Analysis of an expansion project
Lumbering Ox Truckmakers is considering an investment that will have the following sales, variable costs, and fixed operating costs:
Year 1 Year 2 Year 3 Year 4
Sales (units) 5,500 5,200 5,700 5,820
Sales price $42.57 $43.55 $44.76 $46.79
Variable cost per unit $22.83 $22.97 $23.45 $23.87
Fixed costs, excluding depreciation $66,750 $68,950 $69,690 $68,900
Accelerated depreciation rate 33% 45% 15% 7% This project will require an investment of $25,000 in new equipment. The equipment will have no salvage value at the end of the project’s four-year life. Lumbering Ox Truckmakers pays a constant tax rate of 40%, and it has a required rate of return of 11%.
When using accelerated depreciation, the project’s net present value (NPV) is .____
When using straight-line depreciation, the project’s NPV is ._____
Using the depreciation method will result in the greater NPV for the project.
No other firm would take on this project if Lumbering Ox Truckmakers turns it down. How much should Lumbering Ox Truckmakers reduce the NPV of this project if it discovered that this project would reduce one of its division’s net after-tax cash flows by $400 for each year of the four-year project?
$745
$1,365
$1,241
$931
Lumbering Ox Truckmakers spent $2,500.00 on a marketing study to estimate the number of units that it can sell each year. What should Lumbering Ox Truckmakers do to take this information into account?
The company does not need to do anything with the cost of the marketing study because the marketing study is a sunk cost.
Increase the amount of the initial investment by $2,500.00.
Increase the NPV of the project $2,500.00.

Answers

Answer 1

When using accelerated depreciation, the project's net present value (NPV) is $3,484.29. When using straight-line depreciation, the project's NPV is $3,247.33. Using the accelerated depreciation method results in the greater NPV for the project.

If the project would reduce one of its division's net after-tax cash flows by $400 for each year of the four-year project, Lumbering Ox Truckmakers should reduce the NPV of the project by $931. So, the correct option is $931.

To take the marketing study into account, the company does not need to do anything with the cost of the marketing study because the marketing study is a sunk cost. It should already be included in the initial investment of $25,000. So, the correct answer is The company does not need to do anything with the cost of the marketing study because the marketing study is a sunk cost.

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Related Questions

which of the following scenarios best represents a premium that most banks pay for federal deposit insurance? core financial bank has $200 million in deposits and pays a premium of $2,250,000. lifespark financial bank has $300 million in deposits and pays a premium of $450,000. dominion bank has $500 million in deposits and pays a premium of $30,000. credit ally bank has $200 million in deposits and pays a premium of $3,600,000.

Answers

The premium paid by Dominion Bank, which has $500 million in deposits and pays a premium of $30,000, represents the best scenario for a premium that most banks pay for federal deposit insurance. Option(3)

Out of the scenarios given, the best example of a premium that most banks pay for federal deposit insurance is Dominion Bank, which has $500 million in deposits and pays a premium of $30,000.

This is because the premium charged by the FDIC is calculated based on The premium paid by Dominion Bank, which has $500 million in deposits and pays a premium of $30,000, represents the best scenario for a premium that most banks pay for federal deposit insurance.a percentage of a bank's deposits, and Dominion Bank's premium of $30,000 represents a very small percentage of its $500 million in deposits.

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Full Question: which of the following scenarios best represents a premium that most banks pay for federal deposit insurance?

core financial bank has $200 million in deposits and pays a premium of $2,250,000. lifespark financial bank has $300 million in deposits and pays a premium of $450,000. dominion bank has $500 million in deposits and pays a premium of $30,000. credit ally bank has $200 million in deposits and pays a premium of $3,600,000.

Can you Put the steps of starting a business in order?
identify a location
10
DOD
conduct market research
obtain permits
name the business
open a bank account for the business
develop a business structure
obtain funding
register the business
create a business plan
obtain federal and state tax ID numbers
CF
E C
n 0
4

Answers

The steps of starting a business can be put in order as follows:

Conduct market researchDevelop a business structureCreate a business planName the businessObtain fundingIdentify a locationObtain permitsRegister the businessObtain federal and state tax ID numbersOpen a bank account for the businessDOD (date of delivery or launch)

How to start a business

There are some basic measures that should be put in place while considering starting up a business. The first step to take will be to conduct market research. The aim of this research is to determine whether there is a demand for your product or service, and identify potential customers and competitors.

Next you have to develop business plan, choose a business name, and register the business. Funding and opening a social media account are also important.

