Derek can deposit $11,000 on each birthday beginning with his 26th and ending with his 65th. What will the rate on the retirement account need to be for him to have $3,000,000 in it when he retires on his 65th birthday? Submit Answer format: Percentage Round to: 4 decimal places (Example: 9.2434%, % sign required. Will accept decimal format rounded to 6 decimal places (ex: 0.092434)) 2 Derek can deposit $16,537.00 on each birthday beginning with his 26.00th and ending with his 70.00th. What will the rate on the retirement account need to be for him to have $3,290.160.00 in it when he retires? Submit Answer format: Percentage Round to: 2 decimal places (Example: 9 24% % sign required Will accept decimal format rounded to 4 decimal places (ex: 0.0924)) If Derek plans to deposit $14,341,00 into his retirement account on each birthday beginning with his 26th and the account earns 4.00%, how long will it take him to accumulate $2,539,117.00? Submit Answer format: Number: Round to: 2 decimal places

Answers

Answer 1

It will take Derek approximately 33.39 years (rounded to 2 decimal places) to accumulate $2,539,117 in his retirement account.

To find the rate on the retirement account needed for Derek to have $3,000,000 when he retires on his 65th birthday, we can use the future value of an ordinary annuity formula:

FV = P * ((1 + r)^n - 1) / r

Where:

FV = future value ($3,000,000)

P = periodic deposit ($11,000)

r = interest rate

n = number of deposits (40, from his 26th to 65th birthday)

Now we can rearrange the formula to solve for the interest rate:

r = ((FV / P) + 1)^(1/n) - 1

Substituting the given values:

r = (($3,000,000 / $11,000) + 1)^(1/40) - 1

Calculating this equation, the interest rate needed for Derek's retirement account is approximately 0.0553 or 5.53% (rounded to 4 decimal places).

For the second question, we can use the same formula to find the interest rate:

r = ((FV / P) + 1)^(1/n) - 1

Substituting the given values:

r = (($3,290,160 / $16,537) + 1)^(1/45) - 1

Calculating this equation, the interest rate needed for Derek's retirement account is approximately 0.0365 or 3.65% (rounded to 4 decimal places).

For the third question, we can use the future value of an ordinary annuity formula to find the number of deposits:

FV = P * ((1 + r)^n - 1) / r

Rearranging the formula to solve for the number of deposits:

n = (log(FV * r / P + r) / log(1 + r)

Substituting the given values:

n = (log($2,539,117 * 0.04 / $14,341,00 + 0.04) / log(1 + 0.04)

To find the rate on the retirement account needed for Derek to have $3,000,000 when he retires on his 65th birthday, we can use the future value of an ordinary annuity formula:

FV = P * ((1 + r)^n - 1) / r

Where:

FV = future value ($3,000,000)

P = periodic deposit ($11,000)

r = interest rate

n = number of deposits (40, from his 26th to 65th birthday)

Now we can rearrange the formula to solve for the interest rate:

r = ((FV / P) + 1)^(1/n) - 1

Substituting the given values:

r = (($3,000,000 / $11,000) + 1)^(1/40) - 1

Calculating this equation, the interest rate needed for Derek's retirement account is approximately 0.0553 or 5.53% (rounded to 4 decimal places).

For the second question, we can use the same formula to find the interest rate:

r = ((FV / P) + 1)^(1/n) - 1

Substituting the given values:

r = (($3,290,160 / $16,537) + 1)^(1/45) - 1

Calculating this equation, the interest rate needed for Derek's retirement account is approximately 0.0365 or 3.65% (rounded to 4 decimal places).

For the third question, we can use the future value of an ordinary annuity formula to find the number of deposits:

FV = P * ((1 + r)^n - 1) / r

Rearranging the formula to solve for the number of deposits:

n = (log(FV * r / P + r) / log(1 + r)

Substituting the given values:

n = (log($2,539,117 * 0.04 / $14,341,00 + 0.04) / log(1 + 0.04)

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Related Questions

Question 1 What are the factors to take into account when deciding about whether to use direct or indirect strategy for a written message? (Select all that apply.)

Group of answer choices

The purpose of the message

The relationship with the audience

The preferences of the audience

The number of lines it take to write it

The intellectual capacity of the reader

Answers

The factors to take into account when deciding whether to use a direct or indirect strategy for a written message are: the purpose of the message, the relationship with the audience, and the preferences of the audience.

The purpose of the message is important because it determines the desired outcome and the tone of the message. The relationship with the audience is crucial because it influences the level of formality or informality that should be used. The preferences of the audience matter because different people have different communication styles and may respond better to direct or indirect approaches. The number of lines it takes to write the message and the intellectual capacity of the reader are not relevant factors in deciding the strategy.

When deciding whether to use a direct or indirect strategy for a written message, there are several factors to consider. First, the purpose of the message plays a significant role. If the goal is to convey important information or make a request, a direct strategy may be more effective. On the other hand, if the purpose is to persuade or soften the impact of the message, an indirect strategy could be more appropriate. Second, the relationship with the audience is important. If the sender has a close or familiar relationship with the recipient, a more direct approach might be suitable. However, if the relationship is formal or professional, an indirect strategy may be more appropriate to maintain a level of politeness and respect.

Third, the preferences of the audience should be taken into account. Some individuals may prefer direct communication, while others may prefer a more indirect approach. Adapting the strategy to align with the preferences of the audience can help improve the effectiveness of the message. It is worth noting that the number of lines it takes to write the message and the intellectual capacity of the reader are not relevant factors when deciding on the strategy. The length of the message is not an indication of whether a direct or indirect strategy should be used. Similarly, the intellectual capacity of the reader does not determine the appropriateness of the strategy.

