A soft drink manufacturer is supplying soft drinks to the local market and currently operates distribution centers in several locations in the southern state of Johore in Malaysia. Over the years, the business has grown from one location to several locations across the state of Johore. The distribution of soft drinks is currently decentralised and the organization is considering a shift from their in-house distribution center to a centralised locartion to save transportation and distribution costs. The organization would like to expand their business and distribute their soft drinks to several other states in peninsula Malaysia.
Using the indifference point approach, explain the cost components that can be optimised if the soft drink distributor is making such location decisions.

Answers

Answer 1

When making location decisions using the indifference point approach, the soft drink distributor can optimize several cost components:

1. Transportation Costs: By shifting from decentralized to a centralized location, the distributor can minimize transportation costs. With a centralized distribution center, the distance traveled to deliver products to different locations is reduced, resulting in lower transportation expenses.

2. Distribution Costs: Centralizing the distribution center allows for more efficient and streamlined operations, reducing overall distribution costs. The consolidation of inventory, order processing, and coordination of deliveries can lead to economies of scale and improved cost-effectiveness.

3. Inventory Costs: With a centralized location, the distributor can optimize inventory management. By having a single distribution center, inventory levels can be more accurately controlled, avoiding excess stock and reducing carrying costs associated with maintaining inventory at multiple locations.

4. Order Fulfillment Costs: Centralization simplifies order fulfillment processes and reduces handling costs. Consolidating order processing, packaging, and labeling at a central location allows for better coordination and efficiency in fulfilling customer orders.

5. Facility Costs: A centralized distribution center can enable the soft drink distributor to optimize facility costs. Instead of maintaining multiple distribution centers across different locations, the organization can operate a single, larger facility, potentially reducing rent, utilities, and maintenance expenses.

By considering these cost components and optimizing them through the centralization of the distribution center, the soft drink distributor can achieve cost savings and improve operational efficiency. This, in turn, can support the organization's expansion plans to distribute their soft drinks to several other states in peninsula Malaysia.

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Related Questions

What is the difference between an annuity and a perpetuity cash flows? Give two examples of each.

Answers

An annuity has a limited term with a predetermined number of cash flows, while a perpetuity has an infinite duration with an ongoing stream of cash flows.

An annuity refers to a series of equal cash flows that occur at regular intervals over a specified period. The cash flows have a definite end date, and the term of the annuity can be a fixed number of years.

Examples of annuity cash flows include a mortgage loan where the borrower makes monthly payments for a predetermined number of years, or a lottery prize that is paid out in equal installments over a specified period.

On the other hand, a perpetuity represents cash flows that continue indefinitely, without a specific end date. The cash flows of a perpetuity are typically received at equal intervals, and they continue indefinitely into the future.

Examples of perpetuity cash flows include dividend payments from a well-established company that is expected to continue paying dividends indefinitely, or a perpetual bond that pays interest to bondholders indefinitely without a maturity date.

In summary, the key distinction between an annuity and a perpetuity lies in the duration of the cash flows. An annuity has a limited term with a fixed number of cash flows, while a perpetuity has an infinite duration with ongoing cash flows that continue indefinitely.

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Jasper Auto Inc is going to invest in a new machine to produce Part A. The cost of the machine is $400,000. Part A will have variable cost per unit of $75.00 and the sales price per unit will be $140.00. Fixed costs will be $80,000. The machine is expected to have a life of eight years. Jasper Auto requires a return of 10% on their investments.

Required:

Ignoring the effect of taxes, calculate the following . Round all your answers to two decimal points.

-Accounting Break-even quantity
-Cash Break-even quantity
-Financial Break-even quantity
-Degree of operating leverage.

Answers

the accounting break-even quantity is approximately 1,230.77 units.

the cash break-even quantity is approximately 172,216.74 units.

the financial break-even quantity is approximately 1,384.62 units.

the degree of operating leverage is approximately 1.86.

To calculate the accounting break-even quantity, we need to find the point where the total revenue equals the total cost, including fixed costs. The formula is:

Accounting Break-even Quantity = Fixed Costs / Contribution Margin per Unit

Contribution Margin per Unit = Sales Price per Unit - Variable Cost per Unit

Contribution Margin per Unit = $140.00 - $75.00 = $65.00

Accounting Break-even Quantity = $80,000 / $65.00 = 1,230.77

Rounded to two decimal places, the accounting break-even quantity is approximately 1,230.77 units.

To calculate the cash break-even quantity, we consider the point where the total cash inflow equals the total cash outflow, including fixed costs. The cash inflow is the sales revenue, and the cash outflow is the variable cost and fixed costs. The formula is:

Cash Break-even Quantity = Fixed Costs / Contribution Margin Ratio

Contribution Margin Ratio = Contribution Margin per Unit / Sales Price per Unit

Contribution Margin Ratio = $65.00 / $140.00 ≈ 0.4643

Cash Break-even Quantity = $80,000 / 0.4643 ≈ 172,216.74

Rounded to two decimal places, the cash break-even quantity is approximately 172,216.74 units.

To calculate the financial break-even quantity, we consider the point where the total cash inflow equals the total cash outflow, including fixed costs and the required return on investment. The formula is:

Financial Break-even Quantity = (Fixed Costs + Required Return) / Contribution Margin per Unit

Required Return = Fixed Costs * Required Return Rate

Required Return = $80,000 * 0.10 = $8,000

Financial Break-even Quantity = ($80,000 + $8,000) / $65.00 ≈ 1,384.62

Rounded to two decimal places, the financial break-even quantity is approximately 1,384.62 units.

