You are selected to be part of the team in the Raju’s Hill Strawberry Farm located in Cameron Highlands.

(a) Examine the logistics activities throughout the supply chain from raw materials to end user. [25 marks]

(b) Formulate the Integration Strategy to export Cameron Highland's strawberry products to Singapore. [15 marks]

(c) Explain the benefits of implementing Vertical Integration. [10 marks]

PLEASE PROVIDE YOUR ANSWER WITH EXPLANATION IN ESSSAY FORMAT.

Answers

Answer 1

Farm logistics can be understood as the process of getting the products from farms to consumers.


The Raju’s Hill Strawberry Farm located in Cameron Highlands is no exception. Here, various logistics activities take place from the cultivation of raw materials to the distribution of the final products to the end-users.Let's examine the logistics activities throughout the supply chain from raw materials to the end-users:Raw Material AcquisitionThe first step in the supply chain is raw material acquisition. In this step, the farm acquires raw materials that will be used in the production process, such as seeds, fertilizers, etc.
At Raju’s Hill Strawberry Farm, this step involves sourcing for quality and disease-resistant seedlings. Production ProcessThe second step is the production process, which includes the cultivation of crops, harvesting, cleaning, and packaging. Here, the farm grows strawberry using hydroponics technology to ensure the consistency and quality of the crops. Raju’s Hill Strawberry Farm has also invested in modern equipment to facilitate the harvesting and packaging process.Storage and TransportationOnce the strawberries are harvested and packaged, they need to be stored and transported to distribution centers. This step involves the use of cold storage facilities to keep the strawberries fresh and extend their shelf life. Raju’s Hill Strawberry Farm has invested in modern refrigeration systems to preserve the quality of their products during transportation.Distribution to Retailers and End-usersThe final step is the distribution of strawberries to retailers and end-users.
Raju’s Hill Strawberry Farm has various distribution channels such as online sales and partnerships with local supermarkets and restaurants. They also provide home delivery services to end-users to increase their reach and convenience.

In conclusion, the logistics activities at Raju’s Hill Strawberry Farm involve raw material acquisition, production, storage, transportation, and distribution. Each of these activities plays a crucial role in ensuring the quality and consistency of their products.Formulating an Integration Strategy to Export Cameron Highland's Strawberry Products to SingaporeTo export the strawberry products to Singapore, Raju’s Hill Strawberry Farm should consider formulating an integration strategy that aligns with its overall business goals and objectives.
They should develop a strong brand identity and marketing campaign that highlights the unique features of their products such as their hydroponic cultivation method and disease-resistant seedlings.Benefits of Implementing Vertical IntegrationVertical integration refers to the process of combining different stages of the supply chain under one entity. Raju’s Hill Strawberry Farm can benefit from vertical integration in the following ways:Cost SavingsVertical integration can help Raju’s Hill Strawberry Farm to reduce the cost of production by eliminating intermediaries and increasing efficiency. This will enable them to offer competitive pricing to their customers and increase their profit margins.Quality ControlVertical integration can help Raju’s Hill Strawberry Farm to have better control over the quality of their products.
By owning the entire supply chain, they can ensure that their products are of high quality and consistent throughout the production process.Improved CoordinationVertical integration can help Raju’s Hill Strawberry Farm to improve coordination and communication between different stages of the supply chain. This will enable them to respond quickly to any changes in demand and ensure timely delivery of their products to customers.In conclusion, vertical integration can help Raju’s Hill Strawberry Farm to reduce costs, improve quality control, and enhance coordination between different stages of the supply chain.
By implementing an integration strategy to export their products to Singapore, Raju’s Hill Strawberry Farm can expand its market reach and increase its profitability.


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Related Questions

the marginal cost curve crosses the ________________ at its lowest point.

Answers

The marginal cost curve crosses the average total cost curve (ATC) at its lowest point.

The marginal cost (MC) curve intersects the average total cost (ATC) curve at its lowest point because that is where MC equals ATC. When marginal costs are lower than average total costs, average total costs decrease. As a result, the intersection of the MC and ATC curves is located beneath the ATC curve. As marginal costs exceed average total costs, average total costs begin to rise. As a result, the intersection of the MC and ATC curves is located above the ATC curve. Thus, ATC is at its minimum when MC equals ATC. Therefore, the marginal cost curve intersects the average total cost curve (ATC) at its lowest point.

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These are rights or economic benefits that are not physical in nature. Examples are goodwill, patents, copyrights, franchises and trademarks. For intangible assets, the term amortization is used instead of depreciation to measure the reduction in their economic value.

Answers

**Intangible assets are non-physical rights or economic benefits, such as goodwill, patents, copyrights, franchises, and trademarks. Amortization is used to measure the reduction in their economic value, instead of depreciation.**

Intangible assets are assets that do not have a physical substance but hold significant value for a business. They are often associated with legal or intellectual property rights. Examples of intangible assets include:

1. **Goodwill**: Goodwill represents the value of a business's reputation, customer relationships, and brand image. It arises from factors such as customer loyalty, market position, and brand recognition.

2. **Patents**: Patents provide exclusive rights to inventors, allowing them to protect their inventions from being used or sold by others without permission. They grant the inventor a monopoly for a certain period, typically 20 years, during which they can commercialize their invention.

3. **Copyrights**: Copyrights protect original creative works, such as books, music, films, and software. They give the creator the exclusive right to reproduce, distribute, and display their work, preventing others from using it without authorization.

4. **Franchises**: Franchises involve a contractual arrangement in which a business (franchisor) grants another party (franchisee) the right to operate a business using its brand, products, and business model. The franchisee benefits from an established brand and support from the franchisor.

5. **Trademarks**: Trademarks are distinctive symbols, logos, or names used to identify and differentiate goods or services in the market. They provide legal protection against unauthorized use by others, helping to build brand recognition and customer loyalty.

Unlike physical assets, intangible assets are subject to amortization rather than depreciation. Amortization is the systematic allocation of the asset's cost over its estimated useful life, reflecting the reduction in its economic value over time. This accounting method recognizes the consumption or expiration of the intangible asset's value, similar to how depreciation accounts for the wear and tear of physical assets.

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GE just paid an annual dividend of $4.6.

1) If dividends are expected to grow by 4.6% per year, what will be the dividend in 7 years?

Answers

The dividend in 7 years will be approximately $5.74.To calculate the future dividend, we can use the formula for compound interest. The dividend in 7 years is expected to be approximately $6.11.

We start with the initial dividend of $4.6 and apply the growth rate of 4.6% per year. After 7 years, the dividend will have grown to approximately $5.74.

Here's the calculation:

Dividend in 7 years = $4.6 * (1 + 0.046)^7 ≈ $5.74.This calculation assumes that the dividend growth rate remains constant over the 7-year period. It's important to note that actual dividends may vary based on various factors that can influence a company's financial performance.

Dividend in Year 7 = $4.6 * (1 + 0.046)^7

Dividend in Year 7= $4.6 * (1.046)^7

Dividend in Year 7≈ $6.11

The dividend in 7 years is expected to be approximately $6.11.

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Given the following factors answer the following questions

Betas for portfolio
MKT B1 1.5
SMB B2 -0.5
HML B3 -1.5
Factors
MKT 2.50%
SML 3.50%
HML -2.10%
9. What did the 3-factor model predict excess return for the portfolio to be?

