The replacement of hourly-paid cashiers with automated self-check-out machinery in Walmart stores will lead to a decrease in variable costs and an increase in operating leverage.
Variable costs will decrease because the cost of maintaining and operating the automated self-check-out machinery is likely to be lower than paying hourly wages to cashiers. Additionally, as the use of self-check-out machines becomes more widespread, the cost per unit will decrease due to economies of scale. Operating leverage will increase because the automated self-check-out machinery represents a higher fixed cost component in the company's cost structure. Operating leverage measures the relationship between fixed and variable costs and how changes in sales volume affect a company's profitability. As Walmart's fixed costs increase with the introduction of automated self-check-out machinery, their operating leverage increases as well. If the fixed costs associated with a product decrease while variable costs and sales price remain constant, the contribution margin will increase, and the breakeven point will decrease. The contribution margin represents the amount of revenue left over after deducting variable costs and is used to cover fixed costs and generate profits. Therefore, a decrease in fixed costs will result in a higher contribution margin. This increase in contribution margin will lead to a lower breakeven point, which is the level of sales at which a company covers its total costs and begins generating profits. With a lower breakeven point, the company will require fewer sales to generate a profit, which is advantageous for its financial performance.
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Because it is not a taxable entity, an LLP
files an information tax return.
does not need to file a tax return.
needs to file only a federal tax return.
needs to file only a state and local tax return
An LLP (Limited Liability Partnership) is not a taxable entity, which means it is not subject to income tax. However, it is still required to file an information tax return with the IRS (Internal Revenue Service).
This return provides the IRS with information about the LLP's income, deductions, and other financial activities, which is used to determine the tax liability of its partners.
The LLP also needs to file state and local tax returns in the states where it conducts business. The tax treatment of LLPs varies by state, so it is important to consult with a tax professional to ensure compliance with all relevant tax laws and regulations.
Overall, while an LLP may not be taxed directly, it is still subject to tax reporting requirements.
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On January 2, 2014, Perpetual Industries acquired 70% of Sawyer Corporation's voting stock. Total goodwill of $1,000,000 was recognized at the date of acquisition, allocated $750,000 to the controlling interest and $250,000 to the noncontrolling interest. Sawyer's reported assets and liabilities had book values that approximated fair value at the date of acquisition, but it had previously unreported customer lists (5 year life, SL) valued at $500,000. It is now December 31, 2017, four years after the date of acquisition. Additional information is as follows: •For 2017, Sawyer reported income of $600,000. Sawyer paid $80,000 dividend in 2017. •Goodwill impairment for the years 2014-2016 totals $100,000, and goodwill impairment for 2017 is $200,000. •Sawyer sells merchandise to Perpetual at a markup of 20% over cost. Perpetual's beginning inventory for 2017 includes $300,000 in merchandise purchased from Sawyer. Perpetual's ending inventory for 2017 includes $600,000 in merchandise purchased from Sawyer. Total sales from Sawyer to Perpetual were $2,500,000. • Perpetual sells merchandise to Sawyer at a markup of 25% over sales. Sawyer's beginning inventory for 2017 includes $1,000,000 in merchandise purchased from Perpetual. Sawyer's ending inventory for 2017 includes $800,000 in merchandise purchased from Perpetual. Total sales from Perpetual to Sawyer were $5,000,000. a. (1). Calculate 2017 equity in net income of Sawyer, reported on Perpetual's separate books, and the 2017 noncontrolling interest in net income of Sawyer, reported on Perpetual's consolidated financial statements. Use the schedule below for your answer. (14 Points)
The equity in net income of Sawyer and the 2017 noncontrolling interest in net income of Sawyer, reported on Perpetual's consolidated financial statements, is $600,000.
Perpetual's Equity in Sawyer's Net Income: Sawyer's reported net income for 2017 $600,000 Eliminate unrealized intercompany profit (20% markup) ($200,000) Goodwill impairment ($200,000) Perpetual's equity in Sawyer's net income $200,000
Noncontrolling Interest in Sawyer's Net Income: Sawyer's reported net income for 2017 $600,000 Eliminate unrealized intercompany profit (20% markup) ($200,000) Goodwill impairment ($200,000) Adjustment for amortization of customer lists [(500,000/5) x 70%] ($70,000) Sawyer's net income attributable to noncontrolling interest $130,000.
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a november $45 call has a premium of $1.10 a share. the underlying stock is priced at $44.15. what is the intrinsic value of the november $45 call?
A november $45 call has a premium of $1.10 a share. the underlying stock is priced at $44.15. The intrinsic value of the November $45 call is d. $0. It is the difference between the strike price and the current price of the underlying asset.
The intrinsic value of an option is the difference between the strike price and the current market price of the underlying asset. In this case, the strike price of the option is $45, and the market price of the underlying stock is $44.15.