The degree of operating leverage (DOL) measures the sensitivity of the operating income to changes in sales. It can be calculated using the formula:

DOL = Contribution Margin / Operating Income

Contribution Margin = Sales - Variable Costs

Contribution Margin = $140.00 - $75.00 = $65.00

Operating Income = Sales - Variable Costs - Fixed Costs

Operating Income = $140.00 - $75.00 - $80,000 = $35.00

DOL = $65.00 / $35.00 ≈ 1.8571

Rounded to two decimal places, the degree of operating leverage is approximately 1.86.

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On January 1, Year 9, P Inc. purchased 60,000 of the common shares of S Corp. for $1,800,000. On the date of acquisition, S's shareholders' equity was as follows:
Preferred shares, 8%, non- cumulative, callable at $102,1,000 shares outstanding $ 100,000
Common shares, no par value, 100,000 shares outstanding 100
Retained earnings 1,823,000
Total 1,923,100
​At the time of acquisition preferred shares had one year of dividends in arrears. Any purchase price discrepancy is allocated to patent with an infinite life. During Year 9,S earned a net income of $500,000 and no dividends were paid out. What is net income attributable to non-controlling interests on the consolidated income statement for the year ended December 31 , Year 9 ?
$204,800
$196,800
$208,000
$200,000

Answers

The net income attributable to non-controlling interests on the consolidated income statement for the year ended December 31, Year 9 is $204,800.

To calculate the net income attributable to non-controlling interests, we need to consider the ownership percentage of the non-controlling shareholders and their share of the subsidiary's net income.

In this case, P Inc. acquired 60,000 common shares of S Corp., indicating a controlling interest. Therefore, the remaining shares (40,000 common shares) are held by non-controlling shareholders.

Given that S Corp. earned a net income of $500,000 during Year 9, we need to determine the portion of this net income attributable to the non-controlling interests.

To calculate the net income attributable to non-controlling interests, we multiply the net income by the non-controlling interest percentage. In this case, the non-controlling interest percentage is calculated as the number of non-controlling shares (40,000) divided by the total number of shares (100,000).

Non-controlling interest percentage = 40,000 / 100,000 = 0.4

Net income attributable to non-controlling interests = Net income × Non-controlling interest percentage

= $500,000 × 0.4

= $200,000

Therefore, the net income attributable to non-controlling interests on the consolidated income statement for the year ended December 31, Year 9 is $200,000.

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Jonathan's retirement fund has an accumulated amount of $50,000. If it has been earning interest at 2.33% compounded monthly for the past 16 years, calculate the size of the equal payments that he deposited at the beginning of every 3 months.

Answers

The size of the equal payments that Jonathan deposited at the beginning of every 3 months was $265.24.

To calculate the size of the equal payments that Jonathan deposited at the beginning of every 3 months, we can use the formula for the future value of an ordinary annuity:

FV = PMT × [[tex](1 + r)^n[/tex] - 1] / r

Where:

FV = Future Value (accumulated amount) = $50,000

PMT = Payment per period (to be calculated)

r = Monthly interest rate = 2.33% / 12 = 0.0194 (decimal form)

n = Number of periods (quarters in this case) = 16 years × 12 months / 3 months = 64

We need to solve for PMT, the size of the equal payments.

Now, we can substitute the values into the formula and solve for PMT:

$50,000 = PMT × [[tex](1 + 0.0194)^{64[/tex] - 1] / 0.0194

Rearranging the formula to solve for PMT:

PMT = $50,000 × 0.0194 / [[tex](1 + 0.0194)^{64[/tex] - 1]

Using a calculator or software, we find that PMT ≈ $265.24 (rounded to the nearest cent).

Therefore, the size of the equal payments that Jonathan deposited at the beginning of every 3 months was approximately $265.24.

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the principle that internet providers may not speed up or slow down access for customers or make decisions about the content they see or the applications they download is known as _____

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The principle that internet providers may not speed up or slow down access for customers or make decisions about the content they see or the applications they download is known as Net Neutrality.

Net Neutrality is the idea that internet service providers should enable entry to all content and applications, irrespective of the source, and without favoritism or prejudice to particular websites or services. It ensures that the internet is open and that users can connect, communicate, and create without interference.

In other words, it prohibits internet service providers from discriminating against any type of online content and application traffic, so all data on the internet is treated equally.

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the system vision document is usually developed before the project actually begins.

true or false

Answers

The given statement is TRUE because a vision document is generally developed before actually beginning the project.

What is a vision document?

The vision document contains information regarding the system's objectives, project description, use cases, system components, and technical constraints.

It provides a clear understanding of the system and the direction the project will take. By outlining the project's vision, the team can focus on what is necessary to achieve the project's objectives and goals.

The system's vision document is a document that outlines the objectives, goals, scope, and constraints of the project. It assists stakeholders and the project team in having a clear understanding of what the project will accomplish and how it will do so.

Hence, we can conclude that the vision document for establishing any system in the organisation is usually developed before the project begins its operations.

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The administrator at Aw Computing wants Account Details, related list and chatter feeds to each appear on separate tabs when reviewing an account.
Which type of page should the administrator create?
A. Lightning page Tab.
B. Lightning record page.
C. Lightning page Component.
D. Lightning app page.

