How are unallocated overheads treated as per IAS 2? A. Recognise as an expense in the period in which they are incurred B. Recognise as an expense so long as there is a profit in the current period C. Treated as deferred expenditure D. Capitalised with the cost of inventories

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Answer 1

As per IAS 2 (International Accounting Standard 2) which deals with the accounting treatment of inventories, unallocated overheads are typically treated by Recognising them as an expense in the period in which they are incurred.

So, the correct answer is A.

What's IAS 2 (International Accounting Standard 2)

IAS 2 requires that only costs directly attributable to the production or acquisition of inventory items should be capitalized with the cost of inventories.

Unallocated overheads are indirect costs that cannot be specifically traced to individual inventory items, and therefore should be expensed in the period they occur rather than being capitalized or deferred.

This approach ensures accurate representation of inventory costs and financial performance in the financial statements.

Hence, for this question the answer is A. Recognise as an expense in the period in which they are incurred

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Related Questions

Cost of Equity: Dividend Growth
Summerdahl Resort's common stock is currently trading at $38 a share. The stock is expected to pay a dividend of $2.00 a share at the end of the year (D1 = $2.00), and the dividend is expected to grow at a constant rate of 7% a year. What is the cost of common equity? Round your answer to two decimal places.

Answers

The cost of common equity for Summerdahl Resort is 12.26%.

The cost of common equity for Summerdahl Resort can be calculated using the Dividend Growth Model. Given the current stock price of $38 a share, a dividend of $2.00 a share at the end of the year, and a constant dividend growth rate of 7%, the formula for the cost of common equity is: Cost of common equity = (D1 / P0) + g Where D1 is the expected dividend at the end of the year, P0 is the current stock price, and g is the constant growth rate of the dividend. Cost of common equity = ($2.00 / $38) + 0.07

Cost of common equity = 0.0526 + 0.07Cost of common equity = 0.1226 or 12.26% (rounded to two decimal places)Therefore, the cost of common equity for Summerdahl Resort is 12.26%.

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Two currency dealers gave me the following rates.
Dealer A: 0.80 pounds/euro
1.50 dollars/pound
Dealer B: 0.85 euro/dollar
I can borrow up to 5 million British pounds. If I borrow the full amount (5 million
pounds) and first convert them into euro, then convert my euros into dollar, and then
finally convert my dollars back into pounds, will I make money

Answers

Yes, you can make money through this process, known as arbitrage. Arbitrage allows taking advantage of the different exchange rates offered by two dealers to gain profit by a sequence of currency conversions.

Here's a breakdown of the transactions:

Borrow 5 million British pounds.Convert pounds to euros using Dealer A's rate: 5,000,000 pounds x 0.80 pounds/euro = 4,000,000 euros.Convert euros to dollars using Dealer B's rate: 4,000,000 euros x 0.85 euro/dollar = 3,400,000 dollars.Convert dollars back to pounds using Dealer A's rate: 3,400,000 dollars / 1.50 dollars/pound = 2,266,667 pounds.

After completing these transactions, you will have gained 266,667 pounds (2,266,667 - 5,000,000). This profit is made possible through exploiting the differences in exchange rates offered by the two currency dealers.

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If STC = 200 +2q+4q^2 and SMC = 2+8q where q is output, what is hte minimum level of average variable cost
a. 6
b. 0
c. 2
d. 8

Answers

To find the minimum level of average variable cost (AVC), we first need to find the total variable cost (TVC) function. The STC function given is:

STC = 200 + 2q + 4q^2

Since the total fixed cost (TFC) is the constant term, TFC = 200. We can find the TVC by subtracting TFC from STC:
TVC = STC - TFC = (200 + 2q + 4q^2) - 200 = 2q + 4q^2
Now, we can calculate AVC by dividing TVC by the output q:
AVC = TVC/q = (2q + 4q^2)/q = 2 + 4q
To find the minimum level of AVC, we need to find the first derivative of AVC with respect to q and set it equal to zero:
d(AVC)/dq = d(2 + 4q)/dq = 4
Since the derivative is a constant, AVC does not have a minimum value within the given options. So, none of the choices a, b, c, or d are correct.

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As stated by the textbook authors, "Central bankers have a longlist of goals and a short list of tools they can use to achievethem." What are the goals and what are the tools available tocentral ba nkers? What primary tool do most central bankers use today? Why?

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Central bankers' goals include promoting price stability, maintaining full employment, promoting economic growth and financial stability. List of tools at their disposal to achieve these goals are open market operations, discount rate, and reserve requirements.