10. If the return of the portfolio was 7% - what does that mean?

Answers

The 3-factor model predicts the excess return for the portfolio to be calculated as follows:

Excess Return = Beta1 * MKT + Beta2 * SMB + Beta3 * HML

Substituting the given values:

Excess Return = 1.5 * 2.50% + (-0.5) * 3.50% + (-1.5) * (-2.10%)

Calculating the values:

Excess Return = 3.75% - 1.75% + 3.15%

Excess Return = 5.15%

Therefore, the 3-factor model predicts the excess return for the portfolio to be 5.15%.

If the return of the portfolio was 7%, it means that the actual return earned by the portfolio is 7% over a specific period. This return represents the total gain or loss experienced by the portfolio, taking into account both capital appreciation (increase in the value of the portfolio) and any dividends or distributions received.

However, without further information or comparison to a benchmark or expected return, it is not possible to determine whether the 7% return is considered good or bad. To assess the performance of the portfolio, it is necessary to compare the actual return to the expected return or a relevant benchmark.

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T/F (Qualitative) We should never invest in a project that has no IRR ANSWER Type your answer here.... 5 Pts

Answers

The statement is false. The Internal Rate of Return (IRR) is a financial metric used to assess the profitability of an investment project. It represents the discount rate that makes the net present value (NPV) of the project's cash flows equal to zero. If a project has no IRR, it means that the cash flows do not result in a zero NPV at any discount rate.

While a positive IRR generally indicates that a project is expected to generate a return higher than the required rate of return or cost of capital, a project with no IRR does not necessarily mean it should be entirely dismissed. It is important to consider other factors and criteria when evaluating investment projects.

When analyzing investment opportunities, it is common to use the Net Present Value (NPV) as a primary criterion. The NPV calculates the present value of the project's cash flows by discounting them at an appropriate rate, typically the cost of capital. If the NPV is positive, it suggests that the project is expected to generate more value than its initial investment and may be considered worthwhile.

There can be situations where a project has no IRR but still has a positive NPV. This can happen in cases where the project has non-conventional cash flows, such as multiple sign changes or non-typical patterns. In such cases, the IRR may not be a suitable indicator, but the NPV can provide a more accurate assessment of the project's value.

Therefore, while a positive IRR is generally preferred, the absence of an IRR should not automatically disqualify a project. It is essential to consider other financial metrics, such as the NPV, and carefully evaluate the project's viability based on a comprehensive analysis of all relevant factors.

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Question 1 Hank Allen realized a $40,000 gain upon exercising
stock options in 2016, and this created an alternative minimum tax
for the year. In 2017, the exercised stock became worthless, and
Hank's

Answers

The question 1 states that Hank Allen realized a financial reporting $40,000 gain upon exercising stock options in 2016, and this created an alternative minimum tax for the year. In 2017, the exercised stock became worthless, and Alternative Minimum Tax.

(AMT) is a tax system used by the United States government to ensure that all citizens pay their fair share of taxes, including those who qualify for a tax break or two. When a taxpayer exercises stock options, the option's cost basis is the sum of the exercise price plus any compensation received from the exercise.

Stock options are a contract between a purchaser and a seller. The contract offers the purchaser the right, but not the obligation, to buy or sell a specific number of shares of an underlying stock at a fixed price within a set time frame.In 2016, Hank Allen exercised his stock options, resulting in a $40,000 gain. This resulted in him being subject to an alternative minimum tax (AMT) in the same year, as per the given statement. In 2017, the exercised stock became worthless. Since the exercised stock became worthless, Hank Allen is entitled to claim the loss on his income tax return.

Complete question:

Question 1 Hank Allen realized a $40,000 gain upon exercising stock options in 2016, and this created an alternative minimum tax for the year. In 2017, the exercised stock became worthless, and Hank's financial reporting.

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What role does investment capital play in facilitating the transfer of capital?
How do auction and dealer markets differ?
What is the bid, ask and spread?
What roles do IIROC, the CDIC,OSFI, and the SROs play in the industry?
Which phase of business cycle is characterized by an increase in business failures and falling employment?

Answers

The phase of the business cycle characterized by an increase in business failures and falling employment is the contraction or recession phase.

During the contraction or recession phase of the business cycle, economic activity slows down, leading to a decline in business profitability and a rise in unemployment rates. This phase is marked by reduced consumer spending, decreased business investment, and a general decline in economic output. As businesses struggle to generate sufficient revenue, they may face financial difficulties, resulting in increased business failures. Falling employment levels occur as companies downsize or lay off workers to cut costs.

The increase in business failures and falling employment during this phase can have significant negative impacts on the overall economy. It leads to reduced consumer confidence, lower household income, and a decrease in overall economic growth. Policymakers and central banks often implement measures to stimulate the economy during this phase, such as monetary easing and fiscal stimulus, to mitigate the negative effects and facilitate a recovery.

Therefore, the contraction or recession phase of the business cycle is characterized by an increase in business failures and falling employment, which have adverse consequences on the economy.

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Buffalo Corporation issued 2,400$1,000bonds at 101. Each bond was issued with one detachable stock warrant. After issuance, the bonds were selling separately at98. The market price of the warrants without the bonds cannot be determined. Use the incremental method to record the issuance of the bonds and warrants. (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter O for the amounts.)

Answers

The excess amount is $10 per bond (101% - 100% = 1%). Since 2,400 bonds were issued, the total excess amount is $24,000.

To record the issuance of the bonds and warrants using the incremental method, we need to account for the bond issuance and the value of the detachable stock warrants.

Here's the journal entry to record the transaction:

Date: [Date of bond issuance]

Account                         Debit         Credit

Cash                                    $2,424,000

 Bonds Payable                         $2,400,000

 Paid-in Capital in Excess of Par    $24,000

To calculate the amounts for each account, we'll break down the journal entry into its components:

1. Cash: The bonds were issued at 101% of their face value, which results in a cash inflow of $1,010 per bond. Since 2,400 bonds were issued, the total cash inflow is $2,400,000.

2. Bonds Payable: This account represents the face value of the bonds issued. The face value is $1,000 per bond, and since 2,400 bonds were issued, the total value is $2,400,000.

3. Paid-in Capital in Excess of Par: This account captures the difference between the cash received and the face value of the bonds.

In this case, the excess amount is $10 per bond (101% - 100% = 1%). Since 2,400 bonds were issued, the total excess amount is $24,000.

Note: The market price of the warrants without the bonds cannot be determined based on the given information, so we won't make an entry related to the warrants.

Please note that this is a simplified journal entry based on the information provided. It's important to consult with an accountant or financial professional to ensure accurate recording and reporting of such transactions.

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.Section 2: Indicate True (T) or False (F) for the following: (40 marks)

TRUE FALSE
1. Price elasticity measures how sensitive a product is to changes in price.
2. You shouldn't test customers before giving a service a brand name
3. "No brand" is not a real strategy
4. Gross margin can be represented as a percentage or a $ value
5. Positioning statements indicate what is different about a product or service

Answers

True: Price elasticity measures the responsiveness of the quantity demanded of a product to changes in its price. It helps determine how sensitive customers are to price changes and is a crucial concept in pricing strategies.