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when renting a unit, the model may have a similar layout, it will be the most pristine one in the complex. therefore, what should you not make the mistake of viewing prior to signing a lease agreement?

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When renting a unit, you should not make the mistake of signing a lease agreement without viewing the actual unit you will be renting.

Even if the model unit has a similar layout and is in pristine condition, it may not accurately represent the condition of the actual unit you will be renting. There may be differences in the view, natural lighting, noise level, or other factors that can significantly impact your living experience.

Therefore, it is important to physically view the unit you will be renting to ensure that it meets your expectations and is in good condition before signing the lease agreement.

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Assume a society consisting of two individuals and two states,
where neither state Pareto dominates the other. Can either state be
called Pareto efficient? Discuss with an example.
Please include clea

Answers

In a society consisting of two individuals and two states, neither state can be called Pareto efficient if neither state Pareto dominates the other. Pareto efficiency refers to a state where no individual can be made better off without making another individual worse off.

For example, let's say there are two individuals, A and B, and two states, X and Y. In state X, A has 3 apples and B has 4 apples. In state Y, A has 4 apples and B has 3 apples. Neither state Pareto dominates the other because A prefers state Y (more apples) and B prefers state X (more apples).

However, neither state can be called Pareto efficient because if we were to redistribute the apples such that A has 4 apples and B has 3 apples (in either state X or Y), both individuals would be made better off without making the other individual worse off. Therefore, neither state can be considered Pareto efficient in this scenario.

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which statement is true about control over variability of resources between manufacturers and service organizations?

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the true statement about control over variability of resources between manufacturers and service organizations is that manufacturers typically have greater control over resource variability compared to service organizations.

Understanding control of manufacturer

Manufacturers can implement standardized processes, automation, and strict quality control measures to ensure consistent output of tangible products.

On the other hand, service organizations primarily deal with intangible services, often involving human interaction, making it challenging to achieve uniformity. Services are customized to individual customer needs, and the performance of employees can significantly impact service quality.

Thus, while manufacturers can minimize variability through systematic approaches, service organizations face more challenges in controlling variability due to the inherent nature of their offerings.

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written defamation, or defamation published over radio or television or digitally recorded, is termed ________.

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Written defamation, or defamation published over radio or television or digitally recorded, is termed libel. Libel is a type of defamation that involves the publication or broadcast of a false statement that harms someone's reputation.

Unlike slander, which involves spoken defamation, libel involves written or recorded defamation that can be distributed to a wide audience.

Libel laws vary by country and jurisdiction, but in general, a person who has been defamed through libel can seek damages in a civil court case. To prove libel, the plaintiff must show that the statement was false, that it was published or broadcast to others, and that it caused harm to their reputation. The plaintiff must also show that the statement was made with knowledge of its falsity or with reckless disregard for the truth.

Defamation, whether it is libel or slander, can have serious consequences for the victim, including damage to their reputation, loss of income, and emotional distress. It is important to be mindful of the impact of our words and actions and to ensure that we do not engage in defamatory behavior.

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The term for written defamation, or defamation published over radio or television or digitally recorded, is ""libel.""

Libel is a type of defamation that involves the publication of false or damaging statements about an individual or entity in writing, whether it's on social media, news articles, or other forms of written communication. Unlike slander, which is spoken defamation, libel can be preserved and distributed widely, making it potentially more damaging.

To prove libel, a plaintiff must show that the false statements were published, the statements were about them, the statements were defamatory, and they suffered harm as a result of the publication.

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The APR on a financial security is 12 percent. If the inflation premium is 4 percent and the pure rate is 3 percent what risk premium is required by the market? 4.74% 4.56% 5.00% 3.81% 5.37%

Answers

The risk premium required by the market is 5.37%. The APR, or annual percentage rate, is the interest rate charged on a loan or security over a period of one year. It is often used to compare different loan options.

The APR is calculated by adding the pure rate (3 percent) to the inflation premium (4 percent) and the risk premium (5.37 percent). The risk premium is the additional return required by investors to compensate them for the risk of investing in a particular security.

It reflects the level of risk associated with the security, and it is calculated by subtracting the pure rate and the inflation premium from the APR. Thus, the risk premium required by the market in this case is 5.37%.

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managing a knowledge intensive workforce is very challenging. the best way for a firm to manage its workforce is to .

Answers

The best way for a firm to manage its knowledge-intensive workforce is to create a supportive and collaborative work environment that fosters continuous learning, skill development, and knowledge sharing.

Managing a knowledge-intensive workforce requires a different approach than managing traditional employees. Knowledge workers are often highly skilled and motivated, and they require an environment that allows them to learn, grow, and collaborate with their peers.