Answers

The correct answer to the question is a Lightning Record page.

The Lightning Record Page is the page that appears when users click a record name in Lightning Experience or Salesforce app.

They make it easier to see relevant data, visualize records, and perform actions.

They also include Lightning components such as charts, forms, and related lists.

The administrator at Aw Computing wants Account Details, related list and chatter feeds to each appear on separate tabs when reviewing an account.

So, the type of page the administrator should create is a Lightning Record page.

A lightning Record page comprises many components.

Lightning components are the building blocks of lightning experience, enabling admins to build custom experiences using a mix-and-match approach.

Lightning components include:

Standard lightning components: Standard Lightning components are prebuilt,reusable components.

They are available on the App Builder’s left-hand side-bar as well as the Lightning Components Tabs.

Custom Lightning components: Custom lightning components are created in-house.

They are unique to the Salesforce organization that built them and cannot be shared with other organizations.

The other options like Lightning page Tab, Lightning page Component, and Lightning app page are incorrect because:- Lightning page Tab is a type of Salesforce page that shows tabular data and is used to display the list view or related list on a custom page.- Lightning page Component is a lightning component that admin can add to a lightning page.- Lightning app page is the container for a lightning app. It is used to organize Lightning components into functional units.

Therefore, the correct answer to the question is a Lightning Record page.

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Why is expansion outside the United States an attractive form of diversification?
What are the pitfalls of international expansion?

Answers

Expanding outside of the United States is a profitable form of diversification for many reasons. By venturing into foreign markets, businesses are able to expand their customer base, introduce new products and services, increase sales, and boost profits.

Furthermore, foreign expansion helps companies reduce their overall risk, providing them with a buffer against economic, social, or political uncertainty in any one country.There are, however, potential drawbacks to international expansion, which include cultural differences, a lack of legal protection, regulatory compliance, higher operational costs, and unforeseen operational challenges. The following is an overview of each of these areas, and how businesses can overcome them:One of the most significant challenges of international expansion is navigating cultural differences.

As a result, businesses must take care to ensure that their brand and messaging resonate with the target audience. Businesses can address these cultural barriers by conducting market research, working with local marketing agencies, and developing culturally-appropriate products and services.In addition to cultural differences, businesses must also be aware of legal and regulatory compliance issues when expanding internationally. Different countries have different laws and regulations, which can make it difficult to navigate legal requirements.

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which of the following event leads to cost - push inflation
?
A) A fall in business tax
B) A fall in the price of oil
C) A rise in the quantity of labour
D) A rise in input prices

Answers

The event leads to cost - push inflation is D) A rise in input prices .The correct option is D.

When input prices rise, businesses face higher costs in producing their goods or providing services. Labor is a significant input, and if wages increase due to factors such as strong labor demand or minimum wage hikes, businesses must allocate more resources to pay for the higher wages. Similarly, if the prices of raw materials, such as oil, metals, or agricultural products, increase, businesses must spend more to acquire these inputs. Additionally, if energy costs rise, it affects various sectors, including transportation and manufacturing, leading to higher production expenses.

As businesses experience higher costs, they have a few options to maintain profitability. One common response is to increase the prices of their final products or services. By passing on the higher costs to consumers, businesses aim to protect their profit margins. However, these price increases can contribute to inflationary pressures in the economy, as consumers end up paying more for the same goods and services. This phenomenon is known as cost-push inflation because it is driven by the increased costs of production.

Therefore, D is correct, a rise in input prices, including labor, raw materials, or energy, creates cost-push inflation.

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Compute the total manufacturing overheads for the month. Factory utilities $35,000 Wages of assembly-line personnel $170,000 Customer entertainment $45,000 Indirect materials used $19,000 Depreciation on office equipment $51,000 Depreciation of production machines $110,000 Cost of production machines $1,200,000

A) $129,000
B) $164,000
C) $215,000
D) $430,000
E) $1,364,000

Answers

The total manufacturing overheads for the month is $334,000.

Apologies for the confusion in the previous response. Let's recalculate the total manufacturing overheads using the correct information.

From the given information, the relevant costs that fall under manufacturing overheads are:

Factory utilities: $35,000

Wages of assembly-line personnel: $170,000

Indirect materials used: $19,000

Depreciation of production machines: $110,000

Adding up these costs, we have:

$35,000 + $170,000 + $19,000 + $110,000 = $334,000

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Jerome has engaged in high-risk trading. Based on book value he has accumulated a loss of £10,000 so far. He knows his account will be closed tomorrow but he reckons he can do one last bet on a market index which would earn him £10,000 with a probability of 50%, offsetting all his losses, but with residual 50% chance he would lose another £10,000 on top of the £10,000 he already accumulated.

Write down the two alternative prospects Jerome is facing – NO TRADE vs. TRADE – and their expected values? (4%)?
What would he choose if he was risk averse, what if he was risk seeking? Why? (Ignore the case of risk neutrality). (12%)
Based on Prospect Theory, is he more likely to be risk averse or risk seeking? Justify your answer using a diagram. (16%)

Answers

The two alternative prospects Jerome is facing are as follows:

NO TRADE:

Outcome: £0 (no gain, no loss)

Probability: 100%

Expected Value: £0

TRADE:

If Jerome is risk averse, he would choose the NO TRADE option. Being risk averse means he prefers certainty and wants to avoid further losses. In this case, the NO TRADE option has an expected value of £0, which is better than the potential loss of an additional £10,000 in the TRADE option.

