To calculate the net present value (NPV) and profitability index (PI) of the project, we need to discount the expected cash flows using the required rate of return. Let's perform the calculations:
Given Information:
Annual after-tax cash inflows: $5.55 million per year for 7 years
After-tax salvage value in year 7: $50,000
Initial investment: $7.5 million
Required rate of return: 15%
To calculate the NPV, there is a need to discount each cash flow to its present value and then sum them up:
NPV = -Initial investment + Present value of cash inflows + Present value of salvage value
To calculate the present value (PV) of cash inflows, we use the formula:
PV = Cash inflow / (1 + Required rate of return)^n
Where n is the number of years (from 1 to 7).
Calculating the present value (PV) of cash inflows:
PV(Cash inflows) =
\(\\ $5.55 million / (1 + 15)^1 + $5.55 million / (1 + 15)^2 + ... + $5.55 million / (1 + 15)^7\)
Calculating the present value (PV) of the salvage value:
PV(Salvage value) = \(\\ $50,000 / (1 + 15)^7\)
Calculating the NPV:
NPV = -Initial investment + (PV(Cash inflows) + PV(Salvage value))
NPV = -$7.5 million + (PV(Cash inflows) + PV(Salvage value))
Substituting the values:
\(NPV = -$7.5 million + ($5.55 million / (1 + 15)^1 + $5.55 million / (1 + 15)^2 + ... + $5.55 million / (1 + 15)^7 + $50,000 / (1 + 15)^7) \\\\\\NPV = -$7.5 million + ($5.55 million / 1.15^1 + $5.55 million / 1.15^2 + ... + $5.55 million / 1.15^7 + $50,000 / 1.15^7)\\\\NPV = -$7.5 million + $22,059,000 + $50,000 / 1.15^7 \\\\NPV = $15,609,126.37\)
Therefore, the NPV of the project is $15,609,126.37.
To calculate the Profitability Index (PI), we divide the present value of all future cash inflows and the salvage value by the initial cash outflow.
PI = (Present Value of Cash Inflows + Present Value of Salvage Value) / Initial Cash Outflow
Present Value of Salvage Value = \(\\ $50,000 / 1.15^7\)
= $19,448.26
Initial Cash Outflow = $7.5 million
Substituting the values into the PI formula:
PI = ($22,059,000 + $19,448.26) / $7.5 million
PI = 3.08
Therefore, the Profitability Index (PI) of the project is approximately 3.08.
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Which of the following internal controls has Jim implemented at his company if he hires an outside auditing firm to review the company's financial records? O Monitoring processes O Information and communication systems O Control environment O Risk assessment
Jim, the owner of the company, hired an outside auditing firm to review the company's financial records to assess whether the company's financial statements are fairly presented, whether there are any financial discrepancies, and whether there is any possibility of financial fraud.
The following internal controls have Jim implemented at his company:O Monitoring processes Information and communication systems Control environment Risk assessment monitoring processes are used to monitor the activities of employees, transactions, and other aspects of the company.
When there is an irregularity, this type of control helps to determine what caused it and how to prevent it from happening again. Monitoring processes also assist in the identification of fraud and errors.
In a company, information and communication systems enable people to communicate and transfer knowledge among departments. For this reason, information is critical in a company. Communication and information exchange must be consistent and transparent to have a successful audit.
The control environment is the overall atmosphere or culture in which people work and perform their responsibilities. Internal control systems are determined by the control environment. Control activities are influenced by control environmental factors, such as the business owner's management philosophy and operating style.
Risk assessment is a process of identifying, evaluating, and prioritizing potential threats to the organization's financial well-being. The company's risk management procedures should be constantly updated as conditions change in the organization. Risk assessment plays a crucial role in making sure that the company's goals are met efficiently and effectively.
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If the company estimates 4% of receivables to be uncollectible, the bad debt expense for 2022 would be: group of answer choices $4,720 $720 $4,000 $160 $4,800
If the Company estimates 4% of receivables to be uncollectible, the bad debt expense for 2022 would be $ 720 option B.
