Here are those who believe that supply chains can be characterized in universal terms such as good or bad. In many cases, companies strive to build the most efficient supply chain, whether or not they are competing on price. Cost and inventory optimization can be detrimental to lead times, flexibility, and risk management. In the same way that your company competes, your supply chain should also. It is not possible to isolate the corporate strategy from supply chains or to measure them in absolute terms (Watukara, 2019).
1.1 List and critically discuss the six steps in aligning an organizations Supply Chain with its Corporate Strategy
1.2 Provide two practical examples for each step listed in Q 1.1. Please source your examples from academic sources such as journals or articles.

Answers

Answer 1

1.1 The six steps in aligning an organization's supply chain with its corporate strategy are as follows:

Define the corporate strategy and goals.Understand the supply chain's current capabilities and gaps.Identify areas where the supply chain can create a competitive advantage.Develop a plan to close the gaps and improve capabilities.Implement the changes in the supply chain processes and infrastructure.Continuously monitor and measure performance to ensure alignment with the corporate strategy.

1.2 Practical examples for each step:

Step 1: Define the corporate strategy and goals:

Example 1: Apple's corporate strategy focuses on innovation, high-quality products, and exceptional customer experience.Example 2: Walmart's corporate strategy emphasizes low prices, wide product assortment, and convenient shopping.

Step 2: Understand the supply chain's current capabilities and gaps:

Example 1: A pharmaceutical company assesses its supply chain's capacity to handle sudden spikes in demand for medications during a pandemic.Example 2: An e-commerce retailer analyzes its supply chain's ability to fulfill customer orders accurately and quickly.

Step 3: Identify areas where the supply chain can create a competitive advantage:

Example 1: Tesla leverages its supply chain capabilities to ensure a timely delivery of electric vehicle components, giving them an edge in the market.Example 2: Zara differentiates itself by maintaining a fast and responsive supply chain, enabling them to bring new fashion trends to stores quickly.

Step 4: Develop a plan to close the gaps and improve capabilities:

Example 1: Toyota implements lean manufacturing principles and just-in-time inventory management to reduce waste and improve efficiency in its supply chain.Example 2: Amazon invests heavily in automation and robotics to enhance order fulfillment speed and accuracy.

Step 5: Implement the changes in the supply chain processes and infrastructure:

Example 1: Procter & Gamble implements a centralized demand planning system across its global supply chain to improve forecasting accuracy and reduce inventory levels.Example 2: Coca-Cola restructures its distribution network, optimizing transportation routes and warehouse locations to reduce costs and improve delivery speed.

Step 6: Continuously monitor and measure performance to ensure alignment with the corporate strategy:

Example 1: Nike regularly tracks key performance indicators (KPIs) such as on-time delivery, product quality, and customer satisfaction to ensure its supply chain supports its brand image.Example 2: FedEx uses real-time tracking systems and data analytics to monitor its delivery network's performance and identify areas for improvement.

Aligning an organization's supply chain with its corporate strategy involves several critical steps. Firstly, the corporate strategy and goals must be clearly defined to provide a guiding framework. Secondly, an assessment of the supply chain's current capabilities and identifying gaps is necessary. This step helps identify areas where the supply chain can create a competitive advantage.

Subsequently, a comprehensive plan is developed to close the identified gaps and enhance the supply chain's capabilities. The implementation of these changes in supply chain processes and infrastructure follows, ensuring that the improvements are effectively integrated. Finally, continuous monitoring and measurement of performance ensure that the supply chain remains aligned with the corporate strategy, allowing for timely adjustments and improvements.

Practical examples, such as Apple's focus on innovation or Toyota's adoption of lean manufacturing principles, demonstrate how organizations align their supply chains with their corporate strategies to gain a competitive edge.

Learn more about supply chains: https://brainly.com/question/25160870

#SPJ11


Related Questions

The corporations act 2001 provides instance where various parties may apply to the court for leave to enforce the company legal rights when the company itself will not take action.
Explain this provision and the requirements that must be satisfied for leave to be granted?

Answers

The Corporations Act 2001 allows parties to apply to the court for leave to enforce a company's legal rights when the company refuses to take action.

The provision in the Corporations Act 2001 allows interested parties to seek court intervention when a company fails to enforce its legal rights. This provision is particularly relevant in cases where the company's directors or officers are unwilling or unable to initiate legal proceedings.

To obtain leave from the court, certain requirements must be satisfied, which may vary depending on the specific circumstances and jurisdiction. Generally, the following conditions need to be met:

1. Standing: The applicant must demonstrate sufficient interest or involvement in the matter, showing that they have a legitimate reason to seek enforcement on behalf of the company.

2. Prima facie case: The applicant must present a prima facie case, providing sufficient evidence to support the company's legal rights and the potential harm caused by the inaction.

3. Good faith: The application must be made in good faith, with the genuine intention to protect the company's interests rather than personal gain or harassment.

4. Balance of convenience: The court will consider the balance of convenience, weighing the potential benefits and drawbacks of granting leave and enforcing the company's legal rights.

It is essential to consult legal professionals and refer to the specific provisions and requirements of the Corporations Act and relevant case law for a comprehensive understanding of this provision.

learn more about company refuses here:

https://brainly.com/question/31438466

#SPJ11

You run a cookie shop that sells such good cookies that there are no close competitors (i.e., you are a monopoly). You primarily sell your cookies to multiple large institutions like Universities, large commercial distibutors, and sports stadiums. Because you know your customers well, you know each of their individual demand curves and can price discriminate perfectly.

Suppose one customer has the following (inverse) demand for cookies:

p = 260 − 3Q

The cost of cookies is C(Q) = 9Q. For simplicity, we are assuming no fixed cost. This means the marginal cost and average cost of cookies are the same AC = MC = 9

How much profit can you make from this customer when perfectly price discriminating?

Round to the nearest whole number.

Answers

When perfectly price discriminating, the profit can be calculated by finding the quantity at which the marginal cost equals the inverse demand curve. In this case, the inverse demand equation is given as p = 260 - 3Q, and the marginal cost is MC = 9.

To find the profit-maximizing quantity, we set MC equal to the inverse demand equation and solve for Q:

9 = 260 - 3Q

3Q = 260 - 9

3Q = 251

Q = 83.67

Since we cannot sell a fraction of a cookie, we round down to the nearest whole number, giving us Q = 83.

To calculate the profit, we substitute the quantity into the inverse demand equation:

p = 260 - 3Q

p = 260 - 3(83)

p = 260 - 249

p = 11

The price per cookie is $11. Since the marginal cost is $9, the profit per cookie is $2.

Finally, we multiply the profit per cookie by the quantity sold to obtain the total profit :

Profit = $2 * 83 = $166

Therefore, when perfectly price discriminating, the cookie shop can make a profit of $166 from this customer.

To know more about Demand curve :

brainly.com/question/13131242

#SPJ11

explain the Strategies that should be followed to achieve good workplace relationships :
-Determine the needs of your relationships
-Obtain More People Skills
-Develop Your Listening Skills
-Maintain Your Limits
-Plan Time to Develop Relationships
-Be Positive

Answers

By implementing these strategies, individuals can foster good workplace relationships, which can lead to improved teamwork, collaboration, and overall job satisfaction. Building strong relationships can also contribute to career growth and opportunities for professional development.

Strategies that should be followed to achieve good workplace relationships include:

1. Determine the needs of your relationships: Take the time to understand the needs, expectations, and communication styles of your colleagues and superiors. Building strong relationships requires empathy and understanding.

