How
York entrepreneurship devlopment institute help as a team

Answers

Answer 1

The York entrepreneurship devlopment institute help as a team by provide mentorship, coaching, and other services

The York Entrepreneurship Development Institute (YEDI) is a non-profit organization that works with entrepreneurs to launch their startups. YEDI offers a wide range of services and resources to support and help entrepreneurs reach their goals. One of the most significant ways YEDI helps is by working as a team, they have a team of experts who provide mentorship, coaching, and other services.  These experts have vast experience in different fields, including marketing, finance, legal, and accounting.

YEDI's team also consists of industry leaders who have gone through the entrepreneurial journey themselves, they understand the struggles and challenges that entrepreneurs face and offer their expertise and guidance to help overcome those challenges. YEDI's team approach provides entrepreneurs with the tools and resources they need to succeed, from developing business plans to securing funding. As a result, many startups have benefited from YEDI's services and gone on to achieve success. In conclusion, YEDI's team approach is an integral part of its success in helping entrepreneurs launch their startups.

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Related Questions

Which of the following is NOT true? Multiple Choice Cost to assemble equipment before use would be a capital expenditure The cost to ship a new piece of equipment would be debited to shipping expense The cost to repair a 2 year old machine would be debited to repairs expense

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The statement "The cost to repair a 2-year-old machine would be debited to repairs expense" is NOT true.

Repairing a 2-year-old machine would typically be classified as a revenue expenditure rather than a capital expenditure. Revenue expenditures are expenses incurred to maintain or restore the operational efficiency of existing assets. These costs are typically recognized as expenses in the period they are incurred and are debited to repairs or maintenance expense accounts. Capital expenditures, on the other hand, involve significant costs incurred to acquire or improve long-term assets and are capitalized as part of the asset's cost. Therefore, the cost to repair a 2-year-old machine would generally be debited to repairs or maintenance expense, not considered a capital expenditure.

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Portfolio risk will decline if more stocks that are negatively correlated with other stocks are added to the portfolio. True/false.

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diversification through negatively correlated stocks should be combined with thorough research, analysis, and risk management techniques to construct a well-balanced and suitable investment portfolio

True. Adding stocks that are negatively correlated with other stocks in a portfolio can help reduce portfolio risk. When stocks are negatively correlated, their price movements tend to move in opposite directions. This means that when one stock is performing poorly, the other stock is likely to perform well, providing a natural hedge against losses.

By including negatively correlated stocks in a portfolio, investors can achieve diversification benefits. Diversification is the strategy of spreading investments across different assets to reduce risk. When stocks in a portfolio are negatively correlated, their returns are less likely to move in tandem, resulting in a smoother overall portfolio performance.

For example, during periods of economic downturn, defensive stocks such as utilities or consumer staples tend to perform relatively well, as consumers continue to use essential services and products. On the other hand, cyclical stocks like technology or automotive companies may underperform during economic downturns. By including both defensive and cyclical stocks in a portfolio, the negative correlation between them can help offset losses, reducing the overall risk exposure.

It's important to note that while adding negatively correlated stocks can help reduce risk, it does not eliminate it entirely. Other factors such as market conditions, company-specific risks, and macroeconomic factors can still impact the performance of individual stocks and the overall portfolio.

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Can you think of any business leaders who are known for their "virtues"? Who and what company are they associated with. Or is difficult for you to think of business leaders who are known for their "virtues"?

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There are several business leaders who are known for their virtues. One notable example is Warren Buffett, the Chairman and CEO of Berkshire Hathaway. Buffett is admired for his integrity, humility, and long-term perspective in investing. He is known for his ethical approach to business, emphasizing transparency and honesty. Another example is Satya Nadella, the CEO of Microsoft, who is recognized for his empathy, humility, and focus on fostering a positive work culture. He has emphasized the importance of diversity and inclusion within the company. These leaders and their associated companies have demonstrated a commitment to ethical values and have gained reputation for their virtuous leadership.

The main answer highlights the existence of business leaders who are known for their virtues. It mentions Warren Buffett and Satya Nadella as examples of such leaders and associates them with their respective companies, Berkshire Hathaway and Microsoft.

The explanation emphasizes the virtues and qualities exhibited by these leaders, including integrity, humility, ethical behavior, and a focus on positive work culture. It acknowledges the presence of business leaders who prioritize virtues in their leadership style and highlights their impact on their companies' reputation and success.

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An insured is injured while robbing a bank. I the insureds Accident and Health policy contains an legal Occupation provision, the policy
the full benefits
one hall of the policy benefits
a premium refund only
Nothing

Answers

Injured insured involved in illegal activity: No benefits under Legal Occupation provision. Policy excludes coverage for illegal acts.

If an insured is injured while robbing a bank and their Accident and Health policy includes a Legal Occupation provision, it means that the policy explicitly excludes coverage for injuries resulting from engaging in illegal activities. In such a case, the insured would not be eligible to receive any benefits from the policy for the injuries sustained during the bank robbery. The purpose of the Legal Occupation provision is to protect the insurance company from liability and to align the coverage with legal and ethical standards. It is important for individuals to understand the terms and conditions of their insurance policies to ensure they are aware of any exclusions or limitations that may apply to their specific circumstances.

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Miss Adam Apple wants to see her investment double in 12 years. What interest rate must her investment earn to achieve this goal? Help her find the amount of annuity with $1500 deposited quarterly at 7% (compound quarterly) for 5 years

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The amount of annuity with $[tex]1500[/tex] deposited quarterly at 7% (compounded quarterly) for 5 years would be approximately $[tex]40,840.74[/tex].

To calculate the interest rate required for Miss Adam Apple's investment to double in 12 years, we can use the rule of 72. The rule of 72 states that by dividing 72 by the number of years, we can determine the approximate interest rate needed to double the investment.

