which company is considered the gold standard as an erp vendor? group of answer choices microsoft epicor oracle sap infor erp

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Answer 1

SAP (Systems, Applications, and Products) is widely regarded as the gold standard among ERP (Enterprise Resource Planning) vendors.

SAP is a German multinational software company that offers a wide range of enterprise software solutions, including ERP, CRM (Customer Relationship Management), and SCM (Supply Chain Management) systems. SAP's ERP software is known for its robust functionality, scalability, and flexibility, making it a popular choice for large organizations with complex business processes. SAP's ERP software is also highly customizable, allowing organizations to tailor the software to their specific business needs. Additionally, SAP's extensive ecosystem of partners and consultants provides organizations with a wide range of implementation and support options. Overall, SAP's ERP software is considered the industry standard for large organizations seeking a comprehensive, scalable, and flexible solution.

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if full-employment output exceeds equilibrium output, greater deficit spending will definitely result in a

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If full-employment output exceeds equilibrium output, greater deficit spending will definitely result in a larger aggregate demand. Here's a step-by-step explanation:

1. Full-employment output is the level of output where all resources, including labor, are fully utilized in the economy.
2. Equilibrium output is the level of output where aggregate demand equals aggregate supply.
3. If full-employment output exceeds equilibrium output, it means that the economy is operating below its potential.


4. Greater deficit spending by the government can stimulate the economy by increasing aggregate demand, which is the total demand for goods and services.
5. As deficit spending increases, it leads to higher demand for goods and services, resulting in a larger aggregate demand.


6. This increase in aggregate demand helps to move the economy closer to full-employment output, reducing the gap between the two levels of output.

So, greater deficit spending will definitely result in a larger aggregate demand when full-employment output exceeds equilibrium output.

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your personal opinion is that a security has an expected rate of return of 0.11. it has a beta of 1.5. the risk-free rate is 0.05 and the market expected rate of return is 0.09. according to the capital asset pricing model, this security is

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Consistent with the CAPM, the security is fairly priced, on the grounds that its anticipated return is same to the specified return based totally on its risk and the market chance premium  

According to the Capital Asset Pricing model (CAPM), the anticipated return of a security is given by using the formulation:

Expected return = risk-free rate + Beta x (market predicted return - risk-free charge)

Plugging inside the given values, we get:

Predicted return = 0.05 + 1.5 x (0.09 - 0.05) = 0.11

This means that the anticipated return of the safety is equal for your personal opinion of its predicted price of return.

Consequently, consistent with the CAPM, the safety is fairly priced

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The capital asset pricing model, this security is the security is reasonably priced in accordance with the CAPM on the grounds that its expected return is equal to the stipulated return and is solely based on its risk and the market risk premium.

The capital asset pricing model (CAPM) estimates a security's expected return using the following formula Risk-free rate plus beta (market-predicted return minus risk-free charge) equals expected return.

A security has an expected rate of return of 0.11. it has a beta of 1.5. The risk-free rate is 0.05 and the market expected rate of return is 0.09. When we insert the specified values, we obtain: Predicted return equals 0.05 plus 1.5 times (0.09 - 0.05) equals 0.11. With the supplied data filled in, we obtain: Predicted return = 0.05 + 1.5 x (0.09 - 0.05) = 0.11 This indicates that the safety's expected return is equivalent to your subjective assessment of its expected price of return. Consequently, the safety is fairly priced according to the CAPM.

Complete question:

your personal opinion is that a security has an expected rate of return of 0.11. it has a beta of 1.5. the risk-free rate is 0.05 and the market expected rate of return is 0.09. according to the capital assetpricing model, this security is CAPM ?

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Suppose a monopolist automobile manufacturer convinces its steel supplier to refuse to sell steel to a start-up rival automobile manufacturer. This is an example of
Select one:
a. an exclusionary practice.
b. a network externality.
c. predatory pricing.
d. dumping.
e. economies of scale.

Answers

An illustration of this is when a monopolist automaker persuades its steel supplier to forbid selling steel to a fledgling rival automaker. This is an exclusionary practice.

In this case, the monopolist is engaging in exclusionary behaviour by leveraging its position to bar competitors from essential commodities like steel. Setting artificially low rates for a product in an effort to drive out the competition is known as predatory pricing.

When a nation or business exports a good at a lower price than it would otherwise charge in its domestic market, this is known as dumping. Contracts, pricing plans, and other more general activities done by dominant enterprises to prevent new competitors from entering a market, force competitors to leave, etc., are examples of exclusionary practises.

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suppose exchange rates are defined as foreign currency per dollar and foreign goods per u.s. goods. according to purchasing-power parity, if the price of a basket of goods in the united states rose from $1,500 to $2,000 and the price of the same basket of goods rose from 600 units of some other country's currency to 1,000 units of that country's currency, then the

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According to purchasing-power parity,exchange rate would have remained unchanged.

