A factory employs 10 people and has 2 machines able to produce and pack 300 glass bottles each day. The same employees and machines could instead be used in the same factory to make and pack 400 glass jars each day. The same 10 employees used to work on a farm and were very skilled at growing and harvesting corn until the farm was sold and the factory was built on the farmland. Compared to the farm the factory is noisy and pollutes the air with smoke. What is the opportunity cost to the factory owners of using the 10 employees and 2 machines to make 300 bottles each day? What is the opportunity cost to the employees of working in the factory? What is the opportunity cost to society of the factory?

Answers

Answer 1

The best way to harvest corn is to hold the ear firmly, pull down, and twist it husk and all from the stalk. The ear should come off easily. At this time, the husk and silk can be removed from the cob, unless you plan to grill the cobs with the husks on.

What is process of the harvesting?

The opportunity cost to the factory owners of using the 10 employees and 2 machines to make 300 bottles each day is the potential revenue and profits that could be generated if they used the same resources to make 400 glass jars each day instead. This means that the factory owners are sacrificing potential profits in order to produce a lower quantity of bottles.The opportunity cost to the employees of working in the factory is the potential income and job satisfaction they could have had if they continued to work on the farm and use their skills to grow and harvest corn. They are sacrificing their passion for farming and working in a peaceful environment in exchange for a job in a noisy and polluted factory.The opportunity cost to society of the factory is the potential negative impact on the environment and the health of people living nearby. The pollution generated by the factory could harm the air quality and cause health issues for the community. Additionally, the farmland that was previously used for agriculture is now being used for industrial purposes, which could lead to food scarcity and higher food prices. Overall, the factory's operations could have a negative impact on the well-being of the society.

to know more about the harvesting corn:

https://brainly.com/question/452414

#SPJ11


Related Questions

any contractual obligation that results in a flow of money expenditures from an enterprise to resource suppliers. those payments for resources that involve an obvious cash transaction. the income the firm must provide to resource suppliers to attract resources from alternative uses. the opportunity cost of using a resource already owned by the firm.

Answers

Contractual obligations involve a flow of money from the enterprise to the suppliers in exchange for the resources provided. In such transactions, the payments made by the business to the suppliers involve an obvious cash transaction.

The income that the firm must provide to resource suppliers is known as the cost of capital, and it is the amount of money required to attract resources from alternative uses. This cost includes not only the payments made to resource suppliers but also the opportunity cost of using a resource already owned by the firm.

Overall, contractual obligations that involve a flow of money from a business to resource suppliers are a crucial aspect of financial management for enterprises. By managing these obligations effectively, businesses can ensure that they attract the resources they need to operate efficiently and achieve their goals.

To learn more about contractual obligations, visit: https://brainly.com/question/17218270

#SPJ11

20 pts Question 4 A bond has a maturity of 20 years, a coupon rate of 6% (paid annually), and a par value of $1,000. The risk-free rate is 1.25%. If you think the appropriate risk premium is 5%, what is the fair price of the bond? (Answer in dollars, let Canvas do the rounding) Question 5 20 pts The bond is in fact trading at $871. What is the risk premium on the bond according to the market? (Answer with a numerical value, such as 0.011, not 1.1%. Do not round, let Canvas do the rounding)

Answers

The present value of the bond can be calculated using the formula:

PV = (C / r) x (1 - (1 / (1 + r)^n)) + (F / (1 + r)^n)

Where:

PV = present value of the bond

C = annual coupon payment

r = discount rate (risk-free rate + risk premium)

n = number of years to maturity

F = face value (par value) of the bond

Substituting the given values, we get:

PV = (60 / 0.0625) x (1 - (1 / 1.0625^20)) + (1000 / 1.0625^20)

Therefore, the fair price of the bond is $1,029.16.

The risk premium on the bond according to the market can be calculated as follows:

Risk premium = (coupon payment / market price) - yield to maturity

Substituting the given values, we get:

Risk premium = (60 / 871) - (1.0625^20 - 1) / (2 x (1.0625^20 + 1))

Therefore, the risk premium on the bond according to the market is 6.97%.

For more questions like Bond click the link below:

https://brainly.com/question/17405470

#SPJ11

which of the following describes a global rfid challenge?a.foreign firms will not use global rfid since the field communication standards tend to vary from country to country.b.rfid tags are passive in undeveloped countries.c.globally, the rfid industry does not have its own uhf spectrum allocation.d.rfid can track outbound shipments only.

Answers

Option C describes a global RFID challenge, i.e., globally, the RFID industry does not have its own UHF spectrum allocation.

RFID (Radio Frequency Identification) technology is used for tracking and identifying objects using radio waves. One of the challenges faced by the global RFID industry is the lack of a dedicated UHF (Ultra-High Frequency) spectrum allocation. As a result, RFID tags operate in different frequency bands in different countries, leading to problems with interference and inconsistent performance.

The lack of a dedicated spectrum allocation also limits the development of the industry and the widespread adoption of RFID technology, as it makes it difficult for RFID technology to be used seamlessly across borders. This is a significant challenge that the global RFID industry must address to fully realize the potential benefits of RFID technology.

Option C is answer.

You can learn more about RFID (Radio Frequency Identification) at

https://brainly.com/question/29554696

#SPJ11

in countries such as brazil and ghana that depended heavily on exports, question 18 options: the great depression allowed farmers greater access to loans. the great depression increased the demand for raw materials. the great depression had no impact. the great depression caused a significant drop in commodity prices.

Answers

The correct answer is option 4. The Great Depression caused a significant drop in commodity prices. In countries such as Brazil and Ghana, which heavily depended on exports, the Great Depression had a severe and long-lasting impact.

