a supplier of instrument gauge clusters uses a kanban system to control material flow. the gauge cluster housings are transported eight at a time. a fabrication center produces approximately 5 gauges per hour. it takes approximately two hours for the housing to be replenished. due to variations in processing times, management has decided to keep 10 percent of the needed inventory as safety stock. how many kanban card sets are needed?

Answers

Answer 1

There are 2 kanban card sets are needed for this system.

To determine the number of kanban card sets needed for the instrument gauge cluster supplier, we need to consider the demand rate, lead time, container size, and safety factor.

Demand rate: 5 gauges per hour                                        

Lead time: 2 hours for housing replenishment

Container size: 8 housings per container

Safety factor: 10%

First, calculate the demand during lead time:

Demand during lead time = Demand rate x Lead time = 5 gauges per hour x 2 hours = 10 gauges

Next, calculate the safety stock:

Safety stock = Demand during lead time x Safety factor = 10 gauges x 10% = 1 gauge

Now, determine the total inventory needed:

Total inventory needed = Demand during lead time + Safety stock = 10 gauges + 1 gauge = 11 gauges

Finally, calculate the number of kanban card sets needed:

Number of kanban card sets = Total inventory needed / Container size = 11 gauges / 8 gauges per container = 1.375

Since you cannot have a fraction of a kanban card set, round up to the nearest whole number. Therefore, 2 kanban card sets are needed for this system.

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Artichoke, a single individual, operates a service business that earned $110,000 during the tax year. The business has no tangible property and paid no W-2 wages. Required: a. Compute Artichoke's Qualified Business Income (QBI) deduction, assuming his overall taxable income before QBI is $125,000. Complete this question by entering your answers in the tabs below. Required A Compute Artichoke's QBI deduction, assuming his overall taxable income before QBI is $125,000. QBI deduction______

Answers

Artichoke's Qualified Business Income (QBI) deduction is: $22,000.

To compute Artichoke's Qualified Business Income (QBI) deduction, given that his service business earned $110,000 during the tax year, and his overall taxable income before QBI is $125,000, follow these steps:

1. Determine the QBI for Artichoke's service business. In this case, the QBI is $110,000, as this is the total income earned from the business.

2. Determine Artichoke's overall taxable income before QBI. In this case, the overall taxable income is $125,000.

3. Calculate the QBI deduction using the following formula:

QBI Deduction = 20% of the lesser of QBI or overall taxable income.

In Artichoke's case, the lesser of QBI ($110,000) and overall taxable income ($125,000) is $110,000.

4. Multiply the lesser amount by 20%:

QBI Deduction = 0.20 * $110,000


QBI Deduction = $22,000

Artichoke's Qualified Business Income (QBI) deduction is $22,000, assuming his overall taxable income before QBI is $125,000.

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given are the following data for outsource company: pv (of fcfs for years 1-3) = $35 million; pv (horizon value) = $65 million. calculate the value of the firm.

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The value of the firm is $133.26 million.

To calculate the value of the firm, we need to calculate the present value of all the cash flows generated by the company, including both the forecasted cash flows for years 1-3 and the horizon value beyond year 3.

The present value of the forecasted cash flows for years 1-3 is given as $35 million. Let's assume that these cash flows occur at the end of each year, and let's use a discount rate of 10% per year to calculate their present value. Using the formula for the present value of a future cash flow:

[tex]PV = CF / (1 + r)^n[/tex]

where PV is the present value, CF is the cash flow, r is the discount rate, and n is the number of years in the future that the cash flow will occur.

We can calculate the present value of the forecasted cash flows as follows:

PV of forecasted cash flows = [tex]$35 million / (1 + 0.1)^1 + $35 million / (1 + 0.1)^2 + $35 million / (1 + 0.1)^3[/tex]

= $31.82 million + $28.93 million + $26.30 million

= $87.05 million

Next, we need to calculate the present value of the horizon value of $65 million. Since the horizon value occurs beyond year 3, we need to use the same discount rate of 10% per year, but we need to discount it back by 3 years to its present value. Using the same formula as before, we get:

PV of horizon value = [tex]$65 million / (1 + 0.1)^3[/tex]

= $46.21 million

Finally, we can calculate the value of the firm by adding the present value of the forecasted cash flows to the present value of the horizon value:

Value of the firm = PV of forecasted cash flows + PV of horizon value

= $87.05 million + $46.21 million

= $133.26 million

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Read Case 12-1 "Stop and Shop-Scan IT!" and then answer the following questions. What is the benefit of the Scan It! data to Stop & Shop? What are some disadvantages, please be specific? How would you as the President of an organization assess the level of maturity of Stop & Shop’s use of analytics? What concerns might shoppers have about their privacy?

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Stop & Shop's Scan It! program allows customers to scan their items as they shop and check out quickly at a dedicated self-checkout lane. The data collected through this program provides the company with valuable insights into customer behavior, such as popular products and shopping patterns.