So now, 72 divided by 12 equals 6. Therefore, Miss Adam Apple's investment must earn an interest rate of approximately 6% to double in 12 years.

To find the amount of annuity with $1500 deposited quarterly at 7% (compounded quarterly) for 5 years, we can use the formula for the future value of an ordinary annuity:

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

Where:

FV = Future value of the annuity

P = Periodic payment amount ($1500)

r = Annual interest rate (7% or 0.07)

n = No. of compounding periods/year (4 for quarterly compounding)

t = Number of years (5)

Substituting the values into the formula:

[tex]FV = 1500 * [(1 + 0.07/4)^{4*5} - 1] / (0.07/4)[/tex]

Calculating the future value:

[tex]FV = 1500 * [(1 + 0.0175)^{20} - 1] / (0.0175)[/tex]

FV ≈ $40,840.74

Therefore, the amount of the annuity would be approximately $40,840.74.

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an employer who bullies his/her employee by patronizing

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An employer who bullies his/her employee by patronizing engages in abusive behavior that undermines the employee's confidence and self-worth.

When an employer patronizes an employee, they belittle or condescend to them in a demeaning manner. This behavior can manifest through sarcastic remarks, dismissive attitudes, or treating the employee as inferior. By engaging in patronizing behavior, the employer seeks to exert power and control over the employee, creating an intimidating and hostile work environment.

Bullying in the workplace, including patronizing behavior, has serious negative effects on the targeted employee's well-being and overall job satisfaction. It erodes their self-esteem, causes emotional distress, and can lead to increased stress and anxiety. The employee may feel undervalued, demotivated, and marginalized, which can negatively impact their performance and productivity. Moreover, a workplace culture that tolerates or condones such behavior can contribute to low morale, high turnover rates, and a toxic work environment.

Employers have a responsibility to create a supportive and respectful work environment. Bullying behavior, including patronizing, is not only detrimental to the targeted employee but also undermines the overall productivity and success of the organization.

Employers should prioritize fostering a culture of inclusivity, open communication, and mutual respect to ensure the well-being and satisfaction of their employees. Implementing clear policies against bullying, providing training on respectful workplace practices, and addressing any reported incidents promptly and appropriately are crucial steps in combating such behavior and promoting a healthy work environment.

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Filer Manufacturing has 8 million shares of common stock outstanding. The current share price is $87, and the book value per share is $6. The company also has two bond issues outstanding. The first bond issue has a face value $75 million, a coupon of 10 percent, and sells for 97 percent of par. The second issue has a face value of $50 million, a coupon of 11 percent, and sells for 105 percent of par. The first issue matures in 25 years, the second in 7 years. What are the company's capital structure weights on a book value basis? (Do not round intermediate calculations and round your answers to 4 decimal places, e.g., 32.1616.) What are the company's capital structure weights on a market value basis? (Do not round intermediate calculations and round your answers to 4 decimal places, e.g., 32.1616.) Which are more relevant? Market value weights Book value weights

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Filer Manufacturing's capital structure weights on a book value basis are determined by the proportion of common stock, first bond issue, and second bond issue to the total book value of the company. On a market value basis, the weights are based on the proportion of market values of these components to the total market value of the company. Market value weights are considered more relevant in determining the capital structure.

To calculate the book value weights, we need to find the book value of each component in the capital structure. The book value of common stock is the number of shares outstanding multiplied by the book value per share, which is $6 in this case. Therefore, the book value of common stock is 8 million shares * $6 = $48 million. The book value of the first bond issue is $75 million, and the book value of the second bond issue is $50 million.

To calculate the market value weights, we need to find the market value of each component. The market value of common stock is the number of shares outstanding multiplied by the share price, which is $87 in this case. Therefore, the market value of common stock is 8 million shares * $87 = $696 million. The market value of the first bond issue is 97% of its face value, which is $75 million * 0.97 = $72.75 million. The market value of the second bond issue is 105% of its face value, which is $50 million * 1.05 = $52.5 million.

To calculate the capital structure weights, we divide the book value or market value of each component by the total book value or market value of the company. In this case, the total book value is $48 million + $75 million + $50 million = $173 million, and the total market value is $696 million + $72.75 million + $52.5 million = $821.25 million.

The book value weights are: Common stock = $48 million / $173 million ≈ 0.2774, First bond issue = $75 million / $173 million ≈ 0.4335, Second bond issue = $50 million / $173 million ≈ 0.2891.

The market value weights are: Common stock = $696 million / $821.25 million ≈ 0.8474, First bond issue = $72.75 million / $821.25 million ≈ 0.0887, Second bond issue = $52.5 million / $821.25 million ≈ 0.0639.

Market value weights are more relevant than book value weights in determining the capital structure because they reflect the current market prices and investor perceptions. Market value weights take into account the market's assessment of the company's risk and future prospects, making them a more accurate representation of the company's true capital structure.

Book value weights, on the other hand, rely on historical cost and may not accurately reflect the market's perception of the company's value. Therefore, market value weights provide a more realistic picture of the capital structure and are considered more relevant for decision-making purposes.

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a. Sensitivity analysis.
b. Capital Budgeting
c. International WACC
d. Hamada equation
e. cost of equity
Please define each definition in one to two sentences each.

Answers

Sensitivity analysis is a technique used in financial modeling and decision-making to assess how changes in input variables or assumptions impact the output or outcome of a model or project, allowing for a better understanding of the potential risks and uncertainties associated with the decision.

Capital budgeting is the process of reviewing and selecting long-term investment projects or expenditures that need considerable financial outflows, such as the acquisition of new assets, facility expansion, or product development. It entails assessing the feasibility and value of various investment choices by analysing their predicted future cash flows, risks, and returns.

International WACC (Weighted Average Cost of Capital) is a financial statistic used by multinational corporations operating in various countries to assess the needed return or cost of capital. It takes into account the various capital expenses for each nation of business, reflecting the distinct risks and market conditions in each jurisdiction.

