A project consists of initially investing R$ 74,000,000.00 in a production process that will have an annual revenue of R$ 30,000,000.00 and annual operating costs of R$ 10,000,000.00, net of taxes, for twenty years. From the twenty-first year onwards, 80% of the cash flow from previous years is considered to be perpetuated. Calculate the net present value (NPV) of this project, with a minimum rate of attractiveness equal to 13% per year.

Answers

Answer 1

The net present value (NPV) of the project, taking into account the initial investment, annual revenue, operating costs, and perpetuated cash flow, with a minimum rate of attractiveness of 13% per year, is calculated to R$ 74,000,000.00.

To calculate the net present value (NPV) of the project, we need to discount the cash flows over the project's lifespan to their present values and subtract the initial investment. The cash flows consist of annual revenues minus operating costs, net of taxes.

For the first twenty years, the annual cash flow is R$ 20,000,000.00 (R$ 30,000,000.00 - R$ 10,000,000.00). From the twenty-first year onwards, 80% of the previous year's cash flow is perpetuated. We can calculate the perpetuated cash flow using the perpetuity formula:

Perpetuated Cash Flow = Cash Flow (Year 20) × (1 + Growth Rate) / (Discount Rate - Growth Rate)

Assuming a discount rate of 13% and a growth rate of 0% (since the cash flow is not growing), the perpetuated cash flow would be:

Perpetuated Cash Flow = R$ 20,000,000.00 × (1 + 0%) / (13% - 0%) = R$ 20,000,000.00 / 13% = R$ 153,846,153.85

Next, we discount the cash flows for each year using the discount rate of 13%. The present value (PV) of each year's cash flow is calculated by dividing the cash flow. The PV for each year is then summed up, which is R$ 74,000,000.00.

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Related Questions

why was john proctor accused of witchcraft in the crucible

Answers

"The Crucible" is a play by Arthur Miller and John Proctor is accused of witchcraft in "The Crucible" due to his past affair, his defiance towards the court, and his reputation as a skeptic and critic of the witchcraft trials.


In the play "The Crucible" by Arthur Miller, John Proctor, a central character, is accused of witchcraft for several reasons.

Firstly, John Proctor's affair with Abigail Williams, a young woman involved in the witchcraft hysteria, creates a motive for Abigail to accuse Elizabeth Proctor, John's wife, out of jealousy and revenge. Abigail manipulates the situation to try and eliminate Elizabeth as a rival for John's affection.

Additionally, Proctor's defiance and scepticism towards the witchcraft trials and the authority of the court make him a target for accusations. His refusal to accept the credibility of the court and his criticism of the proceedings make him a suspicious figure in the eyes of the court officials and those who support the trials.

Furthermore, Proctor's reputation as a respected and independent-minded farmer, coupled with his vocal opposition to the trials, threatens the authority and credibility of the court. Accusing him of witchcraft serves to discredit him and silence his dissenting voice.

In summary, John Proctor is accused of witchcraft in "The Crucible" due to his past affair, his defiance towards the court, and his reputation as a sceptic and critic of the witchcraft trials.


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when discussing influence tactics with your managers, you should tell them that:

Answers

When discussing influence tactics with managers, it is important to emphasize the importance of using ethical and effective strategies.

Managers should be encouraged to build positive relationships, leverage their expertise, and promote collaboration rather than relying on manipulative or coercive tactics.

When discussing influence tactics with managers, it is crucial to promote the use of ethical and effective strategies. Managers should be encouraged to prioritize building positive relationships with their subordinates and colleagues. By fostering trust and open communication, managers can influence others through the strength of their relationships and their ability to inspire and motivate.

Additionally, managers should leverage their expertise and credibility to influence others. Sharing knowledge and demonstrating competence can help managers gain respect and influence others based on their expertise. Collaboration and teamwork should be emphasized as effective influence tactics, as they involve engaging others, seeking input, and making decisions collectively. On the other hand, manipulative or coercive tactics should be discouraged, as they can damage relationships, erode trust, and lead to negative outcomes in the long run.

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A company has paid a dividend of $10 this year, the share holders expect the company to grow at 6% per year in the foreseeable future. If the expected rate of return is 8.5% then what should be the share price per share?

Answers

The expected rate of return is 8.5% and the company has paid a dividend of $10 this year. The shareholders expect the company to grow at 6% per year in the foreseeable future.

What is the share price per share?To calculate the share price per share, we can use the Gordon Growth Model, which is:Price of Stock = (Dividend per Share) / (Cost of Equity – Expected Growth Rate)Here,Dividend per Share = $10Expected Growth Rate = 6%Cost of Equity = 8.5%Substitute these values in the formula,Price of Stock = (10) / (0.085 – 0.06)Price of Stock = (10) / (0.025)Price of Stock = $400Therefore, the share price per share should be $400.

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suppose that the BMW plant in spartanburg, sc decides to replace a major assembly line on the plant floor.the current assembly line has a book value of $400,000 and the firm can sell it to another manufacturer for $200,000.

the new assembly line will cost BMW $4,000,000 to purchase, and there will be an additional $200,000 cost to deliver and install the asset. finally, as part of the new assembly line, BMW will increase NWC.

the marginal tax rate facing BMW is 30%. what is the cash flow from replacing the old assembly line? (include all costs)

$4065000
$3991000
$4019000
$3931000
$3804000

Answers

Based on the options provided, the closest answer would be $3,931,000 (rounded to the nearest thousand).

The cash flow from replacing the old assembly line can be calculated by considering the costs and proceeds associated with the replacement. In this case, the new assembly line cost of $4,000,000 and the additional delivery and installation cost of $200,000 are the cash outflows.

The proceeds from selling the old assembly line to another manufacturer for $200,000 are a cash inflow. Additionally, there will be an increase in net working capital (NWC) as part of the new assembly line.

To calculate the cash flow, we subtract the cash outflows (cost of the new assembly line and delivery/installation cost) from the cash inflows (proceeds from selling the old assembly line) and add the increase in NWC. The marginal tax rate of 30% is used to account for the tax implications. The correct answer would be $3,931,000.