The goals of central bankers include:

1. Price stability: Maintaining low and stable inflation.

2. Full employment: Promoting high levels of employment.

3. Economic growth: Encouraging sustainable long-term growth.

4. Financial stability: Ensuring a stable and well-functioning financial system.

The tools available to central bankers are:

1. Open market operations: Buying and selling government securities to influence the money supply.

2. Discount rate: Setting the interest rate charged to commercial banks for borrowing from the central bank.

3. Reserve requirements: Regulating the amount of reserves commercial banks must hold against deposits.

The primary tool most central bankers use today is open market operations. This is because it allows them to effectively control the money supply and adjust interest rates, thus influencing economic activity and achieving their goals. Open market operations are also more flexible and easier to implement compared to other tools.

However, it's worth noting that different central bankers may have different preferences when it comes to which tools to use. For example, some may prefer to use quantitative easing, which involves buying large quantities of government bonds or other securities to increase the money supply and lower interest rates. Ultimately, the tools that central bankers use will depend on a variety of factors, including the specific goals they are trying to achieve and the current economic conditions in their respective countries.

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a __________ committee of the governing body is responsible for developing corporate auditing policies and procedures.

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Audit.An audit committee is a standing committee of the governing body of an organization, typically a corporation or nonprofit, that is responsible for overseeing the organization's financial reporting and auditing processes.

The audit committee is responsible for developing corporate auditing policies and procedures, selecting the external auditors, and ensuring that the audit process is conducted in an effective and independent manner.

The audit committee plays an important role in maintaining the integrity of an organization's financial reporting and ensuring that it is in compliance with applicable laws and regulations. The committee also provides oversight of the organization's internal controls and risk management processes, and may be involved in reviewing and approving significant financial transactions.

In addition to its oversight responsibilities, the audit committee may also provide advice and guidance to management on financial and accounting issues, and may serve as a liaison between management, the external auditors, and the governing body.

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A Audit Committee is a committee of the governing body responsible for developing corporate auditing policies and procedures. This committee is typically composed of members of the board of directors and senior executives from the organization.

The Audit Committee is responsible for reviewing the company's financial statements and internal controls, monitoring the quality and effectiveness of internal and external auditing, and overseeing the appointment and removal of independent auditors.

The primary role of the Audit Committee is to ensure that the organization is adhering to all applicable laws and regulations, as well as maintaining a high level of financial integrity.

This includes periodically reviewing the company's internal controls for accuracy, reliability, and compliance with applicable laws and regulations.

Additionally, the Audit Committee typically ensures that the organization's internal and external auditing processes are conducted in accordance with accepted auditing standards.

The Audit Committee is also responsible for reviewing the organization's financial statements and any related reports or disclosures. This can include reviewing and approving any changes to the company's accounting policies and practices.

Finally, the Audit Committee is responsible for overseeing the selection, appointment, and removal of independent auditors. This is to ensure that the organization is in compliance with all applicable laws and regulations, and that the independent auditors are conducting their work in an independent and impartial manner.

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market failure group of answer choices never occurs. occurs whenever an imperfection in the market mechanism prevents optimal outcomes. occurs whenever the government pursues laissez-faire policies. occurs whenever the government intervenes in the market mechanism.

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Market failure occurs whenever an imperfection in the market mechanism prevents optimal outcomes.

Market failure refers to a situation where the free market fails to allocate resources efficiently, resulting in suboptimal outcomes. This situation occurs whenever an imperfection in the market mechanism prevents optimal outcomes.

Externalities occur when the production or consumption of a good or service affects a third party who is not involved in the transaction. Public goods are goods or services that are non-excludable and non-rivalrous, meaning that they cannot be withheld from anyone and do not diminish in quantity when consumed.

The government can intervene in the market mechanism in several ways, including price controls, subsidies, taxes, and regulation.

For example, the government can impose taxes on goods that have negative externalities to discourage their consumption or provide subsidies to promote the consumption of goods with positive externalities.

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a senator leaves office and takes a position as a lobbyist for the farming industry. this is an example of

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A senator leaves office and takes a position as a lobbyist for the farming industry. this is an example of the revolving door phenomenon in politics.

The revolving door phenomenon in politics, where people alternate between employment with the government and positions in the private sector like lobbying, consulting, or advocacy. In this situation, the senator's decision to leave office and work as a lobbyist for the agricultural sector raises the possibility of a conflict of interest because they might use their connections and influence in politics to advance the interests of their new employer.

Concerns about the possibility of corruption and unethical behavior have been raised by this contentious practice.

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how can firms best maintain competitive advantage? multiple choice question. by divesting themselves of the brand by copying competitors' brands, images, products, and promotions by reinforcing the brand image through merchandise, service, and promotion by using the cheapest supplier for all raw materials

Answers

The best way for firms to maintain a competitive advantage is by building a strong brand through high-quality products or services, exceptional customer service, and effective marketing campaigns. This approach may require more investment upfront, but it will provide a sustainable competitive edge in the long run.