The best way for a firm to manage its knowledge workers is to create a culture that values and supports continuous learning and skill development.

This can be achieved by offering training and development programs, providing opportunities for cross-functional collaboration, and creating an open and supportive work environment that encourages knowledge sharing.

Firms should also consider offering flexible work arrangements and providing access to the latest tools and technologies that can help knowledge workers stay connected and productive.

By creating a supportive and collaborative work environment, firms can attract and retain top talent and maximize the value of their knowledge-intensive workforce.

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what is the ratio that is a more conservative measure than the current ratio of a company's ability to pay its current liabilities is the:

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The ratio that is a more conservative measure than the current ratio of a company's ability to pay its current liabilities is the quick ratio or acid-test ratio.

The quick ratio is a more conservative measure than the current ratio because it excludes inventory from current assets, focusing only on the most liquid assets like cash, cash equivalents, and marketable securities. This provides a better indication of a company's ability to meet its short-term liabilities.

Here's the formula for the quick ratio:

Quick Ratio = (Cash + Cash Equivalents + Marketable Securities) / Current Liabilities

Thus, the ratio that is a more conservative measure than the current ratio of a company's ability to pay its current liabilities is the quick ratio or acid-test ratio.

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the probability that texas will completely rewrite their constitution

Answers

While it is impossible to predict the future decisions of Texas regarding their constitution, the probability of a complete rewrite is generally low due to the complexity and political challenges involved.

However, in general, the probability of a state completely rewriting its constitution is typically low, as it is a complex and time-consuming process that requires significant political will and resources.Most state constitutions are amended over time rather than being completely rewritten, with the process of amendment being easier and less disruptive than rewriting the entire document.

However, in some cases, a state may choose to undertake a constitutional convention, where delegates are elected to review and potentially rewrite the entire constitution.In Texas, the state constitution has been amended many times since it was first written in 1876, but there has not been a constitutional convention in recent history. Any decision to completely rewrite the Texas constitution would require a significant political consensus and likely involve a lengthy and complex process of drafting and ratification.
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The probability of Texas completely rewriting their constitution is low, as it requires significant political will and a lengthy process.

The Texas constitution was last rewritten in 1876, and while there have been some amendments since then, a complete rewrite would require significant political will and a lengthy process. The state would need to convene a constitutional convention, which would require approval from the governor and two-thirds of the state legislature. Furthermore, a new constitution would require approval from voters. While there have been calls for a constitutional convention in recent years, the likelihood of a complete rewrite remains low. This is due in part to the fact that any proposed changes would need to be carefully considered and vetted, as they would have significant and far-reaching implications for the state and its residents.

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A transfer disclosure statement would not be required in the sale of which of the following properties?
a. mobile home when sold along with the real property to which it is attached
b. three-unit multi-family dwelling
c. single-family home listed for sale by owner
d. retail space in commercial district

Answers

Retail space in commercial district. A transfer disclosure statement is required for the sale of residential real property, which includes a mobile home when sold along with the real property to which it is attached, a three-unit multi-family dwelling, and a single-family home listed for sale by owner. However, commercial property such as retail space in a commercial district is not subject to the same disclosure requirements.

The transfer disclosure statement would not be required in the sale of properties that are exempt from disclosure laws, such as new construction properties that have never been occupied, properties transferred by court order, properties acquired through foreclosure or deed in lieu of foreclosure, and properties transferred between co-owners or spouses due to divorce or death.  properties sold by government entities, properties located in designated natural hazard areas that are being sold to a government agency, and certain types of commercial properties may also be exempt from the requirement of a transfer disclosure statement. It is important to note that disclosure laws vary by jurisdiction, and it is always best to consult with a qualified real estate professional or attorney to determine the specific requirements for a particular property sale.

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management assertions about financial statement presentation and disclosure are primarily found ______.

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Management assertions about financial statement presentation and disclosure are primarily found in the footnotes to the financial statements.

A management assertion is a statement that management makes in relation to how the financial statements are prepared and presented. They give auditors a framework to assess the financial statements as well as the underlying accounting records and systems.

The footnotes include management's explanations and justifications for the accounting policies and estimates used in the preparation of the financial statements, as well as more information and specifics about the amounts and disclosures presented in the financial statements. Since they are a crucial component of the financial statements, the footnotes must follow the same auditing standards and procedures as the rest of the financial statements.

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a triangular arbitrage, if following one direction (for examplepound, then euro, then dollar, then back into pound) gives noprofit or loss, what would happen if we go in the oppositedirection (for

Answers

The answer is that going in the opposite direction of a triangular arbitrage would also result in no profit or loss.