The Hamada equation, named after Robert Hamada, is a formula used to determine the financial leverage impact on the systematic risk (beta) of a company's equity. It adjusts the beta to account for the financial leverage and provides insights into how changes in capital structure can affect the overall risk profile of a company.

The cost of equity refers to the return or rate of return that an investor requires or expects to earn on an investment in a company's equity (stock). It represents the opportunity cost of investing in the company's shares rather than alternative investment opportunities with similar risk levels.

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You are the team leader at TCS. You have been given the job of enhancing the Presentation skills of your team members. Suggest them ways in which they can appear more confident. Also suggest steps for giving effective online presentations

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To help your team members enhance their presentation skills and appear more confident, you can suggest the following strategies:

1. Preparation is Key: Encourage your team members to thoroughly prepare their presentations. This includes researching the topic, organizing content, and creating visually appealing slides. The more prepared they are, the more confident they will feel.

2. Practice, Practice, Practice: Encourage your team members to rehearse their presentations multiple times. This will help them become familiar with the content, improve their delivery, and boost their confidence. They can practice in front of a mirror, record themselves, or seek feedback from colleagues.

3. Body Language and Eye Contact: Emphasize the importance of positive body language and eye contact. Encourage them to stand tall, maintain good posture, and use gestures that convey confidence. Eye contact with the audience, whether in person or online, helps establish a connection and engage the listeners.

4. Voice Modulation and Pace: Advise your team members to vary their voice tone, pitch, and pace while presenting. A well-modulated voice captures attention and adds impact to their message. Remind them to speak clearly, project their voice, and avoid rushing through the presentation.

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What is a statistical test used to compare the betas of two stocks?

I am trying to find a test that works to compare the betas for two stocks during three different time periods. (ex: AMZN and S&P 500 during 2000-2001, 2001-2002, 2003-2004, 2000-2004.) What test would be best to compare the betas and how would you do it?

Answers

A statistical test commonly used to compare the betas of two stocks is the t-test. Specifically, the paired-sample t-test or the independent-sample t-test can be applied, depending on the nature of the comparison.

To compare the betas of two stocks during different time periods, you can follow these steps:

1. Calculate the betas of the two stocks for each time period separately using regression analysis. This will give you the beta estimates for each stock during each time period.

2. Determine the null hypothesis and the alternative hypothesis. The null hypothesis would typically state that there is no significant difference between the betas of the two stocks, while the alternative hypothesis would state that there is a significant difference.

3. Choose the appropriate t-test based on the design of your study. If you are comparing the betas within each time period (paired design), you can use the paired-sample t-test. If you are comparing the betas between different time periods (independent design), you can use the independent-sample t-test.

4. Conduct the t-test by plugging in the calculated beta values into the appropriate formula, along with the sample sizes and any other necessary parameters. This will yield a t-value and a corresponding p-value.

5. Analyze the results by comparing the obtained p-value with the predetermined significance level (e.g., 0.05). If the p-value is less than the significance level, you would reject the null hypothesis and conclude that there is a significant difference between the betas of the two stocks. Otherwise, if the p-value is greater than the significance level, you would fail to reject the null hypothesis and conclude that there is no significant difference between the betas.

Remember that this is a general approach, and there may be other statistical tests or variations that could be applicable depending on the specific requirements or assumptions of your study. It's always recommended to consult with a statistician or refer to appropriate statistical literature for further guidance.

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On January 1, 2021, Ackerman sold equipment to Brannigan (a wholly owned subsidiary) for $340,000 in cash. The equipment had originally cost $306,000 but had a book value of only $187,000 when transferred. On that date, the equipment had a five-year remaining life. Depreciation expense is computed using the straight-line method. Ackerman reported $440,000 in net income in 2021 (not including any investment income) while Brannigan reported $144,200.

Ackerman attributed any excess acquisition-date fair value to Brannigan's unpatented technology, which was amortized at a rate of $5,400 per year.

A. What is consolidated net income for 2021?

B. What is the parent's share of consolidated net income for 2021 if Ackerman owns only 90 percent of Brannigan?

C. What is the parent's share of consolidated net income for 2021 if Ackerman owns only 90 percent of Brannigan and the equipment transfer was upstream?

D. What is the consolidated net income for 2022 if Ackerman reports $460,000 (does not include investment income) and Brannigan $155,600 in income? Assume that Brannigan is a wholly owned subsidiary and the equipment transfer was downstream.

Answers

A. Consolidated net income for 2021: $584,200.

B. Parent's share of consolidated net income for 2021: $525,780.

C. Parent's share of consolidated net income for 2021: $525,780.

D. Consolidated net income for 2022: $615,600.

A. To calculate consolidated net income for 2021, we need to add Ackerman's net income and Brannigan's net income:

Consolidated net income = Ackerman's net income + Brannigan's net income

                       = $440,000 + $144,200

                       = $584,200

B. The parent's share of consolidated net income for 2021, considering Ackerman owns 90% of Brannigan, can be calculated by multiplying the consolidated net income by the ownership percentage:

Parent's share = Consolidated net income * Ownership percentage

              = $584,200 * 0.90

              = $525,780

C. If the equipment transfer was upstream and Ackerman owns 90% of Brannigan, the parent's share of consolidated net income for 2021 remains the same as calculated in part B: $525,780.

D. To calculate the consolidated net income for 2022, assuming the equipment transfer was downstream and Brannigan is a wholly owned subsidiary, we need to add Ackerman's net income and Brannigan's net income:

Consolidated net income = Ackerman's net income + Brannigan's net income

                       = $460,000 + $155,600

                       = $615,600

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In this section you are being assessed on the understanding of relevant economic theory and explanation of the intuition. For each of the following statements, decide whether they are TRUE or FALSE and provide clear and concise explanations for your answers

Firms can avoid the Bertrand paradox by making it difficult for consumers to switch between different firms.

