a manufacturer makes two kinds of computers, laptops and desktops. the company has equipment to manufacture any number of laptops up to 600 per month or any number of desktops up to 800 per month. however, the company can manufacture at most 1,000 computers of both kinds per month in all. it takes 35 man-hours to manufacture either type of computer and the manufacturer has available 25,000 man-hours per month. the manufacturer earns a profit of $115 on each laptop and $90 on each desktop. write an objective function to model this situation if the manufacturer wants to maximize his profit, using x for the number of laptops and y for the number of desktops.

Answers

Answer 1

The objective function to model this situation are:

1. x ≤ 600 (laptop limit)

2. y ≤ 800 (desktop limit)

3. x + y ≤ 1000 (total computer limit)

4. 35x + 35y ≤ 25,000 (man-hour limit)

How to determine an objective function to model this situation

In order to model this situation, we need to create an objective function that represents the total profit of the manufacturer based on the number of laptops (x) and desktops (y) produced.

The manufacturer earns a profit of $115 on each laptop and $90 on each desktop. Therefore, the objective function for maximizing profit will be:

P(x, y) = 115x + 90y

This function represents the total profit gained from producing x laptops and y desktops.

The manufacturer's constraints include production limits (600 laptops, 800 desktops, and 1,000 total computers) and labor capacity (25,000 man-hours).

These constraints can be written as:

1. x ≤ 600 (laptop limit)

2. y ≤ 800 (desktop limit)

3. x + y ≤ 1000 (total computer limit)

4. 35x + 35y ≤ 25,000 (man-hour limit)

The manufacturer should solve the linear programming problem using these constraints and the objective function P(x, y) to determine the optimal production quantities for laptops and desktops that maximize profit.

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Related Questions

a(n) control system uses prices, competition, and exchange relationships to regulate activities as though they were economic transactions.

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A control system that uses prices, competition, and exchange relationships to regulate activities operates on the principle of the market economy. This means that the system treats all activities as economic transactions and aims to optimize outcomes based on market principles.

The use of prices helps to allocate resources efficiently by signaling the scarcity of resources and their demand in the market. This ensures that resources are allocated to their most valuable use, promoting efficiency and productivity.

Competition encourages producers to improve their products and services, reducing costs, and improving quality. In turn, this benefits consumers as they have access to higher quality products at lower prices.

Exchange relationships are essential in facilitating the movement of goods and services in the economy. These relationships ensure that goods and services are exchanged at a fair price, and that the exchange is mutually beneficial to both parties involved.

The exchange of goods and services ensures that there is a flow of income and resources in the economy, which is critical for the functioning of the market system.

Overall, the control system that uses prices, competition, and exchange relationships to regulate activities operates on the principles of the market economy. This system aims to optimize outcomes based on market principles, and in turn, promotes efficiency, productivity, and the flow of resources and income in the economy.

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Show workings for all questions Question 1 (1 Mark) You lend a friend $11,000, for which your friend will repay you $28,904at the end of 5 years. What interest rate are you charging your friend? Answer Question 2 (2 Marks) Ahmad, age 10, wants to be able to buy a really cool new car when he turns 16. His really cool car costs $18,000 today, and its cost is expected to increase 4 percent annually. Ahmad wants to make one deposit today into an account paying 8 percent annually in order to buy his car in 6 years. How much will Ahmad's car cost, and how much does Ahmad have to save today in order to buy this car at age 16? Answer

Answers

Question 1: You are charging your friend an interest rate of 12.3%.

Question 2: Ahmad's car will cost $26,455.68 when he turns 16.

Question 3: Ahmad needs to save $15,553.19 today in order to buy his car at age 16.

Question 1:
To find the interest rate charged, we can use the formula for compound interest:

[tex]A = P(1 + r/n)^(nt)Where:A = final amount (in this case, $28,904)P = principal amount (in this case, $11,000)r = interest rate (what we're trying to find)n = number of times compounded per year (not given, assume once annually)t = time in years (5)[/tex]

[tex]28,904 = 11,000(1 + r/1)^(1*5)r = (28,904/11,000)^(1/5) - 1r = 0.123 or 12.3%[/tex]

Therefore, you are charging your friend an interest rate of 12.3%.

Question 2:
To find the future cost of Ahmad's car, we can use the formula for compound interest again:

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

[tex]Where:A = final amount (what we're trying to find)P = principal amount (in this case, $18,000)r = interest rate (8% annually)n = number of times compounded per year (not given, assume once annually)t = time in years (6)[/tex]

[tex]A = 18,000(1 + 0.08/1)^(1*6)A = $26,455.68[/tex]

Therefore, Ahmad's car will cost $26,455.68 when he turns 16.

