Grey Manufacturing Company expects sales to total 13,000 units in the first quarter, 12.000 units in the second quarter and 15.000 units in the third quarter of the current fiscal year Company policy is to have on hand at the end of each quarter an amount of Inventory equal to 10% of the following quarter's sales. Given this information, how many units should be scheduled for production in the second quarter? Scheduled production units

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Answer 1

Based on the company's policy, 13,200 units should be scheduled for production in the second quarter to account for the desired ending inventory.

To determine the number of units that should be scheduled for production in the second quarter, we need to follow the company's policy of having an inventory equal to 10% of the following quarter's sales.

According to the information provided, the sales forecast for the first quarter is 13,000 units, and the sales forecast for the second quarter is 12,000 units. This means that the inventory at the end of the first quarter should be 10% of the second quarter's sales, which is 10% of 12,000 units.

To calculate this, we can multiply 12,000 units by 0.10 (which is equivalent to 10%).

12,000 units x 0.10 = 1,200 units

Therefore, at the end of the first quarter, the company should have 1,200 units of inventory.

To determine the number of units that should be scheduled for production in the second quarter, we need to add the desired ending inventory (1,200 units) to the sales forecast for the second quarter (12,000 units).

12,000 units + 1,200 units = 13,200 units

Therefore, the company should schedule 13,200 units for production in the second quarter.

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Related Questions

which of the following is an economic need? group of answer choices desire for self-satisfaction and convenience desire for efficiency in the consumer's investment plans desire for efficiency in the use of the consumer's time and money desire for prestige and paying a high price for the best quality desire for status and paying a high price for the best quality

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The desire for efficiency in the use of the consumer's time and money is most likely to be considered an economic need.

among the given s, the economic need is:

desire for efficiency in the use of the consumer's time and money

economic needs typically refer to the fundamental requirements or desires that individuals have to satisfy their basic wants and improve their well-being. the desire for efficiency in the use of the consumer's time and money aligns with this definition, as it pertains to making the most effective use of resources and maximizing utility in terms of both time and financial considerations.

the other s mentioned, such as desire for self-satisfaction and convenience, desire for efficiency in the consumer's investment plans, desire for prestige and paying a high price for the best quality, and desire for status and paying a high price for the best quality, may relate to personal preferences, aspirations, or luxury desires, but they may not necessarily align directly with economic needs.

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1. How to make
concessions in international business negotiation?

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In international business negotiations, concessions are essential for reaching an agreement. Concessions refer to offering something that the other party wants in exchange for something you want. The following are the steps to making concessions in international business negotiation:

Step 1: Identify your goals

The first step is to identify your goals in the negotiation. You should know what you want to achieve and what you are willing to give up to reach an agreement. This will help you decide what concessions you can make and what concessions are not negotiable.

Step 2: Identify the other party's goals

The second step is to identify the other party's goals. You should know what the other party wants to achieve and what they are willing to give up. This will help you decide what concessions to offer and what concessions to expect from the other party.

Step 3: Prioritize your concessions

The third step is to prioritize your concessions. You should know which concessions are most important to you and which ones are less important. This will help you decide which concessions to offer first and which ones to offer later.

Step 4: Offer your concessions

The fourth step is to offer your concessions. You should start by offering concessions that are less important to you and move to the concessions that are more important. You should also explain why you are making the concession and what you expect in return.

Step 5: Negotiate the concessions

The fifth step is to negotiate the concessions. You should be prepared to compromise and be flexible. You should also be willing to accept some concessions that are not ideal for you if they are necessary for reaching an agreement.

Step 6: Document the concessions

The final step is to document the concessions. You should make sure that the concessions are documented in the agreement. This will help prevent misunderstandings and disputes in the future.

In conclusion, making concessions in international business negotiation requires preparation, prioritization, and flexibility. You should be willing to compromise and be open to new ideas. You should also be aware of cultural differences and adjust your approach accordingly.

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efforts to regulate the economy by manipulating the supply of money, the price of money, and the availability of credit are termed

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Efforts to regulate the economy by manipulating the supply of money, the price of money, and the availability of credit are termed "monetary policy."

Monetary policy is implemented by central banks, such as the Federal Reserve in the United States, with the aim of influencing key economic factors like inflation, employment, and economic growth.

Central banks use various tools to conduct monetary policy. These tools include adjusting interest rates, setting reserve requirements for banks, conducting open market operations (buying or selling government securities), and employing unconventional measures like quantitative easing. By altering these factors, central banks can affect the overall money supply, interest rates, and credit availability in an economy.

The purpose of monetary policy is to stabilize the economy, promote sustainable growth, and manage inflation or deflationary pressures. By manipulating the supply of money and credit, central banks can influence borrowing costs, investment decisions, and consumer spending, thereby impacting economic activity and financial conditions.

Overall, monetary policy is a key tool for regulating the economy and maintaining stability by controlling the availability and cost of money and credit in the market.

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what may be necessary based upon concern that resources are being used inefficiently thereby leading to increased costs that erode profit margins?

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Based on concerns that resources are being used inefficiently, leading to increased costs that erode profit margins, several actions may be necessary to address the issue:

Process Improvement: Conduct a thorough analysis of the existing business processes to identify areas of inefficiency. This can involve streamlining workflows, eliminating redundant tasks, automating manual processes, and optimizing resource allocation. By improving process efficiency, companies can reduce costs and enhance profit margins.