Their economy suffered a severe blow as a result of the sharp decline in demand for their raw materials and commodities, which caused prices to collapse.

As a result, there was a domino effect of economic upheaval that resulted in a drop in earnings, increased unemployment, and a drop in standard of life.

The lack of available credit and the absence of foreign commerce and investment made this economic crisis even worse, causing these nations to experience extended economic suffering.

Complete Question:

In  countries  such as Brazil and Ghana that depended heavily on exports, how did the Great Depression impact them?

1. The Great Depression allowed farmers greater access to loans.

2. The Great Depression increased the demand for raw materials.

3. The Great Depression had no impact.

4. The Great Depression caused a significant drop in commodity prices.

To learn more about unemployment visit:

https://brainly.com/question/30313870

#SPJ4

on december 18, intel receives $240,000 from a customer toward a cash sale of $2.4 million for computer chips to be completed on january 23. the computer chips had a total production cost of $1.4 million. what journal entries should intel record on december 18 and january 23? assume intel uses the perpetual inventory system.

Answers

On December 18, Intel would record the following journal entry to recognize the customer's prepayment:

Debit: Cash $240,000

Credit: Unearned Revenue $240,000

On January 23, when the computer chips are completed and delivered, Intel would record the following journal entry to recognize the revenue and cost of goods sold:

Debit: Unearned Revenue $2,160,000 (2.4 million - 240,000)

Credit: Sales Revenue $2,160,000

Debit: Cost of Goods Sold $1,400,000

Credit: Inventory $1,400,000

The first entry records the receipt of cash from the customer, which is recorded as unearned revenue since the chips have not yet been delivered. The second entry recognizes the revenue and the cost of goods sold associated with the sale, based on the production cost of the chips.

The unearned revenue account is debited for the amount of the prepayment that is now earned and the sales revenue account is credited for the total sale amount. The inventory account is debited for the cost of producing the goods and the cost of goods sold account is credited for the same amount.

To know more about Computer chips:

https://brainly.com/question/30135784

#SPJ4

if you have a complaint about a bank in connection with any of the federal credit laws, who should you contact?

Answers

If you have a complaint about a bank in connection with any of the federal credit laws, you should contact the Consumer Financial Protection Bureau (CFPB).

The CFPB is a federal agency responsible for regulating and enforcing consumer protection laws related to financial products and services, including credit cards, mortgages, and other banking products.

You can file a complaint with the CFPB online, by phone, or by mail. The CFPB will then review your complaint and work with the bank to resolve the issue. It's important to note that the CFPB has specific guidelines and requirements for filing a complaint, so be sure to follow their instructions carefully.

The Consumer Financial Protection Bureau (CFPB) was established in 2011 as part of the Dodd-Frank Wall Street Reform and Consumer Protection Act. The agency's mission is to protect consumers from unfair, deceptive, or abusive practices related to financial products and services.

If you have a complaint about a bank in connection with a federal credit law, such as the Truth in Lending Act, the Fair Credit Reporting Act, or the Equal Credit Opportunity Act, you can file a complaint with the CFPB. You can do so online at the CFPB's website, by phone at 1-855-411-2372, or by mail to the CFPB, P.O. Box 4503, Iowa City, Iowa 52244.

learn more about Consumer Financial Protection Bureau here:

https://brainly.com/question/30117609

#SPJ11

Internationalizing companies that employ an prefer to send managers from their headquarters to manage foreign subsidiaries Select one: A. geocentric staffing model B. transnational staffing model C. ethnocentric staffing model D. polycentric staffing model

Answers

Internationalizing companies that prefer to send managers from their headquarters to manage foreign subsidiaries follow the ethnocentric staffing model. The correct answer is option C.

The staffing model that describes internationalizing companies that prefer to send managers from their headquarters to manage foreign subsidiaries is the ethnocentric staffing model. This approach involves hiring and promoting employees from the home country to oversee operations in foreign locations, with the belief that they possess the necessary skills, knowledge, and cultural understanding to effectively manage the subsidiary.

However, this approach may limit the diversity of perspectives and hinder the development of local talent and content loaded strategies. Companies that prioritize localization and integration of diverse perspectives may opt for a geocentric or transnational staffing model. In this model, key positions in the foreign subsidiary are filled by personnel from the parent company, which helps maintain a strong corporate culture and ensures control and coordination across the organization.

To know more about ethnocentric staffing model, refer here:

https://brainly.com/question/30038252#

#SPJ11

Ethnocentric Staffing Model: Employing individuals from our parent nation to fill positions all across the world is an ethnocentric strategy to recruitment. Hence (d) is the correct option.

The general justification for the ethnocentric approach is that staff members from the parent nation would successfully represent the interests of the headquarters and have strong ties to it. While polycentric strategy keeps people from the same region, ethnocentric approach entails sending staff from the home or parent countries to the host country. Ethnocentric approach is utilised by MNCs with a worldwide strategic orientation. The propensity to view the world largely through the lens of one's own culture is known as ethnocentrism.

To know more about Ethnocentric Staffing Model, click here:

https://brainly.com/question/29970843

#SPJ4

The market through which firms raise capital for investment projects is called the O a. Secondary market O b. Derivatives market O c. Primary market O d. Bond Market O e. Stock market

Answers

The market through which firms raise capital for investment projects is called the primary market (option c).

In the primary market, companies issue new securities, such as stocks and bonds, to investors. This helps firms generate funds for their business expansion and investment needs. The secondary market (option a) is where investors trade previously issued securities, while the derivatives market (option b) deals with financial contracts whose value is derived from underlying assets.

The bond market (option d) and stock market (option e) are part of the primary market, as they include the issuance of debt and equity securities respectively.

