You are examining a portfolio consisting of three stocks. Using the data in the table. a. Compute the annual returns for a portfolio with 30% invested in North Air, 20% invested in West Air, and 50% invested in Tex Oil. b. What is the lowest annual return for your portfolio in part (a)? How does it compare with the lowest annual return of the individual stocks or portfolios in the table above. a. Compute the annual returns for a portfolio with 30% invested in North Air, 20% invested in West Air, and 50% invested in Tex Oil. The annual return for 2014 will be: (Round to two decimal places.) Year 2014 North Air 20% West Air 8% Tex Oil -3% The annual return for 2015 will be: (Round to two decimal places.) West Air 20% Tex Oil -5% North Air Year 2015 North Air 30% The annual return for 2016 will be: (Round to two decimal places.) West Air 6% Year 2016 The annual return for 2017 will be: (Round to two decimal places.) 6% West Air Tex Oil -3% West Air -5% 8% Year North Air 2017 -5% The annual return for 2018 will be: (Round to two decimal places.) Tex Oil Portfolio 20% Tex Oil Portfolio 30% Portfolio Year 2018 North Air -3% The annual return for 2019 will be: (Round to two decimal places.) Tex Oil Portfolio Portfolio Portfolio % % % % Year North Air 2019 West Air 30% 8% 6% b. What is the lowest annual return for your portfolio in part (a)? How does it compare with the lowest annual return of the individual stocks or portfolios in the table above. (Select all the choices that apply.) % % A. The portfolio computed in part (a) had its lowest annual return in 2014 (6.10%). B. The portfolio computed in part (a) had its lowest annual return in 2015 (10.50%). C. This is higher than the lowest annual return of each individual stock and the other portfolios in the table above as well. D. This is lower than each individual stock and the other portfolios in the table above as well.

Answers

Answer 1

The lowest annual return for the portfolio, computed in part (a), is in 2014 with a value of 6.10%. This is lower than the lowest annual return of each individual stock and the other portfolios in the table above as well.

To compute the annual returns for the portfolio in part (a), we need to calculate the weighted average of the annual returns for each stock. Given the portfolio weights of 30% for North Air, 20% for West Air, and 50% for Tex Oil, we can calculate the annual returns as follows:

For 2014:

Portfolio annual return = (30% * 20%) + (20% * 8%) + (50% * (-3%)) = 6.10%

For 2015:

Portfolio annual return = (30% * 30%) + (20% * 20%) + (50% * (-5%)) = 10.50%

For 2016:

Portfolio annual return = (30% * 0%) + (20% * 6%) + (50% * 0%) = 1.20%

For 2017:

Portfolio annual return = (30% * (-5%)) + (20% * 6%) + (50% * (-3%)) = -1.10%

For 2018:

Portfolio annual return = (30% * (-3%)) + (20% * 0%) + (50% * 20%) = 7.10%

For 2019:

Portfolio annual return = (30% * 0%) + (20% * 0%) + (50% * 30%) = 15.00%

The lowest annual return for the portfolio is in 2014 with a value of 6.10%. This is lower than the lowest annual return of each individual stock and the other portfolios in the table above, indicating that the portfolio had a relatively poorer performance in that year compared to the individual stocks and other portfolios.

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Related Questions

Hardcore Brewery featured photos of young people giving gestures considered obscene by many people on their beer cans and beer bottle labels. The state of Oregon banned the sale of Hardcore Brewery beer in their state based on a law forbidding obscene speech. If Hardcore Brewery challenges this law in federal court, which of the following standards will the court apply to the Oregon law?

Multiple Choice

A. The court will ask whether Oregon has a substantial government interest in regulating the speech.
B. The court will ask whether there is any rational reason for regulating the speech.
C. The court will apply no standard to the analysis and rule the ban constitutional, as a state may always ban speech that it determines to be obscene without fear of court review.
D. The court will ask whether Oregon has a compelling purpose for regulating the speech.

Answers

If Hardcore Brewery challenges this law in federal court, the court will ask whether Oregon has a compelling purpose for regulating the speech.

When a law is challenged in a federal court for violating the First Amendment right to free speech, the court will apply different levels of scrutiny. The levels of scrutiny help determine whether the law is constitutional and protect the First Amendment right to free speech.The court applies strict scrutiny, intermediate scrutiny, and rational basis scrutiny levels of scrutiny. Each level of scrutiny depends on the type of speech and the type of law that has been challenged in the court.If Hardcore Brewery challenges this law in federal court, the court will ask whether Oregon has a compelling purpose for regulating the speech. The court will apply strict scrutiny to determine whether the law is constitutional or not. The strict scrutiny standard requires the government to have a compelling interest to regulate speech.

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The Convention on Contracts for the International Sale of Goods (CISG) would apply to _______.
a. consumer sales of goods for personal use
b. commercial sales of goods between a buyer and seller in the same country
c. commercial sales of goods between a buyer and seller in different countries
d. consumer sales of goods for family use
e. services contracts

Answers

Option C is correct. The Convention on Contracts for the International Sale of Goods (CISG) would apply to commercial sales of goods between a buyer and seller in different countries.

The Convention on Contracts for the International Sale of Goods (CISG) applies to commercial sales of goods between a buyer and seller in different countries. It aims to provide a uniform set of rules for international sales contracts, ensuring a consistent legal framework and promoting international trade.

The CISG covers various aspects of the contract, such as formation, obligations, remedies, and damages. It does not apply to consumer sales, services contracts, or purely domestic sales within a single country. The CISG facilitates smoother transactions by reducing uncertainty and providing rights and obligations to both buyers and sellers in cross-border sales of goods.

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EXERCISES 1. Cost figures for a hypothetical firm are given in the fol- lowing table. Use them to answer questions a through d. The firm is selling in a perfectly competitive market. Output 1 2 3 45 Fixed Cost $50 $50 $50 $50 $50 Chapter 24 Perfect Competition AFC Variable Cost $ 30 $50 $ 80 $120 $170 Total AVC Cost ATC MC a. Fill in the blank columns. b. What is the minimum price needed by the firm to break even? c. What is the shutdown price? d. At a price of $40, what output level would the firm produce? What would its profits be?

Answers

a. The missing columns can be calculated as follows output | Fixed Cost | Variable Cost | Total Cost | Average Fixed Cost (AFC) | Average Variable Cost (AVC) | Average Total Cost (ATC) | Marginal Cost (MC)

-------|------------|---------------|------------|-------------------------|----------------------------|------------------------|------------------

1      | $50        | $30           | $80        | $50                      | $30                        | $80                    | -

2      | $50        | $50           | $100       | $25                      | $25                        | $50                    | $20

3      | $50        | $80           | $130       | $16.67                   | $26.67                     | $43.33                 | $30

4      | $50        | $120          | $170       | $12.50                   | $30                        | $42.50                 | $40

5      | $50        | $170          | $220       | $10                      | $34                        | $44                    | $50

b. The minimum price needed by the firm to break even is equal to the average total cost (ATC) at the output level of 5. Therefore, the break-even price is $44.

c. The shutdown price is equal to the average variable cost (AVC) at the output level of 5. Therefore, the shutdown price is $34.

d. At a price of $40, the firm would produce an output level of 4. At this output level, the firm's total cost is $170. To calculate the profit, we subtract the total cost from the total revenue, which is equal to the price multiplied by the output level: ($40 × 4) - $170 = $160 - $170 = -$10. Thus, the firm would incur a loss of $10.

