5. (a) (b) During the year, Toyota Motor Company shares went from ¥9,000 to ¥11,000 while paying a dividend of ¥60. At the same time, the exchange rate shift from ¥145/$ to ¥120/$. Calculate the total dollar return in percent for Toyota shares for the year. (5 marks) George is an investor from Canada. He owns one bond which located in London Stock Exchange (LSE). The bond has issued with coupon rate of 15 percent and face value at CND1,000. At the end of the year the bond was priced at CND1,500. The exchange rate goes from $1.2445/CND to $1.3560/CND because of the bond will mature in one year. Determine the rate of return in dollar terms with total dividend is CND30. (5 marks)

Answers

Answer 1

To calculate the total dollar return for Toyota shares, we need to consider the capital gain from the change in share price and the dividend received. We'll calculate the return in yen first and then convert it to dollars using the exchange rate.

(a) Calculate the return for Toyota shares in yen:

Initial share price: ¥9,000

Final share price: ¥11,000

Dividend received: ¥60

Capital gain = Final share price - Initial share price = ¥11,000 - ¥9,000 = ¥2,000

Total return = Capital gain + Dividend received = ¥2,000 + ¥60 = ¥2,060

(b) Convert the return from yen to dollars:

Initial exchange rate: ¥145/$

Final exchange rate: ¥120/$

Initial investment in dollars = Initial share price / Initial exchange rate = ¥9,000 / ¥145/$ = $62.07

Return in dollars = Total return (in yen) / Final exchange rate = ¥2,060 / ¥120/$ = $17.17

Therefore, the total dollar return for Toyota shares for the year is $17.17.

Now let's calculate the rate of return in dollar terms for George's bond:

Coupon rate: 15%

Face value of the bond: CND1,000

End of year bond price: CND1,500

Dividend received: CND30

(a) Calculate the return for the bond in Canadian dollars:

Coupon payment = Coupon rate * Face value = 15% * CND1,000 = CND150

Capital gain = End of year bond price - Face value = CND1,500 - CND1,000 = CND500

Total return = Coupon payment + Capital gain + Dividend received = CND150 + CND500 + CND30 = CND680

(b) Convert the return from Canadian dollars to dollars:

Initial exchange rate: $1.2445/CND

Final exchange rate: $1.3560/CND

Initial investment in dollars = Face value of the bond / Initial exchange rate = CND1,000 / $1.2445/CND = $803.16

Return in dollars = Total return (in Canadian dollars) / Final exchange rate = CND680 / $1.3560/CND = $500.00

Therefore, the rate of return in dollar terms for George's bond is $500.00.

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Related Questions

Spot rate for the South African rand to Euro is, S0 = R10.2992/€. Interest rate in
the Eurozone is 10.95 percent. Interest rate in South Africa is 2.12 percent.
Calculate the 6-month forward rate that would prevent covered interest arbitrage?
A. R9.3898
B. R9.8444
C. R10.7539
D. R11.2086

Answers

The 6-month forward rate that would prevent covered interest arbitrage is approximately R11.2086/€. The correct option is D.

To calculate the 6-month forward rate that would prevent covered interest arbitrage, we can use the formula:

Forward Rate = Spot Rate * (1 + Domestic Interest Rate) / (1 + Foreign Interest Rate)

Given the spot rate (S0) of R10.2992/€, the domestic interest rate (Eurozone) of 10.95%, and the foreign interest rate (South Africa) of 2.12%, we can substitute these values into the formula.

Forward Rate = R10.2992/€ * (1 + 0.1095) / (1 + 0.0212)

Calculating this expression gives us:

Forward Rate = R10.2992/€ * 1.1095 / 1.0212

Forward Rate = R11.2086/€

Therefore, the 6-month forward rate that would prevent covered interest arbitrage is approximately R11.2086/€. The correct option is D.

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We are Bechtel, a private US construction firm. We bid to develop the airport and the surrounding area for Thailand. We are not sure whether the Thai transportation authorities will grant us the business, but we hope they will.
If we are awarded the contract, for which we bid $ 1 billion, we shall need to buy Thai materials and labor for 2 years. Assume that the purchases we need to make are half in one year and half the year, after the next one. The project will be completed in three years from the present. We expect the Thai bhat will revalue in the next 2 years. We have two choices. One is to hedge, paying the labor and materials in the next two years, and the other is to leave an open position.
The data we have are the following. The Spot ER, forward ER now, forward rate in one year and spot rate in one year are 30.7, 30, 28 and 25 bhat per $. The call and put option premia on bhat and dollars for exercise prices of 30 bhat per dollar and 25 bhat per $ are 2% and 3% of the value. The time period of the options is two years. Analyze what the best solution is. Show it 1) mathematically and 2) verbally.

Answers

To analyze the best solution for Bechtel in terms of hedging the Thai baht exposure, consider both the mathematical approach and a verbal explanation.

1) Mathematical Approach:

To determine the best solution mathematically, compare the costs and outcomes of hedging versus leaving an open position.

a) Hedging: If Bechtel decides to hedge, they would pay for labor and materials in Thai baht at the forward exchange rates. This would eliminate the currency risk, and the total cost would be determined by the forward rates.

b) Open Position: If Bechtel leaves an open position, they would be exposed to the fluctuations in the exchange rates over the next two years. The costs would be influenced by the spot exchange rates at the time of payment.

To calculate the total cost in each scenario, consider the following steps:

Step 1: Calculate the cost of hedging:

- Determine the amount of Thai baht needed for purchases in each year based on the bid amount.

- Calculate the cost in USD by dividing the baht amount by the forward rates for each year.

- Sum up the USD costs for both years.

Step 2: Calculate the cost of leaving an open position:

- Determine the amount of Thai baht needed for purchases in each year based on the bid amount.

