A common stock is expected to pay a $5 dividend one year from today. Investors require a 15% expected rate of return on this stock. If the expected future growth of dividends is 5% per year, indefinitely, what is the price of the stock? (Don't include the dollar sign in your answer: if the answer is $10.50 per share, type in 10.50.)

Answers

Answer 1

The price of the stock is $50.

The price of a stock can be calculated using the constant growth model.

Constant growth model is a dividend discount model that assumes dividends grow at a constant rate. It's used to estimate the value of a stock or a share. It is used to calculate the intrinsic value of a company's stock, by estimating its future dividends.

The formula for calculating the price of the stock using the constant growth model is as follows:

P0 = D1 / (r - g)

Here,

P0 = Price of the stock today

D1 = Expected dividend payment one year from now

r = Expected rate of return

g = Expected future growth rate of dividend per year

To calculate the price of the stock in this scenario, we will plug in the given values:

P0 = 5 / (0.15 - 0.05)P0 = $50

Therefore, the price of the stock is $50. Answer: $50.

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Related Questions

A company produces two products. FC = Total Fixed costs = $580 VC₁= variable costs from product 1 = $920 VC₂= variable costs from product 2 = $805 TR₁= revenue from product 1 = $900 TR₂= revenues from product 2 = $900 In the short run, what should the firm do? a Produce product 2 but not 1 b Produce neither c Produce product 1 but not 2 d Produce both

Answers

In the short run, the firm should produce both products (option d). To determine the most profitable course of action, we need to compare the total costs and total revenues associated with each product.

The total cost (TC) for producing both products can be calculated by adding the fixed costs (FC) to the sum of the variable costs for each product (VC₁ + VC₂). In this case, TC = $580 + $920 + $805 = $2305. The total revenue (TR) can be calculated by summing the revenues from each product (TR₁ + TR₂). In this case, TR = $900 + $900 = $1800. Since the total cost ($2305) is higher than the total revenue ($1800), the firm is incurring a loss. However, even though the firm is not covering all costs, it is still better to produce both products rather than producing neither or only one product. By producing both products, the firm can generate some revenue to help offset the fixed costs and contribute to minimizing the overall loss.  In the short run, the firm should produce both products as it allows them to generate some revenue to cover a portion of the fixed costs, even though they are still incurring a loss. This strategy allows the firm to maximize its revenue potential and minimize the negative impact on its financial position.

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Determine the NPV of the new policy.
Multiple Choice
$432,058
$3,715,440
$-333,360
$398,822
$415,440

Answers

The NPV of the new policy is $415,440. Therefore, option E

is correct.

To calculate the NPV (Net Present Value) of the new policy, there is a need to determine the incremental cash inflows and outflows associated with the new policy.

Calculating the incremental cash inflow by subtracting the current price per unit from the new price per unit and multiplying it by the increase in unit sales:

Incremental Cash Inflow = (97 - 57) x 4080 - (90 - 57) x 4000

Incremental Cash Inflow = 31200

Calculating the present value of the cash inflow by dividing the incremental cash inflow by the required return rate:

Present Value of Cash Inflow = 31200 / 0.04 = 780,000

Calculating the cash outflow, which includes the cost per unit for the current policy multiplied by the unit sales, and the additional cost per unit for the new policy multiplied by the increase in unit sales:

Cash outflow = (90 x 4000) + 57 x (4080-4000)

Cash outflow = 364,560

Calculating the NPV by subtracting the cash outflow from the present value of the cash inflow:

NPV = 780,000 - 364,560

NPV = 415,440

Therefore, the NPV of the new policy is $415,440.

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Your question is incomplete; most probably, your complete question is this:

The Snedecker Corporation is considering a change in its cash-only policy. The new terms would be net one period. The required return is 4 percent per period.

                                              Current Policy          New Policy

Price per unit                              $90                          $97

Cost per unit                                $ 57                         $57

Unit sales per month                 4,000                       4,080

Determine the NPV of the new policy.

Multiple Choice

A. $432,058

B. $3,715,440

C. $-333,360

D. $398,822

E. $415,440

Assets Cash Accounts receivable Inventory Prepaid expenses Long-term investments Plant assets Accumulated depreciation Total 2022 $80,700 87,400 112,200 29,100 140,700 285,300 (47,500) $687,900 2021 $

Answers

To calculate the change in each asset account from 2021 to 2022, we can use the formula:

Change in Asset = 2022 Balance - 2021 Balance

Using the given information, we can calculate the changes for each asset account:

Cash:

Change in Cash = $80,700 - 2021 Balance (unknown)

Accounts receivable:

Change in Accounts Receivable = $87,400 - 2021 Balance (unknown)

Inventory:

Change in Inventory = $112,200 - 2021 Balance (unknown)

Prepaid expenses:

Change in Prepaid Expenses = $29,100 - 2021 Balance (unknown)

Long-term investments:

Change in Long-term Investments = $140,700 - 2021 Balance (unknown)

Plant assets:

Change in Plant Assets = $285,300 - 2021 Balance (unknown)

Accumulated depreciation:

Change in Accumulated Depreciation = ($47,500) - 2021 Balance (unknown)

Once we have the change in each asset account, we can analyze the overall change in assets. However, without the 2021 balances for each asset account, we cannot determine the exact change or the total assets for 2021 and 2022.

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The trial balance for K and J Nursery, Inc., listed the following account balances at December 31, 2021, the end of its fiscal year: cash, $36,000; accounts receivable, $31,000; inventory, $45,000; eq

Answers

Based on the provided information, the account balances for K and J Nursery, Inc. at December 31, 2021, are as follows:

- Cash: $36,000

- Accounts Receivable: $31,000

- Inventory: $45,000

- Equity: $87,000

A trial balance is a list of all the accounts and their respective balances from the general ledger at a specific point in time. It is used to ensure that the debits and credits in the accounting system are equal and to prepare financial statements.

Here is an example of a trial balance:

Trial Balance - December 31, 2021

Account             Debit ($)       Credit ($)

-----------------------------------------------

Cash                36,000          

Accounts Receivable                  31,000

Inventory                           45,000

Equity                                                     87,000

-----------------------------------------------

Total               36,000           163,000

In the trial balance, the accounts are listed in a specific order, such as assets, liabilities, equity, revenues, and expenses. The debit balances are listed in the left column, while the credit balances are listed in the right column. The total debits should equal the total credits to ensure that the accounting equation (Assets = Liabilities + Equity) is in balance.

the complete question is The trial balance for K and J Nursery, Inc., listed the following account balances at December 31, 2021, the end of its fiscal year: cash, $36,000; accounts receivable, $31,000; inventory, $45,000; equity : $87000

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Be detailed and specific. Using correct grammar.

Are the phaseout limits for a Roth IRA the same as a Traditional IRA? Using the irs.gov website, specify the limits for the phaseout limits current year.

Answers

The phaseout limits for a Roth IRA and a Traditional IRA are not the same. The limits vary based on income level and filing status. For the current year, it is recommended to refer to the official IRS website for specific details on the phaseout limits.

