Mr. Aumentado deposits P1500 in a retirement account earning, 3.7 percent compounded annually. If he continues to put P1500 into the account each year, how much will her account balance be after 5 years? Year Balance Amount Deposited 1.... New Balance Interest Total

Answers

Answer 1

After 5 years, Mr. Aumentado's account balance will be approximately P9,874.11.

To calculate the account balance after 5 years, we need to apply the compound interest formula for each year.

Given:

Principal amount (initial deposit): P1500

Annual interest rate: 3.7%

Amount deposited each year: P1500

Year 1:

Principal amount = P1500

Amount deposited = P1500

New balance = Principal amount + Amount deposited = P1500 + P1500 = P3000

Interest = (3.7/100) * Principal amount = (3.7/100) * P1500 = P55.50

Total balance = New balance + Interest = P3000 + P55.50 = P3055.50

Year 2:

Principal amount = Total balance from the previous year = P3055.50

Amount deposited = P1500

New balance = Principal amount + Amount deposited = P3055.50 + P1500 = P4555.50

Interest = (3.7/100) * Principal amount = (3.7/100) * P3055.50 = P113.04

Total balance = New balance + Interest = P4555.50 + P113.04 = P4668.54

Year 3:

Principal amount = Total balance from the previous year = P4668.54

Amount deposited = P1500

New balance = Principal amount + Amount deposited = P4668.54 + P1500 = P6168.54

Interest = (3.7/100) * Principal amount = (3.7/100) * P4668.54 = P172.59

Total balance = New balance + Interest = P6168.54 + P172.59 = P6341.13

Year 4:

Principal amount = Total balance from the previous year = P6341.13

Amount deposited = P1500

New balance = Principal amount + Amount deposited = P6341.13 + P1500 = P7841.13

Interest = (3.7/100) * Principal amount = (3.7/100) * P6341.13 = P234.45

Total balance = New balance + Interest = P7841.13 + P234.45 = P8075.58

Year 5:

Principal amount = Total balance from the previous year = P8075.58

Amount deposited = P1500

New balance = Principal amount + Amount deposited = P8075.58 + P1500 = P9575.58

Interest = (3.7/100) * Principal amount = (3.7/100) * P8075.58 = P298.53

Total balance = New balance + Interest = P9575.58 + P298.53 = P9874.11

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Related Questions

One year ago, you purchased the shares of a no load mutual fund for $55.15 per share. The fund distributed cash dividends of $1.00 and capital gains of $2.20 per share. If the net asset value of the fund is currently $56.10, what was your annual return on the investment?
A. 7.18%
B. 8.98%
C. 10.12%
D. 13.45%
E. 16.81%

Answers

To calculate the annual return on your investment, you need to consider both the dividends and capital gains distributed by the fund, as well as the change in the net asset value (NAV) of the shares.

Given information:

Purchase price per share: $55.15

Cash dividends distributed per share: $1.00

Capital gains distributed per share: $2.20

Current net asset value (NAV) per share: $56.10

First, let's calculate the total distribution per share:

Total distribution per share = Cash dividends + Capital gains

Total distribution per share = $1.00 + $2.20

Total distribution per share = $3.20

Next, let's calculate the change in the net asset value (NAV) per share:

Change in NAV per share = Current NAV per share - Purchase price per share

Change in NAV per share = $56.10 - $55.15

Change in NAV per share = $0.95

Now, we can calculate the annual return on your investment:

Annual return = (Total distribution per share + Change in NAV per share) / Purchase price per share * 100

Annual return = ($3.20 + $0.95) / $55.15 * 100

Annual return = $4.15 / $55.15 * 100

Annual return = 0.075 * 100

Annual return = 7.5%

Therefore, the annual return on your investment is 7.5%. The closest option to this answer is A. 7.18%.

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To calculate the annual return on your investment, you need to consider both the dividends and capital gains distributed by the fund, as well as the change in the net asset value (NAV) of the shares.

Given information:

Purchase price per share: $55.15

Cash dividends distributed per share: $1.00

Capital gains distributed per share: $2.20

Current net asset value (NAV) per share: $56.10

First, let's calculate the total distribution per share:

Total distribution per share = Cash dividends + Capital gains

Total distribution per share = $1.00 + $2.20

Total distribution per share = $3.20

Next, let's calculate the change in the net asset value (NAV) per share:

Change in NAV per share = Current NAV per share - Purchase price per share

Change in NAV per share = $56.10 - $55.15

Change in NAV per share = $0.95

Now, we can calculate the annual return on your investment:

Annual return = (Total distribution per share + Change in NAV per share) / Purchase price per share * 100

Annual return = ($3.20 + $0.95) / $55.15 * 100

Annual return = $4.15 / $55.15 * 100

Annual return = 0.075 * 100

Annual return = 7.5%

Therefore, the annual return on your investment is 7.5%. The closest option to this answer is A. 7.18%.

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Ashley is a dealer in trading cards who purchased a building from CJ. Ashley obtained a loan from the Cornerstone Bank to purchase the building, and used the building as collateral. Ashley planned to store an inventory of trading cards on the upper floor of the building. Ashley also planned to use the lower floor of the building to run a restaurant. Ashley's application for property insurance on the building primarily concerned its use as inventory space, and Ashley did not tell the insurance agent about the restaurant, since doing so would substantially raise premiums. Seven months after the policy was issued, a fire occurred in the restaurant that caused substantial damage to the building, and to Ashley's inventory. 1) Explain (~1-2 sentences) why each of the following entities have or do not have an insurable interest in the building: • Ashley- • CJ- • Cornerstone Bank- 2) Could Ashley's insurer deny coverage based on a material concealment? Explain (~1 paragraph). 3) Suppose that an insurance agent had examined the property with Ashley before the contract was signed. The agent was the one who gave Ashley the advice about not mentioning the plans to open a restaurant, saying that this was something where Ashley could feign ignorance. Does this change your answer to (2)? Ashley is a dealer in trading cards who purchased a building from CJ. Ashley obtained a loan from the Cornerstone Bank to purchase the building, and used the building as collateral. Ashley planned to store an inventory of trading cards on the upper floor of the building. Ashley also planned to use the lower floor of the building to run a restaurant. Ashley's application for property insurance on the building primarily concerned its use as inventory space, and Ashley did not tell the insurance agent about the restaurant, since doing so would substantially raise premiums. Seven months after the policy was issued, a fire occurred in the restaurant that caused substantial damage to the building, and to Ashley's inventory. 1) Explain (~1-2 sentences) why each of the following entities have or do not have an insurable interest in the building: • Ashley- • CJ- Cornerstone Bank- 2) Could Ashley's insurer deny coverage based on a material concealment? Explain (~1 paragraph). 3) Suppose that an insurance agent had examined the property with Ashley before the contract was signed. The agent was the one who gave Ashley the advice about not mentioning the plans to open a restaurant, saying that this was something where Ashley could feign ignorance. Does this change your answer to (2)?

