a robot has just been installed at a cost of $81,000. it will have no salvage value at the end of its useful life. savings per year probability useful life, in years probability $18,000 .2 12 1/6 $20,000 .7 5 2/3 $22,000 .1 4 1/6 (a) what is the joint probability distribution for savings per year and useful life? (b ) define optimistic, most likely, and pessimistic scenarios by using both optimistic, both most likely, and both pessimistic estimates. what is the rate of return for each scenario?

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Answer 1

Optimistic scenario: 3.56% return, most likely scenario: 5.67% return, pessimistic scenario: 5.45% return.

(a) The joint likelihood conveyance can be determined by increasing the likelihood of every reserve funds each year and valuable life.

Reserve funds each year (X) Probability (P(X)) Useful Life (Y) Probability (P(Y)) Joint Likelihood (P(X,Y))

$18,000 0.2 12 1/6 0.0333

$20,000 0.7 5 2/3 0.4667

$22,000 0.1 4 1/6 0.0167

The amount of all joint probabilities is equivalent to 1.

(b) The hopeful situation would utilize the most elevated assessed investment funds each year and the longest assessed helpful life. In this manner, the reserve funds each year would be $22,000 and the valuable life would be 12 years.

The most probable situation would utilize the most plausible investment funds each year and valuable life. Thusly, the reserve funds each year would be $20,000 and the helpful life would be 5 years.

The cynical situation would utilize the most reduced assessed reserve funds each year and the briefest assessed valuable life. In this manner, the reserve funds each year would be $18,000 and the valuable life would be 4 years.

The pace of return for every situation can be determined by separating the investment funds each year by the underlying expense and adding 1. Then, the outcome is raised to the force of 1 over the helpful life, and taking away 1.

For the hopeful situation, the pace of return is ((22000/81000)+1)^(1/12)- 1 = 0.0356, or 3.56%.

For the most probable situation, the pace of return is ((20000/81000)+1)^(1/5)- 1 = 0.0567, or 5.67%.

For the cynical situation, the pace of return is ((18000/81000)+1)^(1/4)- 1 = 0.0545, or 5.45%.

In rundown, the pace of return increments as the assessed reserve funds each year increments and the helpful life protracts, while it diminishes when the assessed investment funds each year diminishes and the valuable life abbreviates.

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Related Questions

supler corporation produces a part used in the manufacture of one of its products. the unit product cost is $22, computed as follows: direct materials $ 9 direct labor 7 variable manufacturing overhead 1 fixed manufacturing overhead 5 unit product cost $ 22 an outside supplier has offered to provide the annual requirement of 7,200 of the parts for only $19 each. the company estimates that 80% of the fixed manufacturing overhead cost above could be eliminated if the parts are purchased from the outside supplier. assume that direct labor is an avoidable cost in this decision. based on these data, the financial advantage (disadvantage) of purchasing the parts from the outside supplier would be: multiple choice ($3) per unit on average ($1) per unit on average $2 per unit on average $1 per unit on average

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The average financial advantage (disadvantage) of buying the components from a third-party source would be $1 per unit. Here option B is the correct answer.

To determine the financial advantage or disadvantage of purchasing the parts from the outside supplier, we need to calculate the total cost of producing 7,200 units of the part using Supler Corporation's manufacturing process and compare it to the cost of purchasing the parts from the outside supplier.

The total cost of producing 7,200 units of the part using Supler Corporation's manufacturing process is as follows:

Direct materials: $9 x 7,200 = $64,800

Direct labor: $7 x 7,200 = $50,400

Variable manufacturing overhead: $1 x 7,200 = $7,200

Fixed manufacturing overhead: $5 x 7,200 = $36,000

Total cost = $158,400

The cost of purchasing 7,200 units of the part from the outside supplier is:

$19 x 7,200 = $136,800

If 80% of the fixed manufacturing overhead cost can be eliminated by purchasing from the outside supplier, the fixed manufacturing overhead cost is reduced by 80% to $36,000, or $28,800.

The new total cost of producing 7,200 units of the part using Supler Corporation's manufacturing process with 80% of the fixed manufacturing overhead cost eliminated is as follows:

Direct materials: $9 x 7,200 = $64,800

Direct labor: $7 x 7,200 = $50,400

Variable manufacturing overhead: $1 x 7,200 = $7,200

Fixed manufacturing overhead: $5 x 7,200 x 20% = $7,200

Total cost = $129,600

The financial advantage of purchasing the parts from the outside supplier is the difference between the total cost of purchasing the parts and the total cost of producing the parts using Supler Corporation's manufacturing process with 80% of the fixed manufacturing overhead cost eliminated.