Cost Management: Implement effective cost management strategies to identify and control unnecessary expenditures. This can involve closely monitoring expenses, negotiating better pricing with suppliers, optimizing inventory levels, and finding opportunities for cost savings throughout the organization.

Performance Measurement and Analysis: Establish key performance indicators (KPIs) and regularly track and analyze performance metrics to identify areas of underperformance and inefficiency.

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what is the formal charge on oxygen in the following structure? a) 2 b) 1 c) 0 d) -1 e) -2

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The formal charge on oxygen in the given structure is -1. So, the correct option is d.

To determine the formal charge on an atom within a molecule or ion, we compare the number of valence electrons the atom has in its unbonded state to the number of valence electrons it has in the molecule or ion.

In the given structure, the formal charge on oxygen can be calculated as follows:

Number of valence electrons in unbonded oxygen = 6

Number of lone pair electrons on oxygen in the structure = 4

Number of shared electrons (bonds) involving oxygen = 2

Formal charge = Number of valence electrons in unbonded state - (Number of lone pair electrons + 0.5 * Number of shared electrons)

Formal charge on oxygen = 6 - (4 + 0.5 * 2) = 6 - (4 + 1) = 6 - 5 = -1

Therefore, the formal charge on oxygen in the given structure is -1.

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The direct materials and direct labour standards for one bottle of Clean-All spray cleaner are given below. Standard Price or Rate. Standard Cont Standard Quantity or Hours 7.0 millilitros 0.3 hours.

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Given below are the direct materials and direct labor standards for one bottle of Clean-All spray cleaner:Standard Price or Rate:

This is the rate or price per unit of direct material or direct labor.Standard Quantity or Hours: This is the standard quantity or standard hours of direct material or direct labor that are needed to manufacture one unit of product.Standard Cost: This is the standard cost per unit of the product.Direct Materials: 7.0 milliliters.Direct Labor: 0.3 hours.

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Knox Corp has a selling price of $18, variable costs of $13.86 per unit, and fixed costs of $23,500. If Knox sells 9,500 units, the contribution margin ratio will equal: Multiple Choice 23.00% 11.42% 393.30% 11.58%

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The contribution margin ratio of Knox Corp will be 23.00%.

Contribution margin ratio is calculated using the formula:  Contribution Margin Ratio = (Sales - Variable Costs) / Sales.

Given: Selling price of Knox Corp = $18Variable cost of Knox Corp = $13.86Fixed cost of Knox Corp = $23,500Units sold = 9,500Using the above values, we can calculate the contribution margin per unit. Contribution Margin = Selling Price per unit - Variable cost per unit= $18 - $13.86= $4.14

Contribution Margin Ratio = Contribution Margin / Sales= (Contribution Margin per unit * Units Sold) / (Selling Price per unit * Units Sold)= ($4.14 * 9,500) / ($18 * 9,500)= $39,330 / $171,000= 0.23 or 23.00%Hence, the answer is 23.00%.

The contribution margin ratio of a company helps determine the percentage of each sale that will be used to cover the company's fixed costs and then contribute to profits. The formula for calculating the contribution margin ratio is (Sales - Variable Costs) / Sales.

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a firm expects to sell 25,300 units of its product at $12 per unit. income is predicted to be $60,300. if the variable costs per unit are $6, total fixed costs must be:

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When a company forecasts a specific sales volume for its product, it can use this information to calculate the level of fixed costs required to break even or earn a profit.

In the given scenario, a company expects to sell 25,300 units of its product for $12 each, with a total income of $60,300. If variable costs per unit are $6, the total fixed costs for the product can be determined using the following formula:Fixed costs = (Sales - Variable costs) / (Number of units sold)Fixed costs = ($60,300 - ($6 x 25,300)) / 25,300Fixed costs = ($60,300 - $151,800) / 25,300Fixed costs = -$91,500 / 25,300Fixed costs = -$3.62Therefore, the company is experiencing a loss of $3.62 per unit.

Since it is impossible to have negative fixed costs, this situation indicates that the company must either revise its sales estimates, raise its price per unit, or lower its variable costs per unit. In conclusion, total fixed costs for the given product are $3.62 per unit.

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A firm with a 13% WACC is evaluating two projects for this year's capital budget. After-tax cash flows, including depreciation, are as follows:
0 1 2 3 4 5
Project A -$3,000 $1,000 $1,000 $1,000 $1,000 $1,000
Project B -$9,000 $2,800 $2,800 $2,800 $2,800 $2,800
a. Calculate NPV for each project. Round your answers to the nearest cent.

Answers

The NPV for Project A is $498.18, and the NPV for Project B is $2,847.77. Net Present Value (NPV) is a financial metric used to assess the profitability of an investment or project.


To calculate the Net Present Value (NPV) for each project, we need to discount the cash flows at the firm's Weighted Average Cost of Capital (WACC). Given that the WACC is 13%, we can proceed with the calculations using the following cash flows:

Project A:

Year 0: -$3,000

Year 1 to Year 5: $1,000

Project B:

Year 0: -$9,000

Year 1 to Year 5: $2,800

Step 1: Calculate the discounted cash flows for each year of the project.