False: Testing customers before giving a service a brand name can be valuable in gathering feedback and insights. It allows organizations to gauge customer perception, preferences, and potential reactions to different brand names, helping them make informed decisions.True: "No brand" is not a real strategy because every business or product has some form of brand identity, whether it is intentionally cultivated or not. Branding encompasses the perception and reputation that customers have of a company, product, or service.True: Gross margin can be represented as both a percentage and a dollar value. It is calculated by subtracting the cost of goods sold from the total revenue and can be expressed as a percentage of the revenue or as a specific dollar amount. True: Positioning statements are used to communicate the unique value proposition and differentiation of a product or service. They highlight what sets the offering apart from competitors and how it meets the needs and desires of the target market. Note: The response has provided the answers to the statements as either True (T) or False (F) based on the given information.

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It is assumed that Spring Flowers Ltd. and Company A, located in Vancouver, Canada, have reached a preliminary agreement on the purchase of canned mushrooms. A dispute has arisen over which trade term to use, and both parties want to choose the most advantageous trade term for their side.
Please try to analyze what trade terms (Based on INCOTERMS 2020) Spring Flower Co. should use from the perspective of favoring the seller, taking into account the characteristics of the current international trade situation, the geographical location, transportation, customs clearance and other conditions.

Answers

When considering the trade terms for Spring Flowers Ltd. in Vancouver, Canada, it is important to analyze the current international trade situation, geographical location, transportation, customs clearance, and other conditions.

Based on these factors and favoring the seller's perspective, the following trade terms from INCOTERMS 2020 could be advantageous for Spring Flowers Ltd.:

EXW (Ex Works): This trade term places the maximum responsibility on the buyer, as the seller only makes the goods available at their premises. Spring Flowers Ltd. can benefit from this term by having control over the production and packaging process, reducing transportation costs, and simplifying customs clearance.

FCA (Free Carrier): With this term, Spring Flowers Ltd. can deliver the goods to a named carrier at a specified location. It allows the seller to be responsible for loading the goods onto the carrier, providing flexibility in choosing the transportation method and reducing risks and costs associated with transportation.

FAS (Free Alongside Ship): This trade term requires the seller to deliver the goods alongside the vessel at the named port of shipment. Spring Flowers Ltd. can benefit from this term by reducing transportation costs and having more control over the goods until they are loaded onto the ship.

FOB (Free on Board): This term places the responsibility on the seller to deliver the goods on board the vessel at the named port of shipment. It provides Spring Flowers Ltd. with control over the goods until they are loaded onto the ship, reducing risks and costs associated with transportation.

These trade terms provide advantages for the seller in terms of control over the goods, reduced transportation costs, and simplified customs clearance. Spring Flowers Ltd. should carefully evaluate these options and consider the specific requirements and preferences of Company A to make an informed decision. It is recommended to consult with legal and logistics professionals to ensure compliance with all international trade regulations and to negotiate the most favorable terms for both parties.

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EACH. 21- What are the accounting conventions? Explain All. 22 How to nuto direct labor cost variance? Explain

Answers

Accounting conventions provide standardization in financial reporting, including the consistency, conservatism, monetary unit, entity, and cost conventions. Direct labor variance consists of direct labor rate and efficiency variances, measuring the differences between actual and expected costs and hours worked in production.

Accounting Conventions: Accounting conventions are guidelines that are used to standardize accounting policies and practices. Accounting conventions provide standardization, allowing businesses to compare financial statements with other businesses or with their own financial statements over time.The following are some of the accounting conventions:Consistency Convention: This convention mandates the consistent use of accounting methods and principles in generating financial statements, from one period to the next. Conservatism Convention: This convention entails being conservative when recognizing gains and losses. Monetary Unit Convention: This convention mandates the use of a particular currency in recording and reporting financial transactions. Entity Convention: This convention states that the business and the owners' personal finances must be kept separate. Cost Convention: This convention stipulates that assets must be recorded at their historical cost.Direct Labor Cost Variance:Direct labor variance is the difference between the actual direct labor cost incurred and the expected direct labor cost for a specified number of units. The variance can be either favorable or unfavorable. It can be calculated in either dollar or percentage terms. The variance can be split into direct labor rate variance and direct labor efficiency variance.Direct Labor Rate Variance:The difference between the actual cost of direct labor and the standard cost of direct labor is the direct labor rate variance. Direct Labor Efficiency Variance: The difference between the actual hours worked and the standard hours allowed for the production of actual output is the direct labor efficiency variance.

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MacKillop Lawn Care (MLC) is a successful proprietary company that offers home lawn care products and service (fertilizer and herbicided to its customers. Management is looking to update their success measurement which to date has looked only at cash flow and the company's overall "bottom line" profit. REQUIRED: 1. Provide MLC's management with a brief description of the two types of measure used with a balanced scorecard performance anch 2. List the four perspectives that the balanced scorecard approach provides for viewing an organisation. Edit View Insert Format Tools Table 12pt Paragraph BIUA

Answers

1. The two types of measures used with a balanced scorecard performance anchor are:1. Quantitative Measures.

This type of measure provides numerical measures of the output of business processes and is used to drive process improvement. For instance, quantitative measures can be used to quantify cost savings, reduction in waste, and cycle time improvement.

2. Qualitative Measures - This type of measure is used to identify the drivers of success and provide a basis for decision-making. Qualitative measures can be used to measure customer satisfaction, employee satisfaction, and quality. The four perspectives that the balanced scorecard approach provides for viewing an organization are as follows

1. Financial Perspective: The financial perspective helps the organization to evaluate its financial performance. It includes measures such as profitability, revenue growth, and cash flow.

2. Customer Perspective: The customer perspective helps the organization identify customer needs and expectations. It includes measures such as customer satisfaction, customer retention, and market share.

3. Internal Business Perspective: The internal business perspective helps the organization improve its business processes. It includes measures such as cycle time, quality, and efficiency.

4. Learning and Growth Perspective: The learning and growth perspective helps the organization identify areas for development. It includes measures such as employee satisfaction, employee turnover, and employee training.

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Which one of the following increases the net present value of a project, everything else equal? An increase in the required rate of return. An increase in the initial capital requirement. A delay of some cash inflows until a later year. An increase in the after-tax salvage value of the fixed assets. A reduction in the final cash inflow.

Answers

Decrease the npv of the project.based on the analysis above, the factor that increases the net present value of a project, everything else equal, is:

d.

to determine which factor increases the net present value (npv) of a project, we need to understand how each factor affects the cash flows and the discount rate. npv is calculated by discounting the future cash flows of a project to their present value and subtracting the initial investment.

let's analyze each :

1. an increase in the required rate of return:

  increasing the required rate of return would decrease the present value of future cash flows, as higher discounting would reduce their value. this would generally decrease the npv of a project.

2. an increase in the initial capital requirement:

  increasing the initial capital requirement would decrease the initial investment, which in turn would increase the npv of the project since there would be more cash flows available to offset the larger investment.

3. a delay of some cash inflows until a later year:

  delaying cash inflows would decrease their present value since the discount would take into account the time value of money. this would generally decrease the npv of a project.

4. an increase in the after-tax salvage value of the fixed assets:

  increasing the after-tax salvage value of the fixed assets would increase the cash inflows at the end of the project's life. this increased cash flow would increase the npv since more cash would be available to offset the initial investment.

5. a reduction in the final cash inflow:

  reducing the final cash inflow would decrease its present value and an increase in the after-tax salvage value of the fixed assets.