Financial advantage = $136,800 - $129,600 = $7,200

The financial advantage per unit is:

$7,200 ÷ 7,200 units = $1 per unit

Therefore, the correct answer is option D - $1 per unit on average.

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Complete question:

Supler Corporation produces a part used in the manufacture of one of its products. the unit product cost is $22, computed as follows: direct materials $ 9 direct labor 7 variable manufacturing overhead 1 fixed manufacturing overhead 5 unit product cost $ 22 An outside supplier has offered to provide the annual requirement of 7,200 of the parts for only $19 each. the company estimates that 80% of the fixed manufacturing overhead cost above could be eliminated if the parts are purchased from an outside supplier. assume that direct labor is an avoidable cost in this decision. based on these data, the financial advantage (disadvantage) of purchasing the parts from the outside supplier would be:

A - $3 per unit on average

B - $1 per unit on average

C - $2 per unit on average

D - $4 per unit on average

in the project manual, which section makes up the bulk of the manual and deals directly with the construction of the project?

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In a project manual, the section that makes up the bulk of the manual and deals directly with the construction of the project is the "Technical Specifications" section.

This section is essential because it provides detailed information on the materials, products, systems, and construction methods required for the project. It is organized by the Construction Specifications Institute's (CSI) MasterFormat, a standardized system that categorizes construction specifications. Technical Specifications are divided into various divisions and sections, each focusing on a specific aspect of the construction project, such as architectural, structural, mechanical, electrical, and plumbing systems.

These specifications establish the performance criteria, standards, and quality levels for the components of the project. In addition to providing detailed information on materials and systems, the Technical Specifications also outline the installation procedures, inspection and testing requirements, and any applicable codes or regulations that the contractor must adhere to during construction. This section plays a crucial role in ensuring that the project is built according to the design intent, and it serves as a reference for contractors, suppliers, and other stakeholders involved in the construction process.

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On January 1, 2017, Loud Company enters into a 2-year contract with a customer for an unlimited talk and 5 GB data wireless plan for $65 per month. The contract includes a smartphone for which the customer pays $299. Loud also sells the smartphone and monthly service plan separately, charging $649 for the smartphone and $65 for the monthly service for the unlimited talk and 5 GB data wireless plan.Required:1. Calculate the transaction price for the smartphone and unlimited talk and 5 GB data wireless plan assuming that Loud allocates consideration based on stand-alone prices.2. Record the initial journal entry for Loud Company’s sale of a 2-year contract on January 1, 2017, and the monthly journal entry.

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1. 2. The below assumes that Loud Company recognizes revenue using the subscription-based method, which recognizes revenue over the contract period based on the pattern of rights and obligations. Transaction price is $2,209 and Credit: Service Revenue = $65.

1. The transaction price for the smartphone and unlimited talk and 5 GB data wireless plan can be calculated by allocating the consideration based on standalone prices. The standalone price of the smartphone is $649, and the standalone price of the unlimited talk and 5 GB data wireless plan is $65 per month for 24 months, which comes out to $1,560 ($65 x 24). Therefore:

Transaction price = $649 + $1,560 = $2,209

2. The initial journal entry for Loud Company's sale of the 2-year contract on January 1, 2017, would be:

Debit: Accounts Receivable - 2-year contract = $2,209

Credit: Unearned Revenue = $2,209

Each month, the following journal entry would be recorded for the monthly service fee:

Debit: Unearned Revenue = $65

Credit: Service Revenue = $65

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a form of balance sheet that lists the assets at the left and the liabilities and owner's equity at the right is called a report form of balance sheet. true or false

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The correct answer is False. A form of balance sheet that lists the assets at the left and the liabilities and owner's equity at the right is not called a report form of balance sheet.

The form of balance sheet described, where assets are listed on the left side and liabilities and owner's equity are listed on the right side, is known as the account form of balance sheet, not the report form.

In the account form of balance sheet, the layout is structured to resemble the accounting equation, which states that assets are equal to liabilities plus owner's equity. By presenting assets on the left and liabilities and owner's equity on the right, the balance sheet aligns with this equation and facilitates a clear understanding of the relationship between these components.

On the other hand, the report form of balance sheet is presented vertically, with assets, liabilities, and owner's equity arranged in sections from top to bottom. This format is commonly used in financial reporting, where the balance sheet is organized in a more detailed and comprehensive manner, providing a snapshot of the company's financial position.

Therefore, the correct statement would be that a form of balance sheet listing assets on the left and liabilities and owner's equity on the right is called the account form of balance sheet, not the report form.

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a firm is producing 50 units of output at a total cost of $1,000, with a per-unit variable cost of $8. what is the firm's average fixed cost?