In a triangular arbitrage, the goal is to exploit pricing inefficiencies between three different currencies. By following a certain sequence of currency exchanges, the arbitrageur aims to end up with more of the original currency than they started with.

However, if the exchange rates are such that following the sequence in one direction results in no profit or loss, then going in the opposite direction would also yield the same result.

This is because exchange rates are bidirectional - the rate at which currency A can be exchanged for currency B is the reciprocal of the rate at which currency B can be exchanged for currency A. Therefore, any inefficiencies in one direction should also exist in the opposite direction, assuming the same exchange rates.

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(b) Bank Negara Malaysia (BNM) has decided to sell RM10 millionworth of Japanese government bonds to CIMB Bank Malaysia.Illustrate the impact of this transaction using T-accounts of BNM and CIMB Ba

Answers

The transaction results in a decrease of RM10 million in BNM's Japanese Government Bonds and CIMB Bank's reserve account at BNM, and an increase of RM10 million in CIMB Bank's Japanese Government Bonds account, while its Deposits account decreases by RM10 million.

Illustrate the impact of this transaction using T-accounts of BNM and CIMB Ba?

To illustrate the impact of the transaction where Bank Negara Malaysia (BNM) sells RM10 million worth of Japanese government bonds to CIMB Bank Malaysia, we'll use T-accounts of BNM and CIMB Bank.

Identify the accounts affected
- BNM: Japanese Government Bonds and CIMB Bank's reserve account
- CIMB Bank: Japanese Government Bonds and Deposits

Record the transaction in the T-accounts

BNM:
Japanese Government Bonds         |   CIMB Bank's Reserve Account
-------------------------         |   ---------------------------
(-) RM10 million                  |   (-) RM10 million

CIMB Bank:
Japanese Government Bonds         |   Deposits
-------------------------         |   ---------------------------
(+) RM10 million                  |   (-) RM10 million

Explain the changes in the T-accounts

When BNM sells RM10 million worth of Japanese government bonds to CIMB Bank Malaysia, BNM's Japanese Government Bonds account decreases by RM10 million, and CIMB Bank's reserve account at BNM also decreases by RM10 million.

On the other hand, CIMB Bank's Japanese Government Bonds account increases by RM10 million, and its Deposits account decreases by RM10 million to account for the payment to BNM.

In summary, the transaction results in a decrease of RM10 million in BNM's Japanese Government Bonds and CIMB Bank's reserve account at BNM, and an increase of RM10 million in CIMB Bank's Japanese Government Bonds account, while its Deposits account decreases by RM10 million.

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in the view of supply-side economists, reducing marginal tax rates encourages

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Supply-side economists argue that reducing marginal tax rates encourages economic growth.

They believe that high marginal tax rates create a disincentive to work, save, and invest, thereby reducing economic output. By reducing marginal tax rates, people are more likely to work, save, and invest due to the potential for higher after-tax income.

This increased economic activity, in turn, leads to higher levels of output and income. Supply-side economists also argue that lower marginal tax rates may also lead to higher levels of government revenue, due to the increased economic activity.

This is known as the "Laffer Curve" effect, named after economist Arthur Laffer, who popularized the idea. Thus, supply-side economists believe that cutting marginal tax rates can both stimulate the economy and increase government revenue.

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In the view of supply-side economists, reducing marginal tax rates encourages increased production and investment. This is because a lower marginal tax rate means that individuals and businesses get to keep more of their earnings and profits, which incentivizes them to work harder and invest more in their businesses.

An production and investment is a term used in economics to describe the input of capital (cash or other) with hopes of generating a profit in the future. This arrangement presupposes a choice that forgoes an immediate benefit in favour of a later one. However, productivity refers to a measure that establishes the profit made from the goods or services produced in relation to the minimum necessary production quota. This, in turn, leads to a boost in economic growth and overall prosperity.

In light of the aforementioned, a business that has sufficient capital will invest it in order to upgrade its production, advertising, and sales equipment, among other things, in order to achieve better production processes and see that development reflected in its profits. For instance, a company that manufactures T-shirts can spend money on sewing equipment and personnel to increase production and profit.

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a variable declared in the declaration section of a form is called a procedure-level variable.T/F

Answers

The statement "A variable declared in the declaration section of a form is called a procedure-level variable" is false because it is accompanied with steps and process.

A variable declared in the declaration section of a form is called a form-level variable. Procedure-level variables are declared within a specific procedure or function and are only accessible within that procedure or function.
A variable declared in the declaration section of a form is called a form-level variable, not a procedure-level variable. Form-level variables have a scope throughout the entire form, whereas procedure-level variables are limited to the scope of a specific procedure or function.