Answers

1. Ashley has an insurable interest in the building because she is the current owner and has invested in it.

CJ, the previous owner, does not have an insurable interest since they no longer own the building. Cornerstone Bank has an insurable interest because they provided a loan for the purchase of the building and used it as collateral.

2. Ashley's insurer could potentially deny coverage based on material concealment.

By not disclosing the restaurant use of the building, Ashley provided false information that could affect the risk assessment and premium calculation. If the insurer can prove that the concealed information was material and relevant to the risk, they may have grounds to deny coverage.

3. If the insurance agent had examined the property with Ashley and advised her to conceal the restaurant plans, it may affect the insurer's ability to deny coverage based on material concealment.

The agent's advice could be seen as inducing Ashley to withhold information, shifting some responsibility onto the insurer. However, the final determination would depend on the specific circumstances, the insurance policy's terms and conditions, and the applicable laws and regulations.

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Moving to amor question will be Sav Question 7 0.7 Production processes are being dispersed to take advantage of national differences in labor costs True False

Answers

The correct statement concerning the production processes being dispersed to take advantage of national differences in labor costs is True.

Production is an action that is undertaken by a company or organization that involves the creation of goods and services from the initial stages to the final stages of production. Manufacturing, production, and similar terms all refer to the concept of production.

This process involves taking resources like labor, machines, raw materials, energy, and time and utilizing them in a productive manner. Each company has its unique production processes and systems for managing their activities, which have an impact on their productivity.

The production processes being dispersed to take advantage of national differences in labor costs is a true statement. This is to say that when a company is faced with high labor costs in one country, it may decide to disperse its production processes to another country with lower labor costs.

This helps the company reduce the costs of production and hence maximize their profits. This decision can also be influenced by other factors like the availability of skilled labor, raw materials, and favorable policies.

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operation management

assume that the annual demand for tacos is 15,000 units. The daily demand is 50 units with a standard deviation of 5 units. The cost to place order is $3,000, and the time from ordering to receipt is two days. The annual inventory holding cost is $0.50 per unit.

Find the reorder point necessary to provide a 98 percent service probability (i.e., probability of a stock out).

if manager wants to reduce the safety stock of the nacho chips by 50%, what will the new service probability be?

Answers

To provide a 98 percent service probability for tacos, the reorder point needs to be calculated. The formula for reorder point is reorder point = demand during lead time + safety stock.

By plugging in the values for daily demand, standard deviation, and lead time, the reorder point can be determined. To reduce the safety stock of nacho chips by 50 percent, the new service probability needs to be calculated by adjusting the safety stock value and determining the corresponding service probability.

The reorder point is calculated by adding the demand during lead time (which is the daily demand multiplied by the lead time) and the safety stock. In this case, the daily demand for tacos is 50 units with a standard deviation of 5 units. The lead time is 2 days. To achieve a 98 percent service probability, the corresponding Z-value from the standard normal distribution is used, which is 2.05. The demand during lead time is 50 units/day * 2 days = 100 units. The safety stock can be calculated by multiplying the Z-value by the standard deviation, which is 5 units * 2.05 = 10.25 units. Therefore, the reorder point for tacos is 100 units + 10.25 units = 110.25 units.

To reduce the safety stock of nacho chips by 50 percent, the new safety stock value is calculated by multiplying the original safety stock value by 0.5. The new safety stock for nacho chips would be 10.25 units * 0.5 = 5.125 units. To determine the new service probability, the corresponding Z-value for the reduced safety stock is calculated. By dividing the new safety stock value by the standard deviation (5 units), the Z-value is 5.125 units / 5 units = 1.025. The new service probability can be determined by looking up the Z-value in the standard normal distribution table, which is approximately 84 percent.

In summary, the reorder point necessary to provide a 98 percent service probability for tacos is 110.25 units. To reduce the safety stock of nacho chips by 50 percent, the new service probability would be approximately 84 percent.

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A private good is excludable and rival. nonexcludable and nonrival. subject to the free-riding problem. nonrival and excludable. excludable and nonrival.

Answers

A private good is- a.  excludable and rival, which means option a. is correct.

What is a private good?

A private good refers to a commodity that is produced by an entity or individual, and the proprietor of that entity or person has the right to use or exclude others from using the good. Examples of private goods include food, automobiles, clothing, and jewelry.

Characteristics of private goods, Private goods are both excludable and rivalrous. This implies that the good is restricted to specific persons who have purchased it, and others cannot benefit from the good unless they have paid the required price.

Moreover, the consumption of the good reduces the amount of that product available for consumption by other individuals.

Hence, option a. is correct.

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pls
anwser MAD and MAPE under ii.
A convenience store recently started to carry a new brand of soft drink. Management is interested in estimating future sales volume to determine whether it should continue to carry the new brand or re

Answers

The forecasts MAD is 97.5 and forecasts MAPE is 21.8%.

MAD and MAPE are two of the most commonly used metrics to assess the accuracy of a time-series forecasting model.

MAD (Mean Absolute Deviation) is a measure of the average absolute difference between the actual and predicted values of a time series.

On the other hand, MAPE (Mean Absolute Percentage Error) is a measure of the average absolute difference between the actual and predicted values of a time series as a percentage of the actual value. These metrics are calculated using the following formulas:

MAD = (Σ|A - F|) / n
MAPE = (Σ|A - F| / A) / n * 100

Where:
A is the actual value of the time series
F is the forecast value of the time series
n is the number of observations in the time series

In the given scenario, management wants to estimate the future sales volume of a new brand of soft drink to decide whether to continue carrying it or not. They can use time-series forecasting methods such as exponential smoothing or ARIMA to generate sales volume forecasts.

Once the forecasts are generated, they can calculate MAD and MAPE to evaluate the accuracy of the forecasts. Lower values of MAD and MAPE indicate better accuracy.

For instance, suppose that the actual sales volume of the new brand of soft drink for the past 12 months are as follows:

Jan - 200
Feb - 225
Mar - 240
Apr - 250
May - 280
Jun - 300
Jul - 320
Aug - 350
Sep - 375
Oct - 400
Nov - 430
Dec - 450

Using an exponential smoothing method, management generates the following sales volume forecasts for the next 12 months:

Jan - 470
Feb - 465
Mar - 455
Apr - 445
May - 435
Jun - 420
Jul - 405
Aug - 385
Sep - 365
Oct - 345
Nov - 325
Dec - 305

They can then calculate the MAD and MAPE of the forecasts as follows:

MAD = (|200 - 470| + |225 - 465| + ... + |450 - 305|) / 12
   = 97.5

MAPE = ((|200 - 470| / 200) + (|225 - 465| / 225) + ... + (|450 - 305| / 450)) / 12 * 100
    = 21.8%

Therefore, the MAD of the forecasts is 97.5, and the MAPE of the forecasts is 21.8%. This means that the forecasts have an average absolute error of 97.5 units and an average absolute percentage error of 21.8%.