Year 0:

Project A: -$3,000 / (1 + 0.13)^0 = -$3,000

Project B: -$9,000 / (1 + 0.13)^0 = -$9,000

Year 1:

Project A: $1,000 / (1 + 0.13)^1 = $885.02

Project B: $2,800 / (1 + 0.13)^1 = $2,477.88

Year 2:

Project A: $1,000 / (1 + 0.13)^2 = $781.46

Project B: $2,800 / (1 + 0.13)^2 = $2,204.85

Year 3:

Project A: $1,000 / (1 + 0.13)^3 = $689.59

Project B: $2,800 / (1 + 0.13)^3 = $1,950.18

Year 4:

Project A: $1,000 / (1 + 0.13)^4 = $607.87

Project B: $2,800 / (1 + 0.13)^4 = $1,712.77

Year 5:

Project A: $1,000 / (1 + 0.13)^5 = $534.24

Project B: $2,800 / (1 + 0.13)^5 = $1,502.09

Step 2: Calculate the NPV for each project by summing up the discounted cash flows.

Project A: NPV = -$3,000 + $885.02 + $781.46 + $689.59 + $607.87 + $534.24 = $498.18

Project B: NPV = -$9,000 + $2,477.88 + $2,204.85 + $1,950.18 + $1,712.77 + $1,502.09 = $2,847.77

Therefore, the NPV for Project A is $498.18, and the NPV for Project B is $2,847.77.


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charlene is evaluating a capital budgeting project that should last for 4 years. the project requires $850,000 of equipment and is eligible for 100% bonus depreciation. she is unsure whether immediately expensing the equipment or using straight-line depreciation is better for the analysis. under straight-line depreciation, the cost of the equipment would be depreciated evenly over its 4-year life (ignore the half-year convention for the straight-line method). the company's wacc is 12%, and its tax rate is 25%. what would the depreciation expense be each year under each method? enter your answers as positive values. round your answers to the nearest dollar

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Under straight-line depreciation, the equipment cost would be depreciated evenly over its 4-year life, while under bonus depreciation, the entire cost can be expensed in the first year.  

To determine the annual depreciation expense using each method:

Straight-Line Depreciation, or SLD,

Cost of Equipment / Useful Life = Depreciation Expense (Year 1)

Cost of Depreciation (Year 1) = $125,000 / 4.

Depreciation Cost ($31,250 in Year 1)

The depreciation expense will be constant year over year since straight-line depreciation uniformly distributes the cost across the useful life.

(Year 2, 3, and 4) Depreciation Costs = $31,250

2. Bonus Depreciation: The entire cost of $125,000 can be deducted in the first year thanks to 100% bonus depreciation.

Depreciation Cost ($125,000 during the first year)

(Year 2, 3, and 4) Depreciation Cost = $0 Year Straight-Line Scenario 1 with Bonus Depreciation Scenario 2

0 - - 1 $31,250 $125,000

2 $31,250 $0 3 $31,250 $0 4 $31,250 $0

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a u.s. manufacturing company operating a subsidiary in an ldc (less-developed country) shows the following results: u.s. ldc sales (units) 110,055 19,500 labor (hours) 20,200 15,200 raw materials (currency) $ 20,105 20,200 (fc) capital equipment (hours) 60,600 5,200 *foreign currency unit a. calculate partial labor and capital productivity figures for the parent and subsidiary.

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Calculate partial labor and capital productivity for US manufacturing companies in less-developed countries by comparing sales, labor hours, raw materials, and capital equipment, calculating units sold per hour.

Partial labor productivity is calculated by dividing the units sold by the labor hours. In this case, the U.S. parent company sold 110,055 units with 20,200 labor hours, resulting in partial labor productivity of approximately 5.44 units per labor hour.

The subsidiary operating in the LDC sold 19,500 units with 15,200 labor hours, resulting in partial labor productivity of approximately 1.28 units per labor hour.

Partial capital productivity is calculated by dividing the units sold by the capital equipment hours.

The U.S. parent company sold 110,055 units with 60,600 capital equipment hours, resulting in partial capital productivity of approximately 1.81 units per capital equipment hour.

The subsidiary operating in the LDC sold 19,500 units with 5,200 capital equipment hours, resulting in partial capital productivity of approximately 3.75 units per capital equipment hour.

Other options, such as raw materials and foreign currency units, are not relevant to calculating labor and capital productivity figures. Raw materials and foreign currency values do not directly impact productivity measures, which focus on the efficiency of labor and capital utilization in generating output.

Therefore, only labor hours and capital equipment hours are considered in calculating the partial productivity figures for the parent and subsidiary.

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Which of the following is a requirement for use of the hypergeometric distribution? Multiple Cholce Only two possible outcomes: Trials are independent. Probability of a success is greater than \( 1.0

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The Hypergeometric distribution is a type of probability distribution that describes how likely you are to draw a certain number of items from a set without replacing the selected item.

This distribution is used to represent probabilities in populations that do not have a fixed probability of success, as is the case with a binomial distribution. For example, you might use the hypergeometric distribution to model the probability of drawing a red card from a deck of cards when you know that some cards have already been removed.

The hypergeometric distribution has the following requirements:There are only two possible outcomes. The trials are dependent. The probability of a success is greater than or equal to zero, but less than or equal to one. The number of trials is fixed.

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The Last In First Out inventory method will result in a higher ending inventory balance than the First In First Out inventory method (assuming there is price inflation during the period). True Question 34 A decrease in a current asset indicates an increase in cash. True (B) False Question 35 Manufacturing companies have only one Inventory classification. (A) True (B) False
Previous question

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34: The statement is False. The Last In First Out (LIFO) inventory method will result in a lower ending inventory balance than the First In First Out (FIFO) inventory method when there is price inflation during the period.