Form variables hold data at the form level for use wherever required within the form, such as within actions. This eliminates the need to create hidden fields on the form to hold data. Once created, use form variables in the same way that you use fields and global variables.

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Asset A has 3 units of exposure to factor 1 risk and 1 unit of exposure to factor 2 risk and has expected return of 0.09. Asset B has 1 units of exposure to factor 1 risk and 2 units of exposure to factor 2 risk and has expected return of 0.06. The risk free rate of interest is 0.02. The expected return on asset C which has 1 unit of exposure each to type 1 and type 2 risk is
Question 7 options:
0.04
0.05
0.06
0.07

Answers

The asset C expected return is roughly 0.06, which is close to the suggested option of 0.06. So, 0.06 is your response.

To calculate the expected return on asset C, we can use the factor exposures and expected returns of assets A and B, as well as the risk-free rate. First, determine the risk premiums for each factor:

Factor 1 risk premium: (0.09 - 0.02) / 3 = 0.0233
Factor 2 risk premium: (0.06 - 0.02) / 2 = 0.02

Now, with 1 unit of exposure to both factor 1 and factor 2 risks, calculate the expected return for asset C:

Expected return on asset C = Risk-free rate + (Factor 1 risk premium * Exposure to factor 1) + (Factor 2 risk premium * Exposure to factor 2)
Expected return on asset C = 0.02 + (0.0233 * 1) + (0.02 * 1) = 0.02 + 0.0233 + 0.02 = 0.0633
Thus, the expected return on asset C is approximately 0.06, which is closest to the provided option of 0.06. So, your answer is 0.06.

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Consider the following information: State of Economy Probability of State of Economy Portfolio Return if State OccursRecession .10 -.17Normal .60 .08Boom .30 .27 Calculate the expected return. (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) Expected return________ %

Answers

For this portfolio, the expected return is 11.20%.

To calculate the expected return with the given information, you need to multiply the probability of each state of the economy by the portfolio return if that state occurs, and then sum up the results.

In order to calculate the expected return, follow these steps:

1. Multiply the probability of Recession (0.10) by the return during Recession (-0.17): 0.10 * -0.17 = -0.017

2. Multiply the probability of Normal (0.60) by the return during Normal (0.08): 0.60 * 0.08 = 0.048

3. Multiply the probability of Boom (0.30) by the return during Boom (0.27): 0.30 * 0.27 = 0.081

4. Add up the results from steps 1-3: -0.017 + 0.048 + 0.081 = 0.112

5. Convert the result to a percentage and round to 2 decimal places: 0.112 * 100 = 11.20%

So, the expected return for this portfolio is 11.20%.

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For some years, Mel has contracted with several major pizza retailers for home delivery services. He uses a MARR of 12% per year in all business dealings. His current van, purchased 10 years ago for $75,000, can be used for 3 more years, with an AOC of $23,000 and an estimated $25,000 trade-in value. A better-equipped van will cost $155,000, have an economic life of 6 years, an estimated trade. in value of $45,000, an AOC of $32,000 per year, and will generate an estimated $24,000 per year additional revenue On the basis of these estimates, what market value now for the current van will make the new van equally attractive? Solve by spreadsheet or factors, as requested by your instructor.On equating the AW values of the current van and the riew van, to calculate the market value now for the current van, the spreadsheet tool that should be used is ___The market value now for the current van that will make the new van equally attractive will be $ ____

Answers

The market value now for the current van that will make the new van equally attractive is $47,054.88.

How to calculate the market value now for the current van?

To calculate the market value now for the current van that will make the new van equally attractive, we need to equate the Annual Worth (AW) values of the current van and the new van.

Let's first calculate the AW of the new van:

Initial cost of new van: $155,000

Annual operating cost (AOC) of new van: $32,000

Additional revenue generated by new van: $24,000

Trade-in value of new van after 6 years: $45,000

Using the MARR of 12%, the AW of the new van is:

AW(new van) = -155,000 + 24,000(P/A, 12%, 6) - 32,000(P/F, 12%, 1) + 45,000(P/F, 12%, 6)

AW(new van) = $10,155.97

Now, let's calculate the AW of the current van:

Initial cost of current van: $75,000

Annual operating cost (AOC) of current van: $23,000

Trade-in value of current van after 3 years: $25,000

Using the MARR of 12%, the AW of the current van is:

AW(current van) = -x + 23,000(P/A, 12%, 3) + 25,000(P/F, 12%, 3)

where x is the market value now for the current van.

