You are evaluating a 5-year project that will provide cash flows 40,100, $84,510, $63,330, $61,470, and $44,730, respectively. The project has an initial cost of $188,000 and the required return is 8.6 percent. What is the project's NPV?

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Answer 1

The project's cash flows over a 5-year period are as follows: $40,100, $84,510, $63,330, $61,470, and $44,730. The initial cost of the project is $188,000, and the required return is 8.6 percent.

Net present value (NPV) is a financial metric used to evaluate the profitability of an investment project. It calculates the present value of the project's cash inflows and outflows, taking into account the time value of money. A positive NPV indicates that the project is expected to generate a return greater than the required rate of return, while a negative NPV suggests the project may not be financially viable.

To calculate the project's NPV, we first need to discount each cash flow to its present value. The discount rate is the required rate of return, which in this case is 8.6 percent.

Using the formula for present value, we discount each cash flow as follows:

PV1 = $40,100 / (1 + 0.086)¹ = $37,002.78

PV2 = $84,510 / (1 + 0.086)² = $72,938.26

PV3 = $63,330 / (1 + 0.086)³ = $50,552.43

PV4 = $61,470 / (1 + 0.086)⁴ = $45,421.57

PV5 = $44,730 / (1 + 0.086)⁵ = $30,042.80

Next, we sum up the present values of the cash flows:

NPV = PV1 + PV2 + PV3 + PV4 + PV5

= $37,002.78 + $72,938.26 + $50,552.43 + $45,421.57 + $30,042.80

= $236,957.84

The project's NPV is $236,957.84. Since the NPV is positive, it indicates that the project is expected to generate a return greater than the required rate of return (8.6 percent) and may be considered financially viable.

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Related Questions

a) What is Excess Cash? If the only imperfection is the corporate tax advantage of debt, would you recommend a company to hold excess cash? If there are other imperfections, would you recommend a company to hold excess cash? What types of company hold more excess cash? Explain your answer.

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Excess cash is the additional cash balance held by the company beyond its financing requirements. Holding excess cash provides some benefits and costs. If the only imperfection is the corporate tax advantage of debt, holding excess cash is not recommended for a company.

Excess cash refers to the cash balance that exceeds the financial needs of a company. Holding excess cash has both benefits and costs. It provides the company with liquidity, operational flexibility, and a cushion against negative shocks. However, it also exposes the company to opportunity costs, agency costs, and other risks. If the only imperfection is the corporate tax advantage of debt, holding excess cash is not recommended for a company. The tax benefit of debt favors issuing more debt and reducing cash balances. If there are other imperfections, such as bankruptcy costs, asymmetric information, or agency costs, holding excess cash is recommended. These imperfections create costs for external financing and investment decisions. Holding excess cash mitigates these costs.

The types of companies that hold more excess cash are those with greater growth opportunities, higher uncertainty, more cash flow volatility, and fewer investment opportunities. Companies with high growth opportunities tend to hold more cash to finance future investments and acquisitions. Companies in volatile industries hold more cash to buffer against cyclical fluctuations and riskier projects. Companies with fewer investment opportunities hold more cash because they have fewer profitable projects to invest in and more idle resources to finance. Finally, companies with information asymmetry hold more cash to signal their quality and reduce agency costs.

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You have estimated that the Duration of a particular bond is 20. If the yield to maturity on this bond is 6.5, what is the bond's Modified Duration? Provide your answer correct to TWO decimal places

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Duration of a particular bond is 20. If the yield to maturity on this bond is 6.5 the bond's modified duration is approximately 18.78.

To calculate the bond's modified duration, we can use the formula

Modified Duration = Duration / (1 + Yield to Maturity)

Substituting the given values into the formula:

Modified Duration = 20 / (1 + 0.065)

Modified Duration = 20 / 1.065

Modified Duration ≈ 18.78

Therefore, the main answer is that the bond's modified duration is approximately 18.78.

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Which of the following statements is false?

a. There are two primary mechanisms by which ownership and control of a public corporation can change: Either another corporation or group of individuals can acquire the target firm, or the target firm can merge with another firm.

b. Mergers and acquisitions are part of what is often referred to as "the market for corporate control."

c. The takeover market is also characterized by merger waves–peaks of heavy activity followed by quiet troughs of few transactions.

d. Merger activity is greater during economic contractions than during expansions.

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The statement "Merger activity is greater during economic contractions than during expansions." is false because merger activity is generally greater during economic expansions rather than contractions. The correct option is d.

The false statement is d. Merger activity is greater during economic contractions than during expansions.

Merger activity tends to be greater during economic expansions rather than contractions.

During economic expansions, companies generally experience increased profitability, improved financial conditions, and greater confidence in the overall business environment.

These factors often make companies more willing to engage in mergers and acquisitions.

In contrast, during economic contractions or recessions, companies may face financial challenges, reduced access to capital, and a more uncertain business outlook.

As a result, companies tend to become more cautious and risk-averse, leading to a decline in merger activity.

Research and historical data support this trend. Studies analyzing merger activity over long periods of time consistently show that merger waves and peaks of heavy activity coincide with economic expansions.

For example, the merger wave of the 1980s, which saw a significant increase in mergers and acquisitions, occurred during a period of economic expansion.

Overall, it is during periods of economic expansion when companies are more likely to engage in mergers and acquisitions due to improved financial conditions and increased confidence in the business environment.

Therefore, statement d is false.

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Discuss the difference between
assertive and aggressive behavior.
Explain why one is better than the
other when working with difficult customers.

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Assertive behavior and aggressive behavior differ in their approach and communication style.  When dealing with difficult customers, assertive behavior is generally more effective than aggressive behavior.

Assertive behavior is characterized by clear and direct communication while maintaining respect for others. It involves expressing one's opinions, needs, and boundaries in a confident and non-confrontational manner. Assertive individuals effectively communicate their concerns without attacking or belittling others. This approach promotes open dialogue, understanding, and the potential for finding a mutually beneficial solution.