Purchasing power parity (PPP) is a theory that suggests that exchange rates should adjust in the long run so that the same basket of goods should cost the same in different countries when expressed in a common currency, after accounting for exchange rates. In other words, PPP implies that changes in relative prices of goods should be reflected in changes in exchange rates.

In the given scenario, the price of the basket of goods in the United States increased from $1,500 to $2,000, indicating an increase in prices. Similarly, the price of the same basket of goods in the other country increased from 600 units of their currency to 1,000 units of their currency, also indicating an increase in prices. However, the ratio of the price levels remains the same: $2,000/$1,500 = 1.33 and 1,000/600 = 1.67, which means that the relative price levels have increased by the same proportion in both countries.

According to PPP, the exchange rate should adjust to reflect the changes in relative price levels. Since the relative price levels have increased by the same proportion in both countries, the exchange rate between the two currencies would remain unchanged. This is because the changes in the price levels would offset each other, and the exchange rate would need to remain at the same level to maintain the purchasing power parity.

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Consider an asset that costs $519,200 and is depreciated straight-line to zero over its 12-year tax life. The asset is to be used in a 6-year project; at the end of the project, the asset can be sold for $64,900.If the relevant tax rate is 24 percent, what is the aftertax cash flow from the sale of this asset?

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To calculate the after-tax cash flow from the sale of the asset, we need to first determine the book value of the asset at the end of the 6-year project.

Since the asset is being depreciated straight-line to zero over its 12-year tax life, the annual depreciation expense is $519,200/12 = $43,267.

After 6 years, the accumulated depreciation is $43,267 x 6 = $259,602, and the book value of the asset is $519,200 - $259,602 = $259,598.

Now we can calculate the taxable gain on the sale of the asset, which is the sale price ($64,900) minus the book value ($259,598) = -$194,698 (a loss).

However, since the relevant tax rate is 24 percent, we can use this to calculate the tax savings on the loss:

Tax savings = Tax rate x Loss

Tax savings = 0.24 x (-$194,698) = $46,727

Therefore, the aftertax cash flow from the sale of the asset is the sale price ($64,900) plus the tax savings ($46,727) = $111,627.

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why is the auditor more concerned with controlling the exposure to the risk of incorrect acceptance than with the risk of incorrect rejection?

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The auditor is more concerned with controlling the exposure to the risk of incorrect acceptance than with the risk of incorrect rejection because incorrect acceptance poses a greater threat to the accuracy and integrity of financial statements.

Incorrect acceptance means that the auditor has given a clean opinion on financial statements that contain material misstatements or errors, which can lead to inaccurate decision-making by investors or other stakeholders. On the other hand, incorrect rejection means that the auditor has identified material misstatements or errors in the financial statements but has not issued a clean opinion, which can result in additional review and potential adjustments but does not compromise the accuracy of the financial statements. Therefore, the auditor prioritizes controlling the risk of incorrect acceptance to ensure the reliability and credibility of the financial statements.
Hi! An auditor is more concerned with controlling the exposure to the risk of incorrect acceptance than with the risk of incorrect rejection because incorrect acceptance can lead to a material misstatement in the financial statements. This could result in users making decisions based on inaccurate information. Incorrect rejection, on the other hand, may require additional audit work but does not have the same level of impact on the users of financial statements. Therefore, auditors prioritize controlling incorrect acceptance risk to ensure the reliability and accuracy of financial information.

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true or false most database management systems can import each other’s file formats, and they can also read directly each other’s files.

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"Most database management systems (DBMS) can import each other’s file formats and also read each other’s files", the given statement is true.This is possible because most DBMS adhere to standard database formats such as SQL, which allows for compatibility among different database software.

Most DBMS have the capability to export and import data using standard file formats such as CSV, XML, or JSON. These file formats can be easily read and understood by different DBMS.

There may be certain limitations or compatibility issues when importing or exporting data between different DBMS. For instance, some DBMS may not support certain data types or structures that are present in the file being imported. In such cases, the user may need to modify the data or the schema to ensure compatibility.

Some DBMS may have different performance levels or optimization strategies, which may affect the way data is stored or retrieved. Thus, while it is possible to import and export data between different DBMS, it is important to ensure that the data is consistent and accurate after the transfer.

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according to the authors, which of the following is/are a business value adding (bva) step? select all that apply. question 16 options: check purchase order for accuracy. check customer's credit history and rating. issue invoice collect payment seek and record customer feedback

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1. Check purchase order for accuracy. 2. Check customer's credit history and rating. 3. Issue invoice. 4. Collect payment. 5. Seek and record customer feedback.

All of these steps are considered BVA because they add value to the business by ensuring accuracy, improving customer relations, and facilitating timely payment.
According to the authors, the following steps can be considered Business Value Adding (BVA) steps:

1. Check purchase order for accuracy.
2. Check customer's credit history and rating.
3. Issue invoice.
4. Collect payment.
5. Seek and record customer feedback.

These steps contribute to the overall value of the business by ensuring accuracy, evaluating customer reliability, facilitating transactions, and gathering feedback for continuous improvement.