Whether this level of accuracy is acceptable or not depends on the business context and the cost of errors.

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Pls

anwser MAD and MAPE under ii.

A convenience store recently started to carry a new brand of soft drink. Management is interested in estimating future sales volume to determine whether it should continue to carry the new brand or reevaluate its product offerings. The store has collected data on the weekly sales volume (in cases) of the new soft drink for the past 12 weeks, as well as the corresponding forecasts generated by a forecasting model. The data is provided in Table 1 below:

Table 1: Weekly Sales Volume and Forecasts

Week Actual Sales Forecast

1 120 110

2 135 130

3 142 150

4 155 140

5 160 165

6 170 175

7 180 190

8 195 200

9 210 215

10 220 225

11 235 240

12 245 250

ii. Calculate the Mean Absolute Deviation (MAD) and Mean Absolute Percentage Error (MAPE) to evaluate the accuracy of the forecasting model.

To calculate MAD, follow these steps:

Find the absolute difference between the actual sales and the forecast for each week.

Sum up all the absolute differences.

Divide the sum by the number of observations.

To calculate MAPE, follow these steps:

Find the absolute percentage difference between the actual sales and the forecast for each week.

Sum up all the absolute percentage differences.

Divide the sum by the number of observations.

Perform the calculations for MAD and MAPE using the provided data in Table 1. Round your answers to two decimal places.

Submit your answers for MAD and MAPE, along with any supporting calculations or explanations.

Please ensure your submission is complete and submitted by the specified deadline.

(Related to The Business of Life: Saving for Your First House) (Future value) You are hoping to buy a house in the future and recently received an inheritance of $20,000. You intend to use your inheritance as a down payment on your house.


a. If you put your inheritance in an account that earns 9 percent interest compounded annually, how many years will it be before your inheritance grows to $32,000 ?
b. If you let your money grow for 10.25 years at 9 percent, how much will you have?
c. How long will it take your money to grow to $32,000 if you move it into an account that pays 3 percent compounded annually? How long will it take your money to grow to $32,000 if you move it into an account that pays 13 percent?
d. What does all this tell you about the relationship among interest rates, time, and future sums? a. If you put your inheritance in an account that earns 9 percent interest compounded annually, how many years will it be before your inheritance grows to $32,000? years (Round to one decimal place.)

Answers

a. It will take approximately 6.95 years for your inheritance to grow to $32,000.

b. After 10.25 years, you would have approximately $46,789.25.

c. It will take approximately 7.43 years for your money to grow to $32,000 at a 13 percent interest rate.

d. As the interest rate increases or the time horizon extends, the growth of the initial amount accelerates, resulting in a higher future value.

a. To determine how many years it will take for your inheritance to grow to $32,000 in an account earning 9 percent interest compounded annually, we can use the future value formula:

Future value = Present value * (1 + Interest rate)^Number of periods

$32,000 = $20,000 * (1 + 0.09)^Number of periods

Solving for the number of periods:

(1 + 0.09)^Number of periods = $32,000 / $20,000

(1.09)^Number of periods = 1.6

Taking the logarithm of both sides:

Number of periods * log(1.09) = log(1.6)

Number of periods = log(1.6) / log(1.09)

Number of periods ≈ 6.95

Therefore, it will take approximately 6.95 years for your inheritance to grow to $32,000.

b. If you let your money grow for 10.25 years at 9 percent, the future value can be calculated using the same formula:

Future value = $20,000 * (1 + 0.09)^10.25

Future value ≈ $46,789.25

Therefore, after 10.25 years, you would have approximately $46,789.25.

c. To calculate how long it will take for your money to grow to $32,000 in an account that pays 3 percent compounded annually, we can use the same future value formula:

$32,000 = $20,000 * (1 + 0.03)^Number of periods

Solving for the number of periods:

(1 + 0.03)^Number of periods = $32,000 / $20,000

(1.03)^Number of periods = 1.6

Taking the logarithm of both sides:

Number of periods * log(1.03) = log(1.6)

Number of periods = log(1.6) / log(1.03)

Number of periods ≈ 22.61

Therefore, it will take approximately 22.61 years for your money to grow to $32,000 at a 3 percent interest rate.

If you move your money into an account that pays 13 percent compounded annually, we can follow the same calculation:

$32,000 = $20,000 * (1 + 0.13)^Number of periods

Solving for the number of periods:

(1 + 0.13)^Number of periods = $32,000 / $20,000

(1.13)^Number of periods = 1.6

Taking the logarithm of both sides:

Number of periods * log(1.13) = log(1.6)

Number of periods = log(1.6) / log(1.13)

Number of periods ≈ 7.43

Therefore, it will take approximately 7.43 years for your money to grow to $32,000 at a 13 percent interest rate.

d. The calculations above demonstrate the relationship among interest rates, time, and future sums. Higher interest rates and longer periods of time lead to larger future sums. As the interest rate increases or the time horizon extends, the growth of the initial amount accelerates, resulting in a higher future value. This highlights the impact of compounding and the importance of considering both interest rates and time when evaluating the growth potential of an investment.

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If long-run economic losses are being experienced in a monopolistically competitive market, _____. a. more firms will enter the market b. the market supply curve will shift to the right c. equilibrium price will rise as firms exit d. None of the above

Answers

If long-run economic losses are being experienced in a monopolistically competitive market, (a) more firms will enter the market.This means that new firms will be attracted to the market in search of potential profits.

In a monopolistically competitive market, firms have some degree of market power and can differentiate their products from competitors. However, in the long run, if firms are experiencing economic losses, it indicates that their costs exceed their revenues. In such a scenario, firms will seek to improve their profitability.

To address the economic losses, new firms will enter the market. This is because the existing firms are unable to generate sufficient profits, while potential entrants may see an opportunity to provide a product or service that differentiates them from existing competitors and potentially earn profits. The entry of new firms increases competition in the market and may lead to a downward pressure on prices.

Options (b) and (c) are incorrect because in the case of long-run economic losses, the market supply curve is unlikely to shift to the right and the equilibrium price is unlikely to rise as firms exit the market. Economic losses typically indicate an unsustainable situation for firms, and the market adjusts by attracting new entrants rather than experiencing a supply shift or a rise in prices. Therefore, the correct answer is (a) more firms will enter the market.

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Chipotle Mexican Grill: Food with Integrity

Discussion Questions:

In addition to the case, please refer to Chapter 15: Managing Mass Communications (pg. 235-247). There is some discussion, particularly on Events and Experiences and Public Relations.