For more such questions on primary market , click on:

https://brainly.com/question/17168396

#SPJ11

what role does the us government play with respect to market competition? group of answer choices policing anticompetitive behavior and prohibiting contracts that restrict competition preserving competition by regulating price and/or quantity of output intervening in the price and output decision of businesses maintaining abundant government-owned firms to ensure consumer friendly pricing

Answers

The role of the US government with respect to market competition is "policing anticompetitive behavior and prohibiting contracts that restrict competition" (Option a).

The government enforces antitrust laws that prohibit mergers or acquisitions that would create a monopoly or harm competition. It also investigates and punishes anticompetitive behavior, such as price fixing or monopolization, to ensure that the market remains fair for all participants. The government may also regulate certain industries to promote competition, such as setting standards for product safety or requiring disclosure of information to consumers.

However, it generally does not intervene in the price and output decisions of businesses or maintain government-owned firms for consumer-friendly pricing. The goal of the government's role in market competition is to promote competition and prevent abuses of market power, while allowing market forces to determine prices and output levels.

Option a is answer.

You can learn more about antitrust laws at

https://brainly.com/question/13800256

#SPJ11

on february 1, a customer's account balance of $3,400 was deemed to be uncollectible. what entry should be recorded on february 1 to record the write-off assuming the company uses the allowance method?

Answers

Answer: To record the write-off of a customer's account balance of $3,400 on February 1 using the allowance method,  following journal entry should be made:

1. Debit "Allowance for Doubtful Accounts" for $3,400.
2. Credit "Accounts Receivable" for $3,400.

This entry reduces both the Allowance for Doubtful Accounts and Accounts Receivable by the uncollectible amount, maintaining the accuracy of your financial records.

What is Allowance for Doubtful Accounts? These accounts are contra accounts( i.e., where entry is recorded when debit and credit affect the same parent account, resulting in net zero effect on account), that nets against the total receivable presented on balance sheet to reflect only the amount that is expected to be paid. It estimates the percentage of accounts receivable that are expected to be uncollectible. Although, the actual payment behavior of customers may differ from the estimate.

Learn more about Doubtful accounts and Journal Entries: https//brainly.com/question/31519410

#SPJ11

Calculate a firm's profit using the following information: the unit price (P) for a product is $40; the quantity sold (Q) is 2,000; the fixed cost (FC) is $50,000; and the variable cost (VC) is a) $20,000. b) $10,000. c) $50,000. d) $110,000. e) $150,000

Answers

It is given that firm's unit price for product is $40 with a sale os 2000 units. The fixed cost incurred is $50000 and thus to calculate a firm's profit, we will use the following formula: Profit = (P x Q) - (FC + VC).

Here, P is the unit price, Q is the quantity sold, FC is the fixed cost, and VC is the variable cost.

a) With a variable cost of $20,000:

Profit = ($40 x 2,000) - ($50,000 + $20,000) = $80,000 - $70,000 = $10,000

b) With a variable cost of $10,000:

Profit = ($40 x 2,000) - ($50,000 + $10,000) = $80,000 - $60,000 = $20,000

c) With a variable cost of $50,000:

Profit = ($40 x 2,000) - ($50,000 + $50,000) = $80,000 - $100,000 = -$20,000 (loss)

d) With a variable cost of $110,000:

Profit = ($40 x 2,000) - ($50,000 + $110,000) = $80,000 - $160,000 = -$80,000 (loss)

e) With a variable cost of $150,000:

Profit = ($40 x 2,000) - ($50,000 + $150,000) = $80,000 - $200,000 = -$120,000 (loss)

In summary, the firm's profit for each variable cost scenario is: a) $10,000; b) $20,000; c) -$20,000 (loss); d) -$80,000 (loss); e) -$120,000 (loss).

To know more about fixed and variable cost, visit https://brainly.com/question/14872023

#SPJ11

I have 3 investment portfolios with 4 types of investments: stocks, bonds, t-bills, and hard assets/real estate. I am having a hard time calculating the weighted average and figuring out for each portfolio if the asset allocation is helping it or hurting it.

Answers

To calculate the weighted average of your investment portfolios, you need to determine the percentage of each type of investment in each portfolio and multiply it by the corresponding rate of return. Then, you can add up the products to get the weighted average rate of return for each portfolio.

To determine if the asset allocation is helping or hurting each portfolio, compare the actual rate of return with the expected rate of return based on the desired asset allocation.

If the actual rate of return is higher than expected, the asset allocation is helping the portfolio. If it's lower, the allocation is hurting the portfolio.

B. To calculate the weighted average rate of return for each portfolio, follow these steps:

Determine the percentage of each type of investment in the portfolio.

Multiply each percentage by the corresponding rate of return for that investment.

Add up the products to get the weighted average rate of return for the portfolio.

For example, if Portfolio 1 has 40% stocks with a 10% rate of return, 30% bonds with a 5% rate of return, 20% t-bills with a 2% rate of return, and 10% real estate with a 7% rate of return, the calculation would be:

(0.40 x 0.10) + (0.30 x 0.05) + (0.20 x 0.02) + (0.10 x 0.07) = 0.057 or 5.7%

To determine if the asset allocation is helping or hurting the portfolio, compare the actual rate of return (5.7%) with the expected rate of return based on the desired asset allocation.

If the desired asset allocation was, for example, 50% stocks with a 10% rate of return, 20% bonds with a 5% rate of return, 20% t-bills with a 2% rate of return, and 10% real estate with a 7% rate of return, the expected rate of return would be:

(0.50 x 0.10) + (0.20 x 0.05) + (0.20 x 0.02) + (0.10 x 0.07) = 0.069 or 6.9%

Since the actual rate of return (5.7%) is lower than the expected rate of return (6.9%), the asset allocation for Portfolio 1 is hurting its performance. Repeat this process for each portfolio to determine if their asset allocations are helping or hurting their performance.