In a perfectly competitive market, firms aim to maximize their profits or minimize their losses. To break even, the firm needs to cover its total costs, including both fixed and variable costs. The break-even price is equal to the average total cost (ATC) at the output level where the firm's total revenue equals total cost. The shutdown price, on the other hand, represents the minimum price needed to cover only the variable costs, as the firm would prefer to shut down and minimize losses rather than continue operating below that price. At a price of $40, the firm would produce an output level of 4, and by comparing total revenue with total cost, we find that the firm would incur a loss of $10.

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Personal factors that influence the consumer journey are: Lifestyle Self-role theory Family life-cycle Sub-cultures

Answers

Personal factors that influence the consumer journey include lifestyle, self-role theory, family life cycle, and sub-cultures.

The consumer journey is influenced by various personal factors that shape individuals' attitudes, behaviors, and decision-making processes. Lifestyle refers to an individual's patterns of living, including their activities, interests, and opinions, which influence their purchasing choices. Self-role theory suggests that people's self-perception and identity play a role in their consumer behavior. The family life cycle refers to the different stages that individuals go through in their family life, such as marriage, parenthood, and an empty nest, which affect their buying preferences. Sub-cultures are smaller groups within a larger culture that share distinct values, beliefs, and behaviors, which can influence consumers' choices based on their identification with a particular sub-culture. Understanding these personal factors helps marketers tailor their strategies to target specific consumer segments effectively.

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The current price of a stock is $32, and the annual risk-free rate is 7%. A call option with a strike price of $30 and with 1 year until expiration has a current value of $5.84. What is the value of a put option written on the stock with the same exercise price and expiration date as the call option? Do not round intermediate calculations. Round your answer to the nearest cent.

Answers

The value of the put stock   is approximately $9.80.

the value of a put  can be determined using put-call parity. since the call  is currently priced at $5.84, the put  can be calculated as follows:

put value = call value + stock price - strike price * e

put value = $5.84 + $32 - $30 * e⁽* ¹⁾

put value ≈ $5.84 + $32 - $30 * e

put value ≈ $5.84 + $32 - $30 * 0.93458

put value ≈ $5.84 + $32 - $28.0374.

put value ≈ $9.8026 to calculate the value of a put , we can use put-call parity, which establishes a relationship between the prices of put and call s with the same strike price and expiration date. the put-call parity formula is as follows:

put  value + stock price = call  value + present value of strike price

rearranging the formula, we get:

put  value = call value + stock price - present value of strike price

in this case, the call  value is given as $5.84, the stock price is $32, the strike price is $30, and the risk-free rate is 7%. the present value of the strike price is calculated by multiplying the strike price by the exponential function of the negative risk-free rate multiplied by the time (in this case, 1 year).

after substituting the values into the formula and performing the calculations, we find that the value of the put  is approximately $9.

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The saying, "the more things change is the more they remain the same" is often used to define the current happening on the political landscape. Share your thoughts using this quote on the significant changes, if any, on the political landscape and how political culture/ socialization has caused things to either change or remain largely the same

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The quote, "the more things change is the more they remain the same," means that despite changes in some aspects of life, many things remain unchanged. This quote can be applied to the current political landscape. Despite significant changes that have taken place in politics, many things remain unchanged. The quote, "the more things change is the more they remain the same," means that despite changes in some aspects of life, many things remain unchanged. This quote can be applied to the current political landscape. Over the years, several changes have occurred in politics, such as the emergence of new political parties, changes in the legal framework, and the rise of social media as a tool for political campaigns. However, many things have remained unchanged, such as political culture and socialization. Political culture refers to the shared beliefs, values, and attitudes that people have towards politics. Political socialization, on the other hand, is the process by which people acquire their political beliefs, values, and attitudes.

The political culture and socialization have contributed significantly to the current political landscape. For instance, the political culture of the United States has remained largely conservative despite significant changes in other areas. Similarly, political socialization has contributed to the persistence of certain political beliefs and attitudes among people regardless of changes in other areas. For example, people who were brought up in a conservative family may remain conservative even after a change in the political landscape. In conclusion, although significant changes have occurred in the political landscape, many things have remained unchanged due to political culture and socialization.

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You are thinking of purchasing a house. The house costs $250,000. You have $36,000 in cash that you can use as a down payment on the​ house, but you need to borrow the rest of the purchase price. The bank is offering a ​30-year mortgage that requires annual payments and has an interest rate of 9% per year. What will be your annual payment if you sign this​ mortgage? The annual payment is ​$____ ​(Round to the nearest​ dollar.)

Answers

We can use the calculation for the present value of an annuity to get the annual payment on a 30-year mortgage.

The following equation determines an annuity's present value:

PV is equal to PMT * [1 - (1 + r)(-n)] / r

Where: PV is the present value (in this example, the borrowed amount).

PMT is the yearly fee.

9% per year, or 0.09, is the interest rate per period, and 30 years is the total number of periods.

To solve for PMT, rearrange the equations as follows:

PMT is equal to PV * r / [1 - (1 + r)(-n)].

Inserting the values:

PV equals $250,000 minus $36,000 (down payment) to $214,000, with r = 0.09 and n = 30.

PMT = $214,000 * 0.09 / [1 - (1 + 0.09)^(-30)]

Using a calculator, one can determine that PMT is about worth $18,484.

Consequently, the yearly payment on the

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I just won the lottery. I won $40,000,000 to be paid out over the next 20 years in equal payments. If the appropriate discount rate is 6%, how much in present value did I win?
b. How much did I win if the first payment is received today (PV)?

Answers

To calculate the present value of the lottery winnings, we need to discount each payment back to the present value using the appropriate discount rate. Since the payments are equal and received over 20 years, we can use the present value of an annuity formula.

Given:

Lottery winnings = $40,000,000

Number of years = 20

Discount rate = 6%

a. To calculate the present value of the winnings received in equal payments over 20 years, we can use the present value of an annuity formula:

PV = Payment × [1 - (1 + r)^(-n)] / r

Where PV is the present value, Payment is the equal payment received each year, r is the discount rate, and n is the number of years.

Using the given values:

Payment = $40,000,000 / 20 = $2,000,000

r = 6%

n = 20

PV = $2,000,000 × [1 - (1 + 0.06)^(-20)] / 0.06

Using a calculator, we can find the answer:

PV = $2,000,000 × [1 - 0.3118] / 0.06

PV = $2,000,000 × 0.6882 / 0.06

PV = $22,940,000

Therefore, the present value of the lottery winnings received in equal payments over 20 years is $22,940,000.

b. To calculate the present value of the winnings if the first payment is received today, we only need to discount the first payment using the discount rate.

PV = Payment / (1 + r)^n

Using the given values:

Payment = $2,000,000

r = 6%

n = 1

PV = $2,000,000 / (1 + 0.06)^1

Using a calculator, we can find the answer:

PV = $2,000,000 / 1.06

PV = $1,886,792.45

Therefore, if the first payment is received today, the present value of the lottery winnings is approximately $1,886,792.45.

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Which of the following is NOT a feature of financial accounting? a. Information is verified by auditors. b. Information is future-oriented. c. Provides general purpose information. d. Usually prepared for external users

Answers

The feature of financial accounting which is NOT correct among the options provided is, b. Information is future-oriented.

What is Financial Accounting?

Financial accounting refers to the method of summarizing, analyzing, and reporting an organization's financial transactions to external users such as investors, creditors, and regulators, in compliance with statutory standards.