When a receivable is no longer recoverable as a result of a customer's inability to pay an existing debt owing to bankruptcy or other financial issues, a bad debt charge is recorded. Businesses that offer credit to their clients record bad debts as an allowance for doubtful accounts, sometimes referred to as a provision for credit losses, on their balance sheet.
A corporation records a credit to revenue and a debit to an account receivable when it completes a credit sale. There is no assurance that the business will get the money, which is the issue with this accounts receivable balance. A corporation can be entitled to money from a credit sale but never actually get it for any number of reasons.
Particulars Amount
Beginning balance of allowance for doubtful accounts $ 5,000
Less: Accounts written off $ -2,000
Add: Accounts reinstated $ 1,000
Unadjusted balance of allowance for doubtful accounts $ 4,000
Ending balance of allowance for doubtful accounts $ 4720
Less: Unadjusted balance of allowance for doubtful accounts $ -4000
Bad debts expense $720
Hence, the correct option is B $720.
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Complete question:
Use the following information to answer the next 3 questions: On January 1, 2022, a company's Accounts Receivable balance was $100,000, and the balance in the Allowance for Doubtful Accounts was a credit balance of $5,000. During 2022, the company recorded the following transactions: Credit Sales $130,000
Collections from customers $110,000
Accounts written-off $2.000
Collections on accounts previously written off $1,000
If the Company estimates 4% of receivables to be uncollectible, the bad debt expense for 2022 would be
A. $4,720 B. $720 C. $4,000 D. $160 E. $4,800
Resilience is an important characteristic on both personal and organisational levels during different types of crises" Evaluate this statement in terms of the meaning of resilience, the difference between individual and organisational resilience, and the 6 types of crises that affect enterprises, then reflect on the Airline industry to discuss the effects of COVID-19 and how the industry responded to such crisis.
Resilience is indeed an essential characteristic on both personal and organizational levels during various types of crises.
Resilience refers to the ability to bounce back, adapt, and recover from challenging situations or disruptions. It involves maintaining functionality, agility, and stability in the face of adversity.There is a distinction between individual and organizational resilience. Individual resilience pertains to the capacity of individuals to cope with stress, adversity, and change. It involves personal qualities like adaptability, emotional intelligence, and problem-solving skills. Organizational resilience, on the other hand, refers to the ability of an organization as a whole to withstand and respond effectively to crises. It involves factors such as robust systems and processes, effective leadership, clear communication, and the ability to adapt and learn from challenges.
There are six main types of crises that can affect enterprises:1. Natural disasters: These include events like earthquakes, hurricanes, floods, or wildfires that can disrupt operations, damage infrastructure, and pose safety risks.
2. Technological crises: These involve failures or disruptions in technology systems, such as cyberattacks, data breaches, or system malfunctions, which can result in financial losses, reputational damage, and service disruptions.3. Financial crises: These refer to economic downturns, market crashes, or financial bility that can lead to reduced consumer spending, decreased investment, and overall BUSINESS uncertainty.
4. Health crises: These encompass epidemics, pandemics, or public health emergencies, like the COVID-19 pandemic, which can severely impact industries, disrupt supply chains, and impose travel restrictions.5. Reputational crises: These occur when an organization faces negative publicity, scandals, or significant reputation damage due to unethical practices, product recalls, or public perception issues.
6. Leadership crises: These involve situations where organizations face leadership failures, conflicts, or changes that can undermine trust, stability, and overall performance.Taking the airline industry as an example, the COVID-19 pandemic had a profound impact on the sector. Travel restrictions, lockdowns, and reduced passenger demand significantly disrupted operations and revenue streams for airlines worldwide. However, the industry responded by demonstrating resilience on multiple fronts:
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Which of the following returns is the average of the possible returns weighted by the likelihood of those returns occurring? a. Efficient return. b. Expected return. c. Market return. d. Required return.
The answer to your question is b. Expected return. This term refers to the average of all possible returns, taking into account the likelihood of each return occurring.