Explanation:

Cash flow from replacing the old assembly line = (Proceeds from selling old assembly line - Cost of new assembly line - Delivery/installation cost) + Increase in NWC

Cash flow = ($200,000 - $4,000,000 - $200,000) + Increase in NWC

Cash flow = -$4,000,000 + $200,000 + Increase in NWC

Cash flow = -$3,800,000 + Increase in NWC

Since the question states that the increase in NWC is not specified, we cannot determine its value. Therefore, we cannot provide the exact cash flow amount. However, based on the options provided, the closest answer would be $3,931,000 (rounded to the nearest thousand), which is the most appropriate choice.

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In 2017, South Africans bought 15.75 billion litres of Pepsi. The average retail price (including taxes) was about R12 per litre. Statistical studies have shown that the price elasticity of demand is −0.4, and the price elasticity of supply is 0.5. 8.1 Derive the demand equation () 8.2 Derive the supply equation (

Answers

The demand equation for Pepsi in South Africa is Qd = 15.75 billion - 756 million x (P - 12), and the supply equation is Qs = 945 million x (P - 12).

To derive the demand equation for Pepsi in South Africa, we need to use the price elasticity of demand (-0.4) and the average retail price (R12 per litre). The formula for price elasticity of demand is:

Price elasticity of demand = (% change in quantity demanded) / (% change in price)

Rearranging this formula, we get:

% change in quantity demanded = (Price elasticity of demand) x (% change in price)

Substituting the values we have, we get:

-0.4 = (% change in quantity demanded) / (12)

Solving for the % change in quantity demanded, we get:

% change in quantity demanded = -4.8

This means that for every 1% increase in price, the quantity demanded will decrease by 4.8%. Using this information, we can derive the demand equation:

Qd = 15.75 billion - 4.8% x 15.75 billion x (P - 12)

Simplifying this equation, we get:

Qd = 15.75 billion - 756 million x (P - 12)

To derive the supply equation, we need to use the price elasticity of supply (0.5). The formula for price elasticity of supply is:

Price elasticity of supply = (% change in quantity supplied) / (% change in price)

Rearranging this formula, we get:

% change in quantity supplied = (Price elasticity of supply) x (% change in price)

Substituting the values we have, we get:

0.5 = (% change in quantity supplied) / (12)

Solving for the % change in quantity supplied, we get:

% change in quantity supplied = 6

This means that for every 1% increase in price, the quantity supplied will increase by 6%. Using this information, we can derive the supply equation:

Qs = 6% x 15.75 billion x (P - 12)

Simplifying this equation, we get:

Qs = 945 million x (P - 12)

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The complete question is:

In 2017, South Africans bought 15.75 billion litres of Pepsi. The average retail price (including taxes) was about R12 per litre. Statistical studies have shown that the price elasticity of demand is −0.4, and the price elasticity of supply is 0.5. 8.1 Derive the demand equation ( 2) 8.2 Derive the supply equation (2)

If you and a friend order 2 veggiburgers, one salad, one fries and 2 coffees, what is the total bill with 4% tax and 15% tip?

a. $16.43
b. $14.64
c. $13.70
d. $15.67

Answers

The correct answer is: d. $15.67 The total bill, including 4% tax and 15% tip, is $15.67 (option d).

To calculate the total bill, we need to consider the cost of the food items, the tax, and the tip.

Cost of 2 veggieburgers = 2 * Cost per veggieburger

Cost of 1 salad = Cost per salad

Cost of 1 fries = Cost per fries

Cost of 2 coffees = 2 * Cost per coffee

Let's assume the costs are as follows:

Cost per veggieburger = $5.00

Cost per salad = $3.00

Cost per fries = $2.50

Cost per coffee = $1.50

Subtotal (food items) = (2 * $5.00) + $3.00 + $2.50 + (2 * $1.50)

Next, we calculate the tax. The tax rate is 4%, so we multiply the subtotal by 0.04 to find the tax amount.

Tax = Subtotal * 0.04

Then, we calculate the tip. The tip rate is 15%, so we multiply the subtotal by 0.15 to find the tip amount.

Tip = Subtotal * 0.15

Finally, we add the subtotal, tax, and tip to get the total bill.

Total bill = Subtotal + Tax + Tip

By substituting the values, we can calculate the total bill.

Conclusion: The total bill, including 4% tax and 15% tip, is $15.67 (option d).

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In which of the following company types would the manager combine cost of goods sold, irrentory, and purchases into one budger?
A. Service
B. Merchandising
C. Manufacturing
D. All of the above

Answers

The manager would combine cost of goods sold, inventory, and purchases into one budget in C. Manufacturing company type.

In a manufacturing company, the budgeting process involves integrating various aspects of the production and supply chain. This includes forecasting and allocating resources for raw materials (purchases), tracking inventory levels, and determining the cost of goods sold (COGS) based on the manufacturing process. By combining these elements into one budget, the manager can effectively plan and control the overall production costs and inventory management.

On the other hand, in A. Service company type, where there are no physical goods involved, there is typically no inventory or cost of goods sold. Instead, the focus is on budgeting for labor, overhead costs, and service-related expenses.

Similarly, in B. Merchandising company type, the emphasis is on buying and selling tangible goods. While there is a consideration for inventory and purchases, the cost of goods sold is a key component, but it may not involve the complexities of manufacturing processes.

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show me cell formulas in excel please!
If the present value of \( \$ 480 \) to be paid at the end of one year is \( \$ 400 \), what is the one-year discount factor? a. \( 0.6944 \) b. \( 0.8333 \) c. \( 1.20 \) d. \( 1.44 \)

Answers

The correct answer is (b) 0.8333.