35: Question 35: The statement is False. Manufacturing companies typically have multiple inventory classifications.

34 In a period of rising prices, LIFO assumes that the most recent inventory purchases are the first to be sold, which means that the older, lower-cost inventory remains in the ending inventory. As a result, the ending inventory balance reflects the lower-cost inventory, leading to a lower value compared to FIFO.

FIFO, on the other hand, assumes that the earliest inventory purchases are sold first, resulting in the higher-cost inventory being included in the ending inventory, which yields a higher ending inventory balance. Therefore, in a period of price inflation, LIFO will result in a lower ending inventory balance than FIFO.

35 The main inventory classifications for manufacturing companies include raw materials, work-in-progress (WIP), and finished goods. Raw materials refer to the materials used in the production process, WIP represents partially completed products, and finished goods are the final products ready for sale.

Each inventory classification serves a specific purpose and has its own tracking and valuation methods. Raw materials and WIP are converted into finished goods through the manufacturing process.

Therefore, manufacturing companies have more than one inventory classification to accurately track and manage the different stages of the production process.

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Liberalism in 19th century Europe bears little resemblance to the work "liberal" used in the United States today. In the early 19th century, liberalism stood for many things, and it had major implications on the politics and economic policies of European nations and their overseas colonies. How was the Great Reform Bill of Britain (1832) a good example of 19th century liberalism? How did it fall short of anything we might call "democracy" today?

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The Great Reform Bill of Britain (1832) was a significant example of 19th-century liberalism due to its impact on the political landscape and its alignment with liberal principles. It aimed to address the outdated electoral system in Britain and make it more representative.

1. Expansion of the Electorate: The Reform Bill expanded the electorate by increasing the number of eligible voters.

It reduced the property qualification, allowing more men to vote and participate in the political process.

This was a step towards liberal ideals of equality and individual rights.

2. Redistribution of parliamentary seats: The bill also aimed to address the issue of unequal representation by redistributing parliamentary seats.

It abolished "rotten boroughs," which were constituencies with very few voters, and transferred their seats to more populous areas.

This helped to ensure that political power was more evenly distributed and that all citizens had a fairer chance of being represented.

3. Modernization of political institutions: The Great Reform Bill modernized political institutions by introducing more regular and fairer elections.

It established fixed terms for Parliament and implemented secret ballot voting, reducing the influence of bribery and corruption in the electoral process.

These reforms aimed to promote greater transparency, accountability, and popular participation in politics.


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Assume the exchange rate between the U.S. and India is $1= Rs73.58. If currently selling in India for Rs 7,358 . holds, an item that sells for $100 in the US. is Multiple Choice a) international Fisher effect. b) unbiesed forward rates condition. c) uncovered interest rate parity. d) interest rate parity. e) purchesing power parity.

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The purchasing power parity theory holds true in this scenario, as the price of the item in India is equal to the price of the item in the US when converted to the same currency.

Purchasing power parity (PPP) is a theory that states that the prices of goods and services should be the same in different countries when they are converted to a common currency. In this case, the price of the item in India (Rs 7,358) is equal to the price of the item in the US ($100) when converted to the same currency (USD). This means that PPP is holding true in this scenario.

The other answer choices are incorrect because they do not refer to PPP. International Fisher effect is a theory that states that the difference in interest rates between two countries should be equal to the expected rate of change in the exchange rate between those two countries.

Uncovered interest rate parity is a theory that states that the difference between the spot exchange rate and the forward exchange rate should be equal to the difference in interest rates between two countries. Interest rate parity is a theory that states that the interest rate on a foreign currency deposit should be equal to the interest rate on a domestic currency deposit plus the expected rate of change in the exchange rate between the two currencies.

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Which of the following correctly describes the difference between commodity money and fiat money?
a. Fiat money has value based on the material from which it is made, while commodity money is accepted by law and not because of its tangible value.
b. Commodity money can only be used to buy commodities such as grains or lumber, while fiat money can be used to buy anything.
c. Commodity money is either made out of a valuable commodity like silver or gold, or is redeemable for a valuable commodity. Fiat money is not.
d. Fiat money is used during times of emergency, such as hurricanes or war, when the existing stock of commodity money is inadequate to purchase needed goods and services.

Answers

The following option correctly describes the difference between commodity money and fiat money:Commodity money is either made out of a valuable commodity like silver or gold, or is redeemable for a valuable commodity.

Fiat money is not.What is Commodity Money?Commodity money is a form of currency whose value comes from a commodity of which it is made. Commodities that have been used as mediums of exchange in the past include gold, silver, copper, salt, peppercorns, tea, large stones, decorated belts, shells, alcohol, cigarettes, cannabis, and candy.

In contemporary economies, commodity money has been replaced by fiat money, which is currency that has value only because the government maintains its value and people have faith in it.