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The following information was extracted from the financial records of Mtho Limited at 28 February 2022, the end of the financial year:
2022 2021
Inventory 72 288 21 504
Other financial assets 124 800 120 000
Other financial liabilities 152 640 172 800
Trade receivables 55 008 45 504
Trade payables 31 584 27 360
Additional information:
The gross profit percentage is 35% on sales.
Purchases for the year amounted to R282 400 and 49% thereof were on credit.
Ratios reported in year ended 28 February 2021:
Trade receivables collection period – 66.9 days
Trade payables payment period – 64.9 days
Inventory turnover rate – 6 times
Only 27% of the total sales were cash sales.
Which of the following alternatives represents the correct trade receivables collection period of Mtho Limited for year 2022?
a.66.9
b.51.48
c.70.52
d.141.04
e.142.03
Question text
Which of the following alternatives represents the correct trade payables payment period of Mtho Limited for year 2022?
a.38.09
b.156.48
c155.48
d77.74
e.64.9
Question text
Which of the following alternatives represents the correct inventory turnover rate of Mtho Limited for year 2022?
a.3.22
b.4.94
c.2.47
d.6
e.2.17

Answers

Trade receivables in 2022 = R 55 008 Credit sales in 2022 = Total sales × % on credit sales Total sales in 2022 = Cash sales + Credit sales Total sales in 2022 = (27/100) × Total sales + Credit sales Total sales in 2022 = (100/73) × Credit sales Credit sales in 2022 = (73/100) × R P282 400 = R 206 192 Therefore, Trade receivables collection period for 2022 = (55 008 / 206 192) × 365 = 97.33 days (approx.)Hence, the correct option is b. 51.48

Trade receivables collection period is the time that is taken to convert accounts receivables into cash. It calculates the average number of days that customers take to pay for the goods sold on credit. It is computed by dividing the accounts receivable by the average daily sales. The formula is: Trade receivables collection period = (Accounts receivable / Total credit sales) × No of days
Given,
Trade receivables in 2022 = R 55 008
Credit sales in 2022 = Total sales × % on credit sales
Total sales in 2022 = Cash sales + Credit sales
Total sales in 2022 = (27/100) × Total sales + Credit sales
Total sales in 2022 = (100/73) × Credit sales
Credit sales in 2022 = (73/100) × R P282 400 = R 206 192
Therefore, Trade receivables collection period for 2022 = (55 008 / 206 192) × 365
= 97.33 days (approx.)Hence, the correct option is b. 51.48Explanation:
Trade payables payment period is the duration of time taken by the company to pay its creditors for the purchases made on credit. It is calculated by dividing the trade payables with the average daily credit purchases.The formula is: Trade payables payment period = (Accounts payable / Credit purchases) × No of days
Given,
Trade payables in 2022 = R 31 584
Credit purchases in 2022 = Total purchases × % on credit purchases
Total purchases in 2022 = Cash purchases + Credit purchases
Total purchases in 2022 = (51/100) × R 282 400 + Credit purchases
Total purchases in 2022 = (51/100) × R 282 400 + (49/100) × R 282 400 = R 282 400
Therefore, Trade payables payment period for 2022 = (31 584 / 282 400) × 365
= 44 days (approx.)Hence, the correct option is not provided.Inventory turnover rate shows the efficiency of the company in selling its inventory. It is computed by dividing the cost of goods sold by the average inventory on hand. The formula is: Inventory turnover ratio = Cost of goods sold / Average inventory
Given,
Inventory in 2022 = R 72 288
Inventory in 2021 = R 21 504
Cost of goods sold in 2022 = Sales × Gross profit percentage − Opening inventory
= Total sales × (35/100) − 21 504
= (Total sales × 35/100) − 21 504
Cost of goods sold in 2022 = (Total sales × 35/100) − 21 504
Total sales in 2022 = Cash sales + Credit sales
Total sales in 2022 = (27/100) × Total sales + (73/100) × Total sales
Total sales in 2022 = (100/73) × (73/100) × R 282 400
Total sales in 2022 = R 206 192
Cost of goods sold in 2022 = (206 192 × 35/100) − 21 504
= R 52 832
Therefore, Inventory turnover rate for 2022 = 52 832 / [(72 288 + 21 504) / 2]
= 4 times (approx.)Hence, the correct option is b. 4.94.

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I need help with the following assignment???? pleaseeee

Deliverable 3

See Security Risk Assessment Guidelines

Security Risk Assessment Rubric (1)

Security Risk Assessment Rubric (1)

Criteria Ratings Pts This criterion is linked to a Learning OutcomeUnderstanding 15 pts Demonstrates a complete understanding of the topic and issues. Able to clearly and succinctly state the problem and issues. 5 pts Demonstrates an understanding of the topic and issues. Able to state the problem and most issues. 0 pts Demonstrates a confused or muddled understanding of the topic and issues. Unable to state the problem or issues. 15 pts This criterion is linked to a Learning OutcomeAnalysis & evaluation 15 pts Presents an insightful and thorough analysis of all issues identified. 5 pts Presents a thorough analysis of all issues identified. 0 pts Does not provide an adequate analysis of all issues. 15 pts This criterion is linked to a Learning OutcomeRecommendations 15 pts Supports recommendations with strong arguments and evidence; presents a balanced and critical view; interpretation is both reasonable and objective. Makes appropriate and powerful connections between the issues identified and the concepts studied in the course. 5 pts Supports recommendations with good arguments and evidence; interpretation is mostly reasonable and objective. Makes appropriate connections between the issues identified and the concepts studied in the course. 0 pts Recommendations are not provided or are supported with weak arguments and evidence; interpretation is questionable. Makes inappropriate connections or does not make any connection between the issues identified and the concepts studied in the course. 15 pts This criterion is linked to a Learning OutcomeCompleteness and consistency 10 pts Report is thorough and contains all necessary details and relevant data and information; extremely well‐organized and consistent formatting throughout. 5 pts Report includes most necessary details, data, and information; well‐organized and consistent formatting throughout. 0 pts Report does not includes most necessary details, data, and information; sloppy organization; inconsistent formatting throughout. 10 pts This criterion is linked to a Learning OutcomeGrammar & Spelling 10 pts The submission was free from spelling and grammatical errors. 6 pts The submission contained fewer than three spelling and grammatical errors. 0 pts The submission contained three or more spelling and grammatical errors. 10 pts This criterion is linked to a Learning OutcomeAPA 10 pts Uses APA guidelines accurately and consistently to cite sources 0 pts Sources were not cited per APA. Reference list not provided or did not follow APA guidelines.

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"Deliverable 3," is a security risk assessment evaluated based on criteria including understanding, analysis, recommendations, completeness and consistency, grammar and spelling.

The assignment, "Deliverable 3," involves conducting a security risk assessment, which will be assessed using specific criteria. The understanding criterion evaluates the student's comprehension of the topic and their ability to clearly articulate the problem and related issues. The analysis and evaluation criterion assesses the depth and insightfulness of the student's analysis of all identified issues.

The recommendations criterion focuses on the strength of the arguments, evidence, and the ability to make connections between the identified issues and concepts studied in the course. Completeness and consistency assess the thoroughness and organization of the report, while grammar and spelling gauge the accuracy of writing. Lastly, adherence to APA guidelines is expected for citing sources accurately.

The deliverable aims to assess the student's understanding, analytical skills, critical thinking, writing proficiency, and ability to apply course concepts to real-world scenarios.

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The data below represents sales for a particular product. If you were to use the moving average method with a span of 4 periods, what would be your forecast for period 5?
Data: [10, 15, 12, 18, ?]
a) 14
b) 15
c) 16
d) 18

Answers

My forecast for period 5 would be 14.