Question 3:
To find out how much Ahmad needs to save today, we can use the formula for present value:

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

[tex]Where:P = present value (what we're trying to find)A = final amount (in this case, $26,455.68)r = interest rate (8% annually)n = number of times compounded per year (not given, assume once annually)t = time in years (6)[/tex]

[tex]P = 26,455.68/(1 + 0.08/1)^(1*6)P = $15,553.19[/tex]

Therefore, Ahmad needs to save $15,553.19 today in order to buy his car at age 16.

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According the 2001 CSO mortality table, the yearly probability of dying for a 40 year-old man is .00165. The present value of $1 one year from today, assuming a 5.5 percent interest rate, is .9479. What is the net single premium per $1,000 for a one-year term insurance policy sold to a man at age 40 assuming a 5.5 percent interest rate? Assume the premium is paid at the start of the year and the death benefit is paid at the end of the year. Ans=$1.56

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The net single premium per $1,000 for a one-year term insurance policy sold to a man at age 40 assuming a 5.5 percent interest rate is $1.56.

What is insurance policy?

An insurance policy is a legal contract between an insurance company and an individual or business that outlines the terms of the insurance coverage. It documents the coverage amount, type of coverage, and the duration of the policy. It also outlines any exclusions and other restrictions. The policyholder is required to pay a specified premium in exchange for the coverage. In case of a claim, the insurance company will pay the policyholder a sum of money as specified in the policy.

The net single premium per $1,000 for a one-year term insurance policy sold to a man of age 40 is calculated by multiplying the yearly probability of dying by the present value of $1 one year from now (assuming a 5.5% interest rate): Net Single Premium = .00165 x .9479 = $1.56.

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an organization that provides security services to client organizations, often remotely, including incident monitoring, response, and recovery is known as a

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An organization that provides security services to client organizations, often remotely, including incident monitoring, response, and recovery, is known as a Managed Security Services Provider (MSSP).

A Managed Security Services Provider (MSSP) is a specialized organization that offers comprehensive security solutions to client organizations. These solutions include round-the-clock monitoring, threat detection, incident response, and recovery from security incidents.

MSSPs use advanced technologies and expertise to manage the security infrastructure of their clients. This enables client organizations to focus on their core business functions while relying on the MSSP for their cybersecurity needs.

By partnering with an MSSP, businesses can save costs, improve security posture, and comply with regulatory requirements. Some common services provided by MSSPs include vulnerability assessments, intrusion detection and prevention, firewall management, and security awareness training.

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Tao now has $500. How much would he have after 9 years if he leaves it invested at 6.4% with annual compounding? a. $881.46 b. $906.75 c. $532.00 d. $821.30 e. $873.87

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The answer is e. $873.87. This can be calculated using the formula for compound interest, which is A=P(1+r/n)^nt, where A is the amount of money Tao will have after 9 years, P is the principal amount of $500, r is the interest rate of 6.4%, n is the number of times the interest is compounded per year, and t is the time period of 9 years. Plugging these numbers in, we get A = 500(1+0.064/1)^9*1 = $873.87. Thus, after 9 years, Tao will have $873.87 if he leaves his money invested at 6.4% with annual compounding.

Compound interest is a powerful tool for growing money over time, as it allows the principal amount to generate interest on itself as well as on the previously accumulated interest. With this in mind, it’s important to take advantage of compound interest to grow your money over time.

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1. Market segmentation involves aggregating the potential customers into groups that have common needs and might a. need the same products or marketing programmes b. buy the products with the same price c. be responsive to marketing research d. use the same payment methods

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Market segmentation involves aggregating potential customers into groups that have common needs and might a. need the same products or marketing programs

This process allows businesses to target specific segments with tailored marketing strategies, leading to increased efficiency and effectiveness. By understanding the common characteristics and preferences of each segment, companies can develop products and promotions that cater to their specific needs, resulting in higher customer satisfaction and loyalty.

Market segmentation does not necessarily mean that customers will buy products at the same price (b) or use the same payment methods (d), as these factors may vary within each segment. The primary focus is on ensuring that marketing efforts are responsive to the unique needs and preferences of each group (c). Market segmentation involves aggregating potential customers into groups that have common needs and might a. need the same products or marketing programs.

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Consider a three-year 10% coupon bond with a face value of $100. Suppose that the yield on the bond is 12% per annum with continuous compounding. . Coupon payments of $5 are made every six months. . What's the price and duration of the bond?

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The answer to the question is the price of the bond will change by approximately 2.47%. To calculate the price of the bond, we need to find the present value of all the cash flows from the bond. The coupon payments are semi-annual, so we need to use the semi-annual yield of 6% (12% per annum/2) for discounting. Using the formula for the present value of a bond, we get:

PV = (5/1.06) + (5/1.06^2) + (5/1.06^3) + (105/1.06^3) = $87.35

Therefore, the price of the bond is $87.35.

