The option that is not a difference between perfect competition and monopolistic competition is: 1. Mark up over marginal cost.
In both perfect competition and monopolistic competition, firms can have mark-ups over marginal cost. This means that the price charged by the firm is higher than its marginal cost of production. Therefore, mark-up over marginal cost is not a difference between perfect competition and monopolistic competition.
The differences between perfect competition and monopolistic competition are:
2. The monopolistic competitor faces a downward sloping demand curve: In monopolistic competition, each firm produces a differentiated product, leading to a downward sloping demand curve. This means that the firm has some degree of market power and can influence the price of its product by adjusting the quantity supplied.
3. Long-run economic profit: In perfect competition, in the long run, firms earn zero economic profit due to the presence of free entry and exit. However, in monopolistic competition, firms can earn long-run economic profit or sustain losses due to product differentiation and limited competition.
4. Excess capacity: Monopolistic competition is characterized by firms producing at a quantity lower than the one that minimizes average total cost. This leads to excess capacity, where firms are not operating at the maximum efficiency level.
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Williams Industries has decided to borrow money by issuing perpetual bonds with a coupon rate of 9.5 percent, payable annually, and a par value of $1,000. The one-year interest rate is 9.5 percent. Next year, there is a 45 percent probability that interest rates will increase to 12 percent and a 55 percent probability that they will fall to 7 percent.
a. What will the market value of these bonds be if they are noncallable? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
b. If the company decides instead to make the bonds callable in one year, what coupon rate will be demanded by the bondholders for the bonds to sell at par? Assume that the bonds will be called if interest rates fall and that the call premium is equal to the annual coupon. (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
c. What will be the value of the call provision to the company? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
The market value of the noncallable bonds will be $1,000.
The coupon rate demanded by bondholders for the bonds to sell at par will be 9.5%.
The value of the call provision to the company is $0 (no value).
a. To calculate the market value of noncallable perpetual bonds, we can use the formula for the present value of a perpetuity:
Market value = Coupon payment / Required rate of return
The coupon payment is $1,000 * 9.5% = $95.
Since the required rate of return is the same as the coupon rate in this case, the market value can be calculated as:
Market value = $95 / 9.5% = $1,000
Therefore, the market value of the noncallable bonds will be $1,000.
b. If the bonds are callable in one year and will be called if interest rates fall, bondholders will demand a coupon rate that provides a yield equal to the prevailing one-year interest rate, which is 9.5%.
Since the call premium is equal to the annual coupon, the coupon rate demanded by bondholders will also be 9.5%.
Therefore, the coupon rate demanded by bondholders for the bonds to sell at par will be 9.5%.
c. To calculate the value of the call provision to the company, we need to compare the market value of the callable bonds (with the call provision) to the market value of the noncallable bonds.
In this case, since the coupon rate demanded by bondholders is the same as the prevailing interest rate (9.5%), the market value of the callable bonds will also be $1,000 (same as the noncallable bonds).
Therefore, the value of the call provision to the company is $0 (no value).
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A 40-year-old woman decides to put funds into a retirement plan. She can save $3,000 a year and earn 7 percent on this savings. How much will she have accumulated if she retires at age 65? Use Appendix C to answer the question. Round your answer to the nearest dollar. $ At retirement how much can she withdraw each year for 20 years from the accumulated savings if the savings continue to earn 7 percent? Use Appendix D to answer the question. Round your answer to the nearest dollar. $
The woman will have accumulated approximately $160,953 at retirement and can withdraw approximately $14,039 per year for 20 years.
To calculate the accumulated savings, we use the future value of an ordinary annuity formula. By multiplying the annual savings of $3,000 by the future value factor of 53.6509 (obtained from Appendix C), we find that she will have accumulated approximately $160,953 at retirement.
For the annual withdrawal amount, we use the annuity payment formula. Dividing the accumulated savings by the annuity payment factor of 11.4715 (obtained from Appendix D) gives us an annual withdrawal amount of approximately $14,039.
These calculations assume a 7% interest rate and consider the time period, allowing us to estimate the accumulated savings and annual withdrawal amount for the woman's retirement plan.
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Which of the following statements reflects the properties of fair value accounting?
a Fair value accounting represents a sacrifice of reliability in favour of relevance
b Fair value accounting is an example of the information perspective for financial accounting.
c Fair value accounting is mandatory for loans given out by banks
d Under fair value accounting, current values of assets are decided objectively.
The correct option is d.
The statement that reflects the properties of fair value accounting is:
d) Under fair value accounting, current values of assets are decided objectively.
Fair value accounting involves measuring and reporting the current values of assets and liabilities based on their market prices or other objective measures.
It aims to provide a more accurate representation of the financial position and performance of an entity at a given point in time. This approach considers the current market conditions and factors in changes in asset values over time.
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How do you find the crossover rate of two projects?
The crossover rate of two projects refers to the discount rate at which the net present value (NPV) of the cash flows from the two projects becomes equal. It represents the point at which the projects' profitability or attractiveness is the same.
To find the crossover rate of two projects, you can follow these steps:
Identify the cash flows: Determine the cash flows associated with each project over their respective lifespans. Cash flows can include initial investments, operating cash flows, salvage values, and any other relevant inflows or outflows.
Calculate the NPV: Calculate the net present value (NPV) of the cash flows for each project using a range of discount rates. The NPV is computed by discounting future cash flows to their present value using the chosen discount rate. Use a consistent set of cash flow projections and discount rates for both projects.
Identify the discount rate range: Determine a range of discount rates within which the crossover rate is expected to lie. It should cover rates that are feasible and relevant to the projects and their industry.
Perform trial and error: Start with a discount rate in the chosen range and calculate the NPV for both projects. Gradually adjust the discount rate up or down and recalculate the NPV until the NPVs of both projects converge or become equal.