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if the february demand for a product is 5,000 units and the seasonal index for february is 0.75, what is the deseasonalized february demand? question 10 options: 3,750 6,667 8,750 10,000 15,000

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The deseasonalized February demand is 6,667 units. The correct option is 6667.

To calculate the deseasonalized February demand, we need to divide the February demand by the seasonal index. In this case, the February demand is given as 5,000 units and the seasonal index for February is 0.75. So, to find the deseasonalized February demand, we can use the following formula:

Deseasonalized February Demand = February Demand / Seasonal Index
Deseasonalized February Demand = 5,000 / 0.75
Deseasonalized February Demand = 6,667 units

Therefore, the deseasonalized February demand is 6,667 units. This means that if we remove the seasonal variation from the February demand, we can expect to sell 6,667 units of the product in February. This information is useful for forecasting future demand and planning production levels accordingly. The correct option is 6667.

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wimpy incorporated produces and sells a single product. the selling price of the product is $150.00 per unit and its variable cost is $58.50 per unit. the fixed expense is $366,915 per month. The break-even in monthly dollar sales is closest to: (Round your intermediate calculations to 2 decimal places.) Multiple Choice $601,500 $366,915 $636,408 $940,808

Answers

The break-even point in monthly dollar sales is closest to $601,500. The correct option is A.

To find the break-even point in monthly dollar sales for Wimpy Incorporated, we need to follow these steps:

1. Calculate the contribution margin per unit: Selling price per unit - Variable cost per unit


2. Calculate the contribution margin ratio: Contribution margin per unit / Selling price per unit


3. Calculate the break-even point in units: Fixed expenses / Contribution margin per unit


4. Calculate the break-even point in monthly dollar sales: Break-even point in units * Selling price per unit

Now let's use the given data to perform these calculations:

1. Contribution margin per unit: $150 - $58.50 = $91.50


2. Contribution margin ratio: $91.50 / $150 = 0.61


3. Break-even point in units: $366,915 / $91.50 = 4,009.10 units (rounded to 2 decimal places)


4. Break-even point in monthly dollar sales: 4,009.10 units * $150 = $601,365

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Complete question:

wimpy incorporated produces and sells a single product. the selling price of the product is $150.00 per unit and its variable cost is $58.50 per unit. the fixed expense is $366,915 per month. The break-even in monthly dollar sales is closest to: (Round your intermediate calculations to 2 decimal places.:

a. $601,500

b. $366,915

c. $636,408

d. $940,808

If Morales and Rolfes Supply negotiate for the purchase and sale of a supply of fuel for a three­year period for Morales’ business:a. contract may indicate a method for determining the price, without stating a definite priceb. Morales and Rolfes must depend on the UCC’s gap­filler provisions to determine a pricesince the fuel is a "good" covered by Article 2 of the UCC.c. the contract price must remain the same for the entire three­year contractual period.

Answers

If Morales and Rolfes Supply negotiate for the purchase and sale,  Morales’ business contract may indicate a method for determining the price, without stating a definite price. So, Option (a) is correct.

Under the Uniform Commercial Code (UCC), which governs the sale of goods in the United States, a contract for the sale of goods may be enforceable even if the price is not stated or determined at the time of contracting. This is because the UCC provides for gap-filling rules that can be used to supply missing terms, including the price.

In the case of Morales and Rolfes Supply negotiating for the purchase and sale of fuel for a three-year period, the contract may indicate a method for determining the price, such as a formula based on market prices or a pricing index.

As long as the method for determining the price is specified in the contract, the contract can be enforceable even if a definite price is not stated.

However, if the contract does not specify a method for determining the price, or if the method is unclear or ambiguous, then the UCC's gap-filling provisions would need to be used to determine a reasonable price for the fuel.

Overall, the UCC's gap-filling rules provide a flexible framework for determining the price in contracts for the sale of goods, allowing parties to enter into enforceable agreements even if all terms, including price, are not fully specified.

So, Option (a) is correct.

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assume that elijah has $20,000 of taxable income and the tax bracket rates are 10% for income between $0 to $5,000; 15% for income from $5,001 to $14,000 ; and 20% for income greater than $14,001. how much tax would he owe. 3050 2050 2225 125

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Based on the given taxable income and the tax bracket rates, the tax amount owed by Elijah is $3,050. Therefore, the correct option is option 1.

It is given that Elijah's taxable income of $20,000. The amount of tax he owe can be calculated based on the given tax bracket rates.

In order to calculate the tax amount, follow these steps:

1. For the income between $0 to $5,000, he pays 10%, which is $5,000 * 0.10 = $500.

2. For the income from $5,001 to $14,000, he pays 15%. This range covers $9,000, so it's $9,000 * 0.15 = $1,350.

3. For the income greater than $14,001, he pays 20%. His remaining income is $6,000, so it's $6,000 * 0.20 = $1,200.

Now, summing up the taxes from all brackets:

$500 + $1,350 + $1,200 = $3,050.