The phaseout limits determine the eligibility for making contributions to a Roth IRA or deducting contributions to a Traditional IRA. These limits are based on the taxpayer's modified adjusted gross income (MAGI) and filing status. While the exact phaseout limits for the current year can be found on the IRS website, it is important to note that they are subject to change annually. It is advisable to review the official IRS guidelines or consult with a tax professional to ensure accurate and up-to-date information regarding contribution eligibility and deductibility based on individual circumstances.

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CASE 10.1: Changing Jobs and Changing Loyalties
Cynthia Martinez was thrilled when she first received the job
offer from David Newhoff at Crytex Systems. She had long admired
Crytex, both as an indust

Answers

The case 10.1, "Changing Jobs and Changing Loyalties," is about Cynthia Martinez who was delighted to receive a job offer from David Newhoff at Crytex Systems.

Crytex was a well-regarded organization that she had always admired. Cynthia was offered a promotion to senior management at Crytex by David Newhoff, who was one of her former colleagues. Cynthia agreed to join Crytex but continued to work for her existing company for a month to complete some crucial work.

The case study depicts the narrative of Cynthia Martinez, who accepted a job offer from David Newhoff, her former colleague, at Crytex Systems, a well-reputed company admired by Cynthia.

She was offered a senior management position and agreed to join the organization but continued to work for her former employer for a month to finish some important tasks.

After joining Crytex, Cynthia attempted to recruit her ex-colleagues from her former organization to join her. She also informed Crytex about her ex-company's new project, which Crytex later won.

Cynthia's actions raised ethical concerns, prompting Crytex's HR department to conduct an investigation. Cynthia's conduct of recruiting colleagues and revealing confidential information to Crytex was considered disloyal and unethical.

In conclusion, the case study 10.1 "Changing Jobs and Changing Loyalties" highlights the importance of loyalty in an organizational environment. Ethical considerations must be taken into account when making employment changes, and individuals should maintain the confidentiality of their previous employers.

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Intro You borrowed $200,000 at an interest rate of 2.5%, with constant annual payments of both principal and interest over 15 years. BAttempt 2/6 for 5 pts. Part 1 What is your annual payment? 0+ decimals Submit

Answers

We can use the formula for calculating the annual payment of a loan using constant payments of both principal and interest, which is given as: Annual payment = (P x i) / [1 - (1 + i)^(-n)].

"What is your annual payment if you borrowed $200,000 at an interest rate of 2.5%, with constant annual payments of both principal and interest over 15 years?" is $13,926.61. To explain how to get to this answer, we can use the formula for calculating the annual payment of a loan using constant payments of both principal and interest, which is given as:Annual payment = (P x i) / [1 - (1 + i)^(-n)]where:P = principal amounti = interest raten = number of paymentsWe know that:P = $200,000i = 2.5% (or 0.025 as a decimal) per yearn = 15 years (or 15 annual payments)Therefore, we can substitute these values into the formula and simplify:Annual payment = ($200,000 x 0.025) / [1 - (1 + 0.025)^(-15)]Annual payment = $5,000 / [1 - 0.322]Annual payment = $5,000 / 0.678Annual payment = $7,372.83 (rounded to the nearest cent)However, this is only the interest component of the payment. We also need to factor in the repayment of the principal amount.

To do this, we can calculate the total amount of the loan that needs to be repaid over 15 years:Total loan amount = $200,000 + ($200,000 x 0.025 x 15)Total loan amount = $200,000 + $75,000Total loan amount = $275,000Therefore, the annual payment that needs to be made to repay both the principal and interest is:Annual payment = $275,000 / 15Annual payment = $18,333.33 (rounded to the nearest cent)Therefore, the annual payment for a loan of $200,000 at an interest rate of 2.5%, with constant annual payments of both principal and interest over 15 years is $18,333.33.However, this is an answer for the total amount that needs to be repaid each year. To find out the amount that goes towards the interest, we can calculate it using the following formula:Interest payment = P x iInterest payment = $200,000 x 0.025 Interest payment = $5,000Therefore, the amount that goes towards the principal each year is:Principal payment = Annual payment - Interest paymentPrincipal payment = $18,333.33 - $5,000Principal payment = $13,333.33 (rounded to the nearest cent)Therefore, the annual payment that goes towards the principal is $13,333.33.

The annual payment for a loan of $200,000 at an interest rate of 2.5%, with constant annual payments of both principal and interest over 15 years is $18,333.33. This answer is found by calculating the total amount of the loan that needs to be repaid over 15 years, which includes both the principal and the interest. We first use the formula for calculating the annual payment of a loan using constant payments of both principal and interest to find the interest component of the payment, which is $7,372.83. However, we also need to factor in the repayment of the principal amount. To do this, we calculate the total loan amount that needs to be repaid over 15 years, which is $275,000. The annual payment that needs to be made to repay both the principal and interest is $18,333.33. However, this is the total amount that needs to be repaid each year. To find out the amount that goes towards the principal, we subtract the interest payment from the annual payment, which gives us $13,333.33.

In conclusion, the annual payment for a loan of $200,000 at an interest rate of 2.5%, with constant annual payments of both principal and interest over 15 years is $13,333.33.

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Show the likely paths of monetary policy transmission process taking an example of interest rate cuts on financial markets and different expenditure components.

Answers

Monetary policy is a process by which a country's central bank controls the supply of money, credit, and interest rates to achieve macroeconomic goals, such as price stability and economic growth.

The monetary policy transmission process is a channel through which changes in monetary policy affect the economy. There are three main channels through which monetary policy affects the economy: the interest rate channel, the exchange rate channel, and the asset price channel. In the interest rate channel, monetary policy is transmitted to the economy via changes in the cost and availability of credit to businesses and households. For instance, when the central bank lowers interest rates, the cost of borrowing decreases, leading to higher consumption and investment, and hence higher output and employment. Similarly, when the central bank raises interest rates, the cost of borrowing increases, leading to lower consumption and investment, and hence lower output and employment. The interest rate channel is the main answer to the question. In the exchange rate channel, monetary policy is transmitted to the economy via changes in the exchange rate. For instance, when the central bank lowers interest rates, the exchange rate depreciates, leading to higher exports and lower imports, and hence higher output and employment. Similarly, when the central bank raises interest rates, the exchange rate appreciates, leading to lower exports and higher imports, and hence lower output and employment. In the asset price channel, monetary policy is transmitted to the economy via changes in asset prices, such as the prices of stocks, bonds, and real estate. For instance, when the central bank lowers interest rates, the prices of stocks, bonds, and real estate increase, leading to higher wealth and hence higher consumption and investment, and hence higher output and employment. Similarly, when the central bank raises interest rates, the prices of stocks, bonds, and real estate decrease, leading to lower wealth and hence lower consumption and investment, and hence lower output and employment. All these channels are detailed answers to the question.

