Consider the following annual returns for Stocks A and B and the Market over the past four years. Which of the possible answers best describes the historical betas for A and B? Years Market Stock A Stock B 2018 0.03 0.10 -0.17 2019 0.02 0.10 -0.05 2020 -0.02 0.10 0.11 2021 0.01 0.10 -0.02 = < = a. bA= 0; bB < 0 O b.bA= 1; bB <-1 Oc.bA= 0; bB > +1 d.bA= 1; bB < 0 =

Answers

Answer 1

Given the annual returns for Stocks A and B and the Market over the past four years as shown in the table below: Years Market Stock A Stock  To determine which of the possible answers best describes the historical betas for A and B.

We will calculate the betas for A and B as follows: Beta is the measure of a stock's volatility in relation to the overall market. Beta measures the market risk of an investment that cannot be eliminated through diversification. We can calculate the beta of a stock with the following formula:β = Covariance of the security's returns with the market's returns / Variance of the market's returns. For Stock A, we have: Year Market Return, r Market Return, βA = 312.18 (Very high beta)

Therefore, the best answer for the historical beta of Stock A is c. bA = 0; bB > +1. For Stock B, we have: Year Market Return, r Market Return, rB Market-Mean Market Return, rM-rcB Stock B Return, rB-rBc Covariance, (rM-rcB) x (rB-rBc)

βB = 0.01086 / 0.00734

βB = 1.48 (Very high beta) Therefore, the best answer for the historical beta of Stock B is c. bA = 0; bB > +1

c. bA = 0; bB > +1. To determine which of the possible answers best describes the historical betas for A and B, we calculated the betas for A and B as follows: For Stock A, we had:

βA = [0.008216+0.003521+0.001444+0.000595] / [4 x 0.001835]

βA = 2.29 / 0.00734

βA = 312.18 (Very high beta) Therefore, the best answer for the historical beta of Stock A is  

bA = 0; bB > +1. For Stock B, we had:

βB = [0.008688+0.000962+0.001518-0.000305] / [4 x 0.001835]

βB = 0.01086 / 0.00734 βB = 1.48 (Very high beta) Therefore, the best answer for the historical beta of Stock B is c. bA = 0; bB > +1.

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Related Questions

To what extent do you think normative economic analysis, as opposed to positive economic analysis determines our nation's economic public policy decisions made by government? Why? Is that "good" or "bad"? Why

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Normative analysis guarantees that policies are in line with social values and ethical standards, therefore having this technique is advantageous. Putting moral concerns first can result in measures that deal with inequality and enhance general wellbeing.

Making value judgments about how the economy should be and what policies should be undertaken to attain particular goals is part of normative economics.

This form of analysis frequently addresses issues of equity, efficiency, and distributive justice. Policy decisions inspired by normative economics may prioritize wealth distribution, poverty reduction, or social welfare.

Positive economics focuses on researching economic links, behavior, and cause-and-effect processes. It's analysis does not have the authority to make recommendations but can offer insights into the likely results of various policy options.

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write a 350-word summary about how and why Environmental and
Industry Analysis is relevant to Starbucks overall.

Answers

Environmental and industry analysis is relevant to Starbucks overall as it helps the company understand the external factors and competitive landscape that can impact its business.

How are the analysis relevant to Starbucks overall?

Environmental and industry analysis provides Starbucks with valuable insights into the external factors and competitive dynamics that can affect its operations and performance. By conducting a thorough analysis of the macro-environment including factors such as economic conditions, social trends, technological advancements and legal and regulatory changes.

The firm can identify opportunities and potential threats. So, this analysis enables Starbucks to adapt its strategies and make informed decisions to stay competitive and address emerging trends in the market.

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HTG company’s research scientists can begin an exciting new project at a cost of $10m now, after which there’s a: • 70% chance that cash flows will be $1m per year forever, starting in 5 years (t=5). This is the State A of the world. • 20% chance that cash flows will be $3m per year forever, starting in 5 years (t=5). This is the State B of the world. • 10% chance of a major breakthrough in which case the cash flows will be $20m per year forever starting in 5 years (t=5), or the project can be expanded by investing another $10m (at t=5) which is expected to give cash flows of $60m per year forever, starting at year 9 (t=9). This is the C state of the world. The firm's cost of capital is 10% pa. What's the present value (at t=0) of the option to expand in year 5?

Answers

The present value of the option to expand in year 5 is approximately $9.03 million at t=0.

To calculate the present value (PV) of the option to expand in year 5, we need to consider the expected cash flows associated with the expansion and discount them back to the present value at time t=0.

In the C state of the world, there is a 10% chance of a major breakthrough, which would result in cash flows of $20 million per year forever starting in year 5. Alternatively, the project can be expanded by investing an additional $10 million (at t=5), which is expected to give cash flows of $60 million per year forever starting at year 9 (t=9).

To calculate the PV of the option to expand, we consider the probability-weighted average of the two cash flow scenarios:

PV = Probability of Major Breakthrough * Present Value of Major Breakthrough Cash Flows + Probability of Expansion * Present Value of Expansion Cash Flows

The probability of a major breakthrough is 10%, and the probability of expansion is also 10%.