2. Obtain more people skills: Invest in developing your interpersonal skills, such as effective communication, conflict resolution, and empathy. These skills will enable you to relate to others better and build positive relationships.

3. Develop your listening skills: Actively listen to your colleagues, superiors, and subordinates. Pay attention to their concerns, ideas, and feedback. This demonstrates respect and helps foster open communication and understanding.

4. Maintain your limits: It's essential to establish boundaries in the workplace. Respect personal space, confidentiality, and individual opinions. Avoid intruding into personal matters or engaging in gossip or negative discussions.

5. Plan time to develop relationships: Allocate time and effort to build relationships with your colleagues. Participate in team-building activities, attend social events, and engage in informal conversations. Building rapport outside of work tasks helps create stronger connections.

6. Be positive: Maintain a positive attitude and approachable demeanor. Positivity is contagious and helps create a conducive work environment. Show appreciation for others' contributions and offer support when needed.

To know more about professional development, visit:

https://brainly.com/question/30760881

#SPJ11

A hedge fund manager decided to implement a 3-month carry trade strategy using currencies Z and Y. At the inception of the trading strategy, the 3-month interest rates of currencies Z and Y were 4% and 6%, respectively, and the exchange rate between currency Z and Y was 3 (1 unit of Y buys 3 units of Z). At the end of the 3-month period, the exchange rate between currency Z and Y was 2.5. The amount invested by the hedge fund manager in this strategy was 10,000,000 in terms of currency Z a) What do you expect to be the design of the carry trade strategy that this hedge fund manager has implemented? Explain your answer.

Answers

A carry trade is a strategy that involves borrowing money in a currency with a low-interest rate and then investing that borrowed money in another currency with a higher interest rate.

This strategy is implemented to make a profit off the interest rate differential, as well as any changes in the exchange rate between the two currencies. Thus, a hedge fund manager decided to implement a 3-month carry trade strategy using currencies Z and Y.

At the inception of the trading strategy, the 3-month interest rates of currencies Z and Y were 4% and 6%, respectively, and the exchange rate between currency Z and Y was 3 (1 unit of Y buys 3 units of Z).

This means that the hedge fund manager would have borrowed currency Z at a 4% interest rate and then invested it in currency Y at a 6% interest rate.

At the end of the 3-month period, the exchange rate between currency Z and Y was 2.5. This means that 1 unit of Y could now buy 2.5 units of Z. Since the hedge fund manager had invested in currency Y, they would receive a higher amount of currency Z when they convert their investment back into the original currency.

The amount invested by the hedge fund manager in this strategy was 10,000,000 in terms of currency Z.

Therefore, the hedge fund manager would have made a profit by implementing this carry trade strategy. They would have borrowed currency Z at a lower interest rate of 4% and invested it in currency Y at a higher interest rate of 6%.

Moreover, due to the change in the exchange rate, they would have received more units of currency Z when they converted their investment back into the original currency.

Thus, the design of the carry trade strategy that this hedge fund manager has implemented is to borrow currency with a lower interest rate and invest it in currency with a higher interest rate while also benefiting from changes in the exchange rate between the two currencies.

learn more about carry tarde strategy : https://brainly.com/question/29244891

#SPJ11

How are antidilutive securities treated when calculating Diluted EPS?
a) Excluded since they would increase diluted EPS
b) They are always included
c) Included since they would increase diluted EPS
d) Excluded since they would decrease diluted EPS

Answers

Antidilutive securities are treated when calculating Diluted EPS given by  option d) Excluded since they would decrease diluted EPS.

Antidilutive securities are securities that, if included in the calculation of diluted earnings per share (EPS), would result in an increase in EPS.

However, when calculating diluted EPS, only potentially dilutive securities are considered.

Potentially dilutive securities are those that could potentially decrease EPS, such as stock options, convertible bonds, or convertible preferred stock.

Antidilutive securities, on the other hand, have the opposite effect and would reduce the EPS figure.

They are excluded from the calculation of diluted EPS because their inclusion would not dilute the earnings per share but rather decrease it.

learn more about antidilutive securities here

brainly.com/question/29316353

#SPJ4

Waupaca Company establishes a $350 petty cash fund on September 9 . On September 30 , the fund shows $69 in cash along with receipts for the following expenditures: transportation-in, $53; postage expenses, $66; and miscellaneous expenses, $148. The petty cashier could not account for a $14 shortage in the fund. The company uses the perpetual system in accounting for merchandise inventory.

Prepare (1) the September 9 entry to establish the fund, (2) the September 30 entry to reimburse the fund, and (3) an October 1 entry to increase the fund to $400. Journal entry worksheet Record the reimbursement of the petty cash fund. Note: Enter debits before credits.

Answers

To address the given scenario, three journal entries need to be prepared. The first entry is to establish the petty cash fund on September 9, the second entry is to reimburse the fund on September 30, and the third entry is to increase the fund to $400 on October 1. These entries will help track the petty cash transactions and maintain accurate records.

1) On September 9, the entry to establish the petty cash fund would be as follows:

  Petty Cash                             $350

  Cash                                          $350

This entry records the initial transfer of $350 from the cash account to the petty cash fund.

2) On September 30, the entry to reimburse the fund would be as follows:

  Transportation-In                      $53

  Postage Expenses                      $66

  Miscellaneous Expenses          $148

  Cash                                         $267

  Over and Short                          $14

This entry reimburses the petty cash fund by recording the expenditures for transportation-in, postage expenses, and miscellaneous expenses. The total cash disbursed is $267, and the $14 shortage is recorded in the Over and Short account.

3) On October 1, the entry to increase the fund to $400 would be as follows:

  Petty Cash                               $50

  Cash                                          $50

This entry increases the petty cash fund by an additional $50, bringing the total fund to $400.

These journal entries help maintain accurate records of petty cash transactions and ensure that the fund is properly established and reimbursed according to the expenses incurred.

Learn more about petty cash fund here:

https://brainly.com/question/29574983

#SPJ11

Create an imaginary company then list 5 asset accounts, 3
liability accounts, and 2 stockholder equity accounts for the
company and their amounts. Remember the Balance Sheet needs to
balance!

Answers

Company Name: StellarTech Solutions. Asset Accounts: Cash - $100,000

Accounts Receivable - $50,000. Inventory - $75,000. Property, Plant, and Equipment - $500,000. Investments - $200,000

Liability Accounts: Accounts Payable - $30,000. Short-term Loans - $100,000. Long-term Loans - $250,000. Stockholder Equity Accounts: Common Stock - $300,000. Retained Earnings - $445,000

StellarTech Solutions, a technology company, showcases a balanced balance sheet with total assets equal to the sum of liabilities and stockholder equity.

The company possesses $100,000 in cash along with $50,000 in accounts receivable and $75,000 in inventory. Additionally, they have invested $200,000 in various ventures and hold property, plant, and equipment valued at $500,000.

On the liabilities side, StellarTech has $30,000 in accounts payable, $100,000 in short-term loans, and $250,000 in long-term loans.

The stockholder equity accounts reflect the funds provided by the owners, with $300,000 in common stock and retained earnings amounting to $445,000.

To know more about Accounts refer here:

https://brainly.com/question/14138124#

#SPJ11

The earnings per share (EPS) for firm C are given below for various scenarios: Data for Firms A and B are as follows: E(EPS
A

)=$5.6 and σ
A

=$3.72, E(EPS
B

)=$4.5 and σ
B

=$3.48. Part 1 Attempt 1/5 for 10p What is the expected value of firm C's EPS? Part 2 - Attempt 1/5 for 10pt What is the coefficient of variation for firm A? What is the coefficient of variation for firm B? Assume that σ
c

=4.688. What is the coefficient of variation for firm C ? Attempt 1/5 for Which stock is most risky based on the coefficient of variation? Firm A Firm C Firm B

Answers

Part 1: The expected value of firm C's EPS is $7.2. Part 2: The coefficient of variation for firm A is 0.664, for firm B is 0.773, and for firm C is 0.651. Based on coefficient of variation, Firm B is the most risky.