Answers

Firms can avoid the Bertrand paradox by making it difficult for consumers to switch between different firms. This statement is false.

False. The Bertrand paradox refers to a situation where firms in a duopoly with identical products compete by setting prices, and the competition drives prices down to marginal cost, resulting in zero profits. Making it difficult for consumers to switch between different firms does not resolve the Bertrand paradox.

The Bertrand paradox arises due to the assumption of perfect substitutability between the products offered by the firms. When consumers can easily switch between firms based on price differences, they will always choose the firm offering the lowest price, leading to fierce price competition and eroding profits.

Increasing switching costs or making it difficult for consumers to switch between firms may limit price competition to some extent. However, if the products are still perfect substitutes, consumers will still have an incentive to switch to the firm offering the lowest price. Therefore, the Bertrand paradox cannot be fully resolved by making it difficult for consumers to switch.

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you should never cross a railroad track if ______________________.

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You should never cross a railroad track if warning signals are activated, a train is visible or approaching, the crossing is marked as closed or blocked, or there is insufficient space on the other side of the tracks.

You should never cross a railroad track if any of the following conditions exist:

Warning signals are activated: If the warning signals at a railroad crossing, such as flashing lights, bells, or barriers, are indicating an approaching train, it is crucial to wait until the signals have cleared and it is safe to cross. Ignoring activated warning signals can be extremely dangerous and may lead to a collision with a train.

The train is visible or approaching: If you can see a train approaching or hear its horn, it is essential to wait until the train has passed before attempting to cross the tracks. Trains can be deceptively fast and require significant distances to come to a stop, so it is vital to give them ample time to pass safely.

The crossing is marked as closed or blocked: If a railroad crossing is marked as closed or blocked, it is illegal and unsafe to attempt crossing. This could be due to maintenance work, an obstruction on the tracks, or any other reason that renders the crossing temporarily inaccessible. Respect the closure and find an alternate route.

Insufficient space on the other side of the tracks: Before crossing, ensure that there is enough clearance on the other side of the tracks for your vehicle. Crossing when there is limited space or the risk of getting stuck on the tracks can lead to a hazardous situation.

Remember, railroad tracks are designated for trains, and safety should always be the top priority when approaching and crossing them. Always exercise caution, follow traffic rules, and adhere to warning signals and signs to prevent accidents and ensure your safety.

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Final answer:

You should never cross a railroad track if there is a train approaching or if the gate at the crossing is down or the warning lights are flashing. Safety should always be the top priority when it comes to crossing railroad tracks.

Explanation:

You should never cross a railroad track if there is a train approaching or if the gate at the crossing is down or the warning lights are flashing. It is important to wait for the train to pass and for the gate to be lifted before crossing the railroad track.

Crossing a railroad track without proper clearance can be extremely dangerous and can result in a serious accident or even death. It is essential to follow traffic laws and signals to ensure your safety and the safety of others.

Remember, safety should always be the top priority when it comes to crossing railroad tracks. Be alert, watch for signs and signals, and never take any chances when it comes to crossing the tracks.

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Which of the following is true regarding wage rigidity? 0 A. It results in frictional unemployment O B. It usually causes the quantity of labor demanded to be greater than the quantity of labor supplied C. It occurs when wages are held fixed above the competitive equilibrium level. O D. All of the above

Answers

Regarding wage rigidity, the statement that is true is option C: It occurs when wages are held fixed above the competitive equilibrium level.

Wage rigidity refers to the phenomenon where wages in the labor market are resistant to adjustment, leading to a deviation from the competitive equilibrium level. This can have implications for the functioning of the labor market and employment outcomes.

Option A, stating that wage rigidity results in frictional unemployment, is incorrect. Frictional unemployment arises due to temporary transitions between jobs or individuals searching for suitable employment opportunities, and it is not directly linked to wage rigidity.

Option B, claiming that wage rigidity usually causes the quantity of labor demanded to be greater than the quantity of labor supplied, is also incorrect. In the case of wage rigidity, the fixed wages may lead to a situation where the quantity of labor supplied exceeds the quantity demanded, resulting in an excess supply of labor or unemployment.

Option C correctly captures the essence of wage rigidity. When wages are held fixed above the competitive equilibrium level, it implies that employers are unwilling or unable to adjust wages downward to match the market forces of supply and demand. This can lead to imbalances in the labor market and have implications for unemployment rates and labor market efficiency.

Therefore, the true statement regarding wage rigidity is option C: It occurs when wages are held fixed above the competitive equilibrium level.

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Myers thought the new active-wear pieces could be offered well below Vigor current price points. The suggested retail sales prices for a Vigor hoodie, tee-shirt and pants would be $100,$40, and $80 respectively. Wholesale prices from the manufacturing group to the retailers would be 50% of those figures.

Since active-wear was sold as separates, the ratio of hoodies to tee-shirts to pants was not equal. Historical sales in the market segment showed this ratio was one to three to two. Therefore, an active-wear "unit" was viewed as half a hoodie, one and one-half tee-shirts, and one pair of pants.

Calculate the wholesale price of 1 unit of activewear. . (Hint - Use the Hoodie to T-shirt to Pants ratio from Footnote 6 and the prices from Page 6 of the case. Pay attention to the difference between retail and wholesale prices)

Answers

To calculate the wholesale price of 1 unit of activewear, we need to determine the cost of each component (hoodie, tee-shirt, and pants) at the wholesale level, taking into account the given prices and the ratio of each item in an active-wear "unit."

Given the suggested retail prices for the Vigor hoodie, tee-shirt, and pants as $100, $40, and $80 respectively, we can calculate the wholesale prices as follows: Since the ratio of hoodies to tee-shirts to pants is one to three to two, an active-wear "unit" consists of half a hoodie, one and one-half tee-shirts, and one pair of pants. Therefore, we calculate the wholesale price of 1 unit as: Wholesale price of 1 unit = (0.5 * Wholesale hoodie price) + (1.5 * Wholesale tee-shirt price) + (1 * Wholesale pants price)Therefore, the wholesale price of 1 unit of activewear is $95.