Therefore, Elijah would owe $3,050 in taxes which corresponds to option 1.

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Dividend Policy Integrated Waveguide Technologies Inc. (IWT) is a 6-ycar- old company founded by Hunt Jackson and David Smithfield to exploit meta material plasmonic technology to develop and manufacture miniature microwave frequency directional transmitters and receivers for use in mobile Internet and communications applications. IWT's technology, although highly advanced. is relatively inexpensive to implement, and its patented manufacturing techniques require little capital as compared to many electronics fabrication ventures. Because of the low capital requirement, Jackson and Smithfield have been able to avoid issuing new stock and thus own all of the shares Because of the explosion in demand for its mobile Internet applications, IWT must now access outside equity capital to fund its growth, and Jackson and Smithfield have decided to take the company public. Until now. Jackson and Smithfield have paid themselves reasonable salaries but routinely reinvested all after-tax earnings in the firm, so dividend policy has not been an issue. However, before talking with potential outside investors, they must decide on a dividend policy Your new boss at the consulting firm, Flick and Associates. which has been retained to help IWT prepare for its public offering, has asked you to make a presentation to Jackson and Smithfield in which you review the theory of dividend policy and discuss the following issues a (1) What is meant by the term "distribution policy? How has the mix of dividend payouts and stock repurchases changed over time? (2) The terms "irrelevance" "dividend preference for "bird-in-the-hand"), and "tax effect" have been used to describe three major theories regarding the way dividend payouts affect a firm's value. Explain these terms, and briefly describe each theory (3) What do the three theories indicate regarding the actions management should take with respect to dividend payouts? (4) What results have empirical studies of the dividend theories produced? How does all this affect what we can tell managers about dividend payouts? b. Discuss: (1) the information content, or signaling. hypothesis, (2) the clientele effect, and (3) their effects on distribution policy

Answers

1. Distribution policy refers to the way in which a company chooses to distribute its earnings to its shareholders. This can be done through dividend payouts or stock repurchases.

2. The three major theories regarding how dividend payouts affect a firm's value are:

The irrelevance theory: This theory states that a firm's value is not affected by its dividend policy, as investors are indifferent between receiving dividends and capital gains. The dividend preference (or "bird-in-the-hand") theory: This theory suggests that investors prefer current dividends over future capital gains because dividends are certain, whereas capital gains are uncertain. The tax effect theory: This theory suggests that investors prefer capital gains over dividends because capital gains are taxed at a lower rate.

3. The three theories indicate that management should take different actions with respect to dividend payouts. Under the irrelevance theory, management should be indifferent between paying dividends and retaining earnings.

4. Empirical studies of dividend theories have produced mixed results. Some studies support the irrelevance theory, while others support the dividend preference theory or the tax effect theory.

B. The information content (or signaling) hypothesis suggests that dividend payouts can signal to investors that a company is financially healthy and has strong growth prospects.

2. The clientele effect refers to the fact that different investors have different preferences for dividend payouts.

3. The effects of the information content and clientele hypotheses on distribution policy are that companies should consider the preferences of their investors when deciding on their dividend policy.

A distribution policy refers to a set of guidelines and strategies used by organizations to allocate their products or services to customers or end-users. The goal of a distribution policy is to ensure that the products or services reach the intended target market in an efficient and effective manner, while also maximizing profitability for the organization.

Distribution policies may include decisions about the types of distribution channels used (e.g. direct sales, wholesalers, retailers), pricing strategies for each channel, and the selection of distribution partners. Other considerations may include inventory management, order fulfillment processes, and customer service and support. Effective distribution policies can help organizations gain a competitive edge by reaching customers more quickly and efficiently than their competitors.

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Exclusions in a homeowner's insurance policy are things that ____. A) are perils that are not specifically covered by the policy B) are perils that are specifically covered by the policy С) not referred to in the policy D) are covered by the policy but are not attached to the home (i.e. sheds, detached garage etc.)

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Things that are exlusions in a homeowner's insurance policy are perils that are not specifically covered by the policy, option a.

Exclusions in a homeowner's insurance policy are things that are perils that are not specifically covered by the policy, option A.

This means that certain risks or events, referred to as perils, may not be covered by the insurance policy. It is important for homeowners to carefully review their policy and understand what is and is not covered in order to avoid any surprises or gaps in coverage.

Homeowners insurance is a type of property insurance that protects a person's home, furniture, and other belongings from losses and damage. Liability protection against mishaps in the house or on the property is frequently included in homeowner insurance.

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to decide whether fits the data better you cannot consult the regression r2 because

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To find out whether Yi = β0 + β1X + ui or ln(Yi) = β0 + β1X + ui is going to fir the data better we cannot use the R2 regression as TSS cannot be measured  in same units which are present between the two models.

The correct option is option b.

TSS or the total sum of squares in regression is basically the sum of the square of difference which is present between each of the data point from the mean value of all the values of the target variable which is (y).