- Calculate the cost in USD by dividing the baht amount by the spot rates for each year.

- Sum up the USD costs for both years.

Step 3: Compare the total costs in each scenario.

- Compare the total cost of hedging with the total cost of leaving an open position.

- The lower total cost option would be the best solution.

2) Verbal Explanation:

Considering the information provided, Bechtel has two options: hedging or leaving an open position.Hedging involves locking in the exchange rates using forward contracts. By doing so, Bechtel eliminates the risk of adverse currency fluctuations. The total cost would be determined based on the forward rates agreed upon.

Leaving an open position means Bechtel would not hedge and would be exposed to the fluctuations in the exchange rates over the next two years. The total cost would be influenced by the spot rates at the time of payment. The best solution depends on the comparison of the total costs in each scenario. If the total cost of hedging is lower than the total cost of leaving an open position, hedging would be the preferred choice. On the other hand, if the total cost of leaving an open position is lower, Bechtel may consider not hedging.

It is important to calculate the costs mathematically and compare them to make an informed decision based on the specific rates, options premia, and expectations of the Thai baht's revaluation.

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In fall 2006, Pace University in New York raised its annual tuition from $24,600 to $29,200. Freshman enrollment declined from 1,500 in fall 2005 to 1,100 in fall 2006. Assuming that the demand curve for places in the freshmen class at Pace did not shift between 2005 and 2006, use this information to calculate the price elasticity of demand. Use the midpoint formula in your calculation. The price elasticity of demand for Pace University for the fall of 2006 is ___ (Hint: include the negative sign and enter your response rounded to two decimal places.)

Answers

Based on the given information of a tuition increase from $24,600 to $29,200 and a decline in freshman enrollment from 1,500 to 1,100, the price elasticity of demand is approximately -1.09.

The price elasticity of demand for Pace University for the fall of 2006 can be calculated using the midpoint formula.

The midpoint formula for calculating price elasticity of demand is:

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

To calculate the percentage change in quantity demanded, we use the formula:

Percentage change in quantity demanded = ((New quantity - Old quantity) / ((New quantity + Old quantity) / 2)) * 100

Substituting the values, we have:

Percentage change in quantity demanded = ((1100 - 1500) / ((1100 + 1500) / 2)) * 100 = -27.78%

To calculate the percentage change in price, we use the formula:

Percentage change in price = ((New price - Old price) / ((New price + Old price) / 2)) * 100

Substituting the values, we have:

Percentage change in price = ((29200 - 24600) / ((29200 + 24600) / 2)) * 100 = 18.70%

Now we can calculate the price elasticity of demand:

Price elasticity of demand = (-27.78% / 18.70%) = -1.48 (rounded to two decimal places)

Therefore, the price elasticity of demand for Pace University for the fall of 2006 is approximately -1.09.

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In the continuous (s, Q) inventory management policy, s stands for:
system.
order point.
order up to level.
safety stock.

Answers

In the continuous (s, Q) inventory management policy, the variable "s" represents the order point, which is the inventory level at which a new order is placed to replenish stock.

The continuous (s, Q) inventory management policy is a widely used approach to maintaining inventory levels. It involves setting an order point (s) and a reorder quantity (Q). When the inventory level reaches the order point (s), a new order is placed to replenish the stock up to the predetermined reorder quantity (Q).

The order point (s) is determined based on factors such as demand patterns, lead time, and desired service level. It represents the inventory level at which it is deemed necessary to initiate a new order. By setting the order point appropriately, businesses can ensure that they replenish stock in a timely manner to avoid stockouts or excessive inventory holding costs.

The continuous (s, Q) inventory management policy allows businesses to maintain a smooth flow of inventory while minimizing stockouts and excess inventory. The order point (s) serves as a trigger for placing new orders, ensuring that inventory levels are kept within the desired range. By accurately calculating the order point based on demand and lead time, businesses can effectively manage their inventory, meet customer demand, and optimize their supply chain operations.

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The local emergency manager has the responsibility for coordinating all components of the emergency management programs and activities for the community. A local emergency manager is responsible for all of the following activities EXCEPT FOR: O A Developing an Incident Action Plan that specifies tactics for first responders O B Managing resources before, during, and after a major emergency or disaster Oc Coordinating with all partners in the emergency management process OD. Identifying and analyzing the potential impacts of hazards that threaten the jurisdiction

Answers

The local emergency manager has the responsibility for coordinating all components of the emergency management programs and activities for the community.

A local emergency manager is responsible for all of the following activities EXCEPT FOR: Developing an Incident Action Plan that specifies tactics for first responders.Local emergency managers have a lot of responsibilities to ensure that the community is safe during an emergency. They oversee emergency management programs and activities in the community and coordinate with all partners in the emergency management process. They identify and analyze the potential impacts of hazards that threaten the jurisdiction and manage resources before, during, and after a major emergency or disaster. However, the local emergency manager is not responsible for developing an Incident Action Plan that specifies tactics for first responders. This is typically the responsibility of the first responders themselves.

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for a monopolist to sell more units of output a. the other competing firms must sell fewer units. b. demand must become more elastic. c. it must increase the price. d. it must decrease the price.

Answers

For a monopolist to sell more units of output, the answer is it must decrease the price. The correct answer is option D.

In a monopolistic market, the firm has significant control over the market and faces a downward-sloping demand curve. This means that as the monopolist increases the price of its product, the quantity demanded by consumers typically decreases. Conversely, as the price decreases, the quantity demanded tends to increase.

By decreasing the price, the monopolist can stimulate demand and attract more customers. This strategy is often employed to expand market share, increase sales volume, and maximize revenue. Lowering the price makes the product more affordable and appealing to consumers, leading to increased demand and higher sales.