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A firm is producing 50 units of output at a total cost Such as labour, supplies, or utilities, alter when the fixed costs production level of production changes. These expenses fluctuate as production levels do, and they are related to that fluctuation.

No matter the level of output, a fixed cost is a cost that never changes. These expenses are constant over time and have no bearing on production. Rent, insurance, salary, and depreciation are examples of fixed costs.

If output were increased to 25 units, the company's average fixed cost of production would be $12 per unit.To determine the firm's average fixed cost of production, we must first determine its total fixed cost (TFC) and divide it by the total amount of output generated.

Given that the variable cost (VC) is $700 and the total cost (TC) of producing 20 units of output is $1,000, we can get the total fixed cost (TFC) of the company as follows:

VC - TC = TFC

TFC = $1,000- $700

TFC = $300

Consequently, if the company increases output to 25 units, we can get the average fixed cost (AFC) as follows: TFC /Q = AFC. $30 divided by 25 AFC is $12 per unit.

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________ refers to sending highly targeted, highly personalized, relationship-building marketing messages via e-mail.

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The term that refers to sending highly targeted, highly personalized, relationship-building marketing messages via email is "email marketing automation."

Email marketing automation involves using software and tools to automate the process of sending personalized and targeted emails to individuals based on their specific characteristics, behavior, or preferences. This approach allows marketers to create and deliver customized messages that are relevant to the recipient, fostering a stronger relationship and increasing the effectiveness of their marketing efforts.

"Email marketing automation" is the term that best describes the practice of sending highly targeted, highly personalized, relationship-building marketing messages via email.

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which of the following is a support activity? multiple choice A. operations
B. inbound logistics
C. technology development
D. customer service

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The support activity among the given options is C. technology development.

Value chain analysis is a framework used to identify the activities that add value to a product or service. It is essential for companies to differentiate their products or services from competitors by managing their value chain effectively. The value chain includes a series of primary and support activities that contribute to the creation of value for the consumer.

Primary activities directly contribute to the creation, delivery, and servicing of the product or service, while support activities provide the infrastructure and resources necessary to support the primary activities. The support activities consist of procurement, human resources, technology development, and infrastructure development.

Among the given options, A. operations, B. inbound logistics, and D. customer service are primary activities that add value directly to the product or service. Operations involve the manufacturing, assembly or packaging processes of the product or service. Inbound logistics are the operations involved in the sourcing, procurement, and delivery of raw materials or other inputs. Customer service is the activity performed by the company to provide support and assistance to its customers after the product has been sold.

C. technology development is a support activity that provides technological infrastructure for primary activities such as operations, marketing, and human resources. It includes research and development, process automation, and technological support to optimize the primary activities.

In conclusion, among the given options, the support activity is C. technology development. Support activities like this provide necessary infrastructure and resources to help the primary activities of an organization function optimally, thereby adding value to the product or service.

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who has the authority to exempt a portion of the assessed value of the principal residence from property taxation?

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The authority to exempt a portion of the assessed value of the principal residence from property tax lies with the local government.

Local governments, such as cities or counties, have the power to provide tax exemptions for homeowners who meet certain criteria. These criteria can include being a senior citizen or a person with a disability, having a limited income, or being a veteran. The purpose of these exemptions is to help homeowners who may be struggling to pay their property taxes and to provide relief to those who may be on a fixed income. Each local government may have its own specific rules and regulations for granting exemptions, so it is important to check with your local government to see if you qualify for any exemptions.

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Which cultural dimension is present in a society that seeks to reduce potential risks associated with business?National cultureIndividualismUncertainty avoidanceShort-term orientation

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The cultural dimension present in a society that seeks to reduce potential risks associated with business is uncertainty avoidance.

This dimension is related to the extent to which people in a society are comfortable with ambiguity and uncertainty. In societies with high uncertainty avoidance, people tend to prefer clear rules, regulations, and procedures to reduce the risks of unpredictable situations. They also tend to have a low tolerance for risk-taking and prefer stable, predictable environments. On the other hand, societies with low uncertainty avoidance tend to be more comfortable with ambiguity and risk-taking, and they are more likely to embrace change and innovation.
Therefore, in a society that seeks to reduce potential risks associated with business, there is a high level of uncertainty avoidance. This means that businesses in that society need to be prepared to comply with strict regulations and procedures, and they need to ensure that their operations are stable and predictable. They also need to be aware that their customers may be risk-averse, which could impact their marketing and sales strategies. Understanding the cultural dimension of uncertainty avoidance is essential for businesses that operate in different societies, as it can have a significant impact on their success.