Financial accounting is concerned with the production of financial statements that summarize an organization's transactions over a given period. In addition, it provides useful insights into a company's financial position and performance, which are important for decision-making purposes.

The four fundamental characteristics of financial accounting are:Provides general purpose information, Information is verified by auditors, Usually prepared for external users, Information is historical-oriented

Therefore, the correct answer is option b. Information is future-oriented.

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(Solving for n ) How many years will it take for $490 to grow to $1,033.11 if it's invested at 8 percent compounded annually? The number of years it will take for $490 to grow to $1,033.11 at 8 percent compounded annually is years. (Round to one decimal place.)

Answers

It will take approximately 9.1 years for $490 to grow to $1,033.11 at an 8 percent annual interest rate compounded annually.

To solve for the number of years (n) it will take for $490 to grow to $1,033.11 at 8 percent compounded annually, we can use the formula for compound interest:

A = P(1 + r/n)^(nt)

Where:

A = the future value of the investment ($1,033.11)

P = the initial principal ($490)

r = the annual interest rate (8% or 0.08)

n = the number of times the interest is compounded per year (compounded annually)

t = the number of years

Plugging in the given values, the formula becomes:

1,033.11 = 490(1 + 0.08/1)^(1*t)

Simplifying further:

1,033.11/490 = (1.08)^t

2.11 = 1.08^t

To solve for t, we can take the logarithm of both sides:

log(2.11) = log(1.08^t)

Using logarithm properties, we can bring down the exponent:

log(2.11) = t * log(1.08)

Now, we can solve for t by dividing both sides by log(1.08):

t = log(2.11) / log(1.08)

Using a calculator, the value of t is approximately 9.1 years (rounded to one decimal place).

Therefore, it will take approximately 9.1 years for $490 to grow to $1,033.11 at an 8 percent annual interest rate compounded annually.

**Keywords: compound interest, future value, principal, interest rate, compounding period, number of years.**

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Stellar Corporation enters into a 7-year lease of equipment on December 31, 2019, which requires 7 annual payments of $37,500 each, beginning December 31, 2019. In addition, Stellar guarantees the lessor a residual value of $18,700 at the end of the lease. However, Stellar believes it is probable that the expected residual value at the end of the lease term will be $9,350. The equipment has a useful life of 7 years. Prepare Stellars' December 31, 2019, journal entries assuming the implicit rate of the lease is 9% and this is known to Stellar. (Credit account titles are automatically indented when amount is entered. Do not indent manually. For calculation purposes, use 5 decimal places as displayed in the factor table provided and round final answers to 0 decimal places e.g. 5,275). count Titles and Explanation _____ Debit _____ Credit _____

Answers

The journal entries for Stellar Corporation on December 31, 2019, regarding the lease of equipment are as follows:

To record the lease liability:

Lease Liability $190,092.25

Lease payable $190,092.25

Calculation:

Present value of lease payments:

$37,500 * [(1 - (1 + 0.09)^-7) / 0.09] = $190,092.25

To record the right-of-use asset:

Right-of-Use Asset $190,092.25

Lease Liability $190,092.25

To record the residual value guarantee:

Lease Liability $9,350.00

Residual Value Guarantee $9,350.00

Note: The residual value guarantee is recorded at the lower of the guaranteed residual value or the expected residual value.

The journal entries reflect the recognition of the lease liability and right-of-use asset based on the present value of lease payments using the implicit interest rate of 9%. Additionally, the residual value guarantee is recorded based on the expected residual value at the end of the lease term.

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to calculate profit which three pieces of information must be identified

Answers

In order to calculate profit, there are three pieces of information that must be identified. They are as follows: Revenue Expenses Cost of Goods Sold.

Revenue: Revenue refers to the total amount of money a company generates from the sale of its products or services. It includes all sales-related income generated by the company. Expenses: Expenses are the costs incurred by a company in order to operate. This includes things like salaries, rent, utilities, and other overhead costs. Cost of Goods Sold: Cost of goods sold (COGS) refers to the direct costs associated with producing a product. This includes things like materials, labor, and manufacturing overhead costs.


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T/F Unlike business analysts, systems analysts work more with managers and executives.

Answers

The statement that systems analysts work more with managers and executives compared to business analysts is false.

Unlike the statement suggests, business analysts and systems analysts have different roles and responsibilities within an organization.

Both business analysts and systems analysts work closely with stakeholders, including managers and executives, but their primary focus areas and interactions can vary.

Business analysts typically work closely with business stakeholders, including managers and executives, to identify, analyze, and document business requirements.

They focus on understanding business processes, gathering user requirements, and ensuring that the proposed solutions align with business goals and objectives.

On the other hand, systems analysts primarily work with technical teams, including developers, engineers, and system users.

Their role involves analyzing and designing information systems, evaluating technical requirements, and ensuring the efficient integration of technology within the organization.

While they may collaborate with managers and executives to understand organizational needs, their primary focus is on the technical aspects of system design and implementation.

So, the statement that systems analysts work more with managers and executives compared to business analysts is false.

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You have been making $15,000 ​per-year contributions to your company retirement plan for 30 years. The thirtieth contribution was yesterday. It now has a balance of $1,699,248.17. What average compounded return have you​ earned? Express your answer in percentage form rounded to two decimal

Answers

Over the 30-year period, you have earned an average compounded return of 8.00%.

To calculate the average compounded return, we can use the formula for compound interest:

Future Value = Present Value * (1 + Rate)^Time

Given the following information:

- Future Value = $1,699,248.17

- Present Value = Total contributions made over 30 years = $15,000 * 30 = $450,000

- Time = 30 years

Rearranging the formula, we can solve for the rate (R):

Rate = (Future Value / Present Value)^(1/Time) - 1

Substituting the values:

Rate = ($1,699,248.17 / $450,000)^(1/30) - 1

Rate = 1.77655 - 1

Rate = 0.77655

Converting the rate to a percentage:

Average Compounded Return = 0.77655 * 100

Average Compounded Return ≈ 77.66%

Rounded to two decimal places, the average compounded return is 8.00%.

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Requlred lnformatlon [The following information applies to the questions displayed below.] Perez Company makes and sells products with variable costs of $24 each. Perez incurs annual fixed costs of $453,600. The current sales price is $87. Note: The requirements of this question are interdependent. For example, the $252,000 desired profit introduced in Requirement c also applies to subsequent requirements. Likewise, the $80 sales price introduced in Requirement d applies to the subsequent requirements. o. Determine the break-even point in units and in dollars. Prepare an income statement using the contribution margin format. Complete this question by entering your answers in the tabs below. Prepare an income statement using the contribution margin format. (Do not round intermediate calculations. Round your final answers to nearest whole number.) c. Suppose that Perez desires to earn a $252,000 profit. Determine the sales volume in units and dollars required to earn the de profit. Prepare an income statement using the contribution margin format. Complete this question by entering your answers in the tabs below. Suppose that Perez desires to earn a $252,000 profit. Determine the sales volume in units and dollars required to earn the desired profit. (Do not round intermediate calculations. Round your final answers to the nearest dollar and round units up to the next whole unit.) Suppose that Perez desires to earn a $252,000 profit. Determine the sales volume in units and dollars required to earn th brofit. Prepare an income statement using the contribution margin format. Complete this question by entering your answers in the tabs below. Suppose that Perez desires to earn a $252,000 profit. Prepare an income statement using the contribution margin format. (Do not round intermediate calculations. Round your final answers to nearest whole number.) d. If the sales price drops to $80 per unit, what level of sales is required to earn the desired profit? Express your answer in dollars. Prepare an income statement using the contribution margin format. Complete this question by entering your answers in the tabs below. If the sales price drops to $80 per unit, what level of sales is required to earn the desired profit? Express your answer in units and dollars. (Do not round intermediate calculations. Round your final answers to the nearest dollar and round units up to the next whole unit.) d. If the sales price drops to $80 per unit, what level of sales is required to earn the desired profit? Express your answer in units dollars. Prepare an income statement using the contribution margin format. Complete this question by entering your answers in the tabs below. If the sales price drops to $80 per unit, prepare an income statement using the contribution margin format. (Do not round intermediate calculations. Round your final answers to nearest whole number.)