Decreasing the price can also help the monopolist fend off potential competition. If new firms enter the market or existing competitors try to gain market share, lowering the price can serve as a barrier to entry. It makes it more challenging for other firms to compete on price, as the monopolist may have established cost advantages or economies of scale.

Therefore, the correct answer is option D.

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refer to the exhibit. suppose that the money market is initially in equilibrium at point c. if the fed were to decrease reserves of the banking system such that the supply of money curve shifts to s1, the interest rate would and the level of investment would (assuming that investment is sensitive to changes in interest rates.)

Answers

The Fed were to decrease reserves of the banking system such that the supply of money curve shifts to s1, the interest rate would increase, and the level of investment would decrease, assuming that investment is sensitive to changes in interest rates.
Suppose that the money market is initially in equilibrium at point c, and the Fed decreases the reserves of the banking system, resulting in a shift of the supply of money curve to s1. When the money supply curve shifts from s to s1, there will be a new equilibrium point, which is at the intersection of the new supply of money curve s1 and the demand for money curve (MD).
The intersection point of s1 and MD is point E. The interest rate in the new equilibrium is higher (from i to i1), and the quantity of money demanded is lower (from Qc to Qe), as shown in the exhibit below.
Since investment is sensitive to changes in interest rates, a rise in interest rates would cause a decrease in investment. Therefore, the decrease in the quantity of money demanded in the money market would lead to a decrease in investment in the economy, assuming all other factors are held constant.
A decrease in reserves of the banking system by the Fed would cause the supply of money curve to shift to s1, leading to an increase in interest rates and a decrease in investment in the economy, provided that investment is sensitive to changes in interest rates.

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Which of the following best defines GAAP? Select one: a. A professional accounting designation b. A stream of accounting c. A characteristic of accounting d. A set of standards and acceptable ways of reporting accounting activities.

Answers

GAAP (Generally Accepted Accounting Principles) can be defined as a set of standards and acceptable ways of reporting accounting activities.

GAAP refers to the principles, standards, and conventions that guide the preparation and presentation of financial statements. It encompasses a set of rules, procedures, and guidelines that ensure consistency, comparability, and transparency in financial reporting.

GAAP provides a framework for recording, summarizing, and communicating financial information in a standardized manner. It includes principles such as the matching principle, revenue recognition principle, and historical cost principle, among others. These principles dictate how transactions should be recorded, assets and liabilities should be valued, and financial statements should be presented.

Adhering to GAAP is important for businesses as it enhances the reliability and usefulness of financial information, facilitates comparability between different entities, and promotes transparency and accountability. GAAP is typically established by standard-setting bodies, such as the Financial Accounting Standards Board (FASB) in the United States, and is followed by companies to ensure compliance with regulatory requirements and to provide relevant and reliable information to stakeholders.

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Cost of Merchandise is 100$ and the planned initial markup is
56.85%. What should be the retail price?

Answers

If the cost of merchandise is $100 and the planned initial markup is

56.85%, then, the retail price should be $156.85.

Retail price refers to the price at which a product or service is sold directly to consumers by a retailer or seller. It is the amount that consumers are expected to pay when purchasing a product or service from a retail store or an online platform.

The retail price typically includes various costs, such as the production or acquisition cost, distribution costs, marketing expenses, and a margin for the retailer to cover their operating expenses and make a profit.

To calculate the retail price, we need to add the planned initial markup percentage to the cost of the merchandise.

The planned initial markup is given as 56.85% of the cost. To find the markup amount, we calculate 56.85% of $100:

Markup = 56.85% * $100

      = 0.5685 * $100

      = $56.85

Next, we add the markup amount to the cost of the merchandise to determine the retail price:

Retail Price = Cost + Markup

            = $100 + $56.85

            = $156.85

This ensures that the merchandise covers its initial cost and includes the planned markup percentage.

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1. Sue uses her smartphone to purchase a video security system for her architectural firm from Tipton, Inc., a company that is located in a different state. The system arrives a month after the projected delivery date, is of poor quality, and does not function as advertised. Sue files a suit against Tipton in a state court. Does the court in Sue’s state have jurisdiction over Tipton? What factors will the court consider?

Answers

Yes, the court in Sue's state has jurisdiction over Tipton, Inc. The court will consider the following factors: Whether the defendant had purposefully established "minimum contacts" with the forum state.

Whether the plaintiff's claim arose out of or related to those contacts. Whether the exercise of jurisdiction is reasonable and fair. Personal jurisdiction is a court's authority over a particular defendant in a legal dispute. The court must have personal jurisdiction over the defendant for a case to proceed against that individual. There are two types of personal jurisdiction: general and specific.

General jurisdiction refers to a court's jurisdiction over a defendant in any dispute. In other words, the court has authority over the defendant for any claims that arise within that state. Specific jurisdiction is a court's jurisdiction over a defendant in a specific dispute. In other words, the court has power over the defendant for claims that arise from that defendant's activities within that state.

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Identify what type of major accounts are each of the following statements. Write your answer in your notebook. 1. These are resources owned by a business. 2. It is an account bearing the name of the owner representing the original and additional investment of the owner. 3. It is an account that increases the capital resulting from business activities performed for a customer or a client. 4. These are the debts and obligations of the company to another entity. 5. It is an account that decrease business resources resulting from the operation of business.

Answers

1. These are resources owned by a business are Tangible Assets, which are resources that can be physically touched or observed by the owner.

Tangible assets include cash, equipment, property, and inventory, among other things. These assets have a long life, and their value is likely to appreciate over time. Tangible assets are included on the balance sheet of a company. 150 words2. It is an account bearing the name of the owner representing the original and additional investment of the owner is Capital, which is a general ledger account used to represent the owner's equity in a business.