To calculate the duration of the bond, we need to find the weighted average of the time to receive each cash flow, weighted by the present value of that cash flow. Using the formula for the bond duration, we get:

Duration = [(0.5 x 1/1.06) + (1 x 2/1.06^2) + (1.5 x 3/1.06^3) + (1.5 x 3/1.06^3)] / ($87.35 x 0.06)

Therefore, the duration of the bond is 2.47 years.

Duration is a measure of the sensitivity of the bond price to changes in interest rates. A higher duration means the bond price will be more sensitive to changes in interest rates. In this case, the duration of the bond is 2.47 years, which means that for every 1% change in interest rates, the price of the bond will change by approximately 2.47%.

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Conceptually, an annuity with a fixed payment A over 5 years, starting one year now is: the difference between two annuities with different start dates the difference between two perpetuities. One starting 6 years from now, and the other one starting one year from now. t
he difference between two perpetuities. One starting 5 years from now, and the other one starting one year from now. the difference between two annuities. One starting 5 years from now, and the other one starting one year from now.

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The concept of an annuity with a fixed payment A over 5 years, starting one year now, refers to a financial product that pays a fixed amount of money at regular intervals for 5 years. The distinction between the two annuities is the right response to this query. One begins in five years, whereas the other begins in a year.

This type of annuity is different from perpetuity, which is a financial product that pays a fixed amount of money at regular intervals indefinitely.

In this case, the question is asking about the difference between two annuities with different start dates. Specifically, it is asking about the difference between an annuity starting 5 years from now and an annuity starting one year from now. The difference between these two annuities would be the timing of the payments. The annuity starting one year from now would have payments starting sooner than the annuity starting 5 years from now.

Therefore, the correct answer to this question is the difference between the two annuities. One starts 5 years from now, and the other one starts one year from now.

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suppose as a hypothetical scenario that you deposit $400 today into a savings account with a variable interest rate and will collect a payment in one year. true or false: if over the course of the year the interest rate rises, this increases the future value of your investment.

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True, If you deposit $400 into a savings account with a variable interest rate and collect a payment in one year, the future value of your investment will be affected by changes in the interest rate.

If the interest rate increases throughout the year, you will earn more interest on your initial deposit, increasing the value of investment. The future value of your investment will be reduced, though, if the interest rate falls since you will receive less interest on your initial investment. As a result, changes in interest rates have an immediate effect on the value of your investment in the future.

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In the context of the resource-based view (RBV), the term "durability" refers to the question of:
Group of answer choices
A) How rapidly will the resource depreciate?
B) Are other alternatives available?
C) Who actually gets the profit created by a resource?
D) Is the resource or skill critical to fulfilling a customer’s need better than that of the firm’s competitors?
E) Is there an appropriate "fit" between the resource and the firm’s strategy?

Answers

In the context of the resource-based view (RBV), the term "durability" refers to the question of: A) How rapidly will the resource depreciate?

Durability is an essential factor when evaluating a resource's potential to provide a sustained competitive advantage. A resource with high durability will maintain its value over time, allowing the firm to exploit it for an extended period.

This means that the resource will depreciate at a slower rate, making it more valuable for the firm in the long run. In contrast, a resource with low durability will depreciate rapidly, reducing its potential to contribute to a competitive advantage.

To make strategic decisions based on the RBV, firms should carefully consider the durability of their resources, focusing on those that offer a longer-lasting advantage and minimizing reliance on those that depreciate quickly.

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is the percentage of a market held by a specific entity. multiple choice question. portfolio analysis market share the bcg matrix market segment

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Market share is the percentage of a market held by a specific entity, while portfolio analysis is a method used by businesses to evaluate their product lines and make decisions about which products to keep, which to invest in, and which to divest.

Market share is a term used to describe the percentage of a particular market that is controlled by a specific entity. This could be a company, brand, or product. It is an important metric for businesses to track, as it can provide insight into the competitiveness of the market and the relative success of different entities operating within it.

Portfolio analysis is a method used by businesses to evaluate their product lines and make decisions about which products to keep, which to invest in, and which to divest. It involves analyzing the performance of each product in terms of its market share, profitability, and potential for growth.

The BCG matrix is a tool used in portfolio analysis that categorizes products into one of four categories based on their market share and growth potential. These categories are: stars, cash cows, question marks, and dogs. Stars are products with a high market share in a growing market, cash cows are products with a high market share in a mature market, question marks are products with a low market share in a growing market, and dogs are products with a low market share in a mature market.

Market segmentation is the process of dividing a larger market into smaller groups of consumers with similar needs or characteristics. This allows businesses to tailor their products, marketing strategies, and pricing to better meet the needs of different customer segments.