The moving average is a statistical method used for forecasting long-term trends. The technique represents taking an average of a set of numbers in a given range while moving the range.

To calculate the moving average forecast for period 5 using a span of 4 periods, we need to take the average of the previous 4 data points.

Data: [10, 15, 12, 18, ?]

Moving Average = (10 + 15 + 12 + 18) / 4 = 55 / 4 = 13.75

Rounding the moving average to the nearest whole number, the forecast for period 5 would be 14.

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T/F (Qualitative) Within the framework of the CAPM: the market portfolio need not be identical to the tangent portfolio. ANSWER Type your answer here... B > **

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True.According to the Capital Asset Pricing Model (CAPM), the market portfolio is a theoretical construct that includes all risky assets in the market, weighted according to their market values. It is often used as a benchmark to represent the overall market. On the other hand, the tangent portfolio refers to the optimal portfolio that lies on the efficient frontier, providing the highest expected return for a given level of risk.

The CAPM assumes that investors hold the market portfolio as their risky asset and combine it with a risk-free asset to construct their optimal portfolio based on their risk preferences. In this framework, the market portfolio is used as a proxy for the risky asset component of an investor's portfolio.

However, the market portfolio and the tangent portfolio are not necessarily the same. The tangent portfolio represents the optimal combination of risky assets based on risk-return trade-offs, taking into account an investor's risk preferences and the available set of assets. It is a portfolio that maximizes expected return for a given level of risk.

While the CAPM assumes that investors hold the market portfolio, it does not imply that the market portfolio is always identical to the tangent portfolio. The tangent portfolio depends on individual investor preferences and the specific set of assets available in the market. Factors such as risk tolerance, return expectations, and asset availability can lead to different compositions for the market portfolio and the tangent portfolio.

In summary, the market portfolio and the tangent portfolio can differ within the framework of the CAPM, as they represent different concepts and considerations in constructing optimal portfolios.

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very short answer
Toddler University Inc. is the name of a shoe company that makes children’s footwear. The company grew from almost nothing to sales exceeding $25 million. The secret of Toddler University’s success, according to some industry observers, is a unique product design that can drastically reduce retailers’ inventory requirements.
In regular children’s shoes, there are 11 sizes and 5 widths—so, to have a complete selection, retailers would have to stock 55 pairs of shoes for each particular model. But Toddler University has patented a shoe that allows the use of a one-width shoe with five shoe inserts of varying widths, thus drastically reducing the retailer’s inventory requirements.
Comment on this development in light of what you believe to be the relevant product strategy and channel management strategy interface.

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Toddler University Inc. is a company that manufactures children's footwear. According to industry experts, Toddler University's success is due to its distinct product design, which can greatly reduce retailer's inventory requirements.

The firm has patented a shoe that employs a single-width shoe with five shoe inserts of varying widths, rather than 11 sizes and 5 widths like typical children's shoes. Toddler University's development highlights the importance of both the product strategy and channel management strategy interfaces in the business.

The product strategy is critical in determining the unique features of a product that can improve its usability and appeal to customers. The toddler university's decision to produce a shoe with five inserts of varying widths, rather than 11 sizes and 5 widths like traditional children's shoes, is an excellent example of an outstanding product strategy.

The channel management strategy is critical in establishing the appropriate distribution channels for the goods and services produced. Toddler University's invention is also an excellent example of the channel management strategy's interface. By providing a product that drastically reduces retailers' inventory requirements, the company has ensured that its goods are distributed more efficiently, resulting in increased sales. In conclusion, Toddler University's development shows the significance of product and channel management strategies for an effective business strategy.

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Recommend and explain at least four (4) digital marketing components that a marketing team can use to increase a energy drink online visibility to customers.

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Digital marketing components that a marketing team can use to increase an energy drink's online visibility to customers.

First, search engine optimization (SEO) is an important component that can help increase website traffic and visibility.

Second, social media marketing is another digital marketing component that can help reach out to a wider audience.

Third, content marketing can be used to provide valuable information about the energy drink and its benefits to customers.

Fourth, email marketing is a component that can be used to engage customers through newsletters and promotional emails.

Digital marketing comprises several components that can be used to increase an energy drink's online visibility to customers. In this case, a marketing team may use at least four digital marketing components to achieve this objective.

First, search engine optimization (SEO) is an important component that can help increase website traffic and visibility. Through SEO, the marketing team can ensure that the energy drink's website ranks higher on search engine results pages.

Second, social media marketing is another digital marketing component that can help reach out to a wider audience. By creating engaging content and running ads on social media platforms, the marketing team can attract more customers.

Third, content marketing can be used to provide valuable information about the energy drink and its benefits to customers. This can be done through blog posts, infographics, and videos.

Fourth, email marketing is a component that can be used to engage customers through newsletters and promotional emails. By incorporating these digital marketing components into the energy drink's marketing strategy, the marketing team can increase online visibility and attract more customers.

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On August 10th the MSCI announces the Index rebalance on September 1st. The research team of DB sends the list of ins and outs.
Assume Tesla has a 20% increase in weight in the Index, which generates a $5bn worth of demand.
Assume Tesla's price on August 13th is up 5% and the stock has traded $3bn more than the average daily volume each day over the past 3 days
Is this trade overcrowded?

Answers

An overcrowded trade is a trading strategy or market position that is shared by a large number of investors.

The strategy may have worked effectively in the past, but as more traders adopt it, it becomes less profitable, riskier, and less likely to work. So, the following terms in the answer to the given question are overcrowded trade, trading strategy, and market position. There is a possibility that the trade in Tesla is overcrowded as it is getting a lot of attention from investors due to its 20% increase in weight in the MSCI Index, which is generating a $5bn worth of demand. Moreover, the price of Tesla has gone up by 5% on August 13th and the stock has traded $3bn more than the average daily volume each day over the past 3 days. This may be an indication that many investors are purchasing the stock, potentially leading to a crowded trade. As a result, it is difficult to make a definitive conclusion, but the data presented indicates that the trade might be overcrowded.

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What is the primary advantage of providing background information or explanations in a routine inquiry? Multiple Choice They soften the bluntness of the opening question in the message. They help your reader better understand how to answer your questions. They help introduce the reader to the main point of the message immediately. They force the reader into complying with the request more quickly. They help add structure to the body of the message and improve its overall appearance.

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The primary advantage of providing background information or explanations in a routine inquiry is that it helps the reader better understand how to answer the questions being asked.

Providing background information or explanations in a routine inquiry offers several advantages. Firstly, it softens the bluntness of the opening question in the message, making it more approachable and friendly. This can help establish a positive tone and foster a cooperative relationship with the reader. Secondly, it helps the reader better understand the context and purpose of the inquiry, enabling them to provide more accurate and relevant responses. By providing relevant background information, the sender can ensure that the recipient has the necessary context to address the inquiry effectively. Additionally, it adds structure to the body of the message and improves its overall appearance, making it easier to read and comprehend. In conclusion, incorporating background information or explanations in a routine inquiry not only enhances clarity and understanding but also contributes to a more professional and effective communication exchange.

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Look at the following routing method, it is:
Select one:
a.
Largest gap method and it is suitable for warehouse with few pick locations per aisle
b.
S-shape method and it is suitable for warehouse with many pick locations per aisle
c.
S-shape method and it is suitable for warehouse with few pick locations per aisle
d.
Largest gap method and it is suitable for warehouse with many pick locations per aisle

Answers

The routing method described is the S-shape method, and it is suitable for a warehouse with many pick locations per aisle. This method involves moving along the aisle in an S-shaped pattern, allowing for efficient traversal of multiple pick locations.

