.Company A has current sales of $4,000,000 and a 45% contribution margin. Its fixed costs are $600,000. Company B is a service firm with current service revenue of $2,800,000 and a 15% contribution margin. Company B’s fixed costs are $375,000. Compute the degree of operating leverage for both companies. What is the degree of operating leverage for Company A?
2. Company A has current sales of $4,000,000 and a 45% contribution margin. Its fixed costs are $600,000. Company B is a service firm with current service revenue of $2,800,000 and a 15% contribution margin. Company B’s fixed costs are $375,000. Compute the degree of operating leverage for both companies. What is the degree of operating leverage for Company B?
3. Company A has current sales of $4,000,000 and a 45% contribution margin. Its fixed costs are $600,000. Company B is a service firm with current service revenue of $2,800,000 and a 15% contribution margin. Company B’s fixed costs are $375,000. Compute the degree of operating leverage for both companies. How will the 15% change in sales affect (increase) Company A?
4.Company A has current sales of $4,000,000 and a 45% contribution margin. Its fixed costs are $600,000. Company B is a service firm with current service revenue of $2,800,000 and a 15% contribution margin. Company B’s fixed costs are $375,000. Compute the degree of operating leverage for both companies. How will the 15% change in sales affect (increase) Company B?

Answers

Answer 1

Therefore, a 15% increase in sales would increase Company B's operating income by $63,000.

The degree of operating leverage (DOL) is the relative amount of fixed and variable costs that make up a company's total costs. The formula for DOL is: $$\frac{Sales}{Operating\ Income}=\frac{P}{P-V}$$where P is the total contribution margin ratio (contribution margin/sales) and V is the variable cost ratio (variable cost/sales). Using the given information, the DOL for Company A can be calculated as follows: Sales = $4,000,000Contribution margin ratio = 45% = 0.45Fixed costs = $600,000Variable cost ratio = 1 - Contribution margin ratio = 1 - 0.45 = 0.55DOL = Sales/Operating Income = P/(P - V) = 0.45/(0.45 - 0.55) = -0.45/-0.1 = 4.5. Therefore, the degree of operating leverage for Company A is 4.5.2. Using the same formula as above, the DOL for Company B can be calculated as follows: Sales = $2,800,000Contribution margin ratio = 15% = 0.15Fixed costs = $375,000Variable cost ratio = 1 - Contribution margin ratio = 1 - 0.15 = 0.85DOL = Sales/Operating Income = P/(P - V) = 0.15/(0.15 - 0.85) = -0.15/(-0.7) = 0.214Therefore, the degree of operating leverage for Company B is 0.214.3.

A 15% increase in sales for Company A would result in a 15% increase in operating income due to its high degree of operating leverage. To calculate the new operating income, first, calculate the total contribution margin by multiplying the sales by the contribution margin ratio: Total contribution margin = $4,000,000 x 0.45 = $1,800,000Then, subtract the fixed costs to get the operating income: Operating income = Total contribution margin - Fixed costs= $1,800,000 - $600,000= $1,200,000A 15% increase in sales would result in new sales of $4,600,000. The new operating income can be calculated using the same formula as above: Total contribution margin = $4,600,000 x 0.45 = $2,070,000Operating income = Total contribution margin - Fixed costs= $2,070,000 - $600,000= $1,470,000

Therefore, a 15% increase in sales would increase Company A's operating income by $270,000.4. A 15% increase in sales for Company B would result in a 15% increase in operating income due to its low degree of operating leverage. To calculate the new operating income, first, calculate the total contribution margin by multiplying the sales by the contribution margin ratio: Total contribution margin = $2,800,000 x 0.15 = $420,000Then, subtract the fixed costs to get the operating income: Operating income = Total contribution margin - Fixed costs= $420,000 - $375,000= $45,000A 15% increase in sales would result in new sales of $3,220,000. The new operating income can be calculated using the same formula as above: Total contribution margin = $3,220,000 x 0.15 = $483,000Operating income = Total contribution margin - Fixed costs= $483,000 - $375,000= $108,000. Therefore, a 15% increase in sales would increase Company B's operating income by $63,000.

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Related Questions

The option to delay investment will be:
More valuable if the cash flows from the investment are more certain.
Less valuable if the cash flows from delaying investment are greater.
More value if the time that it is possible to delay investment is shorter.
More valuable if the cost of the investment, if the investment is undertaken, are greater.
Less valuable if the market is closed.

Answers

The option to delay investment is more valuable if the cash flows from the investment are more certain, as it allows for a better assessment of potential returns.

Conversely, it becomes less valuable if the cash flows from delaying the investment are greater, as waiting would result in missed opportunities. The option also gains more value if the time available for delaying the investment is shorter, as it allows for a shorter commitment period. Additionally, it becomes more valuable if the cost of the investment, should it be undertaken, is greater, as delaying can mitigate potential losses. However, the option loses value if the market is closed, as no investment can be made during that time.

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The Lamplighter Inn has 450 rooms. In the following scenarios, you are provided with information that will allow you make the calculations. Select the correct answer and drag it into the correct blanks. YOU WILL BE GRADED ON YOUR BEST ATTEMPT. 1. If 325 rooms sold with a total revenue of $62 750 The occupancy was ____ the everage ratw is ____, and the REVPAR is ______

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The occupancy was (325 rooms sold / 450 total rooms) * 100 = 72.22%

The average rate is ($62,750 total revenue / 325 rooms sold) = $193.08

The REVPAR (Revenue Per Available Room) is ($62,750 total revenue / 450 total rooms) = $139.44

1.Occupancy:

To calculate occupancy, we divide the number of rooms sold by the total number of rooms available and multiply by 100 to get a percentage.