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a good leader is key to making an employee believe that pay is linked to individual performance. group of answer choices true false

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A good leader is key to making an employee believe that pay is linked to individual performance False.

When they are used to make pay for performance choices, what is the main goal of performance evaluations?

Employee feedback is provided during the assessment process, which also helps managers decide whether to provide bonuses or salary raises and identifies areas for development. Continuously subpar performance may result in reprimands or termination.

How are performance management and performance evaluation related?

The process of communicating an employee's success and advising them on potential career roadblocks is known as performance management. On the other hand, a performance appraisal provides feedback and an objective assessment of an employee's performance.

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reduced time-to-market, reduced expected service cost, and ease-of-manufacture are critical success factors at which stage of the cost life cycle?

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Reduced time-to-market, reduced expected service cost, and ease-of-manufacture are critical success factors at the early stage of the cost life cycle, which is the design stage. This stage is where the product's conceptualization and design occur, and the decisions made at this stage can have a significant impact on the product's overall cost and success in the market.

Reduced time-to-market is critical in the design stage because it allows the company to bring the product to the market quickly and gain a competitive advantage over other companies. The shorter the time-to-market, the higher the chances of the company's success in meeting the consumer's needs.

Reduced expected service cost is essential in the design stage because it ensures that the product is designed to have low maintenance and repair costs, making it more cost-effective for the customer to use and the company to manufacture.

Ease-of-manufacture is also critical in the design stage because it ensures that the product can be produced efficiently, reducing the cost of manufacturing and increasing the profit margins for the company. In summary, the design stage is crucial in ensuring reduced costs and increased profitability for the company by focusing on these critical success factors.

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Market Size Model The first step is to model the entire market. The company manufacturers two products (A and B) so each market must be modeled. Modeling the market requires establishing growth rates for each of the products. Complete the model by entering formulas in the green cells below. The exercise is designed such that an error early in the assignment will not adversely impact later grading. The market size of each product can be forecast based on growth expectations. Product A's growth will decelerate, declining linearly by .5% every year. Product B's growth will be stable at 10% annually. Hint: When financial analysts adjust a growth rate or market share you do not compound the adjustment. If the growth rate is 10% and it declines by 3%, the adjusted growth rate is 7%. Please use this clarification to understand how to forecast throughout this Sheet. 2026 1,005 Market Size Units Product A Product B 2021 1,005 503 503 2022 1,005 503 503 2023 1,005 503 503 2024 1,005 503 503 2025 1,005 503 503 2027 1,005 503 503 2028 1,005 503 503 2029 1,005 503 503 2030 1,005 503 503 2031 1,005 503 503 503 503 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% Market Unit Growth Rate Product A Product B 10.0% 10.0%

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The market size for Product A will decline from 503 units in 2021 to 479 units in 2031, while the market size for Product B will increase from 503 units in 2021 to 1,287 units in 2031.

Using the given growth rates, we can forecast the market sizes for Products A and B for each year from 2021 to 2031. For Product A, the growth rate will decline by 0.5% every year, so we can use a simple linear equation to calculate its market size each year.

For Product B, the growth rate will remain constant at 10%, so we can use a simple compounding formula to calculate its market size each year. By entering these formulas in the green cells provided, we can calculate the market size for each product for each year.

The results show that while the market size for Product A will decline gradually over time, the market size for Product B will increase significantly.

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according to hazlitt, what are the differences between loans provided by government agencies and loans provided by private lenders?

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Loans provided by government agencies differ from loans provided by private lenders in source of fund, loan purpose, interest rate, loan eligibility and requirements, risk assessment, and loan repayment.

The differences between loans provided by government agencies and private lenders are as follows:

1. Source of Funds: Government agencies use public funds (taxpayer money) to provide loans, while private lenders use private capital from individuals or organizations.

2. Loan Purpose: Government agencies often provide loans to support social and economic development, such as infrastructure projects, education, or healthcare. Private lenders, on the other hand, focus on providing loans for profit-making purposes, such as business expansion, investments, or personal consumption.

3. Interest Rates: Government agencies usually offer loans at lower interest rates compared to private lenders. This is because government loans aim to promote social welfare, while private lenders are profit-driven.

4. Loan Eligibility and Requirements: Government loans typically have more stringent eligibility requirements, targeting specific groups or sectors. Private lenders, however, may have more flexible lending criteria, which can result in a broader range of borrowers.

5. Risk Assessment: Government agencies may be more willing to provide loans to high-risk borrowers, while private lenders focus on the creditworthiness of borrowers to minimize risks.