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a) Mr Benn desires to retire at age 55 and would like to receive a monthly income at the end of each month until he turns 95. The first payment will be 8000. Because he worries about the cost of living increasing as he gets older, he would like his monthly payments to increase by $50 each year. How much money would he need at age 55 to fund this retirement income if he can earn a nominal rate of interest convertible monthly of 3%? Round the answer to the nearest dollar.

b) Mr Benn is 39 today and wants to know if he already has enough money to fund his retirement income. He has 525000 in a saving account which earns a nominal rate of interest convertibly quarterly of 4% between now and when he turns 55. Does Mr. Benn have enough money saved for retirement? If not how much more he needs? Be sure to indicate if this amount is at age 55 or today. Round your answer to the nearest dollar.

c) To help fund his retirement income, Mr Benn has found an investment opportunity that earns an annual effective rate of 8% with contributions to the investment fund made at the beginning of the period. Mr. Benn would like to deposit a fixed percentage of his annual salary into this fund each year. Assume his salary at age 39 is $188,000 and he receives a 2% salary increase each year. Find the percentage of his salary he should contribute to this fund that would result in just enough money to fully fund his retirement income if he begins investing today and continues until he retires (note he still has access to the saving in part b)

Answers

The future value of an ordinary annuity refers to the total value of a series of equal and regular cash flow payments received or made at the end of each period over a specific time period

a) To calculate the amount of money Mr. Benn would need at age 55 to fund his retirement income, we can use the formula for the future value of an ordinary annuity:

Future Value = P * [(1 + r)^n - 1] / rWhere:

P = Initial payment ($8,000)

r = Interest rate per period (3% nominal rate convertible monthly or 0.03/12)

n = Number of periods (40 years, as he desires to receive payments until he turns 95, starting from age 55)

Let's plug in the values and calculate the future value:

Future Value = $8,000 * [(1 + 0.03/12)^(40*12) - 1] / (0.03/12)

Future Value ≈ $2,108,776.67

Mr. Benn would need approximately $2,108,776.67 at age 55 to fund his retirement income.

b) To determine if Mr. Benn has enough money saved for retirement, we need to calculate the future value of his current savings and the additional savings that will be added until he turns 55.

Future Value of current savings:

PV = $525,000 (present value)

r = 4% nominal rate convertible quarterly or 0.04/4

n = 16 years (from age 39 to 55, with quarterly compounding)

Future Value = PV * (1 + r)^n

Future Value = $525,000 * (1 + 0.04/4)^16

Future Value ≈ $938,745.46

Now, let's calculate the additional savings that will be made every year from now until age 55:

Salary at age 39 = $188,000

Annual salary increase rate = 2%

Using the formula for the future value of a geometric series:

Future Value of additional savings:

P = Salary at age 39 * (annual salary increase rate) / r

r = 3% nominal rate convertible monthly or 0.03/12

n = Number of periods (55 - 39 = 16 years, with monthly compounding)

Future Value = P * [(1 + r)^n - 1] / r

Future Value = [$188,000 * (1 + 0.02) / (0.03/12)] * [(1 + 0.03/12)^(16*12) - 1] / (0.03/12)

Future Value ≈ $1,634,186.90

Now, let's add the two future values to find the total amount Mr. Benn will have at age 55:

Total Future Value = $938,745.46 + $1,634,186.90

Total Future Value ≈ $2,572,932.36

Mr. Benn will have approximately $2,572,932.36 at age 55, which is more than the amount needed to fund his retirement income ($2,108,776.67). Therefore, he has enough money saved for retirement.

c) To find the percentage of his salary Mr. Benn should contribute to the investment fund each year, we can set up an equation to solve for the contribution rate (let's call it x):

PV = Present value of the annuity (unknown, will be equal to the future value of retirement income needed, $2,108,776.67)

PMT = Annual contribution (percentage of his salary, x, multiplied by his current salary at age 39)

r = Annual effective rate of return (8% or 0.08)

n = Number of periods (40 years, from age 39 to 79, with contributions made at the beginning of the period)Using the formula for the present value of an annuity:

PV = PMT * [(1 - (1 + r)^(-n)) / r]

Let's plug in the values and solve for x:

$2,108,776.67 = [x * $188,000 * (1 + 0.02) / (1 + 0.08)] * [(1 - (1 + 0.08)^(-40)) / 0.08]

Percentage of Salary ≈ ($29,266.44 / $296,377.23) * 100 ≈ 9.86%

Therefore, Mr. Benn should contribute approximately 9.86% of his annual salary to the investment fund to fully fund his retirement income.

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Welsver Company issues 4,000 shares of its €5 par value ordinary shares having a fair value of €30 per share and 6,000 shares of its €15 par value preference shares having a fair value of €20 per share for a lump sum of €192,000. What amount of the proceeds should be allocated to the preference shares? Select one: O a. €120,000 O b. €172,000 O c. €96,000 O d. €90,000

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Allocation of proceeds to preference shares:Allocation of the proceeds will be made in the following manner:Calculate the value of 4,000 ordinary shares:Fair value of ordinary shares = €30Value of 4,000 ordinary shares = €30 × 4,000 = €120,000

When a company issues shares, the price of the shares is determined by the company's management based on the par value of the shares and the fair value of the shares. In the given scenario, Welsver Company issues 4,000 shares of its €5 par value ordinary shares having a fair value of €30 per share and 6,000 shares of its €15 par value preference shares having a fair value of €20 per share for a lump sum of €192,000.The company's management will allocate the proceeds to the shares based on their fair value.

