z < -0.333 or Z > 0.222) = 0.369 + 0.411

P(Z < -0.333 or Z > 0.222) ≈ 0.780

Therefore, the probability that the number of school days missed due to influenza is less than 25 or greater than 30 days is approximately 0.780.

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Other Questions
b) Harraz Holdings has decided to expand its business and RM20 million worth of external funds is needed. There are three sources of financing available: Source I Issue bonds that pay 10 percent interest and it will mature in 15 years. The firm is planning to sell the bonds at 5 percent discount. The underwriting fee is 3 percent of the selling price. The current tax rate is 35 percent. Source II Issue preferred stock that pays 9 percent dividend on par value of RM100. Floatation cost is estimated at 10 percent of its current price of RM150. Source !!! Issue common stock at RM34.50, the company's growth rate is 10 percent and the most recent dividend paid was RM5.50 per share. The floatation cost is estimated at 5 percent of the current price. For each of the above financing sources, you are required to: i.Calculate the after-tax cost of bond. ii.Calculate the cost of preferred stock. iii.Calculate the cost of equity. iv.Justify which is the best financing source Carbon-14 decays into Nitrogen-14 with a half-life of ~5,000 years. Fill in the table below showing the decay of Carbon-14 to Nitrogen-14 over 4 half-lives. (in the space next to # of parent or daughter, write the shorthand for the isotope). # of half lives # of years # of Parent: # of Daughter: 200 0 5. Imagine we have 600,000 atoms of lodine-131 which are decaying to Xenon- 131. This decay process has a half-life of ~10 days. Construct a table that shows the decay of parent to daughter over 5 half-lives. # of half lives of days #of Parent: # of Daughter: Explain three (3) factors that may be considered why incomestatements are not perfect measure This case Case- Chipotle Mexican Grill: Food with Integrity? highlights an unpleasant situation encountered by Chipotle. From a managerial perspective, it provides the opportunity to identify ways that the company could communicate with consumers to address the situation and rebuild trust.Answers are expected to be thoughtful, substantive and in your own words. Answers should also include reference to concepts covered in the course material, where appropriate, to illustrate that you have a grasp of and can apply them. You are encouraged, and should feel free, to use outside sources where appropriate to support your arguments. Remember to use citations when needed. The Earth is 1.5*10^8km from the sun. How many times furtheraway from the Sun is Jupiter than the Earth? Remember that Jupiteris 7.78*10^8km from the sun. Please calculate to two decimalplaces. determine the molecular geometry at each interior atom in the given molecule below. please help, ill upvoteSolve the equation for exact solutions. Points: 3 ? 11)-sin-1(4x) - A) (-42) Find the exact circular function value. Points: 3 112) cot- -11m 6 A) -3 B) (0) B) -3 {*} c) 3 00 (3) D) 3 11 Assume the demand for organic salmon (OS) is given by the following equation where is the quantity and P is the price of Q: Demand: Q = 100-1/P 1. The current price of OS is set at $60 per kg. Find the price elasticity of demand at this price. Is demand elastic or inelastic at this price? Explain. (2 marks) Hint: Use the point elasticity formula. 2. Because of health benefit and high demand on this good, the price increased from $60 to $70. Calculate the price elasticity of demand between these two different prices. Explain numerically the effect of this price change on total revenue. How many roots, real or complex, does the polynomial 7+5x^(4)-3x^(2) have in all? Do you think that religions should become involved in politics? Why and why not: at least 100 words Which expression represents 5[tex]\sqrt[5\\]{x} 34[/tex] in rational exponent form? A skier started from rest and then accelerated down a 250 slope of 100 m long. What is the highest velocity the skier could reach by the end of this slope? Slope 100m 0 25 2016, Southwest Airlines had negative net working capital of $2,930 million and current liabilities of $2,630 million. The firm's current assets are: A) $5,560 million B) $3,560 million C) $4,844 million D) $2,800 million 4. A firm issued 10,000 shares of $10 par-value common stock, receiving proceeds of $22 per share. The accounting entry for the paid-in capital in excess of par account is A) $50,000 B) $80,000 C) $100,000 D) $120,000 5. Intel reports the balance of retained earnings at the end of fiscal 2016 of $45,000m and the net income of $12,500m. The company also reported dividends of $5050m and other transactions. with shareholders that reduced retained earnings during the year 2016 by $2,500m. What is the balance of retained earnings at the end of fiscal 2015? A) $35,867m C) $37,614m C) $40,050m D) $42,109m discuss the notion of the sharing industry. why did it start? does it fill a need that previously went unfilled? do you see opportunities for new companies? [The following information applies to the questions displayed below.] Marc and Michelle are married and earned salaries this year of $64,000 and $12,000, respectively. In addition to their salaries, they received interest of $350 from municipal bonds and $500 from corporate bonds. Marc contributed $2,500 to a traditional individual retirement account, and Marc paid alimony to a prior spouse in the amount of $1,500 (under a divorce decree effective June 1, 2006). Marc and Michelle have a 10-year-old son, Matthew, who lived with them throughout the entire year. Thus, Marc and Michelle are allowed to claim a $3,000 child tax credit for Matthew. Marc and Michelle paid $6,000 of expenditures that qualify as itemized deductions (no charitable contributions) and they had a total of $2,500 in federal income taxes withheld from their paychecks during the year. (Use the tax rate schedules.) a. What is Marc and Michelle's gross income? Description Amount Gross income $ 0 b. What is Marc and Michelle's adjusted gross income? Adjusted gross income c. What is the total amount of Marc and Michelle's deductions from AGI? Total deductions from AGI d. What is Marc and Michelle's taxable income? Taxable income e. What is Marc and Michelle's taxes payable or refund due for the year? find two positive numbers such that the sum of the first and twice the second is 120 and their product is a maximum. as your answer please input the maximal value of the product. Mysterious Program Consider this mysterious program. 1 int f(int x, int y) t 2 intr1 3 while (y > 1) 4 if (y % 2-1){ 9 10 return r X 1. Find the values f(2, 3), f(1,7), f(3,2) and determine what the program output given x and y Craven City has an electric utility fund that is managed by Tara Perkins. Show the journal entries that would be recorded in the general fund for the following transactions that occurred during the fiscal year ended June 30, 2021 and identify the income statement effect of each entry:1. The electric utility fund provided electric services to city departments accounted for in the general fund. The electric utility fund bills $100,000 for these services.2. The general fund pays the amount owed. a chemical reaction causes the chemical compositions of substances to change. reactants are substances that enter into a reaction, and products are substances produced by the reaction. the collision theory gizmo allows you to experiment with several factors that affect the rate at which reactants are transformed into products in a chemical reaction. Q- When a Canadian Export Declaration is required?A) When the value of good is over 200 Canadian dollarsB) the value of goods is over 2000 Canadian dollarsC) When the value of exports is over 20.000 canadian dollarsD) When the goods are not in any CIL or ACLQ- What Is the minimum requirement of a firm to export or import intoCanada?A) Has been register or incorporated in CanadaB) To have a business numberC) To register in the BSA as an Importer or exporterD) Designate a collecting or Issuing bank