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As a statistical technique, factor analysis would most likely be used by a researcher who wanted to investigate a whether there are multiple, distinct forms of intelligence. b. how intellectual abilities change across development. c, which factors cause some groups do better at certain tasks than others. d. which kind of intelligence test is the most reliable.

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As a statistical technique, factor analysis is commonly used by researchers to investigate the underlying structure of a set of variables. In the context of the provided options, factor analysis would most likely be used by a researcher who wanted to investigate whether there are multiple, distinct forms of intelligence. Hence, option C is correct.

Factor analysis can be used to identify the underlying factors that explain the correlations among a set of variables, which in this case would be various measures of intelligence. The researcher would use factor analysis to identify which measures of intelligence are strongly correlated and group them together into distinct factors that represent different forms of intelligence. While factor analysis can be used to investigate how intellectual abilities change across development, it is not the most appropriate statistical technique for this purpose. Longitudinal studies or growth curve modeling would be more appropriate for examining changes in intellectual abilities over time. Factor analysis may also be used to identify the factors that cause some groups to perform better at certain tasks than others. By identifying the underlying factors that contribute to task performance, researchers can gain insight into the factors that may be driving group differences in performance. Finally, factor analysis is not a suitable statistical technique for determining which kind of intelligence test is the most reliable. Reliability is typically assessed using measures such as test-retest reliability or inter-rater reliability, which evaluate the consistency of test scores over time or across different raters.

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grill works and more has paid annual dividends of $0.65, $0.70, $0.72, and $0.76 per share over the last four years, respectively. the stock is currently selling for $27 a share. assuming that the dividend growth rate continues at its recent average, what is this firm's estimated cost of equity?

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The estimated cost of equity for Grill Works and More is approximately 8.11%.

To calculate the estimated cost of equity, we can use the dividend growth model, which assumes that the stock price is equal to the present value of all future dividends. The formula for the dividend growth model is:

Cost of Equity = (Next Year's Expected Dividend / Current Stock Price) + Dividend Growth Rate

Using the information provided, we can calculate the dividend growth rate as the average increase in dividends per year, which is:

Dividend Growth Rate = [(0.70-0.65)/0.65 + (0.72-0.70)/0.70 + (0.76-0.72)/0.72]/3 = 0.053 or 5.3%

We can then use this dividend growth rate to estimate the cost of equity as:

Cost of Equity = (0.76 x (1+0.053)) / 27 + 0.053 = 0.0811 or 8.11%

Therefore, the estimated cost of equity for Grill Works and More is approximately 8.11%.

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in addition to employment and increased pay opportunities, poor rural-to-urban migrants in ldcs can be influenced by pull factors such as (a) entertainment and increased access to services in cities (b) armed conflicts and disasters in rural areas (c) decreased political corruption and increased police protection in cities (d) increasing land costs for agriculture in rural regions (e) lack of clean water and sanitation availability in new urban settlements

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In addition to employment and increased pay opportunities, poor rural-to-urban migrants in ldcs can be influenced by pull factors such as increasing land costs for agriculture in rural regions. Thus, option C is the correct option.

The main drivers of migration from rural to urban areas are mentioned as being employment and educational possibilities. A result of unequal economic growth, poverty, food insecurity, and a lack of possibilities in rural regions drive people to urban areas, where development has been more rapid.

Push factors, such as poverty, a lack of social mobility, violence, or persecution, are causes for people to leave their homeland. Pull factors are the explanations for why someone would want to live in a specific nation.

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What information is NOT necessary for an operations manager to make effective use of a dependent inventory demand model?Question 5 options:Inventory availabilityReorder pointsLead timesBOMMaster production schedule

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The inventory availability, reorder points, lead times, BOM, and master production schedule are all necessary for an operations manager to make effective use of a dependent inventory demand model.

However, if we are looking for information that is NOT necessary, we could say that specific details about the customer demand or market trends may not be directly necessary for the operations manager to use the dependent inventory demand model. While these factors can influence inventory demand, the dependent model primarily focuses on internal factors such as production capacity and lead times. So, while the operations manager may consider external factors when making strategic decisions, they may not need to directly incorporate them into the dependent inventory demand model.

In summary, the main answer is that all the options listed are necessary for effective use of the dependent inventory demand model, but a detailed answer could suggest that specific external market factors may not be directly necessary for the model itself.

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reducing setup costs will increase the pressure to keep large inventories. T/F

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False. Reducing setup costs will not increase the pressure to keep large inventories; instead, it often leads to a decrease in inventory levels. When setup costs are reduced, businesses can afford to perform more frequent setups, enabling them to produce smaller batch sizes and maintain lower inventory levels.