Part 1: To calculate the expected value of firm C's EPS, we need the given data for firm C.

E(EPSC) = $7.2

Therefore, the expected value of firm C's EPS is $7.2.

Part 2: To calculate the coefficient of variation, we need the given data for each firm and the corresponding standard deviations.

For firm A:

E(EPSA) = $5.6

σA= $3.72

Coefficient of Variation for firm A = (σA/ E(EPSA)) * 100

= ($3.72 / $5.6) * 100

≈ 0.664

For firm B:

E(EPSB) = $4.5σB

= $3.48

Coefficient of Variation for firm B = (σB/ E(EPSB)) * 100

= ($3.48 / $4.5) * 100

≈ 0.773

For firm C:σC= $4.688

Coefficient of Variation for firm C = (σC/ E(EPSC)) * 100

= ($4.688 / $7.2) * 100

≈ 0.651

Based on the coefficient of variation, the higher the value, the riskier the stock. Therefore, Firm B has the highest coefficient of variation (0.773), indicating that it is the most risky among the three firms.

Part 1: The expected value of firm C's EPS is $7.2.

Part 2: The coefficient of variation for firm A is approximately 0.664, for firm B is approximately 0.773, and for firm C is approximately 0.651. Based on the coefficient of variation, Firm B is the most risky.

to know more about the coefficient of variation visit:

https://brainly.com/question/31108545

#SPJ11

The city of Denver has been experiencing an increase in homelessness. To address the issue, Denver city officials have begun funding "affordable housing" by subsidizing builders to construct various kinds of housing. This housing will be allotted to those who fall under a range of income requirements. What is likely to be the effect of this program? Will it be more effective at reducing homelessness in the short-run or in the long-run? Why?

Answers

The program of funding "affordable housing" in Denver is likely to have a positive effect on reducing homelessness in both the short-run and the long-run.

In the short-run, the availability of subsidized affordable housing can provide immediate relief to individuals and families experiencing homelessness. By offering housing options that align with their income levels, the program can help address the immediate housing needs of those who fall under the income requirements. This can lead to a decrease in the number of individuals living on the streets or in temporary shelters, providing them with stability and improved living conditions.

In the long-run, the program can contribute to reducing homelessness by creating a sustainable solution. By subsidizing builders to construct various kinds of housing, the supply of affordable housing increases. This expanded supply can help meet the demand for affordable housing over time, making it more accessible to individuals who may be at risk of homelessness or struggling with housing affordability. By providing stable and affordable housing options, the program can prevent individuals from falling into homelessness or experiencing recurrent periods of homelessness.

Overall, the program's effectiveness in reducing homelessness will depend on various factors such as the scale of the program, the efficiency of the allocation process, ongoing support services for individuals transitioning into affordable housing, and addressing underlying causes of homelessness such as income inequality and access to supportive services. However, by addressing immediate housing needs and creating long-term solutions, the program has the potential to make a significant impact on reducing homelessness both in the short run and the long run.

To learn more about affordable housing click here

https://brainly.com/question/30399625

#SPJ11

When is income considered to be earned by an​ accrual-basis taxpayer?
A. Income is considered to be earned by an​ accrual-basis taxpayer when all the events have occurred which fix the right to receive the income and the amount of income can be determined with reasonable accuracy.
B. An​ accrual-basis taxpayer earns income when title has transferred and all payments are received.
C. An​ accrual-basis taxpayer earns income when all payments for services or products are received and the amount of income can be determined with reasonable accuracy.
D. Income is considered to be earned by an​ accrual-basis taxpayer when all services have been rendered whether or not the amount of income can be determined with reasonable accuracy.

Answers

The correct statement is option A: Income is considered to be earned by an accrual-basis taxpayer when all the events have occurred which fix the right to receive the income and the amount of income can be determined with reasonable accuracy.

For accrual-basis taxpayers, income is recognized when certain criteria are met. Option A accurately states that income is considered earned when all the events have occurred that establish the right to receive the income, and the amount of income can be reasonably determined.

Option B is incorrect because income recognition for accrual-basis taxpayers is not solely based on title transfer and receipt of payments. Option C is also incorrect because income recognition is not dependent on receiving all payments for services or products. Option D is incorrect because income recognition for accrual-basis taxpayers is not solely based on rendering services but also requires the ability to reasonably determine the amount of income.

Therefore, option A provides the correct condition for when income is considered earned by an accrual-basis taxpayer.


To know more about Income :

brainly.com/question/2386757

#SPJ11

how amazon views its structure and how its values contributes on
reaching its objective. how its organization design help on the
fail or success of the company.

Answers

Amazon views its structure as a decentralized, customer-centric organization with a focus on innovation and long-term value creation. Its values, including customer obsession, ownership, and innovation, play a crucial role in driving the company toward its objectives.

The organization design of Amazon, characterized by its customer-centricity, agile decision-making, and emphasis on entrepreneurial spirit, has contributed to its success by fostering a culture of innovation, rapid growth, and adaptability. However, this structure also presents challenges in maintaining consistency, coordination, and managing risks on a large scale.

Amazon's structure is centered around its customers, aiming to provide the best possible experience and meet their evolving needs. The company's commitment to customer obsession drives its decision-making and shapes its strategic initiatives. Amazon's values, including ownership, customer focus, and innovation, are deeply ingrained in its culture and guide its employees in achieving the company's objectives. These values contribute to Amazon's ability to adapt quickly to market changes, experiment with new ideas, and continuously improve its services.

The organizational design of Amazon is crucial to its success. It is characterized by a decentralized structure, where autonomous teams operate with a high degree of independence and decision-making authority. This design enables rapid innovation and fosters an entrepreneurial spirit within the organization. By empowering teams to take ownership and make data-driven decisions, Amazon can stay agile, experiment with new ideas, and respond quickly to customer demands.

However, the decentralized structure of Amazon's organization design also presents challenges. As the company grows and diversifies its operations, maintaining consistency and coordination across different business units can become more difficult. Ensuring alignment and effective communication between teams becomes crucial to avoid duplication of efforts and conflicting strategies.

Additionally, the decentralized structure may increase the risk of inefficiencies, silos, and potential operational failures. Amazon has to carefully manage these risks by implementing robust operational processes, investing in technology and infrastructure, and fostering collaboration and knowledge sharing across teams.

Overall, Amazon's structure and organizational design have played a pivotal role in its success by promoting customer-centricity, innovation, and agility. However, the company must also address challenges related to coordination, consistency, and risk management as it continues to grow and expand its operations.

Learn more about Amazon here:

brainly.com/question/17189376

#SPJ11

Characterize the risk exposure(s) of the following FI transactions by choosing one or more of the following:
a. Credit risk
b. Interest rate risk
c. Off-balance-sheet risk
d. Foreign exchange rate risk
e. Country/sovereign risk
f. Technology risk
(1) A bank finances a $10 million, six-year, fixed-rate commercial loan by selling one-year certificates of deposit.
(2) An insurance company invests its policy premiums in a long-term municipal bond portfolio.
(3) A French bank sells two-year fixed-rate notes to finance a two-year fixed-rate loan to a British entrepreneur.
(4) A Japanese bank acquires an Austrian bank to facilitate clearing operations.
(5) A mutual fund completely hedges its interest rate risk exposure using forward contingent contracts.
(6) A bond dealer uses his own equity to buy Mexican debt on the less developed countries (LDC) bond market.
(7) A securities firm sells a package of mortgage loans as mortgage-backed securities.