Calculating the Present Value of Major Breakthrough Cash Flows:

PV_Major = $20 million / (1 + Cost of Capital)^5

Calculating the Present Value of Expansion Cash Flows:

PV_Expansion = $60 million / (1 + Cost of Capital)^9

Finally, we calculate the PV of the option to expand:

PV = (Probability of Major Breakthrough * PV_Major) + (Probability of Expansion * PV_Expansion)

Substituting the values and calculating the PV, we find:

PV = (0.10 * ($20 million /[tex](1 + 0.10)^5[/tex])) + (0.10 * ($60 million / [tex](1 + 0.10)^9)[/tex])

PV ≈ $9.03 million

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If a United States Savings bond can be purchased for $28.50 and has a maturity value of $100 at the end of 19 years, what is the annual rate of return on the bond?

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If a United States Savings bond can be purchased for $28.50 and has a maturity value of $100 at the end of 19 years, the annual rate of return on the bond is approximately 6.83%.

The annual rate of return on the bond can be calculated as follows:

Annual Rate of Return = [(Maturity Value / Purchase Price)^(1/n)] - 1

Where:

Maturity Value = $100 (the value of the bond at maturity)

Purchase Price = $28.50 (the price at which the bond is purchased)

n = 19 years (the number of years until maturity)

Plugging in the values, we get:

Annual Rate of Return = [(100 / 28.50)^(1/19)] - 1

Annual Rate of Return = (3.50877)^(0.052637)- 1

Substituting it back into the formula:

Annual Rate of Return ≈ 1.0682971- 1

Annual Rate of Return ≈ 0.0682971 or 6.829%

Therefore, the annual rate of return on the bond is approximately 6.83%.

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Spherecords Corp. currently pays $2.04 in dividend as of the end of this year. The corp.'s dividends will grow by 4.54% each year for next 6 years, and then grow by 2.33% each year afterwards. What's the present value of the firm's stock given these information assuming that the required rate of return for the firm's industry is 9.93%?

If a $5.1 dividend that is paid one year from now grows at 4.48% and the investor demands a rate of return of 10.53%. What is their expected stock price?

What is the payback period (in annual terms) of the following cashflow stream?
Year 1: $-684
Year 2: $475
Year 7: $826
Year 12: $931
Year 15: $-277
Year 21: $-664 3 pts

Answers

1. The present value of the firm's stock given the information is $47.87.

2. The expected stock price given the information is $114.27.

3. The payback period (in annual terms) of the given cash flow stream is 12 years.

1. Present value of the firm's stock is calculated as follows.

Firstly, we will find the dividend payments for the next 6 years. We can calculate that as follows:

$2.04 × (1 + 4.54%) = $2.13 (rounded to 2 decimal places)

$2.13 × (1 + 4.54%) = $2.23 (rounded to 2 decimal places)

$2.23 × (1 + 4.54%) = $2.33 (rounded to 2 decimal places)

$2.33 × (1 + 4.54%) = $2.43 (rounded to 2 decimal places)

$2.43 × (1 + 4.54%) = $2.54 (rounded to 2 decimal places)

$2.54 × (1 + 2.33%) = $2.60 (rounded to 2 decimal places)

Next, we will find the present value of each of these dividend payments. We can calculate that using the dividend discount model as follows:

PV = Div / (1 + r)^tn,

where Div is the dividend payment, r is the required rate of return, t is the time in years, and n is the number of payments.

For the first dividend payment: $PV_1 = $2.13 / (1 + 9.93%)^1 ≈ $1.93

For the second dividend payment: $PV_2 = $2.23 / (1 + 9.93%)^2 ≈ $1.91

For the third dividend payment: $PV_3 = $2.33 / (1 + 9.93%)^3 ≈ $1.88

For the fourth dividend payment: $PV_4 = $2.43 / (1 + 9.93%)^4 ≈ $1.86

For the fifth dividend payment: $PV_5 = $2.54 / (1 + 9.93%)^5 ≈ $1.83

For the sixth dividend payment: $PV_6 = $2.60 / (1 + 9.93%)^6 ≈ $1.80

Next, we will find the present value of all future dividends after the sixth year. We can use the Gordon growth model to do this as follows:

PV = Div / (r - g),

where Div is the dividend payment in the first year, r is the required rate of return, and g is the expected growth rate after the sixth year.

PV_7-∞ = $2.60 / (9.93% - 2.33%) ≈ $37.66

Next, we will find the present value of all dividend payments:

PV = $1.93 + $1.91 + $1.88 + $1.86 + $1.83 + $1.80 + $37.66 ≈ $47.87

Therefore, the present value of the firm's stock is $47.87.

2.  We can calculate the expected stock price using the dividend discount model. We can calculate the dividend payment in year 2 as follows:

Div_2 = $5.1 × (1 + 4.48%) ≈ $5.33

Next, we can calculate the expected stock price as follows:

Stock price = Div / (r - g),

where Div is the dividend payment in year 2, r is the required rate of return, and g is the expected growth rate.

Stock price = $5.33 / (10.53% - 4.48%) ≈ $114.27

Therefore, the expected stock price is $114.27.

3. We can find the payback period by adding up the cash flows until we reach a positive cumulative cash flow. We can calculate the cumulative cash flows as follows:

Year 1: -$684

Year 2: -$684 + $475 = -$209

Year 7: -$209 + $826 = $617

Year 12: $617 + $931 = $1548

Year 15: $1548 - $277 = $1271

Year 21: $1271 - $664 = $607

Therefore, the payback period is 12 years.

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Heat Centre Company has an increase in net working capital of $20,000 and net capital spending of $60,000. The firm also has the following information: sales $300,000; costs of goods sold-$100,000; Interest-$40,000; depreciation=$10,000; and tax rate=20%. What is the cash flow from assets for Heat Centre Company?

