beckingham sports is an american company that produces sports equipment. based on the results of a $25,000 market study and of a $40,000 consultant report, beckingham sports is considering expanding overseas. projected annual revenue associated with the expansion will be $200,000 and annual costs are estimated at $40,000. the expansion will require the replacement of an old machine with more modern equipment. the old machine has a $40,000 market value and has been fully depreciated to its salvage value of $10,000. the new, higher-capacity equipment will cost $340,000. additionally, installation and shipping fees of $60,000 will be incurred. the new machine will be depreciated via 5-year macrs schedule (20.0%, 32.0%, 19.2%, 11.5%, 11.5%, 5.8%). the firm estimates that the new machine can be sold at the end of its five-year life for $100,000. the new machine will necessitate an investment of $28,000 in working capital that will be fully recovered at the end of the project. beckingham sports has a 13% cost of capital and a corporate tax rate of 40%. what is the initial outlay? $428,000 $404,000 $400,000 $388,000

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Answer 1


The initial outlay for Buckingham Sports to expand overseas is $428,000. This amount is determined by the combination of the cost of the new machine ($340,000), the installation and shipping fees ($60,000), and the investment in working capital ($28,000).

The cost of the new machine is the major factor in the initial outlay, as it is the largest cost at $340,000. This cost includes the replacement of an old machine with a newer, higher-capacity machine. The old machine had a market value of $40,000 and had been fully depreciated to its salvage value of $10,000. Additionally, the new machine will be depreciated via a 5-year MACRS schedule, where the depreciation expenses for the first five years will be 20.0%, 32.0%, 19.2%, 11.5%, 11.5%, and 5.8%, respectively. At the end of its five-year life, the new machine is estimated to be sold for $100,000.

The other costs of the expansion include the installation and shipping fees ($60,000) and an investment of $28,000 in working capital that will be fully recovered at the end of the project.

When all the costs are added up, the initial outlay for Buckingham Sports to expand overseas is $428,000. This amount is composed of the cost of the new machine ($340,000), the installation and shipping fees ($60,000), and the investment in working capital ($28,000).

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Bubblemanis has three product lines - A, B, and C.A B C TotalSales $10,000 $9,000 $12,000 $31,000Variable costs 4,500 7,000 6,000 17,500Contribution margin 5,500 2,000 6,000 13,500Fixed costs 3,500 6,000 3,000 12,500Net income 2,000 (4,000) 3,000 1,000Product line B appears unprofitable, and management is considering discontinuing the line. How would the discontinuation of Product line B affect net income?Select one:a. increase by $2,000b. decrease by $2,000c. decrease by $4,000d. increase by $4,000

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Discontinuing product line B would have a significant impact on the net income of Bubblemanis. Without product line B, the net income would decrease by $4,000.

This is because the contribution margin of product line B is negative, meaning that the company incurs a loss of $2,000 when selling it. As a result, discontinuing product line B would decrease the total contribution margin to $13,500, and the net income to $1,000, a $4,000 decrease from the current net income of $5,000.

This suggests that discontinuing product line B is not a viable option for increasing net income as it would actually result in a decrease in net income. Product line B must be improved in order to make it profitable, or else the company should consider other options for increasing its net income.

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how does the changing environment for businesss affect 's ability ro communicate in this situation

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The changing environment for businesses affects the ability to communicate in several ways. In the present time, communication is one of the key components of the growth and development of a business.

Therefore, if there is any kind of change that takes place in the environment of the business, then it would affect the communication abilities of the business. The different ways in which the changing environment affects the ability to communicate are:

1. Technology: In today's world, technological advancement is taking place at a very rapid pace. This affects the way in which communication takes place. For instance, earlier people used to communicate through post, which has now been replaced by emails.

2. Cultural differences: Cultural differences can also have a major impact on communication. With businesses expanding globally, one must consider cultural differences while communicating. For instance, different countries have different languages, and hence businesses must be able to communicate effectively in the local language.

3. Increased competition: With the increase in competition, businesses are now using a variety of ways to communicate their messages. This makes it difficult for businesses to communicate effectively. Therefore, businesses must come up with new and innovative ways to communicate their messages to their customers.