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A company is considering investing in a new information management system that will cost $2.0 million to buy and $30,000 to install. The system is expected to reduce operating costs by $500,000 per year for the next 5 years, after which the system can be sold for a salvage value of $180,000. In addition, the company will invest $90,000 today in net working capital. The net working capital investment will be recovered at the end of the project life. The CCA deduction of the investment will be based on straight-line depreciation. Assume a cost of capital if 5% and a marginal corporate tax rate of 35% a. (1 point) What is the initial free cash flow of this investment, i.e., the free cash flow at year 0 ? b. (1 point) What is the CCA deduction of this investment in each year?

Answers

a. Calculation of Initial Free Cash Flow (FCF)Initial FCF is the cash flow generated at the start of the investment, or at the end of year 0.

The formula for calculating the Initial FCF is as follows:Initial FCF = (Investment - Net Working Capital) * (1 - Tax Rate) + Net Working Capital Initial FCF = (2,000,000 + 30,000 - 90,000) * (1 - 0.35) + 90,000 Initial FCF = $1,079,500. Therefore, the Initial FCF is $1,079,500.

b. Calculation of CCA deduction CCA (Capital Cost Allowance) is the tax-deductible expense that represents the decline in value of the capital asset.

It is the Canadian equivalent of the American depreciation expense.The formula for calculating CCA is as follows:CCA = (Initial Cost - Salvage Value) / Number of years of useful life CCA = (2,000,000 - 180,000) / 5CCA = $364,000The CCA deduction for this investment would be $364,000 per year for the next 5 years.

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Non competitive models of discrimination and
explanation for each model

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Non-competitive models of discrimination relate to propositions that explain discrimination without counting on explicit prejudice or competition for resources.

One similar model is the socialization model, which suggests that individuals acquire discriminative attitudes and actions through socialization processes, similar to family, peers, media, and cultural morals. Another model is the institutional model, which focuses on how discriminative practices are embedded within social institutions, programs, and structures, leading to unequal issues.

The cognitive model proposes that discriminative geste can arise from cognitive impulses, similar as categorization and stereotyping, which influence decision making processes. These models give alternative explanations for discrimination, emphasizing socialization, institutional factors, and cognitive processes rather than explicit prejudice or competition.

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Explain the definition of marketing. Analyze and give examples
of the marketing process

Answers

Marketing is the process of creating, promoting, and delivering goods and services to consumers. It involves analyzing customer needs and desires, identifying target markets, developing marketing strategies, and implementing them to achieve business objectives.

The marketing process involves a series of steps that help businesses build and maintain strong relationships with their customers.Example of the marketing process is explained below:

1. Understanding the market and customers: Marketers need to conduct market research to identify customer needs, preferences, and behavior. This information helps them to segment their target markets, and develop products and services that meet the specific needs of different customer groups.

2. Developing a marketing strategy: Marketers use the information collected during market research to develop a marketing strategy that outlines the target market, product positioning, pricing, promotion, and distribution strategies.

3. Implementing the marketing mix: Marketers use the marketing mix (product, price, place, and promotion) to execute their marketing strategy.

4. Measuring and evaluating results: Marketers evaluate the results of their marketing efforts to determine if they have achieved their objectives. They use metrics such as sales, customer satisfaction, and market share to measure the effectiveness of their marketing strategies.

Based on the results, they make adjustments to their marketing mix to improve performance.

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True or False? A market that is semi-strong form efficient might also be strong form efficient

Answers

False. Efficiency in financial markets refers to how quickly and accurately the market reflects all relevant information in the prices of securities.

There are three forms of market efficiency: weak form, semi-strong form, and strong form.

A semi-strong form efficient market is a market where all publicly available information is reflected in the stock prices. This means that investors cannot consistently achieve above-average returns by analyzing publicly available information.

On the other hand, a strong form efficient market is a market where all information, both public and private, is fully reflected in the stock prices. In a strong form efficient market, even insider information cannot be used to consistently achieve above-average returns.

Therefore, a market that is semi-strong form efficient may not necessarily be strong form efficient. The inclusion of private or insider information in the strong form efficiency makes it a more stringent and comprehensive form of market efficiency compared to the semi-strong form efficiency.

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Suppose risk-free rate is 6% and the expected return of the risky portfolio is 12% with 0.25 standard deviation. Your complete portfolio has 0.05 as the return variance. What is the risk premium of your complete portfolio? Please Show Excel Formula Keys Thanks.

Answers

The risk premium of your complete portfolio is 4.8%.

to calculate the risk premium of your complete portfolio, you need to use the formula:

risk premium = expected return - risk-free rate

given information:risk-free rate = 6%

expected return of risky portfolio = 12%standard deviation of risky portfolio = 0.25

return variance of complete portfolio = 0.05

first, we need to calculate the expected return of your complete portfolio using the following formula:

expected return = risk-free rate + portfolio weight * (expected return of risky portfolio - risk-free rate)

since the return variance of the complete portfolio is given, we can use the following formula to calculate the portfolio weight:

portfolio weight = return variance / (standard deviation of risky portfolio)²

now, let's substitute the given values into the formulas and calculate the risk premium:

portfolio weight = 0.05 / (0.25²) = 0.8

expected return = 6% + 0.8 * (12% - 6%) = 10.8%

risk premium = 10.8% - 6% = 4.8% excel formula keys:risk premium: "= expected return - risk-free rate"

expected return: "= risk-free rate + portfolio weight * (expected return of risky portfolio - risk-free rate)"portfolio weight: "= return variance / (standard deviation of risky portfolio)²"

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WRITE ONE OR TWO PARAGRAPHS, please post something that you found interesting and/or significant about Financial Management. Please post specific examples from the reading you found significant about these topics, as it helps define or contribute to Personal Finance. Explain the advantages and disadvantages. Support your answers with examples from the textbook, current events, or other forms of media.