Refine the search: Once you find two discount rates where the NPVs of the projects are close but not equal, refine your search by using smaller increments around those rates. Continue the trial and error process until you find the discount rate at which the NPVs of both projects are equal or nearly equal.
Determine the crossover rate: The discount rate at which the NPVs of the two projects become equal is the crossover rate. This rate signifies the point of indifference between the two projects, where they have equal profitability or value.
Finding the crossover rate requires iterative calculations and may involve using software, spreadsheets, or financial calculators to speed up the process. It's important to ensure that the cash flow projections and discount rates used are accurate and consistent for reliable results.
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Oriole Limited had 41,400 common shares outstanding on January 1, 2020. On March 1, 2020, Oriole issued 20,700 shares in exchange for equipment. On July 1, Oriole repurchased and cancelled 10,800 shares. On October 1, 2020, Oriole declared and issued a 10% stock dividend.
Calculate the weighted average number of shares outstanding for Oriole for the year ended December 31, 2020.
The weighted average number of shares outstanding for Oriole Limited for the year ended December 31, 2020, was 52,455.
In order to calculate the weighted average number of shares outstanding, we need to consider the number of shares outstanding during each period and the length of time they were outstanding.
On January 1, 2020, Oriole had 41,400 common shares outstanding. From January 1 to March 1, there were 59 days (out of 365 days) with 41,400 shares outstanding.
On March 1, 2020, Oriole issued an additional 20,700 shares. From March 1 to July 1, there were 122 days with 62,100 shares outstanding.
On July 1, 2020, Oriole repurchased and cancelled 10,800 shares. From July 1 to October 1, there were 92 days with 51,300 shares outstanding.
Finally, on October 1, 2020, Oriole declared and issued a 10% stock dividend. This resulted in an additional 10% of shares being issued, increasing the total number of shares to 56,430. From October 1 to December 31, there were 92 days with 56,430 shares outstanding.
To calculate the weighted average number of shares outstanding, we multiply the number of shares outstanding during each period by the corresponding number of days, sum them up, and divide by the total number of days in the year.
(41,400 * 59 + 62,100 * 122 + 51,300 * 92 + 56,430 * 92) / 365 = 52,455
Therefore, the weighted average number of shares outstanding for Oriole Limited for the year ended December 31, 2020, was 52,455.
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Under the regulation of the Producer Licensing Act, a producer may name an insurance agency?
A. J. Jones Insurance Comapany, Inc.
B. Jones Insurance Company.
C. J. Jones Insurance
D. Jones insurance Brokerage
Under the regulation of the Producer Licensing Act, a producer may name an insurance agency as Jones Insurance Company. Option B is correct.
The Producer Licensing Model Act (Producer Licensing Act) has been created to maintain a balanced regulatory framework that safeguards the interests of policyholders and the public while allowing producers to conduct business in a consistent and reasonable manner. Insurance producers must have a license under the Producer Licensing Model Act, which serves as a model for state legislation.
The National Association of Insurance Commissioners (NAIC) created it to promote uniformity and regulatory efficiency. The model act is made up of three sections: Uniform Producer Licensing Act (Part 1), Uniform Enforcement Act (Part 2), and Uniform Adjuster Licensing Act (Part 3). Jones Insurance Company is an option that can be chosen by a producer under the regulation of the Producer Licensing Act.
It is important to note that regulations may vary depending on the jurisdiction, so producers should always consult the specific guidelines and requirements set forth by the licensing authority in their respective areas. These guidelines typically include provisions to prevent misleading or deceptive names and to ensure compliance with industry standards. By following the regulations and selecting an appropriate name, producers can establish and operate their insurance agency in accordance with the Producer Licensing Act.
Option B is correct.
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The profits after tax of Ramisha Textile Ltd. are as follows:
September 30,2014 Tk. 50,00,000
September 30,2015 Tk. 52,80,000
On October 1, 2013, the company's issued share capital consisted of 1,50,000 ordinary shares. On July 1, 2015, the company made a 1 for 5 rights issue at Tk. 50 per share. This issue was fully subscribed. The market value of the company's shares just before the rights issue was Tk. 80 per share.
Required:
i. Calculate basic EPS for the year ended on September 30, 2015 .
ii. Calculate basic EPS for the year ended on September 30, 2014.
To calculate the basic earnings per share (EPS) for Ramisha Textile Ltd., we need to consider the company's profits after tax and the changes in the number of ordinary shares due to a rights issue.
Basic EPS is calculated by dividing the profits after tax by the weighted average number of ordinary shares outstanding during the period.
i. To calculate the basic EPS for the year ended on September 30, 2015, we need to determine the weighted average number of ordinary shares. Before the rights issue on July 1, 2015, the company had 1,50,000 ordinary shares. After the rights issue, the company issued additional shares at a rate of 1 for every 5 shares held. This means for every 5 shares, 1 new share was issued. Therefore, the total number of new shares issued would be (1/5) x 1,50,000 = 30,000 shares. The weighted average number of ordinary shares would be the average of shares before and after the rights issue: (1,50,000 + 30,000) / 2 = 90,000 shares.
To calculate the basic EPS for the year ended on September 30, 2015, divide the profit after tax of Tk. 52,80,000 by the weighted average number of ordinary shares (90,000).
ii. To calculate the basic EPS for the year ended on September 30, 2014, we use the same weighted average number of ordinary shares (90,000) since there was no change in the number of shares during that period. Divide the profit after tax of Tk. 50,00,000 by the weighted average number of ordinary shares (90,000).
Therefore, the basic EPS for the year ended on September 30, 2015, would be Tk. 58.67 (52,80,000 / 90,000), and the basic EPS for the year ended on September 30, 2014, would be Tk. 55.56 (50,00,000 / 90,000).