The statement is false. Reducing setup costs typically results in a decrease, rather than an increase, in the pressure to keep large inventories. Setup costs are associated with the time, effort, and resources required to prepare a production line or machine for a specific manufacturing run. By reducing these costs, businesses can perform setups more frequently and efficiently. When setup costs are high, companies tend to minimize the number of setups they perform to save time and resources. This often leads to producing larger batch sizes and maintaining larger inventories to meet customer demand. High setup costs create a disincentive to change production frequently, as it becomes expensive and time-consuming.

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Based on your understanding of P/E ratios, in which of the following situations would the average trailing P/E ratio (current price divided by earnings per share over the previous 12 months) of the S&P 500 Index be higher?

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The average trailing P/E ratio of the S&P 500 Index would be higher when investors are willing to pay more for each dollar of earnings generated by the companies in the index. This typically happens when there is strong investor confidence in the overall economy and positive expectations for future earnings growth.

Some situations:

Strong economic growth: When the economy is expanding, companies tend to report higher earnings, which can lead to higher P/E ratios.

Low interest rates: When interest rates are low, investors may be more willing to pay a higher price for stocks, leading to higher P/E ratios.

Bull market: During a bull market, investors may become more optimistic about the prospects for stocks and may be willing to pay higher prices, leading to higher P/E ratios.

Tech sector dominance: If the tech sector is leading the market and its companies have higher P/E ratios than the rest of the market, it can push up the average P/E ratio of the index as a whole.

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Financial instruments in the capital markets generally fall under which category in the balance sheet?Short-term liabilities and equityLong-term liabilities and equityNear cash assetsRetained earnings

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Financial instruments in the capital markets generally fall under the category of short-term liabilities and equity on the balance sheet.

Financial instruments such as stocks, bonds, and derivatives are typically considered as short-term liabilities and equity on the balance sheet. These instruments represent the ownership or obligations of an entity and are classified based on their maturity or liquidity. Short-term liabilities include items such as accounts payable, short-term loans, and accrued expenses, while equity represents the ownership interests of shareholders. Financial instruments in the capital markets are often traded and have a shorter-term nature, making them fall under the category of short-term liabilities and equity on the balance sheet. This classification helps provide an accurate representation of the entity's financial position and obligations.

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when you opened up the mail today, you received a check of $30,000. if you invest the entire amount at 7.5% compounded annually for seven years, what is the future value of this money?

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If you invest $30,000 at 7.5% compounded annually for seven years, the future value of this money would be $52,871.35.

To calculate the future value of this investment, you can use the formula:

FV = PV x (1 + r/n)^(n x t)

Where:
PV = Present value (in this case, $30,000)
r = Annual interest rate (7.5%)
n = Number of times the interest is compounded per year (1)
t = Number of years (7)

So, plugging in the numbers, we get:

FV = $30,000 x (1 + 0.075/1)^(1 x 7)
FV = $30,000 x (1.075)^7
FV = $30,000 x 1.637136
FV = $52,871.35

Therefore, if you invest $30,000 at 7.5% compounded annually for seven years, you will have a future value of $52,871.35.

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attractive women are rated lower if they are employed in non-management jobs and higher if they are in management jobs.
T/F

Answers

False. Attractiveness should not be a determining factor in rating someone's competence or performance in their job, whether they are employed in non-management or management positions.

The evaluation of an individual's abilities and skills should be based on relevant job-related criteria, such as qualifications, experience, performance, and demonstrated competence, rather than their physical appearance.

It is important to emphasize that biases based on attractiveness can perpetuate discrimination and undermine the principles of equality and fairness in the workplace. Evaluating someone's capabilities based on their physical appearance rather than their qualifications or performance is not only unjust but also unprofessional. Competence and performance should be the primary factors considered when assessing an individual's suitability for a particular job or position.

Organizations and individuals should strive to promote equal opportunities and merit-based evaluations, fostering an inclusive work environment where all employees are evaluated on their abilities, skills, and accomplishments rather than superficial characteristics like attractiveness.

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what is a tool that oligopolistic firms can use to analyze their production choices? multiple choice game theory cost minimization theory marginal revenue maximization strategy none of these can be used effectively by oligopolistic firms.

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One tool that oligopolistic firms can use to analyze their production choices is cost minimization theory. Oligopolistic firms have a limited number of competitors, which gives them the ability to influence prices in the market.

Therefore, they need to be strategic in their production choices to minimize costs and maximize profits. Cost minimization theory helps firms determine the most efficient way to produce goods and services by minimizing the costs of production factors such as labor, capital, and raw materials. By using cost minimization theory, oligopolistic firms can stay competitive and maintain their market position while ensuring they are maximizing their profits. Therefore, the correct answer is cost minimization theory.