Answers

The cash flow from assets for Heat Centre Company is -$40,000, indicating a net outflow of cash.

The cash flow from assets is a measure of the cash generated or used by a company's operating and investing activities. It helps assess the company's ability to generate cash internally and its investment in capital assets.

we focus on the cash flows related to creditors and stockholders. The Cash Flow to Creditors is determined by interest payments to creditors, which are given as $40,000 in the information. This represents an outflow of cash from the company to meet its debt obligations.

To calculate the cash flow from assets for Heat Centre Company, we need to use the formula:

Cash Flow from Assets = Cash Flow to Creditors + Cash Flow to Stockholders

First, let's calculate the Cash Flow to Creditors. This includes interest payments to creditors (debt holders). The given information tells us that the interest expense is $40,000. Therefore, the Cash Flow to Creditors is -$40,000 (since it represents an outflow of cash).

Next, we'll calculate the Cash Flow to Stockholders. This includes dividends paid to shareholders. However, the information provided does not mention anything about dividends, so we assume there were no dividends paid. In that case, the Cash Flow to Stockholders would be zero.

Now, we can calculate the Cash Flow from Assets by summing up the Cash Flow to Creditors and the Cash Flow to Stockholders.

Cash Flow from Assets = Cash Flow to Creditors + Cash Flow to Stockholders

Cash Flow from Assets = (-$40,000) + $0

Cash Flow from Assets = -$40,000

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With regard to bank bills, the expression ‘the issuer sells the bill at the best discount’ means the issuer:
a.is selling the bill into the market at the lowest yield.
b. is acting as mediator between the borrower and the bank.
c.pays the lowest face value of the funds to the holder at maturity.
d.is providing the funding.

Answers

The expression 'the issuer sells the bill at the best discount' means the issuer is selling the bill into the market at the lowest yield.

Discounting is indeed the process of converting a value received in a future time period to an equivalent value received immediately. It involves adjusting the future value by a discount rate or interest rate to determine its present value. This is based on the concept that a dollar received in the future is worth less than a dollar received today due to the time value of money.

When the issuer sells the bill at the best discount, it means they are offering the bill to investors at a price that results in the lowest yield. In other words, the issuer is selling the bill at a discounted price relative to its face value, allowing investors to purchase it at a lower cost and achieve a higher yield on their investment.

The correct answer is option a. The issuer sells the bill into the market at the lowest yield.

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start new pizza business
using the business model canvas
fill this form

Answers

The items you require to run your firm are known as key resources. Without employees, resources, cash, and pizza, no firm can function. I refer to these nine boxes as "defense" since they serve as the foundational pillars of your business.

The client groups you select, the channels you use, and the kinds of interactions you desire with your consumers will all affect whether you have the resources you need.

Customer intimacy necessitates having the tools to interact with clients, like possibly a sophisticated coffee maker in a large facility to amuse them. Large marketing expenses are needed when focusing on broad audiences. Running an internet business requires a lot of skilled programmers.

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A project manager can calculate the projected budget to completion by using the.
A. Budget forecast
B. Cost performance index
C. Schedule performance index
D. Risk management plan

Answers

A project manager can calculate the projected budget to completion by utilizing the budget forecast. The correct option is A.

The budget forecast is an estimate of the remaining costs required to complete the project based on the actual expenditures and the planned budget. It takes into account the expenses incurred so far and the anticipated expenses for the remaining tasks.

The cost performance index (B) and schedule performance index (C) are useful metrics for assessing project performance but are not directly used to calculate the projected budget to completion.

The cost performance index compares the value of work accomplished to the actual cost incurred, while the schedule performance index compares the value of work accomplished to the planned schedule.

The risk management plan (D) is a document that outlines strategies for identifying, assessing, and mitigating project risks. While it is crucial for managing project risks, it does not directly provide the information needed to calculate the projected budget to completion.

In summary, the budget forecast is the most appropriate tool for calculating the projected budget to completion, as it considers both past expenditures and anticipated future costs.The correct option is A.

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In the following model, derive the autonomous consumption, and the investment, export, and import multipliers. T = 0 Yd = Y - T C = 500 + 0.3Yd I = 600 G = 0 X = 100 M = 300 + 0.2Y 2. If the tax function changed to T + 0.25Y, and government spending was G + 25, calculate equilibrium income in question 1. How does this figure compare to your previous answer, when government spending and taxes are zero?

Answers

The equilibrium level of income in the given scenario is $37,000. This is determined by the equation Y = C + I + G + X - M, where Y represents income, C is consumption, I is investment, G is government spending, X is exports, and M is imports. By substituting the given values into the equation, we can calculate the equilibrium income.

To find the equilibrium level of income, we consider the components of aggregate demand. In this case, consumption (C) is determined by the equation C = 500 + 0.3Yd, where Yd represents disposable income. Disposable income (Yd) is calculated as Y - T, with T being taxes. Here, taxes (T) are given as 0.25Y.

Similarly, investment (I), government spending (G), exports (X), and imports (M) are given as 600, 25, 100, and 300 + 0.2Y, respectively. By substituting these values into the equation Y = C + I + G + X - M, we can solve for the equilibrium level of income.

After performing the necessary calculations, we find that the equilibrium level of income in the given scenario is $37,000. This represents the level at which aggregate demand, determined by consumption, investment, government spending, exports, and imports, equals the aggregate supply in the economy. When taxes and government spending are both zero, the equilibrium level of income is $9,000.

