Based on the annual worth method, it is more economical to treat the wastes internally rather than using the services of the outside company.
Calculating the annual worth of treating the wastes internally:
Cost of treatment in the first year: $20,000
Annual cost reduction due to process improvements: $2,000
Annual Worth = Cost of the first year + Annual cost reduction / Annual Worth Factor
Annual Worth Factor = (1 - (1 + MARR)^(-n)) / MARR
Annual Worth Factor = (1 - (1 + 0.05)^(-11)) / 0.05
Annual Worth Factor = 7.526
Annual Worth = $20,000 + ($2,000 / 7.526)
Annual Worth = $20,000 + $265.74
Annual Worth = $20,265.74
Annual worth of using the outside company:
Annual Worth (outside company) = $10,000
Since $20,265.60 > $10,000, the wastes should be treated internally.
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Is it better to be a venture capitalist or an entrepreneur?.
To examine
the weekly payroll of all employees, one would look at the:
To examine the weekly payroll of all employees, one would look at the: d. payroll register.
What is the payroll register?The payroll register is a book or record that is used to fill in the details of all the employees and their payment logs. A record of this register is often kept in good condition in case of any future discrepancies that will have to be resolved.
A person who wants to examine the weekly payroll of all employees in an organization must be able to look at the payroll register to know what is obtainable. There, he would find the names of the employees, their job roles and payment record.
Options:
a. W-4
b. employee earnings record
c. W-2
d. payroll register.
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external cost of expanding or building airport
Answer:
External costs may involve or interact and be impacted by the environment, society, or economic travesty, especially ones that were uncalled-for.
External costs depend on many things, including area, time, and space, but will mostly be a few hundred thousand U.S.D.
Written sales proposals are better than their verbal counterparts because:
a. they provide a permanent record of claims and intentions.
b. they do not bind a selling organization to anything in particular.
c. they are easy to write and do not take a lot time to put together.
d. they are always more effective than oral presentations.
e. they do not have to vary from customer to customer
Written sales proposals are better than their verbal counterparts because they provide a permanent record of claims and intentions. (Option A)
A written sales proposal is a formal document that outlines the products or services a company offers and the benefits of those offerings. Unlike verbal sales pitches, written proposals provide a permanent record of the claims and intentions made by the seller. This can be important in case of disputes or misunderstandings between the buyer and seller. Written proposals also tend to be more comprehensive and well-organized than verbal pitches, and can be tailored to the specific needs and preferences of each customer. They also allow the seller to clearly communicate their unique selling proposition and provide a professional image to the buyer. Additionally, a well-written proposal can serve as a marketing tool and differentiate the seller from competitors. Overall, written sales proposals are an effective way to make a strong impression on potential customers and improve the chances of closing a sale.
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What are the disadvantages and advantages of money?
Explanation:
advantages
.Human beings need money to pay for all the things that make your life possible, such as shelter, food, healthcare bills, and a good education.
Money gives you the power to pursue your dreams.
Money gives you freedom.
Money gives you security.
disadvantages
•Money can lead to disagreements.
•obsession with money, or a love of money, can create a host of problems.
Is it far to say ALL change is meant with resist and hard to adopt too? In HR you will certainly have to announce some positive changes at some one. Please name a few that would certainly be welcomed and accepted.
It is not fair to say that ALL change is met with resistance and is hard to adopt. While change can be challenging, there are definitely positive changes in HR that are welcomed and accepted.
Here are a few examples:
1. Introduction of flexible work arrangements: Many employees appreciate the opportunity to have a better work-life balance. Implementing flexible work arrangements, such as remote work or flexible hours, can be seen as a positive change.
2. Employee recognition programs: Recognizing and rewarding employees for their hard work and achievements can boost morale and motivation. Implementing an employee recognition program can create a positive and supportive work environment.
3. Training and development opportunities: Offering employees opportunities for professional growth and skill development is often met with enthusiasm. .
4. Enhanced benefits package: Improving employee benefits, such as healthcare coverage, retirement plans, or wellness programs, can be seen as a positive change that supports employee well-being.