Occupancy = (Number of Rooms Sold / Total Number of Rooms) * 100

In this case, 325 rooms were sold out of a total of 450 rooms.

Occupancy = (325 / 450) * 100 = 72.22%

So, the occupancy rate is 72.22%.

2.Average Rate:

The average rate is calculated by dividing the total revenue generated by the number of rooms sold.

Average Rate = Total Revenue / Number of Rooms Sold

In this case, the total revenue is $62,750 and 325 rooms were sold.

Average Rate = $62,750 / 325 = $193.08

So, the average rate per room sold is $193.08.

3.REVPAR (Revenue Per Available Room):

REVPAR is a key performance indicator that measures the revenue generated per available room. It is calculated by dividing the total revenue by the total number of rooms available.

REVPAR = Total Revenue / Total Number of Rooms

In this case, the total revenue is $62,750 and the total number of rooms available is 450.

REVPAR = $62,750 / 450 = $139.44

So, the REVPAR (Revenue Per Available Room) is $139.44.

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Lanni Products is a start-up computer software development firm. It currently owns computer equipment worth $31,500 and has cash on hand of $17,000 contributed by Lanni's owners. Lanni takes out a bank loan. It receives $47,000 in cash and signs a note promising to pay back the loan over 3 years. Enter values in WHOLE NUMBERS (no decimals), use 000's separators (commas) where appropriate, do not enter dollar signs (no $)

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Lanni Products has computer equipment worth $31,500, $17,000 in cash on hand contributed by the owners, and has taken out a bank loan of $47,000, which must be repaid over a 3-year period.

Lanni Products, a start-up computer software development firm, currently has computer equipment valued at $31,500 and cash on hand contributed by the owners amounting to $17,000. In order to secure additional funds, Lanni decides to take out a bank loan.

The bank loan provides Lanni with $47,000 in cash. In return, Lanni signs a note committing to repay the loan over a period of 3 years. It is important to note that the values should be entered in whole numbers, without decimals or dollar signs.

The computer equipment, with a value of $31,500, represents the tangible assets of Lanni. It serves as an investment that can support the company's operations and contribute to its growth.

The cash on hand of $17,000, contributed by the owners, represents the initial capital injection into the business. This cash infusion provides Lanni with the necessary resources to cover initial expenses and fund its operations.

The bank loan of $47,000 is a financial liability that Lanni has taken on. The loan provides the company with additional capital that can be used for various purposes, such as expanding operations, investing in research and development, or meeting working capital needs.

By signing the note and committing to repay the loan over 3 years, Lanni acknowledges its obligation to repay the borrowed funds. The loan term represents the agreed-upon timeframe within which Lanni must fulfill its repayment obligations.

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1. 1.1 For the study described below, identify the population parameter. 1500 American women working for large companies were polled to determine the percentage that felt that women were underrepresented in management positions in their company. A The percentage of women in the sample who feel that women are underrepresented in management positions in their company B. The percentage of American women working for large companies who feel that women are underrepresented in management positions in their company C. The percentage of all American women who feel that women are underrepresented in management positions in large companies, D All American women working for large companies 1 1.2 I For the study described below, identify the sample statistic. 1500 American women working for large companies were polled to determine the percentage that felt that women were underrepresented in management positions in their company. A. The percentage of American women working for large companies who feel that women are underrepresented in management positions in their company. B. The percentage of women in the sample who feel that women are underrepresented in management positions in their company. C.The 1500 women polled D. The number of women polled,

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The percentage of American women working for large companies who feel that women are underrepresented in management positions in their company.

The population parameter is the value that reflects the entire population of interest for a specific statistical study. In this case, the population is all American women working for large companies, and the parameter of interest is the proportion that believes women are underrepresented in management positions in their company.

The percentage of women in the sample who feel that women are underrepresented in management positions in their company. A sample statistic is a measure of a characteristic of a sample drawn from a larger population. The study's sample includes 1500 American women working for large companies.

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use economic terms, and diagrams.
"Look, I am a neoclassical economist. I know there is a slight down-turn. But, any kind of monetary or fiscal policy is un-necessary, the economy will recover."
Using an AS AD diagram, explain why this economist may just be right!

Answers

In neoclassical economic theory, any interference in the market is seen as a hindrance to growth and development. According to this view, supply and demand, rather than government policy, are the key drivers of growth and development.

Neoclassical economists believe that the government should avoid interfering with the free market because the market will eventually correct itself. As a result, neoclassical economists are often opposed to the use of monetary and fiscal policies.AS-AD diagram:

AS-AD diagram (neoclassical) Explanation: In the AS-AD diagram, there are two curves. The Aggregate Demand (AD) curve and the Aggregate Supply (AS) curve. The AD curve is downward sloping, whereas the AS curve is upward sloping. The intersection of these two curves determines the equilibrium level of income and price level.

In this case, an economist who is a neoclassical is right. According to neoclassical economics, the economy will recover on its own without any intervention from the government. As a result, the AS curve is always vertical or near-vertical because the market is thought to be self-correcting.

Any shift in the AD curve will have no effect on the AS curve, which means that the equilibrium level of income and price level will remain the same. This is why, in this case, the neoclassical economist may be right in saying that the economy will recover on its own without any intervention from the government.

In conclusion, the neoclassical economists believe that the government should not interfere in the market because the market will eventually correct itself. Therefore, according to the AS-AD diagram, any kind of monetary or fiscal policy may not be necessary for the recovery of the economy.

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A person wants to change cash into quarters. how many quarters will you get back if you change a $25.00 bill?

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When a person wants to change cash into quarters, the number of quarters they would get back when they change a $25 bill is dependent on the monetary value of one quarter. The monetary value of one quarter is $0.25.