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A discipline letter should be
prepared whenever a verbal warning is given
unsigned
copied to the Ontario Labour Ministry
specific as to the expected change in performance
destroyed after the next annual performance review
A discipline letter should be specific about the expected change in performance whenever a verbal warning is given.
A discipline letter should be specific as to the expected change in performance whenever a verbal warning is given. A discipline letter is a written warning to an employee about his or her job performance or misconduct. A discipline letter should be specific about the expected change in performance and should be written in a professional and polite tone, but should also be firm and assertive to convey the seriousness of the situation.
A discipline letter may be given when an employee's behavior or performance is unacceptable and may lead to more serious consequences if not corrected. A discipline letter should clearly state the problem that needs to be addressed and provide specific examples of the employee's poor performance or misconduct. The letter should also specify the expected changes in performance and a deadline by which the employee should improve. Finally, the letter should clearly state the consequences that will follow if the employee does not improve, such as further disciplinary action or termination of employment.
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which of the following is included in gdp calculations?
The university tuition paid to enroll in a course is included in GDP calculations is included in GDP calculations. So, correct option is D.
Gross Domestic Product (GDP) is a measure of the total value of all final goods and services produced within a country's borders during a specific period. It is an important indicator of the overall economic activity in a country.
Among the options given, the only one that is included in GDP calculations is the university tuition paid to enroll in a course. Tuition fees paid for education services are considered final goods and services, and they contribute to the overall value of GDP. Education is a significant component of the service sector, which is an essential part of a country's economy.
The other options do not contribute to GDP calculations. Sales revenue received from a yard sale (option A) is excluded because it involves the sale of used goods, which are not part of the current production of goods and services.
Cash income received by a self-employed landscaper not reported to the IRS (option B) is part of the informal or underground economy, which is not officially accounted for in GDP. A crisp $50 bill received on your birthday (option C) is not included as it represents a transfer of money between individuals and does not involve any production or economic activity.
So, correct option is D.
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Complete question is:
Which of the following is included in GDP calculations?
A. sales revenue received from a yard sale
B. cash income received by a self-employed landscaper that is not reported to the IRS
C. a crisp $50 bill received on your birthday
D. the university tuition paid to enroll in a course
Pierre Computer Company is considering purchasing two different types of servers. Server A will generate net cash inflows of $20,000 per year and have a zero residual value. Server A 's estimated useful life is three years, and it costs $36,000. Server B will generate net cash inflows of $20,000 in year 1,$12,000 in year 2 , and $4,000 in year 3 . Server B has a $5,000 residual value and an estimated useful life of three years. Server B also costs $36,000. Pierre Computer Company's required rate of return is 12%.
Calculate payback, accounting rate of return, net present value, and internal rate of return for both server investments. Use Microsoft Excel to calculate NPV and IRR.
Assuming capital rationing applies, which server should Pierre Computer Company invest in?
Assuming capital rationing applies, Pierre Computer Company should invest in Server A because it has a higher NPV of $11,019.
Given that, Server A will generate net cash inflows of $20,000 per year and have zero residual value. Its estimated useful life is three years, and it costs $36,000.
Server B will generate net cash inflows of $20,000 in year 1, $12,000 in year 2, and $4,000 in year 3.
Server B has a $5,000 residual value and an estimated useful life of three years.
It also costs $36,000.
Pierre Computer Company's required rate of return is 12%.
1) Payback period calculation:
Server A: $36,000/$20,000 = 1.8 years
Server B: Year 1: ($36,000 - $20,000) / $20,000
= 0.8
Year 2: ($20,000 - $12,000) / $12,000
= 0.67
Year 3: ($12,000 + $5,000 - $4,000) / $4,000
= 3.25 Payback period
= 0.8 + 0.67 + 3.25
= 4.72 years.
2) Accounting rate of return calculation:
Server A: Average annual income = $20,000/3
= $6,666 ARR
= $6,666 / $36,000
= 0.185 = 18.5%
Server B:
Average annual income = ($20,000 + $12,000 + $4,000) / 3
= $12,000 ARR
= $12,000 / $36,000
= 0.333 = 33.3%
3) Net present value calculation:
Server A:
Year 1: $20,000 / (1 + 12%)^1
= $17,857
Year 2: $20,000 / (1 + 12%)^2 = $15,938
Year 3: $20,000 / (1 + 12%)^3 = $14,224
NPV = -$36,000 + $17,857 + $15,938 + $14,224
= $11,019
Server B:
Year 1: $20,000 / (1 + 12%)^1 = $17,857
Year 2: $12,000 / (1 + 12%)^2 = $9,751
Year 3: $4,000 + $5,000 / (1 + 12%)^3
= $4,343
NPV = -$36,000 + $17,857 + $9,751 + $4,343
= -$4,049.
4) Internal rate of return calculation:
Server A:IRR = 16.09%
Server B:IRR = 5.79%
As a result, assuming capital rationing applies, Pierre Computer Company should invest in Server A because it has a higher NPV of $11,019.
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2 points
Dungeoness Corporation has excess cash of $1,800 that it would like to distribute to shareholders through a share repurchase. Current earnings are $0.7 per share, and the stock currently sells for $30 per share. There are 170 shares outstanding. Ignore taxes and other imperfections.
If Dungeoness Corp. goes with the share repurchase, what will the price per share be? How many shares will they buy in the repurchase? What are earnings per share (EPS) and the price earnings (P/E) ratio? Enter your answers rounded to 2 DECIMAL PLACES.
Price per share =
Number of shares repurchased =
Earnings per Share =
Price earnings (P/E) ratio =
Price earnings (P/E) ratio = Price per share / Earnings per Share
Price earnings (P/E) ratio = $19.41 / $0.0041
Price earnings (P/E) ratio = 4734.15
To calculate the price per share after the share repurchase, we need to subtract the excess cash distributed from the current stock price.