On the other hand, aggressive behavior involves forceful, hostile, and confrontational actions. Aggressive individuals tend to disregard the feelings and perspectives of others, using intimidation and domination to get their way. This communication style often leads to increased tension, defensiveness, and resistance, making it less effective in resolving conflicts or satisfying difficult customers.

When working with difficult customers, employing assertive behavior is preferable. It allows for clear and respectful communication, which can help de-escalate conflicts and foster a more cooperative atmosphere. By expressing concerns and seeking resolutions without resorting to aggression, customer service professionals can maintain a positive rapport with customers and increase the likelihood of finding a satisfactory outcome for both parties.

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(Liquidity analysis) The Mitchem Marble Company has a target current ratio of 2.2 but has experienced some difficulties financing its expanding sales in the past few months. At present, the firm has a current ratio of 2.6 and current assets of $2.62 million. If Mitchem expands its receivables and inventories using its short-term line of credit, how much additional short-term funding can it borrow before its current ratio standard is reached? The additional amount of receivables and inventories (short-term debt) is $____ million. (Round to two decimal places.)

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Mitchem Marble Company's current liabilities are $1.007 million. The additional amount of receivables and inventories (short-term debt) is $0.61 million.

The Mitchem Marble Company has a current ratio of 2.6 and current assets of $2.62 million. To find out how much additional short-term funding Mitchem Marble Company can borrow before reaching its current ratio standard, we need to calculate its current liabilities using the given current ratio.

Target current ratio = 2.2

Current assets = $2.62 million

Current ratio = 2.6

Let's assume that the Mitchem Marble Company's current liabilities are $x million, then we can set up an equation using the current ratio formula.

Current ratio = Current assets / Current liabilities

2.6 = $2.62 million / x

Solving for x, we have:

x = $2.62 million / 2.6x = $1.007 million

Therefore, Mitchem Marble Company's current liabilities are $1.007 million.

If Mitchem Marble Company uses its short-term line of credit to expand its receivables and inventories, its current liabilities will increase by the same amount, which is $0.613 million. This is calculated as follows:

$2.62 million - (2.6 x $1.007 million) = $0.613 million

Hence, the additional amount of receivables and inventories (short-term debt) that Mitchem Marble Company can borrow before its current ratio standard is reached is $0.61 million.

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A large U.S. conglomerate opened offices in Beijing, Mumbai, and Kuala Lumpur. What were they utilizing by relocating business activities to lower-cost locations overseas? Nearshoring O Offshoring O Outsourcing O Employee sourcing What happens to the demand curve when the overall market demand for gasoline decreases? O The existing demand curve line will slope downward at a steeper angle A new demand curve is created, extending downward. A new demand curve is created, shifting left or right The existing demand curve line will remain unchanged due to price equilibrium.

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By relocating business activities to lower-cost locations overseas, the large U.S. conglomerate was utilizing offshoring. Offshoring refers to the practice of moving business operations or services to another country to take advantage of lower labor and production costs.

Regarding the demand curve for gasoline, when the overall market demand for gasoline decreases, a new demand curve is created, shifting left or right. The demand curve represents the relationship between the price of a good (in this case, gasoline) and the quantity demanded at each price. A decrease in overall market demand for gasoline would lead to a shift of the demand curve to the left, indicating a lower quantity demanded at each price level.

A manufacturing company shows the following data on direct materials for the past month: Beginning direct materials inventory $20,000 Ending direct materials inventory $50,000 Direct materials used in production $62,000 What is the cost of materials purchased during the month? Select one: a. $92,000 b. $32,000 O c. $62,000 d. $8,000

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The cost of materials purchased during the month is  $32,000.

Cost of materials purchased during the month is calculated as follows:

Cost of materials purchased = (Ending direct materials inventory – Beginning direct materials inventory) + Direct materials used in production.

By using the given data, the cost of materials purchased is:

Cost of materials purchased = (Ending direct materials inventory – Beginning direct materials inventory) + Direct materials used in production= ($50,000 – $20,000) + $62,000= $30,000 + $62,000= $92,000.

Therefore, the cost of materials purchased during the month is $92,000. Option B) $32,000 is incorrect.Option C) $62,000 is the cost of direct materials used in production. Option D) $8,000 is the difference between the beginning and ending direct materials inventory.

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At the end of the first year of operations, Mayberry Advertising had accounts receivable of $22,200. Management of the company estimates that 9% of the accounts will not be collected.
What adjustment would Mayberry Advertising record to establish Allowance for Uncollectible Accounts? (If no entry is required for a particular transaction/event, select "No Journal Entry Required" in the first account field.) View transaction lat Journal entry worksheet Record the adjusting entry for Allowance for Uncollectible Accounts. Note: Enter debits before credits. Transaction General Journal Debit Credit Record entry Clear entry View general Journal

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Mayberry Advertising would record an adjustment to establish an Allowance for Uncollectible Accounts with $1,998

How to determine the value

To determine the Allowance for Uncollectible Accounts, we have to find the estimated uncollectible accounts;

The formula for calculating the estimated account is;

Estimated Uncollectible Accounts = Total Accounts Receivable x Estimated Percentage

From the information given, we have to substitute the values, we get;

Estimated Uncollectible Accounts = $22,200 x 9%

Multiply the values, we have that;

Estimated Uncollectible Accounts = $1,998

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18. Answer all parts (a)-(c) of this question (a) Explain the concepts of consumers' surplus and producers' surplus. Why in a competitive market social welfare is the highest at the equilibrium? Use a diagram to illustrate your answer. (b)Explain the main effects of the introduction of a specific tax on the competitive market equilibrium. How these effects depend on the elasticity of demand and supply? Use a diagram to your answer. (c) [9 marks] Since specific taxes introduce a possible welfare loss in a free market, would you argue against the use of this government policy? Explain.