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If an individual has a utility function of u(.) over wealth which is said to be "CARA", this means (pick the best answer) Select one:
a. u(.) has a coefficient of absolute risk aversion for each level of wealth b. uⁿ / uᶦ is constant c. none of the other answers d. u(.) is a coefficient of absolute risk aversion e. uⁿ = uᶦ

Answers

If an individual has a utility function of u(.) over wealth which is said to be "CARA", this means that u(.) has a coefficient of absolute risk aversion for each level of wealth.

The correct option is (a)

u(.) has a coefficient of absolute risk aversion for each level of wealth.Explanation:A Constant Absolute Risk Aversion (CARA) utility function is a utility function used in finance that is used to model the behavior of investors who avoid risk. The absolute risk aversion coefficient is a measure of an individual's aversion to uncertainty. Because of the way the utility function is defined, a CARA utility function is a type of utility function with an absolute risk aversion coefficient that is constant at each level of wealth.

This means that the degree of risk aversion does not change as wealth changes. In other words, the investor's degree of aversion to risk remains constant no matter how wealthy he or she is. The formula for CARA utility function is given by;U(c) = - exp(-acr * c)where c is the level of wealth, and acr is the absolute risk aversion coefficient. This coefficient is a measure of the curvature of the utility function, which is used to determine the degree of risk aversion.

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Scenario
The management of a University operating in Guyana is considering the implementation of a Mobile Student Information System to replace its existing management system which is not available on mobile devices. This proposed system will be entirely accessible to staff and students via smartphones and similar mobile devices. This system facilitate all aspects of students’ engagement with the university – from application to graduation.
1. The University is considering the use of an existing Cloud Computing provider to host its Mobile Learning Management system instead of hosting the system in-house. Offer a THREE-POINT argument for OR against using this approach. To provide a strong argument, each of the THREE points must have a for and against component i.e. if you are arguing for, you must consider why you are not taking up the alternative i.e. the against position. Your argument must consider the context in which the University if operating.

Answers

The implementation of a Mobile Student Information System by a University operating in Guyana has raised the question of whether to use an existing Cloud Computing provider to host its Mobile Learning Management system instead of hosting the system in-house.

The cost of deploying an in-house system is high compared to the low cost of using an existing Cloud Computing provider. The University can save costs by using the Cloud Computing provider because they offer lower setup and maintenance costs. This is an advantage because the University has a budget constraint, and the cost-effectiveness of the project is of utmost importance. Expertise If the University decides to implement an in-house Mobile Learning Management system, they must have the skills and knowledge to install and maintain it. Hiring an IT team to implement and maintain the system is expensive and time-consuming. On the other hand, using an existing Cloud Computing provider saves time and resources as it offers expert services, including managing and maintaining the system. Scalability The system's capacity to handle increasing demands from staff and students must be considered. In-house systems have limits to the number of users they can handle. With a Cloud Computing provider, it is easy to scale the system to meet the demands of a growing student population.

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An individual who had unsuccessfully sought employment with a branch office of a company located in State A filed an action against the company in a state trial court in State B for discriminatory hiring practices. The complaint alleges that the conduct of the branch manager violated federal law. The individual is a citizen of State B. The company, which is incorporated in State C, has its principal place of business in State B. The company filed a motion to dismiss the action based on a lack of personal jurisdiction. Should the court grant this motion?
Answers:
No, because a state court can try an action based on federal law.
No, because the State B court has general jurisdiction over the company.
Yes, because both the individual and the company are citizens of State B.
Yes, because the alleged discriminatory conduct occurred in State A.

Answers

The court should not grant   the company's motion to dismiss based on a lack of personal jurisdiction. The correct answer is  - "No, because a state court can try an action based onfederal law." (Option A)

 Why is this so ?

The court in State B   can exercise jurisdiction over the company since it has its principal place of business in State B,even though it is incorporated in State C.

Also,  the complaint alleges a violation of federal law,which can be tried in a state court. The citizenship of the individual and the location of the alleged conduct   are not relevant factors in determining personal jurisdiction in this case.

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3.
Demonstrate how an insurance firm can formulate a set of marketing
tools to pursue its marketing objectives in the target
market.

Answers

An insurance firm can formulate a set of marketing tools to pursue its marketing objectives in the target market by using the following strategies:

1. Advertising: Advertising can be one of the essential marketing tools for an insurance firm to create brand awareness and generate interest in the target market.

2. Personal selling: Insurance firms can also use personal selling, which includes direct sales and meetings with potential clients to sell insurance policies. Personal selling can be a powerful tool in the insurance industry as it provides a personal touch to customers and builds trust.

3. Public relations: An insurance firm can use public relations tools such as press releases, events, and sponsorships to create positive media coverage and increase brand awareness.

4. Sales promotion: Sales promotion tools like discounts, bonuses, and special offers can be used by insurance firms to generate interest in their products and services.

5. Digital marketing: In today's digital age, insurance firms can use various digital marketing tools such as social media, email marketing, and content marketing to reach a wider audience and increase engagement.

6. Direct marketing: Insurance firms can use direct marketing tools such as telemarketing and direct mail to communicate directly with potential customers and promote their products and services. These are some of the marketing tools that an insurance firm can use to pursue its marketing objectives in the target market.

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Ellipse Bhd is a manufacturing company that produces several types of electrical products. Recently, one of its products "Keir' faced increasing price pressure from its competitors. This has forced the company to lower its selling price well below its target. However, the management observed that another of its product Mour' can be sold at a slightly higher price than its target selling price. The management is somewhat puzzled by the contrasting performance of "Keir' and 'Mour'. The management has turned up to you for assistance on this matter. As a start, you have decided to examine the company's overhead costing system. Your initial investigation revealed that the company is using direct labour hour as a basis to absorb its overhead costs. The rate of absorption is RM35 per hour. The following data was compiled for "Keir' and 'Mour': Keir Mour Direct labour hours per unit 3 hours 1.5 hours Production and sales volume 5.000 units 2,500 units Per unit: : RM RM Direct material cost 40 50 Direct wages 15 20 Selling price 205 280 After a detailed analysis, you have come up with four cost drivers related to the company's overhead costs: Cost Pool Cost Driver Overhead Cost Driver (RM) Allocation Keir Mour Machine-related cost Machine hours 290,000 12,000 18,000 Set up cost Number of set ups 118,000 50 50 Quality control Number of inspections 246,000 1.000 1.500 Purchase order Number of purchase orders 330,000 750 450 Total 984,000 Required: : a. Calculate the profit per unit of each product using the current system of overhead absorption

Answers

The calculation of the profit per unit of each product using the current system of overhead absorption is as follows:

Calculation of the profit per unit of each product using the current system of overhead absorption: Overhead absorption rate per labor hour = RM35 per hours.