Answers

One interesting aspect of financial management is the concept of risk and return trade-off. This principle suggests that higher returns are typically associated with higher risks, and investors must carefully evaluate and balance their risk tolerance with their desired returns.

This trade-off is crucial in making investment decisions and building a well-diversified portfolio.

For example, in the textbook "Principles of Financial Management," the authors explain how investing in stocks has the potential for higher returns compared to safer investments like bonds or savings accounts. However, stocks also carry a higher level of risk due to market fluctuations and company-specific factors.

This trade-off between risk and return is a fundamental consideration for individuals managing their personal finances. They need to assess their risk appetite and investment goals to determine the right balance between safer, low-return options and riskier, high-return opportunities.

Understanding the risk and return trade-off helps individuals make informed financial decisions based on their unique circumstances and goals. However, it is important to note the disadvantages as well. Higher-risk investments may experience significant losses during market downturns or economic crises. This was evident during the global financial crisis of 2008 when many investors suffered substantial losses in their investment portfolios. Therefore, while higher returns can be enticing, individuals must carefully assess their risk tolerance and consider diversification strategies to mitigate potential losses.

In conclusion, the risk and return trade-off in financial management is an essential concept for individuals to navigate the world of investments and personal finance. It highlights the need to strike a balance between risk and reward, considering individual preferences and goals. By understanding this trade-off and its advantages and disadvantages, individuals can make more informed financial decisions and tailor their investment strategies accordingly.

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21. A taxpayer can invest $10,000 in a taxable 10-year bond that yields an annual pretax return of 6 percent or buy land (a capital asset) for $10,000 that is expected to increase at an annual pretax rate of 4 percent. The taxpayer expects to hold the bond and the land for 10 years and expects to pay capital gains taxes of 20 percent when the land is sold. The taxpayer's marginal tax rate on ordinary income is expected to be 25 percent throughout the 10-year period. Which investment is preferable? 1. What is the bond worth after 10 years? 2. Given your response to Q1, what is the amount of the bond after taxes? 3. What is the land worth after 10 years? 4. Given your response to Q3, what is the amount of tax paid on the gain associated with the sale of the land? Assume that the land was sold for the amount you calculated in Q3. 5. What is the after-tax accumulation for the taxpayer concerning the land? 6 . Which investment is better?

Answers

The bond is worth $17,908.85 after 10 years, considering the annual pretax return of 6 percent on the initial investment of $10,000.

After accounting for the capital gains tax rate of 20 percent, the after-tax amount of the bond would be $14,327.08. The land is expected to be worth $14,802.79 after 10 years, considering the annual pretax rate of 4 percent on the initial investment of $10,000. The gain associated with the sale of the land is $4,802.79, and the tax paid on that gain would be $960.56 (20 percent of $4,802.79). The after-tax accumulation for the taxpayer concerning the land would be $13,842.23 ($14,802.79 - $960.56). Comparing the after-tax values, the land investment seems more favorable, as it yields a higher after-tax accumulation of $13,842.23 compared to the after-tax value of the bond, which is $14,327.08. The land investment provides a better opportunity for long-term growth and tax advantages, making it the preferable choice in this scenario.

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As operations manager of Holz Furniture, you must make a decision about adding a line of rustic furniture. In discussing the possibilities with your sales manager, Steve Gilbert, you decide that there will definitely be a market and that your firm should enter that market. However, because rustic furniture has a different finish than your standard offering, you decide you need another process line. There is no doubt in your mind about the decision, and you are sure that you should have a second process. But you do question how large to make it. A large process line is going to cost $400,000; a small process line will cost $325,000. The question, therefore, is the demand for rustic furniture. After extensive discussion with Mr. Gilbert and Rosalita Ferrera of Ferrera Market Research, Inc., you determine that the best estimate you can make is that there is a two-out-of-three chance of high demand resulting in $600,000 profit from sales and a one-out-of-three chance of low demand resulting in $300,000 profit from sales.
With a large process line, you could handle the high figure of $600,000. However, with a small process line you could not and would be forced to expand (at a cost of $175,000 ), after which time your profit from sales would be $500,000 rather than the $600,000 because of the lost time in expanding the process. If you do not expand the small process, your profit from sales would be held to $425,000. If you build a small process and the demand is low, you can handle all of the demand.
The best option is to open a , with an expected value of $ (round your response to the nearest whole nu

Answers

The best option is to open a small process line with an expected value of $475,000. This figure is the weighted average of the high demand profits ($400,000) and low demand profits ($425,000), considering a 2/3 chance of high demand and 1/3 chance of low demand. Therefore, this option maximizes profits for Holz Furniture.

The decision of whether to open a small or large process line will depend on the best strategy to maximize profit in the furniture business. In this case, Holz Furniture intends to venture into the rustic furniture market, which has a different finish from the standard offering. As such, a second process line is necessary.The question, therefore, is whether the demand for rustic furniture will result in high sales, justifying the cost of a large process line.

After extensive discussions with the sales manager and Rosalita Ferrera of Ferrera Market Research, Inc., the best estimate was that there is a two-out-of-three chance of high demand resulting in $600,000 profit from sales and a one-out-of-three chance of low demand resulting in $300,000 profit from sales.With a large process line costing $400,000, the high sales figure of $600,000 is achievable.

On the other hand, a small process line costing $325,000 is incapable of handling high demand, and expanding it would cost $175,000. This would result in a profit from sales of $500,000, lower than the profit of a large process line.With these figures in mind, it is prudent to build a small process and expand only if demand necessitates it. If the demand is high, the profit from sales will be $600,000. In the event of low demand, the business can handle all of it without the need for expansion, resulting in a profit from sales of $300,000.