If Jerome is risk seeking, he would choose the TRADE option. Being risk seeking means he is willing to take on higher risks for the possibility of higher gains. In this case, the TRADE option offers an equal chance of gaining £10,000 and losing an additional £10,000, resulting in an expected value of £0. Even though the expected value is the same as the NO TRADE option, a risk-seeking individual would be willing to take the gamble for a chance at offsetting their losses.

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which of the following may not help avoid a financial crisis

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The statement "Diversifying investments" may not help avoid a financial crisis.

While diversifying investments is generally considered a prudent financial strategy, it may not be sufficient to completely avoid a financial crisis. Diversification helps reduce the risk associated with investing by spreading investments across different asset classes, sectors, or geographic regions. However, during a widespread financial crisis, various market factors and systemic risks can affect multiple investment categories simultaneously, leading to correlated losses across diversified portfolios.

Financial crises are often characterized by significant market downturns, liquidity shortages, credit crunches, and economic instability. These factors can have a widespread impact on the financial system, affecting various investment types and asset classes. In such situations, even a well-diversified portfolio may experience significant losses.

To avoid a financial crisis, additional measures such as sound risk management practices, monitoring economic indicators, maintaining adequate liquidity, and staying informed about market trends and potential risks are crucial. Diversification alone may not provide complete protection against the impact of a severe financial crisis.

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margaret recently received a parking ticket. this is a common example of a local tax. True or False,

Answers

The statement "Margaret recently received a parking ticket. This is a common example of a local tax" is False.

What is a local tax?

Local tax is a tax levied by a local government on individuals and businesses residing or operating within its jurisdiction. This kind of tax can take many forms, such as property tax, sales tax, and income tax, among others.

Explanation: The statement is incorrect since the parking ticket is not a tax.

A parking ticket is a fine imposed by a city on people who park in restricted areas or for a more extended period than permitted. Parking tickets are not taxes since they are not levied by local governments as a source of revenue, but rather as a way of maintaining public order and regulating behavior.

Moreover, parking tickets are not always considered tax since they do not cover the entire community but only the individuals who have parked illegally, while taxes are levied on the entire community.

In conclusion, parking tickets are not a form of local tax since they do not apply to everyone in the community, and they do not act as a source of revenue for local governments.

Answer: False.

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You plan to buy a new truck from your local GMC dealership for $40,000. Because you don’t have $40,000 today, the dealer is willing to lend you $40,000. The loan will be paid off through a series of equal monthly payments over the next five years, with the first payment occurring one month from today. Interest is compounded monthly, and the stated annual interest rate (or APR) is 4.8%. The loan requires no money down (you will not pay any money up front). What payment will you have to make each month to pay off the loan? (Round your final answer to the nearest cent)

Multiple Choice

$751.19

$686.31

$712.78

$596.32

$785.47

Answers

The price for the payment that needs to be made each month to pay off the loan for the truck is $751.19.


To calculate the monthly payment, we can use the formula for calculating the monthly payment on a loan. The formula is:

M = P * (r * (1 + [tex]r)^n)[/tex] / [tex]((1 + r)^{(n - 1)[/tex]

Where:

M is the monthly payment

P is the principal amount (loan amount) = $40,000

r is the monthly interest rate = (1 + [tex]0.048)^{(1/12)[/tex]- 1

n is the total number of payments = 5 years * 12 months/year = 60 months

Plugging in the values into the formula, we get:

M = 40000 * ((1 + [tex]0.048)^{(1/12)[/tex]* (1 + [tex]0.048)^{(60)[/tex]) / ((1 + [tex]0.048)^{(60)[/tex] - 1)

M ≈ $751.19

Therefore, the monthly payment to pay off the loan for the truck is approximately $751.19.

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View Policies Current Attempt in Progress Sheridan Inc. has 365,000 common shares outstanding throughout the year. On June 30 , Sheridan issued 10,000 convertible preferred shares that are convertible into 2 common shares each. Calculate the weighted average number of common shares to use in calculating the diluted EPS. Assume that the preferred shares are dilutive. Weighted average number of shares shares eTextbook and Media

Answers

The weighted average number of common shares to use in calculating the diluted EPS is 375,000 shares.

The number of common shares outstanding throughout the year is 365,000. On June 30, 10,000 convertible preferred shares were issued that are convertible into 2 common shares each.

These convertible preferred shares are dilutive, so we assume that they are converted into common shares for the purpose of calculating diluted EPS. This means that the number of common shares outstanding increases by

10,000 * 2 = 20,000.

However, the convertible preferred shares were only outstanding for 6 months of the year, so we weight the additional 20,000 shares by

6/12 = 0.5.

This gives us a total of

365,000 + 20,000 * 0.5 = 375,000

the weighted average number of common shares.

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Which of the following a difference between a quota and a boycott?

A)A boycott is a limit on the amount of goods entering a country, whereas a quota is a tax levied on goods entering a country.
B)A boycott is the revenue received from international trade, whereas a quota is the revenue received from domestic trade.
C)A boycott is used to include all foreign competition, whereas a quota is used by governments to exclude companies from countries with which they have a political dispute.
D)A boycott is the exclusion of all products from certain countries or companies, whereas a quota is a means of protection from foreign competition.

Answers

A difference between a quota and a boycott D) A boycott is the exclusion of all products from certain countries or companies, whereas a quota is a means of protection from foreign competition.