In conclusion, when deciding whether to use a direct or indirect strategy for a written message, it is important to consider the purpose of the message, the relationship with the audience, and the preferences of the audience. By taking these factors into account, the sender can effectively communicate their message and achieve the desired outcome.

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Randall Company manufactures products to customer specifications and uses a job costing system. Randall applies manufacturing overhead costs at a rate of 125% of direct labor costs. Here are data regarding 20Y5: During 20Y5, purchases of raw materials were $330,000, actual manufacturing overhead costs were $266,000, and the cost of goods manufactured was $841,000. All raw materials are direct materials. What is the amount of underapplied or overapplied overhead? $24,000 overapplied $40,000 overapplied $16,000 underapplied $66,000 underapplied None of the above

Answers

None of the above is the amount of underapplied or overapplied overhead. So the right option is (d)

The given information required to calculate underapplied or overapplied overhead are:•

Manufacturing overhead costs applied = 125% of Direct labor cost• Purchases of raw materials during 20Y5 = $330,000•

Actual Manufacturing overhead costs during 20Y5 = $266,000• Cost of goods manufactured during 20Y5 = $841,000

To calculate underapplied or overapplied overheads, the following formula is used:

Actual Manufacturing Overhead Costs - Manufacturing Overhead Costs Applied Actual Manufacturing Overhead Costs: $266,000 Manufacturing Overhead Costs Applied:

125% of Direct Labor Cost= 125% * Direct Labor Cost cannot be calculated with the given information.

Therefore, the amount of underapplied or overapplied overhead can not be determined from the given information. Option d) None of the above is the correct option.

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Which of the following is not a critical factor (or step) for the Procurement Organization to become a more advanced, strategic business function? Reactive- focusing on issues within its own organization such as leadership and organizational design. Tactical Pricing- achieving lowest price for all commodities and services. Proactive- assessing organizational skills, talents business processes,technological capabilities and performance management Strategic- focusing on how the organization's inputs contribute to strategic value creation, enhancing innovation and stakeholder value.

Answers

The factor that is not a critical step for the Procurement Organization to become a more advanced, strategic business function is "Tactical Pricing - achieving the lowest price for all commodities and services."

While tactical pricing is an important aspect of procurement, it is not the sole determinant of the procurement organization's advancement and strategic value. The other factors mentioned, such as being reactive, proactive, and strategic, focus on broader aspects like organizational skills, performance management, innovation, stakeholder value, and aligning inputs with strategic value creation.

Reactive: This factor involves focusing on issues within the procurement organization itself, such as leadership, organizational design, and internal processes.

Tactical Pricing: This factor emphasizes achieving the lowest price for all commodities and services procured. While cost optimization is a significant aspect of procurement, a focus solely on tactical pricing may overlook other strategic considerations such as supplier relationship management, risk mitigation, innovation, and value creation.

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Define a quality audit and explain the impact of good quality on a project.

Answers

A quality audit is a systematic and independent examination of a project, process, or system to determine whether it meets predefined quality standards, requirements, and expectations.

The impact of good quality on a project can be significant and wide-ranging. Here are some key points highlighting the importance and benefits of good quality:

Customer satisfaction: High-quality deliverables or products meet or exceed customer expectations.

Reputation and credibility: A project that consistently delivers high-quality outcomes builds a positive reputation and establishes credibility for the organization or team behind it.

Cost savings: Good quality practices can result in cost savings over the project's lifecycle. By implementing effective quality control measures, detecting and correcting defects early in the process, and preventing rework or waste, project teams can reduce costs associated with rework, rectification, customer complaints, and potential legal issues.

Risk management: Quality management is closely tied to risk management. By proactively identifying and addressing potential quality issues, project teams can mitigate risks and prevent future problems.

Employee morale and productivity: A project that emphasizes and achieves good quality creates a positive work environment.

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why it is necessary to monitor cost per product or unit
operating cost in order to determine the cost incurred?

Answers

It is necessary to monitor cost per product or unit operating cost in order to determine the cost incurred because it helps in understanding and managing the financial health of a business. Here's why:
Cost Control: By monitoring the cost per product or unit operating cost, businesses can identify areas where costs are high and take necessary steps to control them. This helps in reducing expenses and increasing profitability.
Pricing Decisions: Determining the cost incurred per product or unit allows businesses to set appropriate prices for their products or services. By understanding the cost structure, they can ensure that prices cover all expenses and generate a profit.
Performance Evaluation: Monitoring costs helps in evaluating the performance of different products or units within a business. It enables comparisons between actual costs and budgeted costs, providing insights into areas that need improvement.
Decision Making: Accurate cost monitoring provides valuable information for decision making. It helps businesses determine whether to continue or discontinue certain products or units based on their profitability.
Cost Reduction: By analyzing cost per product or unit operating cost, businesses can identify inefficiencies and find ways to reduce costs. This could involve streamlining processes, renegotiating supplier contracts, or implementing cost-saving measures.
In conclusion, monitoring cost per product or unit operating cost is essential for businesses to track and manage their expenses, make informed decisions, and improve financial performance.

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Assume that the market for good x is defined as follows: qd = 64 - 16p and qs = 16p - 8. what is producer surplus in this market?

Answers

The producer surplus in the market is 36. It represents the additional revenue earned by producers above their willingness to supply at the equilibrium price.

To calculate the producer surplus in this market, we need to find the area between the supply and price line, up to the equilibrium quantity.

The demand equation is qd = 64 - 16p, and the supply equation is qs = 16p - 8.

To find the equilibrium price, we set qd equal to qs:

64 - 16p = 16p - 8.

Solving for p, we get

32p = 72,

p = 2.25.

Substituting this price back into either the demand or supply equation, we find the equilibrium quantity

qd = 64 - 16(2.25) = 32.