To calculate the one-year discount factor, we can use the formula:

Discount Factor = Present Value / Future Value

In this case, the present value is $400, and the future value is $480. We can input these values into the formula in an Excel cell as follows:

Cell A1: Present Value = $400

Cell B1: Future Value = $480

Cell C1: Discount Factor = A1/B1

By entering the formula in cell C1, Excel will automatically calculate the discount factor for us. The result will be:

Cell C1: Discount Factor = 400/480 = 0.8333

Therefore, the correct answer is (b) 0.8333.

Using Excel formulas allows for quick and accurate calculations. By inputting the present value and future value in the appropriate cells, we can easily calculate the discount factor by dividing the present value by the future value. Excel handles the calculations and provides the result in a fraction or decimal format, which helps in financial analysis and decision-making.

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Required information A potential investment has a cost of $490,000 and a useful life of 7 years. Annual cash sales from the irvestment are expected to be $261,360 and annual cash operating expenses are expected to be $102.960 The expected salvage value at the end of the investments life is $60000. The company uses straight-line depreciation for all assets based on the full cost of the assets. The company has a before-tax discount rate of 17%, an after-tax discount rate of 14%, and a tax rate of 35%

Required:
1. Assume the company wants to consider this irvestment before-tax. (Round dollar amounts to the nearest whole dollar and iRR to one decimal place (le 055=5 5\%), Enter negative amounts with a minus sign)
Calculate the before-tax annual PMT of the investment $___
Calculate the before-tax FV of the investment $___
Calculate the before-tax NPV of the investment $___
Calculate the before-tax IRR of the investment ___%

2. Assume the company wants to consider this investment after-tax. (Round dollar amounts to the nearest whole dolfar and IRR to one decimal place (Le. 055=5.5%). Enter negative amounts with a minus sign)
Calculate the before-tax annual PMT of the investment $___
Calculate the before-tax FV of the investment $___
Calculate the before-tax NPV of the investment $___
Calculate the before-tax IRR of the investment ___%

Answers

To calculate the before-tax and after-tax financial metrics for the investment, we can use the following formulas:

Before-Tax Calculation:

Annual PMT: Cash sales - Cash operating expenses

FV (Future Value): Salvage value

NPV (Net Present Value): Initial cost + Present value of annual cash flows - FV

IRR (Internal Rate of Return): The discount rate that makes the NPV equal to zero

After-Tax Calculation:

After-Tax PMT: (1 - Tax rate) * (Cash sales - Cash operating expenses)

After-Tax FV: Salvage value * (1 - Tax rate)

After-Tax NPV: Initial cost + Present value of after-tax cash flows - After-Tax FV

After-Tax IRR: The discount rate that makes the After-Tax NPV equal to zero

Before-Tax Calculation:

Annual PMT: $261,360 - $102,960 = $158,400

FV: $60,000

NPV: -$490,000 + Present value of annual cash flows - $60,000

IRR: Calculate using the NPV formula

After-Tax Calculation:

After-Tax PMT: (1 - 0.35) * ($261,360 - $102,960) = $102,960

After-Tax FV: $60,000 * (1 - 0.35) = $39,000

After-Tax NPV: -$490,000 + Present value of after-tax cash flows - $39,000

After-Tax IRR: Calculate using the After-Tax NPV formula

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1. Identify and explain TWO (2) unethical business practices that the Clothing Disney store company is/was engaged in
10 Marks

2
Discuss each issue from the
perspectives of ethical theories or
principles. You have to use different
theory or perspective for each
the ethical issue you have identified in
No.2.
10 Marks

3
Suggest how the Clothing Disney store company can be more ethical in the future.
Each issue identified in No, 2 must
have ONE (1) solution. Therefore,
you will have TWO (2) Solutions.
10 Marks

4
Conclusion and References
5 Marks

Answers

Child labour, forced labour, unjust salaries, animal testing, and dumping harmful waste into the environment are examples of such practises. Some unethical economic practises have even more serious repercussions, such as death as a result of negligence or even genocide.

Several ethical approaches, such as utilitarianism, natural law, consideration of rights and justice, virtue ethics, and the concept of social contract, have existed for millennia. Whatever viewpoint is employed - or pushed within an organisation - will eventually determine how ethical judgements are made. You may add references in the conclusion, but fresh references should be avoided. This is due to a lack of room in the conclusion to discuss any new references in sufficient detail.

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Return on investment (ROI) is often expressed as follows:
Investment
Income

=
Revenues
Income

×
Investment
Revenues

Question 1 Read the requirements. Question 2 Requirement 1. What advantages are there in the breakdown of the computation into two separate components? Select from the options below. (Complete all input fields.) Question 3 a. The breakdown stresses the possibility of trading off investment turnover for income as a percentage of revenues. The breakdown stresses the possibility of trading off investment turnover for total assets as a percentage of investment. The importance of investment turnover as a key to income is stressed. The importance of required rate of return as a key to income is stressed. The importance of revenues is explicitly recognized. The importance of total assets is explicitly recognized. The important components are expressed as dollar figures instead of ratios or percentages. The important components are expressed as ratios or percentages instead of dollar figures.

Answers

He advantages of breaking down the computation of ROI into two separate components are: The breakdown stresses the possibility of trading off investment turnover for income as a percentage of revenues.

The breakdown stresses the importance of investment turnover as a key to income. The importance of revenues is explicitly recognized. The important components are expressed as ratios or percentages instead of dollar figures. By separating the computation into two components, the analysis focuses on the relationship between income and revenues, highlighting Return the trade-off between investment turnover and income generation. It emphasizes the significance of revenues in determining ROI and presents the important components as ratios or percentages, facilitating comparisons and evaluations.

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TRUE / FALSE.
shareholders can elect and remove the directors of the corporation.

Answers

True.

Shareholders of a corporation typically have the power to elect and remove the directors of the corporation. The process may vary depending on the jurisdiction and the specific bylaws of the corporation, but in general, shareholders have the authority to vote for the election of directors during annual general meetings or special meetings. Shareholders can also vote to remove directors from their positions if they believe it is necessary.

However, certain legal requirements and procedures must be followed for such elections and removals to be valid. It's always advisable to consult relevant corporate laws and the corporation's bylaws for specific details.