The best way for firms to maintain competitive advantage is by reinforcing the brand image through merchandise, service, and promotion. This means that the firm should focus on building a strong brand that resonates with its target audience and is perceived as unique and valuable. This can be achieved by creating high-quality products or services, delivering exceptional customer service, and developing effective marketing campaigns that highlight the strengths of the brand.

Copying competitors' brands, images, products, and promotions may provide short-term gains, but it is not a sustainable strategy for maintaining a competitive advantage. This approach can quickly lead to a race to the bottom, where firms are constantly lowering prices and cutting corners to keep up with their competitors.Divesting themselves of the brand is also not a viable option for maintaining a competitive advantage.

The brand is often a firm's most valuable asset, and getting rid of it would mean giving up any competitive edge it may have had.Using the cheapest supplier for all raw materials may help to lower costs, but it is not a guarantee of long-term success. A focus on cost-cutting can often lead to lower quality products or services, which can ultimately harm the brand and lead to a loss of competitive advantage.

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a small publisher wishes to publish self-improvement books. after a survey of the market, the publisher finds that the average cost of the type of book that she wishes to sell is $12.80. if she wants to price her books to sell to the middle 80% range, what should be the miimum and maximum prices of the books? the standard deviation is $0.83

Answers

To price her books to sell to the middle 80% range, the publisher needs to set the minimum and maximum prices such that 10% of the prices fall below the minimum price and 10% of the prices exceed the maximum price. This leaves 80% of the prices in the middle range.

To find the minimum and maximum prices, we need to use the z-score formula:

z = (x - μ) / σ

where z is the z-score, x is the price, μ is the mean price, and σ is the standard deviation.

To find the z-score corresponding to the 10th and 90th percentiles, we consult a standard normal distribution table and find that:

z_10 = -1.28
z_90 = 1.28

Substituting the given values, we get:

-1.28 = (x - 12.80) / 0.83
1.28 = (x - 12.80) / 0.83

Solving for x, we get:

x = -1.28(0.83) + 12.80 = $11.72 (rounded to the nearest cent) for the minimum price
x = 1.28(0.83) + 12.80 = $13.88 (rounded to the nearest cent) for the maximum price

Therefore, the minimum price should be $11.72 and the maximum price should be $13.88 to sell to the middle 80% range.

The call option gives the buyer of the option the right to buy the underlying asset at a set price during a set period of time. Pc True False Da WH

Answers

True is the correct answer.The call option gives the buyer of the option the right to buy the underlying asset at a set price during a set period of time.

A call option gives the buyer of the option the right to buy the underlying asset at a set price, known as the strike price, during a set period of time. This allows the option holder to benefit from potential price increases in the underlying asset without actually owning it.True is the correct answer.

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Exploring Finance: Short-Term versus Long-Term Cash Flows
Conceptual Overview: Explore how time and the cost of capital affects the net present values of two alternative investments.
The equations below show the discounted or present value of cash flows either one year or twenty years in the future. The first equation in each set of three shows the discounted value when the interest rate (or cost of capital) equals 5%. The second equation in each set of three shows the discounted value for an interest rate that is controlled by the slider. The third equation compares the two discounted values. Change the slider and observe whether the discounted value of the one-year cash flow changes more or less quickly than the discounted value of the twenty-year cash flow.

Answers

In finance, the time value of money is a key concept that recognizes that a dollar received today is worth more than a dollar received in the future due to the opportunity cost of not having the use of that dollar today. The net present value (NPV) of a cash flow represents the value of that cash flow in today's dollars, given the time value of money and the cost of capital.

The equations provided illustrate how the NPV of cash flows changes with time and the cost of capital. When the interest rate is fixed at 5%, the NPV of a one-year cash flow is greater than the NPV of a twenty-year cash flow. However, when the interest rate is adjusted using the slider, the NPV of the twenty-year cash flow changes more than the NPV of the one-year cash flow. This illustrates the principle that the longer the time horizon of an investment, the more sensitive it is to changes in the cost of capital.

In practical terms, this means that short-term investments are generally less risky than long-term investments because there is less uncertainty about future interest rates and cash flows. Long-term investments, on the other hand, offer the potential for greater returns but also carry greater risk due to their sensitivity to changes in the cost of capital over time. Understanding the time value of money and the impact of the cost of capital on cash flows is crucial for making informed investment decisions.

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what are three factors that influence the importance a consumer places on different evaluative criteria?

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The three factors that influence the importance a consumer places on different evaluative criteria are: Personal values and beliefs, past experiences, contextual factors.

1. Personal values and beliefs: Consumers' values and beliefs can shape their preferences and priorities when evaluating products or services. For example, some consumers may prioritize eco-friendliness or social responsibility in their purchasing decisions, while others may prioritize convenience or affordability.