To calculate the producer surplus, we need to find the area between the supply curve and the equilibrium price line up to the equilibrium quantity:

Producer Surplus = (1/2) × (2.25 - 0) × (32 - 0)

= 36.

Therefore, the producer surplus in this market is 36.

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Business Process : User Account Creation, Access Privileges, and Termination for New Employee

o Business Process Flow diagram ▪ At least 5 majors blocks

o Swimlane diagram ▪ Data labels on connectors or data legend ▪ 1 alternate, non-ideal path ▪ At least 2 actors

Answers

User Account Creation, Access Privileges, and Termination for New Employee is a business process that involves creating a new user account, setting access privileges, and terminating the account when the employee leaves the company.

The process involves several steps that need to be followed in order to ensure that the employee's information is protected and secure. The business process involves creating a new user account, setting access privileges, and terminating the account when the employee leaves the company. The process is designed to ensure that the employee's information is protected and secure. Business Process Flow diagramThe business process flow diagram is a graphical representation of the process that shows the flow of activities from one stage to another. The flow diagram is used to identify the different stages in the process and to identify the inputs and outputs at each stage.

The diagram is also used to identify the different actors involved in the process and to show the different paths that can be taken through the process.The Business Process Flow diagram for User Account Creation, Access Privileges, and Termination for New Employee is as follows:There are five major blocks in the process flow diagram. These are:1. User Account Creation2. Setting Access Privileges3. Employee Termination4. Employee Notification5. Account DeletionSwimlane diagramThe Swimlane diagram is a graphical representation of the process that shows the flow of activities from one stage to another.

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Yesterday, you entered into a futures contract to sell €62,500 at $1.50 per €. Your initial performance bond is $1,500 and your maintenance bond is $500. At what settle price will you get a demand for additional funds to be posted? $1.3920 per € $1.5080 per € $1.5170 per ϵ $1.1840 per € None of the other answers

Answers

The settle price at which you will get a demand for additional funds to be posted is when [tex]€62,500 × (S - 1.50) > $500[/tex]

To determine the settle price at which you would receive a demand for additional funds to be posted in a futures contract, we need to calculate the variation margin. The variation margin represents the amount of money that needs to be added or subtracted from your account based on the difference between the settle price and the price at which you entered the contract.

Initial performance bond: $1,500

Maintenance bond: $500

Contract size: €62,500

Initial price: $1.50 per €

To calculate the variation margin, we need to know the settle price at which you will receive a demand for additional funds. Let's assume the settle price is S dollars per €.

The variation margin can be calculated as follows:

Variation Margin = Contract size × (Settle price - Initial price)

If the variation margin exceeds the maintenance bond, you will receive a demand for additional funds to be posted.

In this case, the variation margin is:

[tex]Variation Margin = €62,500 × (S - 1.50)[/tex]

If the variation margin is greater than $500 (the maintenance bond), you will receive a demand for additional funds.

Therefore, the settle price at which you will get a demand for additional funds to be posted is when:

[tex]€62,500 × (S - 1.50) > $500[/tex]

Solving this equation will give you the settle price required to trigger a demand for additional funds.

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Going concern value includes an operating business with ______________________ assets.

Answers

Going concern value includes an operating business with tangible and intangible assets that contribute to its ongoing operations and future profitability.

Tangible assets encompass physical properties like land, buildings, equipment, and inventory that are necessary for the business's day-to-day functioning. Intangible assets include intellectual property rights, brand reputation, customer relationships, patents, trademarks, copyrights, and proprietary technology.

These intangibles often differentiate the business from its competitors and provide a competitive advantage. The combination of tangible and intangible assets creates a synergistic effect that enhances the value of the business as a going concern, allowing it to generate consistent revenue and sustain its operations over the long term.

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The following is a list of accounts for the Pumpkin Company at December 31 : Requirements: 1) Prepare a cost of goods sold calculation for the current year. 2) Prepare an income statement for the current year. gross margin 126,000 3) Prepare a balance sheet, at December 31, of the current year. Inventony used twice

Answers

1. Cost of Goods Sold: $129,000

2. Gross Margin: $71,000

3. Total Assets: $370,000, Total Equity: $276,000

1) Cost of Goods Sold Calculation:

Beginning Inventory (January 1): $15,000

Purchases: $120,000

Transportation-in: $2,000

Total Cost of Goods Available for Sale: $137,000

Ending Inventory (December 31): $8,000

Cost of Goods Sold: $137,000 - $8,000 = $129,000

2) Income Statement:

Sales: $200,000

Cost of Goods Sold: $129,000

Gross Margin: $200,000 - $129,000 = $71,000

Operating Expenses:

Depreciation Expense: $6,000

Salaries Expense: $45,000

Utilities Expense: $3,000

Total Operating Expenses: $54,000

Net Income: Gross Margin - Operating Expenses = $71,000 - $54,000 = $17,000

3) Balance Sheet (at December 31):

Assets:

Cash: $12,000

Accounts Receivable: $10,000

Inventory: $8,000

Building: $300,000

Accumulated Depreciation - Building: $40,000

Total Assets: $370,000

Liabilities:

Accounts Payable: $6,000

Interest Payable: $1,000

Salaries Payable: $3,000

Notes Payable, due next year: $10,000

Total Liabilities: $20,000

Equity:

Capital Stock: $200,000

Retained Earnings, January 1: $65,000

Net Income: $17,000

Dividends: $6,000

Total Equity: $276,000

Total Liabilities and Equity: $370,000

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Which of the steps in a Six Sigma Project Plan do you believe to be the most important and why? Describe how a failure of this step would likely impact the success of the project.

Answers

In a Six Sigma Project Plan, all the steps are crucial for the success of the project. However, if I were to choose one step as the most important, it would be the Define phase.