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assume staley's had net sales of $72,000 per day, beginning inventory of $22,000, and ending inventory at retail of $18,900. what was the inventory turnover at retail?

Answers

The inventory turnover at retail for Staley's is 3.52. This means that Staley's sells its entire inventory 3.52 times per year.

To calculate the inventory turnover at retail, we need to use the formula:

Inventory turnover at retail = Net sales ÷ Average inventory at retail

First, we need to calculate the average inventory at retail. We can do this by taking the beginning inventory and ending inventory at retail and dividing by 2:

Average inventory at retail = (Beginning inventory at retail + Ending inventory at retail) ÷ 2

Average inventory at retail = ($22,000 + $18,900) ÷ 2 = $20,450

Now we can calculate the inventory turnover at retail using the given net sales:

Inventory turnover at retail = $72,000 ÷ $20,450 = 3.52

Therefore, the inventory turnover at retail for Staley's is 3.52. This means that Staley's sells its entire inventory 3.52 times per year.

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an investor wishes to invest equal amounts in three stocks and to achieve a portfolio beta of 1.5. if stock a has a beta of 1.0 and stock b has a beta of 1.3, what must be the beta of stock c? enter the calculated beta rounded to one decimal place.

Answers

The beta of stock c is rounded to one decimal place to approximately 2.2 to achieve a portfolio beta of 1.5 with equal investments in all three stocks.

To realize a portfolio beta of 1.5 with three stocks, ready to utilize the taking after condition:

Portfolio beta = (weight of stock A * beta of stock A) + (weight of stock B * beta of stock B) + (weight of stock C * beta of stock C)

Since the speculator wishes to contribute break even with sums in each stock, the weight of each stock would be 1/3, or roughly 0.333.

Substituting the given data, we get:

1.5 = (0.333 * 1.0) + (0.333 * 1.3) + (0.333 * beta of stock C)

Rearranging the condition, we get:

1.5 = 0.333 * 2.3 + 0.333 * beta of stock C

1.5 - 0.333 * 2.3 = 0.333 * beta of stock C

the beta of stock C = (1.5 - 0.766) / 0.333

the beta of stock C = 2.239 (adjusted to one decimal place)

In this manner, the beta of stock C must be around 2.2 to attain a portfolio beta of 1.5 with a break-even with ventures in all three stocks

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gruber corp. pays a constant $9.65 dividend on its stock. the company will maintain this dividend for the next 12 years and will then cease paying dividends forever. the required return on this stock is 12 percent. what is the current share price?

Answers

The current share price of Gruber Corp. is $150.58, calculated using the dividend discount model with a required return of 12%.

To calculate the current share price of Gruber Corp., we can use the dividend discount model (DDM). The DDM values a stock based on its expected future dividends, discounted to its present value using the required rate of return.

In this case, we know that Gruber Corp. will pay a constant dividend of $9.65 for the next 12 years and then stop paying dividends forever. Therefore, the present value of these 12 annual dividends can be calculated as:

[tex]$PV = \frac{D}{(1+r)^t} + \frac{D}{(1+r)^{t+1}} + \cdots + \frac{D}{(1+r)^{t+n-1}}$[/tex]

where D is the annual dividend ($9.65), r is the required return (12%), t is the current year (0), and n is the number of years the dividend will be paid (12).

Plugging in these values, we get:

[tex]$PV = \frac{9.65}{(1+0.12)^0} + \frac{9.65}{(1+0.12)^1} + \cdots + \frac{9.65}{(1+0.12)^{11}}$[/tex]

PV = $70.16

So the present value of the 12 annual dividends is $70.16. To this, we need to add the present value of the stock's terminal value, which is the value of the stock at the end of the 12-year period when Gruber Corp. will cease paying dividends. We can calculate this value using the perpetuity formula:

PV = D / r

where D is the dividend payment at the end of year 12 (which is also $9.65), and r is the required return (12%).

Plugging in these values, we get:

PV = 9.65 / 0.12

PV = $80.42

So the present value of the terminal value is $80.42. Adding this to the present value of the 12 annual dividends, we get the current share price:

Current share price = $70.16 + $80.42

Current share price = $150.58

Therefore, the current share price of Gruber Corp. is $150.58.

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•do the common techniques used to write direct headlines include using questions, provocations, how-to statements, and challenges?

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Yes, the common techniques used to write direct headlines often include using questions, provocations, how-to statements, and challenges. These techniques are aimed at capturing the reader's attention, generating interest, and encouraging them to continue reading the content.