What does this entail?In other words, it is a weighted average that considers both the potential gains and the probability of achieving them. Expected return is a crucial concept in finance and investing, as it helps investors to assess the potential profitability of different investment opportunities.
By calculating the expected return, investors can compare different investment options and choose the one that offers the best balance between risk and reward.
Therefore, understanding and calculating expected returns is essential for anyone who wants to make informed investment decisions.
Hence, option b. is correct.
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What is the best way to respond to a customer complaint? A. Listen to the customer, B. Overcompensate C. Ignore the customer. D. Respond aggressively.
Answer:
a
Explanation:
u should never let the customer know that they are wrong
The best way to respond to a customer complaint is listen to the customer. It comes under the consumer protection management. The correct option is (A).
What do you mean by Customer Complain?Customer complaints relate to when a firm does not deliver on its commitment and does not satisfy customer expectations in terms of the product or services. Every business's customers are its most important component.
Customer complaints provide your team the chance to engage in open dialogue with your clients.
These exchanges might make your clients feel like they are essential to your success.
Customer complaints give you important information about how well-trained your front-line staff is and how to make improvements.
Therefore, the best way to respond to a customer complaint is listen to the customer. It comes under the consumer protection management.
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What is earning interest on previously earned interest called?
Answer:
Compounding. Earning interest on previously earned interest plus the principal amount.
Explanation:
Earning interest on previously earned interest is called compounding. Thus, compounding is the correct term for this definition.
It refers to the process of reinvesting the accumulated interest back into the initial principal amount, allowing for exponential growth over time. With each compounding period, the interest is calculated not only on the original principal but also on the interest earned in previous periods.
This compounding effect leads to the gradual growth of the investment or savings. Compounding is a powerful concept in finance and can significantly enhance the growth of investments or savings over the long term. It is a key factor in various financial instruments such as savings accounts, bonds, and investment portfolios.
Thus, earning interest on previously earned interest is called compounding.
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explain any four consumer rights as stipulated in the CPA
It’s a bill that has/says that every person has four basic consumer rights. Which are -“the right to be informed, the right to choose, the right to safety, and the right to be heard. ”
Answer:
The right to be informed, the right to choose, the right to safety, and the right to be heard.
Explanation:
These rights received a lot of attention from the consumer movement, a movement to pass laws protecting consumers from unfair and unsafe business practices.
Why does investing in index funds usually result in better investment performance than investing in active funds?
Check all that apply:
Markets are very efficient. Index funds are more tax efficient. Index funds have much lower expense ratios. Active funds incur high trading expenses. Index funds are better at selecting securities
All the given options are correct - Investment performance is typically higher with index funds than with active funds.
Explain about the index funds?Index-tracking Even though they are proactively managed, which lowers operational costs, ETFs often have low expense ratios.Due to their low turnover ratio, or the proportion of a fund's holdings that were replaced in the prior year, index funds are tax-efficient.Your fees are directly correlated to the fund's costs, and because actively managed funds require a team experienced portfolio managers to run effectively, they have higher expense ratios that index funds. Index funds generally passively managed investments that follow an index, like the S&P 500, and are based on its performance.A few advantages of indexing are lower costs, a wide range of diversification, and fewer taxes.Thus, investment performance is typically higher with index funds than with active funds.
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"The first of Deming’s 14 Points discusses creating and
publishing to all employees a statement of the aims and purposes of
the company and the need for _____ to constantly demonstrate their
commitment
The first of Deming's 14 Points is one of the most important ones. It emphasizes the importance of creating and publishing a statement of the company's goals and purposes and the necessity of workers to demonstrate their commitment to them.
A company must have a statement of its goals and objectives, which should be clearly communicated to all employees. The statement must explain what the company's purpose is and how it will achieve its objectives. It must be clear and concise, as well as easy to understand.
This statement must be made available to all workers, who must read it and understand it. Workers must demonstrate their commitment to the company's goals and objectives by following the company's policies and procedures, and by working together as a team to achieve the company's objectives.