The Define phase sets the foundation for the entire project by clearly defining the problem, project goals, scope, and customer requirements. It involves identifying the project stakeholders, establishing project metrics, and understanding the critical-to-quality factors. This step ensures that the project is aligned with the organization's strategic objectives and addresses the most significant issues.

If there is a failure in the Define phase, it can have a significant impact on the success of the project. Without a clear definition of the problem or well-defined goals, the project team may end up focusing on the wrong objectives or working on irrelevant tasks. This can lead to wasted resources, missed opportunities, and ultimately, project failure. Additionally, a failure to identify customer requirements accurately can result in delivering a solution that does not meet their expectations, leading to customer dissatisfaction.

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south-western federal taxation 2022: corporations, partnerships, estates and trusts by william a. raabe, james c. young, annette nellen, william h. hoffman, jr.

Answers

South-Western Federal Taxation 2022: Corporations, Partnerships, Estates and Trusts" is a comprehensive resource for understanding federal taxation laws applicable to corporations, partnerships, estates, and trusts.

How does the book "South-Western Federal Taxation 2022: Corporations, Partnerships, Estates and Trusts" provide in-depth insights into the federal tax regulations that govern corporations, partnerships, estates, and trusts?

"South-Western Federal Taxation 2022: Corporations, Partnerships, Estates and Trusts" is a valuable reference book that offers a thorough examination of the federal taxation system as it pertains to various entities such as corporations, partnerships, estates, and trusts. This book, authored by William A. Raabe, James C. Young, Annette Nellen, and William H. Hoffman Jr., provides readers with a comprehensive understanding of the complex tax laws and regulations that apply to these entities.

Furthermore, the book explores estate taxation, focusing on the transfer of wealth at death, estate tax calculations, and related planning strategies. It also provides insights into the taxation of trusts, including the various types of trusts and the tax consequences associated with trust structures.

In conclusion, "South-Western Federal Taxation 2022: Corporations, Partnerships, Estates and Trusts" serves as a comprehensive guide for tax professionals, students, and individuals seeking a deep understanding of federal taxation laws pertaining to corporations, partnerships, estates, and trusts. Its extensive coverage and expert analysis make it a valuable resource in navigating the complexities of the tax system for these entities

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Write a 200-word review of the Organizational Design and Project Escalation. Be sure to include the following concepts: 1) Slack resources 2) Task uncertainty 3) Cognitive limits, as well as 4) Project escalation 5) Emotional attachment to the project.

Answers

The concept of Organizational Design and Project Escalation offers valuable insights into various aspects of project management. It explores the significance of slack resources, task uncertainty, and cognitive limits in shaping project outcomes. Additionally, it highlights the phenomenon of project escalation and the role of emotional attachment in project success.

Organizational Design and Project Escalation emphasize the importance of slack resources in project management. Slack resources refer to the extra time, budget, or personnel allocated to a project beyond what is strictly necessary. These resources act as a buffer, allowing flexibility and adaptation to unexpected changes or uncertainties that may arise during the project execution.

Task uncertainty is another critical concept discussed in this context. It refers to the level of unpredictability or ambiguity associated with project tasks. Higher task uncertainty implies greater difficulty in planning and executing project activities, requiring flexibility and adaptability in the organizational design.

Cognitive limits refer to the human cognitive capacity to process information and make decisions. Understanding cognitive limits is crucial for effective project management as it helps identify potential bottlenecks and limitations in decision-making processes.

Project escalation, a phenomenon explored in this context, refers to the gradual increase in commitment of resources to a failing project. It highlights the challenges of recognizing and addressing project failures early on to prevent further resource allocation without achieving desired outcomes.

Finally, the concept of emotional attachment to the project recognizes that stakeholders' emotional investment can influence project outcomes. Emotional attachment can positively impact motivation, commitment, and resilience in overcoming challenges and achieving project success.

Overall, the concepts discussed in Organizational Design and Project Escalation provide valuable insights for project managers to navigate the complexities of project management, optimize resource allocation, mitigate risks, and foster a supportive environment for project success.

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RAM Industries has ending inventory of AED 120 million, net income of AED 20 million and profit margin of 5 percent. On average, how long does a unit of inventory sit on the shelf before it is sold? 4. A firm generated net income of AED 15 million. Accounts payables decreased by AED 7 million, accounts receivables decreased by AED 12, inventory decreased by AED 15, and beginning balance of fixed assets was AED 60 million and became AED 50 million(net fixed assets). There was no interest expense. What was the net cash flow from operating activity?

Answers

The inventory turnover ratio is 15.8%, and the unit of inventory sits on the shelf for an average of 6.3 days. The net cash flow from operating activity for the firm is AED 39M.

RAM Industries has an ending inventory of AED 120 million, net income of AED 20 million, and a profit margin of 5%. On average RAM Industries has a profit margin of 5%, and the ending inventory is worth AED 120 million.

As a result, the cost of goods sold is (100% - 5%) = 95% of the total revenue. If we divide the cost of goods sold by the average inventory, we can estimate the inventory turnover ratio. Inventory turnover ratio = cost of goods sold/average inventory = 95% × revenue/average inventory = (95/100)×20/120 = 15.8%.

If we take the reciprocal of the inventory turnover ratio, we'll get the number of days the stock remains on the shelf. 1/inventory turnover = 1/15.8% = 6.3 days.On the other hand, the net cash flow from operating activities is determined by making adjustments to net income using the indirect approach.

Net income is adjusted for the gains and losses on the sale of assets, non-cash expenses, and changes in working capital accounts, and the resulting figure is net cash flow from operating activities. Therefore, the net cash flow from operating activity for this firm is AED 15M-(-7M+12M+15M) = AED 39M.