Direct material cost (A) 40 50

Direct wages (B) 15 20

Prime cost (A + B) 55 70

Overheads Machine-related cost (290000/5000) (58) 11.6 (58) 11.6

Set up cost (118000/5000) (23.6) 4.72 (23.6) 4.72

Quality control (246000/5000) (49.2) 9.84 (49.2) 9.84

Purchase order (330000/5000) (66) 13.2 (66) 13.2

Total overheads (203.8) 40.36 (203.8) 40.36

Total cost (258.8) 110.36

Profit (selling price - total cost) (205-258.8) (53.8) (280-110.36) 169.64

Profit per unit = RM53.80

Profit per unit = RM169.64

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If today's T-Bill rate is 1% and the average stock in the market is yielding 14%, what would you expect a stock with a Beta of 1.5 to yield? 14.0% 22.0% O 19.5% 21.0% 20.5%

Answers

The correct answer is 21.0%.According to the Capital Asset Pricing Model (CAPM), beta measures the volatility of a stock, portfolio, or market relative to the entire market. A beta of more than 1.0 is more volatile than the overall market, while a beta of less than 1.0 is less volatile than the overall market.

Because beta measures volatility, it might be used to determine the required return on equity for a given investment. As a result, if the average market stock is yielding 14% and the T-Bill rate is 1%, you should expect a stock with a beta of 1.5 to yield 21%.

This is because the CAPM, which links the expected return on a security to its beta, states that the expected return on a security equals the risk-free rate plus the security's beta times the excess market premium, which is the difference between the average market return and the risk-free rate.

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DECISION MAKING Compare a $10,000 investment in the two funds. Which investment would you recommend, and why? Fund C Fund D 30% chance of a $1000 profit 40% chance of a $500 profit 20% chance of a $100 loss 10% chance of a $300 loss 40% chance of a $1000 profit 30% chance of a $600 profit 15% chance of a $100 profit 15% chance of a $200 loss

Answers

Given the following two funds, Fund C and Fund D, and the associated possibilities, the $10,000 investment should be made in Fund D.

Fund C offers a 30% chance of a $1,000 profit, a 40% chance of a $500 profit, a 20% chance of a $100 loss, and a 10% chance of a $300 loss. Fund D offers a 40% chance of a $1,000 profit, a 30% chance of a $600 profit, a 15% chance of a $100 profit, and a 15% chance of a $200 loss. By multiplying the probabilities with their rewards or losses, we can find the expected value (EV) of each investment.The expected value of the investment in Fund C is:Expected Value = (0.30 × 1000) + (0.40 × 500) + (0.20 × -100) + (0.10 × -300)Expected Value = 300 + 200 - 20 - 30Expected Value = $450The expected value of the investment in Fund D is:Expected Value = (0.40 × 1000) + (0.30 × 600) + (0.15 × 100) + (0.15 × -200)Expected Value = 400 + 180 + 15 - 30Expected Value = $565Since the expected value of the investment in Fund D is greater than that of Fund C, it is recommended to invest the $10,000 in Fund D. Therefore, the investment of $10,000 should be made in Fund D.

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Fund D is recommended as it has a higher expected return of $565 as compared to Fund C's expected return of $450. In order to compare a $10,000 investment in the two funds: Fund C and Fund D, it is essential to determine the expected return of each of the funds.

The expected return is defined as the probability-weighted average of all the possible returns. The formula for calculating the expected return is:

Expected return = (probability of gain × size of gain) + (probability of loss × size of loss)

Given the above data, the expected return for Fund C is:

Expected return for Fund C

= (0.3 × $1,000) + (0.4 × $500) + (0.2 × −$100) + (0.1 × −$300)

= $300 + $200 − $20 − $30

= $450

The expected return for Fund D is:

Expected return for Fund D

= (0.4 × $1,000) + (0.3 × $600) + (0.15 × $100) + (0.15 × −$200)

= $400 + $180 + $15 − $30

= $565

Comparing the expected returns of Fund C and Fund D, the latter has a higher expected return of $565 compared to the expected return of $450 for Fund C. Hence, Fund D is the better investment for a $10,000 investment. Fund D is recommended as it has a higher expected return of $565 as compared to Fund C's expected return of $450.

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Describe and explain lean manufacturing. What does it attempt to
do?

Answers

Lean manufacturing is a technique or a management philosophy aimed at reducing waste and increasing efficiency. It's a production approach that focuses on eliminating non-value-added activities, also known as waste, from the production process.

In contrast to traditional production approaches, lean manufacturing emphasizes continuous improvement and value creation for the customer. The primary objective of lean manufacturing is to identify and eliminate any actions, operations, or processes that do not contribute to the customer's value. This is done to reduce costs and improve quality in order to provide high-quality products at lower prices to customers.

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Define bond convexity. How does it help the investor to make investments in bonds?

Answers

Bond convexity is the degree to which a bond's duration varies when interest rates change. It is the degree to which the duration of a bond varies with changes in interest rates. When interest rates increase, bond prices decrease, and when interest rates decrease, bond prices increase.

The greater the convexity, the more the bond price will increase or decrease in response to changes in interest rates. Therefore, it can help the investor to make investments in bonds.Here's how bond convexity helps the investor to make investments in bonds:It is more challenging to assess the impact of interest rate fluctuations on bond prices as a bond investor than it is for a stock investor because bond prices are tied to a fixed income stream. An investor in a bond with a lower level of convexity is more likely to experience more significant losses in a rising interest rate environment, whereas an investor in a bond with a higher degree of convexity is less likely to suffer as much or to profit more as interest rates fall.

Bond convexity assists investors in determining how much a bond's price will change in response to changes in interest rates. When interest rates fluctuate, a bond's duration may change. The degree of convexity of a bond influences the change in duration, which in turn affects the bond's price. Long answer: Bond convexity is critical for bond investors since it provides an indication of how sensitive a bond's price is to changes in interest rates. As a result, an investor with this knowledge will make more informed investment decisions.

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Which one of the following has not been a trend in healthcare financial management since the 1980's
a. Quality outcomes are important in determining reimbursement.
b. Integrated Organizations through Mergers and Acquisitions have become a way to deal with the increased costs and complexities of healthcare financing.
c. Data systems and Analytics have become critical to most decision making.
d. Charges became more important than Cost Containment.

Answers

Integrated Organizations through Mergers and Acquisitions have become a way to deal with the increased costs and complexities of healthcare financing  has not been a trend in healthcare financial management since the 1980's.

The estimated yearly cost of universal healthcare is $1,713 per person, according to NCBI. When using name-brand medical equipment and medications, this cost may rise by 24%. This means that in order to make healthcare services available to everyone, the Indian government must spend 3.8% of its GDP.

Lack of financial protection for those seeking medical care is one of the biggest issues affecting health funding in India. Over 60% of healthcare spending in India is out-of-pocket, which throws a heavy financial burden on people and families. Inadequate Medical Infrastructure: India suffers from a hospital scarcity, especially in rural areas, and many of the country's current healthcare facilities are in need of basic supplies and equipment.