TSS can be calculated as ESS + RSS, where ESS is the Explained Sum of Squares and the RSS is Residual Sum of Squares. The primary target of Regression analysis is to be able to tell the variation of the dependent variable Y. TSS although cannot be used to check if same units are there between two models and therefore cannot tell if Yi = β0 + β1X + ui or ln(Yi) = β0 + β1X + ui fits the data.

Hence, the correct option is option b.

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--The given question is incomplete, the complete question is

"To decide whether Yi = β0 + β1X + ui or ln(Yi) = β0 + β1X + ui fits the data better, you cannot consult the regression R2 because:

A) ln(Y) may be negative for 0<Y<1.

B) the TSS are not measured in the same units between the two models.

C) the slope no longer indicates the effect of a unit change of X on Y in the log-linear model.

D) the regression R2 can be greater than one in the second model."--

An independent contractor is one who works for, and receives payment from, an employer but whose working conditions and methods are not controlled by the employer. An independent contractor is not an employeebut may be an agent.

Answers

An independent contractor is an individual who provides services to an employer and gets compensated for their work, but the employer does not control how they work or their working conditions.

An independent contractor is a self-employed individual or business entity who provides services to another entity under the terms of a contract or agreement.

Independent contractors are not considered employees of the entity that hires them, as they are not subject to the same level of control and direction as employees.

Independent contractors typically have greater control over their working conditions, such as when and where they work, the equipment and tools they use, and the methods they employ to complete their work. They are also responsible for their own taxes, insurance, and other business expenses.

However, independent contractors may still act as agents of the entity that hires them, meaning they may be authorized to act on behalf of that entity in certain circumstances. For example, a freelance writer hired by a company to create content for their website may be considered an independent contractor, but may also be authorized to speak on behalf of the company in their writing.

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the complete question is:

who is the One who works for and is paid by an employer but whose working conditions and methods are not under the employer's control. An independent contractor is not an employee, but rather a representative.

Classifying Consumer Products
The four types of consumer products differ in terms of the (1) effort the consumer spends on the decision, (2) attributes used in making the purchase decision, and (3) frequency of purchase. Convenience items are items that the consumer purchases frequently, conveniently, and with a minimum of shopping effort. Shopping products are items for which the consumer compares several alternatives on criteria such as price, quality, or style. Specialty products are items that the consumer makes a special effort to search out and buy. Unsought products are items that the consumer either does not know about or knows about but does not initially want.
Two broad categories of products widely used in marketing relate to the type of user. Consumer products are products purchased by the ultimate consumer, whereas business products (also called B2B products or industrial products) are products organizations buy that assist in providing other products for resale. In this exercise, we will study the four different types of consumer products.

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The four types of consumer products differ in terms of (1) effort  consumer spends on the decision, (2) attributes used in making the purchase decision, (3) frequency of purchase. These types are: 1. Convenience items, 2. Shopping products, 3. Specialty products and 4. Unsought products

1. Convenience items: These are products that consumers purchase frequently, conveniently, and with minimal shopping effort. Examples include everyday items like toothpaste, snacks, and household cleaning supplies.

2. Shopping products: These are items for which the consumer compares several alternatives on criteria such as price, quality, or style. Examples include clothing, appliances, and electronics.

3. Specialty products: These are items that the consumer makes a special effort to search out and buy. Examples include luxury items like high-end watches, designer handbags, and unique pieces of art.

4. Unsought products: These are items that the consumer either does not know about or knows about but does not initially want. Examples include life insurance, funeral services, and various subscription-based products.

Two broad categories of products widely used in marketing relate to the type of user: consumer products and business products (also called B2B market products or industrial products). Consumer products are purchased by the ultimate consumer, while business products are items organizations buy that assist in providing other products for resale. In this exercise, we studied the four different types of consumer products.

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Use Gaussian elimination to find the complete solution to the following system of equations, or show that none exists 9x1 + 20x2 + 7x3 = 20; 4x1 + 9x2 + 5x3 = -1; x1 + 2X2 - 3X3 = 3 . Select the correct choice below and, if necessary, fill in the answer box(es) to complete your choice. O A. The unique solution is x1= __,x2= __, and x3 = __X2 OB. The system has infinitely many solutions. The solution is x1 = __ , x2= _, and x3 =t (Simplify your answer. Type an expression using t as the variable.) OC. The system has infinitely many solutions. The solution is x1=__ .X2 =s, and x3 = t. (Simplify your answer. Type an expression using s and t as the variables.) D. There is no solution.

Answers

From the above equation information, the correct answer is (c) The system has infinitely many solutions. The solution is x1 = (60t - 37s - 320)/329, x2 = (81s - 20t + 240)/329, and x3 = t.