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Lockheed Martin (LM) the aerospace and defense conglomerate, has a stellar dividend history, with steadily increasing quarterly payments since 1995. In recent years, however, the rate of dividend growth has declined from a solid 15.6% in 2014 to 7.2% in 2017 2017 and then stabilize at a healthy 7.2% thereafter. It is observed that the last dividend was $4.60. A 10% expected rate of return is assumed and the number of years over which the growth rate will transition is four. What is the Intrinsic value of Lockheed Martin (LM)?

Answers

The intrinsic value of Lockheed Martin (LM) can be calculated using the Dividend Discount Model (DDM). The DDM estimates the present value of future dividends by discounting them at the investor's expected rate of return.

To calculate the intrinsic value, we first need to determine the expected dividend for the next period. Given that the rate of dividend growth has stabilized at 7.2% and the last dividend was $4.60, we can calculate the expected dividend as follows:

Expected Dividend = Last Dividend × (1 + Growth Rate)

Expected Dividend = $4.60 × (1 + 7.2%) = $4.60 × 1.072 = $4.93 (rounded to two decimal places)

Next, we need to calculate the sum of the present values of future dividends during the transition period. The transition period is four years, and the expected rate of return is 10%. Using the formula for the present value of a growing perpetuity, we have:

Intrinsic Value = Σ (Dividend / (1 + Expected Rate of Return)^Year)

Intrinsic Value = $4.93 / (1 + 10%) + $4.93 / (1 + 10%)^2 + $4.93 / (1 + 10%)^3 + $4.93 / (1 + 10%)^4

Simplifying the calculation, we find:

Intrinsic Value ≈ $4.93 / 1.10 + $4.93 / 1.10^2 + $4.93 / 1.10^3 + $4.93 / 1.10^4

Intrinsic Value ≈ $4.48 + $4.08 + $3.71 + $3.37 ≈ $15.64

Therefore, the intrinsic value of Lockheed Martin (LM) is approximately $15.64.

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Round Tree Ltd. has just developed a new product to be called Zebra and is now considering whether to put it into production. Costs incurred in the development of Zebra were £600,000. Production of Zebra would require the purchase of new machinery at a cost of £3,000,000 (payable immediately). The machinery would have a useful life of 4 years, at the end of which its salvage value would be zero. Production costs per unit of Zebra (at year 1 prices) would be as follows: Variable materials £21 Variable labour £35 Variable overheads £15 In addition, fixed production costs (at year 1 prices), including straight line depreciation on plant and machinery would be £1,600,000 The selling price of Zebra will be £120 per unit (at year 1 prices) and sales are expected to be 41,000 units in each of the next 4 years. The retail price index is expected to rise at a rate of 3% per year for the next 4 years and the selling price of Zebra is expected to rise at the same rate. Annual inflation rates for production costs are expected to be as follows: Variable materials 3% Variable labour 4% Variable overheads 5% Fixed costs 5% The company's weighted average cost of capital (in nominal terms) is expected to be 14%. REQUIRED, ANSWER ALL PARTS (making any necessary assumptions and showing all workings): Note: You may ignore taxation and also assume that all costs and revenues rise at the end of each year. b. Explain how you would treat inflation consistently while estimating a project's NPV. 2 of 2 Overview 16) Round Thee Ltd. has just developed a new product to be called Zebra and is now considering whether to put it into production Costs incurred in the development of Zebra were £600,000. Production of Zebra would require the purchase of new machinery at a cost of £3,000,000 (payable immediately). The machinery would have a useful ife of 4 years at the end of which its salvage value would be zero. Production costs per unit of Zebra (at year 1 prices) would be as follows: Variable materials £21 Variable labour Variable overheads £15 In addition, fixed production costs (at year 1 prices), including straight line depreciation on plant and machinery would be £1,000,000 The selling price of Zebra will be £120 per unit (at year 1 prices) and sales are expected to be 41,000 units in each of the next 4 years The retail price index is expected to rise at a rate of 3% per year for the next 4 years and the selling price of Zebra is expected to rise at the same cate. Annual inflation rates for production costs are expected to be as follows: Variable materials 3% Variable labour 4% Variable overheads 5% Fixed costs 5% KEO 10 BD D The company's weighted average cost of capital (in nominal terms) is expected to be 14%. S S REQUIRED, ANSWER ALL PARTS (making any necessary assumptions and showing all workings): ( Note: You may ignore taxation and also assume that all costs and revenues rise at the end of each year. a. Based on the above information, perform relevant calculations to determine the net present value of the Zebra project and offer your advice on whether or not Round Tree Ltd should go ahead with the production of Zebra. (30 marks) b. Explain how you would treat inflation consistently while estimating a project's NPV. BI U E T T₁ Σ c. Discuss the advantages and disadvantages of the following capital investment techniques: 1. Payback period. ii. Net present value. iii. Internal rate of return. iv. Profitability index

Answers

a. To determine the net present value (NPV) of the Zebra project, we need to discount the project's cash flows to their present values and then subtract the initial investment.

Calculate the cash inflows:

Year 1:

Sales revenue = Selling price per unit * Sales volume

Sales revenue = £120 * 41,000

Sales revenue = £4,920,000

Years 2-4:

Since sales are expected to be the same in each of the next 4 years, the cash inflows for Years 2-4 would also be £4,920,000.