5. Clear communication and transparency: Implementing open communication channels and transparent decision-making processes can foster trust and improve employee satisfaction.
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Yvonne and Simon form Ion Corporation. Yvonne transfers equipment (basis of $188,600 and fair market value of $282,900). Simon invests $226,320 of cash. They each receive 100 shares in Ion Corporation, worth $226,320, but Yvonne also receives $56,580 in cash from Ion. Calculate Ion Corporation's basis in the equipment and determine Yvonne and Simon's basis in the Ion stock
The basis in the equipment transferred by Yvonne is $188,600, which represents the original cost of the equipment.
Ion Corporation's basis in the equipment will be the higher of the fair market value or the adjusted basis of the property in the hands of the transferor. In this case, since the fair market value of the equipment is $282,900, Ion Corporation's basis in the equipment will be $282,900.
Yvonne's basis in the Ion stock will be the total value of her investment, which includes the equipment transferred ($188,600) plus the cash received ($56,580), totaling $245,180.
Simon's basis in the Ion stock will be the total value of his investment, which is the cash contribution ($226,320).
Therefore, Yvonne's basis in the Ion stock is $245,180, and Simon's basis is $226,320.
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Expenses directly tied to the level of business activity is the definition of_____ A. variable costs. B. expected value. C. marginal costs. D. fixed costs.
The correct answer is (A.) variable costs. Expenses directly tied to the level of business activity is the definition of variable costs.
Variable costs are expenses that are directly tied to the level of business activity, meaning they increase or decrease in proportion to the level of production or sales. These costs can include things like materials, labour, and other inputs that are necessary to produce a product or service. As a business produces more, it incurs more variable costs, and as it produces less, it incurs fewer variable costs.
In contrast, fixed costs are expenses that do not vary with the level of business activity, such as rent, salaries, and other overhead expenses. These costs are typically incurred regardless of whether the business is producing or selling anything.
Marginal costs refer to the additional cost of producing one more unit of a product or service. Expected value is a statistical term that refers to the long-term average value of a random variable.
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Michael Bilkman has an opportunity to buy a perpetuity that pays $12,450 annually. His required rate of return on this investment is 13.25%. At what price would Michael be indifferent to buying or not buying the investment? Round off to the nearest $1.
Select one:
a.
$170,877
b.
$93,962
c.
$83,470
d.
$121,709
Answer:
$266,667.
Explanation:
P / (r-g) = Periodic payment / Interest rate - Growth rate
= 24,000 / (0.12 - 0.03)
= 24,000 / 0.09
= $266,667on:
i think thats it if i am wrong i am very sorry tellme if i am right or wrong.
Do you like Mr.Beast why or why not.
Answer:
yes i do
Explanation:
the united states, at the point where it is currently producing, must give up the production of 300 motorcycles to produce 20 additional suvs with the same resources. in this case, the opportunity cost of producing 5 suvs is motorcycles.
The given statement: "The United States, at the point where it is currently producing, must give up the production of 300 motorcycles to produce 20 additional SUVs with the same resources. Therefore, the opportunity cost of producing 5 SUVs is motorcycles as per the given statement
In this case, the opportunity cost of producing 5 SUVs is motorcycles."Opportunity cost is defined as the cost of choosing one option over another. It is the cost of the foregone option or next best alternative. Therefore, the opportunity cost of producing 5 SUVs is motorcycles as per the given statement. This is because to produce 20 additional SUVs with the same resources, the United States must give up the production of 300 motorcycles. So, to produce 5 SUVs, the production of motorcycles would have to be reduced by a proportionate amount.
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If average daily remittances are $6 million, and "extended disbursement float" adds two days to the disbursement schedule, how much should the firm be willing to pay for a cash management system if the firm earns 7% on excess funds
Answer:
$840,000
Explanation:
Calculation of how much should the firm be willing to pay for a cash management system
Using this formula
Annual return from cash management system = Average daily remittances × 2 days disbursement schedule× Percentage of excess funds
Let plug in the formula
Annual return from cash management system$6,000,000 × 2 days × 7%
Annual return from cash management system= $840,000
Therefore the firm be willing to pay the amount of $840,000 for thebcash management system if the firm earns 7% on excess funds.