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It is possible to answer the questions below with the knowledge that, in equilibrium, supplier and consumer have maximized welfare, which is changed by taxes.

(a) Consumers' surplus refers to the difference between the maximum price consumers are willing to pay for a good or service and the actual price they pay. Producers' surplus, on the other hand, represents the difference between the price at which producers are willing to sell a good or service and the actual price they receive. In a competitive market, social welfare is maximized at the equilibrium because it is where the quantity supplied and quantity demanded are in balance. At this point, the combined consumers' and producers' surpluses are maximized, indicating an efficient allocation of resources.(b) The introduction of a specific tax on a competitive market affects the equilibrium by shifting the supply curve upwards by the amount of the tax. This leads to a higher equilibrium price for the consumers and a lower equilibrium quantity traded. The effects of the tax depend on the elasticity of demand and supply. If demand is inelastic and supply is elastic, consumers bear most of the tax burden, resulting in a smaller decrease in quantity traded. Conversely, if demand is elastic and supply is inelastic, producers bear most of the tax burden, resulting in a larger decrease in quantity traded.(c) Whether to argue against the use of specific taxes as a government policy depends on various factors. While specific taxes can lead to welfare loss in a free market, they can also be used to address market failures or achieve specific policy goals. The decision should consider the trade-offs between the potential welfare loss and the intended benefits.

How taxes affect equilibrium

When the market is in equilibrium, both suppliers and producers get to buy and sell goods at the price that maximizes their satisfaction. However, as we know, the government sometimes needs to introduce a specific tax in order to make money.

When that happens, the price shifts. Consumers must pay more for the same good, whereas producers make less money from the sales. As shown in the graph attached, there is some loss for everyone involved. However, that does not mean taxes should be completely abolished, as explained in the third answer above.

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Suds and Duds Laundry washed and pressed the following number of dress shirts per week WeekWork Crew Total Hours Shirts 1Sud and Dud 24 68 130 152 125 131 2 Sud and Jud 46 3 Sud, Dud, and Jud 62 4 Sud, Dud, and Jud 51 45 Dud and Jud a. For the given information, the labor productivity por hour for each wook is (entor your responses rounded to two decimal places) Week Productivity Per Hour

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These values represent the average number of shirts washed and pressed per hour of work for each respective week..we need to divide the total number of shirts washed and pressed by the total number of hours worked.

Week 1:

Total Hours: 68

Total Shirts: 130

Labor Productivity Per Hour = Total Shirts / Total Hours = 130 / 68 = 1.91 shirts per hour

Week 2:

Total Hours: 46

Total Shirts: 152

Labor Productivity Per Hour = Total Shirts / Total Hours = 152 / 46 = 3.30 shirts per hour

Week 3:

Total Hours: 62

Total Shirts: 131

Labor Productivity Per Hour = Total Shirts / Total Hours = 131 / 62 = 2.11 shirts per hour

Week 4:

Total Hours: 51

Total Shirts: 125

Labor Productivity Per Hour = Total Shirts / Total Hours = 125 / 51 = 2.45 shirts per hour

Week 5:

Total Hours: 45

Total Shirts: 131

Labor Productivity Per Hour = Total Shirts / Total Hours = 131 / 45 = 2.91 shirts per hour

Therefore, the labor productivity per hour for each week is as follows:

Week 1: 1.91 shirts per hour

Week 2: 3.30 shirts per hour

Week 3: 2.11 shirts per hour

Week 4: 2.45 shirts per hour

Week 5: 2.91 shirts per hour

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Tax that is imposed on value added at the various stages of production is known as

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The tax that is imposed on value added at the various stages of production is known as a Value Added Tax (VAT).

A Value Added Tax is a consumption tax that is levied on the value added to a product or service at each stage of its production or distribution. It is based on the increase in value that occurs at each step of the supply chain. The VAT is typically calculated by subtracting the input tax (tax paid on purchases of materials, goods, or services) from the output tax (tax collected on sales) and remitting the difference to the tax authorities.

The concept behind a VAT is to collect tax revenue throughout the production and distribution process rather than just at the point of final sale. This ensures that the tax burden is spread across various stages of production and is ultimately borne by the final consumer.

The tax imposed on value added at the various stages of production is known as a Value Added Tax (VAT). This tax system is widely used by many countries as a means of generating revenue and achieving a more equitable distribution of the tax burden.

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Let A(0) = 120€, A(1) = 130€, S(0) = 60€ and let
S(1) = [50€ with probability 0.75 65€ with probability 0.25 Calculate expected return and risk (measured by standard deviation) of portfolio with initial value 15000€. 40% of which is the value of bonds. Compare it to the portfolio where 60% of the value is assigned to bonds.

Answers

The expected return and risk (measured by standard deviation) of the portfolio with an initial value of 15,000€, where 40% is allocated to bonds, and the portfolio where 60% is allocated to bonds are as follows:

Portfolio with 40% bonds:

Expected Return: 0.4 * A(0) + 0.6 * A(1) = 0.4 * 120€ + 0.6 * 130€ = 124€

Risk (Standard Deviation): √[0.4^2 * (S(0) - Expected Return)^2 + 0.6^2 * (S(1) - Expected Return)^2] = √[0.4^2 * (60€ - 124€)^2 + 0.6^2 * (50€ - 124€)^2] ≈ 20.62€

Portfolio with 60% bonds:

Expected Return: 0.6 * A(0) + 0.4 * A(1) = 0.6 * 120€ + 0.4 * 130€ = 124€

Risk (Standard Deviation): √[0.6^2 * (S(0) - Expected Return)^2 + 0.4^2 * (S(1) - Expected Return)^2] = √[0.6^2 * (60€ - 124€)^2 + 0.4^2 * (50€ - 124€)^2] ≈ 20.62€

To calculate the expected return, we multiply the probabilities with the corresponding values and sum them. For example, in the portfolio with 40% bonds, the expected return is 0.4 multiplied by the initial bond value A(0) (120€) plus 0.6 multiplied by the next bond value A(1) (130€).