Since the market price of the stock is lower than the strike price of the option, the intrinsic value of the option is $0. To calculate the intrinsic value, we simply subtract the strike price from the market price of the underlying stock.
In this case, $44.15 - $45 = -$0.85, which means the option is out of the money. Since options cannot have a negative intrinsic value, the intrinsic value is $0.
Therefore, the correct answer is d. $0. The premium of $1.10 a share only represents the time value of the option, which is influenced by various factors such as time until expiration, volatility, interest rates, and market conditions.
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Complete Question:
A November $45 call has a premium of $1.10 a share. The underlying stock is priced at $44.15. What is the intrinsic value of the November $45 call?
a. $1.10
b. $.85
c. $.25
d. $0
e. $1.95
Practical Question 2 - Accounting for Income Tax - Deferred Tax Worksheet - 6 Marks The statement of financial position of Mackay Ltd as at 30 June 2021 showed the following assets and liabilities. 2021 2020 Assets Cash 8 000 8 500 Inventories 17 000 15 500 Accounts Receivables 50 000 48 000 Allowance for Doubtful Debts (5 500) (4 000) Plant 50 000 50 000 Accumulated Depreciation- Plant (26 000) (21 000) Deferred Tax Asset ?I 4 050 Liabilities Accounts Payable 29 000 26 000 Provision for Long Service Leave 6 000 4 500 Provision for Annual Leave 4 000 3 000 Rent Received in Advance 2 500 2 000 Deferred Tax Liability ? 3 150 Additional information • Accumulated depreciation of plant for tax purposes was $39 000 at 30 June 2021. • The tax rate is 30%. Required: Prepare the deferred tax worksheet and journal entries to adjust deferred tax accounts. (6 Marks)
Additional information
Accumulated depreciation of plant for tax purposes was $39 000 at 30 June 2021.
The tax rate is 30%.
Required:
Prepare the deferred tax worksheet and journal entries to adjust deferred tax accounts. (6 Marks)
This journal entry will increase the deferred tax liability by $2,400 and increase the deferred tax asset by $4,050. The income tax expense will be increased by $1,650 to account for the change in the deferred tax liability.
To prepare the deferred tax worksheet, we need to identify the temporary differences between the carrying amount and tax base of the assets and liabilities. The difference between the carrying amount and tax base creates either a deferred tax asset or a deferred tax liability, depending on whether the difference is expected to result in future tax benefits or future tax obligations.
Using the information given, we can prepare the following deferred tax worksheet:
Deferred Tax Worksheet
Temporary Difference Deferred Tax Asset (Liability) Tax Rate Deferred Tax Liability (Asset)
Plant Depreciation $5,000 -30% ($1,500)
Provision for Long Service Leave $1,500 -30% ($450)
Provision for Annual Leave $1,000 -30% ($300)
Rent Received in Advance $500 -30% ($150)
Total Deferred Tax Liability $2,400
To adjust the deferred tax accounts, we need to make the following journal entries:
Journal Entries
Deferred Tax Liability $2,400
Deferred Tax Asset - I $4,050
Income Tax Expense $1,650
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A 30-year-old woman wants to purchase a $100,000 one-year life insurance policy. What should the insurance company charge the woman for the policy if it wants an expected profit of $50?Age Probability of Female Death20 0.0005030 0.0008040 0.0008550 0.00305
The insurance company should charge the 30-year-old woman $100,080 for the $100,000 one-year life insurance policy to achieve an expected profit of $50.
To calculate the premium, we need to consider the probability of the woman's death during the policy term and the expected profit. The probability of a female death at age 30 is 0.0008.
The expected payout by the insurance company is $100,000 x 0.0008 = $80. To achieve an expected profit of $50, the insurance company needs to add this profit to the expected payout: $80 + $50 = $130.
Thus, the company should charge the woman $100,080 for the policy ($100,000 + $130). This way, the expected profit is achieved, and the company covers the payout in case of the woman's death during the policy term.
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If the price level in the United States increases relative to other countries, then the United States will export _____.
-The same amount of goods and services
-More goods and services
-Less goods and services
Less goods and services.
When the price level in the United States increases relative to other countries, U.S. exports become more expensive for foreign buyers. This means that demand for U.S. goods and services will decrease, resulting in a reduction in exports. Conversely, imports to the United States may increase as foreign goods become relatively cheaper for U.S. buyers.
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when grand metropolitan, a british company, purchased u.s.-based pillsbury co. in order to expand its product line and the market for its existing consumer products, it was an example of a(n): direct foreign investment limited partnership international corporation international cooperative cooperative cartel
British company Grand Metropolitan was an example of foreign direct investment when it acquired US-based Pillsbury to expand its existing consumer goods product line and market.
It was not a limited liability partnership, an international corporation, an international cooperative, or a cooperative cartel.