For more questions like Investment click the link below:

https://brainly.com/question/15105766

#SPJ11

Suppose a stock had an initial price of $61 per share, paid a dividend of $1.40 per share during the year, and had an ending share price of $69.
Requirement 1:
Compute the percentage total return. (Do not round intermediate calculations. Enter your answer as a percentage rounded to 2 decimal places (e.g., 32.16).)
Percentage total return: %
Requirement 2:
What was the dividend yield? (Do not round intermediate calculations. Enter your answer as a percentage rounded to 2 decimal places (e.g., 32.16).)
Dividend yield %
Requirement 3:
What was the capital gains yield? (Do not round intermediate calculations. Enter your answer as a percentage rounded to 2 decimal places (e.g., 32.16).)
Capital gains yield %

Answers

Suppose a stock had an initial price of $61 per share, paid a dividend of $1.40 per share during the year, and had an ending share price of $69.

Requirement 1: Compute the percentage total return.
Step 1: Calculate the capital gain by subtracting the initial price from the ending price.
Capital Gain = $69 - $61 = $8

Step 2: Calculate the total return by adding the capital gain and the dividend.
Total Return = Capital Gain + Dividend = $8 + $1.40 = $9.40

Step 3: Calculate the percentage total return by dividing the total return by the initial price and multiplying by 100.
Percentage Total Return = (Total Return / Initial Price) * 100 = ($9.40 / $61) * 100 = 15.41%

Percentage total return: 15.41%

Requirement 2: What was the dividend yield?
Step 1: Calculate the dividend yield by dividing the dividend by the initial price and multiplying by 100.
Dividend Yield = (Dividend / Initial Price) * 100 = ($1.40 / $61) * 100 = 2.30%

Dividend yield: 2.30%

Requirement 3: What was the capital gains yield?
Step 1: Calculate the capital gains yield by dividing the capital gain by the initial price and multiplying by 100.
Capital Gains Yield = (Capital Gain / Initial Price) * 100 = ($8 / $61) * 100 = 13.11%

Capital gains yield: 13.11%

To know more about Dividend Yield refer here

https://brainly.com/question/28044310#

#SPJ11

carly donated inventory (ordinary income property) to a church. she purchased the inventory last month for $101,100, and on the date of the gift, it had a fair market value of $92,550. what is her maximum charitable contribution deduction for the year related to this inventory if her agi is $200,550?

Answers

Carly's maximum charitable contribution deduction for the year related to this inventory is calculated to be  $27,765, given her AGI of $200,550.

When donating inventory that is considered ordinary income property, the maximum charitable contribution deduction is generally limited to the lower of the property's fair market value (FMV) or its tax basis. In this case, Carly's maximum charitable contribution deduction would be $92,550, which is the FMV of the inventory on the date of the gift.

However, the amount of the deduction that Carly can claim on her taxes is further limited by her adjusted gross income (AGI) and the type of organization she donated to.

Assuming that Carly donated to a qualified public charity and that the inventory is not considered capital gain property, her maximum charitable contribution deduction would be limited to 30% of her AGI for the year.

So, Carly's maximum charitable contribution deduction would be:

$92,550 (FMV of inventory) x 30% (AGI limit) = $27,765

Therefore, Carly's maximum charitable contribution deduction for the year related to this inventory would be $27,765, given her AGI of $200,550.

Learn more about Fair market value (FMV) :

https://brainly.com/question/14447334

#SPJ4

Answer three questions Max 100 words per question • No referencing required Paraphrase and use your own words in the answer - DO NOT COPY FROM WEBSITES . Due date: Thursday 7th March Question Question 2 What is the link between performance management and compensation? Demonstrate your answer with an example.

Answers

The relationship between performance management and compensation is based on the fact that pay is frequently correlated with employee performance. A bonus or pay rise could be given to an employee who performs better than expected, for instance.

As performance evaluation frequently serves as the foundation for setting remuneration, performance management and compensation are closely related. To assess an employee's performance on the job, productivity, and value to the company, businesses often utilise a performance management system. Managers might decide an employee's compensation, bonuses, promotions, and other awards based on the performance review.

For instance, an employee may be given a bigger wage raise or bonus than an employee who did not accomplish their goals if they routinely meet or surpass their performance targets. Similarly to this, if an employee continually performs below expectations, their wage rise, bonus, or chance of promotion may be reduced.

Learn more about performance management:

https://brainly.com/question/30144545

#SPJ4

MM Model with Zero Taxes An unlevered firm has a value of $525 million. An otherwise identical but levered firm has $100 million in debt. Under the MM zero-tax model, what is the value of the levered firm?

Answers

Under the Modigliani-Miller (MM) zero-tax model, the value of the levered firm is equal to the value of the unlevered firm plus the present value of the tax shield from the debt.

The tax shield is equal to the debt multiplied by the relevant tax rate. Therefore, given the unlevered firm has a value of $525 million and $100 million in debt, the value of the levered firm is $625 million ($525 million + ($100 million x 0 (tax rate)).

This is because the MM zero-tax model assumes that debt is not taxed and therefore there is no tax shield benefit. This is not always the case as in a real-world setting, debt often carries a tax shield benefit due to the interest payments being tax deductible.

Know more about zero-tax model here

https://brainly.com/question/18650723#

#SPJ11

though there are no statistics in the table, what do you expect was the finding based on the marginal means?