2. Past experiences: Previous experiences with a product or service can greatly influence a consumer's evaluation and subsequent purchase decisions. Positive experiences may increase the importance placed on certain criteria, while negative experiences may decrease their importance.

3. Contextual factors: The context in which a consumer is evaluating a product or service can also affect the importance placed on different criteria. For example, a consumer's level of involvement or urgency in the decision-making process, the available alternatives, and the marketing messages presented by the seller can all influence the criteria that are most important to the consumer.

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Answer:

competitive contextadvertising effectsusage situation

which of the following is considered an operating expense? group of answer choices purchase of machinery for a new project purchase of toner for the copy machine purchase of land to build a new plant

Answers

The purchase of toner for the copy machine is considered an operating expense.

An operating expense refers to the ongoing costs of running a business. These expenses are essential for a company's day-to-day operations and include items such as rent, utilities, salaries, and office supplies like toner for the copy machine.

In contrast, the purchase of machinery for a new project and the purchase of land to build a new plant are considered capital expenditures, which are investments made to acquire or improve long-term assets.

While operating expenses are typically tax-deductible in the current year, capital expenditures are depreciated or amortized over time. Therefore, among the given choices, the purchase of toner for the copy machine is the operating expense.

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According to Caren Albarian, businesses should save time and money by simply reviewing each applicant's social media sites and disqualifying applicants based on what the company finds. When considering whether to enforce nondisclosure agreements, Courts will consider whether the information is truly secret.

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The first statement is not recommended as a best practice for businesses to follow in their hiring process. Reviewing an applicant's social media sites may reveal information that is not relevant to their qualifications for the job and may expose the business to potential discrimination claims.

The second statement is generally accurate. When considering whether to enforce a nondisclosure agreement, courts will examine whether the information at issue qualifies for trade secret protection and whether the employer took reasonable steps to protect the information's secrecy.

If the information is found not to be truly secret or if the employer did not take adequate measures to safeguard its secrecy, the court may not enforce the nondisclosure agreement.

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The first statement is not recommended as a best practice for businesses to follow in their hiring process. Reviewing an applicant's social media sites may reveal information.

that is not relevant to their qualifications for the job and may expose the business to potential discrimination claims. The second statement is generally accurate. When considering whether to enforce a nondisclosure agreement, courts will examine whether the information at issue qualifies for trade secret protection and whether the employer took reasonable steps to protect the information's secrecy. If the information is found not to be truly secret or if the employer did not take adequate measures to safeguard its secrecy.

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As they are working through the fascinating topics examined in their corporate valuation class, Sarah says to Connor ... "You know, it is often said that the vanilla WACC treats the interest tax shield as an increase in cash flow whereas the standard WACC treats the interest tax shield as a decrease in the discount rate. But I think this is only half the story What do you think?

Answers

The statement is accurate in that the vanilla WACC does treat the interest tax shield as an increase in cash flow.

This is because the higher the interest rate paid on the debt, the higher the tax shield benefit received. On the other hand, the standard WACC does treat the interest tax shield as a decrease in the discount rate.

This is because the lower the rate of interest paid on the debt, the lower the cost of debt and the lower the overall cost of capital. Therefore, the interest tax shield decreases the cost of capital and thus the discount rate.

In conclusion, this statement accurately explains how the vanilla WACC and the standard WACC treat the interest tax shield differently.

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Your company has $3,000,000 that can be used for triangular arbitrage. You observe the following exchange rates are the following:
You can sell dollars for 0.888 euros per dollar and buy dollars for 0.896 euros per dollars.
You can sell Australian dollars (A$) for $.73 and buy Australian dollars for $.75.
You can sell Australian dollars (A$) for 0.68 euros per A$ and buy Australian dollars (A$) for 0.70 euros per A$.
a. What profits can you earn from triangular arbitrage?
b. Someone in the company is concerned about the plan to use triangular arbitrage like this, calling it a "risky scheme" that could backfire and hurt the profitability of the company. are they right? Explain why or why not.

Answers

a. The total profits from triangular arbitrage would be $24,000.

Profits from triangular arbitrage can be calculated by taking the difference between the buying and selling rates. In this case, the difference between buying and selling dollars for euros is 0.008 euros.

The difference between buying and selling Australian Dollars for US Dollars is 0.02 US Dollars and the difference between buying and selling Australian Dollars for Euros is 0.02 Euros. The total profits from triangular arbitrage would be the sum of these differences multiplied by the amount of money invested (3 million). Therefore, the total profits from triangular arbitrage would be $24,000.

b. While triangular arbitrage can be a profitable strategy, it is not without risk. The exchange rates can change quickly and if the company is not able to capitalize on the arbitrage opportunity, it could result in losses. Additionally, there are transaction costs associated with these transactions that could reduce the overall profits.