Workers must understand the importance of their roles and how they contribute to the company's success. They must also be aware of the impact of their work on the company's overall performance.
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Assume the total cost of a college education will be $325,000 when your child enters college in 18 years. You presently have $85,000 to invest. What annual rate of interest must you earn on your investment to cover the cost of your child's college education? Input area: (Use cells A6 to B8 from the given information to complete this question.)
Given information:Amount of total cost of a college education in 18 years = $325,000 Amount available to invest now = $85,000. Therefore, you would need to earn an annual interest rate of 6.88% to cover the cost of your child's college education.
To find:Annual rate of interest to cover the cost of child's college educationWe will use the Future Value formula to find the required rate of interest.
The formula for Future Value (FV) is:FV = PV(1 + r)n
Where,FV = Future Value
PV = Present Value (amount available to invest)
R = Annual Interest rate
N = Number of years
From the given information, we can find the number of years:N = 18 years
Now, we need to find the annual interest rate that will make the present value of $85,000 grow to $325,000 in 18 years.Substituting the given values in the formula:
325,000 = 85,000(1 + r)181 + r
= (325,000 / 85,000)^(1/18)1 + r
= 1.0687874r = 0.0688 or 6.88%
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Which statement best summarizes the law of demand ?
A. Sellers only supply goods that are in high demand from buyers.
B. Buyers are more likely to buy a products that is supplied in large quantities.
C. Sellers can easily substitute a product in high demand with another product.
S. Buyers are more interested in purchasing products as those products decline in price.
Thank you :)
Buyers are more likely to buy a product that is supplied in large quantities.
What is the law of demand?The law of demand states that the quantity purchased varies inversely with the price. In other phrases, the better the rate, the lower the quantity demanded.
What are the types of demand?Individual and Market DemandOrganization and Industry DemandAutonomous and Derived DemandDemand for Perishable and Durable GoodsShort-term and Long-term DemandLearn more about the law of demand here https://brainly.com/question/24019366
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QUESTION 2 of 10: Which of the following would be indirect competition for a candy store?
a) Walmart, which sells candy
b) A hard candies boutique shop
c) A candy superstore
d) None of the above
Answer:
A, Walmart that sells candy
Explanation:
Walmart does not specalize in candy, but sells, making it indirectly a competitor.
The indirect competition for a candy store among the following is Walmart, which sells candy. Thus the correct option is A.
What is competition in business?The type of race or contest between two organizations that offered similar products with similar rates and quality to their customers or have common target customers is referred to as business competitors.
The business competitors are both direct and indirect. Direct competitors are those who directly compete in the same market whereas indirect competitors are those who are not present in a similar market but tehir offerings are sometimes found common.
In the given Option, Walmart is referred to as indirect competition as it sells candy whereas direct competition is considered as shops which are having expertise In Candy with variety and taste.
Therefore, option A is appropriate.
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Hasty Manufacturing orders 86,000 annually. They order 6 times a year. They hold 6,468 units in safety stock. The minimum number of units Hasty Manufacturing holds throughout the year is:__________
Answer:
6,468 units
Explanation:
Based on the information given we were told that the Manufacturing company orders 86,000 per year which they order 6 times a year which means that if the manufacturing company HOLD 6,468 units in safety stock. The MINIMUM number of units the Manufacturing company will HOLDS throughout the year is:6,468 units which was HOLD in Safety stock.
Which condition is a result of open competition in a free market system?
A. Poor customer service
B. Government regulation
C. Higher prices
D. Higher quality goods
A result of open competition in a free market system is higher quality goods (option D).
What is the result of open competition?
Competition is when there are many producers operating in a particular industry. Competition is high in purely competitive markets and low in a monopoly. This is because in a pure competition, there are many producers while there is only one producer in a monopoly.
Due to the high level of competition in an industry, prices would be more likely to be low. This is because producers would want to attract more consumers by fairly pricing their goods. Also, producers would want to offer good customer service in order to retain consumers as there are many competing producers in the market. High quality goods are also a way to attract an retain customers.