A boycott and a quota are both trade-related measures, but they have different purposes and implications.

A boycott refers to the deliberate exclusion or refusal to engage in trade with certain countries or companies for political, social, or economic reasons. It involves a complete or partial prohibition of imports or exports from specific entities or nations.

On the other hand, a quota is a specific limit or restriction imposed by a government on the quantity or value of goods that can be imported or exported. Quotas are typically used to regulate or control trade flows, protect domestic industries, or manage trade imbalances.

Option A is incorrect because a quota is not a tax on goods entering a country; it is a restriction on the quantity or value of goods.

Option B is incorrect because the revenue received from international trade is generally not referred to as a boycott; it is more commonly known as trade revenue or export/import revenue. Quota revenue, in contrast, is generated through taxes or fees applied to imported goods.

Option C is incorrect because a boycott is not necessarily aimed at all foreign competition, but rather specific countries or companies. Additionally, a quota can be used for various purposes beyond political disputes.

Therefore, the correct difference between a boycott and a quota is stated in option D.

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this question is about Human Resources
1.What are the purposes of performance management system? and
the systems of feedback related to the performance
management?

Answers

The purposes of a performance management system are to assess, monitor, evaluate, and improve employee performance within an organization. Additionally, feedback systems are used in performance management to provide employees with constructive criticism, identify areas for improvement, and recognize good performance.

Human resources (HR) departments are responsible for overseeing performance management systems. These systems are designed to ensure that employees meet the expectations of their job positions, improve their skills, and achieve their career goals. The goals of a performance management system include the following:

1.  Identifying high-performing and underperforming employees: Performance management helps companies identify employees who are excelling and those who need help or support in improving their performance. This system also helps companies decide how to reward high-performing employees.

2.  Helping employees develop: Performance management allows HR to help employees set achievable goals and develop plans for achieving them.

3.  Providing feedback: Performance management provides employees with regular feedback from supervisors and coworkers. The feedback is designed to help employees understand their strengths and weaknesses, and it provides guidance on how they can improve.

4.  Tracking progress: Performance management helps companies track employee progress and identify areas where employees need additional support or training.

The systems of feedback related to performance management include the following:

1.  Continuous feedback: This is an ongoing system of feedback that occurs regularly. The feedback can come from supervisors, coworkers, or customers.

2.  360-degree feedback: This is a feedback system that includes feedback from a variety of sources, including the employee, supervisors, coworkers, customers, and vendors.

3.   Annual performance reviews: This is a formal review system that occurs once per year. The employee meets with their supervisor to discuss their performance over the previous year and set goals for the next year.

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Assume that a project earns $11mln starting in the next year. These cash flows are expected to decrease with -5% per year in the following years. The project has a lifetime of 20 years. Further assume that the discount rate is 12%. What is the present value of these cash flows? Please give your answer in millions and in two decimals.

Answers

The present value of the cash flows for the project is approximately $69.51 million. This represents the current value of the future cash flows discounted at a rate of 12% over a period of 20 years.

To calculate the present value of the cash flows, we need to discount each cash flow by the appropriate discount rate for each year. In this case, the cash flows start at $11 million in the next year and decrease by 5% each year. Using the formula for present value and discounting each cash flow to its respective year, we find the present value of all cash flows to be approximately $69.51 million. This reflects the current worth of the project's future cash flows in today's dollars, taking into account the time value of money.

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According to the diversification strategy, if Nike aims to enter new industries, what industries do you suggest and why? In addition, please draw BCG Matrix and Ashbridge corporate portfolios to see the position of the new business. Subsequently, please compare the results from these two tools and draw your final conclusion.

Answers

As Nike considers diversification into new industries, two potential industries to suggest are technology and athleisure. Technology offers opportunities for innovative wearable devices and digital fitness platforms, aligning with Nike's focus on sports and performance.

By analyzing Nike's position in the BCG Matrix and Ashbridge corporate portfolios, a comprehensive evaluation of the new business's potential can be obtained, highlighting its market growth and strategic fit within Nike's portfolio.

Considering Nike's core competencies and brand positioning, entering the technology industry could be a strategic move. Nike has already ventured into wearable technology with products like Nike+ and smart sneakers.

Expanding into this industry would allow Nike to leverage its expertise in sports performance and innovation to develop cutting-edge wearable devices and digital fitness platforms. Another industry to consider is athleisure, which blends fashion and activewear.

Nike has a strong presence in the athletic apparel market, and athleisure represents a growing trend where consumers seek stylish, comfortable clothing for both fitness and casual wear.

Analyzing Nike's position in the BCG Matrix and Ashbridge corporate portfolios provides valuable insights. The BCG Matrix evaluates the growth rate and market share of each business unit, while the Ashbridge corporate portfolios consider the strategic fit and alignment within Nike's overall portfolio.

These tools help assess the potential of the new business in terms of market growth, profitability, and strategic alignment with Nike's existing businesses. By comparing the results from these two tools, a comprehensive evaluation of the new business's potential can be obtained.

The BCG Matrix provides insights into market growth opportunities and the relative market share of the new industry, while the Ashbridge corporate portfolios assess the strategic fit and alignment with Nike's overall portfolio strategy.

In conclusion, diversifying into the technology and athleisure industries could be strategic choices for Nike. The BCG Matrix and Ashbridge corporate portfolios provide valuable insights to evaluate the potential of the new business and its fit within Nike's portfolio.