Equating AW(new van) = AW(current van), we get:

10,155.97 = -x + 23,000(P/A, 12%, 3) + 25,000(P/F, 12%, 3)

Solving for x using a spreadsheet or a financial calculator, we get:

x = $47,054.88

Therefore, the market value now for the current van that will make the new van equally attractive is $47,054.88.

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a. in the internal rivalry box, assume that your firm has strong economies of scale, as do all your rivals. what effect does the existence of economies of scale have on the intensity of internal rivalry?

Answers

The existence of economies of scale typically increases the intensity of internal rivalry among competitors.

This is because firms with larger market shares are able to leverage their economies of scale to lower their costs and prices, making it difficult for smaller firms to compete on price. As a result, smaller firms may be forced to differentiate their products or services, invest in marketing or other strategies to gain market share, or exit the market altogether. This can lead to increased competition and intensity of rivalry among remaining firms with economies of scale.

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if a company has a return on equity of 25% and wants a dividend growth rate of 10% how much of net income should be paid out as dividends

Answers

The company should pay 60% of its net income as dividends if it wants a dividend growth rate of 10% given that its return on equity is 25%

A company has a return on equity of 25% and wants a dividend growth rate of 10%

g = br (g Growth rate)

b is the retention rate that means the portion of income which is retained in the business and not paid as dividend.

and r here is the return on equity

g = b*r

0.10 = (1-Dividend Payout Ratio)*0.25

0.10 / 0.25 = 1- Dividend Payout Ratio

Dividend Payout Ratio = 1 - 0.40

Dividend Payout Ratio = 0.60

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Suppose a seven-year, $1,000 bond with a 6.35% coupon rate and semiannual coupons is trading with a yield to maturity of 4.59%. a. Is this bond currently trading at a discount, at par, or at a premuim? Explain. b. If the yield to maturity of the bond rises to 5.55% (APR with semiannual compounding), at what price will the bond trade?

Answers

A) Since the yield to maturity of the bond is lower than its coupon rate, this implies that the bond is currently trading at a premium.B)  If the yield to maturity of the bond rises to 5.55%, the bond will trade at a price of $1,120.13.

a. To determine whether the bond is currently trading at a discount, at par, or at a premium, we need to compare the coupon rate of the bond with its yield to maturity.

The coupon rate of the bond is 6.35%, which means that the bond pays $31.75 in interest every six months ($1,000 x 6.35% / 2). The yield to maturity of the bond is 4.59%, which means that the bond is currently earning a return of 4.59% per year.

Since the yield to maturity of the bond is lower than its coupon rate, this implies that the bond is currently trading at a premium. This is because the bond is earning a higher return than its current market yield, and investors are willing to pay a premium for the bond in order to earn this higher return.

b. If the yield to maturity of the bond rises to 5.55%, this means that the bond is earning a lower return than its current market yield. As a result, the price of the bond will decrease to compensate for this lower return.

To calculate the new price of the bond, we need to use the bond pricing formula:

Bond Price[tex]= (C / r) x (1 - 1 / (1 + r)^n) + M / (1 + r)^n[/tex]

Where:

C = semiannual coupon payment ($31.75)

r = semiannual yield to maturity (5.55% / 2 = 2.775%)

n = number of semiannual periods (7 x 2 = 14)

M = face value of the bond ($1,000)

Bond Price =[tex](31.75 / 0.02775) * (1 - 1 / (1 + 0.02775)^{14}) + 1,000 / (1 + 0.02775)^{14[/tex]

Bond Price = $1,120.13

Therefore, if the yield to maturity of the bond rises to 5.55%, the bond will trade at a price of $1,120.13. This is lower than the bond's current price of at a premium, reflecting the lower return that investors can earn on the bond at the higher yield to maturity.

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The purpose of the Malcolm Baldrige National Quality Award is that it sets a(n) ___ for overall company quality using several key areas for measurement.

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The purpose of the Malcolm Baldrige National Quality Award is that it sets a standard for overall company quality using several key areas for measurement.

The award is named after Malcolm Baldrige, who served as the Secretary of Commerce under President Ronald Reagan. The award was established in 1987 to promote quality and performance excellence among U.S. businesses.

The Baldrige Award criteria are based on several key areas, including leadership, strategic planning, customer focus, measurement, analysis and knowledge management, workforce focus, operations focus, and results. Companies are evaluated based on their performance in these areas and are awarded based on their level of excellence and improvement.