Price per share = Current stock price - Excess cash distributed
Price per share = $30 - $1,800/170
Price per share = $30 - $10.59
Price per share = $19.41
To determine the number of shares repurchased, we divide the excess cash distributed by the price per share.
Number of shares repurchased = Excess cash distributed / Price per share
Number of shares repurchased = $1,800 / $19.41
Number of shares repurchased = 92.81
Since we cannot buy fractional shares, Dungeoness Corporation will repurchase 92 shares.
To calculate the earnings per share (EPS), we divide the current earnings by the number of shares outstanding.
Earnings per Share = Current earnings / Number of shares outstanding
Earnings per Share = $0.7 / 170
Earnings per Share = $0.0041
To calculate the price-earnings (P/E) ratio, we divide the price per share by the earnings per share.
Price earnings (P/E) ratio = Price per share / Earnings per Share
Price earnings (P/E) ratio = $19.41 / $0.0041
Price earnings (P/E) ratio = 4734.15
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cdh invest n v petrotank south africa (pty) ltd and another [2018].
The scenario indicates that timeframes may be tricky when shareholders legitimately call for a shareholders meeting. The shareholders recourse is to approach the courts when the board is essentially ignoring the call for a shareholders meeting. Explain how this may exacerbate an already challenging relationship between shareholders and the board
Exacerbates challenging relationship: Legal recourse intensifies mistrust, worsens communication, and deepens conflicts between shareholders and the board,
hindering cooperation and collaborative decision-making, ultimately undermining the company's stability and long-term success. When shareholders resort to the courts to address the board's refusal to hold a shareholders meeting, it signifies a breakdown in trust and communication. This legal action can escalate tensions, as it implies a lack of confidence in the board's ability to act in the best interests of the shareholders. The board may perceive this as an adversarial move and respond defensively, further straining the relationship. The legal process itself can be lengthy and expensive, diverting resources away from productive endeavors. This distraction can hinder effective decision-making and prevent the board and shareholders from finding common ground. The heightened conflict and lack of cooperation can create a hostile environment, making it difficult for the company to navigate challenges and make necessary strategic decisions.
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Ellora wants to accumulate $150000.00 in an RRSP by making annual contributions of $5000.00 at the end of each year. If interest is 5.5% compounded quarterly, calculate how long she has to make contributions. a. 18.202125 b. 18.076686 C. 18.676765 d. 17.455483 e. 17.585794
To calculate the number of years Ellora has to make contributions to accumulate $150,000.00 in an RRSP with annual contributions of $5,000.00 and a yearly interest rate of 5.5% compounded quarterly, we need to solve for the number of periods. a) 18.202125
The options provided are: a) 18.202125, b) 18.076686, c) 18.676765, d) 17.455483, and e) 17.585794.
Explanation: In this case, we can use the formula for the future value of an ordinary annuity with quarterly compounding to determine the number of periods. The formula is:
FV = P * [(1 + r/n)^(n*t) - 1] / (r/n),
where FV is the future value, P is the periodic payment, r is the interest rate per period, n is the number of compounding periods per year, and t is the number of years.
Substituting the given values, we have:
$150,000.00 = $5,000 * [(1 + 0.055/4)^(4n) - 1] / (0.055/4).
To solve for n, we can rearrange the formula:
[(1 + 0.055/4)^(4n) - 1] / (0.055/4) = $150,000.00 / $5,000.
Simplifying further, we get:
(1.01375^(4n) - 1) / 0.01375 = 30.
To find the value of n, we can use trial and error or a financial calculator. The correct answer is option a) 18.202125, which represents the approximate number of years Ellora needs to make contributions to accumulate $150,000.00 in her RRSP.
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Cash flows from financing activities inclucle:
Muttiple Choice
O Interest paid.
O Cash dividends paid.
O Dividends recelved.
O Interest received.
Cash flows from financing activities include cash dividends paid and interest paid.
Cash dividends paid represent the distribution of profits to the shareholders of a company. It involves the outflow of cash from the company's financing activities.
Interest paid refers to the cash outflows resulting from interest payments on borrowings or debts. It represents the cost of borrowing funds and is categorized as a financing activity.
On the other hand, dividends received and interest received are classified as cash flows from operating activities or investing activities, depending on the nature of the business. These cash inflows are not considered part of cash flows from financing activities.
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Weller Industries is a decentralized organization with six divisions. The company’s Electrical Division produces a variety of electrical items, including an X52 electrical fitting. The Electrical Division (which is operating at capacity) sells this fitting to its regular customers for $9.60 each; the fitting has a variable manufacturing cost of $5.11.
The company’s Brake Division has asked the Electrical Division to supply it with a large quantity of X52 fittings for only $7.60 each. The Brake Division, which is operating at 50% of capacity, will put the fitting into a brake unit that it will produce and sell to a large commercial airline manufacturer. The cost of the brake unit being built by the Brake Division follows:
Purchased parts (from outside vendors) $ 24.60
Electrical fitting X52 7.60
Other variable costs 14.87
Fixed overhead and administration 8.90
Total cost per brake unit $ 55.97
Although the $7.60 price for the X52 fitting represents a substantial discount from the regular $9.60 price, the manager of the Brake Division believes the price concession is necessary if his division is to get the contract for the airplane brake units. He has heard "through the grapevine" that the airplane manufacturer plans to reject his bid if it is more than $57 per brake unit. Thus, if the Brake Division is forced to pay the regular $9.60 price for the X52 fitting, it will either not get the contract or it will suffer a substantial loss at a time when it is already operating at only 50% of capacity. The manager of the Brake Division argues that the price concession is imperative to the well-being of both his division and the company as a whole.