A free market system is a market system where prices are set by the forces of demand and supply. There is no government regulation in this type of market.
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what does the art of scientific thinking include microeconomics
Scientific thinking skills include observing, questioning, predicting, testing ideas, documenting data, and communicating ideas.
Learning skills that support scientific thinking is an important part of early childhood development. As children grow up, scientific thinking really becomes an art. Knowing logically what skills to use and how to proceed when a problem arises helps you understand better.
Scientific thinking skills include observing, questioning, predicting, testing ideas, documenting data, and communicating ideas. As parents and educators, we encourage experimentation, exploration, scientific games and practices to model scientific thinking and lay a solid foundation for young children's future application of the scientific investigative process. Michigan State University Extension recommends the ideas to promote the development of scientific thinking in young children.
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Demand for a popular athletic shoe is nearly constant at 800 pairs per week for a regional division of a national retailer. The cost per pair is $54. It costs $72 to place an order, and annual holding costs are charged at 22% of the cost per unit. The lead time is two weeks. a. What is the EOQ? (3 points) b. What is the reorder point? (2 points) c. What is the cycle time? (2 points) d. What is the total annual cost? ( 3 points)
The Economic Order Quantity (EOQ) is approximately 225 pairs. The total annual cost is approximately $2,112.22.
a. The EOQ (Economic Order Quantity) can be calculated using the following formula:
EOQ = √((2 * D * S) / H)
Where:
D = Annual demand = 800 pairs/week * 52 weeks = 41,600 pairs
S = Ordering cost per order = $72
H = Holding cost per unit = 22% of $54 = $11.88
Plugging in the values:
EOQ = √((2 * 41,600 * 72) / 11.88)
= √(599,0400 / 11.88)
≈ √50,422.54
≈ 224.61
Therefore, the Economic Order Quantity (EOQ) is approximately 225 pairs.
b. The reorder point represents the inventory level at which a new order should be placed to avoid stockouts. It can be calculated using the following formula:
Reorder Point = (Demand per day * Lead time in days) + Safety stock
Since the demand is given as 800 pairs per week, the demand per day is 800/7 ≈ 114.29 pairs per day. The lead time is two weeks, so the reorder point can be calculated as:
Reorder Point = (114.29 * 14) + Safety stock
The safety stock depends on the desired level of risk and the variability of demand during lead time. Since no information is provided about the safety stock, we can assume it to be zero in this case.
Reorder Point = (114.29 * 14)
= 1600 pairs
Therefore, the reorder point is 1600 pairs.
c. The cycle time represents the time between placing two consecutive orders. It can be calculated using the following formula:
Cycle Time = EOQ / Demand per week
Since the EOQ is approximately 225 pairs and the demand per week is 800 pairs, the cycle time can be calculated as:
Cycle Time = 225 / 800
≈ 0.281 weeks
Therefore, the cycle time is approximately 0.281 weeks.
d. The total annual cost can be calculated by summing the ordering costs and holding costs:
Total Annual Cost = (D / EOQ) * S + (EOQ / 2) * H
Plugging in the values:
Total Annual Cost = (41,600 / 225) * 72 + (225 / 2) * 11.88
≈ 774.22 + 1338
≈ $2,112.22
Therefore, the total annual cost is approximately $2,112.22.