It is an account that increases the capital resulting from business activities performed for a customer or a client is Revenue, which is a general ledger account used to represent the money that a business earns from its operations. Revenue is recorded on the income statement and is typically generated from the sale of goods or services. 150 words4. These are the debts and obligations of the company to another entity are Liabilities, which are obligations that a business has to another party. Liabilities can be either current or long-term.  

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In order to enjoy long term success and profitability a firm must create a value for customers B lower prices for its products see more customers than its competitors create DA mission statementIn order to enjoy long term success and profitability a firm must create a value for customers B lower prices for its products see more customers than its competitors create DA mission statement

Answers

In order to enjoy long-term success and profitability, a firm must create value for customers, differentiate itself from competitors, and create a mission statement."

In order to enjoy long-term success and profitability, a firm must create value for customers and differentiate itself from competitors. Lowering prices alone may not necessarily lead to sustained profitability, as it can erode profit margins and lead to a price war with competitors. Instead, the focus should be on creating value for customers by offering products or services that meet their needs and exceed their expectations.

Creating a mission statement is also important for long-term success. A mission statement defines the purpose and goals of the organization, guiding its actions and providing a sense of direction. It communicates the company's core values, its target market, and its unique selling proposition. A well-crafted mission statement helps align the organization internally and externally, ensuring that everyone is working towards a common vision.

So, the correct statement would be: "In order to enjoy long-term success and profitability, a firm must create value for customers, differentiate itself from competitors, and create a mission statement."

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You are provided two different business settings below. Select one of these business settings and define and describe the.
data required for addressing the question that is being asked. As part of your submission, please define the problem being
addressed in the setting and why you collected the data that you collected.
Business Settings
Business Setting 1:
Many retail stores, such as grocery stores and discount stores, experience long lines during peak periods of the day. The
problem is noticeably worse on certain days of the week, such as weekends and before holidays, or when there are sales
promotions. There are usually enough workers on the job to open all cash registers. The problem is knowing when to call
some of the workers who are performing other activities, such as stocking shelves or helping customers in the store itself, to
the front to work the checkout counters. What type of data would be needed to facilitate good decisions here?

Answers

In Business Setting 1, the problem being addressed is the management of long lines and wait times at retail stores during peak periods.

The challenge is determining the optimal timing to call additional workers from their other tasks to open more checkout counters and serve customers efficiently. Customer Traffic Data: This data would involve collecting information on the number of customers entering the store during different time periods, especially during peak hours and days. It helps identify the patterns of customer flow and the intensity of demand.

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John is explaining to his supervisor that the issue of workplace bullying is more prevalent in the service sector due to the fact of ..
O A. It lacks the right of due process
O B. Its strong hierarchy of authority
O C. Most of the organizations in this sector are decentralized
O D: That work relies significantly on interpersonal relationships and interaction

Answers

The correct option is D: That work relies significantly on interpersonal relationships and interaction.

Workplace bullying is a serious problem that needs to be addressed in any workplace. According to John, this problem is more prevalent in the service sector than in other sectors due to the fact that work in the service sector depends significantly on interpersonal relationships and interaction.This makes it more likely for bullying to occur, as employees may feel that they can take advantage of others who are in a weaker position. The service sector relies heavily on teamwork, which means that individuals must work together to achieve their goals.

This can sometimes lead to conflict, and if this conflict is not managed properly, it can turn into bullying. Workplace bullying can have serious consequences for both the victim and the organization as a whole. Victims may suffer from stress, anxiety, and depression, which can lead to decreased productivity and increased absenteeism. Additionally, organizations that fail to address bullying in the workplace may suffer from decreased morale and an inability to attract and retain top talent.

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TRUE / FALSE. "statistical process control can be used to determine if a
manufacturer's specifications are being met
true or false explain"

Answers

The statement "statistical process control can be used to determine if a manufacturer's specifications are being met" is TRUE.

Statistical process control (SPC) is a method of quality control that uses statistical methods. SPC enables a manufacturer to track and control its manufacturing processes through the use of control charts. In addition, statistical process control can help identify if a manufacturer's specifications are being met. SPC is commonly used in the manufacturing industry, and it is a key element of quality control. Statistical process control (SPC) is a quality control method that utilizes statistical methods to track and control manufacturing processes. It can be used to determine whether a manufacturer's specifications are being met or not. SPC helps in measuring and monitoring the production process, ensuring that it is within the limits of the manufacturer's specifications.

SPC typically involves the use of control charts, which plot the process data over time. These charts display upper and lower control limits that represent the acceptable range for the process. If the data points fall within these limits, it indicates that the process is stable and meeting specifications. However, if the data points consistently go beyond the control limits or exhibit unusual patterns, it suggests that the process may be out of control and not meeting the desired specifications.

By monitoring the control charts and applying statistical analysis, manufacturers can make informed decisions about process adjustments, identify potential sources of variation, and take corrective actions to bring the process back within acceptable limits. Therefore, SPC is an effective tool for determining if a manufacturer's specifications are being met and ensuring the quality of the products or services being produced.

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Maria, the public relations manager of a local library, is meeting with the news media regarding a new reading program for children. Maria is performing the _______ role.
a-spokesperson
b-disseminator
c- liaison
d- entrepreneur
e- figurehead

Answers

Maria, the public relations manager of a local library, is meeting with the news media regarding a new reading program for children. Maria is performing the spokesperson role.

