VTech Credit Union at 7.3 percent APR? Use five decimal places for the monthly percentage rate in your calculations. The monthly payment of Prof. Finance will be $ (Round to the nearest cent.)

Answers

Answer 1

Prof. Finance's monthly payment for a 7-year car loan of $23,000 at a 7.3 percent APR will be $372.47 (rounded to the nearest cent).

To calculate the monthly payment for a car loan, we can use the formula for an amortizing loan:

[tex]PMT = \frac{P\times r}{1-(1+r)^{-n} }[/tex]

Where PMT is the monthly payment, P is the loan amount, r is the monthly interest rate, and n is the total number of months.

In this case, the loan amount is $23,000, the annual percentage rate (APR) is 7.3 percent, and the loan term is 7 years (84 months). First, we need to calculate the monthly interest rate by dividing the APR by 12 months:

Monthly interest rate = 7.3% / 12 = 0.0060833

Now, we can plug the values into the formula:

[tex]PMT = \frac{23000\times 0.0060833}{1-(1+0.0060833)^{-84} }[/tex]

⇒ PMT ≈ 372.4697

Rounding the answer to the nearest cent, Prof. Finance's monthly payment will be $372.47.

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The complete question is:

Prof. Finance is thinking about trading cars. She estimates she will have to borrow $23000 to pay for her new car. How much will be Prof. Finance monthly payment if she can get a 7-year car loan (with equal monthly payments) from VTech Credit Union at 7.3 percent APR? Use five decimal places for the monthly percentage rate in your calculations. The monthly payment of Prof. Finance will be $_____ (Round to the nearest cent.)


Related Questions

Zochary Blooks beiys boxiks and magasinen orectly from poblishers and distabifes them to grocery stores. The violesuler expects to piechise the following irvertiory: Zachary Bookdi accountant prepared the following schedule of cash payments for liveritory purchsses. Zachary Blooks' suipetiers Tequire that 95 percent of porchases on accosint be pasd in the month of purchase, the remain ang percent are palf in the mont forbuing the month of parchone. Required 0. Complete the schediste of Cash payments for inventory purchisses by filing in the missing arnounts. Complete this question ty entering your answers in the tabs betow. Zachary Books buys books and magazines directly from publishers and distributes them to grocery stores. The wholesaler expects to purchase the following inventory: Zachary Books' accountant prepared the following schedule of cash payments for inventory purchases. Zachary Books' suppliers require that 95 percent of purchases on account be paid in the month of purchase; the remalning 5 percent are paid in the month following the month of purchase. Required a. Complete the schedule of cash payments for inventory purchases by filling in the missing amounts. b. Determine the amount of accounts payable the company will report on its pro forma balance shect at the end of the second quarter. Complete this question by entering your answers in the tabs below. Determine the amoint of accounts payable the company will report on its pro forma balance sheet at the end of the second

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The question states that 95 percent of purchases on account are paid in the month of purchase.

a. To complete the schedule of cash payments for inventory purchases, we need to fill in the missing amounts.

and the remaining 5 percent are paid in the month following the month of purchase.

b. To determine the amount of accounts payable the company will report on its pro forma balance sheet at the end of the second quarter, we need additional information.

Please provide the relevant information for the second quarter, such as purchases made and payments made during that period.

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Calculate debt ratio and equity multiplier.

Total assets is $7,249

Liabilities & Shareholders' Equity
Notes payable $180 $220 $162 $700
Accounts payable 148 157 150 306
Accruals 218 277 157 310
Current liabilities $546 $654 $469 $1,316
Long-term loan 374 219 41 85
Common stock 50 50 50 50
Retained earnings 716 814 859 956
Total liabilities & shareholders' equity $1,686 $1,737 $1,419 $2,407

Answers

The debt ratio is 37.5%. The equity multiplier is 7.20

Debt Ratio = Total Debt / Total Assets

Equity Multiplier = Total Assets / Total Equity

Total Debt = Notes Payable + Accounts Payable + Accruals + Current Liabilities + Long-term Loan

Total Debt = $700 + $306 + $310 + $1,316 + $85

Total Debt = $2,717

Total Equity = Common Stock + Retained Earnings

Total Equity = $50 + $956

Total Equity = $1,006

Total Assets = $7,249

Debt Ratio = Total Debt / Total Assets

Debt Ratio = $2,717 / $7,249

Debt Ratio = 0.375 or 37.5%

Equity Multiplier = Total Assets / Total Equity

Equity Multiplier = $7,249 / $1,006

Equity Multiplier = 7.20

The debt ratio is 37.5%, which means that 37.5% of the total assets are financed by debt. The equity multiplier is 7.20, indicating that the total assets are 7.20 times the total equity.

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Part 1: Observation You are going to select two competing retail locations. You can NOT use Walmart as one of the competitors. You will visit both locations on three different days. Try to make them three different times or days of the week. Please visit the competitors on the same day and time. For example, visit McDonalds at 11:30 and Burger King at 12:30 (lunch time) on Monday, go back to both locations in one block of time at dinnertime on a Wednesday. Here are things to observe during these visits. Customer demographics staffing demographics # Of customers and employees Any section or area showing more customer traffic Parking lot capacity I want you to compare each store over the three visits and then also compare the two stores to each other.

Part 2: Customer Loyalty program Select three retail store loyalty programs. I want you to describe the loyalty program. How does a person join? What benefits do they get? How does the store communicate with the customer? How does it benefit the store? I want you to tear apart the program and breakdown every aspect of it. If I had never heard of the store, I would still have a complete understanding of the program. You will do this for three stores.

Part 3: Secret Shopper You get to go undercover…sort of. I want you to pick out a business location. It must be different for any other retail business used. You are going to go shopping. You do not have to buy anything, but you need to pretend you might be. 1) Before going in select, a product to "buy". Shop for the product. 2) I want you to look and see how quickly (or at all) you are greeted or helped. What was the conversation? 3) Have questions to ask the customer service associate. 4) Would you buy the product? Why or why not? Once you have gone through the shopping process, you will do a write-up on your experience. Summarize all your observations in paper form.

Part 4: Marketing Find a different retail location. Look at the marketing of the company. Look out for external marketing, in-store marketing, and selling. Remember marketing is more than just commercials and billboards. It is the 4 P’s. If you don’t know what that means do some research to find out. Write a paper on your observations as part of that I want you to critique the marketing. Is there anything they should or should not be doing?

Answers

In this assignment, you are required to complete four tasks related to retail locations and marketing.

For Part 1, you need to select two competing retail locations and visit them on three different days, observing customer demographics, staffing demographics, number of customers and employees, customer traffic in different sections, and parking lot capacity. You will compare each store over the three visits and also compare the two stores to each other.

In Part 2, you are tasked with selecting three retail store loyalty programs and describing each program in detail. This includes explaining how a person can join the program, the benefits they receive, how the store communicates with the customer, and how the program benefits the store. You should provide a comprehensive breakdown of each program.