Further note an excerpt from MKTG 10 (Lamb, Hair and McDaniel, 2021):

Managing Unfavorable Publicity

"Although marketers try to avoid unpleasant situations, crises do happen. In our free-press environment, publicity is not easily controlled, especially in a crisis. Crisis management is the coordinated effort to handle the effects of unfavorable publicity, ensuring fast and accurate communication in time of emergency."

Chipotle’s model of local sourcing and delivering "food integrity" challenged the traditional quick-service model of centralized preparation standards at McDonald’s and others. How can Chipotle now balance the need to control critical operations through centralized preparation with the desire to differentiate itself in the competitive fast-casual restaurant market? Can Chipotle continue to compete effectively using its past positioning as "fresh and local"?
Like many growing firms, some argue that Chipotle focused on growth over-attention to store-level operations, which increased operational risk, as many processes were not standardized. Which standardized methods, both in operations and sourcing, are essential to the Chipotle model and need to be addressed to reduce risk?
Chipotle’s operations led to a reputational crisis that caused customers to become wary of eating its food. Other companies in similar situations have made great efforts to communicate how the product was different and safer. In Chipotle’s case, its burrito looked no different after all of its food safety changes. How could the product and process be altered to communicate the new focus on safety? Could this change be demonstrated?
Chipotle gave away millions of free meals to attract customers. Was it enough to rebuild trust? What other things would you recommend the company does to rebuild trust with customers?
Chipotle has inspired many copycats. Given how sensitive restaurants are to notoriously fickle consumer tastes, how likely is it that the challenges facing Chipotle would drive consumers away from its menu to copycats offering other food types?
In the Internet age, details about what Chipotle did and the narrative it created to explain its actions will be available forever. What did the company do well, and what could it have done better?

Answers

Chipotle faces the challenge of balancing centralized preparation to ensure critical operations while maintaining its differentiation as a fast-casual restaurant focused on "fresh and local" ingredients. Standardizing operations and sourcing methods is crucial to reduce operational risk.

1. To communicate the new focus on safety, Chipotle could consider altering its product and process to visibly demonstrate the changes made. While giving away free meals helped rebuild trust to some extent, additional measures are needed. The risk of consumers turning to copycats offering different food types exists, given the fickle nature of consumer tastes. Chipotle's response to the crisis had both strengths and weaknesses, with room for improvement in managing and communicating its actions effectively.

2. Chipotle has successfully differentiated itself in the fast-casual restaurant market by focusing on local sourcing and "food integrity." However, as the company grows and faces the need for centralized preparation to control critical operations, it must find a balance to maintain its unique positioning. Chipotle can address this challenge by emphasizing its commitment to local sourcing and freshness while implementing standardized methods in operations and sourcing. Standardization will help reduce operational risks associated with non-standardized processes, ensuring consistency across all locations.

3. In response to the reputational crisis that impacted customer trust, Chipotle made significant food safety changes. However, these changes were not easily visible to customers, as the appearance of the product remained the same. To communicate the new focus on safety, Chipotle could consider altering its product and process in a way that visually demonstrates the changes made. This could involve transparent packaging, clear labeling, or even interactive displays showcasing the improved food safety measures. By making these changes evident, Chipotle can effectively convey its commitment to providing safe and high-quality food.

4. While giving away millions of free meals helped Chipotle regain some trust, additional measures are necessary to fully rebuild customer confidence. The company should focus on transparency, frequent communication about its safety protocols, and ongoing efforts to improve operational standards. Implementing customer feedback mechanisms, conducting regular audits, and providing updates on food safety practices can all contribute to rebuilding trust. Additionally, offering incentives such as loyalty programs or exclusive promotions for returning customers can help strengthen the bond with its target market.

5. In the competitive restaurant industry, the risk of consumers turning to copycats offering different food types is always present. However, Chipotle's brand image and loyal customer base provide some protection against such shifts. While copycats may attract some customers, Chipotle's emphasis on fresh, high-quality ingredients and its unique dining experience should help maintain its competitive edge. To further mitigate this risk, Chipotle should continue to innovate and adapt its menu to meet changing consumer preferences, ensuring it stays relevant and appealing to its target market.

6. During the crisis, Chipotle demonstrated strengths in taking responsibility for its actions and implementing food safety changes. However, the company could have done better in managing and communicating its response. Chipotle's initial reaction seemed slow and inadequate, which led to further damage to its reputation. A more proactive approach, with transparent and timely communication, could have helped mitigate the negative impact. Additionally, leveraging social media and other digital platforms to engage with customers and address their concerns could have been more effective. Overall, Chipotle needs to continuously evaluate and improve its crisis management strategies to ensure better outcomes in the future.

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Each country develops a system that helps determine how resources are allocated: who can start a business, how those business owners should hire and pay workers, and what assistance the government will provide for those who cannot work. These are just a few examples of the decisions that contribute to a country’s
A. macroeconomics
B. economy
C. debt ceiling
2. Anders and his family make economic decisions on a daily basis: things like where to shop, what prices they are willing to pay, and which brands they prefer. The study of these choices is known as ________.
A. capitalism
B. microeconomics
C. monetary policy
3. One way the government can help boost the economy is through large-scale infrastructure projects that create jobs. One famous historical example of this was the construction of the Hoover Dam during the Great Depression under Franklin D. Roosevelt’s administration. This is an example of ______.
A. fiscal policy
B. capitalism
C. socialism
4. Although the U.S. government does control certain enterprises, such as Medicare and Social Security, private enterprises largely rely on the principles of _______.
A. pure competition
B. supply and demand
C. budget surplus
5. Sweden has long been associated with successful socialist policies, but recently the Swedish government has had to cut back on some of the social services it provides its citizens, especially those that benefit older adults. One issue is that the younger working population isn’t large enough to support the much larger elderly population. Another is the flight of investors and entrepreneurs, who tend to seek out countries with more favorable tax rates. These latter countries are an example of ______.
A. the fundamental rights of capitalism
B. pure competition
C. a free market economy
6. As many workers were forced to stay home during the COVID-19 pandemic, the demand for home-improvement supplies increased. Homeowners scrambled to secure contractors who would help with remodels and additions, many of which called for the use of lumber. As a result, the price of lumber skyrocketed. The United States could see an increase in the _______ as a result of shortages and supply-chain disruptions throughout the world.
A. unemployment rate
B. gross domestic product (GDP)
C. producer price index (PPI)

Answers

1. B. economyEach country develops an economic system that helps determine how resources are allocated, such as who can start a business, how those business owners should hire and pay workers, and what assistance the government will provide for those who cannot work. These are just a few examples of the decisions that contribute to a country’s economy.

2. B. microeconomicsAnders and his family make economic decisions on a daily basis: things like where to shop, what prices they are willing to pay, and which brands they prefer. The study of these choices is known as microeconomics.

3. A. fiscal policyOne way the government can help boost the economy is through large-scale infrastructure projects that create jobs. One famous historical example of this was the construction of the Hoover Dam during the Great Depression under Franklin D. Roosevelt’s administration. This is an example of fiscal policy.