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Rocket Corporation entered into the following transactions The accrual of wages and salaries expense • The cash payment of a six-month note payable • The cash payment in advance for a one-year Insurance policy Which of the following statements is correct with respect to determining Rocket's worlding capitat? Assume that Rocket's operating cycle is four months. Multiple Choice The accrual of wages and salaries expense decreases working capital o The cash payments for the note and insurance both decan working capita The cash payment on the note payable decreases working capital The purchase of the insurance policy increases working capital

Answers

The correct statement with respect to determining Rocket's working capital is that the cash payment on the note payable decreases working capital.

Working capital is a measure of the company's ability to pay its short-term liabilities with its short-term assets, or the excess of current assets over current liabilities. The operating cycle of a company, or the time it takes to buy, produce, and sell its inventory, has a significant impact on its working capital requirements. As a result, determining working capital entails looking at the company's assets and liabilities over time.

Rocket Corporation entered into the following transactions, and we must determine the correct statement with respect to determining its working capital:

The accrual of wages and salaries expense increases the current liabilities of the company, which decreases the working capital. So, it is not the correct statement.

The cash payments for the note and insurance both decrease the current assets of the company, which decrease the working capital. Therefore, it is also not the correct statement.

The cash payment on the note payable decreases the current assets of the company and increases the current liabilities, which decreases the working capital. Therefore, the correct statement is that the cash payment on the note payable decreases working capital.

The purchase of the insurance policy, on the other hand, has no effect on current assets or liabilities, thus it does not impact working capital. Hence, the purchase of the insurance policy does not increase the working capital.

In conclusion, the correct statement with respect to determining Rocket's working capital is that the cash payment on the note payable decreases working capital.

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Aries plc is investing in real estate rental property. The company was recently formed and issued 80 million shares at Rs. 0.50 market value and a loan of Rs. 24 million. 25% of the total capital raised will be used by the company to lease various properties for 1 year. During that year, the annual operating profit after tax is expected to be Rs.12 million. Cost of debt after tax is 10%. Cost of equity 13.2%

Answers

The net income for Aries plc if the total capital raised is used to buy properties is Rs. 10.9 million.

Total capital raised by Aries plc = Rs. (0.50 × 80 million) + 24 million= Rs. 64 million + 24 million= Rs. 88 million.

25% of total capital will be used to lease properties for 1 year = 25/100 × 88 million = Rs. 22 million. The rest will be used to buy properties.

Total funds to be used to buy properties = 88 - 22 = Rs. 66 million.

The expected operating profit after tax is Rs. 12 million.

Cost of debt after tax = 10%. Cost of equity = 13.2%.

To calculate the net income:

We use the weighted average cost of capital (WACC) formula, which is given by:

WACC = (cost of debt × weight of debt) + (cost of equity × weight of equity).

The weight of debt is calculated as follows:

Weight of debt = Debt / (Debt + Equity)

Weight of debt = 24 / (24 + 64)

Weight of debt = 0.2727

The weight of equity is calculated as follows:

Weight of equity = Equity / (Debt + Equity)

Weight of equity = 64 / (24 + 64)

Weight of equity = 0.7273

Putting the values in the WACC formula:

WACC = (0.1 × 0.2727) + (0.132 × 0.7273)

WACC = 0.02727 + 0.09608

WACC = 0.12335

The net income will be calculated as follows:

Net income = Operating profit after tax - (Total cost of capital × Funds used for property buying)

Total cost of capital = WACC × Funds used for property buying

Total cost of capital = 0.12335 × Rs. 66 million

Total cost of capital = Rs. 8.14 million

Net income = 12 - (8.14 × 66)

Net income = Rs. 10.9 million

Therefore, the net income for Aries plc is Rs. 10.9 million.

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Tally Corp. sells software during the recruiting seasons.
During the current year, 11,000
software packages were
sold resulting in $440,000 of sales revenue. S120.000 of
variable
costs, and $52,000 of

Answers

The contribution margin to Tally Corp. given the sales revenue and the variable cost would be $ 29. 09

How to find the contribution margin ?

To calculate the contribution margin per software package, we need to subtract the variable costs per software package from the sales revenue per software package.

Contribution margin per software package = (Sales revenue - Variable costs) / Number of software packages sold

Contribution margin per software package = ($440,000 - $120,000) / 11,000

Contribution margin per software package = $320,000 / 11,000

Contribution margin per software package = $ 29. 09

Therefore, the contribution margin per software package is $29.09.

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Full question is:

Tally Corp. sells software during the recruiting seasons. During the current year, 11,000 software packages were sold resulting in $440,000 of sales revenue. S120.000 of variable costs, and $52,000 of fixed costs. Contribution margin per software is ___________

What is the key to creating cross-functional teams in which team members put the good of the team ahead of functional self-interest?

Answers

The key to creating cross-functional teams in which team members prioritize the good of the team over functional self-interest is fostering a culture of collaboration and shared goals. Here are some key factors to consider:

Clear and Shared Goals: Ensure that the team members have a clear understanding of the overall team goals and how their individual roles contribute to achieving those goals. Emphasize the importance of collective success and how each member's expertise is valuable in achieving it.

Effective Communication: Encourage open and transparent communication among team members. Promote active listening, sharing of ideas, and constructive feedback. This helps build trust and understanding among team members, reducing the tendency for functional silos.

Mutual Respect and Trust: Foster an environment where team members respect and trust one another. Recognize and appreciate the diverse perspectives and expertise that each member brings to the team. Encourage collaboration and discourage any behavior that undermines trust or promotes self-interest.

Interdisciplinary Collaboration: Provide opportunities for team members from different functional areas to work together on projects or initiatives. This allows them to develop a deeper understanding of each other's roles and challenges, promoting empathy and collaboration.

Recognition and Rewards: Recognize and reward collective achievements and collaborative behavior. Celebrate successes that result from cross-functional teamwork, reinforcing the value of collaboration and encouraging continued cooperation.

Leadership Support: Leaders play a crucial role in creating and sustaining a culture of collaboration. Leaders should model collaborative behavior, provide resources and support for cross-functional initiatives, and actively promote a team-oriented mindset.

By fostering a culture that values collaboration, establishes shared goals, and encourages open communication, organizations can create cross-functional teams where team members prioritize the overall team success over individual functional interests.

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David, for the mutual accommodation of himself and Joseph, draws upon the latter a bill of exchange at 3 months date for $. 10,000. The bill is discounted by Ram at 12 per cent and half the proceeds are remitted to Joseph. David, at the same time, draws a bill of exchange at 3 months on joseph for $. 5,000. After securing David acceptance the bill is discounted at 12 per cent by Joseph who remits half the proceeds to David. joseph becomes bankrupt before the due date of his acceptance and David receives first and final dividend of 40 per cent in the rupee in full satisfaction. Write up the Journal and Ledger entries in the books of both the parties.