The Baldrige Award is widely recognized as the highest level of national recognition for performance excellence that a U.S. organization can receive. The award is intended to promote excellence in organizational performance, competitiveness, and quality management. It is designed to encourage organizations to improve their processes and achieve world-class levels of performance.

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Kronlund Corp. is considering buying a new machine, which would save on labor costs over its life of 4 years. The machine costs $150,000 and will be depreciated straight-line over 4 years to a salvage value of $27,000, at which point the machine will be sold at the salvage value. The machine will save the company $77,000 a year in labor costs (pre-tax) but will require a one-time increase in working capital, mainly machine supplies, of $14,000 at time t=0 (which is recoverable in the last year of the project). The firm's marginal tax rate is 31%, and the opportunity cost of capital is 7%. What is the NPV of the project? Note that this problem is similar to the Lily Copies in the lecture notes; I recommend doing this problem in Excel, although that's not required. (Answer in dollars, but without the dollar sign) Type your answer...

Answers

The Net Present Value (NPV)of the project is $41,826.

To calculate the NPV of the project, we first need to determine the annual cash flows over the life of the machine. The machine costs $150,000 and will be depreciated straight-line over 4 years to a salvage value of $27,000, at which point the machine will be sold at the salvage value.

Therefore, the annual depreciation expense is ($150,000 - $27,000) / 4 = $30,750.

The machine will save the company $77,000 a year in labor costs (pre-tax) for 4 years. The working capital requirement increases by $14,000 at t=0 and is recovered at the end of year 4 when the machine is sold.

To calculate the annual after-tax cash flows, we need to subtract the depreciation expense from the pre-tax savings and then multiply by (1 - tax rate). So, the annual after-tax cash flows are:

Year 1: ($77,000 - $30,750) x (1 - 0.31) - $14,000 = $21,717.50

Year 2: ($77,000 - $30,750) x (1 - 0.31) = $38,022.75

Year 3: ($77,000 - $30,750) x (1 - 0.31) = $38,022.75

Year 4: ($77,000 - $30,750 + $27,000) x (1 - 0.31) + $14,000 = $65,857.75

Using a discount rate of 7%, we can calculate the present value of each annual after-tax cash flow:

Year 1: $21,717.50 / (1 + 0.07)¹ = $20,303.35

Year 2: $38,022.75 / (1 + 0.07)² = $32,749.29

Year 3: $38,022.75 / (1 + 0.07)³ = $29,650.58

Year 4: $65,857.75 / (1 + 0.07)⁴ = $48,123.63

The sum of these present values is the NPV of the project:

NPV = -$150,000 + $20,303.35 + $32,749.29 + $29,650.58 + $48,123.63 = $41,826


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Question 7 (1 point) Education is the most crucial form of economic development. O True O False Question 8 (1 point) Open markets liberate the poor better than any known alternatives. O True O False Q

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The answer can be both true and false depending on the context. For Question 7, the answer is subjective and can vary based on different perspectives. Some may argue that education is crucial for economic development as it can lead to an increase in skills, innovation, and productivity.

Others may argue that other factors such as investment in infrastructure and technology are equally important. Therefore, the answer can be both true and false depending on the context.

For Question 8, the answer can also be subjective and dependent on the context. Some may argue that open markets can provide opportunities for the poor to participate in the economy and improve their livelihoods.

Others may argue that open markets can lead to exploitation and inequality, and that alternative economic systems such as cooperatives or state-led economies may better serve the needs of the poor. Therefore, the answer can be both true and false depending on the context.

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The ____ operator is used to determine whether a condition is present in a subquery. A. IN B. ALL C. ANY D. EXISTS.

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The EXISTS operator is used to determine whether a condition is present in a subquery.

The EXISTS operator is often used in combination with a correlated subquery, which references a table in the outer query, to check whether a record exists in the subquery that meets a specific condition.

This query selects all customers who have placed an order with a total greater than 100. The subquery inside the EXISTS operator checks whether there is at least one order for each customer that meets this condition.

Other comparison operators that can be used with subqueries include the IN operator, which checks whether a value is present in a list of values returned by a subquery, and the ALL and ANY operators, which are used to compare a value with all or any of the values returned by a subquery.

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The IN operator is used to determine whether a condition is present in a subquery. It is used to check if any value in a set matches any value in another set.

This operator returns true if any of the values in the first set are found in the second set. For example, if we have the following statement: SELECT * FROM table WHERE value IN (1,2,3), the query will return all rows from the table where the value is 1, 2, or 3. The ALL and ANY operators are also used to compare values in a set.