Part 3 involves being a secret shopper at a chosen business location. You will pretend to shop for a specific product, observe how quickly you are greeted or helped, note the conversation with the customer service associate, and have questions to ask them. Finally, you will evaluate whether you would buy the product and provide a write-up of your experience.

In Part 4, you need to find a different retail location and analyze their marketing efforts. Look for external marketing, in-store marketing, and selling strategies. Assess the marketing using the 4 P's (product, price, place, promotion) and provide a critique, highlighting any areas where improvements can be made.

By completing these tasks and summarizing your observations in paper form, you will gain insights into retail locations, customer loyalty programs, customer service experiences, and marketing strategies.

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Following are the steps in the activity-based cost allocation:
a- Collection of cost pool
b- Calculation of activity driver rate
c- Identification of the main activities
d- Charging the cost of activities to products e- Determination of the activity cost drivers

State the correct sequence of the above steps

Case 2 (.5 Mark )
Activity -based costing :
a) Uses a plant -wide overhead rate to assign overhead
b) Is not expensive to implement
c)Typically applies overhead costs using direct labor -hours
d) Uses multiple activity rates

Answers

Activity-based costing does use multiple activity rates to assign overhead costs based on different activities.

Statement d) is correct.

The correct sequence of the steps in activity-based cost allocation is as follows:
1. Identification of the main activities
2. Collection of cost pool
3. Determination of the activity cost drivers
4. Calculation of activity driver rate
5. Charging the cost of activities to products

Regarding the statements about activity-based costing:
- Statement a) is incorrect.

Activity-based costing does not use a plant-wide overhead rate, but rather uses multiple activity rates to assign overhead costs.

- Statement b) is subjective and depends on the specific implementation of activity-based costing.

Generally, implementing activity-based costing may require time and resources, making it relatively more expensive than other costing methods.

- Statement c) is incorrect.

Activity-based costing does not typically apply overhead costs using direct labor hours. Instead, it assigns overhead costs based on the activities that drive those costs.

- Statement d) is correct.

Activity-based costing does use multiple activity rates to assign overhead costs based on different activities.


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Why should the gravity model of trade hold? 2. Explain the difference between comparative advantage and absolute advantage using an example. 3. How is the RS curve derived in a two-product, two-country, one-factor model? How will your answer change as the number of products increases? 4. Explain the pauper-labour argument against free trade. Why is this flawed? 5. Which factor gains, and which loses, with trade? 6. Why do you observe the result you state in the previous question? 7. Consider two people Tom and Jerry. They both produce bread and cheese. Tom works for 40 hours a week, while Jerry works for 60 hours a week. Tom can produce one unit of bread in 2 hours, and one unit of cheese in 4 hours. Jerry can produce one unit of bread in 3 hours, and one unit of cheese in 4 hours. Answer the questions that follow: (a) Write down the capacity constraint equation for Tom and Jerry. Draw their production possibilities frontier (on the same graph). (b) Who has a comparative advantage in bread? In cheese? (c) Who has an absolute advantage in bread? In cheese? (d) If Tom and Jerry trade, would they benefit from it? Should they specialize? If yes, in which product? If no, why not? (e) What should be the terms of trade between Tom and Jerry if they do trade? (f) If Tom and Jerry do trade, in what circumstance would the production of either product go to zero? Explain the reason for your choice. 8. Gather a list of 20 countries and one unique trading partner for each. Try to keep the forty countries in the list unique in the sense that there are few, if any, repetitions. Illustrate the list here. Use the information to test whether the gravity model of trade holds for your data set. Present regression results as an attached sheet.

Answers

The gravity model of trade holds because it is based on the idea that trade is influenced by the economic size and distance between countries.

1. Comparative advantage refers to a country's ability to produce a good at a lower opportunity cost compared to another country. Absolute advantage, on the other hand, refers to a country's ability to produce a good more efficiently than another country.

2. The RS curve is derived in a two-product, two-country, one-factor model by comparing the relative supply of one good to the relative supply of another good. As the number of products increases, the RS curve would need to be derived for each additional product.

3. The pauper-labor argument against free trade suggests that free trade exploits low-wage workers in developing countries. However, this argument is flawed because it fails to consider the overall benefits of trade, such as increased efficiency and higher standards of living.

5. The factor that gains with trade is the factor of production that is relatively abundant in a country. The factor that loses with trade is the factor that is relatively scarce in a country.

6. The observation that the factor gains with trade is based on the idea that trade allows countries to specialize in the production of goods that they have a comparative advantage in, leading to increased efficiency and economic growth.

7. (a) The capacity constraint equation for Tom and Jerry would be: 2T + 3J ≤ 40 for bread and 4T + 4J ≤ 60 for cheese. (b) Tom has a comparative advantage in bread, while Jerry has a comparative advantage in cheese.

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The ultimate control of a corporation lies in the hands of the corporate:________

a. ceo of the firm

b. chairman of the board

c. shareholders board of directors.

d. government

Answers

The ultimate control of a corporation lies in the hands of the corporate: shareholders. Option C

They are the owners of the company and have the power to elect the board of directors, who in turn appoint the CEO and other top executives. Shareholders exercise their control through voting rights, typically in proportion to their ownership stake in the company.

While the CEO plays a crucial role in managing the corporation's day-to-day operations and implementing strategies, they ultimately report to the board of directors, which represents the interests of the shareholders. The board of directors, composed of elected individuals, provides oversight and makes key decisions regarding the company's direction and major policies.

The chairman of the board, although an influential position, serves as a leader and facilitator during board meetings but does not have ultimate control alone. The government typically regulates corporations but does not possess direct control over their management or decision-making processes unless specific regulations or laws are violated.

Option C.

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ind the future values of the following ordinary annulties: a. FV of $400 gaid each 6 months for 5 years at a nominal rate of 15% compounded semiannually. Do not round intermediate calculations. Round your answer to the nearest cent. \$ b. FV of $200 pald each 3 months for 5 years at a nominal rate of 15% compounded quarterly, Do not round intermediate calculations. Hound your answer to the nearest cent. C. These annuities receive the same amount of cahh duiring the s-year period and eam interest at the same nominal rate, yet the annuity in part b ends up larger than the one in part a. Why does this occur?

Answers

The future values of the annuities can be calculated using the formula mentioned above. The frequency of compounding affects the final future value of the annuity, with more frequent compounding leading to a higher future value.