When converting a $25 bill into quarters, the number of quarters that the person would get back is calculated as follows:Divide the value of the bill by the value of one quarter.$25 ÷ $0.25 = 100Therefore, when the person changes a $25 bill into quarters, they will get back 100 quarters. It is important to note that the number of quarters the person would receive is solely dependent on the value of one quarter, and this would not be the same for other denominations of currency.

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Question 21 1 Point Hessa has the power that is generated from subordinates and coworkers' respect for her personal characteristics as a leader which earned her their loyalty and admiration. Specify Hessa's type of power that is illustrated in this statement. [Explanation is not required] Use the editor to format your answer

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Hessa's type of power, as described in the statement, is referent power.

Referent power is the type of power that Hessa possesses, as described in the statement. It is derived from the respect, loyalty, and admiration that her subordinates and coworkers have for her personal characteristics as a leader. Referent power is based on the ability to influence others through the strength of one's personality, behavior, and relationships.

Hessa's positive qualities and the trust she has built with her team members have earned her their respect and loyalty, making them willing to follow her lead and be influenced by her decisions and actions.

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what is the present value of the project’s annual net cash inflows?

Answers

The present value of a project's annual net cash inflows refers to the current value of the expected cash inflows generated by the project over its lifespan. It represents the total value of the cash inflows if they were to be discounted back to the present time.

To calculate the present value of the project's annual net cash inflows, you would typically use a discounted cash flow (DCF) analysis. The DCF method takes into account the time value of money, which recognizes that a dollar received in the future is worth less than a dollar received today due to factors such as inflation and the potential to earn a return on investment.

The steps to calculate the present value of the project's annual net cash inflows are as follows:

Estimate the expected net cash inflows for each year of the project's lifespan.

Determine an appropriate discount rate to apply. The discount rate should reflect the risk and opportunity cost of the project.

Apply the discount rate to each annual net cash inflow to calculate the present value. This is done by dividing the net cash inflow by (1 + discount rate)^n, where n represents the number of years into the future.

Sum up the present values of all the annual net cash inflows to obtain the total present value of the project's cash inflows.

The resulting present value represents the amount of money that, if invested today at the discount rate, would be equivalent to the future net cash inflows expected from the project. This allows for a meaningful comparison of the project's profitability and helps in assessing its financial feasibility and value.

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When one company purchases another company, acquired assets are reported at:

Group of answer choices:

historical cost of the asset.

book value of the asset in the subsidiary company.

lower of cost or fair value.

pre-determined value set by the management of parent company.

fair value of those assets.

Answers

When one company purchases another company, acquired assets are reported at fair value of those assets. The fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date.

When one company purchases another company, acquired assets are reported at fair value of those assets. The fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date.Therefore, when one company purchases another company, the assets that are acquired are to be reported at fair value. This is because the fair value represents the estimated value of an asset in the market. As part of the due diligence process during the acquisition of the company, an expert is often hired to evaluate the value of the assets.The fair value is a more realistic value to report the assets at. This is because it represents the current value of the asset at the time of the acquisition. Using the fair value is more reliable than reporting the assets at their book value in the subsidiary company or the historical cost of the asset. Furthermore, the pre-determined value set by the management of the parent company is not acceptable as it may be biased and not reflect the true value of the asset. Therefore, the acquired assets are reported at fair value.

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At the end of the 2020 accounting period Vellenga Company determined that the market value of its inventory was $35900. The historical cost of this inventory was $41500. Vellenga uses the perpetual inventory method. The entry necessary to reduce the inventory to the lower of cost or market will act to:
a. decrease assets and increase net income
b. decrease assets and decrease net income
c. increase assets and increase net income
d. increase assets and increase liabilities

Answers

The entry necessary to reduce the inventory to the lower of cost or market will act to decrease assets and decrease net income. Option B

How to determine the inventory

Employing the perpetual inventory technique entails keeping constant tabs on inventory, and any decline in its worth is registered as a loss in the timeframe it arises.

Vellenga Company would ha ve to create an adjusting entry in order to decrease their inventory to whichever value is lower: the market value or cost.

To enter the transaction, it is necessary to reduce the inventory account by the amount that separates its original cost of $41,500 from its current market value of $35,900. The company's total assets would witness a reduction due to the decrease in their inventory account.

Furthermore, acknowledging the decrease in inventory value as a loss would lead to a decline in net income. The income statement documents this deficit, ultimately leading to a decrease in overall earnings.

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1 - The Federal Reserve's duties do NOT include?
A) regulating mortgage rates.
B) conducting the nation's monetary policy.
C) protecting the credit rights of consumers.
D) maintaining the stability of the financial system.
2 - The TILA-RESPA Integrated Disclosure (TRID) rule exempts which type of mortgage loan?
A) Construction loan
B) Reverse mortgage loan
C) Refinance loan
D) Vacant land loan
3 - Which amount is used to compute the state documentary stamp tax on the deed?
A) Total of all mortgages
B) Total purchase price
C) Total of all unrecorded mortgages
D) Balance of mortgage to be assumed.

Answers

Answer:

1) The Federal Reserve's duties do NOT include regulating mortgage rates. The Federal Reserve, commonly referred to as the "Fed," has the responsibilities of conducting the nation's monetary policy, protecting the credit rights of consumers, and maintaining the stability of the financial system. However, the regulation of mortgage rates falls under the purview of other regulatory bodies and market forces.

2) The TILA-RESPA Integrated Disclosure (TRID) rule does not exempt any specific type of mortgage loan. The TRID rule, implemented by the Consumer Financial Protection Bureau (CFPB), applies to most residential mortgage loans. It aims to provide borrowers with clear and comprehensive information about loan terms, closing costs, and other relevant details to promote transparency and protect consumer interests.