4. Change in communication trends: Communication trends keep changing with time. For instance, earlier people used to use telephones to communicate. But now, people are using social media platforms to communicate. Businesses must keep up with these trends to ensure that they are communicating effectively with their customers.

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Complete question is :-

how does the changing environment for businesss affect 's ability ro communicate?

one mistake companies make when preparing segmented income statements is arbitrarily assigning fixed costs to segments. (enter only one word per blank.) need help? review these concept resources.

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When preparing segmented income statements, one common error that businesses make is to arbitrarily assign common fixed costs to segments.

What happens if you assign segments their common cost erroneously or arbitrarily?

Affects how profitable segments are. could affect the company's overall profits. imposes responsibility on managers for expenses they cannot control.

Can costs that can be attributed to one segment be fixed costs of another segment?

It is essential to understand that the detectable fixed expenses of one fragment might be a typical fixed cost of another portion. For instance, the landing fee paid to land an airplane at an airport can be traced back to the specific flight, but it cannot be traced back to passengers in first, business, or economy class.

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which of the following is not true? group of answer choices social regulation affects the conditions under which goods and services are produced and the physical characteristics of the products manufactured. social regulation arose out of a concern for reducing public exposure to risk. social regulation and economic regulation are interchangeable terms. economic regulation focuses on markets, rates, and the obligation to serve.

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Social regulation and economic regulation are interchangeable terms is not  a true statement.

The terms social regulation and economic regulation are different from one another. Economic regulation is the management of business activity by the government to ensure the efficient use of resources, provide consumer protection, and prevent businesses from acquiring too much power and competing unfairly. It concentrates on the production of goods and services, competition, and pricing.

For example, economic regulation ensures that rates charged by a public utility are reasonable, that airlines do not merge with each other, and that banks do not engage in deceptive practices.Social regulation, on the other hand, controls the production of goods and services with a goal of achieving social objectives, like protecting health, the environment, and worker safety.

The primary goal of social regulation is to protect society by promoting the general welfare of the population, reducing health and safety risks, and ensuring that businesses conduct themselves in a socially responsible manner. For instance, regulations restricting pollution by companies, limiting the number of hours worked in a day or week, and mandating food and drug safety.

The other two statements are true, as follows:SOCIAL REGULATION affects the conditions under which goods and services are produced and the physical characteristics of the products manufactured. It ensures that businesses operate in a socially responsible manner by protecting public health, the environment, and workers' safety. It also promotes the common good by controlling business practices that might have a detrimental effect on society's welfare.

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a real estate property is on the market. you have estimated it will give you net cash flows of $6623 per month. you hope to sell it in 6 years for $402220. your required return is 9.74%, how much should you be willing to pay for the property today?

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The maximum amount you should be willing to pay for the real estate property is $311,837.45. This is determined by using the present value of an annuity formula.

The present value of an annuity formula is PV = C x ((1-(1+r)^-n)/r). The present value (PV) represents the maximum amount you should be willing to pay for the property today. C represents the cash flow of $6,623 per month. r is the required return of 9.74%, and n is the number of months, or 6 years. Therefore, PV = $6,623 x ((1-(1+9.74%)^-72)/9.74%) = $311,837.45.


The amount you are willing to pay for the property should not exceed this amount as it is the present value of the future cash flows. In other words, it is the maximum amount you should be willing to pay for the property today. The present value of the future cash flows is lower than the expected sale price of $402,220 in 6 years due to the effects of time and discounting.

To calculate the internal rate of return (IRR) of the property, use the equation IRR = C/PV. C is the cash flow of $6,623 per month and PV is the amount you are willing to pay of $311,837.45. The IRR of the property is therefore 9.74%, which is equal to the required return. This confirms that the amount you are willing to pay is an appropriate price.

In summary, the maximum amount you should be willing to pay for the real estate property is $311,837.45, as determined by the present value of an annuity formula. This is the present value of the future cash flows, discounted to their present-day equivalent. The internal rate of return of the property is 9.74%, which is equal to the required return.

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increase the output of the bottleneck. remove any non-value adding work or interruptions to the bottleneck. this describes which of the five focusing steps of theory of constraints? exploit identify subordinate repeat elevate

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The focusing step that is being identified from the theory of constraints is C. Identify.