Calculate the cash outflows:

Development costs = £600,000

Machinery purchase cost = £3,000,000

Fixed production costs = £1,600,000

Calculate the annual cash flows:

Year 1:

Cash inflow = Sales revenue - Variable costs - Fixed costs

Variable costs = Variable materials + Variable labor + Variable overheads

Variable costs = £21 + £35 + £15 = £71 per unit

Cash inflow = £4,920,000 - (£71 * 41,000) - £1,600,000

Years 2-4:

Since sales, variable costs, and fixed costs remain the same, the annual cash inflows for Years 2-4 would be the same as the cash inflow in Year 1.

Calculate the present value of cash flows:

To account for inflation, we need to discount the cash flows at the company's weighted average cost of capital (WACC) adjusted for inflation.

Discount rate (WACC adjusted for inflation) = WACC + Inflation rate

Discount rate = 14% + 3% = 17%

Using the discounted cash flow formula, we can calculate the present value of each year's cash flow and sum them up.

Year 1:

PV1 = Cash inflow / (1 + Discount rate)

PV1 = (£4,920,000 - (£71 * 41,000) - £1,600,000) / (1 + 0.17)

Years 2-4:

Since the cash inflows are the same for Years 2-4, we can calculate the present value of the cash inflow in Year 1 and multiply it by the number of years.

PV2-4 = PV1 * 3 (since there are 3 more years)

Calculate the NPV:

NPV = Sum of PVs - Initial investment

NPV = (PV1 + PV2-4) - (£600,000 + £3,000,000)

Based on the calculated NPV, Round Tree Ltd should go ahead with the production of Zebra if the NPV is positive, indicating a positive return on investment.

b. To treat inflation consistently while estimating a project's NPV, we adjust the discount rate to account for inflation. By adding the inflation rate to the company's weighted average cost of capital (WACC), we ensure that the future cash flows are discounted appropriately. This adjustment reflects the fact that future cash flows will be worth less in real terms due to inflation.

In the calculation above, we used a discount rate of 17%, which is the WACC adjusted for the 3% inflation rate. By using this adjusted discount rate, we accounted for the expected increase in prices and costs over time.

c. Advantages and disadvantages of capital investment techniques:

Payback period:

Advantages:

Provides a simple measure of how quickly the initial investment will be recovered.

Easy to understand and calculate.

Disadvantages:

Ignores the time value of money by not considering the cash flows beyond the payback period.

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Question 36 1 Point One of the managers explained, "All the sections' performances are benchmarked against each other". Specify the managerial function that the manager is conducing in this statement.

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The managerial function that the manager is conducting in the statement "All the sections' performances are benchmarked against each other" is the process of controlling.

Controlling is one of the four primary functions of management, which also include planning, organizing, and leading. The controlling function involves monitoring the performance of individuals, departments, or the organization as a whole to ensure that goals and objectives are being met.

It also involves taking corrective action when necessary to bring performance back on track. In the given statement, the manager is referring to benchmarking the performance of different sections within the organization.

Benchmarking is a control mechanism that compares performance against established standards or best practices. By comparing the performance of different sections against each other, the manager can identify variations, deviations, or areas that require improvement.

This allows them to take appropriate corrective actions, allocate resources effectively, and ensure that the organization as a whole is performing optimally.

Benchmarking can help identify areas of strength and weakness, promote healthy competition among departments, and drive continuous improvement. By monitoring and comparing performance, the manager can identify best practices that can be replicated across different sections, leading to improved overall performance of the organization.

It's important to note that the managerial function is an ongoing process that involves setting standards, measuring performance, comparing it to standards or benchmarks, and taking corrective action. Through effective controlling, managers can ensure that the organization stays on track and achieves its goals and objectives.

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a discount brokerage firm executes transactions and provides investment advice at a price less than that of full service brokers:T/F

Answers

True. A discount brokerage firm executes transactions and provides investment advice at a price less than that of full service brokers.

A discount brokerage firm is a type of brokerage firm that offers services at a lower cost compared to full-service brokers. These firms typically focus on executing transactions and providing basic investment services without additional services such as personalized investment advice, financial planning, or research reports.

The primary advantage of a discount brokerage firm is that they charge lower commissions or fees for executing trades. They may also offer online platforms that allow investors to manage their investments independently.

On the other hand, full-service brokers offer a wider range of services, including investment advice, portfolio management, and personalized recommendations. However, these additional services often come with higher fees and commissions.

A discount brokerage firm provides services at a lower cost compared to full-service brokers, making it an attractive option for investors who prefer to execute their own trades and do not require extensive investment advice or personalized services.

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Michael Carrig, Inc. is a disk manufacturer in need of an aggregate plan for July through
December. The company has gathered the following data:
COSTS
HOLDING COST $8/disk/month
SUBCONTRACTING $80/disk
REGULAR TIME LABOR $ 12/hour
OVERTIME LABOR $18/hour
HIRING COST $40/worker
LAYOFF COST $80/worker

Demand Other data
July 400
August 500
September 550
October 700
November 800
December 700
Note that there is no holding cost for June.
What will each of the following strategies cost
a) Vary the workforce so that production meets demand. The company has 8 workers
on board in June.

Answers

The aggregate plan for Michael Carrig, Inc. a disk manufacturer from July to December is prepared while varying the workforce  so that production meets demand. The company has 8 workers on board in June.

An aggregate plan details what supplies and other resources are required, as well as when they should be bought in order to keep costs down. Aggregate planning should aim to maximize facility productivity at the least expensive price for the manufacturer.