Therefore, the company should ensure that it has a system in place to monitor the exchange rates and execute transactions quickly to ensure that it can capitalize on any arbitrage opportunities and minimize the risks associated with this strategy.

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On a busy Saturday night, the manager comes through about every 2 hours and removes all of the bills $20 and larger. This is known as
bleeding the cash register

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On a busy Saturday night, when the manager comes through every 2 hours to remove all bills $20 and larger from the cash register, this process is known as "bleeding the cash register."

It's possible that the term "bleeding the cash register" may be used to describe the process of periodically removing large bills from the cash register during peak hours to prevent the register from becoming too full or to reduce the risk of theft.

However, this term is not widely recognized and is not a standard practice in cash management. In most businesses, the process of managing cash registers, including removing bills or making change, is typically referred to as cash handling or cash management, and it is based on established procedures and best practices.

In general cash management practices, it is important to establish standard operating procedures for handling cash, including how to manage large bills, making change, counting and reconciling cash, and securing cash against theft or loss.

These procedures are typically based on sound accounting principles and internal controls to ensure the accuracy, security, and integrity of the cash handling process.

Proper cash management practices are essential for maintaining accurate financial records, preventing cash shortages or overages, and mitigating the risk of theft or fraud.

In conclusion, while the term "bleeding the cash register" may be used in specific local contexts or industries to describe a process of removing bills from the cash register, it is not a widely recognized term in general accounting or cash management practices.

It's important to rely on established cash management procedures and best practices to ensure accurate and secure handling of cash in a business setting.

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tyrell company entered into the following transactions involving short-term liabilities. year 1 april 20 purchased $38,500 of merchandise on credit from locust, terms n/30. may 19 replaced the april 20 account payable to locust with a 90-day, 7%, $35,000 note payable along with paying $3,500 in cash. july 8 borrowed $60,000 cash from nbr bank by signing a 120-day, 12%, $60,000 note payable. ? paid the amount due on the note to locust at the maturity date. ? paid the amount due on the note to nbr bank at the maturity date. november 28 borrowed $30,000 cash from fargo bank by signing a 60-day, 8%, $30,000 note payable. december 31 recorded an adjusting entry for accrued interest on the note to fargo bank. year 2 ? paid the amount due on the note to fargo bank at the maturity date.

Answers

Tyrell Company's short-term liability transactions in year 1 allowed them to effectively manage their debts, extend payment terms, and generate cash savings while meeting their financial obligations in year 2.

Tyrell Company engaged in several transactions involving short-term liabilities in year 1. On April 20, the company purchased $38,500 of merchandise on credit from Locust with terms of n/30. On May 19, Tyrell replaced the account payable to Locust with a 90-day, 7%, $35,000 note payable along with paying $3,500 in cash. This transaction allowed Tyrell to extend the payment terms with Locust while also generating some cash savings.

On July 8, Tyrell borrowed $60,000 cash from NBR Bank by signing a 120-day, 12%, $60,000 note payable. The company will need to pay back the principal plus interest at the maturity date. Tyrell paid the amount due on the note to Locust at the maturity date, which was likely 90 days from May 19, the date the note was signed.

Tyrell also borrowed $30,000 cash from Fargo Bank on November 28, by signing a 60-day, 8%, $30,000 note payable. On December 31, Tyrell recorded an adjusting entry for accrued interest on the note to Fargo Bank, which was likely $400 ($30,000 x 8% x 33/365, assuming a 365-day year).

In year 2, Tyrell paid the amount due on the note to Fargo Bank at the maturity date, which was likely January 27 (60 days from November 28). Overall, these transactions allowed Tyrell to manage its short-term liabilities effectively while also providing some cash savings and flexibility.

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Biscuits Inc. has offered $427 million cash for all of the common stock in Gravy Corporation. Based on recent market information, Gravy is worth $376 million as an independent operation.
If the merger makes economic sense for Biscuits, what is the minimum estimated value of the synergistic benefits from the merger? (Round answer to the nearest whole number)

Answers

The minimum estimated value of the synergistic benefits from the merger between Biscuits Inc. and Gravy Corporation, if it makes economic sense, can be calculated as follows: Offer Price - Independent Value = Synergistic Benefits $427 million - $376 million = $51 million
Therefore, the minimum estimated value of the synergistic benefits from the merger is $51 million.To calculate the minimum estimated value of the synergistic benefits from the merger, we need to determine the value of Gravy Corporation to Biscuits Inc. after the merger.

The value of Gravy Corporation to Biscuits Inc. after the merger is equal to the offer price of $427 million.

The value of Gravy Corporation as an independent operation is $376 million.

Therefore, the minimum estimated value of the synergistic benefits from the merger is:

$427 million - $376 million = $51 million

Rounding this answer to the nearest whole number, we get:

$51 million ≈ $51 million

So the minimum estimated value of the synergistic benefits from the merger is $51 million.