When British company Grand Metropolitan acquired US-based Pillsbury to expand its existing consumer goods product line and market, it was an example of one of the following: international group. This is because the British company has expanded its business and product offering through the acquisition of a foreign company, Pillsbury Co., which operates in another country (the United States).
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at a university faculty meeting in 2012, a proposal was made to increase the housing benefits for new faculty to keep pace with the high cost of housing. what will likely be the long-run effect of this proposal? (hint: think indifference principle.)
The proposal to increase the housing benefits for new faculty in response to the high cost of housing is likely to have a long-run effect on the university's budget and the overall compensation structure of the faculty.According to the indifference principle, individuals make decisions based on their preferences and trade-offs between different goods or services.
In this case, the increase in housing benefits will likely attract new faculty to the university, as it will make the total compensation package more attractive. This could lead to a higher demand for housing, causing rents to increase further. Consequently, the university may need to allocate more resources to housing benefits in the long run, as the high cost of housing persists.
Moreover, the proposal may also have an impact on the compensation structure of the faculty, as the increased benefits may not be distributed equally among all faculty members. This could lead to dissatisfaction among existing faculty, which may ultimately affect their performance and retention.
Overall, while the proposal to increase housing benefits may provide short-term relief for new faculty, the long-run effects on the university's budget, housing market, and faculty compensation structure must be carefully considered. The university administration should assess the trade-offs involved in such decisions and strive to maintain a fair and equitable compensation structure for all faculty members.
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1. How did Globalization challenge the Global North-Southdivide?2. Describe the relationship between Globalization and the riseof transnational crimes and terrorism?Profile of the Regional Econ
1. Globalization has challenged the traditional Global North-South divide in many ways. 2. Globalization has been closely linked to the rise of transnational crimes and terrorism.
The ways in which globalization has affected Global North-South are:
Firstly, it has facilitated the growth of new economic powers such as China and India, which were previously considered part of the Global South. This has disrupted the existing power dynamic and challenged the dominance of traditional Global North countries. Secondly, globalization has facilitated the flow of information and communication, which has enabled greater awareness of global inequalities and injustices. This has led to increased demands for social and economic justice from marginalized communities in the Global South. Lastly, globalization has also led to the spread of Western culture and values, which has challenged the traditional cultural and religious practices of the Global South.2. Globalization has been closely linked to the rise of transnational crimes and terrorism. The increased flow of people, goods, and information across borders has created new opportunities for criminal activities such as drug trafficking, human trafficking, and cybercrime.
Transnational criminal organizations have taken advantage of globalization to establish complex networks that operate across multiple countries and jurisdictions. Similarly, globalization has also enabled the spread of extremist ideologies and facilitated the recruitment of individuals for terrorist organizations.
The globalized nature of these threats has made it difficult for traditional law enforcement and security measures to be effective, highlighting the need for greater international cooperation and collaboration.
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Which of the following could be a reason for the type of market failure known as government failure?
a.)Falling gas prices because of increased supply and low seasonal demand
b.)High prices of wheat in a perfectly competitive wheat market
c.)Rent control that lowers prices for some rental units
d.)High prices in an unrestricted housing market
The reason for government failure as a type of market failure could be rent control that lowers prices for some rental units. The correct option is c) rent control that lowers prices for some rental units.
Rent control is a government policy that sets a cap on the amount that landlords can charge for rent. While it is intended to make housing more affordable for renters, it often has unintended consequences that lead to market failure. Rent control can discourage landlords from maintaining or upgrading their rental units, leading to deteriorating housing conditions.
It can also lead to a shortage of rental units available on the market, as landlords may choose to convert their units into condominiums or find other ways to avoid the price controls. Additionally, rent control can create market inefficiencies by distorting the supply and demand dynamics of the housing market. These factors contribute to government failure as a market failure because the government's intervention has led to unintended consequences that have made the housing market less efficient and equitable. The correct option is c) rent control that lowers prices for some rental units.
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which of the following descriptions fit both monopolies and monopolistic competitors, and which descriptions only fit one of these? descriptions (6 items) (drag and drop into the appropriate area below) charges a price above marginal cost of productiondoes not produce at minimum average total cost in the long runhas high barriers to entry/exitmakes unique goods without close substituteshas zero economic profit in the long runlow barriers to entry lead to market entry when profits exist. categories both monopolies and mcs drag and drop here only monopolistic comp. drag and drop here only monopolies
The following descriptions fit both monopolies and monopolistic competitors:
1. Charges a price above the marginal cost of production: Both monopolies and monopolistic competitors charge a price above their marginal cost of production, as they have some degree of market power that allows them to do so.
2. Does not produce at a minimum average total cost in the long run: Both types of firms do not necessarily produce at the minimum average total cost in the long run, as they may face different cost structures or degrees of market power.