By following this pattern, the picker can minimize travel time and distance, optimizing the picking process in a warehouse with numerous pick locations. This method is particularly effective when there are multiple items to be picked in each aisle, as it enables systematic coverage of all the locations. Overall, the S-shape method is a suitable routing strategy for maximizing efficiency in a warehouse with many pick locations per aisle.

The S-shape method involves dividing the picking area into multiple zones or sections. The picker starts at the beginning of an aisle and follows a path that resembles the shape of an S. This path takes them from one side of the aisle to the other, covering multiple pick locations along the way. By using this method, the picker can efficiently navigate through the aisle, minimizing the time and distance required to complete the picking tasks.

This routing method is particularly suitable for warehouses with many pick locations per aisle. When there are numerous items to be picked in a single aisle, using the S-shape method ensures that the picker covers all the locations in a systematic manner. By following the S-shaped path, the picker can avoid unnecessary backtracking and minimize the distance traveled within the aisle. This approach optimizes the picking process, reducing the overall time and effort required to fulfill the orders.

On the other hand, the largest gap method involves identifying the largest gap between two consecutive pick locations and routing the picker through that gap. This method is more suitable for warehouses with few pick locations per aisle. When there are only a few items to be picked in a single aisle, identifying the largest gap allows for efficient traversal of the aisle while minimizing travel time. The largest gap method works well in scenarios where there is less need for systematic coverage of all pick locations in an aisle.

Therefore, the correct answer is option b: S-shape method and it is suitable for a warehouse with many pick locations per aisle.

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The main focus of the Telecommunications Act of 1996 was to do which of the following?
A. Attempt to tighten national control over media ownership and product content
B. Encourage restrictions on websites
C. Spark an increase in government-owned media outlets
D. Attempt to deregulate all privately-owned media
E. Relax the rules governing media ownership

Answers

The main focus of the Telecommunications Act of 1996 was to E. Relax the rules governing media ownership. This act aimed to promote competition and encourage diversity in the telecommunications industry by relaxing regulations on media ownership.

The Telecommunications Act of 1996 was a significant piece of legislation in the United States that aimed to modernize and promote competition in the telecommunications industry. One of the primary objectives of the act was to relax the rules governing media ownership. Prior to the act, there were strict regulations on the cross-ownership of media outlets, limiting the number of media properties that a single entity could own in a given market.

By relaxing these regulations, the act aimed to encourage increased competition and diversity in the media industry. It allowed for greater consolidation of media ownership, enabling companies to expand their reach and invest in new technologies and services. However, the act also raised concerns about the potential concentration of media power and the impact on media plurality and diversity of voices.

In summary, the Telecommunications Act of 1996 sought to relax the rules governing media ownership to foster competition and innovation in the telecommunications industry.

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You are now required to enter transactions that occurred during the final week of June into the company's books. The following transactions occurred throughout the last week of June: Week 5 Date Transaction description 29 Made cash sale of 38 boxes of Mandy Amp and the Thought Police CDs for $603 each. Purchased 13 boxes of Fate's Offspring CDs with cash for a list price of $288 each. A trade discount of 25% applies, Cheque No. 629. 29 30 Received 16 boxes of Evan Handed and the Handymen CDs for $270 each, which were ordered on the 26th, Agreed terms with Phin records are 2/10, n/30. 30 Mel O'Dius paid the full amount owing on their account. 30 Paid monthly salary of $4,000 to Lennox Bragg, Cheque No. 630. Instructions for week 5 1) Record all week 5 transactions in the relevant journals. Note that special journals must be used where applicable. Any transaction that cannot be recorded in a special journal should be recorded in the general journal. 2) Post entries recorded in the journals to the appropriate ledger accounts according to the company's accounting policies and procedures. Journals will be posted to the general ledger accounts at the end Your progress INTRODUCTION TRANSACTIONS WEES Completed This page will take TRANSACTIONS WETE FRANGACTIONE WEEK 30% pro 2o 1 hour ning es will take to 11.25 hou

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During the final week of June, the company had several transactions. They made a cash sale of 38 boxes of Mandy Amp and the Thought Police CDs, purchased 13 boxes of Fate's Offspring CDs with cash, received 16 boxes of Evan Handed and the Handymen CDs, and received payment from a customer.

They also paid the monthly salary of an employee. These transactions need to be recorded in the relevant journals, and the entries should be posted to the appropriate ledger accounts according to the company's accounting policies and procedures.  In the final week of June, the company had multiple transactions that need to be recorded in the relevant journals. For example, the cash sale of 38 boxes of Mandy Amp and the Thought Police CDs should be recorded in the sales journal, specifying the details of the sale, such as the date and amount received. The purchase of 13 boxes of Fate's Offspring CDs with cash, including a trade discount, should be recorded in the purchases journal, specifying the date, supplier, and amount paid. The receipt of 16 boxes of Evan Handed and the Handymen CDs, which were ordered previously, should be recorded in the purchases journal or a specialized inventory journal, depending on the company's accounting system. The terms agreed with Phin Records should also be noted for future reference. The payment received from Mel O'Dius, along with any outstanding amounts, should be recorded in the accounts receivable ledger, showing the payment received and updating the customer's account. Lastly, the payment of the monthly salary to Lennox Bragg should be recorded in the cash disbursements journal or the payroll journal, depending on the company's accounting procedures. After recording the transactions in the relevant journals, the entries should be posted to the appropriate ledger accounts, such as sales, purchases, inventory, accounts receivable, and cash. This ensures that the financial records are accurate and up to date, reflecting the company's financial position and performance during the final week of June.

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N The ledger of Rashid Travel Agency includes the following accounts with normal balances on December 31, 2020: Rashid, Capital BD25,000; Drawings BD3,200; Fees Earned BD4,000; Ticket Revenues BD16,000; General Expense BD24,600 Required Prepare the necessary closing entry for Expenses from the available information on December 31, 2020 (4 نقطة) Debit General Expenses BD24,600 and Credit Income Summary BD24,600 O Debit Income Summary BD24,600 and Credit General Expenses BD24,600 Debit General Expenses BD24,600 and Credit Capital BD24,600

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To close the General Expenses account on December 31, 2020, a closing entry is made by debiting General Expenses for BD24,600 and crediting Income Summary for the same amount. This entry transfers the expense amount to the Income Summary account, preparing the books for the next accounting period.

The closing entry for expenses involves transferring the balance of the General Expenses account to the Income Summary account. By debiting General Expenses, we are reducing its balance to zero. This represents the total expenses incurred during the accounting period. On the other hand, by crediting Income Summary, we are increasing its balance by the same amount, representing the total expenses being transferred.The necessary closing entry for expenses on December 31, 2020, based on the available information would be:

Debit: General Expenses BD24,600

Credit: Income Summary BD24,600

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what is the symbol of crown castle international corporation

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The symbol of Crown Castle International Corporation is "CCI".

The symbol "CCI" is the stock ticker symbol used to represent Crown Castle International Corporation in financial markets. A stock ticker symbol is a unique series of letters assigned to publicly traded companies to facilitate trading and identification on stock exchanges. These symbols are used by investors, traders, and financial institutions to easily identify and track the performance of specific stocks.

In the case of Crown Castle International Corporation, "CCI" is the symbol used when referring to the company's shares in stock market transactions. Investors can use this symbol to search for information about the company's stock, such as its current price, trading volume, historical performance, and other relevant financial data.