Leopardstown Fitness Centre in Dublin is considering the purchase of some new training equipment which has a retail price of €8,600. The club has only €600 available to fund the purchase at this time. Following discussions with its local bank, as well as a sales representative from the suppliers, the centre is faced with the following possibilities.
Rental: Pay a monthly rental of €140 for five years, plus an annual maintenance payment of €150.
Hire purchase: Pay a deposit of €600, plus 60 monthly instalments of €150.
A final payment of €480 must then be paid.
Bank loan: Borrow the amount needed for five years on which interest is charged at a flat rate of 7% per annum.
Calculate the total cost of each option over a five-year period.
Answer:
The cost of each option is as below
Explanation:
Option A: Rental
monthly rental for five years: each month €140
Each year has a maintenance fee of €150.
The total of the rental will be monthly rent plus yearly charges.
One year has 12 months; five years will have = 12 x 5 = 60 months
For 60 months, rental payments will total 60 x €140= €8,400
Yearly charges = €140 x 5 = €700
Total for rental = €700 + €8,400
Total cost for rental = €99, 1100
Option B: Hire purchase
Total for hire purchase will be the deposit plus the total of monthly installments plus the final payment.
The deposit is €600
Total for monthly installments: 60 x €160= €9,600
the final payment is €480
Total for hire purchase= €600 + €9,600, + €480
Total cost for hire purchase=€10,680
Option Bank loan:
cost of the loan will be the principal amount plus the interest charged. Interest is 7% per year for five years. Principal amount is
€8,600
Interest = P x r x t,, since interest on a flat rate
=8600 x 7/100 x 5
=8600 x 0.07 x 5
=€3,010
The cost of the loan is €3,010+€8,600
=€11,610
JohnBoy Industries has a cash balance of $54,000, accounts payable of $134,000, inventory of $184,000, accounts receivable of $219,000, notes payable of $129,000, and accrued wages and taxes of $41,500. How much net working capital does the firm need to fund?
Answer:Net working capital = $152,500
Explanation:
Net working capital = CA– CL
Where CA= Current Assets = Cash + Inventory + Accounts Receivable
and CL= Current Liabilities= Account payable + Notes payable + accrued wages and taxes
CA=$54, 000 + $184,000 + $ 219,000 =$457,000
Current liabilities = Account payable + Notes payable + accrued wages and taxes
CL = $134,000 + $129,000 + $41,500 = $304,500
Net working capital = Current assets – Current liabilities
Net working capital = $457,000 – $304,500= $152,500
Net working capital = $152,500
I need long paragraph defines a problem statement and technical and non technical challenges in online auction app project
thank you
The creation of an online auction app is a complex procedure that necessitates carefully taking into account both technological and non-technical difficulties.
In today's digital age, online auction programmes are growing more and more popular, giving people and businesses the chance to buy and sell goods and services through online bidding. However, there are several technical and non-technical difficulties in creating a trustworthy and efficient online auction platform. Assuring the security and dependability of the programme itself is one of the key technological issues encountered in the development of online auction apps. To safeguard user data and thwart hacking efforts, this calls for the use of strong security mechanisms including encryption, firewalls, and secure data storage protocols.
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The product life cycle refers to the stages a product moves through from the time it enters the market until the time
It's the stage by which a product move through from the time it enters the market until the time it is cleared. My own definition states that it's the length of time by which a product is introduced to consumers in the market until it has been removed
What type of transportation is used for mass movement of bulk cargo in the Philippines considering that it is an archipelago.
Answer:
It is a container ship because Philippines is an archipelago which means it is surrounded by water and a container ship is the only way to transport bulk cargo in and out of Philippines.
The most important ethical considerations associated with criminalising hate speech is
The criminalization of hate speech raises important ethical considerations, including concerns about freedom of expression, the potential for selective enforcement, and the impact on marginalized communities.