The future value of an ordinary annuity can be calculated using the formula[tex]:FV = P * [(1 + r/n)^(n*t) - 1] / (r/n)[/tex]
Where:
FV is the future value
P is the payment amount
r is the nominal annual interest rate
n is the number of compounding periods per year
t is the number of years
a. To find the future value of the annuity where $400 is paid every 6 months for 5 years at a nominal rate of 15% compounded semiannually, we can substitute the values into the formula:
P = $400
r = 15% = 0.15
n = 2 (compounded semiannually)
t = 5
[tex]FV = $400 * [(1 + 0.15/2)^(2*5) - 1] / (0.15/2)[/tex]

Simplifying the equation will give you the future value.
b. To find the future value of the annuity where $200 is paid every 3 months for 5 years at a nominal rate of 15% compounded quarterly, we can use the same formula:
P = $200
r = 15% = 0.15
n = 4 (compounded quarterly)
t = 5
[tex]FV = $200 * [(1 + 0.15/4)^(4*5) - 1] / (0.15/4)[/tex]
Simplifying the equation will give you the future value.
c. The reason the annuity in part b ends up larger than the one in part a is because the compounding periods are different. Compounding more frequently (quarterly in part b) allows for more frequent accumulation of interest on the annuity payments, resulting in a larger future value.

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You will receive a payment of $100 by the end of each year for 5 years. What is the present value of this annuity given an interest rate of 5%?

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The present value of this annuity, given an interest rate of 5%, is $432.97.

The present value of an annuity can be calculated using the formula:
PV = PMT * (1 - (1 + r)^-n) / r
where PV is the present value, PMT is the payment received each year, r is the interest rate, and n is the number of years.
In this case, the payment received each year is $100, the interest rate is 5% (or 0.05), and the annuity lasts for 5 years.
Plugging these values into the formula:
PV = $100 * (1 - (1 + 0.05)^-5) / 0.05
Calculating the exponential part first:
(1 + 0.05)^-5 = 0.783526166
Substituting this value back into the formula:
PV = $100 * (1 - 0.783526166) / 0.05
Simplifying:
PV = $100 * 0.216473834 / 0.05
PV = $432.97

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Please discuss three different cases relating to subsidies and dumping that are under review by the WTO.

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Here are three different cases relating to subsidies and dumping that are currently under review by the World Trade Organization (WTO): 1. Boeing vs. Airbus,2. China's Solar Panel Industry,3. India's Agricultural Subsidies

1. Boeing vs. Airbus: This long-standing dispute between the United States and the European Union involves allegations of subsidies provided to aircraft manufacturers Boeing and Airbus. Both sides have accused each other of providing illegal subsidies, which distort fair competition in the aviation industry. The WTO is reviewing the extent and impact of these subsidies to determine their legality and potential countermeasures.

2. China's Solar Panel Industry: The WTO is examining allegations that China provided significant subsidies to its domestic solar panel industry, allowing Chinese manufacturers to sell their products at artificially low prices (dumping) in international markets. This has allegedly led to unfair competition and harm to solar panel manufacturers in other countries. The WTO is evaluating the extent of these subsidies and their impact on global trade.

3. India's Agricultural Subsidies: India's support to its agricultural sector has been a subject of scrutiny by the WTO. Other countries have raised concerns that India's subsidies exceed the allowed limits under WTO rules, giving Indian farmers an unfair advantage and distorting international trade in agricultural products. The WTO is investigating the nature and extent of these subsidies to determine their compliance with global trade regulations.

These cases demonstrate the importance of fair competition and adherence to international trade rules. The WTO plays a crucial role in addressing disputes related to subsidies and dumping, ensuring that global trade is conducted on a level playing field.

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When choosing your ____ you want to make sure it relates so closely to your business name that potential customers can easily guess it if they don't have it in front of them.

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When choosing your "domain name" you want to make sure it relates closely to your business name for easy recognition by potential customers.

A strong and relevant tagline can have a significant impact on brand recognition, recall, and customer engagement. It serves as a powerful tool to differentiate your business from competitors and create a lasting impression in the minds of consumers.

By aligning your tagline closely with your business name, you establish a cohesive and unified brand identity. When potential customers hear or see your business name, the tagline should naturally come to mind, reinforcing your brand messaging and values.

A well-crafted tagline can evoke emotions, convey the unique selling proposition of your business, or communicate the benefits of your products or services. It should be clear, concise, and memorable, allowing it to stick in the minds of consumers and generate brand association.

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Kenzi, a manufacturer of kayaks, began operations this year. During this year, the company produced 1,050 kayaks and sold 800 at a price of $1,050 each. At year-end, the company reported the following income statement information using absorption costing Sales (800 x $1,050) Cost of goods sold (800 $425) Gross profit selling and administrative expenses Income $ 840,000 340,000 500,000 230,000 $ 270,000 Additional Information a. Product cost per kayak under absorption costing totals $425, which consists of $325 in direct materials, direct labor, and variable overhead costs and $100 in fixed overhead cost. Fixed overhead of $100 per unit is based on $105,000 of fixed overhead per year divided by 1,050 kayaks produced, b. The $230,000 in selling and administrative expenses consists of $95,000 that is variable and $135,000 that is fixed. Prepare an income statement for the current year under variable costing, $ 840,000 KENZI Income Statement (Variable Costing) Sales Less: Variable expenses Variable cost of goods sold Variable selling and administrative expenses Variable overhead costs Contribution margin Less Fixed expenses Fixed overhead Fixed selling and administrative expenses Income

Answers

The Income statement for the current year under variable costing can be prepared as follows:

Sales: $840,000

Variable expenses:

Variable cost of goods sold: (800 × $325) = $260,000

Variable selling and administrative expenses: $95,000

Variable overhead costs: (800 × $100) = $80,000

Total variable expenses: $435,000

Contribution margin: $840,000 - $435,000 = $405,000

Fixed expenses:

Fixed overhead: $105,000

Fixed selling and administrative expenses: $135,000

Total fixed expenses: $240,000

Net income (before tax): $405,000 - $240,000 = $165,000

Therefore, the Income statement for the current year under variable costing would be:

KENZI Income Statement (Variable Costing)

Sales: $840,000

Less: Variable expenses

Variable cost of goods sold: $260,000

Variable selling and administrative expenses: $95,000

Variable overhead costs: $80,000

Contribution margin: $405,000

Less Fixed expenses

Fixed overhead: $105,000

Fixed selling and administrative expenses: $135,000

Net income: $165,000

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In a perfectly competitive labor market, employers will not pay more than the market wage because: there would be a shortage of workers at a wage above equilibrium. good workers would go to other firms. plenty of good workers are available at the market wage. other firms would also pay the higher wage.

Answers

In a perfectly competitive labor market, the wage rate is determined by the interaction between the demand for labor and the supply of labor. The equilibrium wage rate is the wage rate that equates the quantity of labor demanded by firms with the quantity of labor supplied by workers.

Employers in a perfectly competitive labor market will not pay more than the market wage because plenty of good workers are available at the market wage. If an employer tries to pay more than the market wage to attract more workers, other firms will do the same. This will cause the wage rate to increase until it reaches the market equilibrium wage rate.

At a wage rate above the equilibrium wage rate, there will be a surplus of labor, meaning that there will be more workers willing to work at that wage rate than there are jobs available. This will cause the wage rate to fall back down to the equilibrium wage rate, as firms will be able to hire workers at a lower wage rate.