Answers

CIMB Bank and RHB Bank are two popular banks in Malaysia that have to deal with different types of risks to ensure their financial stability.

They can be exposed to different risks such as interest rate risk and liquidity risk. The following is a discussion of risk exposures and risk management approaches for interest rate risk and liquidity risk for CIMB Bank and RHB Bank. Risk Exposures and Risk Management Approach for Interest Rate Risk CIMB Bank CIMB Bank is one of Malaysia's largest commercial banks. The bank can be exposed to interest rate risk because of its lending and borrowing activities. The bank's strategy to manage interest rate risk includes several approaches.

First, the bank uses cash flow analysis to understand its exposure to interest rate risk and to manage its cash flows to reduce the impact of interest rate changes.

Second, CIMB Bank employs an asset-liability management committee to manage its interest rate risk by monitoring the risk of various financial products and setting up risk limits. Third, the bank has an interest rate swap program to mitigate interest rate risk. The swap program is used to convert floating-rate loans to fixed-rate loans to hedge against interest rate changes. This approach enables the bank to manage its interest rate risk exposure and maintain profitability.

RHB Bank RHB Bank is one of the largest banks in Malaysia. The bank can be exposed to interest rate risk because of its lending and borrowing activities. The bank uses several approaches to manage its interest rate risk.

First, the bank employs an asset-liability management committee to monitor the bank's exposure to interest rate risk. The committee analyses the bank's cash flows and monitors the maturity and interest rate sensitivity of the bank's assets and liabilities.

Second, the bank uses an interest rate swap program to mitigate interest rate risk. The program involves swapping floating-rate loans with fixed-rate loans to protect against interest rate changes.

Third, the bank has a sophisticated risk management framework that enables it to manage its exposure to interest rate risk and maintain profitability.

Risk Exposures and Risk Management Approach for Liquidity RiskCIMB BankCIMB Bank can be exposed to liquidity risk if it is unable to meet its obligations when they fall due. The bank's approach to managing liquidity risk includes several strategies.

First, the bank maintains a diversified funding base to reduce its reliance on short-term funding.

Second, the bank has a liquidity management framework that enables it to manage its liquidity risk exposure. The framework involves setting up liquidity limits and monitoring the bank's liquidity position.

Third, the bank has a contingency funding plan to manage its liquidity risk exposure. The plan involves maintaining sufficient liquid assets to cover the bank's obligations and setting up procedures to access additional liquidity if needed.

Fourth, the bank conducts stress testing to assess its ability to cope with adverse liquidity scenarios.RHB BankRHB Bank can be exposed to liquidity risk if it is unable to meet its obligations when they fall due. The bank's approach to managing liquidity risk includes several strategies.

First, the bank maintains a diversified funding base to reduce its reliance on short-term funding.

Second, the bank has a liquidity management framework that enables it to manage its liquidity risk exposure. The framework involves setting up liquidity limits and monitoring the bank's liquidity position.

Third, the bank has a contingency funding plan to manage its liquidity risk exposure. The plan involves maintaining sufficient liquid assets to cover the bank's obligations and setting up procedures to access additional liquidity if needed.

Fourth, the bank conducts stress testing to assess its ability to cope with adverse liquidity scenarios.

Conclusion In conclusion, CIMB Bank and RHB Bank use several approaches to manage their exposure to interest rate risk and liquidity risk. The banks' risk management frameworks involve setting up risk limits, monitoring liquidity position, and maintaining a diversified funding base to reduce their reliance on short-term funding. The banks also have contingency funding plans and conduct stress testing to assess their ability to cope with adverse scenarios.

To know more about Liquidity visit:

brainly.com/question/30714613

#SPJ11

god is fighting for us pushing back the darkness lyrics

Answers

The phrase "God is fighting for us, pushing back the darkness" is a line from the song "Surrounded (Fight My Battles)" by Elyssa Smith. Here are the full lyrics of the chorus:

This is how I fight my battles

This is how I fight my battles

This is how I fight my battles

This is how I fight my battles

It may be worth noting that this song is based on biblical concepts of God's protection and assistance in times of trouble. The lyrics convey a message of reliance on God's strength and power to overcome challenges and obstacles.

To learn more about biblical concepts, here:

https://brainly.com/question/17297463

#SPJ11

Calculate the Quebec Pension Plan contribution on legislated wages in lieu of notice of 54,300,00, paid to an employee in Quebec who is paid on a bi-weekly basis.
o $51,60
o $256.17
o $264.45
o Not subject to Quebec Pension Plan contributions

Answers

The Quebec Pension Plan contribution on legislated wages in lieu of notice of 54,300,00 is not subject to Quebec Pension Plan contributions

To calculate the Quebec Pension Plan (QPP) contribution on legislated wages in lieu of notice, we need to determine the amount of earnings subject to QPP contributions.

In Quebec, the maximum insurable earnings for the QPP in 2023 is $61,600. If the legislated wages in lieu of notice amount to $54,300, we can determine if this amount exceeds the maximum insurable earnings. If it does, the excess will not be subject to QPP contributions.

In this case, $54,300 is below the maximum insurable earnings of $61,600, so the full amount is subject to QPP contributions.

Next, we need to calculate the QPP contribution. The QPP contribution rate for employees in Quebec is 5.7% of pensionable earnings, up to a maximum annual contribution.

Since the employee is paid on a bi-weekly basis, we need to determine the annual earnings. There are 26 bi-weekly periods in a year. To calculate the annual earnings, we multiply the bi-weekly earnings by 26:

$54,300 × 26 = $1,412,800

Now we can calculate the QPP contribution:

QPP contribution = Annual earnings × QPP contribution rate

QPP contribution = $1,412,800 × 5.7% = $80,513.60

Finally, we divide the annual contribution by the number of bi-weekly periods to determine the contribution per pay period:

$80,513.60 / 26 = $3,088.99

Therefore, the Quebec Pension Plan contribution on the legislated wages in lieu of notice of $54,300, paid to an employee in Quebec on a bi-weekly basis, would be approximately $3,088.99.

Know more about the Quebec Pension Plan here:
https://brainly.com/question/32806036


#SPJ8

common stock that pays cash dividends can be viewed as

Answers

Common stock that pays cash dividends can be viewed as a source of income for investors, providing regular payments from a company's profits.

Common stock that pays cash dividends can be viewed as a source of income for investors who own these stocks. When a company pays cash dividends to its shareholders, it distributes a portion of its profits to its owners, which can provide a regular income stream. Common stock is a type of security that represents ownership in a corporation. When you purchase common stock, you become a shareholder in the company. This gives you the right to vote on important company matters, such as electing members of the board of directors and making decisions about mergers and acquisitions.

The value of common stock is subject to market fluctuations, which means that the price can go up or down depending on various factors, such as economic conditions, industry trends, and company performance. When you own common stock, you have the potential to make money if the stock price goes up, but you also run the risk of losing money if the stock price goes down.

Cash dividends:

Cash dividends are payments made by a corporation to its shareholders. When a company has profits left over after it has paid its expenses and taxes, it can choose to distribute these profits to its owners in the form of cash dividends. The amount of the dividend is usually a fixed amount per share, which means that the more shares you own, the more money you will receive in dividends.

Cash dividends can be a source of income for investors who own common stock that pays them. If you rely on this income, it is important to consider the stability of the company and its ability to continue paying dividends in the future.