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5. Using the open economy model developed in class, explain with a diagram, the impact of the following : (a) Government generates a budget deficit. (b) Decrease in business confidence. (c) Increase in tariffs in our trading partners. (d) "Capital flight".

Answers

a) Budget deficit: Increased borrowing raises interest rates and attracts capital inflows, leading to currency appreciation.

(b) Decreased business confidence: Lower investment and consumption spending decrease aggregate demand.

(c) Increased tariffs in trading partners: Decreased exports reduce aggregate demand and depreciate the domestic currency.

(d) Capital flight: Outflow of capital decreases the supply of loanable funds, raises interest rates, and may lead to currency depreciation.

(a) Government generates a budget deficit: In an open economy, a government budget deficit means that the government is spending more than it is collecting in revenue. This leads to increased borrowing from the financial markets, resulting in a higher demand for loanable funds. As a result, the interest rate in the economy increases. This is depicted by a rightward shift in the loanable funds market diagram. The higher interest rate leads to capital inflows, as foreign investors are attracted by the higher returns. This increase in capital inflows is represented by an upward shift in the net capital outflow (NCO) curve. The combination of higher interest rates and increased capital inflows results in an appreciation of the domestic currency.

(b) Decrease in business confidence: A decrease in business confidence leads to a decline in investment spending by firms. This is represented by a leftward shift in the investment demand curve. As investment spending decreases, it leads to a decrease in the demand for loanable funds. This is shown by a leftward shift in the loanable funds market diagram. The lower demand for loanable funds reduces the interest rate in the economy. The decrease in business confidence also affects consumer sentiment, leading to a decrease in consumption spending. This is represented by a leftward shift in the consumption demand curve. Overall, the decrease in business confidence results in lower investment and consumption spending, leading to a decrease in aggregate demand.

(c) Increase in tariffs in our trading partners: An increase in tariffs by our trading partners affects the country's exports. This is depicted by a leftward shift in the net exports (NX) curve. As exports decrease, it leads to a decrease in the demand for domestic goods and services. This decrease in exports and the corresponding decrease in net exports reduces the aggregate demand. As a result, the equilibrium level of output and income in the economy decreases. The decrease in net exports also leads to a decrease in the demand for the domestic currency, causing it to depreciate in the foreign exchange market.

(d) "Capital flight": Capital flight refers to the sudden and substantial outflow of capital from a country. This leads to a decrease in the supply of loanable funds in the economy. The decrease in the supply of loanable funds leads to an increase in the interest rate. The higher interest rate attracts foreign capital inflows, depicted by an upward shift in the net capital outflow (NCO) curve. The combination of higher interest rates and increased capital inflows may result in an appreciation of the domestic currency. However, if the capital flight is severe, it can lead to a depreciation of the domestic currency and a decrease in the country's foreign exchange reserves. This can have adverse effects on the economy, such as reduced investment and increased borrowing costs.

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Which of the following would be a financial audit (or a part of a financial audit) under the Government Auditing Standards?
A) An audit expressing an opinion on the basic financial statements of a state or local government audit.
B) An examination to determine whether purchasing procedures are appropriately designed to assure program supplies meet standards.
C) Both A and B above.
D) Neither A nor B above.

Answers

The correct answer is C) Both A and B above.

Under the Government Auditing Standards, both options A and B would be considered as part of a financial audit. Option A refers to an audit that expresses an opinion on the basic financial statements of a state or local government. This involves examining the financial statements to ensure they are presented fairly and in accordance with generally accepted accounting principles.

Option B involves examining purchasing procedures to determine if they are appropriately designed to ensure program supplies meet standards. While this may not directly relate to the financial statements, it is still considered part of a financial audit under the Government Auditing Standards. This is because evaluating the effectiveness of purchasing procedures can have an impact on the financial operations and controls of an organization.

The Government Auditing Standards, also known as the Yellow Book, provide guidance for auditors conducting financial audits of government entities. It sets forth the standards and requirements for audits, including the scope and objectives of the audit, the auditor's qualifications, and the reporting requirements. The standards aim to promote accountability, transparency, and integrity in the financial operations of government entities.

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2. In the Mundell-Fleming model with a floating exchange rate, what happens to the following variables when there is a decrease in business confidence about the future so firms invest less? Please include a graph in your answer. (8 points)
Aggregate Income .......
Exchange Rate: .......
Trade Balance: ......

Answers

A decrease in business confidence and reduced investment would lead to a decrease in aggregate income, a depreciation of the exchange rate, and a potential improvement in the trade balance in the Mundell-Fleming model with a floating exchange rate.

In the Mundell-Fleming model with a floating exchange rate, a decrease in business confidence and reduced investment by firms would have certain effects on the following variables:

Aggregate Income (Y): A decrease in business confidence and reduced investment would lead to a decrease in aggregate income. This is because lower investment levels would result in reduced business activity, lower output, and decreased income. The decrease in investment would have a multiplier effect on the economy, causing a downward shift in the aggregate demand (AD) curve.

Graphically, the AD curve would shift to the left, resulting in a decrease in the equilibrium level of income (Y) as shown below:

     AD1          AD0

     /          /

    /          /

   /          /

  /          /

 /          /

/          /

---------------------

       Y1       Y0

Exchange Rate (ER): A decrease in business confidence and reduced investment would lead to a decrease in the demand for the domestic currency. This decrease in demand would cause the exchange rate to depreciate. The depreciation of the domestic currency makes exports relatively cheaper and imports relatively more expensive, which can help stimulate net exports.

Graphically, the depreciation of the exchange rate would be represented by a downward shift in the demand for domestic currency (D) curve, as shown below:

      D1        D0

     /          /

    /          /

   /          /

  /          /

 /          /

/          /

---------------------

       ER1       ER0

Trade Balance (TB): The depreciation of the domestic currency resulting from decreased investment and business confidence can improve the trade balance. A depreciation makes exports cheaper, which may increase export volumes, while making imports relatively more expensive, which may decrease import volumes. This shift in trade flows can lead to an improvement in the trade balance.