This data helps Stop & Shop improve its inventory management, marketing strategies, and store layouts to better meet the needs of its customers. For example, the company can use the data to ensure that popular items are always in stock and to adjust pricing based on customer demand.

However, there are also some disadvantages to the Scan It! program. For example, the program requires customers to carry a scanner throughout their shopping trip, which could be inconvenient for some shoppers. Additionally, the program could lead to potential privacy concerns as customers' purchase histories and other personal information are collected and stored by the company.

As the President of an organization, I would assess the level of maturity of Stop & Shop's use of analytics by looking at how effectively the company is using the data collected through the Scan It! program. I would want to see that the data is being used to drive meaningful changes in the business, such as improving the customer experience or increasing profitability. Additionally, I would want to see that the company has appropriate safeguards in place to protect customer privacy and ensure that the data is being used ethically.

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the selection process may include a(n) , where employment is only guaranteed for a specified period of time, until either a permanent offer is extended or the employee is discharged. group of answer choices intern period probationary period

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During the probationary phase, if the employee doesn't live up to the standards or regulations, their employment may be terminated at any time.

The selection process may include a probationary period, where employment is only guaranteed for a specified period of time, until either a permanent offer is extended or the employee is discharged. During this time, the employer can evaluate the employee's performance and determine if they are a good fit for the job. If the employee meets the expectations and requirements of the job, they may be offered a permanent position after the probationary period ends. However, if the employee fails to meet the expectations or requirements, their employment may be terminated at any time during the probationary period.

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If the assets for your small business are $22,349 and your liabilities are $6,825, what is the owner's equity? o a. S13,824 o O b.516,394 O O $14,128 0 d. 915,524 S29,174 3

Answers

The owner's equity is $15,524 and the closest answer is $14,128. The correct option is C.

Owner's equity is the portion of a company's assets that belong to the owners after all liabilities are paid off. It is sometimes referred to as net assets or residual equity. It is calculated as the difference between the total assets and total liabilities of a business.

The owner's equity can be calculated by subtracting the liabilities from the assets. In this case, it would be:

Owner's Equity = Assets - Liabilities

Owner's Equity = $22,349 - $6,825

Owner's Equity = $15,524

Therefore, the answer is option C: $14,128.

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Employees with more positive emotions demonstrate a higher turnover rate than other employees. * 2 poir False True Cultural pressure is one of the most important moderating variables of the 2 points a

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1. The statement given statement is FALSE.
2. Cultural pressure is indeed one of the most important moderating variables when it comes to employee behavior and workplace dynamics.

How this statement is FALSE?

1. The statement given is FALSE. In general, employees with more positive emotions tend to have a lower turnover rate as they are usually more satisfied with their job and have better workplace relationships.

2. Cultural pressure is indeed one of the most important moderating variables when it comes to employee behavior and workplace dynamics. This is because cultural norms and values can influence how employees perceive their work environment, interact with others, and make decisions related to their job.

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jerome has decided that he can afford a monthly mortgage payment of $715. he has been offered a 20 year mortgage at 4.5% interest. what formula could you type into excel to determine what the largest mortgage loan he can afford?

Answers

Using this formula, the result in Excel would be approximately $133,734. This means that the largest mortgage loan Jerome can afford with a 20-year mortgage at 4.5% interest and a monthly payment of $715 is $133,734.

To determine the largest mortgage loan that Jerome can afford based on his monthly payment of $715, the following formula can be used in Excel:

[tex]=PV(0.045/12,20*12,-715)[/tex]

Where:
PV = present value (the amount of the mortgage loan)
0.045/12 = monthly interest rate (4.5% divided by 12 months)
20*12 = total number of months in the mortgage term (20 years multiplied by 12 months)
-715 = the monthly payment that Jerome can afford (with the negative sign indicating an outflow of cash)

Using this formula, the result in Excel would be approximately $133,734. This means that the largest mortgage loan Jerome can afford with a 20-year mortgage at 4.5% interest and a monthly payment of $715 is $133,734.

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You have $175,000 to invest. You choose to put $225,000 into the market by borrowing $50,000.a. If the​ risk-free interest rate is 5% and the market expected return is 9% what is the expected return of your​investmentb. If the market volatility is 19%​,what is the volatility of your​ investment?

Answers

The expected return of your investment is 4.4445%, and the volatility of your investment is 24.4273%.

What is the expected return and volatility of investment

a. To calculate the expected return of your investment, we'll use the weighted average of the risk-free interest rate and the market expected return.

Since you invested $175,000 of your own money and borrowed $50,000, your total investment is $225,000.