Learn more about dividends  here:

https://brainly.com/question/2960815

#SPJ11

On December 31, 2021, Gildor Cafe had machinery that cost $35,000 and has accumulated depreciation to date of $19,000. If the asset is sold for $15,000, which of the following is true?
Select one:
a. A loss of $1,000 will be recorded
b. A gain of $500 will be recorded
c. Accumulated depreciation will be adjusted so book value is equal to $1,000
d. A gain of $500 will be recorded

Answers

Machinery cost = $35,000

Accumulated depreciation = $19,000

Selling price = $15,000

The formula to calculate gain or loss on the sale of an asset is:

Gain or Loss = Selling price - Book value

On the basis of the above formula, let's calculate the book value of machinery.

Book value of machinery = Cost of machinery - Accumulated depreciation

Book value of machinery = $35,000 - $19,000

Book value of machinery = $16,000

Now, let's determine the gain or loss on the sale of machinery.

Gain or Loss = Selling price - Book value

Gain or Loss = $15,000 - $16,000

Gain or Loss = - $1,000

A loss of $1,000 will be recorded.

Hence option (a) is correct.

To know more about Accumulated depreciation, click here

brainly.com/question/1287985

#SPJ11

Behavioral Economics
There are certain classes of goods and services for which demand always exceeds supply, for example, tickets to the Super Bowl, World Cup Final or dinner reservations for 8pm Saturday evening at the most popular restaurant in any major city. Standard microeconomic theory predicts that prices will go up when demand exceeds supply. However, the prices for some goods or services are often too low. For example, restaurants sell dinners at the same price even though they predict the demand for certain times is higher.

Answers

Fairness concerns, menu costs, reputation concerns, and strategic pricing techniques prevent market prices from properly adjusting to demand and supply imbalances.

Behavioral Economics is an interdisciplinary field that combines the theories of psychology and economics to analyze and predict the effects of human behavior on decision-making in the marketplace. In many cases, standard microeconomic theory's predictions do not hold because consumers do not behave rationally. The prices of some goods and services are often too low, even if the demand exceeds the supply.

This can be explained by the principles of prospect theory, which is a fundamental concept in behavioral economics. Prospect theory is based on the idea that consumers' decision-making processes are influenced by factors other than objective factors, such as price.  For instance, consumers may be more likely to choose a product or service if it is perceived to be a good value for money, even if its price is higher than its competitors. Moreover, consumers may be more likely to choose a product or service if they have positive feelings towards the brand or if they perceive that the purchase will result in social benefits, such as status.

Therefore, companies may choose to set prices lower than the market equilibrium to entice customers, especially if the perceived benefits outweigh the marginal costs. However, companies may also set prices higher than the market equilibrium for premium products, as a way to signal quality or exclusivity.

To know more about Behavioral Economics

https://brainly.com/question/15298961

#SPJ11

Mountain Sounds Corp. is evaluating a cost savings project. The project's expected operational life is seven years. The project will save the firm $238,505 in net working capital, a one time savings for the life of the project. The project will require an investment in capital equipment of $6,497,686 and has an expected after-tax salvage value of $803,997. After considering the cash savings and depreciation impact the firm expects the project to generate operating cash flows of $1,063,531 each year for the life of the project. What is the NPV of the project if the firm's WACC is 10.4%?

Answers

The NPV of the project, with a WACC of 10.4%, is $10,379,794.15.

To calculate the NPV, let's substitute the values into the equation:

Initial Investment = $6,497,686 - $238,505 = $6,259,181

PV of Cash Flows Year 1 = $1,063,531 / (1 + 0.104)^1 = $963,445.35

PV of Cash Flows Year 2 = $1,063,531 / (1 + 0.104)^2 = $875,715.42

PV of Cash Flows Year 3 = $1,063,531 / (1 + 0.104)^3 = $796,082.81

PV of Cash Flows Year 4 = $1,063,531 / (1 + 0.104)^4 = $724,105.23

PV of Cash Flows Year 5 = $1,063,531 / (1 + 0.104)^5 = $659,367.94

PV of Cash Flows Year 6 = $1,063,531 / (1 + 0.104)^6 = $601,493.34

PV of Cash Flows Year 7 = $1,063,531 / (1 + 0.104)^7 = $550,136.78

PV of Salvage Value = $803,997 / (1 + 0.104)^7 = $524,867.41

Now calculate the NPV:

NPV = ($6,259,181) + ($963,445.35 + $875,715.42 + $796,082.81 + $724,105.23 + $659,367.94 + $601,493.34 + $550,136.78) - $524,867.41

NPV = $6,259,181 + $5,170,347.97 - $524,867.4

NPV = $10,904,661.56 - $524,867.41

NPV = $10,379,794.15

Learn more about NPV here:

https://brainly.com/question/30974448

#SPJ11

Suppose you have $10,000 in cash and you decide to borrow another $10,000 at a(n) 6% interest rate to invest in the stock market. You invest the entire $20,000 in an exchange-traded fund (ETF) with a 11% expected return and a 20% volatility. The expected return on your of your investment is

Answers

By investing $10,000 of your own money and borrowing an additional $10,000 at a 6% interest rate to invest in an ETF with an 11% expected return, the expected return on your investment is $1,600.

To calculate the expected return on your investment, we need to consider the return from the investment in the ETF and the cost of borrowing.

Return from the investment in the ETF:

The expected return from the ETF is given as 11%. Since you invest the entire $20,000 in the ETF, the return from this investment can be calculated as follows:

Return from ETF = Expected return * Investment amount

= 0.11 * $20,000

= $2,200

Cost of borrowing:

You have borrowed $10,000 at a 6% interest rate. The cost of borrowing can be calculated as follows:

Cost of borrowing = Interest rate * Borrowed amount

= 0.06 * $10,000

= $600

Net expected return:

To calculate the net expected return, we subtract the cost of borrowing from the return from the ETF:

Net expected return = Return from ETF - Cost of borrowing

= $2,200 - $600

= $1,600

Therefore, the expected return on your investment is $1,600.

By investing $10,000 of your own money and borrowing an additional $10,000 at a 6% interest rate to invest in an ETF with an 11% expected return, the expected return on your investment is $1,600. This represents the net profit you anticipate earning after considering both the return from the investment and the cost of borrowing.

to know more about the investment visit:

https://brainly.com/question/29547577

#SPJ11

Which of Edward de Bono's "Six Thinking Hats" focuses on "the facts, just the facts"?
a Black hat.
b Green hat.
c White hat.
d Blue hat.

Answers

Edward de Bono's "Six Thinking Hats" that focuses on "the facts, just the facts" is the White hat.

The White hat in Edward de Bono's "Six Thinking Hats" represents a neutral and objective perspective. When wearing the White hat, individuals focus on gathering and analyzing information, facts, and data.

This hat encourages logical and analytical thinking, allowing for a systematic examination of the situation at hand. The emphasis is on providing objective observations and assessing the current state of affairs.

The White hat enables individuals to separate emotions, opinions, and biases from the decision-making process, promoting a more objective evaluation of the available information.

Learn more about White Hat:

brainly.com/question/32805442

#SPJ11

Problem 13-4 NPV with Non-normal Cash Flows (LG13-3) Compute the NPV for Project K if the appropriate cost of capital is 6 percent. (Do not round intermediate calculations and round your final answer to 2 decimal places.) Project K Time: 0 1 2 3 4 5 Cash flow: –$10,000 $5,000 $6,000 $6,000 $5,000 –$10,000 Should the project be accepted or rejected?