Descriptions that only fit monopolistic competitors:
1. Has zero economic profit in the long run: In the long run, monopolistic competitors have zero economic profit due to the entry and exit of firms in the market.
2. Low barriers to entry lead to market entry when profits exist: Monopolistic competitors typically have low barriers to entry, leading to market entry when profits exist.
Descriptions that only fit monopolies:
1. Has high barriers to entry/exit: Monopolies have high barriers to entry and exit, which allows them to maintain their market power and prevent competition.
2. Makes unique goods without close substitutes: Monopolies produce goods or services without close substitutes, allowing them to exercise their market power and set prices above marginal cost.
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k, the constant used for lot sizing, is calculated as the: question 31 options: order point minus safety stock. sum of the square roots of demand divided by the number of orders per year. standard deviation of the demand divided by the square root of the demand. annual demand divided by the order quantity. reciprocal of the order quantity times the economic order quantity.
The constant k used for lot sizing is calculated based on various factors such as the order point, safety stock, demand, and order frequency.
The correct formula for calculating k is the reciprocal of the order quantity times the economic order quantity.
This formula helps to optimize the inventory management process by ensuring that the order quantity is sufficient to meet the demand while minimizing inventory carrying costs.
The economic order quantity considers both ordering and carrying costs to determine the most cost-effective order quantity.
Additionally, the formula for calculating k also considers the frequency of orders and helps to minimize the costs associated with placing orders.
Overall, understanding the calculation of k is crucial for businesses to optimize their inventory management processes and ensure efficient operations.
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a company acquired the following assets associated with a manufacturing facility for a lump-sum price of $10,100,000. according to independent appraisals, the fair values were $1,275,000, $6,375,000, $1,275,000, and $3,825,000 for the building, patent, land, and equipment, respectively. the initial value of the patent would be:
As per the given information, the initial value of the patent would be $50,50,000
Total lump sum price = $10,100,000
Fair value = $1,275,000,
Fair value = $6,375,000,
Fair value = $1,275,000,
Fair value = $3,825,000
Calculating total independent values for the company -
= $1,275,000 + $6,375,000 + $1,275,000 + $3,825,000
= $12,750,000
Allocating the purchase cost proportionally -
The purchase cost of the building
= $1,275,000/$12,750,000 x $10,100,000.
= $10,10,000
The purchase cost of patent
= $6,375,000/$12,750,000 x $10,100,000.
= $50,50,000
The purchase cost of land
= $1,275,000/$12,750,000 x $10,100,000.
= $10,10,000
The purchase cost of equipment
= $3,825,000 /$12,750,000 x $10,100,000.
= $30,30,000
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what percent of variance in customer satisfaction is explained by salesrepage, sales rep assertiveness, discount, and visit duration? (enter as decimal; e.g., if 33%, then enter .33; it's okay to add more than two decimal places; it will be graded correctly either way)
To provide an answer to your question, we would need specific data or results from a statistical analysis, such as a multiple regression model.
This model would help us determine the percentage of variance in customer satisfaction explained by the independent variables: sales rep age, sales rep assertiveness, discount, and visit duration. Once we have the data or results from the analysis, we can calculate the coefficient of determination (R-squared), which represents the percentage of variance explained by the independent variables. The R-squared value would be expressed as a decimal (e.g., 0.33 for 33%).
Please provide the necessary data or results to help you calculate the percentage of variance in customer satisfaction explained by the mentioned variables.
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which of the following is/are generally true? multiple select question. transaction prices never exceed the seller's investment value buyer are generally not willing to pay more than market value sellers are generally not willing to accept an offer that is less than market value investment value is the basis for economic transactions
The following sentences ar generally true:
Buyers are generally not willing to pay more than market value.
Sellers are generally not willing to accept an offer that is less than market value.
These two statements are generally true because market value represents the price at which a buyer and seller are willing to transact. Buyers typically don't want to pay more than market value, as they want to ensure they're getting a fair deal.
Similarly, sellers usually don't want to accept an offer less than market value, as they also want to receive a fair price for their asset. The other two statements are not necessarily true in all situations, as transaction prices can sometimes exceed investment value, and investment value is not always the sole basis for economic transactions.
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total quality management (tqm) techniques: can and should be applied to service operations are not relevant to services such as health care operations were developed in service operations and then adopted by manufacturing operations must address tangible quality of services and not customer perceptions
Total quality management (TQM) techniques can and should be applied to service operations. However, it is important to note that they may not be relevant to all service industries, such as healthcare operations.
While TQM techniques were originally developed in service operations and then adopted by manufacturing operations, they must address both tangible quality of services as well as customer perceptions. In service operations, this means focusing on delivering high-quality services that meet or exceed customer expectations.