What is the identify step?

The identify step involves identifying the constraint or bottleneck in the system, which is the factor that limits the system's overall performance. Once the constraint has been identified, the subsequent steps of the TOC process can be used to optimize the system and improve its overall performance.

The statement "Increase the output of the bottleneck. Remove any non-value adding work or interruptions to the bottleneck" therefore describes the first focusing step of the Theory of Constraints (TOC), which is to identify the constraint or bottleneck in the system.

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The ________ Act seeks to improve the reliability and accuracy of financial reporting, as well as increase the accountability of corporate governance, in publicly traded companies.O Sarbanes-OxleyO Freedom of InformationO Digital Millennium Copyright Act (DMCA)O Association of Computing Machinery

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The Sarbanes-Oxley Act seeks to improve the reliability and accuracy of financial reporting and increase the accountability of corporate governance in publicly traded companies.

The other options listed are unrelated to financial reporting or corporate governance. The Freedom of Information Act pertains to government transparency and public access to information. The Digital Millennium Copyright Act (DMCA) is a copyright law that regulates digital media. The Association of Computing Machinery is a professional organization for computing professionals.

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what is the single most important fact that predicts the person with whom you will become friends or have a romantic relationship? group of answer choices the amount of contact you have with people. your physical attractiveness. your financial wellbeing. your similarity to others.

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The single most important factor that predicts the person with whom you will become friends or have a romantic relationship is "your similarity to others." The correct option is C.

"Your similarity to others" is the single most crucial indicator of who you will end up becoming friends or romantically involved with. others are drawn to and create relationships with others who are similar to them in terms of attitudes, values, interests, and backgrounds, according to social psychology research that has been conducted repeatedly.

This similarity increases the possibility of developing friendships or romantic relationships because it can lead to a sense of familiarity, shared experiences, and compatibility. While other elements like contact, physical beauty, and financial security can affect relationship dynamics, it has been discovered that the importance of similarity is particularly important in predicting relationship initiation.

Thus, the ideal selection is option C.

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what is the new equation for the phillips curve? c. based on your answer to part (b), recompute your answer to part (a). d. what is the effect of wage indexation on the relation between p and u?

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The new equation for the Phillips curve is Inflation = β (Unemployment Rate – Natural Unemployment Rate), where β is the sensitivity of inflation to changes in unemployment.

Based on this new equation, when the Unemployment Rate is greater than the Natural Unemployment Rate, inflation will increase, and

when the Unemployment Rate is less than the Natural Unemployment Rate, inflation will decrease.

The effect of wage indexation on the relation between inflation (P) and unemployment (U) is that wage indexation stabilizes the Phillips curve by tying wages to inflation.

When wages are indexed to inflation, wages will tend to rise along with inflation, thus making it more difficult for firms to reduce their labor costs and thus reduce unemployment.

In conclusion, wage indexation can stabilize the Phillips curve by tying wages to inflation, and preventing firms from reducing their labor costs in order to reduce unemployment.

This means that the Phillips curve will remain relatively stable, even during periods of high inflation.

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if a thorough competitive analysis is done when you are starting your company, you do not need to conduct a competitive analysis on a regular basis. group of answer choices true false

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False, if a thorough competitive analysis is done when you are starting your company, you do not need to conduct a competitive analysis on a regular basis is false statement.

Even after a thorough competitive analysis  is conducted, it is important to conduct regular competitive analyses to identify changes in the marketplace and update your company's strategy accordingly.

Even if a thorough competitive analysis is done when starting a company, it is still important to conduct regular competitive analysis to stay up-to-date on market trends, changes in customer preferences, and actions taken by competitors.

Competition in business is always evolving, and companies must adapt their strategies accordingly. Conducting regular competitive analysis helps companies to identify potential threats, opportunities, and areas for improvement.

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Which of the following types of processing is essential for businesses that require access to current data such as airlines, ticket agencies, and stock investment firms?

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"Online transaction processing" is essential for businesses that require access to current data such as airlines, ticket agencies, and stock investment firms.