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ABC Company sells three products. Income statements for the three products
for the most recent year appear below:

Product A Product B Product C
Sales revenue ................ $120,000 $180,000 $145,000
Costs:
Variable costs ........... 78,000 54,000 87,000
Advertising .............. 12,000 7,000 8,000
Rent ..................... 10,000 10,000 10,000
Supervisor's salary ...... 25,000 35,000 30,000
Property taxes ........... 10,000 6,000 2,000
Net income/loss ............... <15,000> 68,000 8,000

The rent is allocated to the three products equally and the property taxes
are allocated based on the square footage each product uses in the factory.

The president of the company is considering eliminating Product A. If ABC
Company eliminates Product A, sales of Product B are expected to increase
by $10,000.

Calculate the increase in company profits if Product A is dropped.

Answers

The increase in company profits if Product A is dropped is $23,000.

When Product A is dropped, the sales revenue of Product B will increase by $10,000, making the sales revenue of Product B equal to $190,000 ($180,000 + $10,000).

The cost of Variable costs of Product A is $78,000, which will not be incurred if the product is dropped. This means that the total variable costs of the company will decrease by $78,000 when the product is eliminated.The Property taxes are allocated based on the square footage each product uses in the factory. Product A is using $10,000 of the property taxes, which will not be incurred when the product is dropped.

As a result, the company's Property taxes will decrease by $10,000 when the product is eliminated.The net loss of Product A is $15,000, which will no longer be incurred if the product is dropped. This means that the company's net income will increase by $15,000 when the product is eliminated.Cost of advertising, Rent, and Supervisor's salary of Product A are $12,000, $10,000, and $25,000, respectively. These costs will no longer be incurred if the product is dropped. As a result, the company's advertising, rent, and Supervisor's salary costs will decrease by $12,000, $10,000, and $25,000, respectively.

The total savings from dropping Product A are as follows:Variable costs saved = $78,000Property taxes saved = $10,000Net loss saved = $15,000Advertising saved = $12,000Rent saved = $10,000Supervisor's salary saved = $25,000Total savings = $150,000Therefore, the increase in company profits if Product A is dropped is $23,000 ($150,000 - $127,000).

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Calculate the​ after-tax return of a 13.73 ​percent, 20-year,​ A-rated corporate bond for an investor in the 15 percent marginal tax bracket. Compare this yield to a 10.02​percent, 20-year,​ A-rated, tax-exempt municipal​ bond, and explain which alternative is better. Repeat the calculations and comparison for an investor in the 35 percent marginal tax bracket.

The​ after-tax return of a 13.73 ​percent, 20-year,​ A-rated corporate bond for an investor in the 15 percent marginal tax bracket is ___%?

Answers

The after-tax return of a 13.73% A-rated corporate bond for an investor in the 15% marginal tax bracket is approximately 11.67%.

To calculate the after-tax return for an investor in the 15% marginal tax bracket, we need to consider the tax implications on the bond's interest income.

A-rated Corporate Bond:

The after-tax return can be calculated by subtracting the tax liability from the bond's yield. In this case, the yield is 13.73%.

Tax liability = Yield * Marginal tax rate

Tax liability = 13.73% * 15%

= 2.06%

After-tax return = Yield - Tax liability

After-tax return = 13.73% - 2.06%

= 11.67%

Therefore, the after-tax return of a 13.73% A-rated corporate bond for an investor in the 15% marginal tax bracket is approximately 11.67%.

For an investor in the 15% marginal tax bracket, the after-tax return of the A-rated corporate bond is approximately 11.67%.

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BHP wishes to raise new share capital in the stock market. Which of the following financial institutions should it approach? Select one: a. ANZ b. Macquarie Bank c. NAB d. CBA e. Westpac National Australia Bank (NAB) suffers a unthinkable collapse and is unable to refund deposits. Martha has $300,000 deposited with NAB. How much will she end up loosing? Enter your answer as a whole number without, or $ Answer: If a bank's gross income is $100 million, what can the operational risk be calculated as? See pg 141 of the Unit Reader. Enter your answer as a whole number, without, or $. Answer: Building societies have shareholders. See pg 143 of the Unit Reader Select one: True False Which of the following is the major source of capital for building societies and credit unions? See pg 144 of the Unit Reader Select one: a. Preference Shares b. Bonds c. Retained earnings d. Common Shares e. Deposits

Answers

Building societies and credit unions primarily rely on deposits from their members/customers as a source of capital.

For BHP to raise new share capital in the stock market, it can approach various financial institutions, including:

b. Macquarie Bank

c. NAB (National Australia Bank)

d. CBA (Commonwealth Bank of Australia)

e. Westpac

Regarding the collapse of NAB and the loss of Martha's deposit, the information provided does not specify the extent of the loss. Without additional information or context, it is not possible to determine the exact amount she may lose.

To calculate operational risk, the information provided about the bank's gross income of $100 million is not sufficient. Operational risk is typically assessed based on a range of factors, such as the nature of the bank's operations, the complexity of its activities, the effectiveness of its internal controls, and historical loss data. Without further information, it is not possible to calculate the operational risk.

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carter company purchases store supplies for $2,700, paying 20% of the amount due in cash and agreeing to pay the balance at a later date.

Answers

Carter Company makes a cash payment of $540 and has a remaining balance of $2,160 to be paid at a later date is the answer.

Based on the data given, Carter Company buys store supplies for $2,700. They make a cash instalment of 20% of the sum due and concur to pay the remaining adjust at a later date. 

Let's break down the transaction:

Total Purchase Amount: $2,700

Cash Payment: 20% of $2,700

Cash Payment = $2,700 × 0.20

Cash Payment = $540

Remaining Balance: Total Purchase Amount - Cash Payment

Remaining Balance = $2,700 - $540

Remaining Balance = $2,160

Therefore, Carter Company makes a cash payment of $540 and has a remaining balance of $2,160 to be paid at a later date.