Answers

In the books of David:

Journal Entry: Debit: Joseph (Accounts Receivable) - $10,000 (Bill of exchange drawn on Joseph) Credit: Bills Payable - $10,000 (Bill of exchange issued to Joseph)

Ledger Entry: Joseph (Accounts Receivable): Debit: Bills Receivable - $10,000 (Bill of exchange drawn on Joseph) Credit: Dividend Income - $4,000 (40% dividend received from Joseph's bankruptcy settlement) Credit: Loss on Account - $6,000 (Loss on the remaining amount due from Joseph)

In the books of Joseph:

Journal Entry: Debit: David (Accounts Receivable) - $5,000 (Bill of exchange drawn on David) Credit: Bills Payable - $5,000 (Bill of exchange issued to David)

Ledger Entry: David (Accounts Receivable): Debit: Bills Receivable - $5,000 (Bill of exchange drawn on David) Credit: Dividend Income - $2,000 (40% dividend received from David's bankruptcy settlement) Credit: Loss on Account - $3,000 (Loss on the remaining amount due from David)

Explanation: The initial journal entries reflect the creation of bills of exchange between David and Joseph. The bills are discounted, with Ram and Joseph providing the discounting services. The proceeds are then remitted to the respective parties.

However, Joseph's bankruptcy before the due date impacts the settlement. As a result, David and Joseph receive a first and final dividend of 40% of the total amount owed. The dividend income is recorded in the ledger as a partial recovery, and the remaining balance becomes a loss on account for both parties.

These entries in the journal and ledger capture the transactions and the subsequent impact of Joseph's bankruptcy on the settlement between David and Joseph. It highlights the realization of the dividend and the recognition of losses due to the bankruptcy.

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A certain store was keeping a number of brands of washing machines and have different marketing strategies .They had washing machines to cater to the needs of all the segments of the society with different types of marketing plans. They were stocking IFB, Samsung, Toshiba, LG, and local made washing machines as well. They had automatic, semi-automatic and manual machines. The automatic machines were bought by the higher income group. The middle-income group was content with semi-automatic machines. Manual hand operated machines were for the lower class of clientele, and also those living in the countryside areas. It was observed that when customers came to buy an automatic machine, they usually came with their spouses and they looked mainly at the color, style of functioning, electric consumption, care for handling, price factors, etc. Many customers would not buy on their first visit. They would come back after an interval of time and purchase the machine after careful considerations of the attributes that they were. Looking for. Many would lower their choice, and come back to buy semi-automatic, instead of automatic machines. The sale was observed to be highest during marriage seasons and at festival times. There was an enormous influence of the housewives in buying these, as they were the ultimate users. With a lot of information imparted by the media, and the children being exposed to it for several hours, in a day, they seemed to have a good knowledge of the attributes and had a great say in the purchases and their opinions were also given weightage by the parents. Since a chain store is more. interested in the sales to materialize, rather than pushing any particular brand, the salespeople are directed to satisfy the customers or the family. This should be their first consideration. Questions for Discussion 1. Write the summary of the case ? Answer: (Write the answer here) 2. What should be the marketing strategies in the above case regarding advertisement, promotion, persuasion, and closing the sales? Answer: (Write the answer here) 3. Who others could influence the purchase decisions in a family. in relevance with the above case? Answer: (Write the answer here) 4. Do you feel that group interaction helps the buyer too, in his decision-making process? Elaborate Answer: (Write the answer here)

Answers

Summary of the case: The store stocks multiple brands of washing machines to cater to different segments of society.

They offer automatic, semi-automatic, and manual machines, with automatic machines targeting higher-income groups, semi-automatic machines targeting middle-income groups, and manual machines serving lower-class and rural customers. Customers visiting the store, especially those interested in automatic machines, consider factors such as color, style, functioning, electric consumption, care for handling, and price.

Many customers return for multiple visits before making a purchase, carefully considering the attributes they desire. Sales are highest during marriage seasons and festivals, and housewives play a significant role in the purchase decisions as they are the ultimate users. Children, exposed to media information, also influence purchase decisions. The chain store prioritizes customer satisfaction over promoting any specific brand, directing salespeople to satisfy customers and their families.

Marketing strategies: Advertisement: Target different segments with tailored advertisements highlighting the specific features and benefits of each machine category.

Promotion: Offer discounts, special deals, or bundled packages during peak sales periods to encourage purchase decisions.

Persuasion: Train salespeople to effectively communicate the unique selling points of each machine type and address customer concerns.

Closing the sales: Provide after-sales support, warranties, and demonstrations to instill confidence in customers' purchase decisions.

Other influencers in family purchase decisions:

Besides housewives, other family members, such as husbands, children, and parents, can influence the purchase decisions based on their preferences, knowledge, and opinions.

Group interaction in decision-making:

Group interaction can be beneficial to buyers in the decision-making process as it allows different family members to share their perspectives, exchange information, and collectively evaluate the available options. This can lead to a more informed decision and a higher level of satisfaction among family members.

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He delays announcing the invention to the public so that he can buy all the stock he can get his hands on. He buys 50,000 shares of Underwater Leagues, at $10 a share. After the announcement, the share price skyrockets to $50 per share.
a) If the shareholders bring a derivative action against Aquaman, what federal law should they accuse Aquaman of having violated (i.e., which federal statute)?
b) Did Aquaman actually violate that statute? Explain.
c) If Aquaman were found to have violated that statute, what remedy would the shareholders be able to seek (i.e., how much money would Aquaman be liable for)?

Answers

Specifically, Section 10(b) of the Securities Exchange Act of 1934 and Rule 10b-5. It is true that Aquaman broke Rule 10b-5 and Section 10(b) of the Securities Exchange Act of 1934. When it came to business, Aquaman served as president and did not listen to anyone's directives.

Shareholders should charge Aquaman with breaking Rule 10b-5 and Section 10(b) of the Securities Exchange Act of 1934 if they file a derivative lawsuit against him.

It is forbidden for anybody to conduct business between states either directly or indirectly through the use of a national securities exchange facility, the mail, or any other means of interstate commerce or an instrument thereof. to use any method of deception, including a plot or ruse.

Since Aquaman was the company's president and did not follow directions from anyone, his actions would be regarded as insider trading and he would be found guilty.

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A company's master budget called for net operating income of $7.200 and 500 units sold, Budgeted sales revenue was $20.000, budgeted variabie costs were $8,000, and budgeted fixed costs were $4,800 During the period, actual sales were 550 units. Total actual sales revenue was $22,700. Totat actual variable costs were $9,100 and total actual fived costs were $4,600. Calculate the companys seing price verknce rounded to the nearest dollat.

Answers

Given information : Budgeted sales revenue = $20,000Budgeted variable costs = $8,000Budgeted fixed costs = $4,800Net operating income = $7,200Number of units sold = 500Actual sales revenue = $22,700Actual variable costs = $9,100Actual fixed costs = $4,600Number of units sold = 550The master budget is the comprehensive financial planning document that estimates the income and expenses of the company for the upcoming period.