Weller Industries uses return on investment (ROI) to measure divisional performance.
Required:
1. Assume that you are the manager of the Electrical Division.
a. What is the lowest acceptable transfer price for the Electrical Division?
b. Would you supply the X52 fitting to the Brake Division for $7.60 each as requested?
2. Assuming the airplane brakes can be sold for $57, what is the financial advantage (disadvantage) for the company as a whole (on a per unit basis) if the Electrical Division supplies fittings to the Brake Division?
3. In principle, within what range would the transfer price lie?
1a. The lowest acceptable transfer price for the Electrical Division would be the variable manufacturing cost of the X52 fitting, which is $5.11.
1b. As the manager of the Electrical Division, I would not supply the X52 fitting to the Brake Division for $7.60 each.
2. Supplying the fittings to the Brake Division would result in a financial advantage of $1.03 per brake unit for the company as a whole.
3. In principle, the transfer price should lie within the range of the variable manufacturing cost of the X52 fitting ($5.11) to the regular selling price to external customers ($9.60).
1a. The lowest acceptable transfer price for the Electrical Division would be the variable manufacturing cost of the X52 fitting, which is $5.11. This price ensures that the Electrical Division covers its direct costs and maintains a positive contribution margin on each fitting sold to the Brake Division.
1b. As the manager of the Electrical Division, I would not supply the X52 fitting to the Brake Division for $7.60 each. While the Brake Division's request represents a substantial discount from the regular price, it falls below the lowest acceptable transfer price calculated in question 1a. Selling below the variable manufacturing cost would result in a negative contribution margin for the Electrical Division, leading to a loss on each unit sold. This would negatively impact the division's profitability and return on investment (ROI).
2. If the X52 fittings are supplied to the Brake Division and the airplane brakes can be sold for $57 each, the financial advantage for the company as a whole would be the contribution margin per brake unit. The contribution margin per brake unit can be calculated as follows:
Contribution margin per brake unit = Sales price per brake unit - Total cost per brake unit
Contribution margin per brake unit = $57 - $55.97 = $1.03
Therefore, supplying the fittings to the Brake Division would result in a financial advantage of $1.03 per brake unit for the company as a whole.
3. In principle, the transfer price should lie within the range of the variable manufacturing cost of the X52 fitting ($5.11) to the regular selling price to external customers ($9.60).
This range takes into consideration the cost incurred by the Electrical Division to produce the fitting and ensures that the division remains profitable and achieves an acceptable ROI.
Additionally, the transfer price should be set in a way that provides a fair allocation of costs and promotes the overall financial performance of the company as a whole.
Factors such as market conditions, divisional capacities, and strategic considerations may also influence the determination of the transfer price within this range.
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"Diversification for higher growth of products and the
market is one of the key reasons for mergers and acquisition in
Kenyan corporate world." Discuss. (9 marks)
In the Kenyan corporate world, mergers and acquisitions are driven by the desire to diversify products and expand into new markets, leading to higher growth prospects. By combining resources, companies can access a wider customer base, leverage synergies, and reduce competition.
This diversification strategy allows firms to mitigate risks associated with a single product or market, enhance economies of scale, and capitalize on emerging opportunities, ultimately driving growth and increasing shareholder value.
In the Kenyan corporate world, mergers and acquisitions are undertaken for various reasons, and one key motive is diversification for higher growth of products and the market. When companies merge or acquire other businesses, they aim to expand their product offerings and enter new markets. By diversifying their portfolio, companies can reduce their reliance on a single product or market, which can be risky. Instead, they can tap into different customer segments and capitalize on emerging opportunities in various industries.
Through mergers and acquisitions, companies can combine their resources, expertise, and distribution networks to access a broader customer base. This allows them to cross-sell products and services, leverage synergies, and enhance overall competitiveness. Additionally, by entering new markets or expanding their geographical reach, companies can increase their market share and revenue potential.
Diversification through mergers and acquisitions also enables companies to achieve economies of scale. By consolidating operations, companies can optimize their production, reduce costs, and enhance efficiency. This can lead to improved profitability and higher growth rates for the merged entity.
Furthermore, mergers and acquisitions provide companies with an opportunity to enter promising or untapped markets. They can leverage the acquired company's market knowledge, customer relationships, and established infrastructure to quickly establish a presence and gain a competitive advantage. This allows companies to capture new market segments and drive growth through increased sales and market share.
Overall, diversification through mergers and acquisitions in the Kenyan corporate world offers several advantages. It allows companies to mitigate risks, access a wider customer base, achieve economies of scale, and capitalize on emerging opportunities. By expanding their product offerings and market reach, companies can foster higher growth rates, increase shareholder value, and strengthen their position in the market.
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__________ helps project teams ensure that systems are designed efficiently and installed appropriately.
The answer to the given question is that "Quality assurance helps project teams ensure that systems are designed efficiently and installed appropriately."
Quality assurance plays a significant role in helping project teams ensure that systems are designed efficiently and installed appropriately. It's a systematic process that ensures the highest quality output.
The process of quality assurance comprises systematic activities to ensure that the developed software product satisfies its intended purpose. It is used to manage software development and maintenance and guarantee that everything is done following the pre-defined set of processes. Quality assurance (QA) is an essential process for the successful delivery of a project. It helps in detecting issues, errors, or bugs and resolving them to improve the project's quality and performance.
Quality assurance (QA) is a crucial step in project management that ensures that the final product meets the quality standards and expectations. It helps project teams to identify and resolve errors and mistakes early in the software development cycle to avoid problems in the future.
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On the day Harry was born, his parents put $1300 into an investment account that promises to pay a fixed interest rate of 5 percent per year. How much money will Harry have in this account when he turns 18?