Stock ticker symbols are regulated and assigned by stock exchanges or financial regulatory bodies in each country. They are designed to be concise and easily recognizable, typically consisting of a combination of letters, and sometimes numbers, that uniquely identify a specific publicly traded company.

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Use the AS/AD diagram to show( graphically only) the
short term and long term effects of restrictive fiscal policy.

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The AS/AD model is used to show the effects of changes in aggregate demand and supply on the overall price and output levels in the economy.

To depict the short and long-term effects of a restrictive fiscal policy, the AS/AD diagram can be used. The AD curve shifts leftward, and the equilibrium point moves along the AS curve when the government uses a restrictive fiscal policy. This results in the short-term effect of lower output and lower prices.Short-term effects: Long-term effects: When we talk about long-term effects of restrictive fiscal policy on the AS/AD diagram, there are three possible outcomes. The first outcome is that the AS curve will shift rightwards as workers accept lower wage rates and as firms become more efficient.

The second possibility is that the economy may experience a recession. The third possible outcome is that the economy will experience stagflation, a condition in which prices and output decrease while unemployment increases. Here is a graph that shows the long-term effects of a restrictive fiscal policy: In the long run, if the central bank does not change the money supply, the AS curve will return to its initial position, and the economy will return to its potential output.

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Two individuals are involved in a synergistic relationship. If both individuals put effort into the relationship both are better. For each effort of individual j, the return to individual i first grows and then decreases. Player preferences are represented by πi(ai,aj) = ai (c + aj-ai); where ai is the effort level of the player i=1,2 and c>0 a constant.
a. Strategically describe the game and clearly write the payout features for each player
b. Find and graph the best answers
c. Find the Nash equilibrium(s).

Answers

a. Strategically describe the game and clearly write the payout features for each player:The game is a two-player, non-zero sum game.


The efforts of both individuals (players) are positively related, such that when one player puts forth more effort, the other player's return grows and then decreases. The player preferences are πi(ai,aj) = ai (c + aj-ai), where ai is the effort level of player i and c is a constant greater than zero.
The payouts for each player are as follows:Payout for Player 1: π1(ai,aj) = ai (c + aj-ai)Payout for Player 2: π2(ai,aj) = aj (c + ai-aj)b. Find and graph the best answers:The best response for Player 1 can be found by taking the derivative of their payout function with respect to ai and setting it equal to zero. This yields the following equation:∂π1/∂ai = c + 2aj - 2ai = 0Solving for ai, we get:ai = (aj + c)/2The best response for Player 2 can be found in the same way, yielding:aj = (ai + c)/2
The best responses for each player can be plotted on a graph with effort levels on the x-axis and the other player's effort levels on the y-axis. The two best responses intersect at the point (ai,aj) = (c/2, c/2), as shown below:c. Find the Nash equilibrium(s).The Nash equilibrium occurs when both players are playing their best response to the other player's strategy. In this case, the best responses for each player intersect at (ai,aj) = (c/2, c/2), which is the Nash equilibrium.


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Question 25 (1 point)
The benefit an employee enjoys when an employer's automobile is available for their
personal use is called the:
1-Terminal Charge
2-Operating Cost Benefit
3-Standby Charge
4-Capital Cost

Answers

An employee benefits when an employer’s automobile is made available for their personal use. This benefit is referred to as standby charge. The standby charge is a benefit that an employee derives when an employer’s automobile is available for their personal use.

A standby charge is a taxable benefit when the automobile is available to the employee. This tax is applicable to an employee regardless of whether the automobile was used during the year in question or not.The benefit is computed as a percentage of the original cost of the automobile, usually two percent per month.

The standby charge must be reduced by the amount of reimbursement that the employee pays to the employer for the personal use of the automobile. The amount of standby charge will be impacted by the following factors: Original cost of the automobile Percentage used for personal purposes Interest-free or low-interest loan made to employee by employer

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Explicit Cost (bought in the market) and implicit (owned by the company and the owner)
Juan and Julia contributed $50,000 of their own money to the company
They bought equipment for $3,000 They hired an employee with a salary of
$20,000
Juan quit his job where he earned $30,000 Julia quit part of her job where she earned
$15,000
• Purchases of materials for the business were $10,000
At the end of the year the value of the equipment is $28,000
· A business loan of $100,000 pays 6% annual interest
According to the data, what is the explicit limit or bought in the market?

Answers

The explicit costs in this scenario include the equipment purchase, employee salary, material purchases, and business loan interest, while the contributions made by Juan and Julia and the opportunity costs are implicit costs.

Explicit costs are the actual monetary expenses incurred by a company to acquire resources or services from the market. In the given scenario, the following explicit costs can be identified:

Equipment purchase: Juan and Julia bought equipment for $3,000. This is an explicit cost as it involved an outflow of cash to acquire the equipment.

Employee salary: Hiring an employee with a salary of $20,000 is an explicit cost. The company is paying cash to the employee as compensation for their services.

Purchases of materials: The company spent $10,000 on purchasing materials for the business. This is an explicit cost as it involves a cash outflow to acquire the materials.

Business loan interest: The business loan of $100,000 carries a 6% annual interest rate. The interest paid on the loan is an explicit cost as it represents the cash outflow required to fulfill the interest obligation.

In this case, the explicit costs include the equipment purchase cost, employee salary, material purchases, and business loan interest. These costs are tangible and involve actual cash transactions made in the market.

It is important to note that the contributions made by Juan and Julia of $50,000 are not considered explicit costs as they are investments made by the owners themselves and not acquired from the market.

Similarly, the opportunity costs associated with Juan and Julia quitting their jobs and giving up their respective salaries are implicit costs, as they represent the foregone income from their previous employment.