The fair value of the ordinary shares is €30 and the fair value of the preference shares is €20. Therefore, the total value of the ordinary shares is €120,000 (4,000 shares × €30) and the total value of the preference shares is €120,000 (6,000 shares × €20).The total value of the shares is €240,000 (€120,000 + €120,000). To determine the amount of the proceeds that should be allocated to the preference shares, divide the total value of the preference shares by the total value of the shares. The result is 0.625.

This means that the amount of the proceeds that should be allocated to the preference shares is €120,000 (0.625 × €192,000).

Therefore, the amount of the proceeds that should be allocated to the preference shares is €120,000.

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a(n) ________ is the institutional arrangement by which a firm gets its products, technologies, human skills, or other resources into a market.

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An entry mode is the way a company enters a new market, and the choice of entry mode depends on a number of factors.

There are many different entry modes, including exporting, importing, franchising, joint ventures, and wholly owned subsidiaries.

The choice of entry mode depends on a number of factors, including the size of the market, the level of competition, the regulatory environment, and the company's own resources and capabilities.

Here are some examples of entry modes:

Exporting: This is the most common entry mode. A company exports its products to a foreign market by selling directly to buyers or through intermediaries.

Importing: This is when a company buys products from a foreign market and sells them in its own market.

Franchising: This is a business arrangement in which a franchisor grants a franchisee the right to use its brand, business model, and other intellectual property in exchange for a fee.

Joint venture: This is a partnership between two or more companies to enter a new market.

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Which of the following situations would it be most appropriate to use a queueing model with exponential service times and times between arrivals?
Low arrival variability, low service variability.
Low arrival variability, high service variability.
High arrival variability, low service variability.
High arrival variability, high service variability.

Answers

A queueing model with exponential service times and times between arrivals would be most appropriate to use in a situation with low arrival variability and low service variability.

What is a Queueing model?

A queueing model is a mathematical model that is used to describe the way that customers or items wait in a queue or line. These models are used in many real-world situations, including customer service centers, manufacturing lines, and transportation systems.

Queueing models can help managers to optimize the flow of work or customers through a system, by predicting the average waiting time, the average time spent in service, and the utilization of resources.

In a queueing model with exponential service times and times between arrivals, the arrival rate and service rate are assumed to follow an exponential distribution. This type of model is most appropriate when there is low variability in both the arrival rate and the service time.

The four options presented in the question can be categorized as follows:

Low arrival variability, low service variability - This is the situation where a queueing model with exponential service times and times between arrivals is most appropriate.Low arrival variability, high service variability - This situation would be better suited to a queueing model with non-exponential service times.High arrival variability, low service variability - This situation would be better suited to a queueing model with non-exponential arrival times.High arrival variability, high service variability - This situation is the most complex and would require a queueing model with non-exponential arrival times and service times.

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at the beginning of the year , vendor inc has owners equity of 49,850. during the year , net income was $6150 and the company paid divideds of $4250. The company also repurchased $8350 in equity . What was thr owners account at thr end of the year?

Answers

The owner's account at the end of the year is $43,400.

How to find?

At the beginning of the year, Vendor Inc had an owner's equity of $49,850. During the year, the company had a net income of $6,150 and paid dividends of $4,250. The company also repurchased $8,350 in equity.

To calculate the owner's equity at the end of the year, we need to consider the changes in net income, dividends, and equity repurchases.

1. Start with the beginning owner's equity: $49,850.
2. Add the net income for the year: $6,150.
3. Subtract the dividends paid: $4,250.
4. Subtract the equity repurchased: $8,350.

How to do-
Beginning owner's equity: $49,850
Net income: +$6,150
Dividends paid: -$4,250
Equity repurchased: -$8,350

Calculating the owner's equity at the end of the year:
$49,850 + $6,150 - $4,250 - $8,350 = ?

By performing the calculations, we can determine the owner's equity at the end of the year:

$49,850 + $6,150 - $4,250 - $8,350 = $43,400

Therefore, the owner's account at the end of the year is $43,400.

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increased capability of smart phones has boosted online retail sales. group of answer choices true false

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The statement "increased capability of smart phones has boosted online retail sales" is true. Online retail sales are purchases made over the internet by buyers for personal or household use.

Online retail sales are divided into two categories: pure-play online retailers and bricks-and-mortar retailers who have integrated online and offline channels. Pure-play online retailers sell only through the internet, whereas traditional retailers sell both in physical stores and online. Online retail is also known as e-commerce (electronic commerce).

Smartphones are handheld electronic devices that can be used to make phone calls, send text messages, and run various mobile apps. They typically have large screens, high-quality cameras, and access to the internet through cellular data or Wi-Fi. Smartphones have advanced capabilities such as GPS navigation, touchscreens, and high-speed processors that allow users to multitask and use various apps at the same time.

Smartphones have contributed to the growth of online retail sales by making online shopping more accessible and convenient for consumers. As a result, online retailers have invested heavily in mobile-friendly websites and apps to accommodate this trend. Smartphones allow consumers to shop on-the-go and make purchases from anywhere, at any time. Additionally, smartphones have made it easier for retailers to reach customers through targeted ads and notifications. All these advancements have helped to increase the capability of smartphones and boost online retail sales.