To calculate the risk (standard deviation), we use the weighted sum of squared deviations from the expected return. We multiply the probabilities by the squared differences between the bond values and the expected return, sum them, take the square root, and round to the nearest euro.

Both portfolios have the same expected return of 124€. However, the risk (measured by standard deviation) is also the same for both portfolios, approximately 20.62€. The allocation of 40% or 60% to bonds does not significantly affect the expected return or risk of the portfolio.

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A relationship bank is a. One that is a major shareholder in the client b. One that handles the client's major transactional banking needs. c. One that has participated in a client's loan syndication d. One that has an exclusive right to all future loan raisings by that client e. One that is insured by the Federal Deposit Insurance Corporation.

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A relationship bank is One that handles the client's major transactional banking needs, option b.

A relationship bank is a financial organization that establishes and maintains a long-term relationship with its clients by providing a wide range of banking services to meet their needs. This includes handling the client's major transactional banking requirements, such as processing payments, managing accounts, providing loans, and offering other financial services. The emphasis is on building a strong and ongoing relationship with the client based on trust and personalized service.

While some relationship banks may have participated in a client's loan syndication or be a major shareholder in the client's company, these are not defining characteristics of a relationship bank. Additionally, being insured by the Federal Deposit Insurance Corporation (FDIC) is a requirement for banks in the United States to protect depositors, but it does not exclusively define a relationship bank.

Therefore, the correct answer is b. One that handles the client's major transactional banking needs.

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6. Appropriateness of whole life insurance. Estella and Hugo Sanchez are a dual-career couple who just had their first child. Hugo, age 31, already has a group life insurance policy, but Estella's employer does not offer a life insurance benefit. A financial planner is recommending that the 25-year-old Estella buy a $250,000 whole life policy with an annual premium of $1,670 (the policy has an assumed rate of earnings of 5 percent a year). Help Estella evaluate this advice and decide on an appropriate course of action.

Answers

Estella should carefully evaluate the recommendation to purchase a $250,000 whole life insurance policy with an annual premium of $1,670, considering her specific financial situation, needs, and long-term goals.

The appropriateness of whole life insurance for Estella depends on various factors. Firstly, she should assess her insurance needs and determine if a $250,000 coverage is sufficient to protect her family in the event of her untimely demise. Estella should consider her outstanding debts, future financial obligations, and the financial security of her spouse and child.

Additionally, Estella should evaluate her budget and financial goals to determine if she can comfortably afford the annual premium of $1,670. It is essential to ensure that the premium payments do not strain her finances or hinder progress toward other financial objectives, such as saving for retirement or education expenses for her child.

Estella should also weigh the benefits of a whole-life policy, such as lifelong coverage and the potential for cash value accumulation, against the costs and returns. It's important to consider alternative insurance options, such as term life insurance, which typically provides a higher coverage amount at a lower premium cost.

Ultimately, Estella should consult with a financial planner or insurance professional to assess her specific needs, explore available options, and make an informed decision that aligns with her financial circumstances and long-term goals.

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Matching Statements With Concepts Information. You are given the following lists of statements and concepts Statements Concepts 1. Maximising the wealth of shareholders 2. Has a flexible rate of return and an infinite life 3. The line that plots the expected returns on securities against their betas 4. The situation where the price of a security has impounded all price information and reflects all publicly-available information a. Share b. Securities Market Line c. Capital budgeting d. Semi-strong efficiency e. Corporate objective 5. Process a company uses to select projects from a list of available projects Requirements. Match the concepts with the statements (1 mark each; total 5 marks)

Answers

Correct matching of concepts with statements.  

1. Maximising the wealth of shareholders - e. Corporate objective

2. Has a flexible rate of return and an infinite life - a. Share

3. The line that plots the expected returns on securities against their betas - b. Securities Market Line

4. The situation where the price of a security has impounded all price information and reflects all publicly-available information - d. Semi-strong efficiency

5. Process a company uses to select projects from a list of available projects - c. Capital budgeting

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Data table (Click on the icon located on the top-right corner of the data table below in order to copy its contents into a spreadsheet.) Machine A Machine B $59,800 Machine C $129,500 Initial investment (CF) $85,300 Year (t) Cash inflows (CF₁) 1 $17,900 $11,900 $49,900 2 $17,900 $14,200 $29,500 3 $17,900 $15,800 $19,700 4 $17,900 $17,700 $19,600 5 $17,900 $19,500 $19,700 6 $17,900 $24,600 $29,700 $17,900 $40,100 $17,900 $50,200 878 Print Done X Question 8, P10-10 (similar to) Homework: Homework 4 HW Score: 60%, 18 of 30 points O Points: 0 of 3 Part 1 of 15 Save NPV-Mutually exclusive projects Hook Industries is considering the replacement of one of its old metal stamping machines. Three alternative replacement machines are under consideration. The relevant cash flows associated with each are shown in the following table: The firm's cost of capital is 13%. a. Calculate the net present value (NPV) of each press. b. Using NPV, evaluate the acceptability of each press. c. Rank the presses from best to worst using NPV. d. Calculate the profitability index (PI) for each press. e. Rank the presses from best to worst using Pl. a. The NPV of press A is $ (Round to the nearest cent.)

Answers

To calculate the net present value (NPV) of each press, we need to discount the cash inflows using the firm's cost of capital, which is given as 13%. The formula to calculate NPV is:

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

Where:

CF₀ = Initial investment (CF)

CF₁, CF₂, ... = Cash inflows in each year

r = Discount rate (cost of capital)

Let's calculate the NPV for each press:

For Machine A:

Initial investment (CF) = $59,800

Cash inflows (CF₁) = $17,900, $17,900, $17,900, $17,900, $17,900, $17,900

Using the NPV formula, we can calculate:

NPV for Machine A = -$59,800 + ($17,900 / (1 + 0.13)^1) + ($17,900 / (1 + 0.13)^2) + ($17,900 / (1 + 0.13)^3) + ($17,900 / (1 + 0.13)^4) + ($17,900 / (1 + 0.13)^5) + ($17,900 / (1 + 0.13)^6)

Performing the calculations, we find that the NPV for Machine A is approximately $7,942.53.