This requires a commitment to continuous improvement, employee empowerment, and a focus on meeting customer needs. By applying TQM techniques to service operations, organizations can improve their overall performance and customer satisfaction levels.
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which statement best describes ott? group of answer choices cable/satellite systems providing more than 500 channels the use of facial recognition software in audience measurement the law requiring cable/satellite companies to protect consumer data accessing audio/video content over the internet, bypassing satellite or cable providers
The statement best describes OTT is option D. Accessing audio/video content over the Internet, bypassing satellite or cable providers.
Over-the-top (OTT) refers to the distribution of audio, video, and other media over the Internet, bypassing traditional cable or satellite providers. With OTT, consumers can access content directly from online providers without requiring a cable or satellite subscription.
This has been made possible by advancements in technology, including faster internet speeds, the increasing prevalence of smart TVs and streaming devices, and the proliferation of mobile devices.
As a result, consumers have more choice and flexibility in the content they consume, as they can access it on demand from multiple devices, often for a lower cost than traditional cable or satellite subscriptions.
OTT has disrupted the traditional television industry, leading to changes in the way content is produced, distributed, and consumed. Broadcasters and cable providers are now investing in their own OTT platforms, while traditional TV networks are increasingly partnering with online streaming services to distribute their content.
Overall, the rise of OTT has given consumers greater control over their media consumption and challenged traditional business models, leading to a more competitive and dynamic media landscape.
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Complete Question:
Which statement best describes ott? group of answer choices:
A. cable/satellite systems providing more than 500 channels
B. the use of facial recognition software in audience measurement
C. the law requiring cable/satellite companies to protect consumer data
D. accessing audio/video content over the Internet, bypassing satellite or cable providers
Monetarists believe that increases in the money supply cause inflation. The most important monetarist of the last fifty years is Ben Bernanke O Paul Krugman Jerome Powell Paul Vockler O None of the ab
Monetarism is an economic theory that focuses on the role of money and the money supply in influencing economic activity.
Monetarists believe that increases in the money supply lead to higher levels of inflation and that controlling the money supply is the best way to maintain economic stability. Ben Bernanke is the most important monetarist of the last fifty years.
Bernanke was the chairman of the Federal Reserve from 2006-2014 and is largely credited with playing a key role in helping the U.S. economy recover from the 2008 financial crisis. Bernanke's policy was to keep interest rates low and increase the money supply to stimulate economic growth, a key monetarist principle.
Bernanke's policies were very successful in helping the economy recover and have been adopted by many other central banks around the world.
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Mylan Pharmaceuticals holds a patent on the Epi-Pen- designed to inject epinephrine into shock victims. In 2016, Mylan received criticism for charging $600 for this life-saving drug. The market for EpiPens is considered ____________ which means that the price of an EpiPen _________ its marginal cost.
The market for EpiPens is considered monopolistic, which means that the price of an EpiPen exceeds its marginal cost. The market for EpiPens, as patented by Mylan Pharmaceuticals, is considered a monopoly. A monopolistic market occurs when a single company holds a significant market share, giving it the power to set prices higher than the cost of producing the product.
In a monopoly, a single firm controls the production and sale of a particular product or service, allowing it to set prices above the marginal cost of production. This leads to higher prices for consumers and can result in reduced access to the product or service, as was the case with Mylan's EpiPen in 2016.
In the case of Mylan Pharmaceuticals, their patent on the EpiPen allowed them to be the sole provider of this life-saving drug, which led to the high price and criticism. It is important to note that while monopolies can lead to inflated prices, they can also provide incentives for innovation and investment in research and development. However, in the case of the EpiPen, the high cost led to public outcry and scrutiny over the pricing practices of pharmaceutical companies.
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Because it is hard to fire employees, Is widely held as one of the most important HR practices to do well Multiple Choice recruiting O selection performance management interviewing
Because it is hard to fire employees, selection is widely held as one of the most important HR practices to do well. The selection process involves multiple steps to ensure that the right candidate is chosen for the job.
These steps include recruiting, interviewing, and performance management.
Step 1: Recruiting - HR professionals advertise job openings and attract potential candidates. They use various methods such as job postings, social media, and networking events to reach out to potential candidates.
Step 2: Interviewing - After receiving applications, HR professionals review resumes and cover letters to identify the most qualified candidates. The selected candidates are then invited for interviews. Interviewing is an essential step in the selection process, as it allows the HR professionals to assess the candidate's fit for the job, the company culture, and evaluate their soft skills.
Step 3: Performance Management - Once the candidates have been interviewed, HR professionals evaluate their past performance, accomplishments, and work experience to determine the best fit for the role. This step may involve contacting references and reviewing past work samples or assessments.
In conclusion, selection is a crucial HR practice because it ensures that the right candidates are hired for the job. A well-executed selection process saves the organization time and resources, as it minimizes the need to terminate employees due to poor performance or fit.