Weight of your own money:

$175,000 / $225,000 = 0.7778

Weight of borrowed money:

$50,000 / $225,000 = 0.2222

Expected return of your investment = (0.7778 * 9%) + (0.2222 * -5%) = 5.5556% + (-1.1111%) = 4.4445%

b. To calculate the volatility of your investment, we'll use the formula:

Investment volatility = Market volatility * Leverage Leverage = Total investment / Own money = $225,000 / $175,000 = 1.2857

Investment volatility = 19% * 1.2857 = 24.4273%

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The table gives information reported by the Bureau of Labor Statistics for February, 2015. What is the labor force participation rate? The labor force participation rate is percent. >>> Answer to 1 decimal place. Try again. Х The labor force participation rate is the percentage of the Item working-age population in the labor force. Employment The labor force is the sum of employment and unemployment Unemployment and the working-age population is the sum of
the labor force and not in the labor force Not in the labor force The labor force participation rate is equal to (Labor force Working-age population) 100. OK

Answers

The labor force participation rate for February 2015 is 62.6%. This means that around 37.4% of the working-age population was not in the labor force, either by choice or due to reasons such as retirement, disability, or other factors.

The labor force participation rate is an important economic indicator that measures the percentage of the working-age population that is either employed or actively seeking employment. It is calculated by dividing the labor force (the sum of employment and unemployment) by the working-age population (the sum of the labor force and those not in the labor force), and multiplying the result by 100. In this case, the information provided by the Bureau of Labor Statistics for February 2015 gives us the employment, unemployment, and not in the labor force figures. To calculate the labor force participation rate, we need to add the employment and unemployment figures to obtain the labor force, which is 156.2 million, and add this to the 93 million people not in the labor force to get the working-age population, which is 249.2 million.

Using the formula, we can calculate the labor force participation rate for February 2015 as:

(Labor force / Working-age population) x 100

= (156.2 million / 249.2 million) x 100

= 62.6%

The labor force participation rate can be influenced by various economic and social factors such as demographics, job market conditions, and government policies.

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which of the following help convince managers to work in the best interest of the stockholders? assume there are no golden parachutes. i. compensation based on the value of the stock ii. stock option plans iii. threat of a company takeover iv. threat of a proxy fight

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The factors that help convince managers to work in the best interest of the stockholders, assuming there are no golden parachutes, include: i. compensation based on the value of the stock, ii. stock option plans, iii. threat of a company takeover, and iv. threat of a proxy fight. These incentives and potential risks encourage managers to focus on maximizing shareholder value.

Compensation based on the value of the stock and stock option plans are both tools that can be used to align the interests of managers with those of the stockholders. By tying the compensation of managers to the performance of the company's stock, they are incentivized to make decisions that will drive up the value of the stock and benefit the stockholders. The threat of a company takeover and the threat of a proxy fight can also be effective in convincing managers to work in the best interest of the stockholders, as they create a sense of accountability and pressure for the managers to make decisions that will benefit the company and its stakeholders.

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a)Consider recent financials for Ellie's Essentials LLC:Balance Sheet2020 2019Current Assets $11,155.00 $10,000.00Net PPE $31,000.00 $30,000.00Total Assets $42,155.00 $40,000.00Current Liabilities $8,999.00 $8,000.00Long-term debt $13,569.00 $12,000.00Total Liabilities $22,568.00 $20,000.00Shareholder Equity $19,587.00 $20,000.00Liabilities and Equity $42,155.00 $40,000.00Income Statement 2020 2019SALES $11,000.00 $10,000.00COGS $4,400.00 $4,000.00GROSS PROFIT $6,600.00 $6,000.00S&A $1,100.00 $1,000.00Depreciation $550.00 $500.00EBIT $4,950.00 $4,500.00INTEREST $1,272.00 $1,200.00EBT $3,678.00 $3,300.00TAXES (37.00%) $1,360.86 $1,221.00NET INCOME $2,317.14 $2,079.00

Answers

b) Calculate the following financial ratios for Ellie's Essentials LLC:

i. Current ratio for 2020

ii. Debt-to-equity ratio for 2020

iii. Gross profit margin for 2019

iv. Return on equity for 2019

a) Ellie's Essentials LLC has a total asset of $42,155.00 and a total liability of $22,568.00. The shareholder equity is $19,587.00 in 2020. The net income in 2020 is $2,317.14, which increased from $2,079.00 in 2019.

b) i. The current ratio for 2020 is current assets of $11,155.00 divided by current liabilities of $8,999.00, which equals 1.24.

ii. The debt-to-equity ratio for 2020 is long-term debt of $13,569.00 divided by shareholder equity of $19,587.00, which equals 0.69.

iii. The gross profit margin for 2019 is gross profit of $6,000.00 divided by sales of $10,000.00, which equals 0.60 or 60%.

iv. The return on equity for 2019 is net income of $2,079.00 divided by shareholder equity of $20,000.00, which equals 0.1039 or 10.39%.

Ellie's Essentials LLC has a good current ratio indicating that it is capable of paying off its short-term obligations. Its debt-to-equity ratio indicates that the company relies more on equity than debt. The company has a high gross profit margin, indicating its ability to generate a profit after accounting for the cost of goods sold.