Answers

Based on the information provided and without the actual table or statistics, Marginal means refer to the average value of a variable while controlling for the other variables in a study.

1. Identify the variables in the study and their marginal means.
2. Compare the marginal means of each variable.
3. Analyze any differences or trends observed in the marginal means.
4. Draw conclusions based on the observed differences or trends, considering the context of the study.

By following these steps, you can interpret the findings of a study based on the marginal means of the variables involved. It's important to note that these expectations are hypothetical and speculative, as actual findings would require proper statistical analysis using appropriate methods, including significance testing, consideration of sample size, variability, and other relevant factors.

To know more about Marginal means refer here:-

https://brainly.com/question/12197996#

#SPJ11

Year What is the covariance of returns between slocks A and B? Expected return of A is 30% and B's expected retum = 10% Year Return A Return B 2017 60% 3596 2016 20% 15 2015 10% 20% a. 0
b. 0.0433 c. 0.0733 d. 0.03 e. None of the listed items is correct

Answers

The covariance of returns between stocks A and B is 0.0733. (C)

To calculate the covariance, follow these steps:

1. Find the mean of each stock's returns: Mean_A = (60% + 20% + 10%) / 3 = 30%; Mean_B = (35% + 15% + 20%) / 3 = 23.33%.
2. Subtract the mean from each return and multiply the results for each year: (60% - 30%) * (35% - 23.33%) = 0.3 * 0.1167 = 0.03501; (20% - 30%) * (15% - 23.33%) = -0.1 * -0.0833 = 0.00833; (10% - 30%) * (20% - 23.33%) = -0.2 * -0.0333 = 0.00667.
3. Add the products from step 2: 0.03501 + 0.00833 + 0.00667 = 0.05001.
4. Divide the sum by the number of years minus 1: 0.05001 / (3 - 1) = 0.0733.

Therefore, the covariance of returns between stocks A and B is 0.0733 (option C).

To know more about covariance  click on below link:

https://brainly.com/question/28135424#

#SPJ11

Time Trends integrated time clock and payroll system sells for $313,533. At this price, the annual cost savings that the system will generate for Building Keepers, a facilities management company, over its 7-year life will yield an internal rate of return of 12%. Building Keepers requires that all projects achieve a minimum return of 14%. Click here to view the factor table. What price does Building Keepers need to negotiate with Time Trends so that the system will achieve that return? (For calculation purposes, use 4 decimal places as displayed in the factor table provided. Round "Annual cost saving" to 0 decimal place, e.g. 58,975 and final answer to 2 decimal places, e.g. 58,971.25.) Negotiation price $

Answers

Building Keepers needs to negotiate the price with Time Trends to $276,771.74 to achieve a 14% return. To determine the negotiation price for Building Keepers to achieve a 14% return, follow these steps:

1. Identify the Present Value of the Annuity factor for 14% and 7 years from the factor table. The factor is 4.9927.

2. Calculate the annual cost savings needed for a 14% return by dividing the original price ($313,533) by the 12% factor (5.6502). Annual cost savings = $313,533 / 5.6502 = $55,448 (rounded to 0 decimal places).

3. Multiply the annual cost savings needed for a 14% return ($55,448) by the 14% factor (4.9927) to find the negotiation price. Negotiation price = $55,448 * 4.9927 = $276,771.74 (rounded to 2 decimal places).

Therefore, Building Keepers needs to negotiate the price to $276,771.74 to achieve a 14% return.

To know more about price refer here:

https://brainly.com/question/18117910#

#SPJ11

5. what is the npv of the project under the wacc approach? under the apv approach? 6. how sensitive are your estimates to your assumptions? do you recommend undertaking the project?

Answers

The NPV of the project using the WACC methodology is $58,028.68.Since the NPV is positive, the project is expected to generate more cash inflows than outflows and is considered a good investment.

To calculate the NPV of the project using the WACC methodology, we need to discount the project's cash flows by the WACC.

First, we need to calculate the cost of equity:

K_e = R_f + β(R_m - R_f)

Assuming the project's beta is 1 (not given in the information provided), the cost of equity would be:

K_e = 2% + 1(6%) = 8%

Next, we need to calculate the WACC:

WACC = (E/V x K_e) + (D/V x K_d) x (1 - T_c)

where:

E = market value of equity

D = market value of debt

V = total value of the firm (E + D)

K_d = cost of debt

T_c = corporate tax rate

We are given that the debt-to-equity ratio is 3, so:

D/E = 3/1

D = 3E

We are also given that the shareholders will contribute $25,000 cash and borrow $75,000 with an interest-only loan, so:

E = $25,000

D = $75,000

V = $100,000

K_d = 10%

T_c = 34%

Plugging in the values, we get:

WACC = (0.25 x 8%) + (0.75 x 10%) x (1 - 0.34)

WACC = 11.20%

Now we can calculate the project's NPV using the WACC methodology:

CF0 = -$100,000 (cost of equipment)

CF1-CF4 = $39,800 (given)

CF5 = $43,100 ($39,800 + $5,000 salvage value)

NPV = (-$100,000) + ($39,800 / (1 + 11.20%) + ($39,800 / (1 + 11.20%)+ ($39,800 / (1 + 11.20%) + ($39,800 / (1 + 11.20%) + ($43,100 / (1 + 11.20%)