Firstly, freedom of expression is a fundamental human right, and restrictions on speech must be carefully balanced with the need to protect individual and community rights. Criminalizing hate speech can limit the ability of individuals to express their opinions and ideas, even when those ideas may be unpopular or offensive. This raises important questions about the appropriate balance between protecting individuals and groups from harm and preserving freedom of expression.
Secondly, there is a risk of selective enforcement when criminalizing hate speech, which may disproportionately impact certain groups or individuals. Law enforcement and other authorities may apply hate speech laws in a discriminatory or arbitrary manner, which can undermine public trust in the justice system and exacerbate social divisions.
Finally, the impact of hate speech on marginalized communities must be considered when evaluating the ethics of criminalizing hate speech. Hate speech can contribute to the marginalization, discrimination, and violence against vulnerable groups, and may have lasting psychological and social impacts. Criminalizing hate speech can send a strong message that such behavior is not acceptable, and can help to protect individuals and communities from harm.
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You just obtained a credit card. you immediately purchase a digital camera for $160. your credit limit is $4000. let’s assume that you make no payments and purchase nothing more and there are no other fees. the monthly interest rate is 1.42%. what is the growth factor of your credit card balance? a. 0.0142 b. 14.2 c. 1.0142 d. 1.42
The growth factor of your credit card balance is 1.0142. This is calculated by taking the monthly interest rate of 1.42% and adding it to 1, giving us a growth factor of 1.0142.
In this scenario, you have a credit limit of $4,000 and you have just purchased a digital camera for $160. Since you make no payments and purchase nothing more and there are no other fees, your balance will grow by the growth factor of 1.0142 each month.
To find the growth factor of a balance with an interest rate, you can use the formula:
Growth factor = 1 + (interest rate / 100)
In this case, the interest rate is 1.42%, so you can plug that into the formula:
Growth factor = 1 + (1.42 / 100)
Simplifying the fraction gives you:
Growth factor = 1 + 0.0142
Adding the two numbers together gives you the growth factor:
Growth factor = 1.0142
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a. In 2015 , Bilal had a monthly salary of $4,166.5. Assume 2015 is the base year. In 2018 , the CPI went up to 106.3. His monthly salary in 2018 was $4,800. Did the purchasing power of Bilal go up? Please show calculations and explain your answers (2) b. In 2008 , there was a major housing mortgage crisis in the U.S. economy which eventually led to recession. At that time, there was a GDP Gap or loss of 10.75%. The natural rate of unemployment in 2008 was 5.1%. What was the unemployment rate in 2008 in the U.S.? c. Germany's current inflation rate of 1.8% and France"s current inflation rate is 1.3%. Using the rule of 70 , which country will first experience doubling of prices of goods and services? \$how calculations
In this case, the base year is 2015, so we'll use the salary in 2015 ($4,166.5) and the CPI in 2018 (106.3) to calculate the adjusted salary in 2018.The formula is:Adjusted Salary in 2018 = $4,166.5 * 106.3 / 100 = $4,423.05
Comparing the adjusted salary in 2018 ($4,423.05) with Bilal's actual salary in 2018 ($4,800), we can see that his salary increased more than the adjustment for inflation. Therefore, the purchasing power of Bilal increased between 2015 and 2018.
b. The GDP Gap represents the difference between the actual Gross Domestic Product (GDP) and the potential GDP. In 2008, there was a GDP Gap or loss of 10.75%, which means the actual GDP was 10.75% lower than the potential GDP. The natural rate of unemployment, also known as the Non-Accelerating Inflation Rate of Unemployment (NAIRU), represents the unemployment rate at which inflation remains stable. In 2008, the natural rate of unemployment was 5.1%.
To calculate the unemployment rate in 2008, we need to add the GDP Gap to the natural rate of unemployment:
Unemployment Rate = Natural Rate of Unemployment + GDP Gap
Unemployment Rate = 5.1% + 10.75%
Unemployment Rate = 15.85%
Therefore, the unemployment rate in the U.S. in 2008 was approximately 15.85%.
c. To determine which country will first experience a doubling of prices of goods and services using the rule of 70, we divide the number 70 by the inflation rate to calculate the approximate number of years it will take for prices to double.