However, the return on equity ratio is relatively low, indicating that the company is not generating a high enough return on its shareholder's investments.

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deflation is best described as: group of answer choices when the prices of some goods rise and prices of some goods fall, but more goods have price increases than decreases. when the overall level of prices of goods falls. when the overall level of prices of goods rises. when all prices in the economy fall.

Answers

Deflation is best defined as a decline in the level of prices for most items. Here option B is the correct answer.

Deflation is a macroeconomic term that refers to a persistent and sustained decrease in the general price level of goods and services in an economy. In simpler terms, deflation occurs when the overall level of prices of goods and services falls over a period of time. This is the opposite of inflation, which refers to a persistent and sustained increase in the general price level of goods and services.

Deflation can be caused by a variety of factors, including a decrease in the money supply, a decrease in demand for goods and services, and an increase in productivity that leads to lower costs of production. While a decrease in prices may seem like a good thing for consumers, deflation can have serious negative consequences for an economy.

One of the main concerns with deflation is that it can lead to a deflationary spiral, where falling prices lead to a decrease in demand, which leads to lower production and employment, and ultimately lower prices. This can create a vicious cycle that can be difficult to reverse.

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Complete question:

Deflation is best described as: group of answer choices

A - when the prices of some goods rise and prices of some goods fall, but more goods have price increases than decreases.

B - when the overall level of prices of goods falls.

C - when the overall level of prices of goods rises.

D - when all prices in the economy fall.

1.what is an executor ?
2. what are the duties of the executor ?

Answers

Answer:

1. What is an executor?

An executor of an estate is an individual appointed to administer the last will and testament of a deceased person. The executor's main duty is to carry out the instructions to manage the affairs and wishes of the deceased.

An executor of an estate is an individual appointed to administer the last will and testament of a deceased person. The executor's main duty is to carry out the instructions to manage the affairs and wishes of the deceased.The executor is appointed either by the testator of the will (the individual who makes the will) or by a court, in cases wherein there was no prior appointment.

Explanation:

An executor is the person who administers a person's estate upon their death.An executor is often named by the testator before their death, or else by a court.The primary duty is to carry out the wishes of the deceased person based on instructions spelled out in their will or trust documents.This means ensuring that assets are distributed to the intended beneficiaries.Being an executor is a large responsibility where potential hazards and complications may arise.2. Whst are the duties of the executor?

The executor is responsible for making sure all assets in the will are accounted for, along with transferring these assets to the correct party (parties). Assets can include financial holdings, such as stocks, bonds, or money market investments; real estate; direct investments; or even collectibles like art.

Explanation:-

The executor also needs to ensure that all the debts of the deceased are paid off, including any taxes. The executor is legally obligated to meet the wishes of the deceased and act in the interest of the deceased.The executor can be almost anyone but is usually a lawyer, accountant, or family member, with the only restriction being that they must be over the age of 18 and have no prior felony convictions.

which approach to pricing weighs factors underlying expected customer tastes and preferences more heavily than other factors?

Answers

The customer-oriented approach to pricing weighs factors underlying expected customer tastes and preferences more heavily than other factors such as costs or competitors.

The customer-oriented approach to pricing is a pricing strategy that emphasises the requirements and preferences of the consumer. This strategy gives predicted client likes and preferences greater weight than other considerations like costs or rivals. With this method, the emphasis is on determining the customer's willingness to pay and developing a price plan that maximises the customer's value proposition.

Companies may develop a pricing plan that helps to satisfy customer expectations while also maximising profits by taking into consideration the consumer's opinion of the value of the good or service.

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what is the fourth step in a five-step ethical analysis?

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The fourth step in a five-step ethical analysis is to evaluate the options or alternatives that have been identified in the previous step.

This involves considering the potential consequences and potential benefits and harms of each option, as well as assessing the implications for stakeholders and ethical principles. The goal of this step is to determine which option is most ethical and justifiable in light of the ethical analysis.

Ethical analysis is a process of evaluating a situation or problem from an ethical perspective. It involves a systematic approach to identifying, evaluating, and resolving ethical issues. The five-step ethical analysis framework is a commonly used method for ethical decision-making. The steps are as follows:

Identify the problem: Clearly define the ethical problem or dilemma.

Gather information: Collect all relevant information, including facts, stakeholders, values, and ethical principles.

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nonlinear programming problems with decreasing marginal returns are generally easier to solve then nonlinear programming problems with increasing marginal returns. True or False

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The statement "Nonlinear programming problems with decreasing marginal returns are generally easier to solve than nonlinear programming problems with increasing marginal returns." is True.


Decreasing marginal returns imply that as you increase the input, the additional output gained from each additional unit of input becomes smaller.

In contrast, increasing marginal returns imply that as you increase the input, the additional output gained from each additional unit of input becomes larger. In nonlinear programming, problems with decreasing marginal returns usually result in a convex optimization problem, which has a unique global optimum and is generally easier to solve.