Online transaction processing (OLTP) is a type of data processing that facilitates real-time data entry and retrieval. It is ideal for businesses that require access to current and accurate data such as airlines, ticket agencies, and stock investment firms. OLTP systems allow companies to record transactions as they occur and provide immediate feedback to customers, ensuring fast and reliable service.

For example, airlines use OLTP to manage reservations, check-ins, and flight schedules in real-time, while stock investment firms use it to execute trades and provide up-to-date market data to their clients. Overall, OLTP is critical for businesses that depend on the speed and accuracy of their data processing systems to stay competitive in fast-paced industries.

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panchali drops out of college to pursue her passion for sewing. with personal resources to fund her initial capital, she starts a seamstress business on one of the busiest streets in her hometown. after a month of running the new business, panchali realizes that she is not getting enough customers because there are several other similar seamstresses in the area. in this scenario, which of the following threats does panchali's business face? Weak internal locus of control
Narrow market niche
Lack of knowledge and experience
Lack of funds

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When Panchali realizes that she is not getting enough customers because there are several other similar seamstresses in the area, the threat her business is facing is narrow market niche.

What is a narrow market niche?

A narrow market niche refers to a small market segment that is not well-served. It is also referred to as a niche market, which is a focused and targetable part of a larger market in which consumers have specific needs, desires, or preferences.

Niche markets are becoming increasingly popular, with consumers increasingly turning to more personalized, unique products, and services. They are more likely to be served by small businesses with a narrow focus because larger companies tend to focus on broader markets.

In conclusion, Panchali's business faces the threat of a narrow market niche.


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the classical paradigm includes all these except [the]... a. taylor's scientific management. b. fayol's classical management theory. c. weber's bureaucracy. d. human resource paradigm.

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The classical paradigm includes all these except the Taylor's scientific management. Therefore the correct option is A.

The classical paradigm includes Fayol's classical management theory, Weber's bureaucracy, and the Human Resource paradigm. The classical paradigm includes all of these except Taylor's Scientific Management. Taylor's Scientific Management falls under the Human Resource Paradigm. Fayol's Classical Management Theory, Weber's Bureaucracy, and the Human Resource Paradigm are all included in the Classical Paradigm.

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what are two ways that a purely competitive firm can determine the level of output at which it will realize maximum profit or minimum losses?

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A purely competitive firm can determine the level of output at which it will realize maximum profit or minimum losses in two ways: marginal revenue and marginal cost. Marginal revenue is the increase in total revenue from selling one additional unit of a good or service.

Marginal cost is the increase in total cost from producing one additional unit of a good or service.


The maximum profit or minimum losses is reached when marginal revenue equals marginal cost. To find this point, the firm must analyze its marginal revenue and marginal cost curves and identify where the two curves intersect. This intersection point is the level of output where the firm will make maximum profit or incur the least losses.


The marginal revenue curve is downward sloping due to the law of diminishing marginal returns, while the marginal cost curve is upward sloping as the cost of producing one more unit of a good increases.

Thus, the intersection point of the two curves represents the most efficient point of production for the firm, as any additional output would result in a decline in profits due to lower marginal revenues and/or higher marginal costs.

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the first step of the organizational buying process is anticipation or recognition of a need or problem. group of answer choices true false

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The statement "The first step of the organizational buying process is the recognition or anticipation of a need or problem" is True because the organizational buying process is a complex process that involves several steps that are followed by an organization when buying goods or services.

The following are the steps involved in the organizational buying process: Recognition or anticipation of a need or problem: This is the first step in the organizational buying process. The organization must recognize or anticipate a need or problem that requires a solution. For example, if an organization's sales are falling, it may need to purchase better equipment or hire more salespeople in order to improve its sales.

It may also recognize the need for a new product or service. Specific description of the need: Once an organization has recognized or anticipated a need or problem, it must then provide a specific description of the need. For example, if an organization needs to purchase better equipment, it must provide a specific description of the type of equipment it requires.

Search for suppliers: The organization must then search for suppliers who can provide the goods or services it requires. Evaluation of suppliers: After identifying potential suppliers, the organization must evaluate each one to determine which is best suited to meet its needs. This involves assessing each supplier's quality, price, and delivery terms.