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What is the annualized cost of $12,000 of computer equipment that lasts five years with an annual discount rate of 5 percent? 5. Suppose that you obtain a ten-year $100,000 loan to purchase a house and the annual interest rate is 7 percent, what should be your monthly payment of principal and interest for the next ten years? (Hint: In the Excel PMT process, convert the annual interest rate and payment periods to the monthly rate and payment periods.) 6. Suppose the length of the loan is twenty years in Question 5, what should your monthly payment of principal and interest be for the next twenty years?

Answers

1. The annualized cost of $12,000 of computer equipment that lasts five years with an annual discount rate of 5 percent is approximately $2,768.

2. For a ten-year $100,000 loan with an annual interest rate of 7 percent, the monthly payment of principal and interest should be around $1,212.

3. If the length of the loan is extended to twenty years, the monthly payment of principal and interest for the next twenty years would be approximately $756.

1. To calculate the annualized cost of the computer equipment, we use the formula for Present Value (PV) of a cash flow. The annualized cost is the present value of the equipment's cost spread over its useful life. With an annual discount rate of 5 percent, the annualized cost is calculated to be approximately $2,768.

2. To determine the monthly payment for a ten-year $100,000 loan at a 7 percent annual interest rate, we use the Excel PMT function. By converting the annual interest rate to a monthly rate and payment periods, the monthly payment of principal and interest is calculated to be around $1,212.

3. If the length of the loan is extended to twenty years, the monthly payment of principal and interest decreases to approximately $756. This is because spreading the loan amount over a longer time period reduces the monthly payment, but increases the total interest paid over the life of the loan.

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A few years back, the global shipping company Maersk launched a slow steam initiative that was aimed at minimising the fuel consumption of container ships in order to significantly reduce operating cost and greenhouse gas emissions. Improvements were realised by reducing the cruising speed of its container ships by as much as 50 per cent, which of course led to increasing delivery times for Maersk’s customers. Given that transportation carriers were traditionally focussed on minimising delivery times and delays, Maersk’s shift in strategy caused some scepticism from customers as well as from investors.

Using the competitive product space, how would you describe Maersk’s strategic positioning relative to a comparable, traditional transportation carrier

Answers

Maersk's strategic positioning relative to a comparable, traditional transportation carrier can be described as focused on sustainability and cost reduction. By launching the slow steam initiative, Maersk aimed to minimize fuel consumption and greenhouse gas emissions.

This shift in strategy involved reducing the cruising speed of its container ships by up to 50%, which resulted in longer delivery times. This positioning sets Maersk apart from traditional transportation carriers that prioritize minimizing delivery times and delays.

Customers and investors initially showed skepticism towards Maersk's approach due to the potential impact on delivery times. However, Maersk's focus on sustainability and cost reduction aligns with the increasing global emphasis on environmental consciousness and resource efficiency.

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If D1 = $1.50, g (which is constant) = 6.5%, and P0 = $56, what is the stock's expected capital gains yield for the coming year?

Answers

If D1 = $1.50, g (which is constant) = 6.5%, and P0 = $56, the stock's expected capital gains yield for the coming year is 2.68%.To calculate the stock's anticipated capital picks up abdicate for the coming year, ready to utilize the taking after equation:

Expected Capital Gains Yield = g = (D1 / P0)

Where:

D1 = Dividend expected to be paid in the coming year

P0 = Current stock price

We can substitute these values into the formula:

Expected Capital Gains Yield = g = ($1.50 / $56)

Calculating the result:

Expected Capital Gains Yield = g = 0.02678571428 (approximately)

thus, the stock's expected capital gains yield for the coming year is approximately 2.68% (0.0268 when expressed as a decimal).

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9. A market characterised by easy entry and exit, many sellers and differentiated products is perfectly competitive.

10. Real GDP is expressed as a relative value, that is, it has to be expressed as a comparison to the value in another year, called the base year.

Answers

A perfectly competitive market, no single firm has control over the market price, as they are all price-takers. Each firm must accept the prevailing market price, and competition is primarily based on non-price factors such as product quality and marketing strategies.

9. A market characterized by easy entry and exit, many sellers, and differentiated products is known as a perfectly competitive market. In this type of market structure, there are numerous sellers offering similar but slightly different products. Easy entry and exit mean that new firms can easily enter the market and existing firms can exit without significant barriers.
10. Real GDP is a measure of the total value of goods and services produced in an economy, adjusted for inflation. It is expressed as a relative value, meaning it is compared to the value in another year called the base year. The base year is used as a benchmark to measure the change in economic output over time. By comparing the current year's GDP to the base year's GDP, economists can determine the growth or decline in economic activity, taking into account changes in prices. This allows for a more accurate assessment of the changes in the economy's production levels, regardless of the impact of inflation.

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Tyler Apiaries sells bees and beekeeping supplies. Bees (including a queen) are shipped in special packages according to weight. The target weight of a package is 1.2 kg. Histoncally, Tyler's shipments have weighed on average 1.2 kg, with a standard deviation of 007 km a. The lower and upper tolorance limits are 1.1 kg and 1.3 kg, respectively The process capablity ratio is (Enor your response rounded to three docimal places)

Answers

Bees are shipped in special package according to weight. The process capability ratio (Cp) for Tyler Apiaries' shipments is approximately 4.762, rounded to three decimal places.

To calculate the process capability ratio, we need to use the formula:

Process Capability Ratio (Cp) = (Upper Specification Limit - Lower Specification Limit) / (6 * Standard Deviation)

In this case, the Upper Specification Limit (USL) is 1.3 kg, the Lower Specification Limit (LSL) is 1.1 kg, and the Standard Deviation (σ) is 0.007 kg.