On the other hand, problems with increasing marginal returns can lead to non-convex optimization problems, which may have multiple local optima, making them more difficult to solve.

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garza company had sales of $144,200, sales discounts of $2,175, and sales returns of $3,460. garza company's net sales equals: multiple choice $149,835. $5,635. $142,025. $144,200. $138,565.

Answers

Garza Company's net sales equal $138,565. Therefore, correct answer is $138,565.

To calculate Garza Company's net sales, we need to subtract the sales discounts and sales returns from the total sales.
Total sales = $144,200
Sales discounts = $2,175
Sales returns = $3,460
Net sales = Total sales - Sales discounts - Sales returns
Net sales = $144,200 - $2,175 - $3,460
Net sales = $138,565
It's important for a company to calculate its net sales accurately as it gives a clearer picture of the actual revenue earned by the company after adjusting for any returns or discounts given to customers. This information is important for the company to determine its profitability and make informed business decisions. By tracking sales returns, a company can identify any issues with its products or services and take corrective actions to improve customer satisfaction and reduce returns in the future. Similarly, tracking sales discounts can help a company understand the impact of its promotional strategies on its revenue and make adjustments to optimize its pricing and discounts. Therefore, Garza Company's net sales equal $138,565.

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credit balance of $79,100. credit sales for 2024 totaled $2,450,000 and the year-end accounts receivable balance was $652,500. during this year, $77,500 in receivables were determined to be uncollectible. manda panda anticipates that 1% of all credit sales will ultimately become uncollectible. the fiscal year ends on december 31. required: does this situation describe a loss contingency? what is the bad debt expense that manda panda should report in its 2024 income statement? prepare the appropriate journal entry to record the contingency. complete the table below to calculate the net accounts receivable value manda panda should report in its 2024 balance sheet

Answers

1)Yes, this situation describes a loss contingency.

2)The $77,500 in receivables determined to be uncollectible during the year represents a loss contingency, as it is an estimate of the ultimate amount of uncollectible accounts that will result from the credit sales made in 2024.

3)Manda Panda should report a net accounts receivable value of $575,000 in its 2024 balance sheet.

To calculate the bad debt expense that Manda Panda should report in its 2024 income statement, we can use the percentage of credit sales that is expected to become uncollectible. Since Manda Panda anticipates that 1% of all credit sales will ultimately become uncollectible, the bad debt expense would be:

Bad Debt Expense = 1% x Credit Sales

Bad Debt Expense = 1% x $2,450,000

Bad Debt Expense = $24,500

To record this loss contingency, Manda Panda would make the following journal entry:

Debit Bad Debt Expense $77,500

Credit Allowance for Doubtful Accounts $77,500

The net accounts receivable value that Manda Panda should report in its 2024 balance sheet can be calculated as follows:

Accounts Receivable Balance - Allowance for Doubtful Accounts

$652,500 - $77,500 = $575,000

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which of the following statements are true? multiple select question. the interest rate on a bond normally fluctuates from month to month. the amount due at maturity is called the face value of the bond. bond interest is normally paid only on the maturity date. a bond certificate describes the issuer's obligation to pay interest and repay the principal.

Answers

The amount due at maturity is called the face value of the bond and A bond certificate describes the issuer's obligation to pay interest and repay the principal. Thus, options B and D are correct.

Face value refers to the buck value of a monetary agent when it is published. The face value of a bond is the expense that the client pays at the time of maturity, also directed to as par value. By comparison, the face worth of a store is the cost set by the client when the store is first published.

A bond certificate designates the organization's responsibility to repay the principal. The bondholder is the seller or issuer of a bond. The payment due at bond maturity is named the face value of the bond. Cash interest charges are founded on the noted interest rate.

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The complete question is:

which of the following statements is true?

a.  the interest rate on a bond normally fluctuates from month to month

b. the amount due at maturity is called the face value of the bond

c.  bond interest is normally paid only on the maturity date.

d. a bond certificate describes the issuer's obligation to pay interest and repay the principal.

The amount due at maturity is called the face value of the bond and describes the bond certificate issuer's obligation to pay interest and repay the principal This is a true statement. Here options B and D are the correct answer.

The interest rate on a bond normally fluctuates from month to month - This statement is not entirely true. While the market interest rates can fluctuate from time to time, the interest rate on a bond, once issued, remains fixed for the life of the bond. This is because the interest rate is determined at the time of issuance and remains constant, irrespective of any changes in market interest rates.

Bond interest is normally paid only on the maturity date - This statement is not true. Most bonds pay interest semi-annually or quarterly, depending on the terms of the bond. The interest payments are made throughout the life of the bond, and the principal is repaid at maturity.

Bonds are debt instruments that are issued by corporations, governments, or other entities to raise capital. The bond issuer promises to pay interest at a fixed rate and repay the principal amount to the bondholder at maturity. The face value of the bond is the amount that the issuer promises to repay at maturity.