4. B. supply and demand Although the U.S. government does control certain enterprises, such as Medicare and Social Security, private enterprises largely rely on the principles of supply and demand.

5. C. a free market economy Sweden has long been associated with successful socialist policies, but recently the Swedish government has had to cut back on some of the social services it provides its citizens, especially those that benefit older adults.

One issue is that the younger working population isn’t large enough to support the much larger elderly population. Another is the flight of investors and entrepreneurs, who tend to seek out countries with more favorable tax rates. These latter countries are an example of a free market economy.

6. C. producer price index (PPI)As many workers were forced to stay home during the COVID-19 pandemic, the demand for home-improvement supplies increased.

Homeowners scrambled to secure contractors who would help with remodels and additions, many of which called for the use of lumber. As a result, the price of lumber skyrocketed. The United States could see an increase in the producer price index (PPI) as a result of shortages and supply-chain disruptions throughout the world.

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Final answer:

The questions revolve around economic concepts such as economy, microeconomics, fiscal policy, supply and demand, free market economy, and the producer price index (PPI).

Explanation:

1. The correct answer is B. economy. The decisions that contribute to a country's economy include how resources are allocated, who can start a business, how businesses hire and pay workers, and what assistance the government provides for those who cannot work.

2. The correct answer is B. microeconomics. The study of the daily economic decisions made by individuals and households, such as where to shop, what prices to pay, and brand preferences, is known as microeconomics.

3. The correct answer is A. fiscal policy. The construction of the Hoover Dam during the Great Depression is an example of fiscal policy, where the government invests in large-scale infrastructure projects to boost the economy and create jobs.

4. The correct answer is B. supply and demand. Private enterprises in the U.S. largely rely on the principles of supply and demand, where prices are determined by the interaction of market forces.

5. The correct answer is C. a free market economy. The flight of investors and entrepreneurs from Sweden due to less favorable tax rates indicates a free market economy, where individuals and businesses have the freedom to make economic decisions and compete.

6. The correct answer is C. producer price index (PPI). The increase in the price of lumber due to shortages and supply-chain disruptions would be reflected in the producer price index, which measures the average change in prices received by domestic producers.

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Which definition of 'scarcity' is most accurate? Select an answer and submit. For keyboard navigation, use the up/down arrow keys to select an answer. a It describes the lack of (shortage of) a good or service, where demand is greater than supply. b It describes the finite resources that we have and the limitations on production. C It describes the fact that our wants are greater than our abilities to satisfy them, so we must make choices about how to allocate resources.

Answers

The most accurate definition of scarcity is the one that describes the fact that our wants are greater than our abilities to satisfy them, so we must make choices about how to allocate resources.

This definition states that scarcity exists because of unlimited wants and needs for goods and services, coupled with limited resources and technology to produce them.Most societies and individuals have to face the problem of scarcity in some way. The limitation of resources and the increase in demand for goods and services, people need to make a choice on what to produce, how to produce and for whom to produce.

The limited resources and the increase in demand have forced people and society to make choices. People have to make choices on how to allocate the resources and produce the goods and services that satisfy their most pressing needs.

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a) What will be the share price after the firm changes its capital structure?
b) Suppose you are holding 100 shares bought at $80 per share just before the firm changes its capital structure. How much capital gain tax will you pay by selling your 100 shares just after the firm's change its capital structure. Assume that the capital gain will be taxed at half of the 40% corporate tax rate?<
c) What will be the firm's WACC after the firm changes its capital structure?

Answers

To answer your questions, I would need more specific information regarding the changes in the firm's capital structure. The share price, capital gain tax, and WACC would depend on various factors such as the new capitalization mix, any changes in debt levels, equity issuance, and the impact on the firm's financials.

If you provide me with the necessary details regarding the changes in the firm's capital structure, I will be able to assist you in answering your questions more accurately.

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New Zealand, the government agency charged with ensuring market competitiveness is the
A Fair Trade Commission
B Ministry of Foreign Affairs and Trade
C Ministry of Business, Innovation and Employment
D Commerce Commission Keybom

Answers

The government agency charged with ensuring market competitiveness in New Zealand is the Commerce Commission.

Option (D) Commerce Commission is the correct answer.

The Commerce Commission is an independent regulatory authority in New Zealand that enforces competition and consumer laws. It promotes competition in markets, investigates anti-competitive behavior, and regulates industries to ensure fair and efficient outcomes for businesses and consumers.

Option (A) Fair Trade Commission is not the correct answer. While fair trade practices are important, the Fair-Trade Commission is not the specific agency responsible for market competitiveness in New Zealand.

Option (B) Ministry of Foreign Affairs and Trade is also not the correct answer. This ministry focuses on international trade and foreign affairs, rather than domestic market competitiveness.

Option (C) Ministry of Business, Innovation and Employment is involved in various aspects of business, innovation, and employment in New Zealand, but it is not specifically responsible for market competitiveness.

Therefore, the correct answer is (D) Commerce Commission.

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Selected financial information is available at July 31 for Crane Co.
2021 2020
Cash and accounts receivable $18,040 $21,945
Current assets 29,700 34.650
Current liabilities 22.000 23,100

(a) Calculate (1) working capital, (2) the current ratio, and (3) the acid-test ratio for 2020 and 2021. (Round current ratio and acid-test ratio answers to 2 decimal places, eg. 1.75:1)

Answers

Working capital is calculated by subtracting current liabilities from current assets. It represents the funds available to meet short-term obligations.

A positive working capital indicates a healthy financial position.

(1) The working capital for 2020 is $11,550 ($34,650 - $23,100) and for 2021 is $7,700 ($29,700 - $22,000).

(2) The current ratio for 2020 is 1.50:1 ($34,650 / $23,100) and for 2021 is 1.35:1 ($29,700 / $22,000).

(3) The acid-test ratio for 2020 is 0.95:1 (($21,945 - $23,100) / $23,100) and for 2021 is 0.82:1 (($18,040 - $22,000) / $22,000).

The current ratio measures a company's ability to cover its short-term liabilities with its current assets. It is calculated by dividing current assets by current liabilities. A higher current ratio indicates a stronger ability to meet short-term obligations.

The acid-test ratio, also known as the quick ratio, is a stricter measure of liquidity. It excludes inventory from current assets since it may not be easily converted into cash. The acid-test ratio is calculated by subtracting inventory from current assets and dividing it by current liabilities. A higher acid-test ratio suggests a better ability to pay short-term debts without relying on inventory sales.

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The interest rate on a 20-year Treasury bond is 7.25%. A comparable maturity, Aaa-rated corporate bond is yielding 10%. Another comparable maturity, but lower-quality corporate bond has a yield of 16%, which includes a liquidity premium of 1.5%. Three bonds have the same maturity risk premium. The Treasury bond and the Aaa-rated corporate bond have a zero liquidity premium. The default risk premium on the Aaa-rated bond is Blank 1. The default risk premium on the lower-quality corporate bond is Blank 2.