3) The total purchase price is used to compute the state documentary stamp tax on the deed. The documentary stamp tax is a fee imposed by some states on certain documents, including real estate deeds, to validate and record the transfer of property ownership. The tax amount is typically based on a percentage of the total purchase price or consideration stated in the deed.

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This case is to show how the innovation of processes can significantly improve the time to market of new designs through simulation prototyping. The company was able to significantly shorten the design-to-prototype process
What, in your opinion, was the key factor in Santa Cruz Bicycles’ successful process redesign? Why was that factor the key?

Answers

The key factor in Santa Cruz Bicycles' successful process redesign was the implementation of simulation prototyping. Simulation prototyping allowed the company to virtually test and iterate designs before creating physical prototypes.

The key reason why simulation prototyping was the crucial factor lies in its ability to save time and resources. Traditionally, the design-to-prototype process involved creating physical prototypes, conducting tests, identifying issues, making adjustments, and repeating the cycle until the design was optimized. This iterative process could be time-consuming and expensive, especially if multiple iterations were required.

By leveraging simulation prototyping, Santa Cruz Bicycles could simulate various scenarios and conditions in a virtual environment. This enabled them to quickly identify potential design flaws, evaluate performance characteristics, and make necessary adjustments without the need for physical prototypes. This shortened the design iteration cycle significantly.

Simulation prototyping also allowed Santa Cruz Bicycles to optimize their designs more effectively. They could gather detailed data and insights from simulations, enabling them to fine-tune various aspects of their designs with precision. This iterative optimization process helped them create better-performing and more reliable bicycles.

Moreover, simulation prototyping provided Santa Cruz Bicycles with the opportunity for concurrent engineering. Different teams involved in the design process, such as engineers, designers, and product managers, could collaborate and contribute simultaneously. This collaborative approach further accelerated the design-to-prototype process and ensured that all aspects of the design were considered holistically.

Overall, the implementation of simulation prototyping played a pivotal role in Santa Cruz Bicycles' successful process redesign. It allowed them to save time and resources, optimize designs more effectively, and foster collaboration among different teams. These benefits combined to significantly shorten the design-to-prototype process, enabling the company to bring new designs to market faster.

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Results to a decimal place. Determine the parallel line capacity with the following information. Team A B speed 120 130 Downtime 20% 35% Waste 5% 4%

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The parallel line capacity is 228.2 with the given data.

The parallel line capacity is the amount of goods or parallel line that can be produced simultaneously on two or more identical production lines with the same workforce, equipment, and facility. The parallel line capability can be computed using the following equation:  Parallel line capacity = total capacity / (1 + (downtime * waste))The total capacity is the sum of the output of both lines, which is computed as follows: Team A + Team B = 120 + 130 = 250Down time and waste are expressed as decimals, thus: Downtime of Team A = 0.20Downtime of Team B = 0.35Waste of Team A = 0.05Waste of Team B = 0.04Then we put the values in the given formula as: Parallel line capacity = 250 / (1 + (0.20 + 0.05) * (0.35 + 0.04))= 250 / 1.1645= 228.2The parallel line capacity is 228.2 with the given data.

Equal lines will be lines that never meet, and they structure similar point when they cross a different line. Opposite lines converge at a 90-degree point, shaping a square corner.

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please answer thankyou
Find the general solution of the following differential equation. y" - 12y +35y = 0 NOTE: Use Cy and ce as arbitrary constants. y(t) = =

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The general solution of the following differential equation. y" - 12y +35y = 0 is y(t) = C1e^(5t) + C2e^(7t)

To find the general solution of the given differential equation, we assume a solution of the form y(t) = e^(rt), where r is a constant.

Plugging this solution into the differential equation, we get (r^2 - 12r + 35)e^(rt) = 0. Since e^(rt) is never zero, the equation reduces to r^2 - 12r + 35 = 0.

Solving the quadratic equation, we find two distinct roots: r1 = 5 and r2 = 7.

The general solution is then y(t) = C1e^(5t) + C2e^(7t), where C1 and C2 are arbitrary constants.

The solution consists of two exponential terms, each multiplied by its corresponding arbitrary constant. The term e^(5t) represents the exponential growth component, and the term e^(7t) represents the exponential decay component. The constants C1 and C2 determine the amplitude and phase of these exponential functions, allowing for a wide variety of possible solutions.

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Candice and Dominica are engaged in exchange over two goods: boxes of pens (x)
and boxes of paper (y). They both have inequality averse preferences as defined by
the following equation.
[(x, y), (x, y)] = − mx[ − , 0] − mx[ − , 0]
We assume that and are identical for Candice and Dominica. In this interaction,
the two players each treats themselves as player and their co-participant as player .
The two players have the following initial endowments. Candice has 16 boxes of pens
and 4 of paper. Dominica has 4 of boxes pens and 46 of paper.
a. Graph the Edgeworth box for the exchange between Candice and Dominica
when they each have utilities that are Cobb-Douglas and take the following
form:
1 1
2₁,2
Ui = x+y;

YiCandice knows Dominica's utility takes this form, and vice versa. They use
this information when constructing their
functions. Derive the equation of
the contract curve. In your Edgeworth box, show their initial allocations, their
initial indifference curves, and the contract.
b. Referring to your Edgeworth box, explain the shape of the indifference curves
and how we determine a Pareto efficient allocation in the Edgeworth box.
What would happen if
increased? Explain by referring to your Edgeworth
box. It is useful to think about what happens to marginal utility with changes in
the consumption of pens and paper when changes.

Answers

The shape of the indifference curves and the Pareto efficient allocation in the Edgeworth box are determined by the preferences of Candice and Dominica, as represented by their utility functions and initial endowments.

To graph the Edgeworth box and derive the equation of the contract curve, we need to first understand the preferences and initial endowments of Candice and Dominica.