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Complete question:

Which of the following statements are true? multiple select question.

A - the interest rate on a bond normally fluctuates from month to month.

B - the amount due at maturity is called the face value of the bond.

C - bond interest is normally paid only on the maturity date.

D - a bond certificate describes the issuer's obligation to pay interest and repay the principal.

The annual interest divided by the face value of a bond isreferred to as the:A. market rate.B. coupon rate.C. yield-to-maturity.D. current yield.E. call rate.F. None of the answers above are current

Answers

The annual interest divided by the face value of a bond is referred to as the B. coupon rate.

The coupon rate is the annual income an investor can expect to earn from a bond. It is determined at the time the bond is issued and is computed by dividing the total annual coupon payments by the par value.

A bond's yield to maturity and coupon rate are the same at the moment it is purchased. The yield to maturity (YTM) of a bond is the percentage rate of return assuming the investor retains the instrument until the maturity date.

It is the sum of all remaining coupon payments and will vary depending on its market value and the number of payments remaining.

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you have a 25-year maturity, 9.6% coupon, 9.6% yield bond with a duration of 10 years and a convexity of 135.1. if the interest rate were to fall 121 basis points, your predicted new price for the bond (including convexity) is

Answers

To estimate the new price of the bond when interest rates fall by 121 basis points, we can use the formula that considers both duration and convexity:

New Price = Current Price * (1 + Duration * ΔYield + 0.5 * Convexity * (ΔYield)^2)

First, we need to calculate the Current Price of the bond:

Current Price = (Coupon Payment * (1 - (1 + Yield)^(-Maturity)) / Yield) + (Face Value / (1 + Yield)^Maturity)
Current Price = (0.096 * 1000 * (1 - (1 + 0.096)^(-25)) / 0.096) + (1000 / (1 + 0.096)^25)
Current Price ≈ 1000

Now, let's calculate the New Price, considering a 121 basis points decrease in yield:

ΔYield = -121 / 10000 = -0.0121

New Price = 1000 * (1 + 10 * (-0.0121) + 0.5 * 135.1 * (-0.0121)^2)
New Price ≈ 1085.56

If the interest rate were to fall 121 basis points, your predicted new price for the bond (including convexity) would be approximately $1,085.56.

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how much of the $416,000 indirect costs should be allocated to the consumer department, if banc corp. trust uses a bankwide rate based on the number of loans processed?

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The consumer department at Banc Corp. Trust should be allocated $83,200 of the $416,000 indirect costs based on the bankwide rate and the number of loans processed by the department.

To determine the amount of indirect costs that should be allocated to the consumer department at Banc Corp. Trust, we need to use the bankwide rate based on the number of loans processed. Let's assume that the bankwide rate is calculated by dividing the total indirect costs of $416,000 by the total number of loans processed across all departments.
If we know that the consumer department processed 10,000 loans out of a total of 50,000 loans across all departments, then we can calculate the amount of indirect costs that should be allocated to the consumer department as follows:
Bankwide rate = Total indirect costs / Total number of loans
Bankwide rate = $416,000 / 50,000 loans
Bankwide rate = $8.32 per loan
Indirect costs allocated to the consumer department = Bankwide rate x Number of loans processed by consumer department
Indirect costs allocated to consumer department = $8.32 x 10,000 loans
Indirect costs allocated to consumer department = $83,200
Therefore, the consumer department at Banc Corp. Trust should be allocated $83,200 of the $416,000 indirect costs based on the bankwide rate and the number of loans processed by the department.

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which of the following statements is true of government spending? group of answer choices an increase in government spending raises the equilibrium level of income by a multiple of the original spending increase. government spending is a part of monetary policy, not fiscal policy. a decline in government spending brings about an expansion in the economy. an increase in government spending increases the recessionary gap in the economy. an increase in government spending shifts the aggregate demand curve downward by a fraction of the rise in government spending.

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The true statement regarding government spending is that an increase in government spending raises the equilibrium level of income by a multiple of the original spending increase. This is because when the government increases spending, it injects more money into the economy, which increases aggregate demand.

The increase in demand then leads to an increase in output and employment, which leads to an increase in income. The multiplier effect comes into play here, which means that the increase in income will be greater than the increase in government spending. In contrast to this, a decline in government spending would bring about a contraction in the economy rather than an expansion.

This is because government spending is a part of fiscal policy, which is used to stabilize the economy by manipulating government spending and taxation. It is not a part of monetary policy, which deals with the regulation of money supply and interest rates. Overall, an increase in government spending can be an effective tool in boosting economic growth and reducing unemployment, as long as it is done in a responsible and sustainable manner.