The need to take into consideration the initial investment as well as the interest accrued over the course of the 18-year period to determine how much money Harry will have in the account when he reaches 18.
Given: $1300 as a down payment
Interest: 5% annually
We may use the compound interest calculation to determine the investment's future value:
Future Value is equal to the Initial Deposit times the Interest Rate.Amount of Years
The number of years in this situation is 18. Now let's compute:
Future Value is equal to $1300 (1 + 0.05).^18
Future Value is equal to $1300 multiplied by (1.05)18 and then by 1.948717.
($2533.32, rounded to the nearest cent) Future Value
Harry will therefore have about $2533.32 in the investing account when he turns 18 years old.
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The competitive advantage of Dime Community Bank is the willingness of its managers to originate loans to subprime borrowers. True False
The given statement that says "The competitive advantage of Dime Community Bank is the willingness of its managers to originate loans to subprime borrowers" is true. Here is the detailed explanation for the same.
The competitive advantage of Dime Community Bank Dime Community Bank is a financial institution based in Brooklyn, New York. It is a community-oriented bank that provides financial services to both individuals and businesses. The bank's competitive advantage lies in its willingness to originate loans to subprime borrowers.
Subprime borrowers are those who have a low credit score or a high debt-to-income ratio. These borrowers are often considered high-risk by traditional lenders, making it difficult for them to obtain loans. However, Dime Community Bank's managers are willing to take on this risk and lend to subprime borrowers.
This gives the bank a competitive advantage in the lending market as it can attract a large customer base that is underserved by traditional lenders. By offering loans to subprime borrowers, Dime Community Bank can create long-term relationships with these borrowers. The bank can then offer additional financial services to these customers, such as checking and savings accounts, credit cards, and other lending products.
This strategy can help the bank to grow its customer base and increase its revenue over time.
Conclusion: In conclusion, the statement that "The competitive advantage of Dime Community Bank is the willingness of its managers to originate loans to subprime borrowers" is true. The bank's willingness to lend to subprime borrowers gives it a competitive edge in the lending market and allows it to attract a large customer base that is underserved by traditional lenders.
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Mr. Schmidt purchased 250 shares of Doss Limited on February 1 of the current year for $20 per share. On May 1 of the current year, he purchased 100 more shares for $25 per share. On June 20 of the current year, Mr. Schmidt selis 100 shares for $15 per share. His allowable capital loss on June 20 is $643. True or False
The statement "Mr. Schmidt's allowable capital loss on June 20 is $643" is true. The computation of the allowable capital loss is as follows:
Computation of the cost of 100 shares bought on May 1:Cost = Number of shares × Price per share = 100 × $25 = $2,500The total cost of the 350 shares:On February 1 = 250 × $20 = $5,000On May 1 = 100 × $25 = $2,500Total cost = $5,000 + $2,500 = $7,500The sale price of 100 shares on June 20 is $15 per share. Hence, the proceeds from the sale is:Proceeds = Number of shares × Price per share = 100 × $15 = $1,500The capital loss is the difference between the total cost of 350 shares and the proceeds from the sale of 100 shares.Capital loss = Total cost - Proceeds = $7,500 - $1,500 = $6,000To get the allowable capital loss, the capital loss is reduced by half of the difference between the purchase price on February 1 and the purchase price on May 1, which is the holding period from February 1 to May 1.Loss after adjustment for holding period = $6,000 - 0.5 × (100 × ($25 - $20))= $6,000 - $250 = $5,750The allowable capital loss is $5,750. Hence, the statement is true.
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Marketing research is the key to the success of a company.
Discuss this statement, keeping in view an example of he recent past where application of market research helped in formulating the right marketing strategy.
Marketing research is an important tool that provides accurate information to companies about their target customers, the market, and the competition.
Marketing research is crucial in designing the right marketing strategy that will effectively meet customers' needs and wants and help the company achieve its objectives.
Thus, it can be said that marketing research is the key to the success of a company.Example of recent past where application of market research helped in formulating the right marketing strategy:
Apple, one of the world's leading technology companies, is a perfect example of how market research can be used to develop a successful marketing strategy. When the company was preparing to launch the iPhone, it conducted extensive marketing research to find out what consumers wanted in a smartphone.
Through its research, Apple found that consumers wanted a device that could do more than just make calls and send texts. They wanted a device that could surf the internet, take photos, and play music.
Apple used the data it collected to create a smartphone that could do all of these things and more.The company's marketing strategy was also based on the data it collected.
Apple focused its advertising on the features that consumers wanted most, such as the phone's ability to play music and its touch screen. By using market research to inform its marketing strategy,
Apple was able to create a product that met consumers' needs and wants and that helped it become one of the most successful companies in the world today.
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Experiments are often impossible to implement because some treatments are too important to be decided by researchers difficult to explain in public difficult to collect sufficient control variables may not "scale up"
Experiments are often impossible to implement due to various reasons such as the significance of certain treatments, difficulties in public explanation, challenges in collecting sufficient control variables, and limitations in scaling up the experiment.
1. Importance of treatments: In some cases, certain treatments or interventions may have significant ethical, moral, or practical implications, making it difficult for researchers to implement them in an experiment.
These treatments may involve sensitive issues or have potential consequences that outweigh the benefits of conducting the experiment.
2. Public explanation: Some experiments involve complex concepts or procedures that are difficult to explain to the general public.
Lack of understanding or misconceptions about the experiment may lead to public resistance or controversy, making it challenging to gain necessary support or approval for implementation.
3. Control variables: To ensure the validity and reliability of an experiment, researchers need to collect and control various variables that could influence the results.
However, in certain situations, it may be difficult to collect sufficient control variables or accurately measure and account for all relevant factors, making it challenging to design and implement a rigorous experiment.