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Two of your friends from high school will soon realize their lifetime dream of opening an English-style pub. They recently spoke with their accountant, who indicated that they should ensure that they implement some strong controls. They have no idea what the accountant was talking about.They know you are studying accounting and they have come to you for advice about what their accountant meant. (c) The following is a list of control activities or things that create a strong control environment. 1. Hire competent ethical employees 2. Keep cash locked up 3. Have job descriptions 4. Ensure all cash receipts are deposited daily 5. Limit purchases to only authorized personnel 6. Ensure staff take vacations 7. Establish a code of conduct and follow it 8. Have a security system in place 9. Ensure applicable human resource policies are in place Which of the following correctly classify the items as a control activity or part of the control environment? O Control Activity: 1, 3, 7, 9; Control Environment: 2, 4, 5, 6, 8 O Control Activity: 1, 2, 5, 6, 8; Control Environment: 3, 4, 7, 9 O Control Activity: 2, 4, 5, 7, 8, 9; Control Environment: 1, 3, 6 O Control Activity: 2, 4, 5, 6, 8; Control Environment: 1, 3, 7, 9 O Control Activity: 1, 2, 3, 4, 5; Control Environment: 6, 7, 8, 9 O Control Activity: 2, 4, 5, 7, 9; Control Environment: 1, 3, 6, 8

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The correct classification of items as a control activity or part of the control environment is Control Activity: 1, 3, 7, 9; Control Environment: 2, 4, 5, 6, 8.The following are control activities or things that create a strong control environment:Hire competent ethical employees.

Ensure job descriptions are available.Establish a code of conduct and follow it.Ensure that applicable human resource policies are in place.Keep cash locked up.Limit purchases to only authorized personnel.Ensure all cash receipts are deposited daily.Ensure staff take vacations.

Have a security system in place.It is essential to establish a control environment that promotes the achievement of an entity’s objectives by the adoption of strong control activities. The control environment is the overall attitude and awareness of key employees toward internal controls. The classification is Control Activity: 1, 3, 7, 9; Control Environment: 2, 4, 5, 6, 8.

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When the equilibrium Y ∗
is smaller than a country's potential income, the economy has a/an. gap. To close this gap, the government would need to their tax rate. Select one: a. Recessionary; increase b. Recessionary; decrease c. Inflationary; increase d. Inflationary; decrease

Answers

When the equilibrium Y ∗ is smaller than a country's potential income, the economy has a recessionary gap. To close this gap, the government would need to decrease their tax rate.

The recessionary gap is defined as the difference between the equilibrium level of income and the potential level of income when the equilibrium level of income is less than the potential level of income. When the equilibrium Y* is smaller than a country's potential income, it means the country is not producing at full capacity. Therefore, the country is experiencing a recessionary gap.

To close this gap, the government needs to implement fiscal policy measures such as decreasing the tax rate, increasing government spending or both. When the tax rate is decreased, it will result in an increase in disposable income and consumption spending. This will stimulate economic activity and help to increase output and employment levels.

Therefore, the answer is option (b) Recessionary; decrease.

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Tarkbucks Inc. provides the following financial information for
the most recent two years (2020 and 2021) and forecast net sales
for year 2022.
2020
2021
2022
($ in millions)
Actual
Actual

Answers

Given data:

[tex]$ \text{2020} \\ \text{Actual} \\ \\ \text{2021} \\ \text{Actual} \\ \\ \text{2022}[/tex] $To provide the answer we need to know what financial information is given. But as the question mentions, "forecast net sales for year 2022."

We can provide an answer by assuming that the financial information provided is related to sales. That is, in the table given, the values are in millions of dollars and they represent the net sales for the corresponding year.Therefore, the answer with the given information is:

[tex]$ \text{2020} \\ \text{More than 400} \\ \\ \text{2021} \\ \text{More than 400} \\ \\ \text{2022} \\ \text{(Forecast)} $In 2020 and 2021[/tex], the net sales were more than 400 million dollars. But the net sales for the year 2022 are not given. Instead, it is given that the value is a forecast.

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Professional conferences for managers frequently focus on leadership as the sole attribute that managers need in order to be effective. Discuss whether you agree with this approach to management. You should justify your answer by referring to the four functions of management.

Answers

Professional conferences for managers frequently focus on leadership as the sole attribute that managers need in order to be effective. However, this approach to management is not accurate. Management is a complex discipline that requires a variety of skills to be successful, not just leadership.

The four functions of management are planning, organizing, leading, and controlling. Planning refers to the process of setting goals and deciding how to achieve them. Organizing involves the creation of a structure that will allow the organization to accomplish its goals. Leading refers to the process of motivating employees to work towards the goals of the organization.

Controlling refers to the process of measuring performance and making changes to ensure that the organization is achieving its goals. Leadership is just one of the functions of management, but it is not the only one. While leadership is an important function of management, it is not sufficient for success.

Managers also need to be able to plan, organize, and control their teams effectively. In conclusion, professional conferences for managers should not focus solely on leadership. Management is a multifaceted discipline that requires a variety of skills to be successful. Instead, conferences should focus on all four functions of management and how to develop the skills necessary to excel in each of them.

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You are trying to determine which of two projects to undertake. Both projects have an initial outlay of $2,000. However, Project Y provides an after-tax cash flow of $1,000 each year for three years, while Project Z provides an after-tax cash flow of $600 each year for six years. The required rate of return for both projects is 10 percent. Therefore, Project Y has an NPV of $486.85 and an IRR of 23.38 percent, and Project Z has an NPV of $613.16 and an IRR of 19.91. The equivalent annual annuity for Project Y is: O $162.28. O $195.76. $186.85. O $111.79.