Selection of suppliers: After evaluating potential suppliers, the organization selects the supplier or suppliers it wishes to do business with. Placing an order: The organization then places an order with the selected supplier(s).Monitoring supplier performance: The organization monitors supplier performance to ensure that the supplier(s) meet the terms of the agreement. If necessary, the organization may seek to renegotiate the terms of the agreement.

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joan has an adjustable-rate mortgage (arm). it has an initial interest rate of 7% adjusted annually with a 2/5 interest rate cap. if interest rates go up, what is the highest interest rate joan could pay in the second year?

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Joan has an adjustable-rate mortgage (ARM).  the highest interest rate Joan could pay in the second year is 9.8%

A mortgage loan with an interest rate that is periodically altered based on an index that reflects the cost to the lender of borrowing on the credit markets is known as a variable-rate mortgage, adjustable-rate mortgage, or tracker mortgage. The base rate or standard variable rate set by the lender may be used for the loan.

The interest rate cap means that the interest rate cannot increase by more than 2/5 (or 0.4) percentage points in any given adjustment period.

If the initial interest rate is 7%, the highest interest rate Joan could pay in the second year would be:

7% + (0.4 x 7%) = 7% + 2.8% = 9.8%

So, the highest interest rate Joan could pay in the second year is 9.8%.

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the reductions in the cost of a single unit that result from large scale output of that product are called

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The reductions in the cost of a single unit that result from large scale output of that product are called economies of scale. Economies of scale occur when the cost per unit of output decreases as the volume of output increases.

There are several reasons why economies of scale occur. First, as the volume of output increases, fixed costs such as factory rent, equipment depreciation, and administrative expenses are spread over a larger number of units, resulting in a lower fixed cost per unit.

Second, larger volumes of output often allow for more efficient use of labor, as workers become more specialized and production processes become more streamlined. Third, larger volumes of output can lead to discounts on raw materials and other inputs due to bulk purchasing.

Economies of scale can benefit companies in several ways. First, they can lead to lower costs, which can increase profitability and help companies remain competitive in the market. Second, economies of scale can allow companies to price their products more competitively, which can increase market share and revenue.

Finally, economies of scale can help companies improve their production processes, which can lead to higher quality products and improved customer satisfaction.

However, it is important to note that there are limits to the benefits of economies of scale. At a certain point, further increases in output may result in diminishing returns, as the costs of additional resources, such as labor and materials, begin to outweigh the benefits of additional production.

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the buyer's goal is to obtain marketable title from the seller. part of this effort is to ask the seller to

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The buyer's goal is to obtain a marketable title from the seller. Part of this effort is to ask the seller to provide a warranty deed.

What is a warranty deed?

A warranty deed is a legal document that transfers property ownership rights. It assures the buyer that the title is free and clear of any encumbrances, such as liens or mortgages, and that the seller has the right to sell the property.

A warranty deed contains the name of the current owner, the buyer's name, the legal description of the property, and the price paid for the property.

The seller also provides the buyer with a guarantee that the title is free of any claims, so if any legal issues arise, the seller will take care of them. This is the seller's assurance to the buyer that the title is legitimate and that they can transfer it to the buyer without any problems.

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high-performance work systems result in high-performance work systems result in centralized decision making. high employee turnover. high production costs. high product quality. simple, repetitive jobs.

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High-performance work systems result in D. high product quality.

What are High-performance work systems ?

High-performance work systems (HPWS) are a set of human resource practices that aim to improve organizational performance by enhancing employee skills, motivation, and involvement. HPWS typically include practices such as employee involvement, training and development, performance management, and compensation and benefits.

Research has shown that organizations that implement HPWS tend to have better performance outcomes, including higher levels of productivity, profitability, and product quality.

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what is defined as the ultimate determination of the success or failure of a supply chain information system?

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The ultimate determination of the success or failure of a supply chain information system is usually based on its effectiveness in providing the desired results.

A successful supply chain information system should enable an organization to effectively manage the flow of goods, materials, and services from suppliers to customers in a cost-efficient manner. It should also be able to provide timely, accurate, and up-to-date information on all aspects of the supply chain, including suppliers, production, delivery, inventory, and customer service.