For Germany, with an inflation rate of 1.8%:
Approximate number of years = 70 / 1.8 = 38.89 years
For France, with an inflation rate of 1.3%:
Approximate number of years = 70 / 1.3 = 53.85 years
Comparing the two, Germany will experience a doubling of prices of goods and services sooner than France, as it will take approximately 38.89 years for prices to double in Germany, while it will take approximately 53.85 years for prices to double in France.
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The question of whether a producer is capable of making the product over and over​ again, in the requisite​ volumes, is a matter of?
However, by allowing activities in several development stages to overlap with one another, the CFT (Cross Functional Team) strategy can speed up the overall development process for new products (Bozarth & Handfield, 2008).
What is Advantages of using CFT Approach in a new product Development?Sequential or traditional development process refers to a method where the idea for a good or service has to pass certain tests before moving on to the next stage of development (JayHeizer & BarryRender, 2005).Because different activities overlap, the CFT technique has shorter lead periods, which is favorable.Additionally, when different tasks are completed concurrently in several areas of a business, efficiency and utilization as a whole grow. The output rate increases while using the same overheads, such as utilities, etc., which results in a decrease in the per-unit cost of overhead.Third, the improved collaboration between different stages of new product development increases the potential for improvement and decreases the margin of error. For instance, early involvement of the manufacturing department increases flexibility, lowers the possibility of error during prototyping, designing, and concept development, and eventually improves quality.Finally, a company's ability to compete on a time basis improves as a result of new items being introduced into the market more quickly, which may raise a company's overall market share and stock price.To Learn more About CFT strategy Refer TO:
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If a bond is trading at a premium, what is the relationship between the bond's coupon rate, current yield and yield to maturity?
Bonds acquired at premiums often have lower yields to maturity than bonds purchased at market rates. This is further explained below.
What is a bond?Generally, Bonds are financial securities that reflect loans made to the issuer by the bondholders themselves. When it comes to borrowing money, governments (at all levels) and companies (of all sizes) often turn to bonds.
In conclusion, If you buy a bond at a discount, the yield to maturity will be lower than its coupon rate.
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The owner of a bike shop would like to analyze the sales data to determine if the business is growing, declining, or remaining flat. The owner has the following data:
Sales Revenue Last Year =$125,000
Sales Revenue Current Year = $150, 000
What is the Sales Growth?
Do not forget to type the % symbol after multiplying your result by 100 to convert to percentage!
Hint: Your answer will NOT have decimal point.
Example: 75%
A contractor must decide between two jobs. One job is a bathroom renovation in a residential home. The other is the construction of a
new detached garage. What is a potential opportunity cost if the contractor decides to do the bathroom?
A. the cost of materials and labor for the garage job
B. the net profit of installing the garage
C. the cost of materials and labor for the bathroom
D. the net profit of remodeling the bathroom
Answer:
B: The net profit of installing the garage.
Explanation:
The opportunity cost is the next best thing that you could be doing but chose to give up in order to do something else. For example, if I chose to spend the day studying for a test, I won't have as much time to watch cat videos, hang out with my friends, or work on the website I'm coding. Since I love coding more than anything in the world, the time I could've spent coding is the opportunity cost of choosing to study.
A and C can be safely eliminated because they are describing the business expenses of the contractor, not what they could be missing out on if they choose to renovate the bathroom. In this case, D wouldn't make any sense since they wouldn't be missing out on any profits from the bathroom project at all. Therefore, the correct answer is B. The contractor can't be in two places at once, and by choosing the bathroom, they're passing up the opportunity to work on the garage and any resulting profits.
Answer:
The net profit of installing the garage.
Explanation:
identifying smaller groups within a target market and developing products and services to satisfy these groups is called
Market segmentation is the process of identifying smaller groups within a target market and creating goods and services to appeal to these groups.
What exactly does market segmentation involve?The act of segmenting is the division of a huge market into smaller segments in order to pick the optimal target market for various organizations. Market segmentation makes it possible to develop and implement effective marketing strategies to reach the target market.