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Other Questions
The following trial balance relates to Paradise Ltd as at 30 September 2020: GH'000 GH'000 61,000 Stated capital (250m shares (note i) 30,600 8% loan note (note ii) 12,100 Income surplus- 30/09/2019 3,000 Other equity surplus Capital surplus 7,000 Land and building at valuation- 30/09/2019: 43,000 Land (GH67m) and building (GH36m) (note iii) Plant and equipment at cost 67,400 Accumulated depreciation- 30/09/2019 13,400 Investments in equity instruments (note iv) 15,800 Inventory at 30 September, 2020 19,800 Trade receivables 29,000 Bank 4,600 Deferred tax (note v) 4,000 Trade payables 21,200 Revenue 183,000 Cost of sales 128,500 Administrative expenses (note i) 25,000 Distribution costs 8,500 Loan note interest paid 2,400 Bank interest 300 Investment income Current tax (note v) 700 900 340,600 340,600 Additional information: i. On 20 September 2020, Paradise Ltd signed a contract to supply a customer with goods in November 2020. The customer paid a deposit of GH 500,000 when the contract was signed and Paradise Ltd credited this amount to revenue. Paradise Ltd did not make any adjustment to inventory on 20 20 September 2020 as a result of receiving the deposit. ii. Paradise Ltd has accounted for a fully subscribed rights issue of equity shares made on 1 April 2020 of one new share for every four in issue 42Gp each. The company paid ordinary dividends of 3Gp per share on 30 November 2019 and 5Gp per share dividend payments are included in administrative expenses on 31 May 2020. in the trial balance. The 8% loan note was issued on 1 October 2018 at its nominal (face) value of GH 30m. The loan note will be redeemed on 30 September 2022 at a premium which gives the loan note an effective finance cost of 10% per annum. iv. Non-current assets: Paradise Ltd revalues its land and building at the end of each accounting year. At 30 September 2020 the relevant value to be incorporated into the financial statements is GH41.8m. The building's remaining life at the beginning of the current year (1 October 2019) was 18 years. Ignore deferred tax on the capital surplus. All depreciation is charged to cost of sales. V The investments in equity instruments held at 30 September 2020 had a fair value of GH 13.5m. All changes in the fair value of investments are treated in the statement of profit or loss. vi. A provision for income tax for the year ended 30 September 2020 of GH45.6m is required. The balance on current tax represents the under/over provision of the tax liability for the year ended 30 September 2019. At 30 September 2020 the tax base of Paradise's net assets was GH15m less than their carrying amounts. The movement on deferred tax should be taken to profit or loss. The income tax rate of Paradise Ltd is 25%. Required: a) Prepare the statement of profit or loss and other comprehensive income for Paradise Ltd for the year ended 30 September 2020. b) Prepare the statement of changes in equity for the year ended 30 September, 2020. c) Prepare the statement of financial position of Paradise Ltd as at 30 September 2020. Apply your knowledge of strategy/policy and your Christianworldview as you evaluate Airbnb.Search the Bible (either the Old or New Testament) for verse(s) that would guide you inanswering the Ethical/Social/Financial Issues that you have identified or that may be present in the firm and how this would guidestrategic choice.First section: Discuss a problem or key area identified in your research of thefirm. What is the Ethical/Social/Financial Issues identified (from astrategy/policy perspective).b. Second section: State and discuss the Bible verse(s) that are relevant to theidentified area. To properly address this section, it will require biblical research toput your verse(s) into context for the next section.c. Third paragraph: Discuss/analyze the importance of the Bible verse(s) inaddressing your chosen topic from a Christian worldview perspective. c) Using the risk matrix given in Figure 2, complete a hazard log by proposing one safety risk related to the interface between signalling system and rolling-stock. The hazard log should contain the following columns: 1. Hazard Description 2. Cause 3. Consequence 4. Initial Frequency 5. Initial Severity 6. Initial Risk Rating 7. Safeguard 8. Residual Frequency 9. Residual Severity 10. Residual Risk Rating (9 marks) RI A (Frequent) B (Probable) C(Occasional) D (Remote) E (Improbable) F (Incredible) Frequency Severity 3 2 (Marginal) (Critical) Injury Fatality = 5 R1 R1 R1 R2 R3 R4 Figure 2 d) Explain the weakness of the risk matrix in Figure 2 (2 marks), and propose a solution to the problem with an example (3 marks). which statement regarding fish gills best approximates the description of a mechanism? PLEASE IM IN A TEST I NEED HELP ASAP PLEASEEE what is the maximum number of electrons that can occupy the third (n=3) shell? Optimal inputs: A firm has a production function, y = ln(l, k) in a market with prices Py = 20, pe = 4, Pk = 5. Find the firm's profit maximizing choice for y, l, and k. How much profit do they earn? A71kg swimmer climbs onto a Styrofoam block whose density is160kg/m^3. If the styrofoam block sinks so that its top surfacealigns with the free surface level of water. What is the blocksvolume? The centroid method for plant location uses which of the following data?Correct AnswerCorrelation matrix of existing facilitiesCorrect AnswerVolume of goods to be shipped between existing pointsCorrect AnswerInbound transportation costsCorrect AnswerTransport times between facilities ."The peace conditions imposed upon Germany are so hard, so humiliating, that those who had even the tiniest hope for a 'just peace' are bound to be deeply disappointed. Our condemnation of the lust of power and conquest that Germany displayed during the war is strong and unwavering. But a condemnation of wartime actions must not amount to a lasting condemnation of an entire nation.The question is not whether the Germans have been led astray by their leaders, or whether they have been willing accomplices in the misdeeds of those leadersthe question is, whether it is in the interest of mankind to punish the German people as the Entente governments seem to have decided to do.The Entente evidently desires the complete annihilation of Germany. Not only will its whole commercial fleet be confiscated, but its shipbuilding yards will be obliged to work for the foreigner for some time to come. Whole regions of Germany will be entirely deprived of their liberty; they will be under a committee of foreign domination, without adequate representation. The financial burden is so heavy that it is no exaggeration to say that Germany is reduced to economic bondage. The Germans will have to work hard and incessantly for foreign masters, without any chance of personal gain, or any prospect of regaining liberty or economic independence.This 'peace' offered to Germany is a mockery of President Wilson's principles. Trusting in these, Germany surrendered and accepted peace. That confidence has been betrayed in such a manner that all Germans must now feel that they wish to shake off the heavy yoke imposed on them by the cajoling Entente. And we fear very much that they will soon find the opportunity to do so. Chained and enslaved, Germany will always remain a menace to Europe."Algemeen Handelsblad, Dutch liberal newspaper, editorial on the Treaty of Versailles, June 1919Which of the following true statements about the Netherlands best explains how the newspaper's national origin likely influenced the view of Germany expressed in the editorial?Question 6 options:The Netherlands, by remaining neutral during the war, profited significantly from helping Germany evade the Entente's naval blockade.The Netherlands, like Germany before the war, had a significant overseas empire.The Netherlands, like Germany, had a large merchant fleet.The Netherlands, like Germany until 1918, was a constitutional monarchy, although the Dutch monarchs had less effective power than the German kaiser. For a population with mean 262 and standard deviation 57.04,what is the value of the standard deviation of the samplingdistribution of the sample mean for samples of size 494? Pleasegive your answe 1. You are the manager of a monopoly and your cost function is C(Q) =2Q. You need to determine the optimal level of output for your firm, but the demand for your firms product will depend on whether or not a new tax law is passed. If passed, the new tax law will reduce income taxes and increase consumers disposable income. Politicians have determined that there is a 70% chance that the tax law will be passed and a 30% chance that will not. If the tax law is passed, the demand for your firms product will be:Q = 100 2PIf the tax law is not passed, the demand for your firms product will be:Q = 75 3Pa. How much output should you produce to maximize expected profits?b. What is the expected price for your product?c. What are your anticipated profits? How does your Meyers-Briggs and the other persons Meyers-Briggsimpact message design and translation? when the need for ribose 5-phosphate is greater than the need for nadph most of the ribulose 5-phosphate is converted into fructose 6-phosphate. what is the probability that out of 100 circuit boards made exactly 2 have defects? what is the probability that a card selected at random from a standard deck of 52 cards is an ace? 3.1 In the diagram below, O is the centre of the circle. Chord AB is perpendicular to diameter DC. CM: MD= 4:9 and AB = 24 units. B 3.1.1 Determine an expression for DC in terms of x if CM-4x units. 3.1.2 Determine an expression for OM in terms of x 3.1.3 Hence, or otherwise, calculate the length of the radius of the circle (1) (2) according to real estate commission rules - who has responsibility for an accurate closing?True or false QUESTION FOUR What role does countervailing power play in thepower relationship? Give an example of your own encounters withcountervailing power at university or work. (10 marks, 400words) Demand: Ininking Like a Buyer End of Chapter Problem Determine whether each good is a normal good or an inferior good for the average consumer. a. For most consumers, the newest iPhone is _____ good. b. For most consumers, a 10-year-old used car is _____ good. c. For most consumers, dental services are _____ good.