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All else equal, properties with riskier expected future cash flowsa. sell at higher cap ratesb. have lower expected (internal) rates of returnc. sell at lower cap rates

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When considering properties with riskier expected future cash flows, it is important to understand the relationship between risk and return. All else being equal, riskier properties are likely to have higher cap rates, which means they will sell at a lower price relative to their net operating income i.e option C.

This is because investors require a higher return to compensate for the increased risk. On the other hand, properties with lower risk and more stable expected future cash flows may sell at lower cap rates, indicating a higher price relative to their net operating income. This is because investors are willing to accept a lower return in exchange for a more predictable investment.
Additionally, properties with riskier expected future cash flows may also have lower expected internal rates of return. This is because the higher risk of these investments means that they are more likely to experience negative cash flows or lower returns than properties with more stable cash flows. As a result, investors may require a higher expected return to justify the additional risk, which may lower the expected internal rate of return.

Therefore, the right option is C.

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what is amazon's version of a sku (stock keeping unit) that is used to identify unique products on amazon?

Answers

Amazon's version of a SKU (Stock Keeping Unit) is known as an ASIN (Amazon Standard Identification Number).

What's ASIN (Amazon Standard Identification Number)

It is a unique identifier assigned to each product that is listed on Amazon's marketplace.

ASINs are used to organize and differentiate products, making it easier for customers to search and find what they are looking for. Each product on Amazon has its own unique ASIN, even if the product is identical to another product.

This is because ASINs are specific to the product's packaging and other identifying features. Additionally, ASINs are used to link related products, such as different editions of a book or different colors of a shirt.

Overall, the ASIN system is an important aspect of Amazon's business model, allowing for efficient inventory management and streamlined product search and purchasing for customers.

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Suppose you just finished your third plateful of Thanksgiving dinner and it yielded 17 units of additional satisfaction, and the fourth plateful of Thanksgiving dinner would give 1 unit of utility. Should you go back for more? O No, because the marginal utility of the 4th plateful will be negative. Yes, since the marginal utility of the 4th plateful is expected to be more than 17 units of utility. O No, since the marginal utility of the 4th plateful is less than 17 units of utility. O Yes, since the marginal utility of the 4th plateful is greater than 0 units

Answers

Should you go back for more: No, since the marginal utility of the 4th plateful is less than 17 units of utility. The correct option is C.

Marginal utility is the additional satisfaction or benefit that is gained from consuming one more unit of a good or service. In this case, we are talking about the marginal utility of the fourth plateful of Thanksgiving dinner.

This means that if we were to compare the satisfaction gained from the first plateful to the satisfaction gained from the third plateful, there would be a difference of 17 units. However, the fourth plateful is expected to give only 1 unit of utility. This means that the marginal utility of the fourth plateful is much lower than the marginal utility of the third plateful.

It would not make sense to go back for more. The marginal utility of the fourth plateful is less than the marginal utility of the third plateful, which means that the satisfaction gained from the fourth plateful is not worth the effort and cost required to consume it.

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Complete question:

Suppose you just finished your third plateful of Thanksgiving dinner and it yielded 17 units of additional satisfaction, and the fourth plateful of Thanksgiving dinner would give 1 unit of utility. Should you go back for more?  

a. No, because the marginal utility of the 4th plateful will be negative.

b. Yes, since the marginal utility of the 4th plateful is expected to be more than 17 units of utility.

c. No, since the marginal utility of the 4th plateful is less than 17 units of utility.  

d. Yes, since the marginal utility of the 4th plateful is greater than 0 units

during its most recent period, superior manufacturing expected to incur the following costs: $420,000 of overhead, $700,000 of materials, and $280,000 in labor. superior applied overhead based on direct labor cost. actual production required an overhead cost of $413,000, $798,000 in materials used, and $308,000 in labor. all of the goods were completed. how much is the amount of over or underapplied overhead? select answer from the options below

Answers

The amount of over or underapplied overhead is $7,000 overapplied.

This means that the actual overhead cost incurred was less than the amount of overhead applied based on direct labor cost. The formula for calculating over or underapplied overhead is:

Actual Overhead - Applied Overhead. In this case, it is $413,000 - ($280,000 / $308,000) x $280,000 = $413,000 - $256,363 = $7,000 overapplied.

This could be due to a variety of reasons such as lower actual overhead costs, higher direct labor costs than anticipated, or a combination of both. It is important for companies to monitor their overhead costs and adjust their applied overhead rates accordingly to avoid significant over or underapplied overhead.