6. Loan Repayment: Government loans might have more flexible repayment terms, such as longer repayment periods or income-based repayment plans. Private loans usually have stricter repayment terms, which can result in higher monthly payments.

In summary, loans provided by government agencies and private lenders differ in terms of their funding sources, purposes, interest rates, eligibility, risk assessment, and repayment terms. Government loans often focus on promoting social welfare and development, while private loans aim to generate profits for the lender.

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instead of highly predatory behaviors i marketing channel relationships in the 21st-century, value chain relationships are characterized by:

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Value chain relationships are built on a foundation of trust and cooperation. Members of the value chain work together to share information, coordinate activities, and solve problems.

In the 21st century, value chain relationships are characterized by collaborative and cooperative behaviors rather than highly predatory behaviors in marketing channel relationships. Value chain relationships focus on mutual benefit for all parties involved. Value chain relationships are typically long-term, strategic partnerships that focus on creating and sustaining value over time.  

Value chain relationships are built on a foundation of trust and cooperation. Members of the value chain work together to share information, coordinate activities, and solve problems.  Value chain relationships rely on open communication between all parties involved. This means that information is shared freely and transparently to help ensure that everyone is working toward the same goals.

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a free-market economic system is one in which the market of buyers and sellers decides what is produced, how much is produced, and how it is distributed. T/F

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True. This is because:

In a free-market economic system, decisions on production and distribution are made by buyers and sellers, with minimal intervention from the government or other external factors. The demand and supply of goods and services determine what is produced and at what quantity, and prices are set based on the perceived value by buyers and sellers in the market.  The government typically plays a limited role in regulating the market, allowing market forces to determine prices and allocate resources. In a free-market system, businesses compete with each other to provide goods and services that meet the needs and wants of consumers, and consumers are free to choose what they want to buy at prices they are willing to pay.

Free-market economic system is one in which the market of buyers and sellers decides what is produced, how much is produced, and how it is distributed, without interference from the government or other outside forces. The pricing of goods and services is also determined by the forces of supply and demand in a free-market system. In this system, businesses compete with each other to offer the best products or services at the most competitive prices, and consumers are free to choose what they want to buy based on their preferences and budgets.

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a firm in the water bottling industry pays a current dividend of $2.19. its earnings per share is $8.36 and an analysis of the financial statements shows a return on equity of 9.32%. the sustainable growth rate is closest to: a. 4.92%. b. 5.81%. c. 5.27%. d. 6.88%.

Answers

The sustainable growth rate (SGR) for the water bottling firm is 6.87%, calculated using the formula SGR = ROE x Retention ratio, where ROE is 9.32% and the retention ratio is 0.738. Here option D is the correct answer.

The sustainable growth rate (SGR) is the maximum growth rate a company can achieve without resorting to external financing, assuming that it keeps its dividend payout ratio and capital structure constant. The SGR can be calculated as the product of the return on equity (ROE) and the retention ratio, which is the portion of earnings that is reinvested back into the company.

To determine the retention ratio, we can subtract the dividend payout ratio from 1. The dividend payout ratio is the percentage of earnings that are paid out as dividends, which can be calculated by dividing the dividend per share by the earnings per share. In this case, the dividend payout ratio is:

Dividend payout ratio = Dividend per share / Earnings per share

= $2.19 / $8.36 = 0.262

Therefore, the retention ratio is:

Retention ratio = 1 - Dividend payout ratio

= 1 - 0.262 = 0.738

Next, we can calculate the SGR as:

SGR = ROE x Retention ratio = 0.0932 x 0.738

= 0.0687 or 6.87%

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Parsons, a pedestrian watching a construction project, sees that a metal beam being lifted by a crane is about to drop on some unsuspecting workers. Thus, he rushes to the scene to warn the workers. For his efforts, the falling beam strikes him. He sues the construction company for negligence. Which of the following is true? Assume that the falling beam was caused by a breach of duty on the construction company's part. O Parsons will recover against the construction company because it owes a duty of reasonable care to the workers as well as pedestrians. Parsons will not recover, because he should have instead sued the worker operating the crane. Parsons will recover, because construction companies are strictly liable for their employees' acts. Parsons will not recover, because he knowingly and voluntarily assumed the risk of being struck by the beam.

Answers

Parsons did not assume the risk of being struck by the beam because he was attempting to warn the workers of the danger. His actions were reasonable under the circumstances, and he should not be barred from recovering damages.

Parsons will likely recover against the construction company because they owed a duty of care not only to the workers but also to pedestrians who may be in the vicinity of the construction site. The construction company has a responsibility to ensure that the site is safe for both workers and the public.

Parsons should not have sued the worker operating the crane because it is the responsibility of the construction company to hire and train qualified employees and ensure that they operate the equipment safely.

Strict liability does not apply in this case because the falling beam was not an inherent risk of the construction project.