Preferences:

Both Candice and Dominica have Cobb-Douglas utility functions, which take the following form:

Ui = xi^α * yi^(1-α)

where xi is the quantity of pens, yi is the quantity of paper, and α is a parameter that determines the relative importance of pens and paper in their preferences.

Initial Endowments:

Candice: 16 boxes of pens (x) and 4 boxes of paper (y)

Dominica: 4 boxes of pens (x) and 46 boxes of paper (y)

the shape of the indifference curves and the Pareto efficient allocation in the Edgeworth box are determined by the preferences of Candice and Dominica, as represented by their utility functions and initial endowments.

a. Graphing the Edgeworth Box and Contract Curve:

To graph the Edgeworth box, we need to set up a coordinate system with x and y axes representing the quantities of pens and paper, respectively. The corners of the box are determined by the initial endowments of Candice and Dominica.

Candice's initial allocation: (16, 4)

Dominica's initial allocation: (4, 46)

Next, we draw the indifference curves for both Candice and Dominica. Since they have Cobb-Douglas preferences, their indifference curves are smooth and convex. The shape of the indifference curves is determined by the parameter α in their utility functions. Higher values of α indicate a higher preference for pens, while lower values of α indicate a higher preference for paper.

To find the contract curve, we need to locate the point where both Candice and Dominica are equally well off, known as the Pareto efficient allocation. This occurs where their indifference curves are tangent to each other. The contract curve represents all the Pareto efficient allocations.

The equation of the contract curve can be derived by setting the marginal rates of substitution (MRS) equal for both players. The MRS is the ratio of the marginal utility of pens to the marginal utility of paper.

b. Shape of Indifference Curves and Pareto Efficiency:

In the Edgeworth box, the shape of the indifference curves depends on the value of α. If α is closer to 0, the indifference curves are more concave, indicating a higher preference for paper. If α is closer to 1, the indifference curves are more convex, indicating a higher preference for pens. The exact shape of the indifference curves can be determined by the specific value of α.

A Pareto efficient allocation occurs where it is not possible to make one player better off without making the other player worse off. In the Edgeworth box, this is represented by the tangency of the indifference curves of Candice and Dominica. The contract curve represents all the Pareto efficient allocations, and any point on the contract curve is considered Pareto efficient.

If the value of α changes, it affects the shape of the indifference curves and, therefore, the trade-off between pens and paper for both Candice and Dominica. A higher value of α indicates a higher preference for pens, while a lower value of α indicates a higher preference for paper. As α changes, the slope of the indifference curves changes, reflecting the marginal utility of pens and paper. The specific impact on marginal utility depends on the parameter α and the specific quantities of pens and paper consumed.

Overall, the shape of the indifference curves and the Pareto efficient allocation in the Edgeworth box are determined by the preferences of Candice and Dominica, as represented by their utility functions and initial endowments.

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4. Suppose there is a positive or an expansionary AD shock in the economy. Graphically show how the output gap can be bridged through fiscal policy. (10 marks) 5. Show the effect expansionary monetary policy on output and prices in the following cases for an open economy: (10 marks)
a. Short run b. Long run

Answers

4.In a case where there is a positive or expansionary AD shock in an economy, output gap can be bridged through fiscal policy. Fiscal policy entails the use of government spending and taxation to manage an economy.

The use of fiscal policy to control AD involves adjustments in government spending or tax rates to regulate an economy’s level of AD. In a case where there is an expansionary AD shock, AD curve shifts outwards from AD1 to AD2. The positive shock can be seen in an increase in the output gap. To bridge the output gap, the government could use fiscal policy in a bid to increase aggregate demand and move the economy back to potential GDP. One of the ways that the government could use fiscal policy would be through increasing government expenditure. An increase in government expenditure would lead to an increase in aggregate demand which would lead to a rise in output, thus bridging the output gap. Another way would be for the government to decrease taxes which would lead to an increase in disposable income and an increase in consumption, hence increasing aggregate demand.
5. In the short run, the effect of expansionary monetary policy on output and prices can be determined by the interest rate, output and exchange rate effect. In the short run, expansionary monetary policy leads to a decrease in interest rates, which increases investment and consumption expenditure. This results in an increase in output due to increased aggregate demand.
However, due to increased demand, prices tend to rise which may lead to inflation.
b. In the long run, the effect of expansionary monetary policy on output and prices is determined by the changes in the money supply and velocity of money. In the long run, expansionary monetary policy leads to an increase in money supply which reduces the interest rate, leading to an increase in consumption expenditure. The increase in consumption leads to an increase in output due to an increase in aggregate demand. However, due to the increase in money supply, prices tend to rise. In the long run, the increase in money supply affects the velocity of money leading to inflation as the long run aggregate supply curve is upward sloping. Therefore, the effect of expansionary monetary policy on output and prices in the long run is dependent on the changes in the velocity of money and the long run aggregate supply.

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Marwa & Co purchased a parcel of land six years ago for $075015. At that time, the firm invested $145400 in grading the site so that it would be usable. Since the firm wasert ready to the ate itself at that time, it decided to lease the land for $53,500 a year. The company is now considering building a warehouse on the site as the rental lease is expiring The cur value of the land is $813730. What value should be included in the initial cost of the warehouse project for the use of this land?

Answers

To calculate the value that should be included in the initial cost of the warehouse project for the use of this land, the initial cost of the land is required.

The initial cost of the land comprises the purchase price and any additional expenses that are incurred to make it ready for use such as grading, drainage, and fencing. Given that, Marwa & Co purchased a parcel of land six years ago for $75015.The firm invested $145400 in grading the site so that it would be usable. Since the firm was not ready to use the site itself at that time, it decided to lease the land for $53,500 a year.