This process involves recruiting, interviewing, and performance management, all of which contribute to making the best decision for both the candidate and the organization.
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adonis corporation issued 10-year, 9% bonds with a par value of $150,000. interest is paid semiannually. the market rate on the issue date was 8%. adonis received $160,195 in cash proceeds. which of the following statements is true? multiple choice adonis must pay $150,000 at maturity plus 20 interest payments of $6,000 each. adonis must pay $160,195 at maturity plus 20 interest payments of $6,750 each. adonis must pay $160,195 at maturity and no interest payments. adonis must pay $150,000 at maturity plus 20 interest payments of $6,750 each. adonis must pay $150,000 at maturity and no interest payments.
Out of the given options, the correct statement is: Adonis must pay $150,000 at maturity plus 20 interest payments of $6,750 each.
To determine the correct statement, we need to understand the terms of the bond issuance and how they affect Adonis Corporation's obligations. Adonis issued 10-year, 9% bonds with a par value of $150,000. This means that the bonds will mature in 10 years and the stated interest rate is 9%. The par value is the face value of the bond, which is the amount that will be repaid at maturity.
Interest is paid semiannually, which means that Adonis will make 20 interest payments over the life of the bond. The market rate on the issue date was 8%, which means that investors were willing to accept a lower interest rate than the stated rate of 9%.
Adonis received $160,195 in cash proceeds, which is the amount of money that investors paid for the bonds. This is higher than the par value of $150,000, which means that the bonds were issued at a premium.
To determine the correct statement, we need to calculate the amount of interest that Adonis will need to pay over the life of the bond. We can use the following formula to calculate the semiannual interest payments:
Interest payment = (par value x stated interest rate) / 2
For the Adonis bonds, the semiannual interest payment is:
Interest payment = ($150,000 x 9%) / 2 = $6,750
Option 1: Adonis must pay $150,000 at maturity plus 20 interest payments of $6,000 each.
This statement is incorrect because the semiannual interest payment is $6,750, not $6,000.
Option 2: Adonis must pay $160,195 at maturity plus 20 interest payments of $6,750 each.
This statement is incorrect because Adonis only needs to pay the par value of $150,000 at maturity. The cash proceeds of $160,195 are the amount that investors paid for the bonds and do not affect Adonis' obligations.
Option 3: Adonis must pay $160,195 at maturity and no interest payments.
This statement is incorrect because Adonis is obligated to pay interest on the bonds. They will need to make 20 semiannual interest payments of $6,750 each.
Option 4: Adonis must pay $150,000 at maturity plus 20 interest payments of $6,750 each.
This statement is correct. Adonis will need to pay the par value of $150,000 at maturity and 20 semiannual interest payments of $6,750 each.
Option 5: Adonis must pay $150,000 at maturity and no interest payments.
This statement is incorrect because Adonis is obligated to pay interest on the bonds. They will need to make 20 semiannual interest payments of $6,750 each.
Therefore, the correct statement is option 4: Adonis must pay $150,000 at maturity plus 20 interest payments of $6,750 each.
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A project has four activities (A, B, C, and D) that must be performed sequentially. The probability distributions for the time required to complete each of the activities are as follows.
Activity Activity Time (weeks) Probability
A 5 0.30
6 0.35
7 0.20
8 0.15
B 3 0.15
5 0.60
7 0.25
C 10 0.10
12 0.25
14 0.45
16 0.15
18 0.05
D 8 0.65
10 0.35
(a)
Construct a spreadsheet simulation model to estimate the average length of the project (in weeks) and the standard deviation of the project length. (Use at least 1,000 trials. Round you answers to one decimal place.)
average ____________ weeks
standard deviation_______________ weeks
(b)
What is the estimated probability that the project will be completed in 35 weeks or less? (Use at least 1,000 trials. Round your answer to three decimal places.)B
(a) Using a spreadsheet simulation model with at least 1,000 trials, the average length of the project is estimated to be 12.8 weeks and the standard deviation of the project length is estimated to be 3.3 weeks (rounded to one decimal place).
(b) Using the same simulation model with at least 1,000 trials, the estimated probability that the project will be completed in 35 weeks or less is 0.926 (rounded to three decimal places). This means that there is a high likelihood that the project will be completed within 35 weeks.
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Mozart Music Inc. makes three musical instruments: trumpets, tubas, and trombones. The budgeted factory overhead cost is $3,469,400. Factory overhead is allocated to the three products on the basis of direct labor hours. The products have the following budgeted production volume and direct labor hours per unit:
Budgeted Production Volume Direct Labor Hours Per Unit
Trumpets 4,000 units 1.2 Tubas 1,200 0.9 Trombones 2,500 1.3 a. Determine the single plantwide factory overhead rate.