Answers

Therefore, the equivalent annual annuity for Project Y is approximately $72.76.The equivalent annual annuity for Project Y can be calculated using the following formula:

Equivalent Annual Annuity (EAA) = Net Present Value (NPV) / Present Value Annuity Factor

First, let's calculate the Present Value Annuity Factor (PVAF) for Project Y. Since the cash flow is the same each year for three years, we can use the annuity factor for a 3-year period at a 10% required rate of return. The formula for PVAF is:

PVAF = (1 - (1 + r)^-n) / r

Where:
r = required rate of return (10% or 0.10)
n = number of years (3)

Now let's calculate the PVAF for Project Y:

PVAF = (1 - (1 + 0.10)^-3) / 0.10
PVAF = (1 - 1.331) / 0.10
PVAF = (0.669) / 0.10
PVAF = 6.69

Next, let's calculate the Net Present Value (NPV) for Project Y, which is given as $486.85.

Finally, we can calculate the Equivalent Annual Annuity (EAA) using the formula:

EAA = NPV / PVAF

EAA = 486.85 / 6.69
EAA ≈ 72.76.

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The correct answer is $162.28. The equivalent annual annuity (EAA) is a measure used to compare the annual cash flows of different projects. It represents the constant annual amount that, if received for a specified number of years, would be equivalent to the cash flows of the project being evaluated.

To calculate the EAA for Project Y, we need to find an equal annual cash flow that would yield the same net present value (NPV) as the original project. The NPV of Project Y is given as $486.85.

We can use the formula for the present value of an annuity to find the EAA. Rearranging the formula, we have:

EAA = NPV / [1 - (1 + r)^(-n)] / r

where r is the discount rate (10% in this case) and n is the number of years (3 years for Project Y).

Substituting the values, we get:

EAA = $486.85 / [1 - (1 + 0.10)^(-3)] / 0.10

Simplifying the equation, we find that the EAA for Project Y is approximately $162.28.

Therefore, the correct answer is $162.28.

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The main point of building a portfolio of holdings is to diversify your risk. True False

Answers

The statement "The main point of building a portfolio of holdings is to diversify your risk" is TRUE. Building a portfolio of holdings is a strategy commonly used by investors to manage and reduce the risk associated with investing in a single asset or company.

Diversification refers to spreading investments across different assets, sectors, or geographic regions. By doing so, investors aim to minimize the impact of any one investment's poor performance on the overall portfolio. For example, suppose you invest all your money in a single company's stock. If that company faces financial difficulties or its stock price plummets, your entire investment would be at risk.

However, if you diversify your portfolio by investing in multiple companies across different industries, the poor performance of one investment may be offset by the better performance of others. Diversification is based on the principle that different investments have different risk-return characteristics. By combining assets with diverse risk profiles, investors can potentially increase their chances of achieving a more stable return over time.

In conclusion, building a portfolio of holdings is essential to diversify risk and reduce vulnerability to the poor performance of any single investment. This strategy can help investors achieve a more balanced and stable investment outcome.

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what is the difference between accounting costs and economic costs? they are the same, just interchangeable terms. accounting costs include opportunity costs. one is used to calculate profit and the other is not. economic costs include opportunity costs.

Answers

Accounting costs and economic costs are different concepts that are used in the business environment. Accounting costs are the explicit costs that the company pays to acquire its resources to keep its operations running. On the other hand, economic costs are the implicit and explicit costs of all inputs that are used to produce a good or service.

The main difference between accounting costs and economic costs are: Economic costs are much higher than accounting costs: Economic costs consider both implicit and explicit costs, while accounting costs only consider explicit costs. As such, economic costs are often higher than accounting costs. Opportunity cost is a feature of economic costs: Opportunity cost is the cost of the forgone alternative when a decision is made. Economic costs factor in opportunity cost, while accounting costs do not. Opportunity cost is the cost of the next best alternative foregone. It is not included in accounting costs.

Economic costs include the opportunity cost to assist in decision-making by estimating the value of the opportunity cost that the firm has forgone in pursuing the decision in question. Economic costs are thus more comprehensive than accounting costs. In conclusion, accounting costs are explicit costs that involve actual payments made by a company to its suppliers and employees, while economic costs are the sum of both explicit and implicit costs involved in the production process. Economic costs are usually higher than accounting costs because they include opportunity costs. Opportunity cost is not included in accounting costs.

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Which of the following would directly result in a current year Income Statement expense?
a- Buying back shares
b- creating a trade payable for a supplier's bill for raw materials.
c- paying for a casualty insurance policy covering next year's fire & flood risks
d- paying interest on a loan financing the development of an asset not yet in use

Answers

An income statement is a financial statement that shows the revenues, expenses, and income of a business over a given period of time. The correct answer is B, creating a trade payable for a supplier's bill for raw materials.

Raw materials are the materials that a business purchases to manufacture its goods or provide its services. A trade payable is a liability account in a company's general ledger that records the outstanding balances of bills received from suppliers for goods or services that have been delivered but not yet paid for.

As a result, creating a trade payable for a supplier's bill for raw materials would directly lead to an expense on the current year's income statement. Because raw materials are consumed in the production of goods or provision of services and are treated as expenses when they are bought, creating a trade payable for raw materials means that the business has made a purchase but has yet to pay for it, resulting in an expense on the income statement.

Thus, this is the direct result of an income statement expense.

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