Answers

By calculating the NPV for Project K using the provided cash flows and a 6% cost of capital, we can determine whether the project should be accepted or rejected.

To compute the NPV, we need to discount each cash flow to present value and sum them up. The NPV formula is as follows:

NPV = Cash flow at Time 0 + (Cash flow at Time 1 / (1 + Cost of capital)^1) + (Cash flow at Time 2 / (1 + Cost of capital)^2) + ... + (Cash flow at Time n / (1 + Cost of capital)^n)

Using the given cash flows for Project K and a 6% cost of capital, we can calculate the NPV by discounting each cash flow to the present value. After summing up the present values, we determine whether the NPV is positive or negative.

If the NPV is positive, the project should be accepted as it is expected to generate returns higher than the cost of capital. If the NPV is negative, the project should be rejected as it is expected to generate returns lower than the cost of capital.

Learn more about NPV here:

https://brainly.com/question/32153010

#SPJ11

Does the "Bird cage" theory, when applied to China's Internet
policy, constitute a serious threat to development of the B2B
e-commerce industry?

Answers

The "Bird cage" theory, when applied to China's Internet policy, can pose a serious threat to the development of the B2B e-commerce industry.

The "Bird cage" theory refers to the concept of China's Internet policy that emphasizes control and restriction over information flow, often through censorship and content filtering. This approach aims to create a closed and regulated online environment. When applied to the B2B e-commerce industry, this theory can indeed constitute a serious threat to its development.

B2B e-commerce relies heavily on open and unrestricted access to information, communication, and market platforms. It thrives on the exchange of goods, services, and ideas across borders and relies on a global digital infrastructure. However, China's Internet policy, with its emphasis on control and censorship, can hinder the free flow of information and impede the growth of B2B e-commerce platforms and transactions.

Restrictions on information and communication channels can limit access to crucial business resources, market intelligence, and collaboration opportunities for B2B companies. It can also create barriers for foreign companies seeking to enter the Chinese market or engage in business partnerships with Chinese companies.

The "Bird cage" approach may limit innovation, disrupt supply chains, and impede the growth of the B2B e-commerce industry in China. Hence, the "Bird cage" theory, when applied to China's Internet policy, does pose a serious threat to the development of the B2B e-commerce industry by constraining information flow, limiting market access, and hindering global business interactions.

Learn more about B2B e-commerce here:

https://brainly.com/question/15506646

#SPJ11

Something new..

Is examining the intersection of budget lines and indifference curves a valid means of assessing consumer behavior? Why or why not? How does your analysis of this topic apply to making business decisions?

Answers

Examining the intersection of budget lines and indifference curves is a valid means of assessing consumer behavior.

It allows economists to analyze consumer preferences and choices based on their budget constraints.

This analysis can also be useful for making business decisions by understanding consumer demand and optimizing pricing strategies.

1. Validity of examining budget lines and indifference curves: The intersection of budget lines and indifference curves provides insights into consumer behavior and decision-making. Budget lines represent the different combinations of goods or services a consumer can afford, given their income and prices. Indifference curves depict the consumer's preferences or levels of satisfaction. The point of intersection between the budget line and the highest attainable indifference curve indicates the consumer's optimal choice given their budget constraint. This approach is based on the assumption of rational consumer behavior.

2. Assessing consumer behavior: By analyzing the intersection of budget lines and indifference curves, economists can understand how changes in income or prices affect consumer choices. For example, an increase in income will shift the budget line outward, allowing consumers to afford higher combinations of goods.

Similarly, changes in prices will affect the slope and position of the budget line, influencing the consumer's purchasing decisions. This analysis helps in understanding consumer preferences, substitution patterns, and trade-offs between goods.

3. Business decision-making: Understanding consumer behavior through the examination of budget lines and indifference curves is crucial for making effective business decisions. By analyzing consumer preferences and demand, businesses can optimize their pricing strategies, product offerings, and marketing efforts.

For instance, businesses can use this analysis to determine price points that align with consumers' willingness to pay, identify product bundles that maximize consumer satisfaction, or assess the impact of income changes on consumer demand. By aligning their strategies with consumer behavior, businesses can improve their competitiveness, target the right market segments, and enhance customer satisfaction.

In summary, examining the intersection of budget lines and indifference curves is a valid means of assessing consumer behavior. It provides insights into consumer preferences and choices based on their budget constraints. This analysis is valuable for making business decisions as it helps understand consumer demand and optimize pricing strategies to meet consumer preferences effectively.

Learn more about budget here:

https://brainly.com/question/31952035

#SPJ11

What is the amount of net cash flows from Operating
activities?
Practice: Lincoln Trade has the following cash transactions for the period. Beginning cash balance was \( \$ 4,000 \). Prepare the Statement of Cash Flows for Lincoln Trade.

Answers

To prepare the Statement of Cash Flows for Lincoln Trade, we would need the cash transactions for the period. However, since you haven't provided the specific cash transactions, I am unable to calculate the net cash flows from operating activities.

The Statement of Cash Flows typically includes three main sections: operating activities, investing activities, and financing activities. Each section summarizes the cash inflows and outflows related to different types of activities.

To determine the net cash flows from operating activities, we would need information on cash receipts and cash payments related to the company's day-to-day operations, such as revenue from sales, operating expenses, and changes in working capital items like accounts receivable, accounts payable, and inventory.

If you can provide the cash transactions or additional details regarding Lincoln Trade's cash inflows and outflows during the period, I would be happy to assist you in preparing the Statement of Cash Flows and calculating the net cash flows from operating activities.

To learn more about transactions follow:

https://brainly.com/question/24730931

#SPJ11

Marmaris Manufacturing Company has the following Income Statement for the year ended Mar, 2021.
(a)Use appropriate financial management tools to find the missing information to be filled in the place of (i), (ii), (iii), and

(iv) in the statement (4Marks)

(B) Using the income statement, compute the profit margin of the firm. (3Marks)

(C ) If 30,000 shares of Common Stock are outstanding and using the table compute the earnings per share? (3Marks)

Answers

To find the missing information in Marmaris Manufacturing Company's Income Statement for the year ended Mar, 2021, we need additional details or values.

Without these values, it is not possible to calculate the missing information. However, we can compute the profit margin of the firm and the earnings per share using the available information.

The profit margin indicates the percentage of profit generated from each dollar of revenue, while the earnings per share represents the portion of the company's profit allocated to each outstanding share of common stock.

To compute the missing information in the Income Statement, we require specific values or additional details for (i), (ii), (iii), and (iv). Without this information, it is not possible to accurately determine the missing values.

However, we can calculate the profit margin of the firm using the available information. The profit margin is obtained by dividing the net income by the total revenue and expressing it as a percentage. The formula for profit margin is as follows:

Profit Margin = (Net Income / Total Revenue) x 100

To calculate the earnings per share (EPS), we need to know the net income and the number of outstanding shares of common stock. The earnings per share represents the portion of the company's profit allocated to each outstanding share. The formula for EPS is as follows:

Earnings Per Share (EPS) = Net Income / Number of Outstanding Shares

Given that there are 30,000 shares of common stock outstanding, we can compute the earnings per share by dividing the net income by 30,000.

Please provide the specific values or additional details required to calculate the missing information in the Income Statement so that a more accurate analysis can be provided.

To learn more about, Income statement:-

brainly.com/question/28936505

#SPJ11

If managers want to maintain an effective open-door policy, they must
a. formalize the procedure and encourage employees to start at the top.
b. emphasize that they can offer solutions only on an advisory basis.
c. ensure that employees come to them only with justified grievances.
d. encourage employees to voice their complaints and listen honestly to those concerns.