4. Scaling up: Even if an experiment is successfully conducted on a small scale, there may be challenges in scaling it up to a larger population or broader context.
Factors such as resource limitations, logistical constraints, or contextual variations may hinder the feasibility and generalizability of the experiment when applied to a larger scale.
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24. Which of the following is NOT included in the balance of payment account? A. International banking B. Tourism C. Income tax D. Bauxite export 25. In the balance of payment account, the balancing item is the net sum of: A. visible and invisible trade B. the visible trade balance and balance of payments C. errors and omissions in other items D. the visible trade balance and current account 26. Which of the following is TRUE as related to the concept of transfer payment? It is: A. an investment income B. a welfare benefit payment C. considered payment for a service rendered D. payment made for goods and merchandise. 27. Which one of these goes into the investment sector of GDP? The purchase of: A. a new factory B. 100 shares of Grace Kennedy stock C. a 10 year old office building D. a US saring bond 28. The value of the currency under a floating exchange rate is determined by: A. the intemational monetary fund B. demand and supply C. the central bank D. bilateral agreements between countries
24. The item NOT included in the balance of payment account is C. Income tax.
25. The balancing item in the balance of the payment account is C. errors and omissions in other items.
26. Transfer payment is B. a welfare benefits payment.
27. The purchase of A. a new factory goes into the investment sector of GDP.
28. The value of the currency under a floating exchange rate is determined by B. demand and supply.
24. The balance of payment account records all economic transactions between residents of a country and the rest of the world. Income tax, being a domestic fiscal policy measure, is not included in the balance of payment account, as it does not involve international transactions.
25. The balancing item in the balance of the payment account represents the net sum of all recorded transactions. This balancing item is usually referred to as "errors and omissions" and is denoted as C. errors and omissions in other items. It captures any unrecorded or misreported transactions that may occur within the account.
26. Transfer payment refers to a payment made without expecting any direct economic benefit or service in return. It is typically associated with social welfare programs and includes items such as social security benefits, unemployment benefits, and pensions. Therefore, the correct option is B. a welfare benefit payment.
27. The investment sector of GDP includes expenditures on capital goods that contribute to the production of goods and services. The purchase of a new factory represents an investment in fixed capital, which contributes to the economy's productive capacity. Therefore, the correct option is A. a new factory.
28. Under a floating exchange rate regime, the value of a currency is determined by the forces of demand and supply in the foreign exchange market. Changes in demand and supply for a currency will result in fluctuations in its exchange rate. Therefore, the correct option is B. demand and supply. The central bank and international monetary fund may play a role in managing or influencing exchange rates, but they do not solely determine the value of a currency under a floating exchange rate system.
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Two Strength and weakness of housing policy concerning minimum
wage in the united states.
The strength and weaknesses of housing policy concerning minimum wage in the United States are as follows :Strengths of housing policy concerning minimum wage in the United States The strengths of housing policy concerning minimum wage in the United States include the following:
Increase in Minimum Wage: The increase in minimum wage increases the affordability of housing, which is an advantage for low-income earners. They can also spend more on housing with higher minimum wages, which means that housing construction will benefit from an increased demand.Housing Voucher Program: The Housing Voucher program is a Federal initiative that is designed to provide financial assistance to low-income families for their housing needs. The Housing Choice Voucher Program assists around 2.2 million low-income families to rent modest housing that is within their means.Weaknesses of housing policy concerning minimum wage in the United StatesThe weaknesses of housing policy concerning minimum wage in the United States include the following:Less Affordable Housing: Due to the fact that housing is in higher demand as a result of the increase in minimum wage, the cost of constructing and renting apartments and houses would increase. It may also cause homeowners to increase their rates, making it difficult for low-income individuals to afford a home. Income Inequality: Although increasing the minimum wage may aid in the construction of more affordable housing, it does not address the issue of income inequality. Low-wage employees earn enough to make ends meet, but they must still make sacrifices in order to afford housing. As a result, income inequality remains an issue.
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Which of the followings describe the characteristics of a good market? Intolerable transaction costs.
The prices of shares do not adjust quickly to the arise of new information.
Past transaction information is available timely and accurately.
Information on past event is not freely available to investors. (2 marks)
The types of financial instruments consist of:
Precious metal
Derivatives
Cash and cash equivalent
Equity
I and II
I, II and III
I, III and IV
D. All of the above (2 marks)
Financial markets typically consist of various types of instruments, including precious metals, derivatives, cash and cash equivalents, and equity. The correct option is D). All of the above.
For the first question, none of the options describe characteristics of a good market. A good market would typically have low transaction costs, prices that adjust quickly to new information, timely and accurate availability of past transaction information, and freely available information on past events to investors.
For the second question, the correct option is "D. All of the above." The types of financial instruments listed, including precious metals, derivatives, cash and cash equivalents, and equity, are all commonly found in financial markets. These instruments represent different asset classes and investment options available to investors.
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9. Financial Holding companies is a company that a. owns and controls different bank and non bank financial institutions. b. owns and controls two or more banks. c. Owns non bank financial institutions d. None of the options
a. Financial holding companies own and control different bank and non-bank financial institutions. They act as a parent company that oversees and manages subsidiary entities within the financial sector, including banks, insurance companies, brokerage firms, and other non-bank financial entities.
This structure allows for centralized control, coordination, and strategic decision-making across the various subsidiaries, creating synergies and promoting diversification within the company's portfolio of financial services.
Financial holding companies, as stated in option a, are entities that own and control various bank and non-bank financial institutions. These companies act as parent organizations, providing oversight and management to their subsidiary entities within the financial sector. This ownership and control enable them to have centralized authority and decision-making power over a diverse range of financial services. By having multiple subsidiaries, such as banks, insurance companies, and brokerage firms, under their umbrella, financial holding companies can benefit from synergies, economies of scale, and strategic coordination across their portfolio of financial businesses. This structure allows for efficient resource allocation, risk management, and overall business development within the financial holding company.