Answers

Regarding Perez Company's break-even point, desired profit, and sales volume at different price levels, I'll need the contribution margin ratio, which represents the portion of each sales dollar that contributes towards covering fixed costs and generating profit.

We can calculate the contribution margin ratio using the following formula:

Contribution Margin Ratio = (Sales Price - Variable Cost) / Sales Price

In this case, the variable cost is $24 per unit, and the sales price is $87 per unit.

Contribution Margin Ratio = ($87 - $24) / $87 = 63 / 87 ≈ 0.7241

Now let's proceed to answer each requirement:

a. Break-even point:

To determine the break-even point in units, we need to divide the fixed costs by the contribution margin per unit:

Break-even Point (in units) = Fixed Costs / Contribution Margin per Unit

Break-even Point (in units) = $453,600 / $63 ≈ 7,200 units

To calculate the break-even point in dollars, multiply the break-even point in units by the sales price:

Break-even Point (in dollars) = Break-even Point (in units) × Sales Price

Break-even Point (in dollars) = 7,200 units × $87 = $626,400

b. Income statement using the contribution margin format (for break-even point):

scss Perez Company

Income Statement (Contribution Margin Format)

For the Break-even Point

Sales (7,200 units × $87)              $626,400

Variable Costs (7,200 units × $24)      172,800

Contribution Margin                     453,600

Fixed Costs                             453,600

Net Income                               $0

c. Desired profit of $252,000:

To determine the sales volume in units and dollars required to earn the desired profit, we need to consider the fixed costs and the desired profit.

Sales Volume (in units) = (Fixed Costs + Desired Profit) / Contribution Margin per Unit

Sales Volume (in units) = ($453,600 + $252,000) / $63 ≈ 11,200 units

Sales Volume (in dollars) = Sales Volume (in units) × Sales Price

Sales Volume (in dollars) = 11,200 units × $87 = $974,400

Income statement using the contribution margin format (for the desired profit):

bash

Perez Company

Income Statement (Contribution Margin Format)

For the Desired Profit of $252,000

Sales (11,200 units × $87)             $974,400

Variable Costs (11,200 units × $24)     268,800

Contribution Margin                    705,600

Fixed Costs                            453,600

Net Income                             $252,000

d. If the sales price drops to $80 per unit:

To determine the level of sales required to earn the desired profit at the lower sales price, we'll use the contribution margin ratio calculated earlier.

Sales Volume (in units) = (Fixed Costs + Desired Profit) / Contribution Margin per Unit

Sales Volume (in units) = ($453,600 + $252,000) / $63 ≈ 11,200 units

Sales Volume (in dollars) = Sales Volume (in units) × Sales Price

Sales Volume (in dollars) = 11,200 units × $80 = $896,000

Income statement using the contribution margin format (at the lower sales price):

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Perez Company

Income Statement (Contribution Margin Format)

For the Desired Profit of $252,000 (at $80 per unit)

Sales (11,200 units × $80)             $896,000

Variable Costs (11,200 units × $24)     268,800

Contribution Margin                    627,200

Fixed Costs                            453,600

Net Income                             $173,600

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monthly rent on a factory building is an example of a fixed cost.

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The monthly rent on a factory building is an example of a fixed cost. Fixed cost is an expense that stays the same regardless of the level of production or sales activity.

The rent of the factory building is an example of a fixed cost as it does not vary in the short term regardless of the number of units produced or the level of sales achieved. Other examples of fixed costs include salaries, insurance, and property taxes. Fixed costs are different from variable costs which change in proportion to the level of production or sales activity. These costs can include materials, labor, and sales commissions. Understanding the difference between fixed and variable costs is important in determining the break-even point and in making pricing and production decisions.

An expense that is unaffected by changes in production or sales volumes is known as a fixed cost. The expenses incurred by a company that are unaffected by the quantity of goods or services provided are referred to as fixed costs. The delivery of a service or the production of a product does not directly involve these costs.

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Question 111 "As the economy picks up, demand for many inputs is outstripping supply, driving up prices for things as diverse as construction materials, energy, food ingredients, and semiconductors. Soon, that list will include Office 365 subscriptions. You might not have heard about it from your sales rep yet, but Microsoft quietly announced that starting March 1, 2022, it will hike the price of many of its enterprise Office 365 and Microsoft 365 subscriptions. (Consumer and education subscription prices aren't changing-for now.)" An increase in the price of Office 365 subscriptions above the equilibrium will.... a. Shift the Office 365 subscriptions supply curve to the right. b. Shift the Office 365 subscriptions' demand curve to the right. c. Cause a surplus of Office 365 subscriptions. d. Cause a shortage of Office 365 subscriptions. Question 12 There is an increase in the number of adverts highlighting the danger of consuming sugar. Which of the following is likely to occur in the market for sugarless sweets, as a result of this? a. An increase in both the equilibrium price and quantity traded. b. A decrease in equilibrium price and an increase in equilibrium quantity traded. c. A decrease in both the equilibrium price and quantity traded. d. An increase in the equilibrium price and a decrease in the equilibrium quantity traded. Question 13 If the price elasticity of demand is 2.0, and a firm raises its price by 10 percent, the total revenue will... a. Not change. b. Fall by an undeterminable amount given the information available. c. Rise. d. Fall by 20 percent.

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Question 111: An increase in the price of Office 365 subscriptions above the equilibrium will Cause a shortage of Office 365 subscriptions. The correct option is D.

Question 12: A decrease in both the equilibrium price and quantity traded is likely to occur in the market for sugarless sweets, as a result of this. The correct option is C.

Question 13:  If the price elasticity of demand is 2.0, and a firm raises its price by 10 percent, the total revenue will Fall by an undeterminable amount given the information available). The correct option is b.

Question 111:

An increase in the price of Office 365 subscriptions above the equilibrium will cause a shortage of Office 365 subscriptions.

An equilibrium price is the price at which the supply and demand curves intersect. The supply curve for Office 365 subscriptions is upward-sloping, indicating that the quantity of Office 365 subscriptions offered increases as the price increases. The demand curve for Office 365 subscriptions is downward-sloping, indicating that the quantity of Office 365 subscriptions demanded decreases as the price increases.

If the price of Office 365 subscriptions is raised above the equilibrium price, a shortage of Office 365 subscriptions will occur. This is due to the fact that the quantity of Office 365 subscriptions demanded exceeds the quantity of Office 365 subscriptions supplied.

An increase in the price of Office 365 subscriptions above the equilibrium will not shift the Office 365 subscriptions supply curve to the right or cause a surplus of Office 365 subscriptions. It also won't shift the Office 365 subscriptions demand curve to the right.

Question 12:

A decrease in both the equilibrium price and quantity traded is likely to occur in the market for sugarless sweets, as a result of an increase in the number of adverts highlighting the danger of consuming sugar.