Therefore, employers will not pay more than the market wage because plenty of good workers are available at the market wage. This is because if they try to pay more than the market wage, they will not be able to attract more workers, as other firms will also be paying the same higher wage rate.

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complete information and analysis of family owned bussines nishat
group

Answers

The Nishat Group is a well-established family-owned business conglomerate with a diverse range of operations in industries such as textile, cement, banking, and power generation.

The Nishat Group is a family-owned business conglomerate based in Pakistan. It was founded by Mian Muhammad Yahya in 1951 and is now managed by his son, Mian Muhammad Mansha. The group operates in various industries including textile, cement, banking, and power generation.
Nishat Group's textile division is one of the largest in Pakistan, with state-of-the-art manufacturing facilities and a strong presence in both local and international markets. It produces a wide range of textile products, including yarn, fabric, and finished garments.
In the cement sector, Nishat Group owns and operates DG Khan Cement Company Limited, one of the leading cement manufacturers in the country. The company has a production capacity of over 10,000 tons per day and has been consistently recognized for its quality products.
Nishat Group also has a strong presence in the banking sector through its subsidiary, MCB Bank Limited. MCB Bank is one of the largest banks in Pakistan, offering a wide range of financial services to individuals and businesses.
Furthermore, Nishat Group has diversified its portfolio by venturing into the power generation industry. It owns and operates various power plants, including coal, gas, and renewable energy-based facilities, contributing to the country's energy needs. Its commitment to quality and innovation has enabled it to achieve significant growth and success over the years.

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Paying $210 is sufficient to induce a salesperson to exert effort instead of to shirk. Exerting effort increases the probability of making a sale from 20% to 60%. When the firm does not pay a commission to the salesperson for sales effectiveness, a sale increases the firm's profit by $250. Which action is best for the firm?

a) Pay no commission and let the salesperson shirk.

b) Pay a $210 commission to induce the salesperson to exert appropriate effort.

Answers

The option a) is correct. Since exerting effort increases the probability of making a sale from 20% to 60% and a sale increases the firm's profit by $250. Which action is best for the firm?

In the given scenario, a $210 commission is paid to induce the salesperson to exert appropriate effort. The firm is not paying any commission to the salesperson for sales effectiveness. It is required to find out which action is best for the firm. The following two scenarios can be taken into consideration:

Pay no commission and let the salesperson shirk

Pay a $210 commission to induce the salesperson to exert appropriate effort Scenario A: Pay no commission and let the salesperson shirk

If the firm pays no commission to the salesperson for sales effectiveness, there is a possibility that the salesperson may shirk. If the salesperson does not exert effort, the probability of making a sale remains at 20%. Therefore, the expected profit is: Expected profit if the salesperson shirks =[tex](20% * $250) - $0= $50 - $0= $50[/tex]Scenario B: Pay a $210 commission to induce the salesperson to exert appropriate effort

If the firm pays a $210 commission to the salesperson, the probability of making a sale increases from 20% to 60%. Therefore, the expected profit is: Expected profit if the salesperson exerts effort = [tex](60% * $250) - $210= $150 - $210= -$60[/tex]From the above analysis, it can be concluded that the firm should pay no commission and let the salesperson shirk as the expected profit is greater than paying a $210 commission to induce the salesperson to exert appropriate effort. Hence, option a) is correct.

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Below is the number of products that a local manufacturer sold this week: 730 (Mon), 735 (Tue), 740 (Wed), 750 (Thur), 760 (Fri), 630 (Sat), 640 (Sun). The seasonal relative for MonFri is 1.1 and that for Sat-Sun is 0.9. Please use the seasonality method to forecast for next Monday's sale. In the second step of the seasonality forecasting method, choose between the trend method and the threeperiod moving average method depending on whether a trend is observed. Round your final answer to the closest integer. 726 771 None of the answers is correct 788 716

Answers

We'll use the three-period moving average method.step 3: calculate the three-period moving average for weekdays:

Monday: (730 + 735 + 740) / 3 = 735 (rounded to the closest integer)tuesday: (735 + 740 + 750) / 3 = 742 (rounded to the closest integer)

Wednesday: (740 + 750 + 760) / 3 = 750 (rounded to the closest integer)

step 4: calculate the forecasted sales for next Monday:next monday's forecasted sales = (last observed monday's sales) * (average weekday seasonal index)

next monday's forecasted sales = 735 * 1.

To forecast next monday's sale using the seasonality method, let's follow the steps:

step 1: calculate the average seasonal index for weekdays (mon-fri) and weekends (sat-sun):average weekday seasonal index = (seasonal index for mon-fri) = 1.1

average weekend seasonal index = (seasonal index for sat-sun) = 0.9

step 2: determine if there is a trend observed in the data:looking at the sales data, we don't have any information provided about a trend. 1 = 808.5 (rounded to the closest integer)

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Demonstrate an understanding of how to co-operate effectively
with others in a team.

Answers

Demonstrating an understanding of how to co-operate effectively with others in a team requires several steps to be taken. Co-operating effectively with others in a team involves establishing communication, encouraging participation, recognizing contributions, sharing resources, and respecting boundaries.

1. Establish Communication: Establishing communication is the first and most critical move in ensuring that teamwork is effective. It is crucial to establish the team's aims, roles, and responsibilities to ensure that everyone is on the same page.

2. Encourage Participation: It is important to encourage participation in the team's objectives by allowing every member of the team to voice their thoughts and ideas.

3. Recognize Contributions: It is important to acknowledge each team member's contributions, no matter how small, to encourage them to continue contributing and collaborate effectively.

4. Share Resources: Team members should share resources to ensure that all team members have the resources they require to achieve their objectives.

5. Respect Boundaries: Finally, it is important to respect each team member's boundaries and requirements to ensure that everyone is comfortable and can work effectively.

In conclusion, co-operating effectively with others in a team involves establishing communication, encouraging participation, recognizing contributions, sharing resources, and respecting boundaries.

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You are making and selling T-shirts on campus. The price is $20, unit variable cost is $15/unit, and total fixed costs are\$2, 000. Write down the CVP relation (version 2): profit as a function of sales revenue. Profit = * Revenue - Based on the CVP relation, you will break-even at a revenue of \$ To achieve target profit of $5,000, you will need to make a revenue of $

Answers

The revenue should be $7,000, and to achieve a target profit of $5,000, the revenue should be $12,000.