Answers

the default risk premium on the Aaa-rated corporate bond is lower than the default risk premium on the lower-quality corporate bond.

The default risk premium is the additional return required by investors to compensate for the risk of default by the issuer.

In this case, the Aaa-rated corporate bond has a lower default risk premium than the lower-quality corporate bond because it is considered to have a lower risk of default.

Aaa-rated bonds are issued by companies with a strong credit rating and are considered to be less risky than lower-rated bonds.

Therefore, investors are willing to accept a lower return on Aaa-rated bonds because they view them as a safer investment. On the other hand, the lower-quality corporate bond has a higher default risk premium because it is considered to have a higher risk of default.

The liquidity premium is also a factor in the yield of the lower-quality corporate bond, which includes compensation for the lack of liquidity in the market for these types of bonds.

Ultimately, the yield on a bond is determined by a variety of factors including the default risk premium, liquidity premium, and maturity risk premium, all of which vary depending on the credit rating of the issuer and the quality of the bond.

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the photograph chosen for the u.s. postage stamp that memorializes the events of september 11, 2001, shows people trying to escape from the world trade center. (True or False)

Answers

The photograph chosen for the US postage stamp that memorializes the events of September 11, 2001, shows people trying to escape from the World Trade Center. This statement is True.What happened on 11 September 2001?On September 11, 2001, a group of terrorists hijacked four commercial planes and used them to conduct attacks against the United States. Two of the planes crashed into the twin towers of the World Trade Center in New York City, one into the Pentagon in Arlington, Virginia, and the fourth into a field near Shanksville, Pennsylvania, after passengers fought back against the hijackers.The attacks resulted in the deaths of nearly 3,000 people and were the deadliest terrorist attacks in history. In response, the United States launched a global War on Terror to combat terrorism and prevent future attacks.

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This week we explored Jane McGonigal’s idea about gaming making the world a better place. It is easy to agree with this game designer that Reality is Broken – the title of her bestselling book – but do you agree with the premise of her subtitle that games can make us better and they can change the world? Why or why not?

Answers

As an AI language model, I don't hold personal opinions or beliefs. provide an analysis of the premise presented by Jane McGonigal regarding games making us better and changing the world.

McGonigal argues that games have the potential to make us better and improve the world by tapping into the motivational and engagement aspects that they offer. Games often provide a sense of purpose, challenge, and social interaction, which can lead to personal growth, development of skills, and even behavioral changes. Additionally, she suggests that game mechanics, such as feedback loops and reward systems, can be applied to real-world problems to engage and motivate individuals in solving them collectively.

Supporters of McGonigal's premise argue that games can foster teamwork, problem-solving, creativity, and resilience. They can provide a safe environment for experimentation and learning from failure. Furthermore, gamification techniques have been successfully implemented in various domains, including education, healthcare, and social impact initiatives, to motivate and drive positive behaviors.

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Calculate the B/C ratio for the following cash flow estimates at a discount rate of 5% per year. Is the project justified? Item PW of Benefits, $ AW of Disbenefits, $/year First Cost, $ M&O Costs, $/Year Life, Years have Estimate 3,900,000 45,000 1,200,000 360,000 and 20 respectively.

Answers

The Benefit-to-Cost (B/C) ratio for the project is approximately 0.688. The project's justification would depend on the predetermined threshold or criteria for acceptable B/C ratios.

To calculate the Benefit-to-Cost (B/C) ratio, we need to determine the present worth of benefits (PWOB), present worth of disbenefits (PWOD), and the first cost (FC) and maintenance and operation costs (M&O) over the project's life.

Given:

PWOB = $3,900,000

AWOD = $45,000/year

FC = $1,200,000

M&O = $360,000/year

Life = 20 years

Discount rate = 5% per year

First, calculate the present worth of disbenefits (PWOD) using the annual worth formula:

PWOD = AWOD × (1 - (1 + r)^(-n)) / r

where r is the discount rate and n is the number of years.

PWOD = $45,000 × (1 - (1 + 0.05)^(-20)) / 0.05

    = $45,000 × (1 - 0.376889) / 0.05

    = $45,000 × 0.623111 / 0.05

    = $558,900

Next, calculate the present worth of costs (PWOC) which includes the first cost (FC) and the present worth of maintenance and operation costs (PWOM&O) over the project's life.

PWOC = FC + PWOM&O

PWOM&O = M&O × (1 - (1 + r)^(-n)) / r

PWOM&O = $360,000 × (1 - (1 + 0.05)^(-20)) / 0.05

      = $360,000 × (1 - 0.376889) / 0.05

      = $360,000 × 0.623111 / 0.05

      = $4,459,920

PWOC = $1,200,000 + $4,459,920

    = $5,659,920

Finally, calculate the B/C ratio by dividing the present worth of benefits by the present worth of costs.

B/C ratio = PWOB / PWOC

         = $3,900,000 / $5,659,920

         ≈ 0.688

The B/C ratio is approximately 0.688. Whether the project is justified or not depends on the specific criteria or threshold set by the organization or decision-makers.

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Question 3
An accounting
information system (AIS) is an integral part of the total
management information system (MIS) of an organization. The AIS is
usually manned by accounting and finance professio

Answers

An accounting information system (AIS) is an important component of the management information system (MIS) of an organization. The AIS is often handled by accounting and finance professionals.

It is a computerized system that keeps track of an organization's financial transactions, including purchases, sales, inventory, payroll, and other financial data. It is used to track, record, and process financial transactions, and to generate financial reports.

The primary function of an accounting information system (AIS) is to capture and record financial data and generate financial reports that can be used by management to make informed decisions. An AIS also facilitates the integration of data from different functional areas, such as sales, inventory, and payroll, to provide a comprehensive picture of the organization's financial performance.Overall, an AIS plays a critical role in the management of an organization's financial resources and helps to ensure that financial data is accurate, reliable, and up-to-date.

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If the Central Bank conducts an open market sale, the
A) interest rate will increase. B) interest rate will not change.
C) money supply will increase.
D) interest rate will decrease.

Answers

If the Central Bank conducts an open market sale, the interest rate will increase.

Open market operations (OMO) are used by the Central Bank to manipulate the money supply and interest rates in the economy. It involves the buying and selling of government securities in the open market.An open market sale occurs when the Central Bank offers to sell government securities to banks and the public.

Therefore, the money supply in the economy will be decreased by the Central Bank. The money supply will be reduced, which will result in a rise in interest rates. Therefore, if the Central Bank makes an open market sale, the interest rate will rise.