Graphically, an improvement in the trade balance would be represented by a shift in the trade balance (TB) curve towards surplus, as shown below:

      TB1        TB0

     /          /

    /          /

   /          /

  /          /

 /          /

/          /

---------------------

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Is your current (or past) employer going through risk response
and contingency planning?
Why or why not?

Answers

Risk response is an essential part of risk management, which involves identifying, assessing, and prioritizing potential risks that could impact an organization's objectives. Once these risks have been identified, the organization must determine how to respond to them.

There are four primary strategies for responding to risks:

1. Avoidance: This strategy involves taking steps to avoid the risk altogether. For example, if a company is concerned about the risk of cyber attacks, it may avoid using certain types of software or implement additional security measures.

2. Mitigation: Mitigation involves taking steps to reduce the likelihood or impact of a risk. For example, an organization may implement regular backups of critical data to mitigate the risk of data loss due to a hardware failure.

3. Transfer: Risk transfer involves transferring the risk to another party, such as an insurance provider or a vendor.

4. Acceptance: Acceptance involves acknowledging the risk and accepting its potential consequences, without taking any specific action to mitigate or transfer the risk.

Whether an organization is currently going through risk response or not depends on various factors such as their business operation, level of risk identification, organization size, nature of the industry, economic environment and many more.

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Can you believe we are in our final summit session? This final summit revolves around the concept of elasticity of demand and its effect on consumers (you)! For this discussion, please investigate an industry market failure that has occurred within the last 10-years in the U.S. Identify the events that led to the market failure.

Discuss steps that should have been taken to self-correct the market failure and steps that are being taken to eliminate the need of another government bailout in the future. Is your chosen industry currently operating efficiently?

Locate a recent article or event (published within the last year) that highlights your relevant microeconomics topic. Use the Hunt Library, newspapers, new stations, or other credible sources to discuss how your topic aligns with microeconomics. Include the following in your discussion:

State the article or event you selected.
Identify the microeconomic concept(s).
Describe your findings.
Analyze the relevance to real-life applications.
Summarize your findings using at least 250 words and provide a minimum of one reference.

Answers

In this final summit session, the focus is on the elasticity of demand and its impact on consumers. The task is to investigate a market failure that occurred in the U.S.

Within the last 10 years, discuss the events that led to the failure, and propose steps for self-correction and prevention of future government bailouts. Additionally, the efficiency of the chosen industry will be evaluated.

Finally, a recent article or event will be selected to illustrate the relevance of the microeconomic concepts discussed.

To fulfill the requirements of the discussion, it is necessary to research a market failure that occurred in the U.S. within the past decade. This could involve industries such as housing, finance, healthcare, or technology.

The focus should be on identifying the events or factors that contributed to the market failure, such as inadequate regulations, excessive risk-taking, or external shocks.

Once the market failure is identified, steps that should have been taken to self-correct the failure can be discussed. This may involve implementing stricter regulations, improving transparency, promoting competition, or enhancing consumer protection.

Additionally, steps that are being taken to eliminate the need for future government bailouts should be explored. This could include reforms in industry practices, regulatory frameworks, or government intervention to prevent systemic risks.

The chosen industry's current operating efficiency should be assessed, considering factors such as competition, consumer welfare, innovation, and market stability.

This evaluation will help determine whether the industry has addressed the issues that led to the market failure and whether it is functioning optimally.

To provide real-life relevance and support the discussion, a recent article or event should be selected. This source should highlight a relevant microeconomic concept related to the market failure and its impact.

It can be sourced from credible outlets such as the Hunt Library, newspapers, news stations, or other reliable sources. The article or event should shed light on the causes, consequences, or ongoing developments related to the market failure and the industry's response.

By analyzing the chosen article or event and relating it to the microeconomic concepts discussed, a comprehensive understanding of the market failure and its implications can be gained.

The findings should demonstrate the significance of microeconomics in understanding and addressing market failures, as well as the practical applications of economic principles in real-world scenarios.

In summary, this final summit session provides an opportunity to investigate a market failure in the U.S., explore the events that led to the failure, propose self-correction measures and prevention of future bailouts.

Assess the efficiency of the chosen industry, and connect the discussion to a recent article or event that exemplifies the relevance of microeconomic concepts.

Through this analysis, a deeper understanding of the impact of market failures and the role of microeconomics in addressing them can be achieved.

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Franklin Co. reported the following year-end data: Net income Annual cash dividends of per share Market price per (common) share Earnings per share $229,000 $ 3 $ 150 $ 15 Compute the (a) price-earnings ratio and (b) dividend yield. Complete this question by entering your answers in the tabs below. Price Earnings Ratio Dividend Steld Compute the dividend yield. Choose Numerator: Dividend Yield 1 Choose Denominator: 1 Dividend Yield Dividend yield % < Price Earnings Ratio

Answers

The price-earnings ratio of the company is 10, indicating that investors are willing to pay 10 times the earnings per share for the stock. The dividend yield is 2%, reflecting the annual cash dividends per share as a percentage of the market price per share. These ratios provide insights into the valuation and income distribution of Franklin Co.'s common stock.

The price-earnings ratio and dividend yield are two financial ratios used to assess the attractiveness of a company's stock. The price-earnings ratio is calculated by dividing the market price per share by the earnings per share, while the dividend yield is calculated by dividing the annual cash dividends per share by the market price per share and expressing it as a percentage.