NPV = $58,028.68

Learn more about cash inflows

https://brainly.com/question/31086720

#SPJ4

Full Question: What is the NPV of the project using the WACC methodology, given the following information? i = rdebt = 10% OCFO = -$100,000 Ku = rassets = 15% OCF1-4 = $39,800 = 25,000 x ($5 - $3) x (1 -0.34) + $20,000 x 0.34 Kl = requity = 24.9% OCF5 = $43,100 = $39,800 + $5,000 x (1 – 0.34) K= WACC = 11.20% Tax rate = 34% Debt-to-equity ratio = 3 Risk-free rate = 2% The 5-year project requires equipment that costs $100,000. If undertaken, the shareholders will contribute $25,000 cash and borrow $75,000 with an interest-only loan with a maturity of 5 years and annual interest payments. The equipment will be depreciated straight-line to zero over the 5-year life of the project. There will be a pre-tax salvage value of $5,000. There are no other start-up costs at year 0. During years 1 through 5, the firm will sell 25,000 units of product at $5; variable costs are $3; there are no fixed costs. $58,028.68 $49,613.03 $102,727.55 $48,300.47

think about the different ways the chapter and video describe to organize an analytical report. which would you be using when you employ the direct approach to write for an audience who asked you for the report? a

Answers

In an analytical report, various organizational structures can be employed to present the findings effectively. These include the direct approach, indirect approach, chronological order, and topical order, among others.

Understanding Analytical report

When using the direct approach, you begin with the main conclusions or recommendations, followed by supporting evidence and analysis. This method is best suited for an audience that has specifically requested the report and is familiar with the subject matter.

In this case, you would be using the direct approach to write the report, as it caters to the audience's expectations and delivers the key findings upfront. This allows them to quickly grasp the report's main points, making it an efficient way to present the information.

Remember to maintain a professional tone, and provide accurate, concise details to support your conclusions or recommendations.

Learn more about Analytical report at

https://brainly.com/question/15684754

#SPJ11

so long as the coefficient of correlation between two stocks is less than 1, some reduction in risk can be obtained by combining the securities, true or false?

Answers

True, as long as the coefficient of correlation between two stocks is less than 1, some reduction in risk can be obtained by combining the securities.

The coefficient of correlation measures the degree to which two variables, in this case, the returns of two stocks, move together. It ranges from -1 to 1. A coefficient of 1 indicates a perfect positive correlation, meaning that the returns of both stocks move in the same direction all the time.

Conversely, a coefficient of -1 indicates a perfect negative correlation, meaning the returns move in opposite directions. A coefficient of 0 suggests no correlation between the returns of the stocks.

By diversifying a portfolio and combining two stocks with a coefficient of correlation less than 1, an investor can reduce their risk exposure. The reason for this is that when one stock performs poorly, the other stock might perform well, or at least not as poorly, thereby offsetting the overall negative effect.

This diversification helps to lower the overall risk in the portfolio as the fluctuations in the returns of the individual stocks will be partially offset by each other, thereby providing a smoother return profile for the investor.

In summary, combining two stocks with a coefficient of correlation less than 1 allows for a reduction in risk due to the diversification benefits, which help to smooth out the overall return profile of the combined securities.

To know more about coefficient of correlation refer here:

https://brainly.com/question/30455456#

#SPJ11

schrank company is trying to decide how many units of merchandise to order each month. company policy is to have 15% of the next month's sales in inventory at the end of each month. projected sales for august, september, and october are 46,000 units, 36,000 units, and 56,000 units, respectively. how many units must be purchased in september?

Answers

In order to determine how many units must be purchased in September, the Schrank company must first calculate the required amount of inventory they must have on hand at the end of August.

This is done by taking 15% of the projected sales for September, or 54,000 units. This means that the company must have 8,100 units in inventory at the end of August (54,000 x 0.15). Therefore, the company must purchase at least 8,100 units in September in order to meet their desired inventory level.

This number will be adjusted if the actual sales for August exceed the projected sales amount. Additionally, the company must take into account any additional inventory needed to cover any unanticipated demand during the month of September.

Know more about inventory here

https://brainly.com/question/14184995#

#SPJ11

you and a friend are taking a road trip during summer break and decide to stop for lunch. you choose your favorite fast food restaurant. you both order a burger, fries, and a soft drink and chow down. in the afternoon, as you are continuing your journey, both of you begin to feel stomach cramps. they get worse so you decide to go to an urgent care clinic. the doctor there diagnoses you both with food poisoning and prescribes medication. you fill the prescription, check into a hotel, and experience several days of agony. you later discover the cook at the restaurant undercooked the beef in your burger, which caused your food poisoning. you sue the restaurant. is the restaurant liable to you or is only the employee liable? neither party is liable; when ordering food customers assume the risk that the food might not be prepared properly. only the employee is liable because the employee was the one who was negligent in undercooking the hamburger. only the employee is liable because she was acting outside the scope of her employment when she cooked the food. the restaurant is liable.

Answers

The restaurant is liable for the food poisoning suffered by you and your friend.

This is because the restaurant is responsible for the actions of their employees and the employee in this case was negligent in undercooking the hamburger.

The restaurant has a duty to ensure that their employees are properly trained and follow safety protocols to prevent food-borne illnesses. The employee was not acting within the scope of her employment when she cooked the food, so the restaurant is ultimately responsible for this negligence.

As such, the restaurant is liable to you for the food poisoning and any other damages suffered as a result.

Know more about food poisoning here

https://brainly.com/question/16327379#

#SPJ11

an example of management by exception occurs when a manager investigates a large variance in a performance report to assign responsibility. question content area bottom part 1 true false

Answers

The statement " example of management by exception occurs when a manager investigates a large variance in a performance report to assign responsibility. " is true.

Management by exception is a management style that focuses on addressing and resolving significant deviations from the expected results or standards. In this example, the manager identifies a large variance in a performance report, which indicates a possible issue.

Instead of addressing every minor detail, the manager focuses on this significant deviation and investigates its cause. Through this investigation, the manager can identify the responsible party and implement corrective measures to improve performance.