Similarly, you can calculate the NPV for Machine B and Machine C using the same formula and the respective cash inflows.

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Consider a country that is in steady state. According to the Solow-Swan model, where the population growth rate is 0, output is constant in steady state. Answer True or False. Remember to include your explanation.

Answers

False. In the Solow-Swan model, output is not constant in steady state. The steady state refers to a long-run equilibrium where the key economic variables reach a balanced level and remain constant over time. However, in the Solow-Swan model, output per capita, which represents the level of output per person, is constant in steady state, not the total output of the economy.

In the Solow-Swan model, steady state occurs when capital per worker, output per worker, and consumption per worker reach their balanced levels and no longer change over time. At steady state, investment equals depreciation, and the economy is in a state of balanced growth. However, this does not imply that total output is constant. The total output of the economy can still change due to factors such as technological progress or changes in the labor force, but in steady state, it grows at a constant rate determined by exogenous factors.

Therefore, it is important to differentiate between total output and output per capita when discussing the implications of the Solow-Swan model in steady state.

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Raju is in a competitive product market. The expected selling price is $71 per unit, and Raju's target profit is 20% of selling price. Using the target cost method, what is the highest Raju's cost per unit can be? (Round your answer to 2 decimal places.) Target cost Required information. [The following information applies to the questions displayed below.] Suresh Company reports the following segment (department) income results for the year. Sales Expenses Avoidable Unavoidable Total expenses Income (loss) Department M Department N Department 0 Department P $ 79,000 $ 41,000 $ 72,000 $ 60,000 Total increase in income 15,800 56,600 72,400 $ 6,600 43,600 19,800 63,400 $ (22,400) 20,000 5,400 25,400 $ 46,600 Department T $ 40,000 20,000 46,600 66,600 $ (6,600) $ (26,800) 48,600 18,200 66,800 Total $ 292,000 148,000 146,600 294,600 $ (2,600) b. Compute the total increase in income if the departments with sales less than avoidable costs, as identified in part a, are eliminated.

Answers

Using the target cost method, the highest cost per unit Raju can have is $56.80. If the departments with sales less than avoidable costs are eliminated, the total increase in income would be $70,000.

Based on the given information, Raju operates in a competitive product market where the expected selling price per unit is $71. Raju's target profit is set at 20% of the selling price. To determine the highest cost per unit Raju can afford using the target cost method, we need to calculate the target cost.

The target cost is computed by subtracting the target profit from the expected selling price. In this case:

Target Profit = 20% of $71 = $14.20

Target Cost = Expected Selling Price - Target Profit

Target Cost = $71 - $14.20 = $56.80

Therefore, the highest cost per unit Raju can have is $56.80, rounded to 2 decimal places, using the target cost method. In order to achieve Raju's target profit of 20% of the selling price, the cost per unit should not exceed $56.80.

Regarding the second part of the question, the provided segment income results for Suresh Company are as follows:

Department M: Sales - $79,000, Expenses - $41,000

Department N: Sales - $72,000, Expenses - $60,000

Department 0: Sales - $15,800, Expenses - $56,600

Department P: Sales - $72,400, Expenses - $6,600

Department T: Sales - $40,000, Expenses - $20,000

To compute the total increase in income if the departments with sales less than avoidable costs are eliminated, we need to identify these departments. Based on the information provided, the departments with sales less than avoidable costs are Department 0 and Department T.

Total Increase in Income = Income (loss) of Department 0 + Income (loss) of Department T

Total Increase in Income = ($63,400) + ($6,600) = $70,000

Therefore, if the departments with sales less than avoidable costs are eliminated, the total increase in income would be $70,000.

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we look at Facilities as well as HR management. Please share what kind of facility layout in logistics warehouse operations also provide a simple drawing layout diagram. please share with us how the jwe look at Facilities as well as HR management. Please share what kind of facility layout in logistics warehouse operations also provide a simple drawing layout diagram. please share with us how the jobs are designed. Are there changes to such job designs over time and are jobs designed according to the expertise of the personnel or according to the requirement of the operations?

Answers

Some of the common facility layout types in logistics warehouse operations include; Process Layout, Product Layout, Cellular Layout, and Zone Layout. Job design in logistics warehouse operations, typically involves determining the specific tasks, responsibilities, and requirements of each job role.

Process Layout; This layout arranges different workstations or departments based on the nature of the tasks they perform. It allows for flexibility and is suitable for operations with a variety of products and processes.

Product Layout; Also known as an assembly line layout, this arrangement is suitable for operations that have a standardized flow of products or materials. It optimizes the flow and minimizes movement within the warehouse.

Cellular Layout; This layout groups workstations or departments into cells, each responsible for a specific set of tasks or products. It promotes teamwork and efficiency by reducing material handling and improving communication.

Zone Layout; In this layout, the warehouse is divided into zones, each dedicated to specific product categories or operations. It helps in organizing and managing inventory efficiently.

Here is a simple drawing layout diagram representing a product layout in a logistics warehouse operation;

Receiving Area     Picking Area     Packing Area

    |                 |                 |

    |                 |                 |

    |                 |                 |

    |                 |                 |

  Storage Area       Conveyor Belt     Shipping Area

Regarding job design in logistics warehouse operations, it typically involves determining the specific tasks, responsibilities, and requirements of each job role. The job design considers factors such as the expertise of personnel, the nature of operations, efficiency, and safety.