The current value of the land is $813730.The initial cost of the land is calculated as the sum of the purchase price and expenses incurred to make the land ready for use. So, Initial cost of the land = Purchase price + Additional expenses incurred on the land= $75015 + $145400= $220415The value that should be included in the initial cost of the warehouse project for the use of this land is $220,415.

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The value should be included in the initial cost of the warehouse project for the use of this land is  $541,415

How to determine the initial cost

To determine the value that should be included in the initial cost, we have that;

From the information given, we get;

Initial cost of purchasing the land = $075015

Investment in grading the site =  $145400

Total lease payments over six years= $53,500/year x 6 years

Multiply the values, we have;

= $321,000

To calculate the value that should be included in the initial cost of the warehouse project

Add the components, we get;

= $075015 + $145400 + $321000

= $541,415

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Compute the modified internal rate of return for the following cash
flows using a discount rate of 9%.
period 0: -869
period 1: 882
period 2: 996
period 3: -89

Answers

The modified internal rate of return (MIRR) for the given cash flows using a discount rate of 9% is approximately 23.9%.

To compute the modified internal rate of return (MIRR) for the given cash flows using a discount rate of 9%, we need to follow these steps:

Step 1: Calculate the future value (FV) of positive cash flows.

FV = Cash Flow1 * (1 + Discount Rate)^(Period1) + Cash Flow2 * (1 + Discount Rate)^(Period2) + ... + Cash Flown * (1 + Discount Rate)^(Periodn)

FV = 882 * (1 + 0.09)^1 + 996 * (1 + 0.09)^2 - 89 * (1 + 0.09)^3

FV = 882 * 1.09 + 996 * 1.09^2 - 89 * 1.09^3

FV = 958.98 + 1092.47 - 105.13

FV = 1946.32

Step 2: Calculate the present value (PV) of negative cash flows.

PV = Cash Flow0 / (1 + Discount Rate)^(Period0)

PV = -869 / (1 + 0.09)^0

PV = -869

Step 3: Calculate the MIRR using the formula:

MIRR = (FV / PV)^(1 / Total Number of Periods) - 1

MIRR = (1946.32 / 869)^(1 / 3) - 1

MIRR = 1.239 - 1

MIRR = 0.239

Therefore, the modified internal rate of return (MIRR) for the given cash flows using a discount rate of 9% is approximately 23.9%.

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Identify the population and sample for the scenario. a company decides to do a survey of overall employee happiness by randomly selecting 100 employees to take a survey.

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The population is the group of economics  people, things, or objects that are the focus of a research study. A sample is a small portion or subset of the population that is taken for research purposes.

A company decides to survey overall employee happiness by randomly selecting 100 employees to take a survey. The population is the whole company's employees, and the sample is the 100 employees who participated in the survey.

It's important to note that the sample size is only a fraction of the overall population and was randomly selected to ensure that the sample is representative of the entire population.In conclusion, the population in the scenario is all the company employees, while the sample is 100 employees who are randomly selected to participate in the survey.

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Case 1: Operations management processes at The Taste of Africa Eric Ndlovu owns and runs The Taste of Africa, a fast food restaurant in the heart of Soweto. The business opened its doors in April 2010 ahead of the 2010 FIFA World Cup in the expectation of tourists’ influx in the country. The idea was to offer international and local customers a taste of the delicious South African cuisine in a fast and efficient manner in a welcoming and friendly environment. The restaurant experience would be such that customers would not only experience exquisitely tasty meals, but also be exposed to how to meals would be prepared. The Taste of Africa prides itself on the wide variety of meals on its menu, with its speciality being the Mzansi kota, which is made of a quarter loaf of bread, fried potato chips, a Russian sausage, some sauce, some ham/polony, a portion of fried onion rings, topped up with a vienna sausage and some an extra beef, chicken or rib patty depending on the customer’s preference. Eric sources the fresh ingredients from local vegetable outlets around Soweto. He has also handpicked the restaurant staff by selecting top graduates from the School of Tourism and Hospitality management from a local university in Johannesburg to work in his facility where they can hone their skills in his kitchen under the supervision of the experienced head chef Thabiso Sithole.

Answers

The Taste of Africa focuses on providing a wide variety of flavorful meals, showcasing the rich culinary culture of South Africa. The combination of fresh ingredients, skilled staff, and a welcoming environment contributes to the restaurant's aim of delivering a memorable dining experience to its customers.

The Taste of Africa, owned and operated by Eric Ndlovu, is a fast food restaurant in Soweto, South Africa. The restaurant aims to provide both local and international customers with a fast and efficient dining experience that offers a taste of delicious South African cuisine. One of their specialty dishes is the Mzansi kota, a unique sandwich made with various ingredients. Eric ensures the quality of the food by sourcing fresh ingredients from local vegetable outlets in Soweto.

To maintain high standards in the kitchen, Eric has hired top graduates from the School of Tourism and Hospitality Management at a local university in Johannesburg. These skilled individuals have the opportunity to work under the supervision of the experienced head chef, Thabiso Sithole, allowing them to further develop their culinary skills.

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The following information describes a manufacturing system: Daily demand is 1,025 units. Replenishment lead time is 1.5 days. A 2.5 day safety stock is desired. Products are stored in containers that hold 940 units. Round your answer up to the next integer value. How many kanban containers are needed for this system?

Answers

In this manufacturing system, 5 Kanban containers are required to meet demand and keep a safety stock of 2.5 days.

To determine the number of Kanban containers needed, we need to consider the daily demand, replenishment lead time and desired safety stock. The daily demand is given as 1,025 units. Since the replenishment lead time is 1.5 days, we need to account for the demand during this lead time. Therefore, the demand during the lead time is 1,025 * 1.5 = 1,537.5 units.