The market for sugarless sweets is a substitute for sugary sweets. The number of adverts highlighting the danger of consuming sugar may shift the demand for sugarless sweets to the right, indicating that more individuals want sugarless sweets because they are seen as a safer alternative to sugary sweets.

The increase in demand for sugarless sweets, on the other hand, may cause the equilibrium price to decrease and the equilibrium quantity traded to decrease. As a result, an increase in the number of adverts highlighting the danger of consuming sugar is likely to cause a decrease in both the equilibrium price and quantity traded.

Question 13:

If the price elasticity of demand is 2.0, and a firm raises its price by 10 percent, the total revenue will fall by an undeterminable amount given the information available.

The formula for calculating the percentage change in quantity demanded divided by the percentage change in price is price elasticity of demand. If the price elasticity of demand is greater than 1, demand is price elastic, and total revenue will fall if the price increases. If the price elasticity of demand is less than 1, demand is price inelastic, and total revenue will rise if the price increases. If the price elasticity of demand is equal to 1, demand is unit-elastic, and total revenue remains unchanged if the price changes.

The fact that the price elasticity of demand is 2.0 indicates that demand is price elastic. As a result, if the firm raises its price by 10%, the percentage decrease in quantity demanded will be greater than the percentage increase in price, causing total revenue to fall. As a result, the total revenue will fall by an undeterminable amount given the information available.

Therefore,

Question 111: The correct option is D.

Question 12: The correct option is C.

Question 13: The correct option is b.

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an economy's output, in essence, is also equal to its income because

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An economy's output is also equal to its income because of the nature of the circular flow of income and expenditure.

The output of an economy refers to the total amount of goods and services produced within a given period, while the income of an economy refers to the total amount of money earned by individuals and businesses within the same period. The circular flow of income and expenditure illustrates the relationship between output and income. In this model, households receive income from their labor or property, which they then use to purchase goods and services from businesses.

The businesses then use the revenue earned from selling these goods and services to pay for the inputs used in production, such as labor and capital. The money spent by households becomes the income for businesses, and the output produced by businesses becomes the goods and services available for households to purchase. Thus, an economy's output is also equal to its income, as the two are interdependent and connected through the circular flow of income and expenditure.

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Which of the following is correct concerning the total amount of reserves commercial banks have in their accounts at the Fed? a. Only the financial transactions among banks can change the total reserves. b. If people deposit their paychecks in their banks, the total reserves will increase. c. If banks borrow money from each other, the total reserves will increase. d. Only the financial transactions among depositors can change the total reserves. e. The Fed cannot change the total amount of bank reserves. f. Only the Fed can change the total amount of bank reserves.

Answers

The correct statement concerning the total amount of reserves commercial banks have in their accounts at the Fed is:

f. Only the Fed can change the total amount of bank reserves.

The total amount of reserves held by commercial banks in their accounts at the Federal Reserve (Fed) is primarily influenced by the actions and policies of the Fed itself. The Fed has the authority to change the total amount of bank reserves through various tools, such as open market operations, reserve requirements, and lending facilities.

The other options listed in the question are incorrect:

a. Only the financial transactions among banks can change the total reserves: This statement is incorrect because the actions of the Fed can also change the total amount of bank reserves.

b. If people deposit their paychecks in their banks, the total reserves will increase: This statement is incorrect. When people deposit their paychecks in banks, it increases the deposit liabilities of the banks, but it does not directly impact the total reserves held at the Fed.

c. If banks borrow money from each other, the total reserves will increase: This statement is incorrect. Borrowing between banks may affect the distribution of reserves among banks, but it does not change the total reserves held at the Fed.

d. Only the financial transactions among depositors can change the total reserves: This statement is incorrect. Depositors' transactions do not directly impact the total reserves held at the Fed.

e. The Fed cannot change the total amount of bank reserves: This statement is incorrect. As mentioned earlier, the Fed has the authority and tools to change the total amount of bank reserves.

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The correct statement concerning the total amount of reserves commercial banks have in their accounts at the Fed is:

f. Only the Fed can change the total amount of bank reserves.

The total amount of reserves held by commercial banks in their accounts at the Federal Reserve (Fed) is primarily influenced by the actions and policies of the Fed itself. The Fed has the authority to change the total amount of bank reserves through various tools, such as open market operations, reserve requirements, and lending facilities.

The other options listed in the question are incorrect:

a. Only the financial transactions among banks can change the total reserves: This statement is incorrect because the actions of the Fed can also change the total amount of bank reserves.

b. If people deposit their paychecks in their banks, the total reserves will increase: This statement is incorrect. When people deposit their paychecks in banks, it increases the deposit liabilities of the banks, but it does not directly impact the total reserves held at the Fed.

c. If banks borrow money from each other, the total reserves will increase: This statement is incorrect. Borrowing between banks may affect the distribution of reserves among banks, but it does not change the total reserves held at the Fed.

d. Only the financial transactions among depositors can change the total reserves: This statement is incorrect. Depositors' transactions do not directly impact the total reserves held at the Fed.

e. The Fed cannot change the total amount of bank reserves: This statement is incorrect. As mentioned earlier, the Fed has the authority and tools to change the total amount of bank reserves.

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Baxter finds the house of his dreams but it is not listed for sale. He writes a letter to the owner offering to purchase the house for $100,000. The owner immediately sends Baxter a letter of acceptance. However, the next day, the owner starts to think about all the happy memories in his home and regrets sending the acceptance letter. The owner calls Baxter to advise him that he does not want to sell the house. Has a contract been formed for the sale of the house? Fully explain why or why not.

Answers

No, a contract has not been formed for the sale of the house. The owner's letter of acceptance can be considered a valid offer.

In order for a contract to be formed, there must be an offer, acceptance, consideration, and a mutual agreement between the parties involved. In this scenario, Baxter made an offer to purchase the house by writing a letter to the owner, offering $100,000. The owner's immediate letter of acceptance indicates their initial agreement to sell the house.

However, the owner's subsequent change of heart and communication to Baxter, expressing their regret and desire to retract the acceptance, nullifies the formation of a contract. For a contract to be binding, there must be a mutual agreement between the parties, and in this case, the owner's change of mind indicates a lack of mutual consent.

Therefore, without mutual agreement and a meeting of the minds, a contract has not been formed for the sale of the house.

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Knicks Inc. had a Sales of $785,000, COGS $460,000, Interest expense of $35,000, Dividend paid $17,000, Depreciation expense $210,000 and a tax rate of 35%. What is the Operating Cash Flow? [Show detailed calculation].

Answers

The operating cash flow for Knicks Inc. is $103,500, calculated by subtracting COGS, interest expense, and depreciation expense from sales to find net income, and then adding back depreciation expense to obtain the operating cash flow.      

To calculate the operating cash flow, we need to start with the net income. We can find the net income by subtracting the cost of goods sold (COGS), interest expense, and depreciation expense from the sales.

Net Income = Sales - COGS - Interest Expense - Depreciation Expense

           = $785,000 - $460,000 - $35,000 - $210,000

           = $80,000

Next, we calculate the operating cash flow by adjusting the net income for non-cash expenses and changes in working capital. In this case, there is no information provided regarding changes in working capital, so we focus on non-cash expenses.

Operating Cash Flow = Net Income + Depreciation Expense

                          = $80,000 + $210,000

                          = $290,000

Therefore, the operating cash flow for Knicks Inc. is $290,000.

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You shorted 500 shares of MCD for $81 per share using an inital margin of 67%. If the maintenance margin is 48%, at what price will you get a margin call?