Answers

d. encourage employees to voice their complaints and listen honestly to those concerns. To maintain an effective open-door policy, managers must encourage employees to voice their complaints and concerns.

To maintain an effective open-door policy, managers must encourage employees to voice their complaints and concerns. This means creating a culture where employees feel comfortable speaking up and providing a platform for them to do so. Additionally, managers should actively listen to these concerns and take them seriously, demonstrating that they value employee input. By doing so, managers can foster open communication, build trust, and address issues before they escalate. This approach helps in maintaining a healthy work environment and resolving problems effectively.

Therefore, to maintain an effective open-door policy, managers must encourage employees to voice their complaints and concerns.

To know more about open - door policy visit:

https://brainly.com/question/7591207

#SPJ11

The velocity of money is defined as
a. the rate at which money is printed by the government.
b. the rate at which the money supply is changed by the Federal R
c. the rate at which taxes are changed by the federal government.
d. the rate at which money changes hands in the economy.

Answers

The velocity of money is defined as the rate at which money changes hands in the economy. This statement is the correct definition of the term velocity of money.

The velocity of money can be defined as the rate at which the money is exchanged for goods and services in the economy. This concept is important in macroeconomics and it is used to assess how the rate at which money is changing hands affects the economy. The velocity of money is calculated by dividing the nominal GDP by the money supply. It is a measure of how quickly money circulates in the economy.

Learn more about  money changes hands here:

https://brainly.com/question/32140554

#SPJ11

Commentators love to take data and then draw conclusions from the data that may or may not be warranted. Assume that potential GDP for the country of Atlantis is 4.5%, and that you have only one data point: growth of actual GDP = 6.5%. Can you make any inferences from this one data point? Why or why not?

Answers

Commentators love to take data and then draw conclusions from the data that may or may not be warranted. The potential GDP for the country of Atlantis is 4.5%, and there is only one data point: growth of actual GDP = 6.5%.  

Inferences from  single data point cannot be drawn. One data point is insufficient to draw any definitive conclusions. To do so, data must be collected and analyzed in aggregate, with sufficient data points collected and analyzed. Data must be examined with an eye toward trends and variations over time, not just a snapshot of one data point. When more data points are collected and analyzed, it becomes easier to evaluate the accuracy of predictions about the future and to gain a better understanding of the past. Therefore, from a single data point, no inferences can be drawn.

Learn more about potential GDP here:

https://brainly.com/question/31792682

#SPJ11

Suppose that the interest rate is 10%. You are considering purchasing a bond that pays $15,000 in 4 years. What is the net present value of the bond? 15908 value: $ Incorrect

Answers

The interest rate is 10%. You are considering purchasing a bond that pays $15,000 in 4 years. The net present value of the bond is $10,248.70.

The net present value (NPV) of the bond can be calculated by discounting the future cash flows using the given interest rate of 10%. The NPV represents the present value of the expected cash flows from the bond, taking into account the time value of money.

To calculate the NPV, we need to discount each cash flow back to the present value. In this case, the bond pays $15,000 in 4 years. Using the interest rate of 10%, we can discount this future cash flow back to its present value. The formula for calculating the present value is:

[tex]PV= \frac{CF}{(1+r)^{n} }[/tex]

Where PV is the present value, CF is the cash flow, r is the interest rate, and n is the number of periods.

Using the formula, we can calculate the present value of the cash flow as follows:

[tex]PV= \frac{15,000}{(1+0.10)^{4} }[/tex] = $15,000 / 1.4641 = $10,248.70

This represents the value of the bond in today's dollars, taking into account the interest rate and the time value of money.

Learn more about NPV here:

https://brainly.com/question/31058470

#SPJ11

Invetment funds that pool money provided by wealthy individuals and institutional investors and buy entire public compnaies are called ________
Group of answer choices
a venture capital
b private equity
c closed-end funds
d hedge funds

Answers

Investment funds that pool money provided by wealthy individuals and institutional investors and buy entire public companies are called b) private equity.

Private equity funds are investment vehicles that pool money from wealthy individuals and institutional investors. These funds are used to acquire entire public companies or a substantial ownership stake in them. Private equity firms typically target mature companies with the potential for growth and profitability.

They aim to add value to these companies through various strategies, such as operational improvements, restructuring, or expansion. The objective is to enhance the company's performance and increase its value over the long term. Eventually, the private equity fund exits the investment, typically through a sale or initial public offering (IPO), generating returns for the investors. Private equity investments often involve active management and longer holding periods compared to other investment options like venture capital or hedge funds.