The master budget is divided into two parts : an operating budget and a financial budget. The operating budget contains information on the company's sales revenue, production costs, and operating expenses. The financial budget includes a cash budget, capital budget, and a pro forma balance sheet and income statement. A flexible budget is a budget that adjusts the company's budgeted revenue and expenses based on actual sales. By comparing the actual results to the budgeted results, the company can identify the areas that need improvement or cost-cutting. The flexible budget formula is : F = A + B(X)Where : F = flexible budget A = actual fixed costs B = variable cost per unit X = actual sales volume The flexible budget for this company is : F = $4,600 + ($8,000/500) (550)F = $4,600 + $8,800F = $13,400The actual operating income for this company is : Operating income = Actual sales revenue - Actual variable costs - Actual fixed costs Operating income = $22,700 - $9,100 - $4,600Operating income = $8,000 The static budget variance is the difference between the master budget and the actual results. The flexible budget variance is the difference between the flexible budget and the actual results. The flexible budget variance is : Flexible budget variance = Actual operating income - Flexible budget Flexible budget variance = $8,000 - $13,400Flexible budget variance = -$5,400The flexible budget variance is negative because the actual operating income is less than the flexible budget. The negative variance means that the company has incurred more expenses than planned. The company's selling price variance can be calculated as follows: Selling price variance = (Actual sales revenue / Actual units sold) - (Budgeted sales revenue / Budgeted units sold)Selling price variance = ($22,700 / 550) - ($20,000 / 500)Selling price variance = $41.45 - $40Selling price variance = $1.45Therefore, the company's selling price variance is $1.45 (rounded to the nearest dollar).

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Why should a supervisor take time to counsel an employee when a disciplinary problem appears to be developing? What could happen when the supervisor fails to proactively address an employee problem?

Answers

When a disciplinary problem appears to be developing, a supervisor should take time to counsel an employee for several reasons. First, counseling can help the employee understand the gravity of their actions and the impact they have on the workplace. This helps to prevent similar mistakes from occurring in the future.

Second, counseling can help to identify the root cause of the employee's behavior, which can help the supervisor address the underlying issue, rather than just the symptoms. Finally, counseling can help to prevent the problem from escalating, which can lead to more severe disciplinary actions in the future. When a supervisor fails to proactively address an employee problem, the problem can escalate. For example, if an employee is regularly tardy to work and the supervisor fails to address the issue, other employees may start to arrive late as well. This can lead to a negative impact on productivity and morale, which can have lasting consequences.

Additionally, when a supervisor fails to address an employee problem, it sends a message to other employees that poor behavior is acceptable. This can lead to a breakdown in discipline and a decrease in overall performance. Therefore, it is essential for supervisors to take the time to counsel employees when disciplinary problems appear to be developing.

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As the industry a firm competes in is maturing, it may engage in diversification strategy to take advantage of opportunities in other markets. This strategic change will require a firm to change its organization structure to which of the following if it is not already structured this way?

Group of answer choices

Simple structure

Functional structure

Multidivisional structure

Network structure

None of the above

Answers

Answer: Multidivisional Structure

Explanation:

If a firm engages in a diversification strategy to take advantage of opportunities in other markets, and it is not already structured this way, it would require a change to the Multidivisional structure.

The Multidivisional structure is characterized by dividing the organization into separate divisions or business units, each responsible for a specific product, market, or geographical area. It allows for greater autonomy and specialization within each division, enabling the firm to effectively manage multiple businesses or markets simultaneously.

Diversification often involves entering new markets or industries, which requires different knowledge, skills, and resources. The Multidivisional structure provides the necessary framework for coordinating and managing diverse business units or divisions within the firm, enabling it to operate in multiple markets efficiently.

Question 5 (10 marks) Melbourne Accounting Ltd has provided the following accounts for the year ended 30m June 2022. Page 4 of 13 Accounts Dr ($) Cr (S) Accounts payable 38,000 Accounts receivable 106

Answers

The classified Income statement for Melbourne Ltd for the month ending 30 June 2022 is solved and attached.

How to explain the information

An income statement, also known as a profit and loss statement or statement of earnings, is a financial statement that provides information about a company's revenues, expenses, gains, and losses over a specific period of time, typically a fiscal quarter or year. The income statement summarizes the financial performance of a company by showing its ability to generate profit or incur losses during the stated period.

A classified income statement is an income statement that categorizes the revenues, expenses, gains, and losses into specific groups or classifications. This classification allows for a more detailed analysis of the company's financial performance and helps stakeholders understand the sources of revenue and the nature of expenses incurred.

Check the attachment.

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What is the future of the knowledge management?

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The future of knowledge management is very bright and promising. Knowledge management is the process of creating, sharing, using, and managing knowledge and information within an organization. It aims to improve the efficiency and effectiveness of an organization by leveraging the knowledge and expertise of its employees and stakeholders. The increasing use of technology, the rise of big data, and the globalization of businesses are some of the trends that will shape the future of knowledge management.


The advancements in technology will lead to the development of more sophisticated knowledge management systems that can better capture, store, and disseminate knowledge. Machine learning and artificial intelligence will play a significant role in this transformation. They will enable organizations to better manage and analyze vast amounts of data, extract meaningful insights, and make more informed decisions. The rise of big data will also create new opportunities for knowledge management. Organizations will be able to leverage data to identify patterns, trends, and opportunities. They will be able to use this information to create new products, services, and business models. Globalization will also impact the future of knowledge management. With businesses operating in multiple countries and languages, knowledge management systems will need to be designed to support cross-cultural and multilingual communication. They will also need to be adaptable to local cultures and customs.
In conclusion, the future of knowledge management is very promising. With the increasing use of technology, the rise of big data, and the globalization of businesses, knowledge management will play an essential role in the success of organizations. The challenge will be to develop knowledge management systems that can adapt to the changing needs and requirements of organizations in the future.