To account for a safety stock of 2.5 days, we need to calculate the safety stock quantity. The safety stock is the additional inventory held to mitigate uncertainties in demand or lead time. In this case, the safety stock is 1,025 * 2.5 = 2,562.5 units.

To determine the total quantity needed per Kanban container, we sum the average daily demand, demand during lead time, and safety stock: 1,025 + 1,537.5 + 2,562.5 = 5,125 units.

Since the containers can hold 940 units each, we divide the total quantity by the container capacity: 5,125 / 940 = 5.45.

Finally, rounding up to the next integer value, we find that a total of 5 Kanban containers are needed for this system to meet the demand and maintain the desired safety stock level.

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A company sells 10,000 shares of previously authorized stock at the par value of $10 per share. What's the correct entry to record the transaction?

a. Debit cash$10,000, credit capital stock $10,000

b. Debit capital stock$100,000, credit cash $100,000

c. Debit cash$100,000, credit capital stock $100,000

d. Debit cash$100,000, credit treasury stock $100,000

e. Debit cash$10, credit capital stock $10

Answers

The entry should be to debit cash for $10,000 and credit capital stock for $10,000.

a. debit cash $10,000, credit capital stock $10,000

the correct entry to record the transaction of selling 10,000 shares of previously authorized stock at the par value of $10 per share is:

explanation:when shares are sold at the par value, the cash received from the sale is recorded as an increase to the cash account (debit), and the corresponding capital stock account is credited to reflect the issuance of new shares. in this case, since 10,000 shares were sold at $10 per share, the total cash received is $10,000. option a. debit cash $10,000, credit capital stock $10,000 is the correct entry to record the transaction.

A company sells 10,000 shares of previously authorized stock at the par value of $10 per share.

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Bonds issued by the Coleman Manufacturing Company have a par value of $1,000, which is also the amount of principal to be paid at maturity. The bonds are currently selling for $780. They have 10 years to maturity. Annual interest is 18 percent ($180), paid semiannually. Compute the yield to maturity. (Do not round intermediate calculation. Use a Financial calculator to arrive at the answers. Round the final answer to 2 decimal places.)

Answers

The yield to maturity of the bonds issued by the Coleman Manufacturing Company is approximately 24.37%. This means that investors who purchase these bonds and hold them until maturity can expect to earn an annualized return of 24.37% on their investment.

To calculate the yield to maturity, we need to find the rate of return that equates the present value of the bond's future cash flows (interest payments and principal repayment) with its current market price. In this case, the bond has a par value of $1,000, which is the amount of principal to be paid at maturity. The bond is currently selling for $780. The annual interest payment is $180, paid semiannually.

Using a financial calculator or spreadsheet, we can input the relevant values into the yield-to-maturity formula and solve for the rate that satisfies the equation. The calculation takes into account the time remaining until maturity, the coupon rate (18%), the bond's current market price, and the future cash flows. After performing the calculation, we find that the yield to maturity is approximately 24.37%.

Investors should consider the yield to maturity when evaluating the attractiveness of the bonds. A higher yield to maturity indicates a higher potential return on investment. In this case, with a yield to maturity of 24.37%, the bonds may be considered more attractive to investors who are seeking a higher rate of return. However, it's important to note that the yield to maturity assumes that the bond will be held until maturity and that all interest payments will be reinvested at the same rate.

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Define the following and provide examples where necessary.
a Negative externality b Positive externality c External marginal costs d Pigouvian tax
e Private good

Answers

a) Negative externality: A negative externality refers to the adverse impact of an economic activity on third parties who are not directly involved in the activity. It occurs when the actions of producers or consumers impose costs on others without compensation. For example, pollution emitted by a factory causing health problems for nearby residents is a negative externality.

b) Positive externality: A positive externality occurs when the actions of producers or consumers create benefits for third parties without receiving compensation. It is a spillover effect that results in social benefits. For instance, when a homeowner installs solar panels, it not only reduces their own electricity bills but also contributes to reducing overall carbon emissions and benefiting the environment.

c) External marginal costs: External marginal costs refer to the additional costs imposed on society as a whole due to the production or consumption of a good or service. These costs are not reflected in the private costs incurred by producers or consumers. For example, if a factory pollutes a river, the costs of cleaning and restoring the polluted water are external marginal costs.

d) Pigouvian tax: A Pigouvian tax is a government-imposed tax on activities that generate negative externalities. It is designed to internalize the external costs by making the polluter pay for the harm caused. The tax amount is set equal to the marginal external cost imposed by the activity. For instance, a tax on carbon emissions aims to reduce greenhouse gas emissions by charging polluters for the environmental damage caused.

e) Private good: A private good is a type of good that is excludable and rivalrous in consumption. Excludability means that it is possible to prevent others from consuming the good unless they pay for it. Rivalry in consumption implies that the consumption of the good by one person reduces the quantity available for others. Examples of private goods include clothing, food, and electronics, as they can be owned and used exclusively by individuals, and their consumption by one person limits their availability for others.

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A call option with an exercise price of $33 and 4 months to expiration has a price of $3.75. The stock is currently priced at $17.87, and the risk-free rate is 4 percent per year, compounded continuously. What is the price of a put option with the same exercise price? Multiple Choice
$19.37 $18.07 $18.44 $11.81 $0.44

Answers

The price of a put option with the same exercise price is approximately $18.52.

None of the provided multiple-choice options match the calculated price.

To calculate the price of a put option with the same exercise price, we can use the put-call parity formula:

Put Option Price + Stock Price = Call Option Price + Present Value of Exercise Price

In this case, the call option price is  $3.75, the stock price is $17.87, and the exercise price is $33.