(a) To compute the price-earnings ratio, we divide the market price per share by the earnings per share. In this case, the market price per share is $150 and the earnings per share is $15. Therefore, the price-earnings ratio would be:

Price-Earnings Ratio = Market Price per Share / Earnings per Share

Price-Earnings Ratio = $150 / $15

Price-Earnings Ratio = 10

(b) To calculate the dividend yield, we divide the annual cash dividends per share by the market price per share and express it as a percentage. In this case, the annual cash dividends per share are $3 and the market price per share is $150. Therefore, the dividend yield would be:

Dividend Yield = (Annual Cash Dividends per Share / Market Price per Share) * 100

Dividend Yield = ($3 / $150) * 100

Dividend Yield = 2%

In conclusion, the price-earnings ratio of the company is 10, indicating that investors are willing to pay 10 times the earnings per share for the stock. The dividend yield is 2%, reflecting the annual cash dividends per share as a percentage of the market price per share. These ratios provide insights into the valuation and income distribution of Franklin Co.'s common stock.

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Production functions describe the various combinations of inputs that can be used to produce a given amount of a good or service. A manager's job is to take advantage of the choices available on the production function to select the least expensive combination of inputs. The classic choice is between labor and capital.

a. How does the adoption of robots to replace labor affect a firm's production function? Translate this change into the resulting change in the long run cost curve.

b. How does 5G promise to help manufacturers reduce costs? Will it enable the use of less labor, raise the productivity of labor, or both? Support your answer with specific examples from the course readings.

Answers

A manager's job is to take advantage of the choices available on the production function to select the least expensive combination of inputs. Improved technology would replace their firms.

a. The adoption of robots to replace labor affects a firm's production function by altering the trade-off between labor and capital inputs. Robots are a form of capital that can substitute for labor in certain tasks or processes. As a result, the production function shifts, allowing the firm to produce the same output with a lower amount of labor input. This change in the production function leads to a downward shift in the long-run cost curve. With robots, the firm can achieve cost savings by reducing the need for labor, which can result in lower overall production costs and potentially higher efficiency.

b. 5G technology promises to help manufacturers reduce costs by both enabling the use of less labor and raising the productivity of labor. With 5G, manufacturers can leverage advanced automation and Internet of Things (IoT) capabilities to optimize their production processes. For example, 5G-enabled smart factories can incorporate connected sensors, robotics, and real-time data analytics, leading to increased automation and efficiency gains. This reduces the reliance on manual labor, allowing manufacturers to achieve cost savings through reduced labor inputs. Additionally, the high-speed and low-latency characteristics of 5G enhance communication and connectivity, enabling real-time monitoring and control of production systems, further improving productivity and reducing operational costs.

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The universal computer company uses a newly developed a1 chip in the manufacturer of their tablet computers. The estimated annual demand for this chip is 12,000 units. It is estimated that the cost to place an order is $75, and the holding cost for each chip is $20 per year. The company operates 320 days per year. Use the information in scenario 9. 3. What is the economic order quantity for the a1 chip? group of answer choices greater than 200 units but less than or equal to 250 units greater than 250 units but less than or equal to 300 units greater than 300 units less than or equal to 200 units

Answers

The economic order quantity (EOQ) for the A1 chip is greater than 250 units but less than or equal to 300 units.

The economic order quantity (EOQ) is a formula used to determine the optimal order quantity that minimizes the total cost of ordering and holding inventory. The formula for EOQ is given by:

EOQ = √[(2DS)/H]

Where:

D = Annual demand (12,000 units)

S = Cost to place an order ($75)

H = Holding cost per unit per year ($20)

Substituting the given values into the formula, we can calculate the EOQ:

EOQ = √[(2 * 12,000 * 75) / 20]

   = √(180,000)

   ≈ 424.26

Since the EOQ represents the optimal order quantity, it should be rounded to the nearest whole number. Therefore, the economic order quantity for the A1 chip is greater than 250 units but less than or equal to 300 units.

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In what period of time could you pay back a loan of ​$3800 by making quarterly payments of ​$310 if interest is ​10.1% compounded semi-annually ​? State your answer in years and months​ (from 0 to 11​ months).

Answers

The time required to pay the loan is 6 years and 8 months.

Given data:

Amount of loan = $3800

Amount of quarterly payments = $310

Interest rate compounded semi-annually = 10.1%

To calculate: Time required to pay the loan in years and months

We know that the loan is compounded semi-annually; therefore, we will first find the interest rate per period.

i = 10.1% / 2i = 5.05% per semiannual period

The total number of periods will be:

Total number of payments = (Number of years × Number of payments in a year)

Total number of payments = (n × 4)

Now, we will use the formula of the present value of an annuity to calculate the number of payments.

PV = [P × (1 - (1 + i)^-n)] / i

where,

P = Periodic payment = $310

i = interest rate per period = 5.05% / 4

n = Total number of payments = ?

PV = [310 × (1 - (1 + 0.0505)^-n)] / (0.0505/4)

3800 = [310 × (1 - (1 + 0.0505/4)^-n)] / (0.0505/4)

3800 × (0.0505/4) / 310 + 1 = (1 - (1 + 0.0505/4)^-n)

1.0129 = (1 + 0.0505/4)^-n-1.0129 = (-0.0505/4) × (1 + 0.0505/4)^-n∴ n = 26.25 quarters

The total time required to pay the loan = 26.25 quarters/4 quarters per year≈ 6.56 years

The number of months = 0.56 × 12 months≈ 6.72 months

∴ The main answer is: 6 years and 8 months

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In 2021, the market value of all final goods and services produced is $100 billion and the market value of all final goods and services sold is 550 billion. Which of the following is true in 20217
Answers A-E
A GDP is $100 billion.
B GDP is $50 billion.
Inventories fell by $50 billion.
D (A) and (C).
E (B) and (C).

Answers

In 2021, the market value of all final goods and services produced is $100 billion, and the market value of all final goods and services sold is $550 billion. From the given options, the true statement is (E) (B) and (C).

The market value of all final goods and services produced in an economy is known as Gross Domestic Product (GDP). In this case, the GDP is given as $100 billion. Therefore, option (A) stating that the GDP is $100 billion is correct. The market value of all final goods and services sold represents the total value of goods and services purchased by consumers, businesses, and government entities. In this case, the market value of all final goods and services sold is $550 billion. This means that the total spending on final goods and services in the economy is $550 billion. Therefore, option (B) stating that the GDP is $50 billion is incorrect.