Job designs can evolve over time as operations change, technology advances, or new strategies are implemented. For example, with the introduction of automation and robotics, certain manual tasks may be eliminated or transformed, leading to changes in job designs. Additionally, as warehouse operations grow or adapt to new customer demands, job roles may be modified to align with the evolving requirements and expertise of the personnel.

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In the market for bottled water, Fresh Springs has a 30 percent share of the market, Swiss Springs has a 27 percent share, L'eau de France has a 13 percent share, and Mountain Water has a 10 percent share. The rest of the market consists of 20 firms with a 1 percent share of the market each. What is the value of the Herfindahl- Hirschman index? 2,818 O 1,918 2,418 80

Answers

A measure of market concentration, the Herfindahl-Hirschman Index (HHI), is the sum of the squares of the percentage market shares held by each company in the industry.

The value of the Herfindahl- Hirschman index is as follows:The percentage market share of Fresh Springs is 30 percent, the percentage market share of Swiss Springs is 27 percent, the percentage market share of L'eau de France is 13 percent, and the percentage market share of Mountain Water is 10 percent.

Since there are 20 companies in the rest of the market, each of which has a 1 percent market share, their total market share is 20 percent, or 0.20.HHI = (0.30)^2 + (0.27)^2 + (0.13)^2 + (0.10)^2 + 20(0.01)^2HHI = 0.09 + 0.0729 + 0.0169 + 0.01 + 20(0.0001)HHI = 0.09 + 0.0729 + 0.0169 + 0.01 + 0.002 = 0.1918 or 1,918Therefore, the value of the Herfindahl- Hirschman index is 1,918.

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1. How did Bank Negara Malaysia increase money supply in Malaysia during the pandemic?
2. How did the pandemic cause a change in the aggregate demand curve and aggregate supply curve?
3.Explain the supply and demand shocks the pandemic caused on the Malaysian economy
4. Measure by Malaysian government to improve trade during Pandemic
5. Measure of Malaysian government to improve Ringgit currency depreciation during pandemic

Answers

1. Bank Negara Malaysia increased the money supply in Malaysia during the pandemic by implementing several measures. The main answer is that the bank cut its overnight policy rate (OPR) by a total of 125 basis points between January and July 2020.

This was done to encourage borrowing and investment, as lower interest rates make borrowing and investment more attractive. Additionally, the bank increased the statutory reserve requirement (SRR) ratio, which is the percentage of deposits that banks must hold in reserve, from 3% to 4% to reduce liquidity in the banking system. Lastly, the bank also provided additional liquidity support to the banking system through various measures such as the reduction of the statutory reserve requirement (SRR) ratio.

2. The pandemic caused a change in the aggregate demand curve and aggregate supply curve in Malaysia. The detailed answer is that the lockdown measures implemented to curb the spread of COVID-19 reduced the aggregate demand in Malaysia, as consumption and investment decreased due to lower economic activity. This resulted in a leftward shift of the aggregate demand curve. Additionally, supply chains were disrupted due to the pandemic, causing a decrease in the aggregate supply. This resulted in a leftward shift of the aggregate supply curve.

3. The pandemic caused supply and demand shocks on the Malaysian economy. The detailed answer is that the pandemic resulted in a negative supply shock as lockdown measures disrupted supply chains and caused a decrease in production. This led to an increase in prices due to supply shortages. Additionally, the pandemic resulted in a negative demand shock as consumption and investment decreased due to lower economic activity. This led to a decrease in prices due to weak demand.

4. The Malaysian government implemented several measures to improve trade during the pandemic. The main answer is that the government provided stimulus packages to support businesses, including tax exemptions, wage subsidies, and loan guarantees. Additionally, the government also implemented measures to support international trade, such as simplifying trade procedures, reducing tariffs, and providing financial assistance to exporters.

5. The Malaysian government implemented several measures to improve the Ringgit currency depreciation during the pandemic. The government introduced various policies to support the Ringgit currency, such as increasing interest rates and reducing liquidity in the banking system. Additionally, the government also implemented measures to boost foreign currency reserves, such as issuing international bonds and increasing trade with other countries.

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The standard cost of Product B manufactured by Sandhill Company includes 3.6 units of direct materials at $5.90 per unit. During June, 26,600 units of direct materials are purchased at a cost of $5.65 per unit, and 26,600 units of direct materials are used to produce 7,300 units of Product B. (a) Compute the total materials variance and the price and quantity variances. Total materials variance $enter a dollar amount select an option Materials price variance $enter a dollar amount select an option Materials quantity variance $enter a dollar amount select an option (b) Compute the total materials variance and the price and quantity variances, assuming the purchase price is $5.95 and the quantity purchased and used is 26,500 units.

Answers

(a) Calculation of variances Total Materials variance =

Actual Quantity of Materials Used x (Actual Price - Standard Price)Total Materials variance = 26,600 x ($5.65 - $5.90)

Total Materials variance = -$6,650 Favorable or unfavorable = Unfavorable Materials price variance = Actual Quantity of Materials Used x (Actual Price - Standard Price)Materials price variance = 26,600 x ($5.65 - $5.90)Materials price variance = -$6,650

Favorable or unfavorable = Unfavorable Materials quantity variance = Standard Price x (Actual Quantity of Materials Used - Standard Quantity Allowed)Materials quantity variance = $5.90 x (26,600 - 26,064)Materials quantity variance = $3,184 Favorable or unfavorable = Favorable

(b) Calculation of variancesTotal Materials variance = Actual Quantity of Materials Used x (Actual Price - Standard Price)Total Materials variance = 26,500 x ($5.95 - $5.90)Total Materials variance = $1,325 Favorable or unfavorable = Favorable Materials price variance = Actual Quantity of Materials Used x (Actual Price - Standard Price)Materials price variance = 26,500 x ($5.95 - $5.90)Materials price variance = $1,325 Favorable or unfavorable = Favorable Materials quantity variance = Standard Price x (Actual Quantity of Materials Used - Standard Quantity Allowed)Materials quantity variance = $5.90 x (26,500 - 26,064)Materials quantity variance = $2,583 Favorable or unfavorable = Favorable

Therefore, the following are the variances:(a) Total materials variance = -$6,650 Materials price variance = -$6,650 Materials quantity variance = $3,184(b) Total materials variance = $1,325 Materials price variance = $1,325 Materials quantity variance = $2,583

Note: The total materials variance is the sum of the materials price variance and the materials quantity variance. In both cases, the actual quantity of materials used was equal to the actual quantity of materials purchased.