The CVP relation (version 2) is expressed as follows:

Profit = Revenue - Total Variable Costs - Total Fixed Costs

In this case, the unit variable cost is $15/unit, and the total fixed costs are $2,000. Therefore, the CVP relation can be written as:

Profit = (Revenue - $15 * Quantity) - $2,000

To break even, the profit should be zero. So, we can set the equation to zero:

0 = (Revenue - $15 * Quantity) - $2,000

Solving for the revenue (R):

Revenue = $15 * Quantity + $2,000

To achieve a target profit of $5,000, we can modify the equation as follows:

Profit = (Revenue - $15 * Quantity) - $2,000

$5,000 = (Revenue - $15 * Quantity) - $2,000

Solving for the revenue (R):

Revenue = $15 * Quantity + $2,000 + $5,000

Revenue = $15 * Quantity + $7,000

Therefore, to break even, the revenue should be $7,000, and to achieve a target profit of $5,000, the revenue should be $12,000.

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Question-

You are making and selling T-shirts on campus. The price is $20, unit variable cost is $15/unit, and total fixed costs are\$2, 000. Write down the CVP relation (version 2): profit as a function of sales revenue.

Profit = ___________* Revenue __________

Based on the CVP relation, you will break-even at a revenue of $ ___

To achieve target profit of $5,000, you will need to make a revenue of $_______.

Community Recreational Tourism

Discuss economic or political challenges to CRT. (Answer not less than 500 words)

Answers

Community Recreational Tourism (CRT) is a form of tourism that offers recreational opportunities to visitors in the community. It is also a form of tourism that encourages local participation and contributes to the local economy. CRT has many benefits, including economic growth, cultural exchange, and social interaction. However, it also faces economic and political challenges that can hinder its growth and sustainability.

Economic challenges

One of the primary economic challenges to CRT is funding. The development of CRT requires significant investment, including the construction of facilities, the development of infrastructure, and the promotion of tourism. In many cases, the local government or private investors fund this investment. However, the availability of funds may be limited, especially in developing countries or regions where there is little support for tourism development.

Another economic challenge to CRT is competition. As more communities recognize the benefits of tourism, the number of tourist destinations is increasing. Thus, competition among these destinations is growing. The result is that smaller or less well-known destinations may struggle to attract visitors, especially those who are seeking unique experiences.

Political challenges

The political challenges to CRT are related to regulations, policies, and attitudes toward tourism. One of the primary political challenges to CRT is regulatory barriers. Local or national governments may regulate CRT, and these regulations may be strict and limiting, making it difficult for the tourism industry to flourish.

Another political challenge to CRT is cultural sensitivity. CRT involves the interaction between visitors and the local community. In some cases, visitors may have cultural or language barriers, which can lead to misunderstandings or conflicts. Thus, it is essential to promote cultural sensitivity and respect, which can be achieved through education and training.

In conclusion, Community Recreational Tourism has many economic and political challenges that hinder its growth and sustainability. However, these challenges can be addressed through proper planning, investment, and regulation. Additionally, promoting cultural sensitivity and respect can help ensure that CRT contributes positively to the local community and economy.

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On average 16 new batches of parts are started through a certain plant each week. Average batch quantity is 50 parts that are processed through a sequence of seven machines. Setup time per machine per batch averages 4 hours, and average operation time per machine for each part is 12 min. Nonoperation time per batch at each machine averages 8 hours. There are 37 machines in the factory. Any machine can be set up for any type of batch processed in the plant. The plant operates 40 hours per week. The plant manager complains that almost 65 hours of overtime must be authorized each week to keep up with the production schedule. Determine (a) manufacturing lead time for an average order, (b) weekly production capacity of the plant if all machines were operated at 100% utilization, (c) current utilization of the plant, and (d) average work-inprocess (number of parts) in the plant. (e) Why must overtime be authorized to achieve the desired output?

Answers

(a) Manufacturing lead time for an average order: 85.4 hours.

(b) Weekly production capacity of the plant if all machines were operated at 100% utilization: Approximately 0.468 batches.

(c) Current utilization of the plant: Approximately 34.2%.

(d) Average work-in-process (number of parts) in the plant: 350 parts.

(e) Overtime must be authorized to achieve the desired output because the regular working hours are insufficient to meet the production schedule, requiring additional hours to fulfill the production demands.

(a) Manufacturing lead time for an average order:

To calculate the manufacturing lead time for an average order, we need to consider the setup time, operation time, and nonoperation time per batch.

Setup time per batch per machine: 4 hours

Operation time per part per machine: 12 minutes = 0.2 hours

Nonoperation time per batch per machine: 8 hours

Total time per batch per machine: Setup time + Operation time + Nonoperation time

Total time per batch per machine: 4 hours + 0.2 hours + 8 hours = 12.2 hours

Since there are seven machines, the total time for the entire sequence is:

Total time per batch for the sequence: 7 machines × 12.2 hours = 85.4 hours

Therefore, the manufacturing lead time for an average order is 85.4 hours.

(b) Weekly production capacity of the plant if all machines were operated at 100% utilization:

To calculate the weekly production capacity of the plant, we need to consider the available hours of operation and the time required for each batch.

Available hours of operation per week: 40 hours

Number of batches processed per week: 16

Total time required for each batch: 85.4 hours

Weekly production capacity = (Available hours of operation) / (Total time required for each batch)

Weekly production capacity = 40 hours / 85.4 hours = 0.468 batches

Therefore, the weekly production capacity of the plant, if all machines were operated at 100% utilization, is approximately 0.468 batches.

(c) Current utilization of the plant:

To calculate the current utilization of the plant, we need to consider the actual production compared to the maximum production capacity.

Actual production capacity: 16 batches per week (given in the problem)

Maximum production capacity: Weekly production capacity if all machines were operated at 100% utilization = 0.468 batches (calculated in part b)

Utilization of the plant = (Actual production capacity) / (Maximum production capacity)

Utilization of the plant = 16 batches / 0.468 batches ≈ 34.2

Therefore, the current utilization of the plant is approximately 34.2%.

(d) Average work-in-process (number of parts) in the plant:

To calculate the average work-in-process, we need to consider the batch quantity and the number of batches in progress at any given time.

Batch quantity: 50 parts

Number of batches in progress at any given time = Average order lead time / Time per batch

Number of batches in progress = 85.4 hours / 12.2 hours = 7 batches

Average work-in-process = (Number of batches in progress) × (Batch quantity)

Average work-in-process = 7 batches × 50 parts = 350 parts

Therefore, the average work-in-process (number of parts) in the plant is 350 parts.

(e) Why must overtime be authorized to achieve the desired output?

The overtime must be authorized to achieve the desired output because the current production schedule is not being met within the regular working hours of 40 hours per week. The plant manager complains about the need for almost 65 hours of overtime per week, indicating that additional hours are required to meet the production demands. By authorizing overtime, the plant can make up for the shortfall in production time and ensure the desired output is achieved.

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[Jade Shoes] Coleman owns a sporting goods store and has purchased top-quality, brand-name athletic shoes from Jade's Shoe Distribution for many years. However, they have no written contract in place. Last month, Coleman learned that the latest shipment from Jade's was not authentic, brand-name shoes but instead a knock-off brand that costs a fraction of the price Coleman pays. Coleman cannot sell these shoes because his customers would know the difference, and Coleman demanded Jade refund him. Jade sent Coleman a written request for arbitration within thirty days. In response, Coleman called Jade, threatening to file a lawsuit against Jade and exposing her company as a fraud. Jade laughs, saying Coleman is required to arbitrate their dispute within thirty days.