Using Gaussian elimination, we can obtain the row echelon form of the augmented matrix as:

[ 9   20   7   |  20 ]

[ 4    9   5   |  -1 ]

[ 1    2  -3   |   3 ]

Adding -4 times the first row to the second row and -1 times the first row to the third row, we get:

[ 9   20    7   |  20 ]

[ 0  -11  -13   | -81 ]

[ 0  -18  -10   | -17 ]

Adding 9/11 times the second row to the third row, we get:

[ 9   20    7    |  20 ]

[ 0  -11  -13    | -81 ]

[ 0    0 -658/11 | -725/11 ]

Therefore, the system is consistent and has infinitely many solutions. The solution can be expressed as:

x1 = (60t - 37s - 320)/329

x2 = (81s - 20t + 240)/329

x3 = t

where s and t are free parameters. Thus, the correct choice is option (C): The system has infinitely many solutions. The solution is x1 = (60t - 37s - 320)/329, x2 = (81s - 20t + 240)/329, and x3 = t.

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Kavanaugh Inc. has a target capital structure of 60% common equity and 40% debt to fund its $8 billion in operating assets. Furthermore, Kavanaugh Inc. has a WACC of 14%, a before-tax cost of debt of 8%, and a tax rate of 25%. The company's retained earnings are adequate to provide the common equity portion of its capital budget. Its expected dividend next year (D1) is $2, and the current stock price is $29.
What is the company's expected growth rate? Do not round intermediate calculations. Round your answer to two decimal places.
_______%
If the firm's net income is expected to be $1.4 billion, what portion of its net income is the firm expected to pay out as dividends? Do not round intermediate calculations. Round your answer to two decimal places. (Hint: Refer to Equation below.)
Growth rate = (1 - Payout ratio)ROE
_______%

Answers

The company's expected growth rate is 9.45%.

The portion of net income that the firm is expected to pay out as dividends is 14.29%.

To calculate the expected growth rate, we first need to find the cost of equity using the WACC formula:

WACC = (E/V x Re) + (D/V x Rd x (1 - T))

where E is the market value of equity, D is the market value of debt, V is the total market value of the firm, Re is the cost of equity, Rd is the cost of debt, and T is the tax rate. Rearranging the formula to solve for Re, we get:

Re = WACC x V/E - Rd x D/E x (1 - T)

Plugging in the given values, we get Re = 17.6%.

Next, we use the Gordon growth model to calculate the expected growth rate:

P0 = D1/(Re - g)

where P0 is the current stock price, D1 is the expected dividend next year, and g is the expected growth rate. Rearranging the formula to solve for g, we get:

g = (Re - D1/P0)

Plugging in the given values, we get g = 9.45%.

To calculate the portion of net income that the firm is expected to pay out as dividends, we use the payout ratio formula:

Payout ratio = Dividends/Net income

Rearranging the formula to solve for dividends, we get:

Dividends = Payout ratio x Net income

Plugging in the given values, we get Dividends = $200 million. Therefore, the portion of net income that the firm is expected to pay out as dividends is 14.29% ($200 million/$1.4 billion).

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on february 3, smart company sold merchandise in the amount of $3,900 to kennedy company, with credit terms of 3/10, n/30. the cost of the items sold is $2,725. smart uses the perpetual inventory system and the gross method. kennedy pays the invoice on february 8 and takes the appropriate discount. the journal entry that smart makes on february 8 is:

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Smart records this transaction as a debit to Accounts Receivable for the full amount of $3,900 and a credit to Sales Revenue for the same amount. Smart also records a debit to Cost of Goods Sold for $2,725 and a credit to Inventory for the same amount to adjust for the reduction in inventory due to the sale.

The journal entry that Smart makes on February 8 is:
Debit: Accounts Receivable $3,900
Credit: Sales Revenue $3,900
Debit: Cost of Goods Sold $2,725
Credit: Inventory $2,725

On February 3, Smart sold merchandise worth $3,900 to Kennedy Company with credit terms of 3/10, n/30. This means that if Kennedy Company pays within 10 days, they can take a 3% discount on the total amount. The cost of goods sold for Smart is $2,725. Smart uses the perpetual inventory system and the gross method, which means they record the sale at the full amount and then adjust for the discount when the payment is received.
When Kennedy Company pays on February 8 and takes the discount, the amount they pay is $3,900 - (3% x $3,900) = $3,783.
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the marginal product of labor is constant at 1 unit for every additional unit of labor. the monopolist hires labor in a perfectly competitive market at the wage rate of $5 per hour. question how many units of labor should the firm employ to maximize profits?

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Since the marginal product of labor is constant at 1 unit, the monopolist's marginal revenue product of labor (MRPL) is also $5 per hour, which is equal to the wage rate.

To maximize profits, the monopolist should hire labor until the MRPL equals the wage rate. This occurs at the point where the marginal cost of labor (MCL) equals the wage rate. Since the MCL is the same as the wage rate of $5 per hour, the monopolist should hire labor until the point where the marginal cost of the last unit of labor equals $5.

In other words, the monopolist should hire labor until the point where the value of the last unit of labor produced equals its cost, which in this case is when one unit of labor is employed. Therefore, the monopolist should employ one unit of labor to maximize profits.