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Anna just deposited $1,000 in her savings account. The current required reserve at her bank is 5% 0.05). Anna's deposit expands the credit market by: $8,000 $20.000 $16,000 $5,000 O $2,000

Answers

Anna's

deposit

expands the credit market by $20,000.

To determine the expansion of the credit

market

due to Anna's deposit, we need to calculate the money multiplier. The money multiplier is the reciprocal of the reserve requirement.

Given that the

reserve

requirement is 5% (0.05), the money multiplier is calculated as:

Money Multiplier = 1 / Reserve Requirement = 1 / 0.05 = 20

Now we can calculate the expansion of the credit market by multiplying Anna's deposit by the

money

multiplier:

Expansion of Credit Market = Anna's Deposit *

Money Multiplier = $1,000 *

= $20,000

Therefore, Anna's deposit expands the

credit

market by $20,000.

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Handel, aged 13, is a violin virtuoso. He has signed a four-year contract with Bach to learn specific violin techniques to improve his skills. The terms of the contract stated that:
a. Bach would teach Handel violin free of charge;
b. During the four-year period, Handel could not accept performance engagements for the violin other than those under Bach; and
c. Bach would employ Handel to perform on stage for at least two paid performances per year.
Handel accepted a performance engagement from Mozart, to highlight his skills on the piano, as his income from Bach’s employment was insufficient for his support. Bach wishes to sue Handel for breach of contract.
Advise Bach using the principles of Australian contract law Supported by relevant Australian law and cases decided by Australian courts.

Answers

It is advisable for Bach to consult with a qualified legal professional who can provide tailored advice based on the specific details of the case.

Under Australian contract law, the terms and conditions of a contract are binding on both parties, and breaching those terms can have legal consequences. In the case you've described, Bach could potentially sue Handel for breach of contract if Handel accepted a performance engagement from Mozart, which goes against the terms of their agreement.

However, the specific circumstances and the interpretation of the contract terms would be crucial in determining the outcome of such a case.

Based on the terms of the contract you provided, it seems that Bach agreed to teach Handel the violin free of charge, with the condition that Handel would not accept any other performance engagements for the violin during the four-year period, except those under Bach. Additionally, Bach was obligated to employ Handel for at least two paid performances per year.

If Handel accepted a performance engagement from Mozart to showcase his piano skills, it could potentially be argued that he breached the contract by accepting engagements outside of the scope of the agreement.

Bach may have a valid claim for breach of contract if it can be shown that Handel violated the terms that prohibited him from accepting performance engagements for the violin outside of Bach's employment.

To determine the outcome of such a case, a court would examine the precise language of the contract and consider the intentions of the parties at the time of entering into the agreement. It would be important to establish the specific obligations and restrictions set forth in the contract and whether Handel's actions fall within those limitations.

It's worth noting that contract law can be complex, and the outcome of any legal case would depend on the specific facts, the interpretation of the contract, and the relevant Australian laws.

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The trend line of a microbank's "Portfolio at risk > 30 days" figure is an indicator of a. None of these are true b. Productivity c. Efficiency d. Portfolio quality

Answers

The trend line of a microbank's "Portfolio at risk > 30 days" figure is an indicator of portfolio quality. The correct answer is option (d).

A trend line of the "Portfolio at risk > 30 days" figure measures the trend of loans that are past due by more than 30 days and indicates the portfolio's quality.A trend line is a line that connects two or more points in a chart and represents the general trend of the data over time. It's an effective way to see how a data set changes over time, and it's used to predict future values.

The "Portfolio at risk > 30 days" figure reflects the quality of a bank's portfolio, which indicates the risk associated with it. The higher the value, the greater the risk, and vice versa. This measure is used to assess the quality of a bank's portfolio, which is critical in determining its overall financial health.

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Which of the following factors did Michael Porter identify as
determining the nature and degree of competition in an industry?
The macroeconomic level of the industry
Bargaining power of competito

Answers

Michael Porter identified the Bargaining power of competitors as one of the factors determining the nature and degree of competition in an industry.

So, the answer is B.

What is meant by the bargaining power of competitors?

The bargaining power of competitors is the degree of influence that a rival organization or group of businesses has in an industry.

When determining this factor, organizations assess their potential competitors' strengths and weaknesses, such as their marketing budgets, pricing strategies, and product offerings

.Porter also identified the following factors that determine the nature and degree of competition in an industry:

1. The threat of new entrants into the industry

2. The bargaining power of suppliers

3. The bargaining power of customers or buyers

4. The threat of substitute products or services

Therefore, the correct option is B, bargaining power of competitors.

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Essence of Skunk Fragrances, Limited, sells 4,000 units of its perfume collection each year at a price per unit of $400. All sales are on credit with terms of 3/10, net 30. The discount is taken by 60 percent of the customers. What is the amount of the company's accounts receivable?
Multiple Choice
$74,958.90
$43,835.62
$82,849.32
$52,602.74
$78,904.11

Answers

To calculate the amount of the company's accounts receivable, we need to consider the portion of customers who take the discount and the portion who pay the full amount.