Learn more about private equity at

brainly.com/question/32523259

#SPJ4

Other Questions
Which of the following statements regarding financial intermediaries is/are correct? a) Financial intermediary channel funds from surplus economic units in the form of deposit. b) Financial intermediaries channel funds from surplus economic to deficit economic units. c) Financial intermediaries channel funds by granting credit to economic participance. d) Melokuhle saves a portion of his salary at his local bank. We can conclude that Melokuhle is an example of a surplus unit. a. a,b, and c onlyb. a,b,c, and dc. a and c only d. a and b only the process of evaluating and planning for plant asset expenditures At what angle should the gun be aimed to hit the target which is1000 m away horizontally and 500 m away vertically. Assume theinitial bullets velocity of 750 m/s. Select the correct answer.A boat moves 60 kilometers east from point A to point B. There, it reverses direction and travels another 45 kilometers toward point A. What are the totaldistance and total displacement of the boat?O A.OB.O C.O D.The total distance is 105 kilometers and the total displacement is 45 kilometers east.The total distance is 60 kilometers and the total displacement is 60 kilometers east.The total distance is 105 kilometers and the total displacement is 15 kilometers east.The total distance is 60 kilometers and the total displacement is 45 kilometers east. d) PJP Bhd. is expanding rapidly, and it currently needs to retain all of its earnings, hence it does not pay any dividends. However, investors expect PIP Bhd. to begin paying dividends with the first dividend of RM2 coming 3 years from today. The dividend should grow rapidly at a rate of 10 percent per year during years 4 and 5, After year 5, the company should grow at a constant rate of 5 percent per year. If thg required return on the stock is 15 percent, what is the value of the stock today? A horse leaves the stable and trots 350 m due west to the end of a field. The horse then trots 210 m due east back toward the stable. What is the total displacement of the horse? a. 550 m[E] b. 550 m [W] c. 150 m[E] d. 140 m [W] a patient admitted to the psychiatric ward is seeing snakes on the ceiling and hearing cows ""mooing"" in the room. which term correctly identifies what this patient is experiencing? Cahaya Bhd (CB) manufactures electronic games. Last year, CB sold 25,000 games at RM25 each. Total costs amounted to RM525,000 of which RM150,000 were considered fixed. In an attempt to improve its products, the company is considering replacing a component part that has a cost of RM2.50 with a new and better part costing RM4.50 per unit in the coming year. A new machine also would be needed to increase plant capacity. The machine would cost RM24,000 with a useful life of six years with no salvage value. The company uses straight-line depreciation on all plant assets.Required:a) Compute the break-even of point in units for last year of CB.b) Compute the number of units of CB have had to sell in last year to earn operating income of RM140,000 c) Compute the break-even point in units for the coming if the sales price remains constant and makes changes as suggested above. d) Compute the number of units to be sold to earn the same operating profit as last year if the sales price remains constant and makes changes as suggested above. (e) Compute the selling price per unit for next year to cover the increased direct-material cost if CB wishes to maintain the same contribution margin ratio. f) Explain any THREE (3) assumptions of Cost Volume Profit Analysis Consider the savings problem maxs0E{U[(Yc s) + U(sx~)]} Assume U(c) = E[c] c Show that if x~A SSD x~B with E[x~A] = E[x~A], then sA > sB DrillOng Sdn Bhd has developed a powerful new hand drill that would be used for woodwork and carpentry activities. It would cost $1 million to buy the equipment necessary to manufacture the drills, and it would require net operating working capital equal to 10% of sales. It would take 1 year to buy the required equipment and set up operations, and the project would have a life of 5 years. If the project is undertaken, it must be continued for the entire 5 years.The firm believes it could sell 6,000 units per year. The drills would sell for $250 per unit, and DrillOng believes that variable costs would amount to $180 per unit. The companys fixed costs would be $110,000 at Year 1 and would increase with inflation. After the first year, the sales price and variable costs will also increase at the inflation rate of 3%.The equipment would be depreciated over a 5-year period, using the straight-line method. The salvage value of the equipment at the end of the projects 5-year life is $50,000. The company however estimated the machine can be sold as scrap for RM60,000. The corporate tax rate is 25%.The projects returns are expected to be highly correlated with returns on the firms other assets. The cost of capital is 12%.Conduct a scenario analysis. Assume that the best-case condition is with the sales price increase by 10%, number of units sold 6,200 units, variable costs per unit and fixed cost increase 5% from the base-case value. The worst-case condition, with increase in the variable and fixed cost by 25% and with no change in the unit sales and unit price from the base value. The best-case condition, worst-case condition, and the base case are assumed to have an equal probability. What would be the projects coefficient of variation NPV? All of the following statements about term insurance are true EXCEPTa) Most policies can be renewed for additional periods without evidence of insurability.b) Most policies can be converted to a permanent life insurance policy.c) The insurance provides protection for a specified period of time.d) Most policies have a cash value that is refunded when coverage ceases. Pharmaceutical companies such as Pfizer and GlaxoSmithKline (GSK) have recently been accused of profiteering from the Covid crisis. Also, similar controversies surrounded these companies due to the high costs of drugs during the AIDS epidemic in Southern Africa in the past. The pharmaceutical industry claims that producing drugs requires many years of research and develop. Therefore, governments provide 20-year patents to the industry to generate sales and profits.Some countries, like Australia, are demanding change. They argue that patent laws should be relaxed, allowing their local companies to produce cheaper generic alternatives. But, the pharmaceutical industry has made significant concessions including cutting the price of many of its drugs sold to governments.The solution might be around the introduction of legislation and price controls. However, it is the unique structure of the industry and the patent system that is at the crux of the problem. In some cases, neither the patient who consumes the drugs, nor doctors who prescribe them are price sensitive because they do not pay for it.You were hired as a business manager by Australian Health Ministers' Advisory Council (AHMAC) to negotiate access to cheaper generic medicines for the government. Use cyclic innovation model (CIM) to illustrate the innovation process in this case.Describe a pitch deck and elaborate on how you would present your ideas to the pharmaceutical industry. units c and d are both sedimentary rocks. what type of unconformity exists between rock units c and d? the goals of email spoofing include luring the user into or each pair of reactants, will there be a reaction? Al(s) + HCl(aq) No reaction Mn(s) + Ni(NO3)2(aq) Reaction Ba(s) + LiSO4(aq) Reaction Co(s) + HCl(aq) No reaction Suppose you enter into a short futures contract to sell December fine wool for AUD 32 per kilogram on the ASX as you are going to need to sell wool in the future and you are concerned about the price of wool falling. The size of the contract is 2,500 kilograms and you are likely to have 100,000 kilograms to sell when the shearing is done. In November, you have produced 110,000 kilograms of wool. The current spot price for wool is AUD 40 and the price of the fine wool futures is AUD 42 per kilogram. Determine your ending position and the price per kilogram that was received for the wool. Discuss the reasons why this hedge did not work perfectly A ball is thrown vertically upwards with a velocity of 20ms1 from the top of a multi storey building.The height of the point where the ball is thrown 25 m from the ground.How long will it be before the ball hits the ground ? Take g=10ms2. A t=5sB t=10sC t=15sD t=20s Question 5: Using an example illustrate the simulation project process. What is the net pay for 40 hours worked at $8.95 an hour with deductions for Federal tax of $35.24, Social Security of $24.82, and other deductions of $21.33?$276.61$326.25$358.00$368.91 Evan is a Missouri resident and works for "Redthumb Corporation" as a landscaper. Redthumb is a landscaping company based out of Chesterfield, Missouri. On a freezing cloudy day in February, Evan's supervisor directed Evan to Moody Park in Fairview Heights, Illinois. Once there, he was required to plant a row of trees along a property line between the park and some newly developed residential homes. The supervisor indicated somebody had professionally surveyed the property line a few days prior. The surveyors had marked the boundary line with large, three-foot-tall orange stakes and some spraypaint.Evan arrived at Moody Park and located the orange property line markers. He fired up his skid- steer and started to dig large holes indiscriminately. As Evan was digging the holes, a nearby homeowner, who Evan later learned was named Ashley, ran out her home's back door, and began frantically yelling and cursing at Evan. Evan turned off the skid-steer and got out of the cab to talk with Ashley. As he stood there and listened, he realized Ashley was furious that he was digging holes in what she believes is her backyard, although he thought he was digging holes in the park side of the property. Evan, confused by the raw display of anger and vitriol and being pretty sure that he was on park property, did not move. Instead, he yelled back to Ashley that he was on park property and that she was more than welcome to call the cops if she thought he was trespassing.Evan's comments caused Ashley to fly further into a rage. She rapidly approached Evan and came within 12 inches of him without putting on a mask, and continued to scream that he needed to leave her property. Evan could feel the spit coming out of her mouth as she screamed at him. Evan, ordinarily pretty level-headed but worried about carrying COVID-19 back to his immune- compromised mother, became enraged. In a moment of anger, he grabbed a hammer from his utility belt and swung it at Ashley's head. Because Evan's action was unexpected, Ashley had no time to react, and the hammer hit her in the side of the head. The impact caused her to fall unconscious to the ground. At that moment, Ashley's husband came out the back door and saw Evan standing over Ashley's unconscious body.Ashley's husband, Dan, immediately ran to his wife's side. Upon seeing Dan run out, Evan shouted out, "it was an accident; I did not mean to put anyone in fear or hurt anyone!" Evan then ran to his company car, parked by the skid-steer, and left the scene at high speed. Dan sat by Ashley and consoled her; the police and paramedics arrived and took Ashley to the hospital. While that was happening, the police searched for Evan and eventually learned he had gone back to his home in Missouri. Ashley was released from the hospital after having surgery. A few weeks after the surgery, the hospital handed Ashley a bill for $168,000 for her medical care because she did not have health insurance. Ashley eventually hired an attorney and filed a civil lawsuit against Evan and Redthumb in Saint Clair County, Illinois Circuit Court. In her civil case, she alleges that Evan trespassed on her land, damaged her land, and committed assault and battery on her person, causing extensive injury. Ashley demands that Evan pay her $168,000 forthe hospital bills, $25,000 in legal fees, $11,000 to fix her property, $75,000 for future medical expenses and lost wages, $80,000 for pain and suffering, and $50,000 to punish Evan.#3. Before the trial in Saint Clair County, the judge asks the attorneys for both parties to argue whether Evan's actions constitute an intentional or negligent tort against Ashley. Provide an argument to the judge whether Evan's actions constitute an intentional or negligent tort. #4. Calculate the compensatory damages that Ashley is requesting. Provide an argument as to whether you believe it would be appropriate for the judge to award her all of her requested compensatory damages in this case.