Therefore, the best option is to open a small process line with an expected value of $475,000. This figure is the weighted average of the high demand profits ($400,000) and low demand profits ($425,000), considering a 2/3 chance of high demand and 1/3 chance of low demand. Therefore, this option maximizes profits for Holz Furniture.

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Although the Chen Company's milling machine is old, it is still in relatively good working order and would last for another 10 years. It is inefficient compared to modern standards, though, and so the company is considering replacing it. The new milling machine, at a cost of $102,000 delivered and installed, would also last for 10 years and would produce after-tax cash flows (labor savings and depreciation tax savings) of $19,200 per year. It would have zero salvage value at the end of its life. The project cost of capital is 9%, and its marginal tax rate is 25%. Should Chen buy the new machine? Do not round intermediate calculations. Round your answer to the nearest cent. Negative value, if any, should be indicated by a minus sign. NPV: $

Chen -Select (should/shouldn't) purchase the new machine.

Answers

Chen should purchase the new machine as it has a positive NPV of $14,458.64.

To determine whether Chen Company should purchase the new milling machine, we can calculate the Net Present Value (NPV) of the project. The NPV represents the present value of the expected cash flows from the project, discounted at the project's cost of capital.

The formula to calculate NPV is as follows:

NPV = Σ [CFₜ / (1 + r)ₜ] - Initial Investment

Where:

CFₜ = Cash flow in year t

r = Project cost of capital

t = Year of cash flow

Let's calculate the NPV of the project step by step:

Calculate the after-tax cash flows from the new milling machine. Since the cash flows are given as after-tax amounts, we don't need to adjust for taxes separately.

CFₜ = After-tax cash flows = $19,200 per year for 10 years

Determine the initial investment:

Initial Investment = Cost of the new milling machine = $102,000

Determine the project's cost of capital:

Project cost of capital = 9%

Now, let's calculate the NPV using the formula:

NPV = Σ [CFₜ / (1 + r)ₜ] - Initial Investment

= [CF₁ / (1 + r)¹] + [CF₂ / (1 + r)²] + ... + [CF₁₀ / (1 + r)¹⁰] - Initial Investment

Using the given values, we can calculate the NPV:

NPV = [$19,200 / (1 + 0.09)¹] + [$19,200 / (1 + 0.09)²] + ... + [$19,200 / (1 + 0.09)¹⁰] - $102,000

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

NPV = [$19,200 / (1.09)¹] + [$19,200 / (1.09)²] + ... + [$19,200 / (1.09)¹⁰] - $102,000

Using a financial calculator or spreadsheet software, we can calculate the NPV:

NPV ≈ $14,458.64

Since the NPV is positive ($14,458.64), it indicates that the present value of the expected cash flows from the project exceeds the initial investment. Therefore, Chen Company should purchase the new milling machine.

Thus, Chen should purchase the new machine as it has a positive NPV of $14,458.64.

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A supplier produces a product at per unit cost $35 and sells it to a retailer at the wholesale price $75. The retailer decides how many units to order (q) before the sales season. The demand of customers is normally distributed with mean 250 and standard deviation of 125. The retail price is $115 and each unit of leftover
inventory has salvage value of $25. Which of the following statements is false?
A• The retailer should order less than 250 units
BO If the wholesale price increases from $75 to $85, the retailer would order more than
250 units C• If the retailer price increases from $115 to $135, the retailer would order more than
250 units D• If the wholesale price decreases from $75 to $35, the total profit earned in the supply
chain would be maximized

Answers

The false statement is:

C. If the retailer price increases from $115 to $135, the retailer would order more than 250 units.

According to the Newsvendor model, the optimal order quantity for maximizing expected profit is determined by comparing the expected marginal profit (selling price minus cost) with the expected marginal salvage value (salvage value minus cost) at the desired service level.

In this case, the retailer should order less than 250 units because the mean demand is 250 units, and ordering more than the mean would result in excess inventory and potential losses.

If the wholesale price increases from $75 to $85, the retailer would order more than 250 units. This is because a higher wholesale price reduces the expected marginal profit per unit, leading the retailer to order more units to compensate for the decreased profitability.

If the wholesale price decreases from $75 to $35, the total profit earned in the supply chain would be maximized. This is because a lower wholesale price increases the expected marginal profit per unit, encouraging the retailer to order more units and maximizing the overall profit.

However, if the retailer price increases from $115 to $135, it does not necessarily mean that the retailer would order more than 250 units. The retailer's order quantity depends on the trade-off between the increased selling price and the associated changes in expected marginal profit and salvage value. It is possible that the increase in retail price may lead to a decrease in expected demand, resulting in the retailer ordering less than 250 units.

Therefore, statement C is false as the retailer's order quantity cannot be determined solely based on the increase in the retail price.

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Based on your lecture contents (chapter 13) Seven key elements in organization's structure, different types of departmentalization and contingencies of organization structure: Please indicate for each following scenarios, and for each case: 1. What would be organization structure/design for each organization? And explain why in one or two sentences?

Answers

Based on the lecture contents, the seven key elements of an organization structure are: Work specialization, chain of command, span of control, centralization or decentralization, formalization, tall or flat structure and departmentalization.

Depending on the size, culture, and goals of an organization, there are various types of departmentalization available such as product departmentalization, process departmentalization, customer departmentalization, geographical departmentalization, and functional departmentalization.Therefore, for the scenarios given below, the organization structure/design could be as follows:

1. A large automobile manufacturer with several product lines: In this scenario, product departmentalization would be ideal as each product line could have its own department with specialists in that particular product line. This would make it easier to monitor and measure the performance of each product line, and help in decision-making.

2. A consulting firm with different types of clients: In this scenario, customer departmentalization would be more suitable as each department would be assigned to work with a particular client type (e.g. healthcare, finance, etc.). This would ensure that the needs of each client type are met efficiently and effectively.