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A gain on acquisition of the subsidiary ________.

a. None of these statements is correct.

b. is recorded for the parent always and can be recorded for the non-controlling interest in certain cases

c. can be recorded only when the parent acquires 100% of the subsidiary (i.e., when there is no non-controlling interest)

d. is recorded for both the parent and non-controlling interest

Answers

A gain on acquisition of the subsidiary is recorded for the parent always and can be recorded for the non-controlling interest in certain cases.

When a parent company acquires a subsidiary, any gain on the acquisition is recorded in the parent's financial statements. This gain represents the excess of the fair value of the net identifiable assets acquired over the purchase price. However, in certain cases, if the non-controlling interest (minority interest) holds a significant stake in the subsidiary, a portion of the gain can be attributed to them. This occurs when the fair value of the non-controlling interest's share of the subsidiary's net identifiable assets exceeds their carrying amount. In such cases, the gain is also recorded in the non-controlling interest's financial statements. Therefore, the gain on acquisition can be recorded for both the parent and non-controlling interest in certain situations.

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Q.5.1. With application to the context of Coca Cola, discuss any 4 factors that can obstruct the planning of international purchasing. Note you are required to explain relevant theory before you apply it to the context of Coca-Cola. Outline any two key success factors for international and global sourcing you believe would be most beneficial to Coca-Cola. Note you are required to explain relevant theory before you apply it to the context of Coca-Cola. Q.5.2 (20) (10)

Answers

Trade barriers, cultural differences, supply chain disruptions, and quality compliance obstruct international purchasing for Coca-Cola. Key success factors include strong supplier relationships and supply chain visibility/control.

Trade Barriers and Regulations: International purchasing can be obstructed by trade barriers such as tariffs, quotas, and import/export regulations. These barriers can increase costs, restrict market access, and create uncertainties in procurement planning. Coca-Cola needs to navigate through various trade policies and comply with regulations in different countries where it operates.

Cultural and Language Differences: Cultural and language barriers can impact international purchasing planning. Different countries have diverse business practices, customs, and languages, which can affect communication, negotiation, and understanding of supplier relationships. Coca-Cola must consider cultural nuances and adapt its purchasing strategies accordingly to establish effective supplier partnerships.

Supply Chain Disruptions: International purchasing can face disruptions due to political instability, natural disasters, or logistical challenges. These disruptions can lead to delays in procurement, increased costs, and supply chain risks. Coca-Cola needs to have contingency plans, alternative suppliers, and robust risk management strategies to mitigate these obstacles.

Quality and Standards Compliance: International purchasing requires adherence to quality standards and certifications specific to each market. Ensuring consistent product quality, meeting safety regulations, and maintaining ethical sourcing practices can pose challenges for Coca-Cola. The company must establish stringent supplier evaluation processes, perform audits, and monitor compliance to maintain product integrity and reputation.

Key Success Factors for Coca-Cola in international and global sourcing:

Supplier Relationship Management: Building strong relationships with suppliers based on trust, mutual benefit, and shared values is crucial. Coca-Cola should focus on long-term partnerships, effective communication, and collaboration to ensure a reliable and sustainable supply chain.Supply Chain Visibility and Control: Having visibility and control over the entire supply chain is essential for successful international sourcing. Coca-Cola should invest in advanced technologies, data analytics, and supply chain management systems to enhance transparency, traceability, and efficiency in procurement processes.

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locate a tax case that involves the vlauation of stock in the company that produces korbel champagne

Answers

To find a tax case involving the valuation of stock in a company that produces Korbel Champagne, I recommend conducting a search on legal databases, such as LexisNexis, Westlaw, or other reputable tax law resources.

These databases provide access to a wide range of legal cases, including tax cases.

When conducting your search, consider using keywords such as "valuation of stock," "tax case," and "Korbel Champagne" to narrow down your results. Additionally, specify the jurisdiction or country where the case was filed, as tax laws can vary between jurisdictions. This will help you find relevant and specific tax cases related to the valuation of stock in the company producing Korbel Champagne.

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For a market timer, the will be higher when the market risk premium is higher Select one: a. portfolio's idiosyncratic risk b. portfolio's standard deviation c. portfolio's beta O d. security selection component of the portfolio O e. portfolio's alpha

Answers

For a market timer, the portfolio's beta will be higher when the market risk premium is higher. Market timers try to time the market based on their predictions of when the market will rise or fall, rather than using a long-term buy-and-hold strategy.

For a market timer, the portfolio's beta will be higher when the market risk premium is higher.

What is a market timer?

Market timers try to time the market based on their predictions of when the market will rise or fall, rather than using a long-term buy-and-hold strategy.

Market risk premium

Market risk premium is the difference between the expected return on a market portfolio and the risk-free rate. It reflects the additional return an investor expects to earn from investing in a risky asset rather than in a risk-free asset. The greater the risk premium, the greater the potential return but also the greater the risk.

Beta

Beta is a measure of the systematic risk of an investment, meaning the sensitivity of its returns to the overall market returns. A beta of 1 implies that the asset's returns have historically been as volatile as the overall market returns. A beta greater than 1 means that the asset's returns have been more volatile than the overall market returns. A beta less than 1 means that the asset's returns have been less volatile than the overall market returns.

For a market timer, the portfolio's beta will be higher when the market risk premium is higher. Market timers try to time the market based on their predictions of when the market will rise or fall, rather than using a long-term buy-and-hold strategy. Beta is a measure of the systematic risk of an investment, and it reflects the sensitivity of its returns to the overall market returns. The greater the beta, the greater the asset's systematic risk, and therefore the greater its expected return. This is because the asset's returns will be more sensitive to the market's fluctuations, which can result in both higher returns and higher risk.

Thus, we can conclude that option (c) portfolio's beta is the correct option.

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Short Answer Questions (Please write in your own words)
3. Explain the difference between the stock of money and the flow of income.
4. Define opportunity cost using your own examples.

Answers

3. Explain the difference between the stock of money and the flow of income.

Answer: Stock of Money: Stock refers to the amount of something at a given point in time. The amount of money held by an individual, firm, or nation is referred to as the stock of money. It's the quantity of money that a nation, a firm, or an individual has in their possession or has available for use at a specific moment in time. Flow of Income: Flow refers to the rate at which something changes. Income is the flow of money into and out of an individual's, business's, or nation's coffers over a certain period of time. It's the amount of money earned by an individual or business over a specific period of time.

4. Define opportunity cost using your own examples.

Answer: Opportunity cost refers to the forgone benefit of the next best alternative that was not chosen. It is the benefit or value of the foregone alternative that was not selected or chosen. Examples: If you have $10 and you need to buy food, you can either buy a sandwich for $5 or a pizza for $10. If you choose to purchase a sandwich, the opportunity cost of that decision would be the satisfaction or benefit that you would have gotten from purchasing the pizza. In addition, if you decide to attend college instead of working, the opportunity cost of going to college would be the income that you would have earned if you had worked instead of going to college.