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Parsons did not assume the risk of being struck by the beam because he was attempting to warn the company workers of the danger. His actions were reasonable under the circumstances.

he should not be barred from recovering damages. Parsons will likely recover against the construction company because they owed a duty of care not only to the workers but also to pedestrians who may be in the vicinity of the construction site. The construction company has a responsibility to ensure that the site is safe for both workers and the public. Parsons should not have sued the worker operating the crane becauseis the responsibility of the construction company to hire and train qualified employees and ensure that they operate the equipment safely.

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T/F a positive residual income indicates that the segment’s return on investment is greater than the company’s target rate of return.

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It is true that "residual income indicates that the segment’s return on investment is greater than the company’s target rate of return" . It is a financial performance measure that indicates the excess of actual income earned by a business unit over its expected income.

If the residual income is positive, it means that the segment has generated more income than the company's target rate of return, which is the minimum return expected by investors. A positive residual income shows that the segment is profitable and creates value for the company.

On the other hand, a negative residual income indicates that the segment is not meeting the target rate of return and is not contributing to the company's profitability. Residual income is a useful tool for evaluating the financial performance of business units and for making investment decisions.

By calculating residual income, managers can identify the most profitable segments and allocate resources accordingly to maximize the company's overall return on investment. The answer is true.

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Consider the following projects, for a firm using a discount rate of 10%:
Project NPV IRR PI A $200,000 12.2% 1.04
B $200,001 11% 1.01
C $60,000 10.1% 1.61
D $(235,000) 9% .95
If the projects are independent, which if any, projects(s) should the firm accept?
a. Project A
b. Project B
c. Project D
d. Project B and D
e. Projects A, B and C

Answers

The firm should accept projects A, B and C as these projects have a positive NPV and an IRR above the discount rate of 10%.

Project D should be rejected as it has a negative NPV and an IRR below the discount rate. Project A has the highest NPV and the highest IRR, making it the most desirable project to accept.

Project B has a slightly lower NPV and IRR, but they are still both above the discount rate. Project C has a much lower NPV but the IRR is still above the discount rate. The projects are independent, so the firm should accept A, B and C as they all have positive NPV and IRR higher than the discount rate.

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when we see small changes in the demand for bottled water at several local sheetz convenience stores causing a very large change in demand for bottled water at the regional distribution center that serves those local stores, we are observing . group of answer choices quantity discounts. safety stock. the bullwhip effect.

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Bullwhip effect is a common supply chain phenomenon that can cause significant challenges for companies. By understanding the causes of the bullwhip effect, companies can take steps to mitigate its impact and improve their supply chain efficiency.

The phenomenon described in the question is known as the bullwhip effect. It refers to the amplification of small fluctuations in demand as we move upstream in a supply chain.

In other words, small changes in demand at the retail level can result in much larger variations in demand at the wholesale and manufacturing levels. The bullwhip effect can occur due to several factors, including demand forecasting errors, batch ordering, and inventory policies.

In the case of the sheetz convenience stores, the demand for bottled water is likely to be influenced by several local factors such as weather conditions, promotional activities, and consumer preferences. These factors can cause fluctuations in demand that may be difficult to predict accurately. As a result, the local stores may adjust their orders based on their perceptions of future demand, leading to the bullwhip effect.

At the regional distribution center, the impact of these small changes in demand is magnified because the center is responsible for fulfilling orders from multiple local stores. As a result, the center may face difficulty in meeting the fluctuating demand, leading to inventory imbalances and higher costs.

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build corporation wants to purchase a new machine for $300,000. management predicts that the machine can produce sales of $200,000 each year for the next 5 years. expenses are expected to include direct materials, direct labor, and factory overhead (excluding depreciation) totaling $80,000 per year. the firm uses straight-line depreciation with no residual value for all depreciable assets. build's combined income tax rate is 40%. management requires a minimum after-tax rate of return of 10% on all investments. what is the net present value (npv) of the investment, rounded to the nearest whole dollar? (the pv annuity factor for 5 years, 10% is 3.791.) assume that the cash inflows occur at year-end.

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The net present value is a measure of the expected profitability of an investment by comparing the present value of its expected cash inflows to the cost of the investment. In this scenario, Build's management can use the calculated net present value to make a more informed decision on whether to invest in the new machine.

To calculate the NPV, we need to first determine the cash inflows and outflows for each year. In this case, the cash inflow for each year is the sales revenue of $200,000, and the cash outflow is the total expenses of $80,000, excluding depreciation. To calculate the depreciation, we need to divide the cost of the machine ($300,000) by its useful life (5 years), which gives us an annual depreciation expense of $60,000. We subtract this depreciation expense from the cost of the machine to get the tax basis, which is $240,000.