As indicated in the text, which of the following is not considered an advantage of ADR over traditional litigation?



Multiple Choice



a. ADR is usually less expensive.

b. ADR is structured to be flexible for the parties.

c. ADR is less adversarial in nature.

d. Businesses may not want to set a precedent through a court decision.

e. Companies can hide their legal issues from the public.

Answers

As per the provided scenario, the option which is not considered an advantage of ADR over traditional litigation isCompanies can hide their legal issues from the public.

Alternative Dispute Resolution (ADR) is a means of solving legal disputes without going through the judicial system. Mediation, arbitration, and collaborative law are the three most common types of alternative dispute resolution. ADR has a number of advantages over traditional litigation, including the following:A. ADR is frequently less expensive than traditional litigation because it avoids the expense of discovery, pre-trial motions, and a lengthy trial.B.

ADR is built to be flexible for the parties involved, and it enables them to reach a mutual understanding that would not be possible in court.C. ADR is less adversarial than traditional litigation because the parties are not adversaries, but rather partners in the negotiation process.D. Businesses can not want to establish a precedent via a court ruling, which they might avoid by using ADR.In conclusion, Companies can not conceal their legal concerns from the public via ADR, whereas traditional litigation may help conceal sensitive information. So, the correct answer is option E.

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the CAPPA, a. What is the expected return of Intel slock? b. What is the expected return of Boeing stock? c. What is the beta of a portfolio that consists of 60% Intel stock and 40% Boeing stock? d. What is the expected return of a portfolio that consists of 60% intel stock and 40% Boeing stock? (There are two ways to solve this.) a. What is the expected return of Intel stock? Inter's expected return is (Round to one decimal place) b. What is the expected return of Boeing stock? Booing's expected return is 6. (Round to one decimal place.) c. What is the beta of a portfolio that consists of 60% intel stock and 40% Boeing stock? The portiolio beta is (Round to two decimal places.)

Answers

To answer these questions, I would need access to up-to-date financial information and specific data on the expected returns and betas of Intel and Boeing stocks. As an AI language model, I don't have real-time data. However, I can explain the concepts and provide a general approach for calculating expected returns and portfolio beta.

a. Expected return of Intel stock: The expected return of a stock is typically calculated using a weighted average of the possible returns based on their probabilities. Without specific data, I cannot provide an accurate expected return for Intel stock.

b. Expected return of Boeing stock: Similar to Intel stock, the expected return of Boeing stock would require specific data on the probabilities and possible returns. Without this information, I cannot provide an accurate expected return for Boeing stock.

c. Beta of a portfolio: The beta of a portfolio is a measure of its systematic risk or sensitivity to market movements. It is calculated as the weighted average of the individual asset betas, where the weights correspond to the portfolio's asset allocation.

To calculate the beta of a portfolio consisting of 60% Intel stock and 40% Boeing stock, you would need the individual betas of both stocks. Beta values are usually available from financial sources or calculated using regression analysis.

d. Expected return of the portfolio: There are two common approaches to calculating the expected return of a portfolio:

1. Weighted Average Approach: Multiply the weight of each stock by its expected return and sum the results. Assuming you have the expected returns for Intel and Boeing stocks, you can use the following formula:

Expected Return of Portfolio = (Weight of Intel * Expected Return of Intel) + (Weight of Boeing * Expected Return of Boeing)

2. Beta Approach: Multiply the beta of each stock by its expected excess return (the difference between the expected return of the stock and the risk-free rate), and sum the results. The risk-free rate is typically represented by the yield on a government bond.

Expected Return of Portfolio = Risk-Free Rate + (Beta of Intel * Expected Excess Return of Intel) + (Beta of Boeing * Expected Excess Return of Boeing)

Without specific data on expected returns, betas, and the risk-free rate, I cannot provide an accurate calculation of the expected return for the portfolio.

To obtain precise answers for these questions, it is recommended to consult reliable financial sources or utilize financial analysis tools that provide real-time data and calculations.

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Statement of Cash Flows A list of Fischer Company's cash flow activities is presented here: a. Patent amortization expense, $3,500 b. Machinery was purchased for $39,500 c. At year-end, bonds payable with a face value of $20,000 were issued for $17,000 d. Net income, $47,200 e. Dividends paid, $16,000 f. Depreciation expense, $12,900 9. Preferred stock was issued for $13,600 h. Investments were acquired for $21,000 1. Accounts receivable increased by $4,300 j. Land was sold at cost, $11,000 k. Inventories increased by $15,400 1. Accounts payable increased by $2,700 m. Beginning cash balance, $19,400 Operating Activities: Net income ✓∨ Adjustments for differences between net income and cash flows from operating activities: Add: Depreciation expense V Add: Patent amortization expense ✓v Add: Increase in accounts payable ✓✓ Less: Increase in accounts receivable ✓ Less: Increase in inventories ∨∨ Net cash provided by operating activities ✓ Investing Activities: Payment for purchase of machinery ✓ Rayment for purchase of investments ✓ Receipt from sale of land ✓v Net cash used for investing activities v Financing Activities: Payment of dividends ✓ Receipt from issuance of bonds ✓ Receipt from issuance of preferred stock V Net cash provided by financing activities ✓ Net increase in cach =v Net cash provided by operating activities ∼∨ nvesting Activities: Payment for purchase of machinery ✓ Payment for purchase of investments Receipt from sale of land ✓∨ Net cash used for investing activities ∨∨ Financing Activities: Payment of dividends ✓ Receipt from issuance of bonds ✓ Receipt from issuance of preferred stock ∨∨ Net cash provided by financing activities v Net increase in cash ∨ Cash, January 1→v Cash, December 31∼∨ Feocback

Answers

The statement of cash flows is one of the financial statements that disclose the cash inflows and outflows during a certain accounting period. The cash flow statement of Fischer Company for the current year is shown below. The net increase in cash at the end of the year is also shown here.

The given statement of cash flows shows the details of all the cash inflows and outflows in Fischer Company during the current year. The cash flow activities are segregated into three categories, namely operating activities, investing activities, and financing activities. These categories classify cash activities based on the nature of activities. The operating activities include all the cash flows arising from the primary activities of the company, investing activities include the cash inflows and outflows arising from long-term investment activities, and financing activities include all the cash flows arising from the long-term capital of the company. The operating activities are further segregated into the direct method and indirect method of cash flow calculation.