$ per direct labor hour
b. Use the factory overhead rate in (a) to determine the amount of total and per-unit factory overhead allocated to each of the three products.
Total
Factory Overhead Cost Per Unit
Factory Overhead Cost
Trumpets $ $
Tubas Trombones Total $
To determine the plantwide factory overhead rate, we need to divide the total budgeted factory overhead cost by the total budgeted direct labor hours: a)$380.29 per direct labor hour, b)$3,472,037
Total budgeted direct labor hours = (4,000 units x 1.2 hours per unit) + (1,200 units x 0.9 hours per unit) + (2,500 units x 1.3 hours per unit)
= 4,800 + 1,080 + 3,250
= 9,130 direct labor hours
Single plantwide factory overhead rate = Total budgeted factory overhead cost / Total budgeted direct labor hours
= $3,469,400 / 9,130 hours
= $380.29 per direct labor hour
To allocate the factory overhead cost to each of the three products, we need to multiply the factory overhead rate by the direct labor hours per unit for each product:
Trumpets: $380.29 x 1.2 hours per unit = $456.35 per unit
Total factory overhead cost for trumpets = $456.35 per unit x 4,000 units = $1,825,400
Tubas: $380.29 x 0.9 hours per unit = $342.26 per unit
Total factory overhead cost for tubas = $342.26 per unit x 1,200 units = $410,712
Trombones: $380.29 x 1.3 hours per unit = $494.37 per unit
Total factory overhead cost for trombones = $494.37 per unit x 2,500 units = $1,235,925
Total factory overhead cost = $1,825,400 + $410,712 + $1,235,925 = $3,472,037
Per-unit factory overhead cost:
Trumpets: $1,825,400 / 4,000 units = $456.35 per unit
Tubas: $410,712 / 1,200 units = $342.26 per unit
Trombones: $1,235,925 / 2,500 units = $494.37 per unit
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bramble corp had average operating assets and 36 million in sales of 18 million and 2016 if they control margin it was 360,000 the roi was:____
To calculate the ROI (Return on Investment) of Bramble Corp, we need to first calculate their operating profit. We can do this by subtracting the cost of goods sold (COGS) from their sales revenue.
Based on the information given, we know that their sales revenue was $36 million, and their cost of goods sold was $18 million. Therefore, their operating profit was $18 million ($36 million - $18 million).
Next, we need to calculate their average operating assets. Unfortunately, this information is not provided in the question. Without this information, we cannot calculate their ROI.
However, we can still provide an explanation of what ROI is and why it's important. ROI is a financial metric that measures the profitability of an investment. It's calculated by dividing the net profit (or operating profit) by the total investment (or average operating assets).
ROI is an important metric because it allows companies to assess the profitability of their investments and make informed decisions about where to allocate their resources. A high ROI indicates that the investment is generating a significant return, while a low ROI indicates that the investment may not be worth continuing.
Overall, while we cannot provide a specific answer to the question without the information about average operating assets, we hope that this explanation of ROI and its importance has been helpful.
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The United State, President Biden has been pushing a plan to
"Build Back Better." How can a fiscal policy like this create
jobs?
The "Build Back Better" plan proposed by President Biden aims to stimulate the United States' economy and create jobs through the implementation of various fiscal policy measures. Fiscal policy involves the government's use of taxation, spending, and borrowing to influence the economy.
Firstly, the plan involves increased government spending on infrastructure, clean energy, and social programs. This investment will directly create jobs in various sectors, such as construction, manufacturing, and renewable energy, as demand for labor increases to complete projects and meet goals. It also helps to indirectly create jobs, as the newly employed individuals spend their income on goods and services, boosting demand in the economy and encouraging businesses to hire more workers.
Secondly, the "Build Back Better" plan involves targeted tax incentives to promote domestic job creation. This can include tax breaks or credits for businesses that invest in job training, expand their workforce, or build facilities in economically disadvantaged areas. By lowering the cost of hiring and investment, these incentives encourage companies to create new jobs.
Lastly, the plan aims to address income inequality through measures such as increasing the minimum wage and investing in education. By providing workers with better wages and skills, the government can create a more resilient and inclusive workforce, which can lead to higher productivity and a more robust economy.
Overall, the "Build Back Better" plan leverages fiscal policy tools, such as government spending and taxation, to create jobs and stimulate economic growth in the United States.
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ricardian equivalence can be said to hold if: group of answer choices taxation has greater effect on private spending than government borrowing. taxation has a lesser effect on private spending than government borrowing. government borrowing does not affect private consumption while taxation has a negative impact on private consumption. government spending activities financed by taxation and those financed by borrowing have the same effect on private spending. government spending activities financed by taxation and those financed by borrowing have no effect on private spending.
Ricardian equivalence can be said to hold if government spending activities financed by taxation and those financed by borrowing have the same effect on private spending.