To calculate the tax savings due to depreciation, we need to multiply the depreciation expense by the combined income tax rate of 40%, which gives us $24,000. We subtract this tax savings from the annual cash outflow of $80,000 to get a net cash outflow of $56,000 per year.

Using the PV annuity factor for 5 years at a rate of 10%, which is 3.791, we can calculate the present value of the net cash flows for each year. We multiply the annual net cash flow of $56,000 by the PV annuity factor of 3.791 to get a present value of $212,296. Adding up the present values for all 5 years gives us a total present value of $1,061,480.

To calculate the NPV, we subtract the initial cost of the machine ($300,000) from the total present value of the cash flows ($1,061,480), which gives us a net present value of $761,480. Rounded to the nearest whole dollar, the net present value of the investment is $761,480.

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if the cost of an item of inventory is $55.00 and the current replacement cost is $62.00, what is the amount included in inventory according to the lower of cost or market?

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According to the lower of cost or market (LCM) rule, inventory should be stated at the lower of cost or market value in the financial statements. In this case, the cost of the item is $55.00 and the current replacement cost is $62.00.

As the cost of the item is lower than the current market value, the amount included in the inventory according to the LCM rule should be $55.00.

The LCM rule is used to make sure that assets are not overstated on the balance sheet. This is because the value of assets may decrease over time due to factors such as inflation or technological advances. By using the lower of cost or market, companies can ensure that their assets are properly stated on the balance sheet. The LCM rule also helps to prevent income statement manipulation since inventory is recorded at a lower value than it would be if the market value was used.

The lower of cost or market rule is an important part of financial reporting and is used to make sure that companies are accurately representing their inventory on the balance sheet. By using the LCM rule, companies can ensure that their assets are properly stated and that any potential income statement manipulation is avoided.

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a financial manager must choose between two mutually exclusive projects, project a and project b. they have the following cash flows: year 0 year 1 year 2 year 3 year 4 project a -100 60 50 40 30 project b -100 20 40 40 100 the discount rate is 3%. which project should the manager accept, and what is its irr? group of answer choices project b: irr

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The present value of cash flows for project A is $123.56, and for project B it is $191.39. Since project B has a higher present value of cash flows, the financial manager should accept project B.

The internal rate of return (IRR) for project B is 16.6%, which is higher than the discount rate of 3%. Therefore, project B is also financially attractive since it generates a rate of return greater than the required rate of return.

To calculate the present value of cash flows for each project, the cash flows for each year are discounted at a rate of 3% using the present value formula. The sum of the discounted cash flows is the present value of cash flows.

The project with the higher present value of cash flows should be selected. The IRR of a project is the discount rate that makes the net present value of the project's cash flows equal to zero. If the IRR is greater than the required rate of return, the project is financially attractive.

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as a farmer, rick leonard is familiar with the economics of perfect competition. how is the price at which he sells his corn determined?

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The price at which Rick Leonard is able to sell his corn is determined by the forces of supply and demand in the market in which he operates.

As a farmer in a perfectly competitive market, Rick Leonard does not have any control over the price of his corn, as he has no influence on the market price. The price at which he is able to sell his corn is determined by the interaction of the total supply of corn in the market and the total demand for corn in the market.

If the market price is higher than the price at which he is able to supply his corn, then he will not be able to sell his corn. On the other hand, if the market price is lower than the price at which he is able to supply his corn, then he will be able to sell his corn at the prevailing market price. Ultimately, the price of corn in a perfectly competitive market is determined by the interaction of the total supply and demand in the market.

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there is only one way to measure success in advertising and integrated brand promotion. select one: true false

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False. There is not only one way to measure success in advertising and integrated brand promotion. The success of an advertising or integrated brand promotion campaign can be measured in various ways, depending on the objectives and goals of the campaign.

One common way to measure success is by analyzing the return on investment (ROI) of the campaign. This can be done by comparing the amount of money spent on the campaign with the revenue generated as a result of the campaign. Other ways to measure success can include measuring brand awareness, customer engagement, social media mentions, and website traffic.

Moreover, it is essential to have clear and specific objectives and goals when measuring the success of an advertising or integrated brand promotion campaign. The metrics used to measure success should align with the objectives and goals of the campaign. For instance, if the goal is to increase brand awareness, then metrics such as website traffic, social media mentions, and engagement rate can be used to measure success.

In conclusion, there is no single way to measure success in advertising and integrated brand promotion. The key is to establish clear objectives and goals, choose the appropriate metrics to measure success, and continually evaluate and adjust the campaign strategy to achieve the desired outcomes.

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which subjective forecasting method depends upon the anonymous opinion of a panel of individuals to generate sales forecasts? group of answer choices jury of executive opinion. customer surveys. none of the above. sales force composites. delphi method.