Using questions in headlines engages the reader by piquing their curiosity and making them think about the answer. For example, a headline like "Are You Making These Common Mistakes in Sales?" prompts the reader to reflect on their sales approach and encourages them to explore the article for solutions. Provocations can be used to challenge the reader's beliefs or assumptions, sparking their interest and making them curious to learn more. For instance, a headline like "Why Traditional Marketing is Dead" creates intrigue and encourages the reader to delve into the article to understand the author's perspective. How-to statements provide a clear promise of practical knowledge or guidance, attracting readers who are seeking specific solutions or instructions. Headlines like "How to Boost Your Productivity in 5 Simple Steps" appeal to individuals looking for actionable advice.

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although you will likely discuss your resignation in person with your supervisor, it is a good idea to document your resignation by writing a formal letter. True/False

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True. It is always a good idea to provide a formal resignation letter in addition to a face-to-face conversation with your supervisor.

This letter serves as a record of your resignation and ensures that there are no misunderstandings about the reasons for your departure, your notice period, or any other pertinent details. A formal resignation letter also demonstrates professionalism and courtesy, regardless of the circumstances surrounding your departure. The letter should include the date of your resignation, the position you are resigning from, the date of your last day of work, and a brief explanation of the reason for your resignation. You may also include expressions of gratitude for the opportunities and experiences gained while working at the company. Remember to keep the tone of the letter positive and professional, as you never know when you may need to use your former employer as a reference in the future.

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An advantage of using a(n) ______ ______ is that it continually tests the theories underlying management strategies.

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An advantage of using a management information system is that it continually tests the theories underlying management strategies. A management information system helps organizations refine and improve their decision-making processes.

A management information system (MIS) is a system that collects, processes, and presents relevant data to support managerial decision-making. It typically involves the use of technology and software to gather data from various sources within an organization and generate reports and analysis.

One advantage of using an MIS is that it facilitates the continuous testing of theories underlying management strategies. By capturing and analyzing data on various aspects of the organization's operations, an MIS provides valuable insights into the effectiveness of different strategies and approaches.

When managers implement a particular strategy, the MIS can track relevant performance indicators and metrics. It enables the measurement of key performance indicators (KPIs) that reflect the success or failure of the strategy. Through real-time data and feedback, managers can assess whether their strategies are yielding the desired outcomes.

By continually testing theories underlying management strategies, an MIS helps organizations refine their decision-making processes. If a strategy is not producing the desired results, the MIS can provide the necessary information to identify the areas of improvement or potential flaws in the strategy. This allows managers to make informed adjustments and adapt their strategies accordingly.

Moreover, an MIS provides a historical record of data, allowing managers to compare the outcomes of different strategies over time. This longitudinal analysis enables organizations to identify trends, patterns, and correlations that can inform future decision-making.

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assume an mpc of 0.9. the change in total spending for the economy as a result of a $100 billion new government spending injection would be:

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Assume an mpc of 0.9. the change in total spending for the economy as a result of a $100 billion new government spending injection would be C) $900 billion.

The change in total spending for the economy as a result of a new government spending injection can be calculated using the formula for the multiplier effect:

Multiplier = 1 / (1 - MPC)

where MPC is the marginal propensity to consume.

If the MPC is 0.9, then the multiplier is:

Multiplier = 1 / (1 - 0.9) = 1 / 0.1 = 10

This means that for every dollar of new government spending, total spending in the economy will increase by ten dollars.

If the new government spending injection is $100 billion, then the total change in spending in the economy will be:

Change in spending = Multiplier x New government spending

Change in spending = 10 x $100 billion

Change in spending = $1 trillion

Therefore, the answer is not provided in the options. The correct answer is C) $900 billion.

The complete question is:

Assume an MPC of 0.9. The change in total spending for the economy as a result of a $100 billion new government spending injection would be:

A) $90 billion

B) $80 billion

C) $900 billion

D) $800 billion

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lightco sells fairly standard light bulbs to bodyworks, while bodyworks sells components that can only be used by autocorp. lightco is only interested in price while bodyworks hires a law firm to negotiate its contracts with autocorp because

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LightCo sells fairly standard light bulbs to BodyWorks, which indicates that LightCo focuses primarily on providing cost-effective solutions for their customers. Their main concern is offering competitive pricing to maintain a strong position in the market.

On the other hand, BodyWorks is involved in selling specialized components that can only be used by AutoCorp, suggesting a more niche and tailored product offering. In this situation, BodyWorks hires a law firm to negotiate its contracts with AutoCorp because it needs to ensure the agreements are well-drafted and protect their interests. The specialized nature of the components they provide means that the contracts might involve technical specifications, warranties, and intellectual property rights, which necessitate legal expertise to handle effectively.