Cp = (1.3 kg - 1.1 kg) / (6 * 0.007 kg)

Cp = 0.2 kg / (0.042 kg)

Cp ≈ 4.762

Rounded to three decimal places, the process capability ratio (Cp) is approximately 4.762.

Capability ratio, also known as process capability ratio (Cp), is a measure that indicates the ability of a process to consistently produce output within specified tolerance limits, relative to the process variability.

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Mohlaletse CC is a wedding and venue arrangement services company operating around the Sekhukhune District Municipality of Limpopo province. Makola and Bulelwe are the two founders and members of this registered a close corporation and obtained municipal approval to expand the business into proving cooked meals from an establishment in the community. The following extract of balances as at 31 December 2021 from the accounting records of Mohlaletse CC is presented to you for assistance: Additional information 1. On 1 January 2021, a renowned wedding planner and choreographer by the name of Fetakgomo was admitted to the CC in July 2021 to assist in developing a new wedding themes and contemporary wedding dance moves. In addition to the R35 000 cash contribution, Fetakgomo further contributed music equipment and an old delivery vehicle to the value of R99 000 and R39 000 respectively. 2. On 30 June 2021 one of the music system (music equipment) got damaged by an inexperienced local DJ from Zebediela and was not reparable. This system was acquired at a cost of R120 000 on 1 May 2019 and an accumulated depreciation of R66 100 on 30 June 2021 (R50 000 at 1 January 2021). The equipment was insured and an insurance pay-out equal to the carrying amount of the equipment was paid to the close corporation. The accountant credited the insurance pay-out to the SARS(income tax) account. 5. On 30 September 2021, a profit distribution of R55 000 was made to each member of the close corporation. These amounts should be regarded as loans from members with interest charged and capitalised at 15% per annum. This transaction is yet to be accounted for. 6. The loan from Makola was advanced to the CC in December 2020 and is repayable on 31 May 2022. 6. The income tax assessment, received from SARS on 4 January 2022, indicated that the normal income tax for the 2021 financial year amounted to R388 000 . 7. Bulelwe experienced personal financial problems during the year and borrowed R21 000 from the close corporation. The loan was granted to Bulelwe on 1 December 2021 at an interest rate of 18% per annum. The interest on this loan is capitalised. This transactions is still to be recorded. 8. Depreciation for the year ended 31 December 2021 was correctly calculated as R78 000, R3 400 and R185 000 for vehicles, furniture and equipment respectively. Which one of the following alternatives represents the correct total comprehensive income for the year to be disclosed in the statement of changes in net investments of members of Mohlaletse CC for the year ended 31 December 2021? a. R 2059300 b. R 2053428 c. R 2659800 d. R 1999528

Answers

The correct alternative that represents the correct total comprehensive income for the year to be disclosed in the statement of changes in net investments of members of Mohlaletse CC for the year ended 31 December 2021 is option b. R 2053428.

The total comprehensive income can be calculated as follows: Total comprehensive income = Operating profit + profit on disposal of assets - loss on disposal of assets - finance costs + investment income - income tax expense Operating profit = Revenue - Cost of sales - Depreciation expense- Other operating expenses From the information provided in the question, the operating profit can be calculated as follows: Operating profit = R376500 + R144000 - R22200 - R140800- R12000= R383500Therefore, the total comprehensive income = R383500 - R12000 + R2058900 - R388000 = R2053428Therefore, the correct alternative that represents the correct total comprehensive income for the year to be disclosed in the statement of changes in net investments of members of Mohlaletse CC for the year ended 31 December 2021 is option b. R 2053428.

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Jolie Company owns equipment with a cost of $157,500 and accumulated depreciation of $55,125.

Required:

Prepare the journal entry to record the disposal of the equipment on April 9 assuming:

Question Content Area

1. Jolie sold the equipment for $113,600 cash. If an amount box does not require an entry, leave it blank.

Apr. 9
Accumulated Depreciation
Cash
Gain on Disposal of Property, Plant, and Equipment
Equipment
Question Content Area

2. Jolie sold the equipment for $95,200 cash. If an amount box does not require an entry, leave it blank.

Apr. 9
Accumulated Depreciation
Cash
Loss on Disposal of Property, Plant, and Equipment
Equipment

Answers

In the first scenario, there is a gain of 1. $15,875, while in the second scenario, there is a loss of 2. $32,175.

1. For the first scenario, where Jolie sold the equipment for $113,600 cash, the journal entry to record the disposal of the equipment on April 9 would be as follows:
Apr. 9
Accumulated Depreciation  $55,125
Cash  $113,600
Gain on Disposal of Property, Plant, and Equipment  $15,875
Equipment  $157,500
2. For the second scenario, where Jolie sold the equipment for $95,200 cash, the journal entry to record the disposal of the equipment on April 9 would be as follows:
Apr. 9
Accumulated Depreciation  $55,125
Cash  $95,200
Loss on Disposal of Property, Plant, and Equipment  $32,175
Equipment  $157,500
Please note that the gain or loss on the disposal is calculated as the difference between the cash received and the net book value of the equipment (cost minus accumulated depreciation). In the first scenario, there is a gain of $15,875, while in the second scenario, there is a loss of $32,175.

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what possible challenges will it pose to South African economy
if SA exit BRICS?

Answers

If South Africa were to exit BRICS, it would face challenges in terms of trade, investment, cooperation, influence, and access to development financing.

Here are some possible challenges:

1. Trade Relations: South Africa benefits from its membership in BRICS through increased trade opportunities with the other member countries. Exiting BRICS could result in a loss of access to these markets, leading to reduced export opportunities and potential economic setbacks.