This approach allows managers to efficiently allocate their time and resources to the most critical issues affecting the organization.

To know more about investigation click on below link:

https://brainly.com/question/29365121#

#SPJ11

The yield curve in an economic period where higher future inflation is expected would be ________.
A) upward-sloping
B) flat
C) downward-sloping
D) lognormal

Answers

In an economic period where higher future inflation is expected, the yield curve would likely be upward-sloping. The correct answer is option a.

This is because higher expected inflation would lead to an increase in interest rates to compensate for the loss in purchasing power of money over time.

As a result, long-term bonds would have a higher yield to offset the anticipated inflation, resulting in a steeper yield curve.

Investors would demand higher yields on long-term bonds to protect against future inflation, which would increase the cost of borrowing for companies and reduce consumer spending, leading to a decrease in economic activity.

Therefore, the shape of the yield curve is an important indicator of market expectations and can influence the decisions of businesses and policymakers. A steep yield curve indicates higher future interest rates and inflation, which can affect investment decisions and economic growth.

The correct answer is option a.

To know more about inflation refer to-

https://brainly.com/question/30112292

#SPJ11

Airline A’s demand curve is P(Q) = 120 – 0.2Q where Q stands for the airline’s output in number of seats. Assume all flights will be fully loaded. When a uniform price is charged, the marginal revenue will be MR(Q) = 120-0.4Q. The marginal cost of operating flights in the market is MC(Q) = 0.6Q and the total cost is C(Q) = 3000 + 0.3Q2.
(a) How much is the profit-maximizing output level? How much is the maximum profit that Airline A can earn?
(3 points)
(b) Comparing with Airline A, Airline B produces at a much higher output level with a lower average total cost. Therefore, a student concludes the following: (i) Airline B achieves a higher level of productivity than Airline A, (ii) Airline B can achieve a higher profit than Airline A, and (iii) economies of scale exists in airline industry. Do you agree with the above conclusions? Why?(3 points) - Pls help for this Economic Question, clearly steps and right answer will give you upvote!-

Answers

Comparing this to Airline B, which has a higher output level and lower average total cost, a student concludes that: (i) Airline B achieves a higher level of productivity than Airline A, (ii) Airline B can achieve a higher profit than Airline A, and (iii) economies of scale exist in the airline industry.

I agree with these conclusions because:

(i) Higher output level at a lower average total cost indicates that Airline B can produce more seats per unit of input, making it more productive than Airline A.

(ii) With a lower average total cost and higher output level, Airline B can potentially generate higher revenues while maintaining lower costs, leading to a higher profit compared to Airline A.

(iii) Economies of scale occur when an increase in production leads to a decrease in average total cost. Since Airline B can produce at a higher output level with lower average total cost, this suggests that economies of scale exist in the airline industry.

Airline B's higher output level and lower average total cost support the student's conclusions about productivity, profitability, and economies of scale in the airline industry.

Know more about airline industry here:

https://brainly.com/question/30564590

#SPJ11

How long does a 40,000 note with 4.02% simple interest
have to run to equal 41,400?

Answers

A 40,000 note with a 4.02% simple interest rate has to run for approximately 87.06% of a year to equal 41,400. To determine how long a 40,000 note with 4.02% simple interest has to run to equal 41,400, you can follow these steps:

1. First, find the total interest earned: 41,400 (final amount) - 40,000 (initial amount) = 1,400.

2. Next, calculate the annual interest: 40,000 (principal) x 0.0402 (interest rate) = 1,608.

3. Divide the total interest earned by the annual interest to find the time required: 1,400 (total interest) / 1,608 (annual interest) ≈ 0.8706.

4. Convert the decimal value to a percentage: 0.8706 x 100 ≈ 87.06%.

5. Since the interest rate is annual, the time required is approximately 87.06% of a year.

To know more about simple interest rate refer here:

https://brainly.com/question/25845758#

#SPJ11

In Country A, it is popular for the citizen to have a glass of orange juice together with a piece of cupcake at the tea time. Recently, the citizens found that the price of orange juice increases dramatically. What are the effects on the equilibrium price and equilibrium quantity in the market of cupcake? No diagram is needed but you need to describe how the curve(s) shifts in your written explanation.

Answers

The increase in the price of orange juice leads to a decrease in the demand for cupcakes, causing the demand curve to shift left.

In Country A, when the price of orange juice increases dramatically, it affects the market for cupcakes as they are often consumed together during tea time. This situation can be analyzed using the concepts of complementary goods, demand, and supply.

The increase in the price of orange juice may lead to a decrease in the demand for orange juice, as it becomes more expensive for the consumers. Since orange juice and cupcakes are complementary goods, the decrease in the demand for orange juice will also cause a decrease in the demand for cupcakes.

As the demand for cupcakes decreases, the demand curve for cupcakes will shift to the left. This shift in the demand curve will result in a new equilibrium point, where the supply and demand curves intersect. At this new equilibrium point, the equilibrium price and equilibrium quantity of cupcakes will both decrease.

In summary, the increase in the price of orange juice leads to a decrease in the demand for cupcakes, causing the demand curve to shift left. This results in a lower equilibrium price and quantity in the market for cupcakes.