Putting the values into the formula, we have:

Put Option Price + $17.87 = $3.75 + (e^(-0.04 * 4/12) * $33)

Simplifying the equation, we get:

Put Option Price + $17.87 = $3.75 + $32.64

Rearranging the equation, we find:

Put Option Price = $3.75 + $32.64 - $17.87

Put Option Price = $18.52

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Broadcom Inc is expected to have EPS of $2 and ROE of 0.1818 in the coming year. If the firm is expected to continue to retain 92% of earnings for the foreseeable future, what's the intrinsic value of the stock if the required return is 11%?

Answers

EPS (Earnings Per Share) = $2ROE (Return on Equity) = 0.1818 Retention Ratio = 92% Required Return = 11%Formula to find the intrinsic value of stock is $32.17.

The intrinsic value of stock = (Dividend per share * Retention Ratio) / (Required return - Growth rate)

The dividend payout ratio is the inverse of the retention ratio.

Therefore, Dividend payout ratio = 1 - Retention ratio= 1 - 0.92 = 0.08 or 8% Growth rate (g) = Retention Ratio * ROE= 0.92 * 0.1818 = 0.1672 or 16.72%

Substitute the given values in the above formula, Intrinsic value of the stock = ($2 * 0.92) / (0.11 - 0.1672)= $1.84 / (-0.0572)= $32.17 Therefore, the intrinsic value of the stock is $32.17.

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You are the manager of a nonprofit orphanage. At the end of the year, a local car dealer approaches you with a proposition. He will give you a two-year-old van worth $10,000 that he has just taken as a trade-in on a new vehicle if you will provide him with a tax-deductible donation receipt for a new van worth $30,000. Your current transportation is in very bad shape, and the children really enjoy the field trips they take. Do you accept his proposition? What ethical theory are you using? What are the limitations of this ethical theory in addressing this and other ethical dilemmas?

Answers

As the manager of a nonprofit orphanage, the decision to accept or decline the car dealer's proposition requires careful consideration.

From an ethical standpoint, one relevant ethical theory that could be applied in this situation is consequentialism, specifically utilitarianism. Utilitarianism suggests that the ethical action is the one that produces the greatest overall happiness or utility for the greatest number of people. In this case, accepting the proposition would provide a new van worth $10,000 to the orphanage, benefiting the children and enhancing their field trip experiences. However, it is important to assess the limitations of utilitarianism in addressing ethical dilemmas. One limitation is the potential disregard for individual rights and fairness.

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A company offers 30-year, 10% semiannual coupon bond. If the
yield to maturity is 11%, the bond price should be quoted as what
percentage of the par value?

Answers

The bond price should be quoted as approximately 38.67% of the par value.

When the yield to maturity is higher than the coupon rate, the bond price will be less than the par value. In this case, the bond has a 10% semiannual coupon rate and a 30-year maturity. The yield to maturity is 11%. To determine the bond price as a percentage of the par value, we can use the present value formula. Now, we can calculate the present value of the bond's cash flows using the present value formula for a bond:

Bond Price = Coupon Payment * [1 - (1 + Discount Rate per Period)^(-Total Periods)] / Discount Rate per Period + Par Value / (1 + Discount Rate per Period)^Total Periods

Let's plug in the given values and calculate the bond price:

Coupon Payment = (10% / 2) * Par Value = 0.05 * Par Value

Total Periods = 60

Discount Rate per Period = 11% / 2 = 0.055

Par Value = 100 (assuming par value is 100)

Bond Price = 0.05 * [1 - (1 + 0.055)^(-60)] / 0.055 + 100 / (1 + 0.055)^60

Bond Price ≈ 0.3822 * Par Value + 0.0045 * Par Value = 0.3867 * Par Value

Therefore, the bond price should be quoted as approximately 38.67% of the par value.

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Star Co. reported cost of goods sold of €192,000 on its 2017
income statement. The company’s beginning inventory was €35,000.
The ending inventory was valued at €40,000. The Accounts Payable
b

Answers

The Cash Payments to Suppliers is €189,000.

How much were the cash payments to suppliers?

To know cash payments to suppliers, we need to consider the change in the Accounts Payable balance.

Given data:

Beginning Accounts Payable balance: €25,000

Ending Accounts Payable balance: €22,000

Change in Accounts Payable:

= €22,000 - €25,000

= -€3,000

The change in Accounts Payable represents a decrease in the amount owed to suppliers. Since the cost of goods sold is an expense that reduces the net income, the cash payments to suppliers can be calculated as follows:

Cash Payments to Suppliers = Cost of Goods Sold + Change in Accounts Payable

Cash Payments to Suppliers = €192,000 + (-€3,000)

Cash Payments to Suppliers = €189,000.

Full question:

Star Co. reported cost of goods sold of €192,000 on its 2017 income statement. The company’s beginning inventory was €35,000. The ending inventory was valued at €40,000. The Accounts Payable balance at January 1 was €25,000. The December 31 balance in Accounts Payable was €22,000. Compute cash payments to suppliers.

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as a researcher preparing a manuscript for publication, you should choose a citation system regarded as conventional in your research community by examining

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As a researcher preparing a manuscript for publication, you should choose a citation system regarded as conventional in your research community by examining its style manual. A citation is a reference to a source used in a research paper or report.

Citations give credit to authors who have contributed to the research, show the work's originality, and help readers trace back to the initial source of the idea or data. The citation style or format used in a study is determined by the academic discipline in which the writer is working. The citation style used is dependent on the scholarly discipline, university, or journal.

Different disciplines use various citation formats, such as the American Psychological Association (APA), the Modern Language Association (MLA), and the Chicago Manual of Style (CMS), among others. When it comes to citation styles, there is no one-size-fits-all solution, and you must choose the appropriate citation style for your research paper or report. In a nutshell, choose a citation system regarded as conventional in your research community by examining its style manual, and consider which citation style would best suit your field of research, and the preferences of your professor or publisher.

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