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The subjective forecasting method that depends upon the anonymous opinion of a panel of individuals to generate sales forecasts is D. Delphi Method.

The Delphi Method is a structured communication technique that gathers expert opinions through a series of questionnaires. The anonymity of the panel members encourages open and unbiased feedback, as well as prevents the influence of dominant individuals in the decision-making process. This method is particularly useful when historical data is scarce or when a situation involves a high degree of uncertainty. The panelists participate in multiple rounds of questionnaires, and the results are shared and discussed after each round.

This iterative process refines the forecasts and allows the experts to revise their opinions based on the collective wisdom of the group. Ultimately, the Delphi Method seeks to achieve a consensus forecast, combining the expertise and judgment of various individuals to generate a more reliable sales forecast than could be achieved by any single expert. Therefore, the correct option is D.

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which subjective forecasting method depends upon the anonymous opinion of a panel of individuals to generate sales forecasts? group of answer choices

A. jury of executive opinion.

B. customer surveys.

C. sales force composites.

D. delphi method.

E.  none of the above.

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There are various ways corporations raise capital, as the module readings explain. How would a small startup go about raising funds and capital to expand and grow. What other ways besides the ones listed above could an entrepreneur use to secure startup capital, and what laws are there to help protect the investor.
This is just a discussion question. That's all the information that I have.
-answer should be about 300 words

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Small startups can raise funds and capital through various ways, such as angel investors, venture capitalists, crowdfunding, and loans. In addition, entrepreneurs can also explore alternative sources of capital, such as grants and incubators.

Small startups typically have limited financial resources and need to raise capital to expand and grow. There are several ways that entrepreneurs can secure startup capital.

Angel Investors: Angel investors are wealthy individuals who invest their own money in startups in exchange for equity. They can provide capital, industry expertise, and valuable connections to the startup.

Venture Capitalists: Venture capitalists are professional investors who invest in high-growth startups with the potential for significant returns. They provide larger amounts of capital than angel investors but also require a larger equity stake in the startup.

Crowdfunding: Crowdfunding platforms allow entrepreneurs to raise capital from a large number of individuals, typically through small contributions. This method is ideal for startups that have a strong community following or a unique product or service.

Loans: Entrepreneurs can also secure startup capital through loans, such as Small Business Administration (SBA) loans, bank loans, or personal loans. However, loans typically require collateral and may come with high interest rates.

Grants and Incubators: Entrepreneurs can explore alternative sources of capital, such as grants and incubators. Grants are non-repayable funds provided by government agencies, non-profit organizations, or corporations. Incubators are programs that provide startups with resources, mentorship, and funding in exchange for equity.

Investor protection laws, such as the Securities Act of 1933 and the Securities Exchange Act of 1934, require companies to disclose material information to investors and protect against fraud.

In addition, the JOBS Act of 2012 created new crowdfunding exemptions for startups and established rules for equity crowdfunding platforms. These laws help protect investors and promote transparency in the startup funding process.

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Rock Haven has a proposed project that will generate sales of 1,755 units annually at a selling price of $25 each. The fixed costs are $14,400 and the variable costs per unit are $7.15. The project requires $29,800 of fixed assets that will be depreciated on a straight-line basis to a zero book value over the 4-year life of the project. The salvage value of the fixed assets is $7,500 and the tax rate is 34 percent. What is the operating cash flow? Multiple Choice $8.288 O $21,304 O $13,705 $16.744 O o $8,639

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Choice C is accurate:-$13,705 We must first calculate the annual operating income, which is equal to the annual sales multiplied by the annual operating expenses, in order to obtain the operating cash flow.

What is the operating cash flow efficiency?

In essence, it's a computation of efficiency that displays how much money was made during a specific period by a company's routine operating activities. As a result, it displays the cash flow produced by corporate operations without taking into account any secondary sources of income like investments or interest.

Annual Sales Revenue is calculated as Selling Price x Sold Units.

Annual Variable Costs = Variable Cost per Unit x Number of Sold Units = Variable Cost per Unit x Annual Sales Revenue = $25 x 1,755 = $43,875

Annual Variable Costs: $12,542.25 ($7.15 multiplied by 1,755)

$14,400 in annual fixed costs

Annual Operating Income is calculated as follows: $43,875 – (12,542.25 – 14400) = $16,932.75

Operating Cash Flow = Annual Operating Income + Depreciation Expense - Taxes Operating Cash Flow = $16,932.75 + $5,825 - (0.34 x $5,825) = $13,705.50 Depreciation Expense = Fixed Asset Cost - Salvage Value / Useful Life Depreciation Expense = ($29,800 - $7,500) / 4 = $5,825

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