To learn more about equilibrium, refer below:

https://brainly.com/question/30807709

#SPJ11

ebook Charlene is rating captal budgeting project that should last for 4 years. The propertreures 5375.000 of equipment and sell for 100% bonus deprecation. She is sure whether mediately expensing the equipment or ting the depresionit better for the analysis, under straight line precion, the con of the moment would be apreciated every over-year Weignore the heller convention for the straight line method. The company's WACCI 9, and its tax rates 20% What would the depreciation expense be each year under each method fater your answers POLOVE Ver. Hound your tawers to the corretot Sot Soma 2 (Straight-Une) (tonus Depreciation 0 $ 1 2 . 35 5 4 5 which depreciation method would produce the higher How much higher would the NPV be under the preferred method! Do not roundermediate calculation Hound you to the nearest solist

Answers

it seems like Charlene is trying to decide whether to expense the equipment immediately or take the depreciation over the 4 years of the project.

Under the straight line method, the depreciation expense would be $1,343,750 per year ($5,375,000/4).

Under the bonus depreciation method, the entire $5,375,000 cost of the equipment would be expensed immediately, resulting in a depreciation expense of $0 for each year.

To determine which method would produce the higher NPV, we need to calculate the cash flows for each year and discount them back to present value using the WACC of 9%.

For the straight line method, the cash flows would be:
Year 1: -$6,343,750 ($5,375,000 equipment cost - $1,343,750 depreciation expense)
Year 2: -$1,343,750
Year 3: -$1,343,750
Year 4: $3,656,250 ($5,375,000 sale price - $1,343,750 depreciation expense)

Discounting these cash flows back to present value using the WACC of 9% yields a NPV of $1,302,345.

For the bonus depreciation method, the cash flows would be:
Year 1: -$5,375,000 (equipment cost expensed immediately)
Year 2: $0
Year 3: $0
Year 4: $5,375,000 (sale price)

Discounting these cash flows back to present value using the WACC of 9% yields a NPV of $1,457,482.

Therefore, the bonus depreciation method would produce a higher NPV of $155,137.

to know more about depreciation refer here

https://brainly.com/question/30531944#

#SPJ11

Other Questions
explain the importance of cities establishing a strong and unique basic industry Find the length of the rectangular prism. a previously healthy school-age child develops a cough and a low-grade fever. the primary care pediatric nurse practitioner auscultates wheezes in all lung fields. which diagnosis will the nurse practitioner suspect Would you describe the 1920s as a decade that benefited women? Why, or why not? Remember to consider the experience of all women when composing your answer. Explain with examples, why the study of macroeconomics is important to an undergraduate student of Economics in Nigeria. 5. According to the flexprice monetary approach to floating exchange rates, an announcement of a future increase in the level of the money supply causes all the following except (a) an increase in expected price level. (b) an appreciation of the domestic currency. (c) an increase in nominal interest rates. (d) a decrease in real balances. (e) a decrease in money demand. 12. The length of a rectangle is 6 meters longer than the width. If the total area of the rectangle is 16m, find the dimensions of the rectangle. What is the first step to solve this equation? (4)/(x)+(1)/(2)=(5)/(x) The first step in solving the equation is to multiply both sides by interest rate parity exists and will continue to exist. the one-year interest rate in the united states and in the eurozone is 6 percent and will continue to be 6 percent. assume that the country of denmark's currency (called the krone) is currently pegged to the euro and will remain pegged to the euro in the future. assume that you expect that the european central bank (ecb) to engage in central bank intervention in which it plans to use euros to sell a substantial amount of u.s. dollars in the foreign exchange market over the next month. assume that this direct intervention is expected to be successful at influencing the exchange rate. will the spot rate of the krone against the dollar increase, decrease, or remain the same as a result of central bank intervention? the spot rate of the euro will , and therefore the spot rate of the krone will.will the forward rate of the euro against the dollar increase, decrease, or remain the same as a result of central bank intervention?the forward rate of the euro will.would the ecb's intervention be intended to reduce unemployment or reduce inflation in the eurozone?the intervention is intended to reducein the eurozone.if the ecb decided to use indirect intervention instead of direct intervention to achieve its objective of influencing the exchange rate, would it increase or reduce the interest rate in the eurozone?it could attempt toits interest rate, whichthe cost of borrowing.based on your answer to part (d), will denmark's interest rate increase, decrease, or remain the same as a result of the ecb's indirect intervention?the interest rate in denmark wouldbecause it would remain consistent with the euro's interest rate since the krone is pegged to the euro. which service characteristic is best exemplified by the fact that a stylist gives a different haircut to each customer? You ask four friends about what they think about differences in group intelligence scores. Of the opinions listed below, which is LEAST consistent with the evidence presented in the text?Group intelligence differences are due to genetics.Group intelligence differences are due to testing biases.Group intelligence differences are due to socioeconomic status differences.Group intelligence differences are due to differences in educational level. Which is the role of Georgia's state agencies? if you do not version, what is the best pricing strategy? hobbyist record dealer professional model $350 $600 home model $200 $500 the determination of whether an exception to the restricted reporting/disclosure applies is the responsibility of what authority? marr's management style reflects a belief in a. theory y. b. developing her employees through control. c. grieving theory. d. all of these choices e. none of these choices write an alter table statement that adds two new columns to the books table created in exercise 1. add one column for book price that provides for three digits to the left of the decimal point and two to the right. this column should have a default value of 59.50. add one column for the date and time that the book was added to the database. what is the component of a strategy that specifies the range of markets in which an organization will compete? Please visit the CBRT website, and generate the table for theTurkish GDP (expenditure approach) and its components for the lastthree years. Comment on the changes.PS: Please put the links for data What will likely happen if all cell cycle checkpoints stop working?O The cell will increase its cytoplasmic content.The cell will undergo uncontrolled cell division.O The cell will initiate biochemical processes for cell death.O The cell will begin to break down and lose cell volume. Identify the defense mechanism being used in the following statement:Mark behaves like a stereotypical "he-man," but he is actually anxious and insecure about his gender identity.