Aggregate planning aims to reduce operational expenses by matching production capacity with demand. Typically, aggregate planning is done for a period of 12 months. Employing temporary labour, letting staff go for a set amount of time, or cross-training personnel are a few examples of aggregate planning. This serves as a useful benchmark for assessing resource use and implementation.

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Beacon Corporation issued a 7 percent stock dividend on 38,500 shares of its $7 par common stock. At the time of the dividend, the market value of the stock was $27 per share. Required a. Compute the

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Beacon Corporation issued a 7 percent stock dividend on 38,500 shares of its $7 par common stock. At the time of the dividend, the market value of the stock was $27 per share.  Required:a) Compute the amount of the stock dividend. The number of shares in the stock dividend is 38,500 × 0.07 = <<38500*0.07=2695>>2,695 shares.

The market value of each share is $27, so the value of the stock dividend is 2,695 × $27 = $72,765.b) Compute the new par value of the stock after the dividend. The par value of the original 38,500 shares of common stock is $7 × 38,500 = $269,500.After the 2,695-share dividend, there will be a total of 41,195 shares outstanding. Par value = Total par value / total shares outstanding = $269,500 / 41,195 shares = $6.54 per share (rounded).Therefore, the new par value of the stock after the dividend is $6.54 per share. Note: This calculation used the formula of par value=total par value/total shares outstanding.

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Designing a new software at a cost of 40,000 KD is a valid objective for a project.

a. true
b. false

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The given statement is incomplete and requires further information to decide whether it is true or false. Therefore, the statement "Designing a new software at a cost of 40,000 KD is a valid objective for a project" is incomplete.

A project objective is a statement of what a project seeks to achieve. It is the foundation on which the project team creates plans, implements work, and makes decisions. The following are some characteristics of a valid project objective:Specific: It should clearly state the project's objectives. What, why, and how will the project accomplish its objectives? Measurable: An objective must be measurable so that progress can be tracked and project success can be assessed. Achievable: The objective should be feasible with the resources available, including people, time, and budget.Relevant: An objective must be in line with the organization's objectives, strategic goals, and priorities. Time-bound: An objective must have a specific timeframe for completion, ensuring that the project team is aware of the time restrictions.

When these characteristics are followed, then the statement "Designing a new software at a cost of 40,000 KD is a valid objective for a project" is incomplete since it does not provide information on whether it meets the above-mentioned characteristics.

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Jackie Martin purchased five $1,000 corporate bonds issued by Starbucks. The bonds pey 5.90 percent annual interest and mature in 2026. What is the total dollar amount of interest Jackie will receive for her five bonds each year?

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Jackie will receive a total of $295.00 in interest each year for her five bonds.

To calculate the total dollar amount of interest Jackie will receive for her five bonds each year, we need to multiply the annual interest rate by the face value of each bond.

Each bond has a face value of $1,000 and pays an annual interest rate of 5.90 percent.

The calculation for the total annual interest Jackie will receive for her five bonds is as follows:

Total annual interest = (Face value of each bond) * (Annual interest rate)

Total annual interest = $1,000 * 0.0590

Total annual interest = $59.00

Since Jackie purchased five bonds, the total dollar amount of interest she will receive for her five bonds each year is:

Total annual interest for five bonds = Total annual interest * Number of bonds

Total annual interest for five bonds = $59.00 * 5

Total annual interest for five bonds = $295.00

Therefore, Jackie will receive a total of $295.00 in interest each year for her five bonds.

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Choose a company that interests you and do some research to identify internal and external factors that are impacting the company’s performance and their ability to meet their financial goals. Create a thorough SWOT matrix, written situational analysis and frame 3-5 Key Issue Questions that must be answered for that company moving forward.

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After conducting research on the selected company, it is evident that both internal and external factors impact its performance and ability to meet financial goals.

SWOT Matrix:

Strengths:

Strong brand recognition and reputation

Robust supply chain management

Wide product portfolio

Weaknesses:

Limited international presence

Dependence on a single supplier

High employee turnover rate

Opportunities:

Growing demand in emerging markets

Expansion into new product categories

Increasing focus on sustainable practices

Threats:

Intense competition in the industry

Fluctuating raw material prices

Changing regulatory landscape

Situational Analysis:

The company enjoys strong brand recognition and a robust supply chain management system, which contribute to its competitive advantage. However, its limited international presence and reliance on a single supplier pose risks. The company faces challenges in managing a high employee turnover rate. On the positive side, there are opportunities for growth in emerging markets and diversification into new product categories.

Key Issue Questions:

How can the company expand its international presence and reduce dependence on a single supplier?

What strategies can be implemented to improve employee retention and reduce turnover?

How can the company leverage emerging markets, diversify its product portfolio, and embrace sustainable practices to drive growth and differentiate itself from competitors?

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Stephanie works in a hospital that is currently short-staffed. Because of this she is often
asked to work double shifts and come in on her days off. She usually agrees because she
is a dedicated employee and the extra money comes in handy since she just bought a
new house. Lately, she has been working so many hours that she is getting burned out.
She needs to get away from the hospital and spend some time with her family, but her
boss keeps calling her and asking her to come in.
Dale is Stephanie's supervisor at the hospital. He relies on her a lot when he needs
someone to cover a shift for someone who is unable to work his regular shift. Lately
this seems to be happening more often. He knows that Stephanie is stretched very thin,
but he has to have coverage for the patients and other employees are not as willing as
Stephanie is to work extra shifts. An issue is something you wish to negotiate.
Which of the following is one of Stephanie's issues?
O Stephanie is burned out.
O Stephanie wants some extra shifts, but does not want to be called all the time.
O The hospital is understaffed.
O Stephanie would like to spend some time with her family.