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A project has the following forecasted cash flows:
Cash Flows ($ thousands)
C0 C1 C2 C3
−190 +130 +150 +140
The estimated project beta is 1.58. The market return rm is 18%, and the risk-free rate rf is 5%.
a. Estimate the opportunity cost of capital and the project’s PV (using the same rate to discount each cash flow). (Do not round intermediate calculations. Enter your cost of capital answer as a percent and enter your PV answer in thousands. Round your answers to 2 decimal places.)
Cost of capital %
PV $
b. What are the certainty-equivalent cash flows in each year? (Do not round intermediate calculations. Enter your answers in thousands rounded to 2 decimal places.)
Year Certainty-Equivalent
Cash Flow
1 $
2 $
3 $
c. What is the ratio of the certainty-equivalent cash flow to the expected cash flow in each year? (Do not round intermediate calculations. Round your answers to 4 decimal places.)
Year Ratio
1 2 3

Answers

The present value of the project is $120.16 thousand.

a. To estimate the opportunity cost of capital, we need to use the Capital Asset Pricing Model (CAPM):
Cost of capital = rf + beta * (rm - rf)
Cost of capital = 5% + 1.58 * (18% - 5%)
Cost of capital = 24.54%

To calculate the project's PV, we need to discount each cash flow using the cost of capital:
[tex]PV = C0 / (1 + r)^0 + C1 / (1 + r)^1 + C2 / (1 + r)^2 + C3 / (1 + r)^3\\PV = (-190) / (1 + 0.2454)^0 + 130 / (1 + 0.2454)^1 + 150 / (1 + 0.2454)^2 + 140 / (1 + 0.2454)^3[/tex]
PV = $120.16 thousand

b. To calculate the certainty-equivalent cash flows, we need to discount each cash flow using the risk-free rate:
Certainty-equivalent cash flow = [tex]Cash flow / (1 + rf)^n[/tex]

Year Certainty-Equivalent Cash Flow
1 $124.23 thousand
2 $115.47 thousand
3 $103.71 thousand

c. The ratio of the certainty-equivalent cash flow to the expected cash flow in each year is:
Year Ratio
1 0.9564
2 0.7695
3 0.6979

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myshirts, a company that manufactures shirts, buys large batches of dressing material from a supplier. the supplier charges them less than what myshirts would have had to pay if it had purchased the material from different sources. as a consequence, the cost of manufacturing each shirt at myshirts is lower than at other manufacturers. this is an example of economies of

Answers

The importance of selecting the right suppliers and negotiating favorable supplier charges to maximize cost savings and increase competitiveness in the market.

This is an example of economies of scale, where myshirts benefits from purchasing materials in bulk from a single supplier, resulting in lower material costs per unit. By lowering the cost of production, myshirts can sell their shirts at a lower price or increase their profit margin. This highlights the importance of selecting the right suppliers and negotiating favorable supplier charges to maximize cost savings and increase competitiveness in the market.

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which of the following is true of businesses with negative customer value? select one: a. they produce higher levels of pre-tax return on investment. b. they tend to gain market share. c. they have great difficulty in retaining customers. d. their value propositions are average. e. their performance benefits exceed the cost of purchase.

Answers

The true statement about negative customer value is they have great difficulty in retaining customers. The correct option is C.


Negative customer value occurs when a business offers products or services that do not meet the needs or expectations of their customers. This can happen for a variety of reasons, such as poor quality, high prices, inadequate customer service, or a lack of features that customers desire.

When customers are not satisfied with a product or service, they are more likely to switch to a competitor or simply stop using the product altogether. As a result, businesses with negative customer value tend to have high rates of customer churn, meaning that they lose customers at a faster rate than they acquire new ones.

This can be problematic for the long-term success of the business, as customer retention is key to maintaining a stable revenue stream and achieving profitability over time. Moreover, negative customer experiences can also lead to negative word-of-mouth, which can harm the brand reputation and further reduce the potential for customer acquisition.

Therefore, the correct option is C.

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Question is Complete:The 5 Principles that Form the Foundation of FinanceIn Chapter 1 we learned about the (5) principles that form the foundation of Finance. Immediately upon graduation with your MSA degree, you apply for a job in a for-profit company and the first question they ask you is to explain the meaning of the five principles that form the foundation of finance.

Answers

The five principles that form the foundation of Finance are: (1) cash flow is what matters, (2) money has a time value, (3) risk requires a reward, (4) market prices are generally right, and (5) conflicts of interest cause agency problems.

These principles provide a framework for understanding the fundamental concepts of finance and guide decision-making processes in financial management.

Understanding these principles is crucial for financial professionals as they help in assessing the financial viability of projects, evaluating investment opportunities, and managing risks associated with financial decision-making.

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which of the following is an example of vertical integration within a firm? u.s. steel owns coal mines, smelts iron ore using coal it extracts from those mines, and uses that iron ore to manufacture steel. ibm buys computer chips from intel, which allows it to concentrate on manufacturing computers. general motors and ford both buy tires from the same tire manufacturer.