2. Investment: Being part of BRICS has attracted significant investment to South Africa. Exiting the group may result in reduced foreign direct investment, as BRICS countries have been important sources of investment for South Africa. This could impact economic growth and development.

3. Cooperation and Collaboration: BRICS provides a platform for South Africa to collaborate with other emerging economies on various economic issues. Exiting BRICS would mean losing this platform and the potential for sharing knowledge, experiences, and best practices with other member countries.

4. Economic Influence: As a member of BRICS, South Africa has a certain level of influence on global economic and political matters. Exiting the group would diminish its influence and possibly limit its ability to shape global economic policies that are beneficial to its interests.

5. Access to Development Financing: BRICS countries have established institutions like the New Development Bank (NDB) and the Contingent Reserve Arrangement (CRA), which provide funding for development projects. Leaving BRICS could mean losing access to such financing mechanisms, which could affect South Africa's ability to fund infrastructure projects and stimulate economic growth.

In conclusion, If South Africa were to exit BRICS (Brazil, Russia, India, China, and South Africa), it would pose several challenges to its economy.  

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Macon industries writes a purchase order for bolts, washers, and nails and sends the order to the stanton company to process. in this situation, the purchase order is a(n) :_________

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Macon industries writes a purchase order for bolts, washers, and nails and sends the order to the stanton company to process.In this situation, the purchase order is a(n) document.

The purchase order, in this context, serves as a formal document issued by Macon Industries to the Stanton Company to initiate a procurement transaction. A purchase order is a written request sent from a buyer to a seller, outlining the details of the products or services to be purchased.

The purpose of a purchase order is to provide specific information regarding the items being ordered, such as bolts, washers, and nails in this case. It typically includes details such as the quantity, description, unit price, total price, delivery date, shipping instructions, payment terms, and any other relevant terms and conditions.

By sending the purchase order to the Stanton Company, Macon Industries communicates its intent to purchase the specified items and provides the necessary information for the transaction to be processed. The purchase order serves as a formal record of the transaction and helps facilitate accurate and timely fulfillment of the order.

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The price of 1 aep feb 15 call contract is? a $150.00 b $202.50 c $550.00 d cannot be determined

Answers

The price of 1 AEP Feb 15 Call contract is $550.00 . Therefore, the correct option is option C.

What is a Cell Contract?

An AEP Feb 15 call contract alludes to an alternatives contract for the stock of a particular company, in this case, AEP (American Electric Control Company).

The particular cost of an AEP Feb 15 call contract would depend on components such as the current advertise cost of AEP stock, the strike cost of the contract, suggested instability, time to termination, and other advertise conditions.

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Theodore D. Kat is applying to his credit union for a mortgage of $200,000. The bank has quoted 8% an interest rate, compounded semi-annually. He would pay off the mortgage over 25-years (amortization period) and make a payment at the end of each month. A. Calculate EAR (1/100 of one percent, no %, e.g. 9.35)

a. Calculate EAR (1/100 of one percent, no %, e.g. 9.35)

b. How much are Theodore’s monthly payments?

2. Genu corporation is expected to pay a dividend of $2 per share next year. The annual dividend will rise by 6% per year forever. The required rate of return is 11%. What is the price of stock today? (nearest dollar without dollar sign ($) or comma, e.g. 15000)

Answers

Theofore's monthly payments would be approximately $1334.11. compounding period and the nominal interest rate.

the interest is compounded semi-annually at a nominal interest rate of 8%. to find the ear, we use the formula:

ear = (1 + r/n)ⁿ - 1

where:

r = nominal interest rate (8%)

n = number of compounding periods per year (2)

ear = (1 + 0.08/2)² - 1

calculating the expression within parentheses:

(1 + 0.04)² - 1 = (1.04)² - 1 = 1.0816 - 1 = 0.0816

so, the ear is 8.16%.

b. to calculate theodore's monthly payments, we need to use the mortgage formula for monthly payments:

monthly payment = (p * r * (1 + r)ⁿ) / ((1 + r)ⁿ - 1)

where:

p = principal amount (mortgage amount) = $200,000

r = monthly interest rate = (8% / 12) = 0.00667

n = number of payments = 25 years * 12 months/year = 300

substituting the values into the formula:

monthly payment = (200,000 * 0.00667 * (1 + 0.00667)³⁰⁰) / ((1 + 0.00667)³⁰⁰ - 1)

calculating the expression within parentheses:

(1.00667)³⁰⁰ = 2.8566

monthly payment = (200,000 * 0.00667 * 2.8566) / (2.8566 - 1)

monthly payment = 1334.11 2. to calculate the price of the stock today, we can use the gordon growth model, also known as the dividend discount model (ddm):

stock price = d1 / (r - g)

where:

d1 = expected dividend next year = $2

r = required rate of return = 11%

g = growth rate of dividends = 6%

substituting the values into the formula:

stock price = 2 / (0.11 - 0.06)

stock price = 40

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Refer to the figure given below. Goods and services:​
Figure 1-1
Group of answer choices
​flow in a clockwise direction.
​flow in a counterclockwise direction.
​are sold by businesses in the factor market.
​are sold by households in the factor market
​are sold by households in the product market.

Answers

Based on the given question and the terms provided, the flow of goods and services in the figure can be described as "flowing in a counterclockwise direction".

This means that goods and services are moving from households to businesses in the product market, where businesses sell their products to households.

To elaborate, in the figure, households are seen as buyers in the product market, where they purchase goods and services from businesses.

On the other hand, businesses are seen as sellers in the product market, where they sell their goods and services to households. This flow represents the exchange of goods and services between households and businesses.

It is important to note that the factor market is not directly mentioned in the question. The factor market refers to the market where factors of production, such as labor, capital, and land, are bought and sold. Therefore, the correct answer to the question is "Goods and services are sold by households in the product market."

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