In the given statement, the net cash provided by operating activities is calculated using the indirect method, which is the difference between the cash inflows and outflows of operating activities. The net cash provided by investing activities is calculated by adding up all the cash inflows and outflows of the investing activities, and similarly, the net cash provided by financing activities is calculated by adding up all the cash inflows and outflows of financing activities. The net increase in cash is the difference between the cash balance at the beginning of the year and the end of the year. Therefore, the statement of cash flows of Fischer Company for the current year is as follows:

Statement of cash flows

Net increase in cash for the year: $16,400

Opening balance of cash: $19,400

Closing balance of cash: $35,800

The company has a net increase in cash of $16,400 during the current year, which has increased the cash balance to $35,800 at the end of the year.

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On December 31 , the end of the current fiscal year, a US company completed the sale of one business segment for $12.0 million. We know that the business segment qualifies as a component of thecompany, according to GAAP. Pleasealso consider the following additional information: - The book value of the assets of the segment was $8.5 million at the time of the sale. - The income from operations of the segment during the current year was $5.5 million. - Pretax income from other continuing operations for the year totaled $13.5 million. - The income tax rate is 25%. Pleaseprepare the lower portion of the current year income statement beginning with income from continuing operations before income taxes. Note: Loss amounts should be indicated with a minus sign. Enter your answers in whole dollars and not in millions. For example, $4,000,000 rather than $4

Answers

The value of total income before the income tax is $10.75 million and the value of loss on sale on business segment is -$3.5 million and the value of the taxes is $4.75 million.

Income from continuing operations before taxes for the current year for a US company is calculated by the following method:Income from continuing operations before income taxes= Income from operations of the business segment + Pretax income from other continuing operations- Loss on the sale of the business segment - Taxes on continuing operationsIncome from operations of the business segment was $5.5 million.

Book value of assets of the segment was $8.5 million and the sale value is $12 million, which means the profit is $3.5 million.Loss on sale of the business segment = Book value of assets of the segment - Sales price = $8.5 million - $12 million = -$3.5 million.

Pretax income from other continuing operations was $13.5 million.

Taxes = (Income from operations of the business segment + Pretax income from other continuing operations) * Tax rate= ($5.5 million + $13.5 million) * 25% = $4.75 million.

Income from continuing operations before income taxes= $5.5 million + $13.5 million - $3.5 million - $4.75 million= $10.75 million.

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The balance in the supplies account on May 1 was $5,300, supplies purchased during May were $700, and the supplies on hand at May 31 were $2,600. The adjusting entry required on May 31 is

DR: Supplies Expense $3,400; CR: Supplies $3,400

DR: Supplies Expense $2,600; CR: Supplies $2,600

DR: Supplies $2,700; CR: Supplies Expense $2,700

DR: Supplies $700; CR: Cash $700

Answers

Supplies adjustment entry: DR Supplies Expense $2,700; CR Supplies $2,700This adjusting entry debits the supplies expense account with the amount of supplies utilized throughout the month, $2,700. Additionally, it credits the supplies account with the same amount of $2,700.

The term supplies account refers to the assets, inventory, and materials a company purchases and utilizes during its day-to-day operations. The supplies account's balance may fluctuate regularly, depending on the supplies purchased and utilized throughout a specified period.Supplies accountThe balance in the supplies account on May 1 was $5,300. During May, the company bought supplies worth $700. At the end of the month, on May 31, the company had supplies worth $2,600.

To obtain the supplies used throughout the month, we must compute the difference between the supplies available at the start of the month and those available at the end of the month. Supplies used during the month = Supplies available at the start of the month - Supplies available at the end of the month.= $5,300 - $2,600= $2,700In this example, we are provided with the adjusting entry required on May 31: DR: Supplies $700; CR: Cash $700.

The entry implies that the company had paid for $700 worth of supplies that it would not be using until June, so it needs to adjust the records by moving the value of these supplies from cash to the supplies account since it has been paid for.

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Amazon is currently or was looking to select a city to house its second headquarters. They may have already selected it by now. What would you recommend a city in the competition for this second headquarters do to increase their chances of being selected? If Amazon has already selected a second headquarters, what could the cities that were not selected have done to have increased their chances of having been selected?

Answers

Amazon was looking to select a city to house its second headquarters. They may have already selected it by now. In the competition for this second headquarters, the city needs to take a few important measures that could increase its chances of being selected. Some of these measures are as follows:

1. Incorporate an approach of transparency and reduce bureaucratic procedures for Amazon’s project.

2. Submit a proposal that highlights the city's values, strengths, and aspirations, and why the city would be the ideal location for Amazon’s second headquarters.

3. Boost the amenities and infrastructure of the city to help Amazon flourish, from efficient transportation to housing and recreational opportunities. As Amazon is a customer-oriented company, cities can show how the city is prepared to address its customers' needs. A business-friendly atmosphere that recognizes the importance of innovation, technological growth, and employee education is also vital.

In addition to the above, the cities that were not selected could have done several things to increase their chances of being chosen, some of which are as follows:

1. Work with Amazon to gain insight into their choice, so they can improve on that for next time.

2. Evaluate and prioritize feedback from Amazon to learn and develop as a city.

3. Invite other significant businesses to the city to have an impact on Amazon's decision-making process.

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Can you think of any examples of unethical marketing? Or ways there has been government intervention to mitigate the unwarranted effects of unethical marketing (i.e. cigarettes in the 1980's)?

2. What are current examples of unethical marketing? Can you think of any?

Answers

Unethical marketing refers to the strategies and tactics of a company that are designed to deceive or manipulate customers, violate legal or ethical standards, or lead to harm.

Some examples of unethical marketing are as follows:False advertising Misleading claims about a productUnfair competition Selling unsafe or harmful products Exploiting vulnerable populations or childrenThe government has intervened in various ways to mitigate the unwarranted effects of unethical marketing, like cigarettes in the 1980s. In the 1990s, the government of the United States passed the Children's Online Privacy Protection Act (COPPA) to protect children from being tracked and targeted by online advertisers.Current examples of unethical marketing include:Invasion of privacy, which occurs when companies collect or use personal information without permission or misuse it for their own purposes.

For instance, using personal data to influence an individual’s political opinion or sharing data without user consent.Social media advertising, which uses influencers to sell a product or service without disclosing that it is a sponsored post. Additionally, some influencers may falsely claim they have used a product and/or the benefits it offers.Fake reviews, which is when companies pay people to write positive reviews, or write negative reviews about their competitors. This practice is used to sway consumers’ purchasing decisions and perception of a product or service.The promotion of unhealthy or harmful products, which includes tobacco, alcohol, or other addictive substances. Advertising these products can mislead consumers and have long-term harmful effects.

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If McDonald's Corp. had earnings of $4,986,320,000 in the last year, calculate the Price to Earnings ratio assuming the price per share is $54.7 and there are 1,126,600,000 shares outstanding. Choose the closest value. 11 12 20 91,000,000

Answers

If McDonald's Corp. had earnings of $4,986,320,000 in the last year, calculate the Price to Earnings ratio assuming the price per share is $54.7 and there are 1,126,600,000 shares outstanding.  The closest value is 12, so the Price to Earnings ratio is 12.