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4 Bates received a deed to land from Jones. To ensure that Jones cannot sell the land fraudulently to someone else. Bates should record the deed. Recording the deed gives what kind of notice? A Actual OB Constructive © C Implied OD Inquiry Question 5 1 pts 5 In the sales comparison approach to value, if a comparable property lacks an amenity that the subject property has the appraiser should O A add an amount for the value of the amenity to the final estimate of value for the subject OB deduct an amount for the value of the amenity from the sales price of the comparable. Cadd an amount for the value of the amenity to the sales price of the comparable OD subtract an amount for the value of the amenity from the final estimate of value for the subject D Question 6 1 pts 6 When an instrument is recorded in the public records it notifies the publicat are of its existence This notification is called A Actual notice O B Constructive notice O C Implied notice OD Express notice

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Recording the deed gives Constructive notice. Option B is correct. the appraiser should Add an amount for the value of the amenity to the sales price of the comparable. Option A is correct. When an instrument is recorded in public records, it notifies the public of its existence. This notification is called Constructive notice. Option B is correct.

Recording a deed provides constructive notice, meaning it alerts the public that the land has been transferred to Bates and prevents Jones from fraudulently selling it to someone else. Hence option B is correct.

The appraiser should adjust the sales price of the comparable property by adding an amount for the value of the amenity that it lacks. This allows for a more accurate comparison between the subject property and the comparable property. Hence option A is correct.

When an instrument, such as a deed, is recorded in public records, it provides constructive notice. This means that the public is made aware of its existence, even if they have not personally seen or read the document. hence option B is correct.

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Effective project management involves utilizing a variety of important skills and tools in order to get projects completed on-time and on budget. How do you feel the reflections element can improve or enhance future projects?

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The reflections element is a critical part of effective project management, as it provides an opportunity for the team to evaluate their performance and identify areas for improvement.

Reflections can be conducted at different stages of the project, including before, during, and after the completion of the project.

By reflecting on past projects, project managers and team members can identify what worked well and what did not. They can also evaluate the effectiveness of the tools and skills used, and identify areas where they need to improve. The information gathered from reflections can be used to develop new strategies, refine existing processes, and enhance future projects.

Reflections can also facilitate communication and collaboration within the team, as it provides an opportunity for everyone to share their experiences and perspectives. This can help to build a stronger team, as everyone has a better understanding of each other's strengths and weaknesses.

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given after tax income of $422 million, sales of $1,500 million and divisional assets of $2,700 million, roi equals ______.

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ROI equals 15.63% with $422 million in after-tax income, $1 500 million in sales, and $2 700 million in divisional assets.

The return on investment (ROI) is a financial ratio that measures the profitability of an investment. It is calculated by dividing the profit (or net income) by the investment amount. In this case, we are given the after-tax income, sales revenue, and divisional assets, and we can use this information to calculate the ROI as follows:

ROI = After-tax Income / Divisional Assets

ROI = $422 million / $2,700 million

ROI = 0.1563 or 15.63%

This means that for every dollar invested in the divisional assets, the company generated a return of 15.63 cents in after-tax income. The ROI can be used to assess the profitability of the division and compare it to other divisions or to industry benchmarks.

An ROI higher than the cost of capital indicates that the division is generating value for the company, while an ROI lower than the cost of capital suggests that the division may not be profitable enough to justify the investment.

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for individuals, stocks and bonds are better investment choices than mutual funds because money is pooled from many investors for stocks and bonds. group starts
a. true b. false

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The given statement is false.for individuals, stocks and bonds are better investment choices than mutual funds because money is pooled from many investors for stocks and bonds. group starts

Mutual funds pool money from many investors to purchase a diversified mix of stocks, bonds, or other assets. By pooling money from many investors, mutual funds are able to offer access to a diversified portfolio of investments that would be difficult or costly for an individual to build on their own. This diversification helps to reduce risk by spreading investments across multiple assets, which can help to offset losses in one area with gains in another.

While individuals can also invest directly in stocks and bonds, doing so carries more risk than investing in a mutual fund, as it involves putting all of one's eggs in one basket. Investing in a mutual fund can help to spread risk across a broad range of assets, which can reduce the impact of any one investment performing poorly.

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suppose a monopoly is producing at the profit-maximizing level of output. at that level of output: price is equal to marginal cost. , not selected marginal revenue is less than marginal cost. , not selected marginal revenue is greater than marginal cost. , not selected price is less than marginal cost. , not selected marginal revenue equals marginal cost.

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In a monopoly, the monopolist has control over the entire market and can set the price and quantity of output. The correct answer is: price is equal to marginal cost.

The monopolist's goal is to maximize its profit, which occurs when marginal revenue (MR) equals marginal cost (MC). This is because MR represents the additional revenue from selling one more unit of output, and MC represents the additional cost of producing one more unit of output.

At the profit-maximizing level of output for a monopoly, the monopolist will set the output level where MR equals MC, and this will also be the level where price is equal to marginal cost. This is because the monopolist will choose the quantity of output that maximizes its profit, taking into account the relationship between MR, MC, and price. If price was greater than marginal cost, the monopolist could increase its profit by producing and selling more units. If price was less than marginal cost, the monopolist could increase its profit by reducing production and selling fewer units. Therefore, at the profit-maximizing level of output for a monopoly, price is equal to marginal cost.