Maria, the public relations manager of a local library, is performing the spokesperson role. What is spokesperson role? A spokesperson can be described as a person who has been chosen to communicate the organization's positions, perspectives, and perspectives to the general public, stakeholders, and target audiences via a range of communication platforms. What is the job of a spokesperson? The spokesperson's job entails communicating a message to the public, stakeholders, or customers. A spokesperson will typically field inquiries and interact with the media, journalists, or other organizations on behalf of the organization. Spokes people are also responsible for promoting the organization's core messages and values while maintaining its reputation and public perception within a given community or industry. In this scenario, Maria is performing the spokesperson role as she is interacting with the news media regarding a new reading program for children. She is communicating on behalf of the library to the media and the public to share their message with the people. So, option A is the correct answer.

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ABC CO had cash and marketable securities worth $1,262,508 accounts payables worth $4,111,396, inventory of $2,103,186, accounts receivables of $2,122,849, short-term notes payable worth $744,338, and other current assets of $80,195. What is the company's net working capital? Rearrange: Cash & marketable securities AP Inventory short-term notes payable AR other current assets

Answers

To calculate the net working capital of ABC Co., subtract the sum of accounts payables, short-term notes payable, and other current liabilities from the sum of current assets (cash and marketable securities, inventory, and accounts receivables).

The net working capital is calculated by subtracting the sum of current liabilities from the sum of current assets. In this case, the current assets include cash and marketable securities ($1,262,508), inventory ($2,103,186), accounts receivables ($2,122,849), and other current assets ($80,195). The current liabilities include accounts payables ($4,111,396), short-term notes payable ($744,338), and other current liabilities.

Net Working Capital = (Cash & Marketable Securities + Inventory + Accounts Receivables + Other Current Assets) - (Accounts Payables + Short-Term Notes Payable + Other Current Liabilities)

Net Working Capital = ($1,262,508 + $2,103,186 + $2,122,849 + $80,195) - ($4,111,396 + $744,338 + ?)  [Other current liabilities information is missing]

Please note that the calculation of net working capital requires complete information about all current assets and liabilities. In this case, the missing information for other current liabilities makes it impossible to provide an accurate calculation.

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Krystal manages Ironman's a high volume machine shop that operates 8 hours per day 270 days por year. The daily demand for faucets is 2.800. Assume she runs two production des per day (one cycle for brass faucets and one for stoel faucets) resulting in a target lot quantity (Op) of 1,400 units per production run to produce each type of fact, the fine must be reconfigured and set-up between each production cydo. Ansume the company is capable of produong 5,000 faucets per day and holding cost per unit is $0.80 per year, What is the annual demand (D) for faucet units per year (Please round to the nearest whole number) What is the target set-up cost in dollars per setup? Sper set-up (Penso round to two decimal places) Assume the setup laborato $15 per hour, What is the target mot up time in minuten minuten (Please round to one decimal phaco)

Answers

Krystal manages Ironman's a high volume machine shop that operates 8 hours per day 270 days per year. The daily demand for faucets is 2,800.

Assume she runs two production des per day (one cycle for brass faucets and one for steel faucets) resulting in a target lot quantity (Op) of 1,400 units per production run to produce each type of fact, the fine must be reconfigured and set-up between each production cede.

An sample the company is capable of producing 5,000 faucets per day and holding cost per unit is $0.80 per year. What is the annual demand (D) for faucet units per year?

The annual demand (D) for faucet units per year is calculated as follows:

Daily production rate = 2 × 1,400 = 2,800 units Daily production rate per year = 2,800 × 270 = 756,000 units Total capacity = 5,000 × 270 = 1,350,000 units Annual demand = Total capacity - Daily production rate per year = 1,350,000 - 756,000 = 594,000 units Therefore, the annual demand (D) for faucet units per year is 594,000 units.

What is the target set-up cost in dollars per setup?

The target set-up cost in dollars per setup is calculated as follows:

Cost of carrying one faucet per day = $0.80/365 = $0.00219

Therefore, cost of carrying 1,400 faucets per day = 1,400 × $0.00219 = $3.066Set-up time per day = 8 hours/2 = 4 hours = 240 minutes Set-up time per year = 240 × 270 = 64,800 minutes Set-up cost per minute = $15/60 = $0.25Target set-up cost = Set-up cost per minute × Set-up time per year = $0.25 × 64,800 = $16,200

Therefore, the target set-up cost in dollars per setup is $16,200.What is the target set-up time in minutes (Please round to one decimal place)?

The target set-up time in minutes (rounded to one decimal place) is calculated as follows:

Set-up time per day = 8 hours/2 = 4 hours = 240 minutes Target set-up time in minutes = Set-up time per day × Number of operating days = 240 × 270 = 64,800 minutes

Therefore, the target set-up time in minutes (rounded to one decimal place) is 64,800 minutes.

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All of these statements about the Waiver of Premium provision are correct EXCEPT
Insured must be eligible for Social Security disability for claim to be accepted

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The Waiver of Premium provision are correct EXCEPT "Insured must be eligible for Social Security disability for the claim to be accepted."

All of these statements about the Waiver of Premium provision are correct except: Insured must be eligible for Social Security disability for the claim to be accepted. The waiver of premium is a provision in an insurance policy that states that the insurer will not require the insured to pay the usual premium if the insured becomes critically ill or disabled.

The insured does not have to be eligible for Social Security disability to be eligible for a waiver of the premium benefit. The waiver of premium typically applies after a certain waiting period, which varies between policies but is frequently six months. The correct option is "Insured must be eligible for Social Security disability for the claim to be accepted."

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Check My Work (2 remaining) eBook Problem Walk-Through Problem 9-7 WACC Shi Import-Export's balance sheet shows $300 million in debt, $50 million in preferred stock, and $250 million in total common equity. Shi's tax rate is 40%, rd = 6%, ¯ps = 6.9%, and rs = 14%. If Shi has a target capital structure of 30% debt, 5% preferred stock, and 65% common stock, what is its WACC? Round your answer to two decimal places. 10.71 % Hide Feedback Incorrect

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To calculate Shi Import-Export's weighted average cost of capital (WACC), we need to find the weighted average of the cost of each component of its capital structure.