To calculate the Price to Earnings (P/E) ratio, you need to divide the market price per share by the earnings per share. The formula is:
P/E ratio = Market Price per Share / Earnings per Share
First, calculate the earnings per share by dividing the total earnings by the number of shares outstanding:
Earnings per Share = Total Earnings / Number of Shares Outstanding
Earnings per Share = $4,986,320,000 / 1,126,600,000
Earnings per Share ≈ $4.42
Now, you can calculate the P/E ratio by dividing the market price per share by the earnings per share:
P/E ratio = $54.7 / $4.42
P/E ratio ≈ 12.39
The closest value is 12, so the Price to Earnings ratio is 12.

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We start a year with $200 and receive $100 during the year. We also receive 10 percent interest at the end of the year, with the interest based on our starting balance. In this case, we end the year with $320. Determine the ending balance for the year if interest accrues on the average of our starting and ending balance.

Answers

To determine the ending balance for the year if interest accrues on the average of our starting and ending balance, we can follow these steps:

Calculate the average balance for the year:
  - Starting balance: $200
  - Ending balance: $320
  Average balance = (Starting balance + Ending balance) / 2
  Average balance = ($200 + $320) / 2
  Average balance = $520 / 2
  Average balance = $260


Therefore, if interest accrues on the average of our starting and ending balance, the ending balance for the year would be $326.

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New firms, mainly from newly industrialized countries, entering the world markets in computers and electronics is an example of a ______ driver.

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New firms, mainly from newly industrialized countries, entering the world markets in computers and electronics is an example of a market driver.

Any element or force that significantly affects a market's supply and demand dynamics is referred to as a market driver. It shapes market trends, affects consumer behaviour, and changes the nature of the competitive environment. In the cited example, a market driver is the introduction of new businesses from recently industrialised nations into the international market for computers and electronics.

In general, the entry of new companies from newly industrialised nations into the international market for computers and electronics acts as a market driver by promoting competition, extending the market's geographic reach, upsetting established players, and advancing the process of market globalisation.

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1. Why is sport management such a competitive field, and how can you prepare yourself for success?
2. What are some resources that you could use in seeking employment in sport management?
3. Identify 3 skills you currently feel you are above average in proficiency that will help you succeed in the sport management field. Explain why.
4. Identify 5 skills you need to improve on or learn in order to succeed in the sport management field. What steps will you need to take to develop or learn those skills?
5. Identify 1 person in the sport industry that would serve as a role model for you. Explain

Answers

The sports industry has grown to be more than just sports teams playing in games, but now includes merchandise sales, broadcasting, advertising, sponsorships, and ticket sales, among others. Preparing yourself for success in the sports management field would require gaining more knowledge about the industry.

getting hands-on experience through internships, volunteering or part-time work, and developing soft skills such as networking, communication, and problem-solving. Building a network of industry contacts is critical and attending sports industry conferences, seminars, and workshops could provide valuable opportunities to meet people and gain more knowledge.

Some resources that one could use in seeking employment in sport management include online job boards such as Indeed and Glassdoor, professional networking sites like LinkedIn, sports industry conferences and seminars, personal networking.

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Brand Extension and Secondary Associations in Branding - Evaluation of extensions and secondary associations of your chosen brand. 6. Branding and Consumers - Evaluation of consumer behaviour of your chosen brand. suppose that time, length, and force are expressed in units of minutes, inches, and tons, respectively. if units are to be consistent, what is the magnitude of one unit of mass? 16 slugs Describe the aspects of the paper-based artifact that informed the digital application. What is the Gini Co-efficient? What does it measure and mean? What has been happening to this measure in the U.S over the last 50 years? 8. What is the number of the Gini Co-efficient when a country is 100% equal? Explain. 9. What is the number of the Gini co-elficient when a country is completely unequal? (one person in a country has ALL the income) Explain 70. What is the differencen between wealth and income? Calculate the final velocity of each particle when they reach the negative plate Now, le's use the balance sheet and income statement provided for Watkins Inc. to answer the last five questions of the exam. You will also need Table 3.6 from your eBook (or Blackboard) for the financial statement ratios. First, what is the Times Interest Earned ratio for the year ended December 31,2021 ? a. 7.29 b. 6.08 c. 6.20 d.8.77 Balance Sheet Current Assets Cash And Cash Equivalents Net Receivables Inventory Other Current Assets Total Current Assets Long Term Investments Property. plant and equipment Goodwill Intangible Assets Other Assets Total Non Current Assets Total Assets 12/31/22 Current Liabilities Accounts Payable Short/Current Long Term Debt Deferred Revenue Other Current Liabilities Total Current Liabilities Long Term Debt Other Liabilities Total Non Current Liabilities Total Liabilities 2,399,000 4,34,000 3,370,000 1,744,000 11,862,000 0 4,749,000 25,714,000 14,014,000 1,850,000 46,327,000 58,189,000 Stockholders' Equity Common Stock Capital Surplus Retained Earnings Treasury Stock Total Stockholders' Equity Total Liabilities and Stockholders' Equity 1,633,000 676,000 784,000 3,108,000 6,201,000 17,076,000 5,237,000 22,313,000 28,514,000 Income Statement Total Revenue Cost of Revenue Gross Profit Research Development Selling General and Administrative EBITDA Depreciation and Amortization Earnings Before Interest and Taxes (EBIT) Interest Expense Income Before Tax Income Tax Expense Net Income Year Ended 12/31/22 25,542,000 13,715,000 11,827,000 1,003,000 4,517,000 6,307,000 1,713,000 4,594,000 524,000 4,070,000 374,000 3,696,000 Radio stations often advertise "instant news." If that means you can hear the news the instant the radio announcer speaks it, is the claim true? What approximate time interval is required for a message to travel from Maine to California by radio waves? (Assume the waves can be detected at this range.) Shiny, popular K-Pop female band composed a new song "All About You". The song was recorded in a studio and the copy of the sound recording of the song was first released to the public in South Korea on 1 January 2020. Shiny plans to visit Malaysia on 20 January 2020 and ask you if their song is qualified to be protected under Malaysian Copyright Act 1987.The answer should have (Issue, Law, Application, Conclusion) a nurse is getting change of shift report for a client that was admitted with atrial fibrillation with rapid ventricular rate in the 130's. the night shift nurse reports that the heart rate alarms were going off all night and the client couldnt sleep. the alarms were turned off since the client had known atrial fibrillation and was not getting additional treatment. what should the oncoming nurse do? Write in standard form the equation of the parabola passing through the given points. (3,4),(-2,9),(2,1) . The Howe family recently bought a house. The house is a 30-yen $256,384.00 mortgage with monthly payments and a nominal interest rate of 4.5 percent. What is the total dollar amount of principal the family will pay during the first 4 years of their mortgage? (Assume that all payments are made at the end of the month.) O $17,719.60 O $18,719.60 O $19,719.60 O $20,719.60 O $21,719.60