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The past few months has seen a dramatic increase in the demand for vehicles. As cities begin to reopen, households are looking to purchase new cars to drive to the office and go on road trips. However, as noted in a previous post, supply chain disruptions have led to a shortage of vehicles in the new car market. As a result, consumers are looking to purchase used vehicles. As a general rule, most economists will tell you that buying a slightly used car is the better financial decision since the value of a car depreciates significantly in the first two years. However, the current market is completely upside down. Demand is currently so high for used vehicles that prices have risen dramatically, According to the US Bureau of Labor Statistics, the average price of a used car or truck has risen by 28 percent over the last year According to a recent analysis by SeeCars.com, this rise in used car prices has led to a scenario where they identified 16 vehicles that cost more used than new. In percentage terms, used Honda Civics top the list selling for 24 percent more than new Honda Civics. In level terms, used Toyota 4Runners are most profitable, selling for $8643 more than a new 4Runner. As the economy begins reopening, it is likely that we will see similar outcomes in other markets, particularly among durable goods. There have already been reports of shortages for air conditioners, refrigerators and washers and dryers, and even swimming pools. Those with enough foresight to predict which items will be scarce in the near future stand to make a hearty profit, like the high school student who made $1.7 million last year selling items like Pokemon cards and patio heaters. Discussion/Questions: 1. Draw two supply and demand graphs: one for the new car market, the other for the used car market. Next, show how a decrease in supply affects the equilibrium price and quantity for new cars. Then, show how the change in price for new cars affects the supply and/or demand for used cars, and the change in equilibrium price and quantity of used cars.
A decrease in supply of new cars results in higher prices and lower quantities, which in turn drives up the demand for used cars, increasing their equilibrium price and quantity.
In the current market scenario, the demand for vehicles has increased significantly as cities reopen and households seek to purchase new cars. Supply chain disruptions, however, have led to a shortage of vehicles in the new car market, pushing consumers towards used vehicles. The high demand for used cars has caused their prices to rise dramatically.
To visualize these changes, we can draw two supply and demand graphs: one for the new car market and the other for the used car market.
1. New car market graph: In this graph, you'll have the supply curve (S1) and demand curve (D1) for new cars. Due to supply chain disruptions, the supply curve shifts to the left (S2). This shift represents a decrease in supply, which leads to a higher equilibrium price (P2) and a lower equilibrium quantity (Q2) for new cars.
2. Used car market graph: As the price of new cars increases, the demand for used cars also rises. The demand curve in the used car market shifts to the right (D2), causing an increase in both equilibrium price (P3) and equilibrium quantity (Q3) of used cars.
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space mgmt =
space maintenance = space regaining =
Space management refers to the process of efficiently and effectively managing physical spaces, such as buildings, offices, and other facilities.
This can involve tasks such as planning and allocating space, scheduling maintenance and repairs, managing leases and contracts, and optimizing space usage to meet organizational needs.
Space maintenance refers to the ongoing efforts to keep physical spaces in good condition and working order. This can include tasks such as cleaning, repairs, upgrades, and general upkeep to ensure that the space remains safe and functional for its intended purposes.
Space regaining refers to the process of reclaiming or repurposing physical spaces that may have become unused or underutilized.
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Which dimension of empowerment would most likely be experienced by people who feel they have some active control over the environment and a level of accountability?
Dimension of employee empowerment experienced by people who feel they have some active control over the environment is Feeling of impact.
The process of giving employees in an organization the power, authority, responsibility, resources, and freedom to make decisions and solve work-related problems is known as empowerment. They are given sufficient authority and resources to take such initiatives and decisions.
Employee empowerment encourages them to reach their full potential. On the other hand, empowerment entails relinquishing control over employees and allowing each employee to make decisions, set goals, achieve results, and receive rewards. It entails preparing a person to manage on his or her own. It is a process that assists the right people at the right levels in making the right decision for the right reasons.
Feeling of impact - Empowered employees see themselves as active participants in the organization and believe they have influence over key strategic, administrative, and operational decisions.
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Jim has excellent oral and written communication skills. He enjoys public speaking and wants a job in which he will interact with the press and other communication professionals. Which career would allow him to use his skills, talents, and abilities the most?
Answer:
Public Relations Specialist
Explanation:
Considering you do not have answer choices, I would answer that the best career for Jim would be Public Relations Specialist.
When managers in oligopolistic firms make decisions that affect output or price, they must (1)
A) also be sure they erect barriers to entry to prevent new entrants from affecting their plans.
B) anticipate the reactions of their rivals and plan accordingly.
C) register with the Antitrust Division of the Department of Justice.
D) inform the regulators of their industry about their plans.
When managers in oligopolistic firms make decisions that affect output or price, they must anticipate the reactions of their rivals and plan accordingly. The correct option is B.