Let's break down the calculation step by step:
Total sales: 4,000 units * $400 per unit = $1,600,000
Portion of customers taking the discount: 60% of 4,000 units = 2,400 units
Sales to customers taking the discount: 2,400 units * $400 per unit = $960,000
Portion of customers not taking the discount: 40% of 4,000 units = 1,600 units
Sales to customers not taking the discount: 1,600 units * $400 per unit = $640,000
Amount of discount taken: 2,400 units * (3% * $400 per unit) = $2,880
Amount of accounts receivable from customers taking the discount: $960,000 - $2,880 = $957,120
Amount of accounts receivable from customers not taking the discount: $640,000
Total accounts receivable: $957,120 + $640,000 = $1,597,120
Therefore, the amount of the company's accounts receivable is $1,597,120.
None of the provided options matches this result, so none of them is the correct answer.

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Very few industries meet the characteristics of perfect competition. According to Mankiw (2018), the characteristics of a perfectly competitive industry are:
a) Many buyers (consumers) and sellers (firms)
b) Similar products
c) Free entry and exit
d) Price takers
e) Every buyer (consumer) and seller (firm) has a very small share of the overall market.

Answers

That's correct! According to Mankiw (2018), the characteristics of a perfectly competitive industry include:

a) Many buyers (consumers) and sellers (firms): In a perfectly competitive market, there are a large number of buyers and sellers, none of whom can individually influence the market price.

b) Similar products: The products sold by different firms in a perfectly competitive market are homogenous or identical. Buyers perceive the products as perfect substitutes for one another.

c) Free entry and exit: Firms can enter or exit the industry freely without any barriers or restrictions. There are no significant barriers to entry or exit that would prevent new firms from entering the market or existing firms from leaving.

d) Price takers: In a perfectly competitive market, firms are price takers, meaning they have no control over the market price. They must accept the prevailing market price as determined by the forces of supply and demand.

e) Every buyer (consumer) and seller (firm) has a very small share of the overall market: Each individual buyer or seller in a perfectly competitive market has such a small market share that their individual actions have no impact on the overall market price.

It is important to note that while these characteristics provide an ideal framework for perfect competition, real-world markets rarely meet all these criteria. However, the concept of perfect competition serves as a benchmark against which other market structures are compared.

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For each separate case, record an adjusting entry (if necessary). a. Barga Company purchases $33,000 of equipment on January 1. The equipment is expected to last five years and be worth $4,600 at the end of that time. b. Welch Company purchases $11.300 of land on January 1. The land is expected to last forever. Prepare the entries to record one year's depreciation expense of $5,680 for the equipment and what depreciation adjustment, if any. should be made with respect to the Land account as of December 31?

Answers

To record one year's depreciation expense of $5,680 for the equipment, debit Depreciation Expense and credit Accumulated Depreciation - Equipment, and no depreciation adjustment is required for the Land account.

For Case (a), an adjusting entry is needed to record one year's depreciation expense for the equipment purchased. The entry would involve debiting Depreciation Expense and crediting Accumulated Depreciation - Equipment. Since the equipment is expected to last five years, the annual depreciation expense is calculated as ($33,000 - $4,600) / 5 = $5,680.

Regarding Case (b), no depreciation adjustment is necessary for the Land account. Land is considered a non-depreciable asset as it is expected to last forever. Therefore, it retains its original value without any reduction over time.

Therefore, for the equipment in Case (a), the adjusting entry records the depreciation expense for one year, reflecting the allocation of the equipment's cost over its useful life. However, no depreciation adjustment is made for the Land account in Case (b) since land is not subject to depreciation.

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Determine the expected return on equity for a firm with a WACC of 12%, $500,000 in 9% debt, $800,000 in equity. Both debt and equity are shown at market values, and the firm pays no taxes. How can the expected return on equity be reduced?

Answers

The expected return on equity for the firm is approximately 13.89% or 15.5%. The expected return on equity for a firm can be determined by using the weighted average cost of capital (WACC) as a reference.

The expected return on equity for a firm can be determined by using the weighted average cost of capital (WACC) as a reference. In this case, with a WACC of 12%, $500,000 in 9% debt, and $800,000 in equity, the expected return on equity would be 15.5%.

To calculate the expected return on equity, we use the formula: WACC = (E/V) * Re + (D/V) * Rd, where E is the market value of equity, V is the total market value of the firm (E + D), Re is the expected return on equity, D is the market value of debt, and Rd is the cost of debt.

Given:

WACC = 12%

D = $500,000 (debt)

E = $800,000 (equity)

Since the firm pays no taxes, the cost of debt (Rd) is equal to the interest rate on debt. Thus, Rd = 9%.

Using the formula, we can solve for Re:

12% = (800,000 / (800,000 + 500,000)) * Re + (500,000 / (800,000 + 500,000)) * 9%

12% = (800,000 / 1,300,000) * Re + (500,000 / 1,300,000) * 9%

12% = 0.6154 * Re + 0.3846 * 9%

12% = 0.6154 * Re + 0.0346

Solving for Re:

0.6154 * Re = 0.12 - 0.0346

0.6154 * Re = 0.0854

Re = 0.0854 / 0.6154

Re ≈ 0.1389 or 13.89%

Therefore, the expected return on equity for the firm is approximately 13.89% or 15.5%.

To reduce the expected return on equity, several strategies can be employed:

Lower the cost of debt: By refinancing debt at a lower interest rate, the overall cost of capital can be reduced, resulting in a lower expected return on equity.

Increase the proportion of debt: Adding more debt to the capital structure increases the weight of debt in the WACC formula, which can lower the expected return on equity.

Improve operational efficiency: Enhancing the firm's efficiency and profitability can positively impact the expected return on equity by increasing earnings and shareholder value.

Reduce financial risk: Minimizing financial risk, such as improving credit ratings or maintaining sufficient cash reserves, can lower the cost of debt and subsequently reduce the expected return on equity.

Adjust capital structure: Modifying the mix of debt and equity in the capital structure can impact the WACC and consequently affect the expected return on equity.

It's important to note that these strategies may have different implications and trade-offs, and they should be evaluated in the context of the firm's specific circumstances and objectives.

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