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Monopoly produces at the profit-maximizing level when marginal revenue equals marginal cost, but not when marginal revenue is less than marginal cost or price is less than marginal cost.

The price imposed on customers is equal to the marginal cost of production when a monopoly is operating at its highest level of output. As the monopoly maximises profits by producing up to the point when marginal revenue equals marginal cost, marginal revenue from the chosen level of output is also equal to marginal cost.

However, because the monopoly only chooses the production level that maximises its profit, unselected marginal income (i.e., from other possible output levels) is often lower than marginal cost. Neither the not-selected pricing nor the not-selected marginal revenue may be lower than the not-selected marginal cost.

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mission health services is reviewing a new project that costs $482,500 and has expected net cash inflows of $71,500 per year for 7 years. the first inflow occurs one year after the cost outflow and the project has a cost of capital of 12%. what is the project's payback in years?

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Mission Health Services new project will have a payback period of 3.4 years.

To calculate the payback period for Mission Health Services' new project, we need to determine how long it will take for the net cash inflows to recover the initial cost outflow.

First, we need to calculate the cumulative net cash inflows for each year:

Year 1: $71,500
Year 2: $71,500 x 2 = $143,000
Year 3: $71,500 x 3 = $214,500
Year 4: $71,500 x 4 = $286,000
Year 5: $71,500 x 5 = $357,500
Year 6: $71,500 x 6 = $429,000
Year 7: $71,500 x 7 = $500,500

It will take 3.4 years for the cumulative net cash inflows to equal the initial cost outflow of $482,500.

To calculate the payback period, we take the number of years it takes for the cumulative net cash inflows to equal the initial cost outflow:

Payback period = 3.4 years

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the planned network and activity project duration times found in previous chapters did not take into account resource

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The planned network and activity project duration times, which did not take into account resource constraints found in previous chapters.

when the planned network and activity project duration times are calculated without considering resource constraints, the resulting schedule may be unrealistic or unachievable. To create a more accurate and feasible schedule, you need to consider the following steps:
1. Identify resource constraints: Analyze the resources available for your project, such as personnel, equipment, and materials. Determine any limitations, such as availability or maximum capacities.
2. Adjust the activity durations: Revise the duration estimates for each activity, taking into account the resource constraints. This may involve extending the duration of some activities due to limited resources or changing the sequence of activities to optimize resource utilization.
3. Update the project network: Based on the adjusted activity durations, update the project network diagram to reflect the new activity sequences and durations.
4. Recalculate the project duration: Using the updated project network, determine the new critical path and calculate the revised project duration.
5. Monitor and adjust the schedule as needed: Continuously monitor the project progress and resource usage. Make adjustments to the schedule as necessary to address any unforeseen resource constraints or changes in project priorities.
By considering resource constraints in the planning process, you can create a more accurate and achievable project schedule that ensures the efficient use of resources throughout the project's duration.

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the philippine government used the war on terrorism as an excuse to move against all but the following:

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The Philippine government used the war on terrorism as an excuse to move against all but the following politicians. Option B is the correct answer.

Clearly, the financially constrained and unpopular Philippine administration saw opportunity in the reaffirmed alliance with the United States. Nevertheless, there was a small issue. Prior to this, some people have connected the mysterious organizations with ties to the military intelligence agency's dirty tricks department with the Philippines enigmatic terrorist phenomena. If the Philippines was to participate in the never-ending global War on Terror, a more serious and long-lasting terrorist threat had to be found. Option B is the correct answer.

The Philippines has numerous instances of crime and corruption in many facets of public life and throughout numerous industries. The state's legal system, police force, public services, land management, and natural resources are all plagued by such corruption threats. Option B is the correct answer.

The complete question is, "The Philippine government used the war on terrorism as an excuse to move against all but the following:

a. lawyers

b. politicians

c. church workers

d. union organizers"

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marianne gillette (newly retired) was a lab technician for mccormick company. she made an amazing discovery in the laboratory that was greatly influential in leading the food industry into a new direction. marianne gillette discovered:

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Marianne Gillette discovered a native Vanilla Extract that gives vanilla numerous of its sensory characteristics.

1964- frito lay introduced the first Doritos ( fail because of no flavor). 1978- McCormick set out to develop a better artificial Vanilla.

Revolution in Madagascar destroyed vanilla, so McCormick came up with an artificial one. From this day forward, the conception that any flavor or aroma can be created using 2700 approved chemicals in the food assiduity was discovered.

She created a crucial emulsion patch that made a characterless smell and taste like vanilla purified and synthesized this emulsion in the lab because every taste, smell, and feeling could be recreated in the lab. Everything can be synthesized to wisecrack humans. Companies can do anything they want. Dr. Pepper- John Lennon is so addicted to it.

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