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Cory Junior's stomach ailment turned out to be much worse than Cory Rogers expected, and Cory ory Senior, called in to inform his marketing intern, Christine Yu, that it would probably be several days before he would be able to get back to the office. Cory says to Christine, "I know you are a bit lost with The Hobbit's Choice Restaurant project, but why don't you take a look at the proposal and see if there is any further analysis that you can do while I am out. Have Tonya pull the proposal from the file." Christine looks at the research proposal, and she jots down some notes with respect to research questions that need to be addressed. Her notes are below. Your task in Case 18.2 is to use The Hobbit's Choice Restaurant SPSS data set and perform the proper analysis. You will also need to interpret the findings. 1. Perform the correct analysis and interpret your findings with regard to The Hobbit's Choice Restaurant menu, décor, and atmosphere for those people who prefer to drive less than 30 minutes to get to the restaurant. 2. Do older or younger people want unusual desserts and/or unusual entrées? 3. Use the variable that distinguishes the "Probable patrons" (likely to patronize Hobbit's Choice for='s) for the "Not probable patrons" (likely to patronize Hobbit's Choice = 20r = 3. If the probable patrons constitute The Hobbit's Choice Restaurant target market, what is the demographic makeup of this target market? Use the demographics of household niet vam hal income, education level, gender, and zip code: 4. Is the City Magazine a viable advertising medium for Jeff Dean to use? Apart from this ques- tion, are there other viable promotion vehicles that Jeff should know about?

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The task in Case 18.2 is to perform data analysis on The Hobbit's Choice Restaurant SPSS data set and interpret the findings to address research questions.

In this case, the marketing intern Christine Yu is tasked with performing data analysis on The Hobbit's Choice Restaurant SPSS data set and interpreting the findings to address various research questions. The questions include the preferences of customers who prefer to drive less than 30 minutes to the restaurant, the age group that prefers unusual desserts and entrées, the demographic makeup of probable patrons as the target market, and the viability of City Magazine as an advertising medium.

By analyzing the data and interpreting the findings, Christine can provide insights and recommendations to help improve the restaurant's marketing strategy.

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correctly order the steps required to balance a simple redox reaction using the half-reaction method.

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The correctly order the steps  to balance a simple redox reaction using the half-reaction method including writing the unbalanced redox equation, separating the reaction into two half-reactions, balancing the atoms and charges in each half-reaction, and combining the half-reactions to form the balanced redox equation.

The first step in balancing a redox reaction using the half-reaction method is to write the unbalanced chemical equation. This equation should include the reactants and products, as well as the oxidation states of each element in the reaction.

Next, the redox reaction should be separated into two half-reactions: the oxidation half-reaction and the reduction half-reaction. The oxidation half-reaction shows the loss of electrons by the oxidizing agent, while the reduction half-reaction shows the gain of electrons by the reducing agent.

In this step, the atoms in each half-reaction are balanced by adding the appropriate coefficients to each element. The coefficients should be chosen to balance the number of atoms of each element on both sides of the equation.

After balancing the atoms, the charges in each half-reaction should be balanced by adding electrons to one side of the equation. The number of electrons added should be equal to the difference in the oxidation states of the element being oxidized or reduced.

In the final step, the two balanced half-reactions are combined to form the balanced redox equation. This is done by adding the two half-reactions together, canceling out any electrons that appear on both sides of the equation, and simplifying as needed.

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The difference between the market price of a new car used by a firm and the market price of the same car one year later is known asA. economic deterioration.B. economic depreciation.C. physical deterioration.D. physical depreciation.

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The difference between the market price of a new car used by a firm and the market price of the same car one year later is known as economic depreciation. The correct answer is B.

Economic depreciation refers to the decrease in market value of an asset over time due to factors such as wear and tear, changes in market conditions, and the availability of newer models. In the case of a new car used by a firm, the market price of the car will typically decrease after one year due to factors such as mileage, wear and tear, and the release of newer models, resulting in economic depreciation.

In the case of a new car, economic depreciation occurs because the market value of the car is influenced by factors such as changes in demand, changes in the supply of similar cars, new car models being introduced, and changes in consumer preferences. These factors can lead to a decrease in the market value of the car over time, even if the car has not experienced any physical damage or deterioration.

In contrast, physical depreciation refers to the decrease in the value of an asset due to wear and tear, obsolescence, or physical damage. For example, physical depreciation would occur if the car was involved in an accident or if its components became worn out due to use.

Therefore, the correct answer to the question is B. economic depreciation, as it refers specifically to the reduction in the market value of the car over time due to economic factors.

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Describe brand characterstics that would be desirable to target
market for a food delivery service company in USA?

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Answer: To describe brand characteristics that would be desirable to target the market for a food delivery service company in the USA, following mentioned characteristics are required:

i) Convenience

ii) Variety and Personalization

iii) Speed and Reliability

iv) Affordability

v) Customer service (Responsiveness)

vi) Sustainability

vii) Localization

Explanation:

1. Convenience: The food delivery service should be easy to use hassle-free system, offering user-friendly online ordering, flexible payment options, and real-time tracking of the delivery.