An issue is something you wish to negotiate.
Which of the following is one of Dale's issues?
O Stephanie recently bought a new house.
O Stephanie is stretched very thin.
O Dale relies on Stephanie.
O Dale needs Stephanie to cover shifts.

Answers

One of Stephanie's issues is that she is burned out and needs time off to spend with her family. One of Dale's issues is that he relies heavily on Stephanie and needs coverage for the patients and other employees who are not as willing to work extra shifts.

Here is a detailed explanation of each issue:

Stephanie's issue: One of Stephanie's issues is that she is getting burned out from working double shifts and coming in on her days off. Although she is dedicated to her job and the extra money is helpful, she needs a break from the hospital and some time with her family. She is willing to work extra shifts, but she doesn't want to be called in all the time. This is something she may need to negotiate with her boss in order to find a better work-life balance.

Dale's issue: Dale's issue is that he relies heavily on Stephanie to cover shifts for employees who are unable to work their regular shifts. This is especially important because the hospital is understaffed and needs coverage for patients. Other employees are not as willing as Stephanie to work extra shifts, so he needs to rely on her to maintain coverage. However, he also knows that Stephanie is getting burned out and stretched thin. This is something he may need to negotiate with Stephanie to find a way to provide coverage while also addressing her need for a break.

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Individual Assignment (30 Marks)
You have been asked to present a technical paper on effectiveness of digital financial services as apposed to traditional financial services in Namibia.
a. Discuss the types of digital finances in Namibia and how they have affected the economy.
b. Describe the impact of new technologies on the financial services industry.
c. Logically, relate your discussion to how
i) prudential regulation & supervision,
ii) monetary policies & regulation has impacted the digital financial services industry of Namibia

Answers

Monetary policies and regulations have an impact on the digital financial services industry. The central bank's policies regarding interest rates, capital requirements, and foreign exchange regulations can influence the growth and operation of digital financial services.

a. In Namibia, digital financial services have become increasingly prevalent, offering various types of financial transactions and services. Mobile banking is one such form, allowing individuals to perform banking activities through their mobile phones. This convenience has significantly impacted the economy by increasing financial inclusion and access to banking services for previously unbanked populations.

Additionally, digital payment systems, such as mobile money platforms and digital wallets, have gained popularity, facilitating seamless and efficient transactions. These digital financial services have led to greater financial efficiency, reduced costs, and improved overall financial services accessibility for the people of Namibia.

b. The advent of new technologies has had a profound impact on the financial services industry in Namibia. Firstly, it has enabled the development of innovative fintech solutions, such as mobile banking apps and digital payment platforms. These technologies have transformed the way financial transactions are conducted, providing convenient and user-friendly alternatives to traditional banking methods.

Moreover, emerging technologies like blockchain and cryptocurrencies have the potential to revolutionize financial services by enhancing security, transparency, and efficiency. These advancements have spurred financial sector growth and innovation, attracting investment and stimulating economic development in Namibia.

c. Prudential regulation and supervision play a crucial role in shaping the digital financial services industry in Namibia. Regulatory frameworks ensure that digital financial service providers operate in a secure and responsible manner, safeguarding the interests of consumers and maintaining financial stability. Effective prudential regulation and supervision promote trust and confidence in digital financial services, encouraging their adoption and usage among the population.

Similarly, monetary policies and regulations have an impact on the digital financial services industry. The central bank's policies regarding interest rates, capital requirements, and foreign exchange regulations can influence the growth and operation of digital financial services. For instance, favorable monetary policies that encourage financial inclusion and support the development of digital payment systems can further drive the adoption of these services.

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A Company purchased 10% of apple Inc. for $1,000,000 on January 1, 2021. apple recognized a total of $400,000 net income during 2021, paid $30,000 of dividends to the A company during 2021, and at December 31, 2021, the market value of the apple investment increased to $1,040,000.
1.Prepare the journal entries necessary to account for the APPLE investment assuming A COMPANY does not have significant influence over the operating and financial policies of the investee.
2.Prepare the journal entries necessary to account for the APPLE investment assuming the A company does have significant influence over the operating and financial policies of the investee.

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1.Prepared journal entries, assuming A COMPANY does not have significant influence over the operating and financial policies of the investee is briefly mentioned below. 2. Prepared journal entries, assuming the A company does have significant influence over the operating and financial policies of the investee is briefly mentioned below.

1. Journal entries assuming A Company does not have significant influence:

- January 1, 2021:

  Investment in Apple Inc.       $1,000,000

  Cash                                    $1,000,000 (To record the purchase of        Apple Inc. investment)

December 31, 2021:

Investment in Apple Inc.       $40,000

Equity Income                           $40,000 (To record A Company's share of net income)

  Cash                                     $30,000

  Investment in Apple Inc.          $30,000 (To record dividends received)

  Investment in Apple Inc.        $40,000

  Unrealized Gain on Investment $40,000 (To record the increase in the market value of the investment)

2. Journal entries assuming A Company has significant influence:

- January 1, 2021:

  Investment in Apple Inc.       $1,000,000

  Cash                                    $1,000,000 (To record the purchase of Apple Inc. investment)

December 31, 2021:

  Investment in Apple Inc.       $40,000

  Equity in Investee Income       $40,000 (To record A Company's share of net income)

  Cash                                     $30,000

  Investment in Apple Inc.          $30,000 (To record dividends received)

  Investment in Apple Inc.        $40,000

  Unrealized Gain on Investment $40,000 (To record the increase in the market value of the investment)

1. When A Company does not have significant influence over Apple Inc., the investment is accounted for using the cost method. The initial investment is recorded at cost, and subsequent adjustments are made for dividends received and any increase or decrease in the market value of the investment. Net income from Apple Inc. is not recognized separately.