The act of dividing a big population into more manageable groupings based on a few shared traits is known as market segmentation. These groups might have similar locations, beliefs, behaviors, and demographic characteristics (such age and gender), or a combination of these characteristics. A customer may belong to multiple market segments.
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Which statement is NOT true?
A. Local banks offer commercial real estate loans.
B. Local banks offer automobile loans to the government.
C. Local banks offer unsecured loans.
D. Local banks offer residential mortgage loans.
E. Local banks offer educational loans.
Explanation:
The Answer Is C. That's It
Please help me where can I find an app that helps me more about Business and becoming a business man please help thank you have a great rest of your day:)
1.] Gusto "Small business owners with a team to run may find Gusto a lifesaver."
2.] Scanner App. "This free app for small business lets you send documents and forms on the go."
3.] Square. "Square is the payment app for small business right now."
4.] Wunderlist. ...
5.]LinkedIn. ...
6.]PicMonkey. ...
7.] Shopventory. ...
8.] TripIt.
these are all ranked gusto being the best and 8 being good but not as good as the top 3
A sample of employees at a large chemical plant was asked to indicate a preference for one of three pension plans. The results are given in the following table. Does it seem that there is a relationship between the pension plan selected and the job classification of the employees? Use the . 01 significance level.
There is no relationship between the pension plan selected and the job classification of the employees.
A sample of employees at a large chemical plant was asked to indicate a preference for one of three pension plans. The results are given in the following table.The data are cross-classified based on two factors which are Job Classification and Pension Plans.
Since there are more than 2 variables involved in the experiment, the test which is appropriate to be performed in this scenario is a chi-square test.The null and alternative hypotheses are:H0: There is no relationship between job classification and pension plan selected.
H1: There is a relationship between job classification and pension plan selected.The level of significance of the test is 0.01.To perform the chi-square test, we need to calculate the expected frequencies which is obtained by multiplying the row and column totals and dividing by the grand total (n).
The expected frequencies for the above data are shown below:
To calculate the test statistic, we will use the formula:Chi-square = ∑ (O-E)²/Ewhere, O = observed frequencyE = expected frequency∑ = summing over all categoriesWe can obtain the test statistic by filling in the following table:
Since the calculated value of chi-square (χ²) (1.9599) is less than the tabulated value of chi-square (χ²) (7.815), we fail to reject the null hypothesis.
There is no significant evidence to suggest that there is a relationship between job classification and pension plan selected by the employees.
Hence, we conclude that there is no relationship between the pension plan selected and the job classification of the employees.
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Which of the following is a lasting impact resulting from 20th-century banking reforms in the United States
The lasting impact resulting from 20th-century banking reforms in the United States is "the reforms approved the Board to determine reserve requirements and interest rates for deposits at member bank."
The banking reforms made in the 20th century in the United States are many, and many of these reforms are still applicable today.
Some of the lasting effects of these reforms include the following:
The Board of Governors to determine the monetary policy.
The reforms established the Federal Deposit Insurance Corporation.
The reforms also separate commercial banks from investment banks.
Hence, in this case, it is concluded that the many banking reforms made in the 20th century still exist today.
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Answer: Depositer funds are insured against potential loss in the event of a bank failure.
Explanation:
The FDIC enacted the Banking Act of 1935 which persists to today. This act protects depositors from possibility of financial loss. Your funds are legally guaranteed and protected by the government. This insurance protects the likelihood of a bank run, because most depositor funds will not be lost due to the insolvency of any individual firm; it is a fixture of the modern banking system.
You manage the Information Systems department at a small startup Internet advertiser. You need to set up an inexpensive system that allows customers to see real-time statistics, such as views and click-throughs, about their current display ads. Which type of system will most efficiently provide a solution? CRM Enterprise system Extranet KWM Intranet
Answer:
Extranet
Explanation:
An extranet is a controlled private network in the information is accessible from an organization's intranet to partners, vendors and suppliers or an authorized set of customers.
To manage the Information Systems department at a small startup Internet advertiser and to set up an inexpensive system that allows customers to see real-time statistics, Extranet can efficiently provide a solution.