This is because, in an oligopolistic market, there are only a few dominant firms that have a significant influence on the market. Therefore, any decision made by one firm is likely to have an impact on its rivals. Thus, firms in an oligopolistic market need to consider the likely reactions of their rivals and plan accordingly to ensure that their decisions do not lead to significant negative consequences for their business.
This is important to maintain their market position and achieve their desired outcomes.
Managers in oligopolistic enterprises must predict the responses of their competitors and make plans appropriately when making decisions that affect output or price. The correct option is B.
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in year 1, manufacturing costs as a percentage of sales are assumed to have a pert distribution with a minimum value of 65 percent, a maximum value of 90 percent, and a most likely value of 80 percent. thereafter it is assumed that manufacturing cost will be the same percentage of sales as year 1. fixed cash cost (rent) is expected to be $100,000 in the first year. however, the fixed cash cost is expected to grow at the expected inflation rate at 4 percent a year
The expected fixed cash cost (rent) in Year 1 is $100,000. This amount is expected to grow at a rate of 4% per year due to inflation. Thus, the fixed cash cost (rent) in Year 2 is expected to be $104,000. This trend is expected to continue in subsequent years.
The fixed cash cost for the second year can be calculated as follows:
Fixed Cash Cost for Second Year = $100,000 x (1+ 4%) = $104,000.
In economics, inflation refers to a well-known growth in the expenses of goods and services in an economic system. whilst the general fee stage rises, every unit of forex buys fewer goods and offerings; consequently, inflation corresponds to a reduction in the purchasing energy of cash. the alternative to inflation is deflation, a sustained lower in the widespread rate level of goods and offerings. The common degree of inflation is the inflation fee, the annualized percent change in a popular charge index. As expenses no longer grow at an equal charge, the client price index (CPI) is frequently used for this reason. The employment cost index is also used for wages in the USA.
Most economists agree that high stages of inflation in addition to hyperinflation—that have severely disruptive consequences on the real financial system—are a result of chronic excessive growth within the cash supply. Views on low to slight charges of inflation are extra numerous. Low or moderate inflation can be attributed to fluctuations in actual calls for items and offerings, or adjustments in to-be-had supplies which include all-through scarcities.
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Empathy involves _____.
feeling pity
active listening
feeling sorry
written communication
Answer:
active listening
Explanation:
Empathy involves making every effort to understand others FROM THEIR POINT OF VIEW. It means communicating an understanding of how THAT PERSON feels in a situation, NOT how YOU would feel in that situation.
Empathy is defined as “the feeling that you understand and share another person's experiences and emotions” or “the ability to share someone else's feelings”. Feeling sorry for a person automatically generates feelings of pity, which is not helpful in situations where people are in pain.
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Which of the following is an example of a GAAP standard?
Ensuring financial statements are accurate and complete
Ensuring products meet all quality standards
Ensuring the company makes a profit
Ensuring the safety of all employees
Answer:
A. Ensuring financial statements are accurate and complete
Explanation:
GAAP stipulates how to file income statements, what financial periods to include, and how to report cash flow.
The example of a GAAP (Generally Accepted Accounting Principles) standard is: Ensuring financial statements are accurate and complete.
GAAP refers to the standardized guidelines and principles that govern the preparation and presentation of financial statements by companies. Ensuring that financial statements are accurate and complete is a fundamental GAAP principle.
It involves accurately recording financial transactions, adhering to proper accounting methods, and presenting financial information in a transparent and consistent manner. This helps provide reliable and comparable financial information to stakeholders, such as investors, creditors, and regulators, facilitating better decision-making and assessing the financial health of a company.
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Among other concerns, when seeking to achieve the best coverage of the target market, marketing executives will pay attention to ________, the number of stores in a geographical area.
When seeking to achieve the best coverage of the target market, marketing executives will pay attention to "store density," the number of stores in a geographical area.
Here's a step-by-step explanation:
1. Analyze the target market: Marketing executives will first identify and analyze the target market they want to reach, considering factors like demographics, psychographics, and purchasing behavior.