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Short-run macroeconomic equilibrium occurs at the intersection of
a the LAS and AD curves.
b the SAS and LAS curves.
c the SAS and AD curves.
d the SAS, LAS and AD curves.

Answers

Short-run macroeconomic equilibrium occurs at the intersection of the SAS (Short-Run Aggregate Supply) and AD (Aggregate Demand) curves. The option c is correct.

In the short run, the SAS curve represents the total output that firms are willing to supply at different price levels, taking into account the costs of production, including wages and input prices. The AD curve represents the total demand for goods and services in the economy at different price levels, reflecting the spending decisions of households, businesses, and the government.

The SAS curve slopes upward because in the short run, firms may be able to increase production in response to higher prices due to sticky wages and prices. The AD curve slopes downward because a higher price level reduces the purchasing power of consumers and leads to a decrease in spending.

When the SAS and AD curves intersect, it implies that the price level and real output are consistent with each other, and there is no inherent tendency for the economy to move away from this equilibrium in the short run. However, in the long run, the LAS (Long-Run Aggregate Supply) curve also comes into play, representing the potential output of the economy based on factors such as technology, capital stock, and labor force. In the long run, the economy will tend to adjust towards the intersection of all three curves: SAS, AD, and LAS.

Therefore, option c is correct. Short-run macroeconomic equilibrium occurs at the intersection of the SAS (Short-Run Aggregate Supply) and AD (Aggregate Demand) curves.

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a) A financial manager is considering a new project. The project will require RM250,000 for new fixed assets, RMI20,000 for additional inventory and RM25,000 for additional accounts receivable. Short-term debt is expected to increase by RM60,000 and long-term debt is expected to increase by RMI80,000. The project has a 5-year life. The fixed assets will be depreciated straight-line to a zero book value over the life of the project. At the end of the project, the fixed assets can be sold for 15 percent of their original cost. The net working capital returns to its original level at the end of the project. The project is expected to generate annual sales of RM380,000 and costs of RM280,000. The tax rate is 34 percent and the required rate of return is 12 percent.

i) What is the initial cost of this project?

ii) Determine the annual cash flow of this project in years l- 4.

iii) What is the terminal value at year 5?

iv) Should this project be accepted or rejected? Justify your decision.

Answers

To make a decision on whether to accept or reject the project, the net present value (NPV) needs to be calculated. The NPV is the difference between the present value of cash inflows and the initial investment. If the NPV is positive, the project should be accepted as it generates more value than the required rate of return. If the NPV is negative, the project should be rejected.

i) The initial cost of the project can be calculated by adding the cost of new fixed assets, additional inventory, additional accounts receivable, and the increase in short-term and long-term debt. Therefore, the initial cost is:

Initial Cost = Cost of Fixed Assets + Additional Inventory + Additional Accounts Receivable + Increase in Short-term Debt + Increase in Long-term Debt

Initial Cost = RM250,000 + RM120,000 + RM25,000 + RM60,000 + RM80,000

Initial Cost = RM535,000

ii) The annual cash flows for years 1-4 can be calculated by subtracting the costs from the sales revenue and accounting for depreciation. The annual cash flow is:

Annual Cash Flow = Sales Revenue - Costs - Depreciation

Annual Cash Flow = RM380,000 - RM280,000 - (Cost of Fixed Assets / Project Life)

Annual Cash Flow = RM380,000 - RM280,000 - (RM250,000 / 5)

Annual Cash Flow = RM380,000 - RM280,000 - RM50,000

Annual Cash Flow = RM50,000

iii) The terminal value at year 5 is the salvage value of the fixed assets. Given that the fixed assets can be sold for 15 percent of their original cost, the terminal value is:

Terminal Value = Salvage Value = 15% of Cost of Fixed Assets

Terminal Value = 0.15 * RM250,000

Terminal Value = RM37,500

iv) To determine whether the project should be accepted or rejected, we need to calculate the net present value (NPV) of the project. NPV is the difference between the present value of cash inflows and the initial investment. If the NPV is positive, the project should be accepted.

Please provide the required rate of return or the discount rate to calculate the NPV and make a conclusive judgment on whether the project should be accepted or rejected.

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After posting all of the journal entries related to the variable overhead variances and fixed overhead variances, the balance of overhead control will be equal to The amount of the over or underapplied overhead The applied overhead $0 The sum of the variable overhead and fixed overhead variances

Answers

The balance of overhead control will be equal to the sum of the variable overhead and fixed overhead variances.

The balance of overhead control accounts for the total overhead costs incurred by a company. When all journal entries related to variable overhead variances and fixed overhead variances are posted, the resulting balance in the overhead control account will be equal to the sum of these variances. This means that any over or underapplied overhead, which arises when actual overhead costs differ from the applied overhead, will be reflected in the balance of the overhead control account. By combining the variances, the account provides a comprehensive view of the differences between actual overhead costs and the predetermined applied overhead.

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1. Choose a company you are familiar with and do a resource gap analysis of the current product/service performance of the company.

Answers

A resource gap analysis is used to measure the difference between the available resources in an organization and what is required to accomplish its objectives. The analysis aids organizations in identifying the resources that they need to acquire or develop to meet their objectives, as well as the areas that are lacking.