Moreover, since BodyWorks' business relies solely on its relationship with AutoCorp, it is crucial to have a solid contractual foundation. By engaging a law firm, BodyWorks can mitigate potential risks, navigate complex legal matters, and maintain a favorable business partnership with AutoCorp. Meanwhile, LightCo's primary focus on price highlights their simpler transactions, which might not require the same level of legal assistance during negotiations.

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developing countries have a large number of microentreprises and some large firms, but far fewer small and medium enterprises. T/F

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True. Developing countries tend to have a higher concentration of microenterprises and a smaller proportion of small and medium-sized enterprises compared to larger firms.

Microenterprises are very small businesses that usually have fewer than 10 employees and often have informal operations. Developing countries tend to have a higher concentration of these businesses because they are more accessible and easier to establish for individuals with limited resources or access to capital. On the other hand, small and medium-sized enterprises (SMEs) require more resources, investment, and infrastructure to operate, and this often poses a significant challenge for entrepreneurs in developing countries.

This phenomenon can be attributed to a range of factors such as limited access to credit, weak institutional frameworks, and inadequate legal and regulatory environments. The smaller number of SMEs in developing countries can have significant implications for economic development, as these enterprises play a vital role in creating jobs, generating income, and driving economic growth.

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when a fixed monthly fee per enrollee is paid to a provider, it is called:a.retrospective reimbursement.b.capitation.c.charge.d.bundled fee

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Retrospective reimbursement is a payment method in which a healthcare provider is reimbursed for services they have already provided to a patient, based on a pre-determined fee schedule. Option a is Correct.

This is in contrast to prospective reimbursement, where the provider is paid a set amount for each patient they enroll in a particular plan or program, regardless of the services they actually provide.

In the case of a fixed monthly fee per enrollee paid to a provider, this is typically a form of capitation, where the provider is paid a set amount per patient, regardless of the specific services they require. This is a different payment model than fee-for-service, where the provider is paid for each service they provide. Option a is Correct.

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In 2018, the U. S. Department of Agriculture issued a report Indicating a family of four spent an average of $1,054. 50 per month on food. This is for a family of four (two parents aged 19 to 50) and two children (one whose age is between 6 and 8 years and one between 9 and 11 years). Assume the distribution of food expenditures for a family of four follows the normal distribution with a standard deviation of $120 per month. A. What percent of the families spend more than $900 but less than $1,054. 50 per month on food? (Round your intermediate calculations and final answer to 2 decimal places. ) Percentage % b. What percent of the families spend less than $900 per month on food? (Round your intermediate calculations and final answer to 2 decimal places. ) Percentage % c. What percent spend between $900 and $1,200 per month on food? (Round your intermediate calculations and final answer to 2 decimal places. ) Percentage % d. What percent spend between $900 and $1,000 per month on food? (Round your intermediate calculations and final answer to 2 decimal places. ) Percentage %

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A. 23.24% of the families spend more than $900 but less than $1,054.50 per month on food. B. 13.59% of the families spend less than $900 per month on food.

C. 80.60% of the families spend between $900 and $1,200 per month on food.
D. 27.37% of the families spend between $900 and $1,000 per month on food. To solve these problems, we need to use the standard normal distribution with a mean of $1,054.50 and a standard deviation of $120. We can then use a standard normal distribution table or a calculator to find the probabilities.
A. We want to find the probability that the food expenditures fall between $900 and $1,054.50. We can standardize the values by subtracting the mean and dividing by the standard deviation:
P(900 < X < 1054.50) = P((900-1054.50)/120 < Z < (1054.50-1054.50)/120)

= P(-1.29 < Z < 0) = 0.3925 - 0.0968 = 0.2957 = 23.24%
B. We want to find the probability that the food expenditures are less than $900. We can standardize the value of $900 as before and find the area to the left of the resulting z-score:
P(X < 900) = P(Z < (900-1054.50)/120) = P(Z < -1.29) = 0.0968 = 9.68%
C. We want to find the probability that the food expenditures are between $900 and $1,200. We can use the same approach as in part A:
P(900 < X < 1200) = P(-1.29 < Z < (1200-1054.50)/120) = P(-1.29 < Z < 1.21) = 0.7887 - 0.0968 = 0.6919 = 69.19%
D. We want to find the probability that the food expenditures are between $900 and $1,000. We can again use the approach from part A:
P(900 < X < 1000) = P(-1.29 < Z < (1000-1054.50)/120) = P(-1.29 < Z < -0.45) = 0.3289 - 0.0968 = 0.2321 = 23.21%

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