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the most legitimate criticism of intelligence tests concerns their:
The most legitimate criticism of intelligence tests centers around concerns regarding cultural bias and the limited scope of measuring intelligence.
Intelligence tests have been criticized for their potential to favor individuals from specific cultural and socioeconomic backgrounds, leading to unfair advantages or disadvantages.
Additionally, intelligence tests often focus on a narrow range of cognitive abilities, which may not fully capture the diverse nature of human intelligence. Critics argue that intelligence is a complex and multifaceted construct that cannot be adequately assessed by a single test.
One of the primary criticisms of intelligence tests is their potential for cultural bias. Intelligence tests are often developed and normed based on specific cultural groups, which can lead to biases that favor individuals from those particular backgrounds. The questions and tasks included in the tests may reflect the knowledge, experiences, and communication styles of certain cultural groups, making it more challenging for individuals from different cultural backgrounds to perform well on the tests. This cultural bias can result in inaccurate assessments of intelligence and contribute to inequalities in educational and employment opportunities.
Another criticism is the limited scope of intelligence tests in measuring intelligence. Traditional intelligence tests typically focus on cognitive abilities such as logical reasoning, verbal comprehension, and problem-solving skills. However, intelligence is a multifaceted construct that encompasses a broader range of abilities, including creativity, emotional intelligence, and practical skills. By narrowing the focus to a subset of cognitive abilities, intelligence tests may fail to capture the full extent of an individual's intellectual potential. This limitation can lead to a limited understanding of a person's capabilities and may not fully reflect their strengths and talents in other areas.
In conclusion, the most legitimate criticism of intelligence tests revolves around cultural bias and the limited scope of measuring intelligence. These concerns highlight the need for caution and consideration when interpreting intelligence test results and emphasize the importance of recognizing the diverse nature of intelligence. Intelligence tests should be used as one tool among many in assessing an individual's abilities, taking into account cultural factors and considering a broader range of intellectual capacities.
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Demand for motor vehicles exhibits a positive income elasticity.
This means that there are no close substitutes for motor vehicles
Group of answer choices!
a. True b. False
b.false, as the presence of substitutes for motor vehicles is not determined by income elasticity but rather by the availability and desirability of alternative modes of transportation.
b. false
the statement that demand for motor vehicles exhibits a positive income elasticity is not accurate. in reality, the demand for motor vehicles typically exhibits a positive income elasticity, indicating that it is a normal good. however, this does not imply that there are no close substitutes for motor vehicles.
positive income elasticity means that as income increases, the demand for motor vehicles also increases. this suggests that motor vehicles are considered a desirable and relatively high-priced product that people tend to purchase more of as their income rises.
however, the presence of substitutes is independent of income elasticity. close substitutes for motor vehicles can exist regardless of whether the demand for motor vehicles is elastic or inelastic with respect to income. in fact, there are various substitutes for motor vehicles, such as public transportation, bicycles, car-sharing services, and other alternative modes of transportation.
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What is the nationality of Airbus? What is the most daring
venture Airbus is currently undertaking? provide some detail. What
are Boeing's responses to Airbus's global venture?
Airbus is a multinational company with its headquarters located in Toulouse, France.
As for the most daring venture Airbus is currently undertaking, it is the development of the Airbus A321XLR (Extra Long Range). This aircraft aims to provide airlines with enhanced range capabilities, allowing them to operate more direct long-haul routes and reach new markets. The A321XLR is designed to be fuel-efficient and versatile, catering to both low-cost carriers and traditional airlines.
Boeing, as a competitor to Airbus, has responded to Airbus's global venture by developing its own long-range aircraft called the Boeing 777X. The 777X series incorporates technological advancements and features to compete with the A321XLR. Boeing's response focuses on offering improved efficiency, range, and passenger comfort, aiming to capture market share in the long-haul segment. Additionally, Boeing continues to enhance its existing aircraft models to remain competitive in the global aviation market.
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Describe the implications of supply chain risk on supply chain
cost.
Supply chain risk can have significant implications on supply chain costs. It can lead to increased expenses, disruptions in operations, and inefficiencies in the supply chain, ultimately impacting the overall cost structure of the supply chain.
Supply chain risk refers to the potential disruptions, uncertainties, and vulnerabilities that can affect the flow of goods, services, and information within a supply chain. These risks can arise from various factors such as natural disasters, geopolitical events, supplier failures, quality issues, transportation delays, and demand fluctuations.
The implications of supply chain risk on supply chain costs are multifaceted. Firstly, supply chain disruptions can lead to increased costs due to production delays, stockouts, and the need for emergency measures to mitigate the impact of the disruption. This can result in higher inventory holding costs, expedited shipping expenses, and increased costs associated with finding alternative suppliers or logistics routes.
Secondly, supply chain risk can lead to inefficiencies in the supply chain, resulting in higher operating costs. For example, if there is a lack of visibility and coordination among supply chain partners, it can lead to inventory imbalances, excess or obsolete inventory, and increased handling and storage costs.
Furthermore, supply chain risk can also impact the quality and reliability of products or services, leading to customer dissatisfaction, product recalls, and additional costs associated with quality control measures and customer support.
To mitigate the implications of supply chain risk on supply chain costs, companies need to implement robust risk management strategies. This includes identifying and assessing potential risks, developing contingency plans, diversifying suppliers and logistics networks, improving supply chain visibility and collaboration, and investing in technologies that enable better risk monitoring and mitigation. By proactively managing supply chain risks, companies can minimize disruptions, optimize costs, and maintain a competitive advantage in the marketplace.
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