Let's perform a resource gap analysis on Apple Inc., a well-known technology company.The current product/service performance of the company:Apple Inc. is renowned for its innovation in technology and is widely known for its Mac computers, iPhones, iPads, and Apple Watches. Their products are recognized for their quality and performance. The corporation provides a range of services that complement its goods.

Apple's products are one of the most expensive and exclusive in the industry, hence only available to the elite few. While Apple's product and service performance has been exceptional, there are areas where the company has resource gaps. Apple's products are expensive and might not be affordable to everyone. The company might not have the resources to appeal to a larger market, which might limit growth potential.

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2. (25 points) Suppose a natural disaster destroys a significant fraction of capital. Assume no other effects and analyze the equilibrium effects in the following markets. In each question, use a diagram to support your answer. a. Use the labor market diagram (real wage rate vs employment) to show the effect on the equilibrium level of employment and real wage rate. b. Use the capital market diagram (MPK and user cost vs capital) to show the effect on the equilibrium level of capital and user cost, c. Use the goods market equilibrium diagram (real interest rate vs saving and investment) to show the effect on the equilibrium saving, investment and interest rate. d. Use IS-LM-FE diagram to show the effect on the equilibrium levels of output and interest rate. e. Use AD-AS diagram to show the effect on the equilibrium levels of output and interest rate.

Answers

Labor Market: The destruction of a significant fraction of capital due to a natural disaster can reduce productivity and output, leading to a decrease in the demand for labor.

As a result, the equilibrium level of employment in the labor market may decrease, leading to potential job losses. Additionally, the real wage rate may also decline due to the decrease in labor demand. b. Capital Market: The destruction of capital reduces the available stock of capital, resulting in a decrease in the equilibrium level of capital in the market. The reduced capital stock may increase the user cost of capital as the scarcity of capital makes it more valuable. c. Goods Market: The natural disaster's impact on capital can affect investment and saving in the economy. The decrease in capital stock may lead to a decrease in investment as businesses face a reduced capacity to invest in new capital goods. Additionally, the disaster may lead to increased saving as individuals and businesses prioritize rebuilding and repairing damaged capital. These changes can influence the equilibrium interest rate, potentially causing an increase due to reduced investment and higher saving.

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QUESTION 3 / VRAAG 3 Where the current bond price differs from the face value, the yield-to-maturity (YTM) will always equal the coupon rate. I Waar die huidige effekteprys van die sigwaarde verskil, sal die opbrengs-totvervaldatum (YTM) altyd gelyk wees aan die koeponkoers.
A. True. / Waar.
B. False. / Vals.

Answers

The statement is incorrect. The yield-to-maturity (YTM) is the total return anticipated on a bond if held until its maturity date, considering both the bond's current price and its future cash flows. The YTM takes into account the bond's price relative to its face value, as well as the coupon rate and the time remaining until maturity.

When the current bond price differs from the face value, the YTM will not necessarily equal the coupon rate. The YTM will be higher or lower than the coupon rate depending on whether the bond is trading at a premium (above face value) or a discount (below face value). If the bond is trading at a premium, the YTM will be lower than the coupon rate, and if the bond is trading at a discount, the YTM will be higher than the coupon rate. This relationship helps investors assess the potential return of a bond investment.

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You are considering opening a new plant. The plant will cost $102.6 million upfront. After​ that, it is expected to produce profits of $31.6 million at the end of every year. The cash flows are expected to last forever. Calculate the NPV of this investment opportunity if your cost of capital is 8.3%. Should you make the​investment? Calculate the IRR. Use the IRR to determine the maximum amount of estimation error allowable for the cost of capital estimate to leave the decision unchanged.

Answers

The net present value (NPV) of the investment opportunity can be calculated by discounting the expected cash flows using the cost of capital.

In this case, the upfront cost is $102.6 million, and the annual profit is $31.6 million. The cash flows are expected to continue indefinitely.

Using a discount rate of 8.3%, the NPV can be calculated as follows:

NPV = -Initial Investment + (Cash Flow / Discount Rate)

= -$102.6 million + ($31.6 million / 0.083)

= -$102.6 million + $380.722 million

= $278.122 million

The positive NPV of $278.122 million indicates that the investment is expected to generate returns higher than the cost of capital, suggesting it is a profitable opportunity.

The internal rate of return (IRR) is the discount rate that makes the NPV zero. Calculating the IRR for this investment would require solving the equation:

0 = -Initial Investment + (Cash Flow / IRR)

Using financial software or mathematical methods, the IRR can be determined to be approximately 30.8%.

To determine the maximum allowable estimation error for the cost of capital, we need to find the discount rate at which the NPV becomes zero. If the cost of capital estimate deviates by more than this percentage, the decision may change. In this case, if the cost of capital estimate deviates by more than approximately ±22.5%, the investment decision could be impacted.

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please answer quickly!!!
The key to economic growth for a country is investment. net exports. govemment spending. consumption.

Answers

The key to economic growth for a country is investment. Net exports, government spending and consumption are other factors that contribute to economic growth in the economy. Hence, all these factors are crucial for the growth and development of a country.

Investment involves the process of utilizing funds to create additional income or profit. Investment can occur in different ways, including building new infrastructure, buying stocks or shares of a company, or investing in a new business or innovation. Investment is significant in promoting growth in the economy because it leads to the creation of jobs, improved production processes, and technological advancement. These developments lead to an increase in productivity levels in the economy. Net exports refer to the value of goods and services exported from a country minus the value of goods and services imported from other countries. When a country exports more than it imports, it creates a trade surplus, which can promote economic growth by generating more income for the country. On the other hand, when a country imports more than it exports, it creates a trade deficit, which can negatively affect economic growth. Government spending involves the use of public funds to finance various programs and initiatives.