The ALL operator requires that all values in a set match a specified condition while the ANY operator only requires that one value in the set matches the condition. Finally, the EXISTS operator is used to check whether a subquery returns any values. If the subquery returns any values, the EXISTS operator will return true. Otherwise, it returns false.

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The appropriate discount rate for the following cash flows is 15 percent compounded quarterly.
Year Cash Flow
1 $ 800
2 900
3 0
4 1,200
What is the present value of the cash flows?

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$3,362.74 is the present value of the cash flows.

The present value of the cash flows is the sum of the discounted values of each cash flow. The discount rate of 15 percent compounded quarterly is used to calculate the present value of the cash flows. The present value of the cash flows is calculated by taking the present value of each cash flow at the end of each year and summing them together.

The present value of the cash flow in Year 1 is $715.24, Year 2 is $819.81, Year 3 is $622.61 and Year 4 is $1,005.08. The total present value of the cash flows is $3,362.74.

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What is involve in negotiation? O a. it is a collection of behaviours that involve just listening, social gatherings, money, assertiveness & conflict O b. it is a collection of behaviours that involve communication, marketing, psychological, assertiveness & conflict resolution Oc. it is a collection of behaviours that involve only talking, hatching people, assertiveness & more conflict O d. it is a collection of behaviours that involve money, lying, cheating, debating, and family O e. it is a collection of behaviours that involve Union, marketing, CBA, a round table & resolution

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Negotiation is involved in option B: it is a collection of behaviours that involve communication, marketing, psychological, assertiveness, and conflict resolution. Negotiation is a complex process involving a variety of behaviours.

Negotiation is a process where two or more parties engage in a discussion to reach an agreement or find a solution to a problem. It involves various behaviours, such as:

1. Communication: Effective communication is essential in negotiation, as it allows parties to clearly express their needs, concerns, and preferences.

2. Marketing: Negotiation often involves promoting one's interests and convincing the other party of the benefits of accepting a proposal.

3. Psychological: Understanding the emotions, motivations, and cognitive biases of the people involved can help negotiators create better strategies and tailor their approach.

4. Assertiveness: Being assertive means standing up for one's interests while remaining respectful of others. It is essential for negotiators to find a balance between assertiveness and cooperativeness.

5. Conflict resolution: The goal of negotiation is to resolve conflicts and reach a mutually beneficial agreement. This may involve finding compromises, understanding the underlying interests of the parties, and developing creative solutions.

In summary, negotiation is a complex process involving a variety of behaviours, and understanding these behaviours can lead to more effective negotiation strategies and successful outcomes.

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phoebe purchased a car for $19,500. she is financing the auto at 11% annual interest rate, compounded monthly for 3 years. what payment is required at the end of each month to finance phoebe's car?

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After calculating, we find that the monthly payment required to finance Phoebe's car is approximately $637.65. This amount is due at the end of each month for 3 years.

How to calculate the monthly payment

To find the monthly payment required for Phoebe's car, we'll use the following terms:

principal (P), annual interest rate (r), number of compounding periods (n), and loan term (t).

Phoebe's principal (P) is $19,500, and the annual interest rate (r) is 11%, or 0.11 when expressed as a decimal.

The interest rate is compounded monthly, which means there are 12 compounding periods (n) in a year.

The loan term (t) is 3 years.

To find the monthly payment, we'll use the formula for calculating the monthly payment on a loan:

Monthly Payment = P * (r/n) * (1 + r/n)^(nt) / ((1 + r/n)^(nt) - 1)

Plugging in the values:

Monthly Payment = 19,500 * (0.11/12) * (1 + 0.11/12)^(12*3) / ((1 + 0.11/12)^(12*3) - 1)

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what happens to the efficiency in the long run as firms enter and exit a monopolistically competitive market, and where do price and the average cost meet?

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In the long run, as firms enter and exit a monopolistically competitive market, the efficiency of the market increases. This is because increased competition leads to lower prices for consumers and a more efficient allocation of resources.

As new firms enter the market, they increase the level of competition which forces existing firms to improve their products, reduce costs, and lower prices. Conversely, as firms exit the market, there is less competition, which allows remaining firms to increase their prices and profits.

However, this increase in profits may attract new firms to enter the market, ultimately leading to increased competition and lower prices. In a monopolistically competitive market, price and the average cost meet at the point where the firm is making normal profits, known as the breakeven point.

This occurs when the firm is producing at the level where total revenue is equal to total cost, including both fixed and variable costs. At this point, the firm is covering all of its costs but is not making any additional profits. If the firm raises its price above this point, it will lose customers to competitors. Conversely, if the firm lowers its price below this point, it will not be able to cover its costs and will eventually exit the market.

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