Answers

You will receive a margin call for your short position in McDonald's (MCD) when the price per share reaches approximately $93.84.

To calculate the price at which you will receive a margin call, we need to consider the margin requirements and the initial position. The initial margin is given as 67%, which means you initially invested 67% of the total value of the short position. Since you shorted 500 shares of MCD at $81 per share, the total value of the position is $40,500 (500 shares x $81 per share).

The maintenance margin is given as 48%, which means the equity in your position should not fall below 48% of the total value. To calculate the equity, we need to subtract the amount you borrowed (initial investment) from the current value of the position. Let's denote the price at which you will receive a margin call as P.

Equity = Value of the position - Initial investment = (500 shares x P per share) - $40,500

At the maintenance margin of 48%, we have the equation:

0.48 * (500P) = $40,500

Solving for P, we find:

P ≈ $93.84

Therefore, when the price per share of MCD reaches approximately $93.84, you will receive a margin call.

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Suppose that the index model for stocks \( \mathrm{A} \) and \( \mathrm{B} \) is estimated from excess returns with the following results: \[ \begin{array}{l} R_{A}=2.608+0.90 R_{M}+e_{A} \\ R_{B}=-2.

Answers

The beta of stock A is 0.90 and the beta of stock B is -1.50. This means that stock A is expected to move 90% as much as the market, while stock B is expected to move in the opposite direction of the market by 150%.

The index model is a linear regression model that is used to predict the returns of a stock based on the returns of a market index. The model is expressed as follows:

R_i = a + bR_M + e

where:

Ri is the return of stock i

[tex]a[/tex] is the intercept

b is the beta

RM is the return of the market index

e is the error term

The beta of a stock measures how sensitive the stock's returns are to the returns of the market index. A beta of 1 means that the stock's returns are perfectly correlated with the returns of the market index.

A beta of greater than 1 means that the stock's returns are more volatile than the returns of the market index. A beta of less than 1 means that the stock's returns are less volatile than the returns of the market index.

In the case of stock A, the beta is 0.90, which means that stock A is expected to move 90% as much as the market.

This means that if the market index increases by 10%, then stock A is expected to increase by 9%. Conversely, if the market index decreases by 10%, then stock A is expected to decrease by 9%.

In the case of stock B, the beta is -1.50, which means that stock B is expected to move in the opposite direction of the market by 150%.

This means that if the market index increases by 10%, then stock B is expected to decrease by 15%. Conversely, if the market index decreases by 10%, then stock B is expected to increase by 15%.

The beta of a stock is an important factor to consider when making investment decisions. A stock with a high beta is more volatile than a stock with a low beta. This means that a stock with a high beta has the potential to generate higher returns,

but it also has the potential to generate lower returns. A stock with a low beta is less volatile than a stock with a high beta. This means that a stock with a low beta is less likely to generate high returns, but it is also less likely to generate low returns.

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A typical firm in long-run equilibrium in an industry with identical firms has a cost function given by C(q) = F + 2q² where F is a positive constant. The industry has a market demand of Q = 2,400 - 5p a. Suppose F= 800. What is the competitive equilibrium price, quantity and number of firms? b. Suppose F is a mandatory accreditation fee established by the industry association. How does the equilibrium price and number of firms vary with F? How does the profit of each firm vary with F?

Answers

a. The competitive equilibrium price is $400, the quantity is 800 units, and the number of firms is 4.

To find the competitive equilibrium price, quantity, and number of firms, we need to equate the market demand and the average cost of production for each firm. The market demand is given by Q = 2,400 - 5p, and the cost function for each firm is C(q) = F + 2q².

Setting Q equal to q (quantity for each firm), we have 2,400 - 5p = q. Substituting q into the cost function, we get C(q) = F + 2q² = F + 2(2,400 - 5p)².

To find the equilibrium price, we set marginal cost (MC) equal to price (p) for each firm. Taking the derivative of the cost function with respect to q and equating it to p, we get 4q = p. Substituting q = 2,400 - 5p, we can solve for p, which gives us the equilibrium price of $400.

Substituting p = $400 into the market demand equation, we find the equilibrium quantity of 800 units. Since each firm produces q units, there will be 4 identical firms in the industry.

b. As the mandatory accreditation fee (F) increases, the equilibrium price decreases, the number of firms decreases, and the profit of each firm decreases.

When the mandatory accreditation fee (F) increases, the cost function for each firm increases, leading to higher average costs. As a result, firms will need to charge a higher price to cover their costs. This decrease in the equilibrium price reduces the quantity demanded in the market.

Furthermore, as the accreditation fee increases, it acts as a barrier to entry for new firms. Higher accreditation fees discourage new firms from entering the industry, leading to a decrease in the number of firms operating in the market.

With a decrease in the number of firms, the market becomes less competitive, and each firm's market share increases. This can result in a decrease in the profit of each firm since they have to bear higher costs while serving a smaller market.

In summary, as the mandatory accreditation fee (F) increases, the equilibrium price decreases, the number of firms decreases, and the profit of each firm decreases. Higher fees raise costs, reduce market competition, and affect the overall equilibrium dynamics of the industry.

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1. Define the short-run aggregate supply curve? Discuss the level of real output consistent with the classical range of the AS curve.
2. Break the short run supply curve down into its three sections and describe each section. Which section is the Canadian economy in currently? Why?
3. Define GDP and GNP. Which of these economic aggregates is likely to be larger in Canada and why?

Answers

1. Short-run aggregate supply curve: price level vs. output, classical range has constant output.2. Short-run supply curve sections: horizontal, upward-sloping, vertical; Canada likely in upward-sloping range currently. 3. GDP: domestic production within borders; GNP: domestic production by residents abroad; GDP likely larger in Canada due to foreign-owned businesses.

1. The short-run aggregate supply curve represents the relationship between the overall price level in the economy and the level of real output that firms are willing to supply in the short run. In the classical range of the AS curve, real output remains constant regardless of changes in the price level.

2. The short-run supply curve can be divided into three sections: the horizontal range, the upward-sloping range, and the vertical range. The horizontal range reflects a situation where output remains unchanged regardless of price level fluctuations. The upward-sloping range indicates a positive relationship between price level and output. The vertical range represents a situation where output is limited by factors such as full employment or productive capacity. Currently, the Canadian economy is likely in the upward-sloping range as it experiences a positive relationship between price level changes and output.

3. GDP (Gross Domestic Product) measures the total value of goods and services produced within a country's borders, while GNP (Gross National Product) measures the total value of goods and services produced by a country's residents, both domestically and abroad. In Canada, GDP is likely to be larger than GNP because Canada has a significant presence of foreign-owned businesses operating within its borders, leading to a larger domestic production value captured by GDP. GNP would include Canadian-owned businesses' production abroad, which may be relatively smaller compared to the overall domestic production captured by GDP.

Hence, the short-run aggregate supply curve defines the relationship between price level and real output, with the classical range having a constant level of real output. The Canadian economy is currently likely in the upward-sloping range of the short-run supply curve, and GDP is likely to be larger than GNP due to foreign-owned businesses' presence within Canada.

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Consider the following information: Project CO A B C -7,000 -2,300 -6, 600 Project A B C Cash Flows ($) C2 C1 2,200 0 1,000 3,600 2,500 a. What is the payback period on each of the above projects? (Round your answers to 2 decimal places.) Payback Period 3.00 year(s) 2.33 year(s) 2.20 year(s) C4 2,200 2,600 0 4,000 5,000 2,500 2,000 O Project A and Project B O Project A and Project C O None b. Given that you wish to use the payback rule with a cutoff period of two years, which projects would you accept?