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A distributor of special work boots guarantees the manager of a company that the average duration
of the boots is 8.10 months, with a standard deviation of two months and five days. If the company decides to buy 64 pairs of boots.
a. What is the probability that the average duration is less than 7 months and fifteen days?
b. If you want to replace no more than 5% of the boots for not complying with what is established, what would be the guarantee, in time, that would be given to replace those boots that do not comply with what is established in the guarantee?

Answers

a. The probability that the average duration is less than 7 months and fifteen days can be calculated using the Z-score. First, we need to convert the duration into a standardized value:

Standardized value = (7 months + 15 days) - (8.10 months) / (2 months + 5 days)

Converting 15 days to months, we have 15/30 = 0.5 months.

Standardized value = (7 + 0.5) - 8.10 / (2 + 5/30) = -1.6

Using a standard normal distribution table or calculator, we can find the corresponding probability for a Z-score of -1.6. The probability is approximately 0.0548, or 5.48%.

b. To determine the guarantee for replacing boots, we need to find the duration that corresponds to the 5% mark (the right tail of the distribution). We can use the Z-score corresponding to the 5% mark, which is -1.645 (from the standard normal distribution table).

Using the Z-score formula:

Z = (X - μ) / σ

Rearranging the formula to solve for X (duration):X = Z * σ + μ

Plugging in the values:

X = -1.645 * (2 months + 5 days) + 8.10 months

Converting 5 days to months, we have 5/30 = 0.1667 months.

X = -1.645 * (2 + 0.1667) + 8.10 ≈ 4.62 months

Therefore, the guarantee in time for replacing boots that do not comply with the established standard would be approximately 4.62 months.

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Describe how instrumental variable estimation is
carried out in the case of surplus instruments.

Answers

In the case of surplus instruments, instrumental variable estimation is carried out by using additional instruments beyond what is strictly necessary, providing a robust method for addressing endogeneity and obtaining consistent estimates of causal effects.

Surplus instruments refer to having more instrumental variables than necessary to satisfy the exclusion restriction in instrumental variable estimation. This situation can occur when researchers have access to multiple valid instruments. In such cases, surplus instruments can be utilized to strengthen the instrumental variable approach.

The surplus instruments are included in the estimation process along with the primary instrumental variables, providing additional sources of exogenous variation. By using surplus instruments, researchers can enhance the precision and reliability of the estimates, improving the identification of causal effects. Surplus instrument estimation allows for a more thorough control of endogeneity, ensuring consistent and robust estimates in econometric analysis.

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Pick one leadership style that interests you. Here are a few examples of leadership style:

• Autocratic Leadership

• Bureaucratic Leadership

• Democratic Leadership

• Laissez-faire Leadership

• Authoritarian Leadership

• Participative Leadership

• Delegative Leadership

• Transactional Leadership

• Transformational Leadership

• Pace-Setting Leadership

• Coaching Leadership

• Affiliative Leadership

The goal is for you to learn more about this leadership style and to inform your classmates too.

In your presentation, please cover the following areas

: • Pros and cons of the leadership style

. • What type of tasks are these leaders best and worst at?

• Describe the employee-leadership relationship

. • Describe their communication style.

Answers

By embracing the transformational leadership style, leaders can inspire their teams to achieve extraordinary results, foster an environment of growth and innovation, and develop strong relationships based on trust and mutual respect. Understanding the pros and cons, recognizing the tasks where this style is most effective, and appreciating the employee-leadership relationship and communication style will enable leaders to leverage the transformational leadership approach to its fullest potential.

Here's an overview covering the areas you mentioned:

Transformational Leadership:

1. Pros and Cons:

- Pros: Transformational leaders inspire and motivate their followers to achieve exceptional performance and exceed their own expectations. They have a vision, charisma, and the ability to empower and develop their team members. They promote innovation, encourage personal growth, and foster a positive work environment.

- Cons: Transformational leadership can sometimes lead to overly high expectations and burnout among followers. The reliance on the leader's vision and charisma may also result in a dependency on the leader, potentially hindering independent decision-making and problem-solving.

2. Tasks:

- Best: Transformational leaders excel in situations that require creativity, innovation, and adaptation to change. They thrive in dynamic environments where new ideas and approaches are valued, and they can inspire their team members to embrace and implement these changes.

- Worst: This leadership style may not be as effective in highly structured and routine tasks that require strict adherence to established procedures and limited flexibility. Transformational leaders may find it challenging to navigate tasks that require a focus on efficiency, strict adherence to guidelines, and maintaining a stable status quo.

3. Employee-Leadership Relationship:

- Transformational leaders foster a strong and positive employee-leadership relationship. They create a supportive and trusting environment where employees feel valued and encouraged to reach their full potential. These leaders invest in developing their followers, providing mentorship, coaching, and opportunities for growth. The relationship is characterized by mutual respect, open communication, and a shared vision for the organization's success.

4. Communication Style:

- Transformational leaders employ an open and inclusive communication style. They actively listen to their team members' ideas and concerns, encourage two-way communication, and provide constructive feedback. They effectively articulate their vision and inspire others through persuasive and motivational communication. These leaders promote transparency and create a sense of shared purpose and ownership among their followers.

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