2. Determine the desired coverage: Based on the target market analysis, they will decide the extent of market coverage they want to achieve. This could be intensive (widespread distribution), selective (limited distribution), or exclusive (very limited distribution).
3. Assess store density: Marketing executives will examine the store density in the target geographical area. This means looking at the number of stores that currently exist and assessing their potential to reach the target market effectively.
4. Plan the distribution strategy: With the store density in mind, marketing executives will develop a distribution strategy that aims to achieve the desired coverage in the target market. This may involve expanding to new locations, partnering with different retailers, or focusing on specific channels.
5. Monitor and adjust: Lastly, marketing executives will continuously monitor the performance of their distribution strategy, making adjustments as needed to optimize their market coverage and achieve their overall marketing objectives.
By considering store density, marketing executives can ensure they are effectively reaching their target market and making the most of their marketing efforts.
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hich of the following explains why the terms current and short term are used interchangeably when discussing assets and liabilities?
These assets and liabilities are usually replaced by new assets and liabilities within three or four months, and always within a year.
The terms "current" and "short-term" are used interchangeably when discussing assets and liabilities because they both refer to a relatively short period of time.
The statement that "these assets and liabilities are usually replaced by new assets and liabilities within three or four months, and always within a year" is not entirely accurate. While it's true that current assets and liabilities are expected to be converted or settled within a relatively short period of time, it's not necessarily the case that they will be replaced by new assets and liabilities within three or four months.The reason why the terms "current" and "short-term" are used interchangeably when discussing assets and liabilities is that they both refer to a similar time frame. Current assets and liabilities are those that are expected to be converted or settled within a year or less. The use of these terms helps to simplify financial statements and make them more easily comparable across different companies and industries.It's important to note that not all current assets and liabilities are the same. They may have different characteristics, risks, and returns. For example, cash and accounts receivable are both current assets, but they have different risk profiles. Similarly, accounts payable and short-term debt are both current liabilities, but they may have different interest rates and repayment terms. However, it's important to understand the specific characteristics of each asset or liability being discussed in order to properly evaluate its impact on a company's financial health.
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What is interpersonal?
Answer:
having the ability to relate to and connect with others
What is generally TRUE about earning an income?
A. Personal income is not related to the changes in the existing national economy.
B. If a particular career experiences a shortage of workers, companies will offer workers lower salaries.
C. Someone with greater skills in a particular area will often command a bigger income than those with less experience.
D. A person’s level of education will usually not impact their possible earnings in their career.
Answer:
C. Someone with greater skills in a particular area will often command a bigger income than those with less experience.
Explanation:
maxwell manufacturing issued $480,000, 12-year, 8% bonds at 107.00. what is the issue price of these bonds?
The issue price of the bonds can be calculated using the following formula:
Issue price = Face value of the bonds * Selling price percentage
The face value of the bonds is $480,000, and the selling price percentage is 107.00%. To convert the selling price percentage to decimal form, we divide it by 100. So:
Selling price percentage = 107.00 / 100 = 1.07
Now we can substitute these values into the formula:
Issue price = $480,000 * 1.07 = $514,560
Therefore, the issue price of these bonds is $514,560. This means that investors are willing to pay more than the face value of the bonds, because the interest rate is higher than the prevailing market rate.
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Which of the following is most likely to produce scientific evidence about a theory?
a. an economist employed by the AFL/CIO doing research on the impact of trade restrictions on workers' wages
b. a radio talk show host collecting data on how capital markets respond to taxation
c. a tenured economist employed at a leading university analyzing the impact of bank regulations on rural lending
d. a lawyer employed by General Motors addressing the impact of air bags on passenger safety
When the economist is employed for the university so it affects the bank regulations. This represent the generation of the scientific evidence related to the theory.
The following information should be considered
The tenured economist should give scientific proof related to the theory. In this, the primary data is collected & then transform into the theoryIn option a, only do the research. The rest of the options does not give scientific evidence.Therefore we can conclude that option c is correct.
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