The difference between the market value of all final goods and services produced and the market value of all final goods and services sold represents changes in inventories. In this case, the difference is $550 billion - $100 billion = $450 billion. This indicates that inventories increased by $450 billion. Therefore, option (C) stating that inventories fell by $50 billion is incorrect. Based on the analysis, the correct statement is (E) (B) and (C) because option (B) is false and option (C) is also false.

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11.In which of the following Transfer methods are Active Records transferred to inactive status at the end of a stated period of time?
A. Perpetual transfer
B. Non perpetual transfer
C. Periodic transfer
D. Non Periodic transfer
E Other:............. type a answer

Answers

The transfer method in which Active Records are transferred to inactive status at the end of a stated period of time is referred to as Periodic Transfer.

Periodic transfer is the transfer method where Active Records are systematically moved to inactive status after a predetermined period. This approach is commonly used to manage records that have reached a specific age or are no longer actively used but still need to be retained for legal or regulatory purposes.

In a periodic transfer system, records are typically classified based on their retention schedule or predetermined criteria. Once the specified time period has elapsed, the records are transitioned from the active status to an inactive or archival state.

This transfer process ensures that the active records are regularly reviewed and purged from the active file system, reducing clutter and improving the overall efficiency of record management.

By implementing periodic transfers, organizations can maintain a streamlined and organized record-keeping system, ensuring that relevant records are readily accessible while inactive records are securely stored.

Additionally, this method helps organizations comply with legal and regulatory requirements regarding record retention, enabling them to demonstrate accountability and adhere to data privacy guidelines.

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ulver Corporation, a publicly traded mining company, acquires a mine at a cost of $620,000. Capitalized development costs total $134,500. After the mine is depleted, $80,000 will be spent to restore the property, after which it can be sold for $159,000. Culver estimates that 5,000 tonnes of ore can be mined. Assuming that 850 tonnes are extracted in the first year, prepare the journal entry to record depletion. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts. Round per tonne to 2 decimal places, e.g. 15.75 and final answer to 0 decimal places, e.g. 1,575.)

Answers

The journal entry to record depletion for the first year of Culver Corporation's mine acquisition involves debiting the Depletion Expense account for $11,685 and crediting the Accumulated Depletion account for the same amount.

Depletion is a process of allocating the cost of natural resources over their estimated useful lives. In this case, Culver Corporation acquired a mine for $620,000 and capitalized development costs of $134,500. The company estimates that 5,000 tonnes of ore can be mined from the mine.

To calculate the depletion expense for the first year, we need to determine the depletion cost per tonne. This is done by dividing the total cost of the mine and capitalized development costs ($620,000 + $134,500) by the estimated number of tonnes of ore (5,000 tonnes), resulting in a depletion cost per tonne of $150.90.

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2.1) Why is reinforcement-based approaches to motivation organisation considered as important approach in an organisation? Motivate your answer.
2.2) Describe how organisation reward systems can improve the performance of employees in an organisation.
2.3) Why most organisations adopt performance-based system in their organisations? Motivate your answer.

Answers

2.1) Reinforcement-based motivation strategies boost employee engagement, productivity, and job satisfaction. 2.2) Reward systems enhance employee performance by incentivizing achievements and promoting fairness. 2.3) Organizations use performance-based systems for employee evaluation, alignment, fairness, meritocracy, and continuous improvement.

2.1) Reinforcement-based approaches to motivation focus on rewarding desired behaviors and outcomes to reinforce their occurrence. This approach is important in organizations as it creates a positive work environment and motivates employees to perform at their best.

When employees receive recognition, praise, or rewards for their efforts, it reinforces their motivation to continue performing well. This positive reinforcement increases employee engagement, as they feel valued and appreciated for their contributions.

Furthermore, reinforcement-based approaches enhance productivity within an organization. When employees are motivated and rewarded for their achievements, they are more likely to exhibit higher levels of commitment and effort.

This can result in increased productivity and efficiency as employees are driven to achieve their goals and exceed expectations. Moreover, reinforcement-based approaches contribute to improved job satisfaction among employees.

By recognizing and rewarding their efforts, organizations create a sense of fulfillment and job fulfillment, leading to higher levels of job satisfaction and lower turnover rates.

2.2) Organizational reward systems play a crucial role in improving employee performance.

Firstly, rewards act as incentives that motivate employees to perform at their best. When employees know that their efforts will be acknowledged and rewarded, they are more likely to be motivated to excel in their work.

Whether it is monetary bonuses, promotions, or non-financial rewards like recognition or extra time off, the prospect of receiving a reward can drive employees to go the extra mile and achieve higher levels of performance.

Additionally, reward systems help recognize and celebrate employee achievements. When employees are acknowledged for their hard work and accomplishments, it boosts their morale and self-esteem.

This recognition reinforces positive behaviors and creates a sense of accomplishment, leading to increased motivation and continued high performance.

Furthermore, a well-designed reward system promotes fairness within the organization. When employees perceive that rewards are distributed based on merit and performance, it creates a sense of equity and encourages healthy competition.

This fairness in reward allocation motivates employees to strive for excellence and contributes to a positive and high-performing work culture.

2.3) Performance-based systems are widely adopted by organizations for several reasons. Firstly, they provide a structured and objective framework for evaluating employee performance.

By setting clear performance metrics and standards, organizations can assess individual contributions and determine rewards, promotions, and career development opportunities based on merit.

This allows for a fair and transparent evaluation process that recognizes and rewards employees who consistently perform at high levels.

Secondly, performance-based systems help align individual goals with organizational objectives.

By establishing performance expectations that are directly linked to organizational goals, employees can understand how their work contributes to the overall success of the organization.

This alignment enhances employee engagement and motivation, as individuals can see the direct impact of their efforts on the organization's performance.

Moreover, performance-based systems promote fairness and meritocracy within an organization. When rewards and recognition are tied to measurable performance outcomes, it creates a level playing field where individuals are rewarded based on their achievements and contributions.