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QUESTION 57
Note: This question may have more than one correct answer. Select all which apply. Incorrect answers will be penalized.
Which of the following statements are True about the Securities Exchange Act of 1934?
a. It requires initial disclosures from issuers of securities.
b. It regulates short-swing profits in order to stop speculative insider trading.
c. Rule 10b-5 of the Securities And Exchange Act of 1934 applies to securities that do not have to be registered.
d. It is a blue-sky law.
QUESTION 58
Note: This question may have more than one correct answer. Select all which apply. Incorrect answers will be penalized.
Title VII of the Civil Rights Act of 1964 precludes discrimination against which of the following persons:
a. persons with physical disabilities
b. people over the age 40
c. persons who were not born in the USA
d. lesbian persons
QUESTION 59
Note: This question may have more than one correct answer. Select all which apply. Incorrect answers will be penalized.
The Fair Labor Standards Act (FLSA):
a. applies only to employers with 15 or more employees.
b. requires employers to pay employees a minimum wage.
c. allows employers to exempt certain categories of workers from the overtime pay requirements.
d. absolutely prohibits the employment of children under the age of 14.
QUESTION 60
Note: This question may have more than one correct answer. Select all which apply. Incorrect answers will be penalized.
When will a court pierce the corporate veil?
a. When there is domination of the corporation by one or more of its shareholders
b. Whenever there a single-shareholder-owned or closely held corporation which did not file an annual statement with the Secretary of State.
c. When there may have been a defect in the incorporation process.
d. When the domination of the corporation results in an improper purpose
QUESTION 61
Note: This question may have more than one correct answer. Select all which apply. Incorrect answers will be penalized.
Which factors are required for the formation of an LLC?
a. Annual reports should be filed with the Secretary of State.
b. It must be set up so that it can be easily dissolved.
c. The name of the LLC must include the words "limited liability company" or some other clear indication of the limited liability feature.
d. Articles must be filed with the Secretary of State.

Answers

For the Securities Exchange Act of 1934, the true statements are: a. It requires initial disclosures from issuers of securities. b. It regulates short-swing profits in order to stop speculative insider trading. c. Rule 10b-5 of the Securities And Exchange Act of 1934 applies to securities that do not have to be registered.

Title VII of the Civil Rights Act of 1964 precludes discrimination against the following persons: a. Persons with physical disabilities b. People over the age of 40

The Fair Labor Standards Act (FLSA) entails the following:

b. Requires employers to pay employees a minimum wage.

c. Allows employers to exempt certain categories of workers from the overtime pay requirements.

Regarding piercing the corporate veil, the following conditions may lead to it: a. When there is domination of the corporation by one or more of its shareholders. c. When there may have been a defect in the incorporation process. d. When the domination of the corporation results in an improper purpose.

The factors required for the formation of an LLC are:

c. The name of the LLC must include the words "limited liability company" or some other clear indication of the limited liability feature.

d. Articles must be filed with the Secretary of State.

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All of the following are significant difficulties in building appropriate international architectures except _ (blank) _. Select one: a. planning a system appropriate to the firm's global strategy b. structuring the organization of systems and business units c. solving implementation issues d. choosing the right technical platform e. making judgements and taking action on the basis of personal characteristics

Answers

The correct answer is e. making judgments and taking action on the basis of personal characteristics.

When building appropriate international architectures, it is essential to consider various factors such as the firm's global strategy, organizational structure, implementation issues, and choosing the right technical platform. These factors require objective decision-making based on business considerations rather than personal characteristics. Personal characteristics may influence individual behavior, but they are not the primary difficulties in building international architectures.

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Which of the following is not a cause of the bullwhip
effect?
Local optimization
Order batching
Long lead time
Every day low price

Answers

The correct option is d. Every day low price is not a cause of the bullwhip effect.

The bullwhip effect is a supply chain phenomenon that causes demand fluctuations to be amplified as one moves upstream from the customer to the supplier.

Small fluctuations in customer demand can result in huge swings in upstream supply, inventory, and production. This happens because of a lack of communication and coordination among supply chain members, leading to the following four major causes of the bullwhip effect:

Order batching: This is the practice of placing orders in larger batches than necessary to meet immediate needs. This causes demand to be delayed and reduced.

Local optimization: The practice of optimizing a part of the supply chain without regard for the effect on the whole supply chain. This results in increasing variability in demand and, therefore, bullwhip effect.

Long lead times: The delay between placing an order and receiving it. This creates uncertainty about future demand, resulting in overordering and, therefore, inventory accumulation.

Price fluctuations: Customers are encouraged to make purchases during promotions, causing a surge in demand that is difficult to meet.

The bullwhip effect can be detrimental to the supply chain, causing significant financial losses and disruptions.

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The Acme Express Agency is starting a Voucher system to strenghen the Internal Controls over Cash Payments and has decided to set up a Petty Cash Fund for small cash payments. On June 1, the Fund was set up for $300. On June 30, the fund is replenished when there is $35 in Cash and receipts for Supplies purchased, $125, Travel Expenses, $65, Blostage paid, $48, and Misc. Exp, $28, in the Petty Cash box. Please show the Journal Entries for the set-up and this first replenishment. Date Account Name Debit Credit

Answers

The Acme Express Agency has decided to set up a Petty Cash Fund for small cash payments to strengthen the Internal Controls over Cash Payments. The journal entries for the set-up and the first replenishment are:1. Petty Cash Fund Set-up Journal EntryThe Fund was set up for $300 on June 1, and this is the entry:Account TitleDebitCreditPetty Cash Fund300.00Cash300.00

: A petty cash fund is a cash reserve kept by a company to cover small expenses. The company sets up a petty cash fund to make it easier to pay these small expenses while keeping better track of them.2. Petty Cash Fund Replenishment Journal EntryOn June 30, the fund is replenished when there is $35 in Cash and receipts for Supplies purchased, $125, Travel Expenses, $65, Blostage paid, $48, and Misc. Exp, $28, in the Petty Cash box. The total receipts are $301, and this is the entry:Account TitleDebitCreditSupplies Purchased125.00Travel Expenses65.00Postage Paid48.00Miscellaneous Expense28.00Petty Cash Fund270.00Cash301.00Explanation: The company must record the expenditures that have been made by the petty cash fund. These expenditures are recorded in a journal entry when the petty cash fund is replenished.

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Which activity is most likely to be carried out by a manager?
a. Communicating the direction of the organization.
b. Reinforcing performance.
c. Inspiring others.
d. Developing key relationships

Answers

The activity that is most likely to be carried out by a manager is communicating the direction of the organization.

A manager is a person who is accountable for supervising and directing the work of a group of people. A manager's primary function is to make decisions that will assist the company in achieving its objectives.Managers are responsible for the daily operations of an organization or business, and they must make certain that everything is running smoothly.

The activity that is most likely to be carried out by a manager is communicating the direction of the organization, which refers to sharing the company's vision, mission, and objectives with the team.

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