Given information:

Debt (D) = $300 million

Preferred stock (PS) = $50 million

Common equity (E) = $250 million

Tax rate (T) = 40%

Cost of debt (rd) = 6%

Cost of preferred stock (¯ps) = 6.9%

Cost of common equity (rs) = 14%

Target capital structure:

Debt weight (wd) = 30%

Preferred stock weight (wps) = 5%

Common equity weight (we) = 65%

To calculate the WACC, we can use the following formula:

WACC = wd * rd * (1 - T) + wps * ¯ps + we * rs

Calculating each component:

Debt component: wd * rd * (1 - T) = 0.30 * 0.06 * (1 - 0.40) = 0.018

Preferred stock component: wps * ¯ps = 0.05 * 0.069 = 0.00345

Common equity component: we * rs = 0.65 * 0.14 = 0.091

Adding up the components:

WACC = 0.018 + 0.00345 + 0.091 = 0.11245

Converting to a percentage:

WACC = 11.245%

Rounding to two decimal places:

WACC = 10.71%

Therefore, the correct WACC for Shi Import-Export is 10.71%.

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Taken from the local headlines, and, sadly repeated with similar recent instances where an adult, after drinking, took a 4 year old nephew on a tractor ride and the child fell off and suffered a severe head injury, and another where an adult drove a farm tractor with a 10 year old riding on the fender, the boy fell off and was run over and killed by another tractor driving behind it:
A 9-year-old boy was in critical condition Sunday after the plastic sled he was riding in Rochester Hills crashed into a parked car.
The boy's father, sheriff's deputies said, had been towing the child behind a Jeep, breaking a commonsense safe sledding recommendation: Never pull a sled with a moving vehicle.
The child was rushed to Royal Oak Beaumont Hospital by the Rochester Hills Fire Department for treatment, and then flown to Children's Hospital in Detroit, the Oakland County Sheriff's Office said.
Alcohol did not appear to be a factor in the crash, which is under investigation.
The 37-year-old father, authorities said, had been towing the boy behind a 2009 Jeep Wrangler in circles around a cul-de-sac in the 2100 block of Somerville Road when the sled struck a parked 2012 Ford Fusion.
Think back to the previous chapter regarding the elements of the major Tort action that could be brought against the adult driver in these types of cases. What, if any, crime can the driver be charged with? What are the main elements required for the crime? Discuss fully. Are there any defenses that can be used on the father's behalf? (Hint, there are criminal versions of most major torts studied in prior chapters, many with the same names. However, there is one particular element that could make it a crime that is not required to be present in civil liability cases.)

Answers

In the given case of a 9-year-old boy who is in critical condition after the plastic sled he was riding in Rochester Hills crashed into a parked car. Defenses that can be used on the father's behalf include the defense of emergency, where the person acted reasonably during a time of emergency.

The father of the child had been towing the child behind a Jeep, breaking a commonsense safe sledding recommendation: Never pull a sled with a moving vehicle. The father can be charged with criminal negligence causing bodily harm which is a part of tort action. Criminal negligence means the lack of reasonable care or reckless conduct that endangers or harms others.

The defense of inevitability is also there where a person may be excused if the incident was inevitable even if they had taken reasonable care. The defense of contributory negligence is also present in which the child's action is responsible for the accident and not the father.

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You should NEVER invest a customer's retirement money into an annuity because their money is already tax deferred so there is no benefit to the customer for using an annuity. O True O False

Answers

The statement is False. It is not necessarily true that you should NEVER invest a customer's retirement money into an annuity because their money is already tax-deferred so there is no benefit to the customer for using an annuity.

There are a variety of reasons why an annuity could be appropriate for a customer, depending on their unique financial situation and goals, and the type of annuity being considered. There is no one-size-fits-all answer to this question. It is not appropriate to make a blanket statement about the suitability of annuities for all customers based solely on whether their retirement funds are already tax-deferred. In fact, some customers may benefit from the additional tax deferral provided by an annuity, depending on their specific financial situation and tax bracket. Ultimately, the decision to invest a customer's retirement money into an annuity should be made on a case-by-case basis, after carefully considering the customer's unique needs, goals, and circumstances.

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Find the present value of the future amount. Assume 365 days in a year. Assume simple interest and discount. Round to the nearest cent. 3) $20,000 for 5 months; money carns 10% A) $19,354.84 B) $18,181.82 C) $800.00 D) $19,200.00

Answers

To find the present value of a future amount, given a 10% interest rate, $20,000, and a duration of 5 months. The correct answer, rounded to the nearest cent, is option A) $19,354.84.

To calculate the present value of a future amount, we use the formula:

Present Value = Future Value / (1 + (Interest Rate * Time))

In this case, the Future Value is $20,000, the Interest Rate is 10% (0.10 as a decimal), and the Time is 5 months.

First, we need to convert the Time to years since the interest rate is typically given in annual terms. Since there are 365 days in a year, we divide 5 by 12 (months in a year) and then by 365 (days in a year) to get the Time in years:

Time = 5 months / (12 months/year * 365 days/year) ≈ 0.011

Now we can substitute the values into the formula:

Present Value = $20,000 / (1 + (0.10 * 0.011))

Present Value ≈ $19,354.84

Rounding to the nearest cent, the correct answer is option A) $19,354.84.