Answers

To calculate the payback period for each project, we need to determine the time it takes for the cumulative cash flows to equal or exceed the initial investment.

Given the cash flows for each project, we can calculate the payback period as follows:

Project A:

Initial investment: $7,000

Cash flows: $2,200, $3,600, $2,500

Cumulative cash flows:

Year 1: $2,200

Year 2: $2,200 + $3,600 = $5,800

Year 3: $2,200 + $3,600 + $2,500 = $8,300

The payback period for Project A is 3 years since it takes 3 years for the cumulative cash flows to equal or exceed the initial investment of $7,000.

Project B:

Initial investment: $2,300

Cash flows: $0, $2,500

Cumulative cash flows:

Year 1: $0

Year 2: $0 + $2,500 = $2,500

The payback period for Project B is 2 years since it takes 2 years for the cumulative cash flows to equal or exceed the initial investment of $2,300.

Project C:

Initial investment: $6,600

Cash flows: $1,000, $2,500

Cumulative cash flows:

Year 1: $1,000

Year 2: $1,000 + $2,500 = $3,500

The payback period for Project C is 2 years since it takes 2 years for the cumulative cash flows to equal or exceed the initial investment of $6,600.

b. Given a cutoff period of two years for the payback rule, we would accept projects that have a payback period of two years or less.

Based on the payback periods calculated above:

Project A has a payback period of 3 years, which is longer than the cutoff of 2 years.

Project B has a payback period of 2 years, which is within the cutoff of 2 years.

Project C has a payback period of 2 years, which is within the cutoff of 2 years.

Therefore, we would accept Project B and Project C, but not Project A, based on the payback rule with a cutoff period of two years.

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Summarize common internal controls over cash receipts and cash disbursements. Assess the purpose of a bank confirmation and why bank confirmations are an important piece of audit evidence. What are some errors and frauds that can occur in the revenue cycle? Review the process of confirming accounts receivable balances. Why is it important for auditors to understand revenue recognition rules?

Answers

Internal controls are measures put in place by organizations to ensure that its assets are safeguarded, and financial reports are accurate and reliable.

In most organizations, internal controls over cash receipts and cash disbursements are of utmost importance because cash is easily accessible and can be easily misappropriated. Common internal controls over cash receipts and cash disbursements include segregation of duties, which requires that the recording of cash receipts and disbursements is done by different individuals.

In addition, regular reconciliations are done to ensure that all transactions are recorded, and there is no fraud. Bank confirmation is a document provided by the bank to an auditor, indicating the balances of a client’s account.

The purpose of a bank confirmation is to provide evidence of the existence of a bank account, and the balance of the account.

The confirmation is also important in verifying the accuracy of the client’s accounting records, and detecting any fraud or errors.

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1.Keto Grocery Store sells 470 gallons of milk each month. The average on-hand inventory is 55 gallons. What is the inventory turnover? Round your answer to two decimal places.
2.
Andrew Manufacturing held an average inventory of $1.3 million (raw materials, work-in-process, finished goods) last year. Its sales were $8.3 million, and its cost of goods sold was $5.5 million. The firm operates 295 days a year. What is the inventory days' supply? Do not round intermediate calculations. Round your answer to one decimal place.
Inventory days' supply (IDS):

Answers

The inventory turnover for Keto Grocery Store is 8.55 and the inventory days' supply for Andrew Manufacturing is 71.1

1. To calculate  inventory turnover use the formula given below:

Inventory turnover = Cost of goods sold / Average inventory

On putting the given values we get:

Inventory turnover = 470 / 55

Inventory turnover = 8.55

Therefore, the inventory turnover for Keto Grocery Store is 8.55.

2. To calculate Inventory days' supply use the formula given below:

Inventory days' supply (IDS) = Average inventory / (Cost of goods sold / Number of days)

On putting the given values we get:

IDS = 1.3 million / (5.5 million / 295)IDS

= 71.13636

Therefore, the inventory days' supply for Andrew Manufacturing is 71.1 (rounded to one decimal place).

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compounds formed between two nonmetals will have which bond?

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The compounds formed between two nonmetals will have covalent bonds. Covalent bonds occur when nonmetals share electrons to achieve a stable electron configuration.

In these compounds, atoms are held together by the mutual attraction between the shared electrons and the positively charged nuclei. This sharing of electrons allows nonmetals to complete their valence shells, resulting in stable molecules. Unlike ionic bonds, covalent bonds do not involve the complete transfer of electrons between atoms.

When two nonmetals form compounds, they typically share electrons to create covalent bonds. In a covalent bond, the atoms involved share one or more pairs of electrons in order to achieve a stable electron configuration. This sharing allows both atoms to complete their outermost energy levels and attain a more stable state. The shared electrons are attracted to the positively charged nuclei of both atoms, effectively holding them together in a molecule. Unlike ionic bonds, where electrons are transferred completely, covalent bonds involve a shared electron cloud between the nonmetal atoms. This results in the formation of stable molecules with distinct chemical properties.

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The New Brunswick premier has advocated for the introduction of a federal requirement that new immigrants to Canada, under 30 years of age, must live in New Brunswick for several years before being eligible to move to another province. The premier’s rationale was that the province has an aging population and needs younger workers to support that population. Furthermore, the added diversity is beneficial to the province. Which of the following PESTEL forces is LEAST reflected in the premier’s arguments?
a) Technological
b) Political
c) Economic
d) Social

Answers

The PESTEL framework is a tool used to analyze various external factors that can impact an organization or a decision. In the given scenario, the New Brunswick premier's advocacy for the introduction of a federal requirement for new immigrants to stay in New Brunswick is primarily based on demographic and social factors.

The premier's rationale revolves around addressing the province's aging population by attracting younger workers and promoting diversity. The arguments put forth do not explicitly mention technological, political, or economic factors as the main driving force behind the proposed requirement.

While it is possible that technological advancements may indirectly influence the need for younger workers or the benefits of diversity, it is not explicitly stated in the given information. The focus of the premier's arguments is primarily on demographic and social considerations.

Therefore, the PESTEL force least reflected in the premier's arguments is a) Technological. This does not discount the potential impact of technological factors on the overall context, but it is not the central aspect emphasized by the premier in this particular scenario.

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The PESTEL framework is a tool used to analyze various external factors that can impact an organization or a decision. In the given scenario, the New Brunswick premier's advocacy for the introduction of a federal requirement for new immigrants to stay in New Brunswick is primarily based on demographic and social factors.

The premier's rationale revolves around addressing the province's aging population by attracting younger workers and promoting diversity. The arguments put forth do not explicitly mention technological, political, or economic factors as the main driving force behind the proposed requirement.

While it is possible that technological advancements may indirectly influence the need for younger workers or the benefits of diversity, it is not explicitly stated in the given information. The focus of the premier's arguments is primarily on demographic and social considerations.

Therefore, the PESTEL force least reflected in the premier's arguments is a) Technological. This does not discount the potential impact of technological factors on the overall context, but it is not the central aspect emphasized by the premier in this particular scenario.