In addition, a successful supply chain information system should be able to reduce supply chain costs by providing real-time access to information, enabling faster and more accurate decision-making, and optimizing inventory and production operations. Furthermore, it should be able to provide the necessary data analysis to support cost-effective strategic planning.

In summary, the ultimate determination of the success or failure of a supply chain information system is based on its ability to effectively provide the desired results while reducing costs, increasing efficiency, and providing accurate, timely, and up-to-date information.

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to help minimize bad debt expense and provide feedback, a good internal control system will require:

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To help minimize bad debt expense and provide feedback, a good internal control system will require to evaluate the creditworthiness of its customers and should have a robust accounting system to monitor receivables.

The company should evaluate the creditworthiness of its customers before extending credit or services to them, to minimize bad debt expense. The company can obtain a copy of the customer's financial statements or hire an external credit rating agency to review the customer's creditworthiness.

The company should have a robust accounting system to monitor receivables, identify delinquent accounts, and develop a plan for collecting overdue payments. The system should provide frequent reports to management on receivables aging, collection activity, and bad debt expense.

The company should have a credit policy in place that outlines the terms and conditions of credit sales, including payment terms, credit limits, and penalties for late payment or non-payment. Customers should be informed of the credit policy and should agree to it before any credit is extended.

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leading up to the 2010 midterm elections, there was lively debate on whether the bush tax cuts, enacted in 2003, should be allowed to expire for families with annual incomes over $250,000. what would be the impact of allowing income taxes on these families to rise on their incomes and the number of labor participants?

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The impact of allowing income taxes on these families to rise on their income distribution and labor force participation. If these tax cuts were allowed to expire, it would result in higher income taxes for families earning above the threshold.

The potential impact of higher income taxes on these families could be twofold. Firstly, the increase in taxes could lead to reduced disposable income, potentially affecting their spending patterns and consumption levels. This decrease in spending could, in turn, have a ripple effect on the broader economy, as lower demand for goods and services could slow down economic growth.

Secondly, higher taxes could potentially impact labor force participation. Some individuals may choose to work less, as the marginal benefit of additional hours worked decreases due to higher taxes on their income. This could lead to a decline in labor force participation among high-income earners. However, the extent of this impact would depend on the elasticity of labor supply, i.e., how responsive individuals are to changes in tax rates. Research suggests that the labor supply of high-income earners tends to be less elastic, meaning they might not be as sensitive to tax changes as lower-income earners.

In summary, allowing income taxes to rise for families with annual incomes over $250,000 could potentially impact their disposable income and consumption levels, as well as labor force participation. The magnitude of these effects would largely depend on how responsive these families are to changes in tax rates.

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the quantitative modeling of cause-and-effect relationships between external and internal performance criteria is called .

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The quantitative modeling of cause-and-effect relationships between external and internal performance criteria is called a causal model.

What is a causal model? A causal model is a framework that represents the relationship between variables in a way that establishes the cause-and-effect relationships among them. Causal models are often used in the field of business analytics to predict the outcome of specific business decisions and identify the most significant factors that contribute to organizational success.'

Examples of causal models that are used in the business world include regression analysis, decision trees, and structural equation modeling. These models use statistical techniques to analyze data and determine the cause-and-effect relationships between variables.

In conclusion, the quantitative modeling of cause-and-effect relationships between external and internal performance criteria is called a causal model. A causal model is a framework that represents the relationship between variables in a way that establishes the cause-and-effect relationships among them.

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when marginal product is rising, the marginal cost of producing another unit of output is declining and when marginal product is falling marginal cost is rising. why this happened?

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The reason that when marginal product is rising, the marginal cost of producing another unit of output is declining is because the cost of producing one more unit of output is lower than the benefit of producing that unit.

This is because, as marginal product rises, the production of each additional unit adds more value to the total output than the cost of producing it. In other words, when marginal product is rising, each additional unit of output adds more value than it costs to produce it, thus decreasing the marginal cost.

Conversely, when marginal product is falling, the cost of producing one more unit of output is higher than the benefit of producing that unit, causing the marginal cost to rise.