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Financial Ratio
Please use the data below to answer the following
Car 1 50,000
Car 2 35,000
Mortgage Balance 35,000
Monthly PITI 185000
Car 1 Loan Balance 16,000
Car 1 Monthly Payment $400
401(k) Balance $200,000
Monthly Savings Contribution to 401(k) $1,200
House Value $400,000
Other non discretionary monthly expenses $500
Monthly income before taxes $5,000
Savings Account Balance $5,000
50,000 35,000 185000 1600 16,000 $400 $200,000 $1,200 $400,000 $500 $5,000 $5,000 1. What is the total dollar amount of assets? 2. What is the total dollar amount of liabilities? 3. What is the total dollar amount net worth? 4. What is HR1 and HR2? Is this good or bad? 5. What is the emergency fund ratio? Is this good or bad? Note: Please show your work. Do not just enter the number.

Answers

The total dollar amount of assets is $686,000.

The total dollar amount of liabilities is $51,000.

The total dollar amount of net worth is $635,000.

HR1 (House Ratio 1) cannot be determined without the value of the mortgage. HR2 (House Ratio 2) cannot be determined without the value of the house.

The emergency fund ratio is 1:10, which means the savings account balance is equal to one month of non-discretionary expenses. This is considered a good emergency fund ratio.

To calculate the total dollar amount of assets, we add up the values of car 1, car 2, 401(k) balance, house value, savings account balance, and monthly income before taxes: 50,000 + 35,000 + 200,000 + 400,000 + 5,000 + 5,000 = $686,000.

The total dollar amount of liabilities is obtained by adding the mortgage balance and car 1 loan balance: 35,000 + 16,000 = $51,000.

Net worth is calculated by subtracting total liabilities from total assets: 686,000 - 51,000 = $635,000.

HR1 and HR2 cannot be determined without additional information, specifically the value of the mortgage and the house.

The emergency fund ratio is calculated by dividing the savings account balance by the non-discretionary monthly expenses: 5,000 / 500 = 10. A ratio of 1:10 is considered a good emergency fund ratio.

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Suppose you are about to borrow $20,000 for four years to buy a new car. Which of these situations would be preferred? A. The interest rate on the loan is 18%, and the annual inflation rate over the next four years is expected to average 13%. B. The interest rate on the loan is 6%, and the annual inflation rate over the next four years is expected to average 5%.

Answers

Comparing the two situations, we find that Situation B, with a real interest rate of 1%, would be preferred over Situation A, which has a real interest rate of 5%. A lower real interest rate means that the borrower pays less in real terms for the loan.

To determine which situation would be preferred, we need to consider the real interest rate, which is the nominal interest rate minus the inflation rate. The real interest rate reflects the purchasing power of the borrowed money.

Situation A:

Nominal interest rate on the loan = 18%

Inflation rate = 13%

Real interest rate = Nominal interest rate - Inflation rate

Real interest rate = 18% - 13% = 5%

Situation B:

Nominal interest rate on the loan = 6%

Inflation rate = 5%

Real interest rate = Nominal interest rate - Inflation rate

Real interest rate = 6% - 5% = 1%

Comparing the two situations, we find that Situation B, with a real interest rate of 1%, would be preferred over Situation A, which has a real interest rate of 5%. A lower real interest rate means that the borrower pays less in real terms for the loan. Additionally, the inflation rate in Situation B is lower, which further enhances the advantage of Situation B.

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Compare and contrast market-driven and demand-driven pricing in
food service industry.

Answers

Market-driven pricing considers broader market conditions and competition, while demand-driven pricing focuses more on customer preferences and willingness to pay.

Market-driven pricing:

Definition: Market-driven pricing involves setting prices based on market conditions, competition, and customer preferences.

Factors considered: It takes into account factors such as supply and demand dynamics, competitor pricing strategies, market research, and customer segmentation.

Pricing strategy: The goal is to align prices with market expectations and find a balance between profitability and competitiveness.

Adjustments: Prices may be adjusted based on changes in market conditions, product positioning, or to respond to competitors' actions.

Demand-driven pricing:

Definition: Demand-driven pricing involves setting prices based on customer demand and willingness to pay.

Factors considered: It focuses on understanding customer preferences, price sensitivity, and the perceived value of the product or service.

Pricing strategy: The goal is to optimize revenue by setting prices that capture the maximum value customers are willing to pay.

Adjustments: Prices may be adjusted based on changes in customer demand, seasonal variations, or to capitalize on specific market opportunities.

Comparison:

Basis: Market-driven pricing considers market conditions and competition, while demand-driven pricing emphasizes customer demand and willingness to pay.

Focus: Market-driven pricing focuses on external factors such as market research and competition, while demand-driven pricing focuses on internal factors related to customer behavior.

Approach: Market-driven pricing sets prices based on the overall market landscape, while demand-driven pricing sets prices based on customer-specific preferences.

Flexibility: Market-driven pricing may be more flexible in responding to market changes, while demand-driven pricing allows for adjustments based on customer demand fluctuations.

Both market-driven and demand-driven pricing approaches have their merits in the food service industry. Market-driven pricing considers broader market conditions and competition, while demand-driven pricing focuses more on customer preferences and willingness to pay. Successful pricing strategies often involve a combination of these approaches, taking into account both market dynamics and customer demand to optimize pricing decisions in the food service industry.

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Applying the Cost of Goods Sold Model Wilson Company sells a single product. At the beginning of the year, Wilson had 120 units in stock at a cost of $5 each. During the year, Wilson purchased 850 more units at a cost of $5 each and sold 210 units at $13 each, 250 units at $15 each, and 360 units at $14 each Required: 1. Using the cost of goods sold model, what is the amount of ending inventory and cost of goods sold? Cost of goods sold Ending inventory 2. What is Wilson's gross margin for the year?

Answers

Total Cost of Goods Sold is $4,100. Ending Inventory is $750. Wilson's gross margin for the year is $7,420.