2. Variety and Personalization: Customers want options, so company need to offer a wide range of options and cuisine types to cater to diverse tastes and dietary preferences within the target market. Customizable options would be appealing. Also, customers appreciate a personalized experience, so companies offering recommendations and remembers customers preferences will be desirable.

3. Speed and reliability: Ensure timely and efficient delivery of food, meeting promised delivery times and maintaining good condition, quality, and temperature of the food upon arrival.

4. Affordability: As customers want to feel that they are getting good deals, so competitive pricing and promotions will appeal to the target market, providing value for money while not compromising on quality.


5. Customer service (Responsiveness): Customers want to feel heard and valued. So providing responsive and effective customer support to address issues and inquiries will help build trust and loyalty within the target market.

6. Sustainability: Showcase a commitment to eco-friendly practices, such as using recyclable or compostable packaging materials, and partnering with restaurants that share similar values.

7. Localization: Tailor the service to the specific needs and preferences of the local market, incorporating regional food trends and partnering with local restaurants to create a sense of community.

By focusing on above mentioned desirable brand characteristics, a food delivery service company can effectively target and cater to its intended market in the USA.

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what led to the creation of the caux principles? multiple choice question. disagreement over ethical business conduct between major corporations in the united states and japan forced them to develop the principles. a global business consortium felt the principles were necessary to encourage more competition. international executives felt the need to establish global, universal ethical principles for business. international executives were directed by government agencies to develop them.

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International executives felt the need to establish global, universal ethical principles for business led to the creation of the caux principles.

The Caux Principles, also known as the Caux Round Table Principles for Business, were created by a group of international business leaders who felt the need to establish global, universal ethical principles for business. The principles were developed in the early 1990s at the Caux Conference and have since been widely adopted by businesses around the world.

The principles outline a set of ethical values and principles that businesses should adhere to, including respect for human dignity, pursuit of sustainable prosperity, and promotion of ethical behavior. The Caux Principles are designed to promote a culture of ethical business conduct and provide a framework for responsible business behavior. They continue to be an important reference point for companies seeking to operate in a socially responsible and sustainable manner.

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#3. A firm produces a good and dumps pollution into a river, which harms the fishers. The market for the good is competitive, so the marginal benefits to the firm equal the price, which is 200. Its marginal costs are MC = 20 + 5Q. The marginal damages to the fishers are MD = 4Q. Q is the quantity of the good produced. You can easily verify that the efficient quantity is 20 and the market quantity is 36. Now suppose that Coase bargaining can occur (20 points). A. The firm has a right to pollute. How much would the fishers be willing to pay for the firm to produce the efficient quantity instead? B. The fishers have a right to clean rivers, so the firm has no right to produce. What is the least that the fishers would accept to allow the firm to produce the efficient quantity? C. The fishers have a right to clean rivers, so the firm has no right to produce. How much would the firm be willing to pay to produce the efficient quantity?

Answers

A. If the firm has a right to pollute, the fishers would be willing to pay up to their marginal damages to prevent the pollution. In this case, the marginal damages are MD = 4Q, and the efficient quantity is Q = 20. Therefore, the fishers would be willing to pay up to $80 (4 x 20) to prevent the pollution and have the firm produce the efficient quantity.

B. If the fishers have a right to clean rivers, the firm would need to compensate the fishers for their losses. The least that the fishers would accept to allow the firm to produce the efficient quantity would be their marginal damages, which in this case is MD = 4Q at the efficient quantity of Q = 20. Therefore, the fishers would accept at least $80 (4 x 20) to allow the firm to produce the efficient quantity.

C. If the fishers have a right to clean rivers, the firm would need to pay the fishers their marginal damages to produce the efficient quantity. In this case, the marginal damages are MD = 4Q, and the efficient quantity is Q = 20. Therefore, the firm would need to pay the fishers $80 (4 x 20) to produce the efficient quantity.

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Adoption of enterprise systems by small and medium size enterprises (SMEs) has increased since 2000 largely because of A) the introduction of less expensive cloud-based enterprise systems products B) the maturation of enterprise systems applications C) widespread adoption of enterprise systems software among businesses in a wide range of industries D) the introduction of data analytics and business intelligence tools that can be used to mine enterprise systems data

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The introduction of less expensive cloud-based enterprise systems products has made it more accessible for SMEs to adopt such systems without incurring significant costs.

Secondly, the maturation of enterprise systems applications has made them more stable, reliable, and user-friendly, thus making it easier for SMEs to integrate them into their existing workflows. Thirdly, the widespread adoption of enterprise systems software among businesses in a wide range of industries has created a need for SMEs to adopt these systems to remain competitive.

Lastly, the introduction of data analytics and business intelligence tools that can be used to mine enterprise systems data has made it more attractive for SMEs to adopt these systems as they can now gain insights into their business operations and make data-driven decisions. Overall, the of enterprise systems has had a significant impact on SMEs, enabling them to streamline their operations, improve efficiency, and remain competitive in the marketplace.

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