Answers

An example of vertical integration within a firm is U.S. Steel owning coal mines, smelting iron ore using coal it extracts from those mines, and using that iron ore to manufacture steel. Option A is correct.

Vertical integration refers to the integration of different stages of production or distribution under a single company's control to improve efficiency, reduce costs, and increase profits. In this example, U.S. Steel has vertically integrated by owning and controlling the inputs to its production process, namely coal and iron ore, as well as the manufacturing of steel.

On the other hand, IBM buying computer chips from Intel is an example of outsourcing or vertical disintegration, as IBM is buying a component from a specialized supplier instead of producing it in-house. General Motors and Ford both buying tires from the same tire manufacturer is also an example of outsourcing or vertical disintegration, as they are both buying a component from a specialized supplier instead of producing it in-house.

Therefore, the correct option is A.

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Among Homer Simpson's many experiences as an (failed) entrepreneur is the time that he started a firm to recycle used grease. The current dividend on this stock is $0.90, and Homer expects that the dividend growth rate will be 6% for each of the next two years, 12% in the third year, and then will remain steady at 10% thereafter. Given the risky nature of purifying grease, prospective investors require a 15% rate of return if they are to invest in the stock of this enterprise. How much is this stock worth today? Based on the above information, how much should you expect the stock to cost in three years?

Answers

The current value of the stock is $6.81 and in three years we can expect the stock to cost $31.46.

To calculate the current value of the stock, we need to use the dividend discount model. The formula for this model is:

PV = D1 / (r - g)

where PV is the present value of the stock, D1 is the expected dividend next year, r is the required rate of return, and g is the expected growth rate of the dividend.

In this case, we know that the current dividend is $0.90 and the growth rate of the dividend is expected to be 6% for the next two years, 12% in the third year, and 10% thereafter. Therefore, we can calculate the expected dividends for the next three years as follows:

D1 = $0.90 * (1 + 0.06) = $0.954

D2 = $0.954 * (1 + 0.06) = $1.01124

D3 = $1.01124 * (1 + 0.12) = $1.13269

We also know that the required rate of return is 15%. Therefore, we can use the dividend discount model to calculate the current value of the stock as follows:

PV = $0.954 / (0.15 - 0.06) + $1.01124 / (0.15 - 0.06)² + $1.13269 / (0.15 - 0.10)²

PV = $6.81

Therefore, the current value of the stock is $6.81.

To calculate the expected stock price in three years, we can use the same formula but substitute D1, D2, and D3 with the expected dividends for years 4, 5, and 6, respectively. These expected dividends can be calculated as follows:

D4 = $1.13269 * (1 + 0.10) = $1.24696

D5 = $1.24696 * (1 + 0.10) = $1.37165

D6 = $1.37165 * (1 + 0.10) = $1.50881

Using the dividend discount model, we can calculate the expected stock price in three years as follows:

PV = $1.24696 / (0.15 - 0.10)² + $1.37165 / (0.15 - 0.10)³ + $1.50881 / (0.15 - 0.10)⁴

PV = $31.46

Therefore, we can expect the stock to cost $31.46 in three years.

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Question 3 O out of 0.5 points
You are planning to travel from Jeddah, Saudi Arabia to Paris, France. You leave Jeddah with 14.4 thousands of SAR in your wallet. Wanting to exchange all of these for pounds, you obtain the following quotes. Spot rate on the riyal/euro cross rate 4.4687 SAR/EUR Spot rate on the euro/dollar cross rate: 0.2243 EUR/SAR How many thousands of euros will you obtain for your riyals?
Question 4 O out of 0.5 points Michael just started as an analyst for Credit Suisse in Geneva, Switzerland. He has a deposit of 481.2 thousands of dollars. He receives the following quotes for Swiss francs against the dollar. The Spot exchange rate is as follows: Bid CHF/USD 1.2574 Ask CHF/USD 1.2583 How many thousands of Swiss francs can he receive against his dollars?

Answers

Answer to Question 3: You will obtain 3.219 thousands of euros for your riyals.

Answer to Question 4: Michael can receive 605.977 thousands of Swiss francs for his dollars.

Question3. To calculate the amount of euros you'll obtain, follow these steps:
1. You have 14.4 thousands of SAR.
2. Divide the amount of SAR by the spot rate on the riyal/euro cross rate: 14.4 / 4.4687 = 3.219 thousands of euros.


Question4: To calculate the amount of Swiss francs Michael will receive, follow these steps:
1. Michael has 481.2 thousands of dollars.
2. Multiply the amount of dollars by the bid CHF/USD exchange rate: 481.2 * 1.2574 = 605.977 thousands of Swiss francs.

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