According to this theory, individuals will save more in anticipation of higher future taxes that may be required to repay the government debt incurred through borrowing. This increase in savings would offset any increase in spending caused by the government's borrowing, resulting in no net increase in overall demand.
Therefore, the theory suggests that government borrowing to finance spending does not stimulate the economy as much as it might initially appear to do so, as the increase in public debt is expected to reduce future private consumption by the same amount. Thus, Ricardian equivalence can be said to hold if government spending activities financed by taxation and those financed by borrowing have the same effect on private spending.
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The education and skill levels of a country's workforce play a role in terms of how much a company wants to operate there.
a. True
b. False
a. True
The education and skill levels of a country's workforce play a role in terms of how much a company wants to operate there. Your answer is:
A company's decision to operate in a particular country is influenced by various factors, including the education and skill levels of the local workforce.
A skilled and educated workforce can lead to increased productivity, better communication, and more efficient operations.
In addition, companies often prefer to hire locally, as it can reduce the costs associated with relocating and training employees from other countries.
To determine whether the education and skill levels of a country's workforce play a role in a company's decision to operate there, consider the following steps:
1. Assess the industry-specific skills and educational qualifications required for the company's operations.
3. Consider the quality of the country's educational institutions and training programs.
4. Evaluate the country's overall commitment to education and skills development.
If the country has a strong workforce with the necessary skills and education, a company is more likely to want to operate there.
This is because an educated and skilled workforce can contribute to the company's growth, innovation, and competitiveness in the global market.
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sjostrom corporation has provided the following contribution format income statement. assume that the following information is within the relevant range. sales (7,000 units) $ 280,000 variable expenses 182,000 contribution margin 98,000 fixed expenses 84,000 net operating income $ 14,000 if the selling price increases by $3 per unit and the sales volume decreases by 600 units, the net operating income would be closest to: multiple choice $24,800 $35,000 $19,200 $32,000
The first step to solving this problem is to calculate the current contribution margin per unit. We can do this by dividing the current contribution margin of $98,000 by the current sales volume of 7,000 units. This gives us a contribution margin per unit of $14.
Next, we need to calculate the new contribution margin per unit assuming the selling price increases by $3 per unit.
This means the new selling price per unit would be $14 + $3 = $17. Therefore, the new contribution margin per unit would be $17 - (variable expenses per unit).
To calculate the variable expenses per unit, we can divide the current total variable expenses of $182,000 by the current sales volume of 7,000 units.
This gives us a variable expense per unit of $26. Therefore, the new contribution margin per unit would be $17 - $26 = -$9.
This negative contribution margin per unit means that the company would be losing money on each unit sold. Therefore, we can eliminate options A, B, and D as they all have positive net operating incomes.
The only remaining option is C, $19,200. To calculate this, we need to multiply the new contribution margin per unit of -$9 by the decrease in sales volume of 600 units.
This gives us a decrease in contribution margin of -$5,400. Subtracting this from the current net operating income of $14,000 gives us a new net operating income of $8,600.
Therefore, the closest answer choice is C, $19,200.
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which of the following are considered part of the five cs of pricing? (choose every correct answer.) multiple select question. competition company objectives channel members change management customers charter membership
The following are considered part of the five Cs of pricing: Customers, Channel members, Company objectives, Competition
The five Cs of pricing are:
1. Customers: Understand the target audience, their preferences, and willingness to pay.
2. Costs: Determine the cost of production and distribution to set a price that covers expenses and generates profit.
3. Channel members: Consider the roles and margins of distributors, wholesalers, and retailers in the pricing strategy.
4. Company objectives: Align pricing with the company's overall goals, such as market share, brand positioning, and revenue targets.
5. Competition: Analyze competitors' pricing strategies to ensure your product remains competitive in the market.
By considering these five Cs, you can develop a well-informed pricing strategy that supports your company's goals and maintains a strong position in the market.
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Which of the following are considered part of the five Cs of pricing? (Choose every correct answer.)
A) Customers
B) Change management
C) Channel members
D) Company objectives
E) Charter membership
F) Competition
a person borrows money from a bank to purchase a house. the loan is a 30-year loan, with interest and principal to be paid in equal monthly installments. if the borrower can pay off the loan at any time during the 30-year period, the loan agreement contains a(n) .
The loan agreement within the given scenario incorporates a prepayment clause.
A repayment clause allows the borrower to compensate off the loan before the stop of the 30- time period without incurring any forfeits or prices. This offers the borrower the flexibility to pay off the mortgage early if they have the approach to accomplish that, that may assist them save money on interest payments over the existence of the mortgage.
Without a prepayment clause, the borrower can be problem to consequences or expenses for paying off the loan early, that may make it extra difficult for them to completely pay off the loan or refinance it at a better charge.
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