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better bought a 13-week t-bill a discount and held it to maturity for tax purposes difference between the purchase price and the maturity value would be

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If you bought a 13-week T-bill at a discount and held it to maturity for tax purposes, the difference between the purchase price and the maturity value would be equal to the interest earned on the T-bill.

To calculate this difference, you can use the following formula:

Interest earned = Face value - Purchase price

The face value of a 13-week T-bill is $10,000. If you bought it at a discount of 2%, the purchase price would be:

$10,000 x 0.98 = $9,800

At maturity, you would receive the face value of $10,000. Therefore, the difference between the purchase price and the maturity value would be:

$10,000 - $9,800 = $200

So, the interest earned on this 13-week T-bill would be $200.

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investing in a portfolio of two assets with a correlation coefficient of 0 will reduce which kind of risk?

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The investing in a portfolio of two assets with a correlation coefficient of 0 will reduce unsystematic risk.

Unsystematic risk is the risk associated with individual assets and is dependent upon the volatility of the asset.

By investing in two assets with a correlation coefficient of 0, the portfolio will reduce risk because the assets are not correlated and therefore are not likely to fluctuate together. If one asset experiences a decrease in value, the other will remain unaffected.

This strategy of investing in two assets with a correlation coefficient of 0 is known as diversification. By diversifying your investments, you are able to decrease the risk that is associated with investing in a single asset.

When diversifying a portfolio, it is important to understand the correlation coefficient of the two assets, as a correlation coefficient of 0 indicates that the two assets are not correlated and will provide a diversified portfolio with a decreased amount of risk.

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john reynolds has money to save. he expects interest rates to increase over the next few years. to maximize his investments in the long term, he should invest right now in a(n):

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John Reynolds should invest right now in a long-term investment such as a bond or stock, as interest rates are expected to increase over the next few years. By investing in a long-term investment, John Reynolds will be able to maximize his investments and benefit from higher interest rates in the future.

As interest rates increase, the rate of return on a  long-term investment may increase as well, providing a higher return than when the investment was made. To explain in more detail, when interest rates increase, the market value of a  long-term investment decreases. This means that the investor can buy the security at a lower price than the market value, and get a higher return when the security matures.

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what is a final good? multiple select question. a good that is counted as part of gdp a good that is counted twice while calculating gdp a good used only in the production of other products a good directly consumed by individuals or businesses

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A final good is a good that is directly consumed by individuals or businesses (option A). This type of good is counted as part of the Gross Domestic Product (GDP) and is not used in the production of other goods.

A final good is a good that is counted as part of GDP. This means that it is a good that is either directly consumed by individuals or businesses or a good used only in the production of other products. It is important to note that a final good is only counted once while calculating GDP.  This includes goods that are directly consumed by individuals or businesses, and not goods used in the production of other products.

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which of the following is not an example of the dark side of social media for public relations professionals? group of answer choices blog usage by discontented shareholders, stock manipulators, and angry customers secure, unedited sites where employees can discuss corporate policies and strategies urban legends about corporate horror stories spread by email rogue websites that confront organizations with negative information

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A case study of social media's negative aspects for public relations experts safe, uncensored forums for staff to discuss company policies and strategies.

Competition with bloggers or influencers, an emphasis on deadlines rather than quality, and most crucially, the introduction of new success metrics are some notable negative effects of social media on public relations. Social media is regarded as essential in PR for managing the everyday operations of business by tearing down the barriers that still exist between a brand and the general public with the aid of various social media platforms. These platforms enable the PR sector to control its interactions with the media, clients, and the general public.

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which action will most likely be found in violation of procompetitive legislation? a. knowingly harming consumers b. discriminating against consumers c. contracting with sweatshops d. establishment of monopolies e. pollution of waterways

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The creation of monopoly is the action that will most likely be deemed to be against procompetitive legislation.

Which of the following factors affects business ethics on an individual basis?

Many individual, cultural, and opportunity factors have an impact on how ethically compliant a corporation is. Personal traits include knowledge level, moral principles and beliefs, and aspirations. Social influences include cultural norms, the values and conduct of employees and close friends, and others.

Which of the following elements is related to ethical concerns?

The behaviour of the boss, corporate culture, and code of ethics are all elements that influence how ethically conscious an organization's employees are.

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