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Other Questions
Explain to a client why the rules governing the internal administration and management of their company are replaceable la psychological safety among employees to engage conversation about performance? 5. How might the three forms of data collection be used together in the opening stages of a change process? Township Soaps is a producer of handmade bar and liquid soaps in Canada. The company has recently begun exporting to several international clients. A boutique hotel chain headquartered in Hamburg, Germany has approached Township Soaps and asked for a quote for a large, recurring order of bottles of liquid soap for its hotels. The client requested customized packaging to include the hotel's logo which would cost require Township to buy a new machine. The incoterm agreed upon is CIP. The quote requested is for 7,000 units. The company does not need to acquire any new machinery or overhead to fulfill this order as it has enough capacity in its existing facilities. The cost to produce the soap domestically is as follows: Direct Materials per unit: $3.25 Direct Labour per unit: $1.25 Variable Manufacturing Overhead per unit: $0.15 Fixed Manufacturing Overhead per unit: $0.25 Sales Commissions per unit (domestic only): $0.10 The following costs have been estimated by Township Soaps to export the product to Hamburg. The company considers its activity base to be the number of units sold. Total freight Cost by Boat (less-than-container load, includes insurance): $1,400 Total domestic transportation from factory to the Port of Montreal (by Truck): $350 Total domestic transportation from Port of Hamburg to client location in Hamburg (by truck): $200 Customs duties to clear customs in Germany: $15 per unit Total detention fee Canada: $560 Total strapping and Marking Fees: $210 Translation of Packaging from English to German: $300 Time spent redesigning the labels to be printed in German: $200 Additional cost of printing the labels on the bottles in German: $0.10 per unit Time and cost for an existing salaried employee to prepare documentation for export: $200 New Machine Required for custom packaging for the hotel: $18,000 Wire transfer fee for the order: $50 Time for an existing salaried employee to oversee business development and customer service: $1,350 Hedging on Foreign Exchange Risk: $0.05 per unit The company is aware that some of these costs might not be relevant to this export situation and need your help to perform some calculations. Based on the information provided, answer the following questions: 1. Calculate the domestic cost per unit using absorption costing 2. Calculate the unit variable cost for one bottle of soap to be exported to Hamburg. Remember to only include the relevant costs. Round to the nearest hundredth (two decimal places). HINT: When calculating any variable costs that are a percentage % of the value of goods (such as insurance and hedging), add up all the other variable costs first, THEN calculate the percentage based on that total. 3. Calculate the total fixed cost for this order (include only relevant costs) 4. If the company charges $8 per unit when exporting the product, what is the minimum number of units that they need to sell to break even? Round up to the nearest whole number. 5. Using variable costing (i.e. the answer you calculated in question two), if the company wants a 60% markup on the exported product, what should the selling price be? Round to two decimal places. 6. What is the company's net income on this order if they set the selling price to $10 per unit? 11)need correct answer for a and b will leave a like thxSheffield Company has accumulated the following budget data for the year 2022. 1. Sales: 31,410 units, unit selling price $85. 2. Cost of one unit of finished goods: direct materials 1 pound at $6 per Question i: what would mlog_(z)n+5=q be in exponential form?Question ii: solve using algebra 2^(3x+1) = (1/4)^x-5 Consider that the exchange rate between the Australian dollar and Japanese yen has changed from 78= A$1 to 74= A$1. All else equal, what is the effect of this change? a. Japan will import more Australian products b. Japan will import less Australian products c. Australia will import fewer japanese products d. Australia will import more japanese products e. Both (a) and (c) are correct Your factory has been offered a contract to produce a part for a new printer. The contract would last for three years, and your cash flows from the contract would be $5.04 million per year Your upfront setup costs to be ready to produce the part would be $7.96 million. Your discount rate for this contract is 8.2% a. What is the IRR? b. The NPV is $4.96 million, which is positive so the NPV rule says to accept the project. Does the IRR rule agree with the NPV rule? A company is analyzing a project and has determined that the initial cost will be $810,000 and the required rate of return needs to be 13.4 percent. The project has a 60 percent chance of success and a 40 percent chance of failure. If the project fails, it will generate an annual after-tax cash flow of $172,000. If the project succeeds, the annual after-tax cash flow will be $315,000. The company has further determined that if the project fails, it will shut the project down after the first year and sell the equipment for the after-tax salvage value of $204,000. If however, the project is a success, the company can expand it with no additional investment and increase the after-tax cash flow to $350,000 a year for Years 2-5. At the end of Year 5, the project would be terminated and have no salvage value. What is the expected net present value of this project at Time 0? a.$45,037.53 b.$54,094.31 c.$63,601.09 d.$73,107.87 O e.$82,614.65 Consider that you are the safety professional on a large construction project. Currently, you have scaffolds being used by the masons, you have ladders that are being used by the electricians and plumbers, and there are several excavations ongoing. If you look at the Occupational Safety and Health Administration (OSHA) standards that require a competent person, would a site safety person be able to fill all of those responsibilities? Would the safety professional be the person with the most knowledge of the individual task? Explain. if a company's earnings before taxes (EBT) is 5000, and has a tax rate of 15%, while interest payments are 750 what is the company's net income? 3612.5 4887.5 4250 None of the above QUESTION 10 Which of the following is not a profitability ratio? Return on Assets Return on Equity Asset turnover ratio All of the above are profitability ratios QUESTION 11 If a company's days sales in receivables is 32 days what is their receivables turnover? 12.25x 14.37x 11.41x 12.67x : Which of the following BEST explains the availability of flood insurance for contents only? A Flood insurance is available for contents only on commercial policies B Flood insurance is available for renters who own eligible property C Flood insurance is available for contents only on residential policies D Flood insurance is not available for contents only In 2021, the OECD reached an agreement about a global minimum tax rate for MNEs of 15 %. Why is this agreement understood as a milestone in the fight against tax avoidance? What are the implications of the global minimum tax rate from a transfer pricing perspective? Provide an example. A vertical long-run aggregate supply curve indicates that O policies that shift the aggregate demand will not change real GDP in the long run. O the nation's productive capacity will not change in the long run if real GDP changes. O real GDP tends not to grow in the long run. O output rates greater than the long-run supply constraint can never be achieved. O an increase in the price level will permit the economy to achieve a higher level of output. Peter is an accountant working in a famous automotive company. He is always spreading the culture which allows legal counsel and audit offices to take appropriateaction to enforce and ensure compliance with the law and with internal codes. Which of the following culture best describes Peter's situation?O A. A compliance-based cultureO B. An integrity-based cultureO C. A customer-based cultureO D. A values-based culture TRUE / FALSE. Without a clear picture of its target market, a small company will try to reach almost everyone and usually ends up appealing to almost no one. Select one O True False What is the First Contact & Negotiation and Buyer DueDilienceDuring Negotiation on Disney and 21st century fox?DueDilience* Suppose the real interest rate is 3.35 percent and the inflation rate is 2.3 percent. What rate would you expect to see on a Treasury bill? Veronica secured a 6-year car lease at 5.90% compounded annually that required her to make payments of $886.84 at the beginning of each month. Calculate the cost of the car if she made a downpayment of $2,750. Sappi Ltd. is a global company focused on providing dissolved wood pulp, paper pulp and other paper-based solutions to its direct and indirect customer base across more than 160 countries. Our dissolved wood pulp products are used worldwide by converters to create viscose fibre for fashionable clothing and textiles, acetate tow, pharmaceutical products as well as a wide range of consumer and household products.Our market-leading range of paper products includes coated fine papers used by printers, publishers, and corporate end users in the production of books, brochures, magazines, and many other print publications. The wood and pulp need for our products are produced within Sappi Ltd. and from accredited suppliers.Sappi Ltd. has a tradition of innovating and developing new products to meet local demand. As part of the strategy to rationalize declining business, focus on business where we have a competitive advantage and strengthen our balance sheet, we entered into an agreement to sell our nonperforming Mills in the Northern region. At the end of the financial year, we received approval from the competition commission and both transactions were realized in October and November of 2015.b) The management of Sappi Ltd have approached you to prepare a paper on the important business environments which has an influence on Sappis operations. Which of the following in NOT related to the Make (insource) or Buy (outsource) decision?a) Insourcing is bringing a major business function in-house.b) The backward flow of goods returned by consumers or retailers.c) Buying goods or services instead of producing or providing them in-house.d) Outsourcing is paying a supplier to perform a business function.e) Reduction in control and expertise.