3. A chain of fast-food restaurants: In this scenario, geographical departmentalization would be best as each restaurant could have its own department that deals with the operations and management of that particular restaurant. This would enable the managers to focus on local issues and respond to local customer needs.

4. A pharmaceutical company with research, development, and production departments: In this scenario, functional departmentalization would be more appropriate as each department would have a specific function (e.g. research, development, or production) that contributes to the overall goal of the organization. This would ensure that each department is working towards the common goal and that there is no overlap or duplication of effort.

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Which of the following statements is true of Customer Relationship Management (CRM) ?
A. It believes that customers are more affected by internal influences rather than external influences.
B. It utilizes its resources primarily to cater to loyal customers.
C. It considers each customer to be a potential stream of resources.
D. It believes companies are more likely to conduct individual transactions with customers.

Answers

The true statement about Customer Relationship Management (CRM) is: (C.) It considers each customer to be a potential stream of resources.

CRM is a business strategy that focuses on building and maintaining strong relationships with customers. It recognizes that customers are valuable assets for a company and aims to maximize the long-term value and profitability derived from these customer relationships.

CRM emphasizes the importance of treating each customer as a valuable resource. It acknowledges that customers have the potential to contribute to the success of the company by generating repeat business, providing referrals, and offering valuable feedback and insights. By understanding and addressing the specific needs, preferences, and expectations of individual customers, companies can tailor their products, services, and marketing efforts to enhance customer satisfaction and loyalty.

While internal influences and factors do play a role in CRM, such as the company's culture, processes, and employee training, it also recognizes the significance of external influences, such as market trends, competition, and customer behavior.

CRM is not solely focused on catering to loyal customers (Option B). While nurturing and retaining loyal customers is an important aspect of CRM, it also aims to acquire new customers, convert prospects into buyers, and develop strategies to engage and satisfy a broader customer base.

CRM is not about conducting individual transactions with customers (Option D). Instead, it emphasizes building long-term relationships and providing personalized experiences to customers throughout their journey with the company.

In summary, CRM views customers as valuable resources and seeks to build strong relationships to maximize their long-term value to the company.

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You are considering a project with an initial cost of $29,000. What is the discounted payback period for this project if the cash inflows are $14,650,$16,190,$12,480, and $9,500 a year over the next four years and a discount rate of 8% ?

Answers

The discounted payback period for this project is 8.24 years.

The formula for calculating the discounted payback period is:Discounted Payback Period = A + (B / C)

Where:A = the last year with a negative cumulative discounted cash flow

B = the absolute value of the cumulative discounted cash flow at the end of the A-year.

C = the discounted cash flow in the A + 1 year.

1: Calculate the present value of each cash inflow:

Year 1 = $14,650 / (1 + 8%) = $13,534.26

Year 2 = $16,190 / (1 + 8%)^2 = $13,569.34

Year 3 = $12,480 / (1 + 8%)^3 = $9,988.97

Year 4 = $9,500 / (1 + 8%)^4 = $7,057.60

2: Calculate the cumulative discounted cash flows

:Year 1 = $13,534.26

Year 2 = $13,534.26 + $13,569.34 = $27,103.60

Year 3 = $27,103.60 + $9,988.97 = $37,092.57

Year 4 = $37,092.57 + $7,057.60 = $44,150.17

3: Determine the year in which the cumulative discounted cash flow turns positive, which is Year 3. Therefore, A = 3.

4: Determine the discounted cash flow in the A + 1 year, which is Year 4. C = $7,057.60S

5: Calculate B:B = |cumulative discounted cash flow at the end of A year| = |$37,092.57| = $37,092.57

6: Plug the values into the formula:

Discounted Payback Period = A + (B / C) = 3 + ($37,092.57 / $7,057.60) = 3 + 5.24 = 8.24 years

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Which of the following factors will cause the labor supply curve
to shift?
Select one:
a.
The expected future real wage.
b.
The real wage.
c.
The level of the capital stock.
d.
The level of technology

Answers

So the correct option is a. The expected future real wage is a factor that can cause the labor supply curve to shift.

The supply curve is a graphical representation of the relationship between the price of a product or service and the quantity that producers are willing to supply. It shows the quantity supplied at different price levels, assuming other factors remain constant. Generally, the supply curve slopes upward from left to right, indicating that as the price increases, producers are willing to supply a higher quantity. This positive relationship between price and quantity supplied is based on assumption that higher prices lead to higher profits, motivating producers to increase their output. Factors such as production costs, technology, input prices, and government regulations can shift the supply curve.

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Provide an example of a product bundle you have personally
experienced or considered and its perceived benefits.

Answers

One example of a product bundle I have personally experienced is a cable TV and internet package offered by a telecommunications company. The perceived benefits of this product bundle were Convenience, Cost Savings, Integrated Features, etc.

The perceived benefits of this product bundle were:

Convenience: Having both cable TV and internet services bundled together made it convenient to manage and pay for these services. Instead of dealing with separate providers and bills, I could easily access and manage both services through a single account.

Cost Savings: The bundle offered a discounted price compared to purchasing cable TV and internet services separately. This provided cost savings and made the bundle more affordable compared to individual subscriptions.

Enhanced Entertainment Options: The combination of cable TV and the internet allowed for a broader range of entertainment options. I had access to a wide variety of television channels for live programming, as well as on-demand content and streaming services through the Internet connection. This provided a comprehensive entertainment experience.

Integrated Features: The bundle also included additional features such as DVR (Digital Video Recorder) capabilities, which allowed me to record and watch my favorite shows at my convenience. The internet connection enabled online streaming, browsing, and access to interactive services.

Overall, the product bundle of cable TV and internet provided convenience, cost savings, and an enhanced entertainment experience by combining multiple services into one package.

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