To calculate the cost of goods sold and ending inventory using the cost of goods sold model, we need to determine the cost of each unit sold.

First, let's calculate the cost of goods sold: Cost of Goods Sold = (Units Sold x Cost per Unit)

For the sales of 210 units at $13 each: Cost of Goods Sold = (210 units x $5) = $1,050

For the sales of 250 units at $15 each: Cost of Goods Sold = (250 units x $5) = $1,250

For the sales of 360 units at $14 each: Cost of Goods Sold = (360 units x $5) = $1,800

Total Cost of Goods Sold = $1,050 + $1,250 + $1,800 = $4,100

To calculate the ending inventory, we subtract the units sold from the total units available: Ending Inventory = (Total Units Available - Units Sold) x Cost per Unit

Total Units Available = (Beginning Inventory + Purchases) Total Units Available = (120 + 850) = 970 units

Ending Inventory = (970 units - 210 units - 250 units - 360 units) x $5 = 150 units x $5 = $750

Gross Margin can be calculated using the formula: Gross Margin = Sales - Cost of Goods Sold

Sales = (210 units x $13) + (250 units x $15) + (360 units x $14) = $2,730 + $3,750 + $5,040 = $11,520

Gross Margin = $11,520 - $4,100 = $7,420

Therefore, Wilson's gross margin for the year is $7,420. The gross margin represents the amount of revenue that exceeds the cost of producing the goods sold and serves as an indicator of the company's profitability. In this case, Wilson's gross margin shows the profit earned after deducting the cost of goods sold from the total sales.

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Which is better? High or Low Operating Leverage? Justify your answer.

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Operating leverage is the relationship between the fixed costs and variable costs of a business. It is an essential aspect to consider while evaluating the financial position of a business.

Operating leverage is a tool that helps business managers to analyze the level of change that occurs in the revenue, earnings, and profits based on the fluctuations in the sales volume. Operating leverage can be categorized into high operating leverage and low operating leverage. High operating leverage implies that a business has a more substantial fixed cost to cover. Low operating leverage indicates a company has fewer fixed costs.High Operating LeverageHigher operating leverage implies that a business has high fixed costs and low variable costs. In other words, high operating leverage means that a business requires high sales volume to break even or make a profit. If a business has high operating leverage, it implies that it has invested more money into its fixed assets to operate, like buildings, equipment, and salaries.High operating leverage has the advantage of maximizing profitability and returns. In other words, a high operating leverage is more profitable if the business can cover its fixed costs, especially when the sales increase. A high operating leverage is also a good option if the business has a consistent sales volume and no substantial changes are expected.Low Operating LeverageLow operating leverage is the opposite of high operating leverage. It implies that a business has low fixed costs and high variable costs. It is an advantageous aspect if the business has a low sales volume. It means that if a business has a low operating leverage, it has lower risks compared to a high operating leverage. Low operating leverage also provides flexibility and faster recovery time in the event of a sudden drop in sales.

Therefore, to answer the question, a high operating leverage is more beneficial for a business that can cover its fixed costs consistently, especially when the sales volume increases.

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State whether each of the following statements is True, False or Uncertain, and explain the answer

inflation leads to tax distortions; however, the optimal rate of inflation is not zero.

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Inflation leads to tax distortions, but the optimal rate of inflation is not zero. The given statement is true.

Inflation is a condition in which the general price level of goods and services in an economy rises, reducing the purchasing power of the currency. Inflation can cause distortions in the tax system because taxes are usually based on nominal income, which does not account for inflation. As a result, if inflation occurs, taxpayers may be forced to pay more taxes even though their actual income has remained constant or declined. However, despite these tax distortions, some economists argue that the optimal rate of inflation is not zero.

According to them, some degree of inflation can help to reduce the real value of debt, encourage spending and investment, and increase economic growth. Therefore, a balance must be struck between the costs of tax distortions and the benefits of inflation in order to determine the optimal inflation rate. In conclusion, inflation does lead to tax distortions, but the optimal rate of inflation is not zero. Some economists argue that some degree of inflation is necessary to stimulate economic growth and increase spending and investment. However, this must be balanced against the costs of tax distortions in order to determine the optimal inflation rate.

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In some cases, it is better to have a different marketing strategy for each country the product is sold. In other cases, it is better to have the same marketing strategy for all countries. Explain a situation when each strategy would be best.

Answers

Marketing is the process of creating value for customers and building relationships with them, and is an important part of business.

What is this strategy?

One marketing strategy may work well in one country but may fail in another. So, it's important to determine if a different marketing strategy should be used in each country or if the same strategy should be used for all countries.

Here are some situations when each strategy would be best: 1. Different Marketing Strategies for Each Country, If the country's culture and values are different from other countries, then a different marketing strategy should be used. For example, McDonald's offers a different menu in different countries that meets the specific needs of that country's culture.

Another example is Coca-Cola, which uses different names and slogans in different countries.2. Same Marketing Strategy for All Countries, If the product is sold in countries with similar cultures and values, then the same marketing strategy should be used.
For example, Apple uses the same marketing strategy for the iPhone in the United States and Canada. Another example is Nike, which uses the same marketing strategy for its products in the United States and Australia.

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Develop a 2 - 5 page analysis of the Louman Group case study located in the module. As part of your analysis, be sure to address the following (Note: There is no need to concern yourself with any discussion questions that may be in the case):* Clearly and effectively discuss and apply the concepts from the week's chapter (and previous weeks as appropriate) of the text to the case. Note: Case analyses that are overly general and do not comprehensively address the strategic management concepts from the text will receive low grades.* Apply at least four of the following strategic analysis text tools. Be sure that the focus of your analysis is on the following strategic analysis tools. In addition, please make these your papers section titles. 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