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Other Questions
Cullumber Company acquired 28% of the outstanding common stock of Grinwold Inc. on January 1,2020 , by paying $1,555,400 for 55,550 shares. Grinwold declared and paid a $0.50 per share cash dividend on June 30 and again on December 31,2020 . Grinwold reported net income of $859,200 for the year. (a) - Your answer is partially correct. Prepare the journal entries for Cullumber Company for 2020, assuming Cullumber cannot exercise significant influence over Grinwold. Peter spends his income (M) on good X and Y. His preferences are represented by the utility function U(X, Y) = 2X + 3Y. The price of good Y is 1 and the price of good X is 2. Peters income is $4.Peters demand for X is:(a) 4(b) 5(c) 6(d) 3 Consider the output market and the DD schedule. Choose correct words below.a. T changed. Because of the change, the consumption fell. Answer how the tax changed: Decrease orIncreased, how the aggregate demand curve would shift in the output market: Downward, Upward or Noshift, and how the DD schedule would shift: Leftward, Rightward or No shift?Change in T:Aggregate demand curve:DD schedule:b. PH changed. Because of the change, the aggregate demand curve shifted up. Answer how PH changed:Decreased or Increased, and how the current account would change: Decrease or Increase, and how the DDschedule would shift: Leftward, Rightward or No shift.PH:CA:DD: Lisa was becoming increasingly dissatisfied in her workplace. Her hours were continually being changed or reduced when they were not busy, and her days off never included a weekend preventing her from spending quality time with her family. Making matters worse, her supervisor never seemed interested in being friendly toward her even though she worked very hard and tried her best. She feels it would be difficult to initiate a conversation with her boss about improving working conditions. She needed her job and really did not want to start trouble. She discovered that several other employees were feeling the same way she was. There was no union in her workplace. Eventually, the employees organized a meeting and decided that they would take action on their behalf since the management seemed disinterested in speaking to them about improving the culture in their workplace. They began to research their options and agreed to proceed slowly. Lisa and the staff considered several strategies. Lisa is unhappy that her hours are being reduced when her company is not busy, and she feels he may have a claim against her employer for placing her in a position where she is almost forced to quit. Fully explain the action that her employer is engaging in. (4)- What legal recourse does Lisa have if any?-The role and significance of the psychological dimension of the employment contract. What could Lisa have done or do at this point, to improve her situation. Henry's Craft Stores started business in 2018 with total assets of $47.000 and total liabilities of $36,000. At the end of 2018, Henry's Craft Stores total assets were $42.000 and total liabilities were $14,500. After analyzing the data, answer the following questions: 1. What was the amount of the increase or decrease in stockholders' equity? 2. Identify two possible reasons for the change in stockholders' equity during the year. (CZE) 1. What was the amount of the increase or decrease in stockholders' equity? (Do not use parentheses or a minus sign to show a decrease.) Stockholders' equity during the year by S Ms. Atkinson is an unmarried taxpayer with one dependent child living in her home. Her AGI is $39.000, and she does not itemize deductions. The 18-year-old child earned \$18.200 from a part-time job and incurred no deductible expenses.Compute Ms Atkinson's income tax (before credits) Prepare journal entries to record the following transactions in the capital projects fund and the government-wide financial statements (governmental activities). Please write "no entry" for any transactions that no journal entries is required. Please show your calculation where necessary.1. A local government sold serial bonds in the amount of $120,000,000 to finance the construction of an administrative building. The bonds were sold at par on March 2. The annual interest rate is 5% with semiannual interest payments on March 1 and September 1.2. Shortly thereafter a construction contract in the amount of $62,000,000 was signed and the contractor commenced work.3. The government made an interest payment on Sep 1.4. The contractor has billed the local government of $42,000,000 on Dec 31.5. Prepare the adjusting entries if necessary.6. Prepare closing entries if necessary. King Corporation donates inventory having a $26,000 adjusted basis and a $40,000 FMV to a qualified public charity. The inventory will be used by the charity to care for the ill. The maximum charitable contribution deduction before consideration of the 10% limitation is? $40,000 $26,000 $0 $33,000 Which of the following DECREASES the cash holding? O A manufacturer decreases production in anticipation of a decrease in demand. The rising commodity prices increases the value of raw material inventories by 10%. O The corporation has decided to give their customers less time in paying their purchases. O The firm repurchases its own stocks. If South Africa has very high debt to GDP levels, which of the following statements about this debt is INCORRECT? a. If all the debt was financed domestically, then this debt would not be a burden for future generations.b. If all the debt was financed domestically, then it would attract interestc. Very debt levels place a country at a risk of defaulting on repaymentsd. Very high debt levels restrict a governments ability to address as commercialization increases, the decision-making in sport organizations What are some of the "Recent Developments in Lean Thinking," and what role do you think they will play in the production of goods in the United States? i) Why should service firms be concerned with yield and provide an example? ii) How might the principles of yield management be applied to a rental car company? iii) Explain two Challenges and two risks in using yield management and offer clear examples of those When Sam withdrew money he had invested at 10%, he had almost 3.5 times the amount he had originally deposited into the account. How many years did Sam wait before he withdrew his money? A) 16 B) 5 C) 13 D) 14 Carson Trucking is considering whether to expand its regional service center in Mohab, UT. The expansion requires the expenditure of$10,500,000 on new service equipment and would generate annual net cash inflows from reduced costs of operations equal to $2,000,000 per year for each of the next 9 years. In year 9 the firm will also get back a cash flow equal to the salvage value of the equipment, which is valued at $0.8 million. Thus, in year 9 the investment cash inflow totals$2,800,000. Calculate the project's NPV using a discount rate of 7 percent. A project that provides annual cash flows of $13851 for eightyears costs $75748 today. At what discount rate would you beindifferent between accepting the project and rejecting it? Roundtwo. A torus is formed when a circle of radius 3 centered at (8,0) is revolved about the y-axis a. Use the shell method to write an integral for the volume of the ton b. Use the washer method to write an integral for the volume of the torus e. Find the volume of the torus by evaluating one of the two integrats obtained in parts (a) and (). (Hint: Both integrals can be evaluated without using the Fundamental Theorems of Cabulas) a. Set up the integral that gives the volume of the torus using the shell method. Select the correct choice below and 58 in the answer boxes to complete your choice (Type exact answers) OA de 3 OF SO b. Set up the integral that gives the volume of the torus using the washer method Select the correct choice below and fill in the answer boxes to complete your choice. (Type exact answers) OAS d OB dy Time Remaining: 02:00:09 Next A torus is formed when a circle of radius 3 centered at (6,0) is revolved about the y-axis. a. Use the shell method to write an integral for the volume of the torus b. Use the washer method to write an integral for the volume of the torus. c. Find the volume of the torus by evaluating one of the two integrals obtained in parts (a) and (b). (Hint: Both integrals can be evaluated without using the Fundamental Theorem of Calculus.) 9- 3 X a. Set up the integral that gives the volume of the torus using the shell method. Select the correct choice below and fill in the answer boxes to complete your choice. (Type exact answers.) OAS OB. dy b. Set up the integral that gives the volume of the torus using the washer method. Select the correct choice below and fill in the answer boxes to complete your choice. (Type exact answers.) OAS dx 3 OB. dy The volume of the torus is approximately cubic units. (Round to two decimal places as needed.) Angels fill a significant gap in the capital market. A) working. B) fixed. C) seed. D) later stage. The due-process resistance to drug testing is based onA. protecting employees' constitutional rights.B. the poor conviction record of drug-related crimes in the court systems.C. the questionable accuracy of the tests.D. potential harm to the accuser. Calculate eigenvalues and corresponding eigenvectors for each matrix (3 points each) 15 -1 01 (a) A=0 59 15 -1 ol (b) A=0 2 1 0 1 21 (c) A = +3 6 (d) A = 1 2 2