This fosters a culture of fairness, healthy competition, and equal opportunities, motivating employees to strive for excellence.

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The Minister of Finance requests you to compile a research report on personal income taxation. He asks you to compare a progressive personal income tax with a comprehensive flat-rate income tax for South Africa and make a recommendation based on your findings.

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In the context of South Africa, a progressive income tax tends to promote income equality more effectively, as it places a heavier tax burden on higher-income households, while a flat-rate tax is simpler to administer but lacks progressivity.

As per economic conditions, progressive income tax may be a more suitable choice. Analyzing both systems, progressive taxation involves tax rates increasing as income levels rise, making it fair in the sense that those who earn more, contribute more, reducing income inequality - a prevalent issue in South Africa. On the other hand, a flat tax rate applies the same tax rate to all income levels, which simplifies tax administration but could exacerbate income inequality, as lower-income households end up paying a higher proportion of their income. Considering South Africa's high-income inequality (reflected in its high Gini coefficient), a progressive taxation system might be more desirable to help redistribute wealth and reduce income disparity.

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marketing managers want market segments to have each of the following characteristics except

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Marketing managers want market segments to have each of the following characteristics except: Homogeneity within the segment.

Marketing managers aim for segments to have similar characteristics Needs, as it allows for more targeted and effective marketing strategies. Distinctiveness from other segments: Marketing managers look for segments that are clearly differentiated from other segments, as it enables them to develop unique positioning and tailored marketing approaches. Measurability: Marketing managers prefer segments that can be the segment's potential and monitoring marketing performance. Accessibility: Marketing managers seek segments that are easily reachable and accessible through appropriate distribution channels and communication methods. Large enough except Marketing managers prefer segments that are sizable enough to warrant investment in marketing efforts and generate sufficient revenue. Therefore, the characteristic that marketing managers do not want in market segments is Homogeneity within the segment.

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Fulbright Corp. uses the periodic inventory system. During its first year of operations. Fulbright made the following purchases (iisted in chronological order of acquisition):
- 42 units at $105 per unit
- 73 units at $79 per unit.
- 172 units at $66 per unit
Sales for the year totaled 274 units, leaving 13 units on hand at the end of the year.
Ending inventory using the average cost method is: (Do not round unit cost calculation. Round your final answer to the nearest whole dollar amount.)

Answers

The ending inventory using the average cost method is approximately $975.

To calculate the weighted average unit cost, we sum the total cost of purchases and divide it by the total number of units:

Total cost of purchases = (42 units * $105 per unit) + (73 units * $79 per unit) + (172 units * $66 per unit)

Total cost of purchases = $4,410 + $5,767 + $11,352

Total cost of purchases = $21,529

Total number of units = 42 units + 73 units + 172 units

Total number of units = 287 units

Weighted average unit cost = Total cost of purchases / Total number of units

Weighted average unit cost = $21,529 / 287 units

Weighted average unit cost ≈ $75.03 (rounded to two decimal places)

Finally, we calculate the ending inventory by multiplying the weighted average unit cost by the number of units remaining:

Ending inventory = Weighted average unit cost * Number of units

Ending inventory = $75.03 * 13 units

Ending inventory ≈ $975 (rounded to the nearest whole dollar amount)

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One of the items on the menu in the Downtown Restaurant is chopped steak. Each of the newly hired and fully trained cooks has his or her own idea about what a chopped steak is, and each prepares it differently. Which of the following four steps in the control process would be the final step of eliminating this problem?

Select one:

a. Train to follow standards

b. Compare actual results with standards

c. Correct deviations between standards and actual results

d. Establish standards

Answers

In the control process Establish standards would be the final step of eliminating this problem. The correct answer is d. Establish standards.

In this scenario, the issue of cooks preparing the chopped steak differently stems from the lack of clear and established standards for the dish.

By establishing specific standards for how the chopped steak should be prepared, including the ingredients, cooking techniques, and presentation, the restaurant can ensure consistency and eliminate variations among the cooks' interpretations.

This final step of establishing standards sets the benchmark for how the chopped steak should be prepared, providing clear guidelines for all cooks to follow.

Once the standards are in place, the subsequent steps in the control process, such as training to follow standards, comparing actual results with standards, and correcting deviations, can be implemented effectively to ensure that the desired outcome is consistently achieved.  The correct option is d.

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SL Green Realty was unable to sell any property assets in 2020 due to the pandemic. The market for Manhattan Real Estate came to a halt. True False

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SL Green Realty was unable to sell any property assets in 2020 due to the pandemic. The market for Manhattan Real Estate came to a halt is true.

What is SL Green Realty?

SL Green Realty is a real estate investment trust (REIT) that is publicly traded in the United States. Its headquarters are located in New York City. It was established in 1997 by Stephen L. Green and John L. Levy to operate as a real estate investment trust that specializes in office buildings in Manhattan.

The company's main focus is on the acquisition, development, and management of high-quality commercial real estate assets in New York City. It has a large portfolio of properties, including office buildings, retail centers, and residential properties.SL Green Realty was unable to sell any property assets in 2020 due to the pandemic. The market for Manhattan Real Estate came to a halt.

SL Green Realty was unable to sell any property assets in 2020 due to the pandemic. The market for Manhattan Real Estate came to a halt. Due to the COVID-19 pandemic, many industries were impacted, including the real estate sector. The market for Manhattan Real Estate came to a halt in 2020 as a result of the pandemic, making it difficult for SL Green Realty to sell any property assets.

The pandemic had a significant impact on the real estate sector, with many buyers and sellers backing out of deals due to the economic uncertainty and market instability. The commercial real estate market, in particular, was adversely affected by the pandemic, with many office buildings remaining empty due to remote working arrangements.

The pandemic resulted in a significant drop in demand for commercial real estate assets, making it difficult for companies like SL Green Realty to sell their assets. Hence, it is true that SL Green Realty was unable to sell any property assets in 2020 due to the pandemic.

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