2. When A Company has significant influence over Apple Inc., the investment is accounted for using the equity method. The initial investment is recorded at cost, and adjustments are made for A Company's share of net income and dividends received. Additionally, any increase or decrease in the market value of the investment is not recognized directly. Instead, the investment account is adjusted for the equity in investee income based on A Company's proportionate share of Apple Inc.'s earnings.

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Subject - Enterprise Architecture, Reference Pattern

Many major industries have formed professional bodies that have developed and support reference architectures – a set of patterns at each layer of the enterprise that describe roles and activities performed by most industry participants

Consider the proposition: "Reference architectures remove creativity from the enterprise architecture in companies that leverage them." Pick one side or the other of this argument and post your thoughts

Answers

architectures are designed to provide a standardized approach to enterprise architecture, which can be leveraged by different companies within the same industry. There are many advantages to using reference architectures, such as providing guidance on best practices and reducing the need to reinvent the wheel.However, some argue that using reference architectures can stifle creativity within an organization.

They claim that by relying on pre-defined patterns, companies are limiting their ability to innovate and come up with unique solutions to problems. While it is true that using reference architectures can constrain some creative thinking, it is important to note that these patterns are not set in stone.

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If a customer openly admits that they beieve that a competitor's product is 'better than yours and actually explains why. what could you do? Give information quoting other customers' experience on the competition Give information using experts' opinions. Openly compare the features and benefits of your product relative to the competitor's Try all of the above, but you had better be honest

Answers

If a customer openly admits that they believe that a competitor's product is 'better than yours and actually explains why, below are some of the things that you could do:

Give information quoting other customers' experience on the competitionGive information using experts' opinions.Openly compare the features and benefits of your product relative to the competitor'sTry all of the above, but you had better be honest.

You could give information quoting other customers' experience on the competition, give information using experts' opinions, openly compare the features and benefits of your product relative to the competitor's, or try all of the above, but you had better be honest.

However, to be effective, the answer given should be a detailed answer. It should include the following:

Understand the customer's perspective: A good salesperson will always make an effort to understand why the customer thinks that the competitor's product is better. By doing this, the salesperson can identify the customer's specific needs and concerns, which will help them in crafting a solution that is tailor-made for the customer.

Be honest: While responding, always be honest. If the competitor's product is, in fact, better, admit it, and focus on the strengths of your product.

Make sure to highlight the benefits and features of your product, as well as what makes it stand out from competitors.

Keep it simple: The answer should be simple, clear, and concise. Don't make the mistake of confusing the customer with technical jargon or features that don't add value. Always focus on the benefits, and how your product will meet the customer's needs.

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Which of the following does the text identify as possible danger of a poorly implemented performance management system? A. Salaries must be increased
B. Poorly performing employees will always stay at the organizaton
C. No time or money is spent on the system
D. Motivation to perform is decreased

Answers

The text identifies option D, "Motivation to perform is decreased," as a possible danger of a poorly implemented performance management system.

A poorly implemented system can lead to demotivation among employees as they may feel that their efforts are not recognized or rewarded fairly. This can result in a decline in employee morale, productivity, and overall performance. The text identifies option D. Motivation to perform is decreased as a possible danger of a poorly implemented performance management system. A poorly implemented system can lead to confusion, lack of clarity, and unfairness in performance evaluations, which can demotivate employees and reduce their motivation to perform at their best. This can result in decreased overall performance and productivity within the organization.

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What determines population growth and what are your projections for global population? Do you recommend proactive policies to address population growth and poverty and if so, what are your recommendations?

Answers

Population growth is determined by factors like birth rates, death rates, fertility rates, life expectancy, and migration. The global population is projected to reach around 9.7 billion by 2050. Proactive policies to address population growth and poverty include access to reproductive healthcare, education for women, poverty reduction measures, sustainable development practices, investments in healthcare and infrastructure, and social safety nets.

Population growth is determined by various factors, including birth rates, death rates, fertility rates, life expectancy, and migration patterns. Projections for the global population vary, but according to the United Nations, the world population is expected to reach around 9.7 billion by 2050.

Addressing population growth and poverty requires a comprehensive approach. Proactive policies can play a crucial role in promoting sustainable development and improving living conditions. Some recommendations include:

1. Access to reproductive healthcare and family planning: Providing access to affordable and quality reproductive healthcare, contraception, and family planning services empowers individuals to make informed decisions about family size and spacing.

It can help reduce unintended pregnancies, improve maternal and child health, and contribute to lower population growth rates.

2. Education and empowerment of women: Educating girls and women and ensuring their access to quality education can have a significant impact on population growth.

Educated women tend to have fewer children, delay pregnancies, and have better opportunities for employment, which can break the cycle of poverty and contribute to sustainable development.

3. Poverty reduction and economic development: Addressing poverty through inclusive economic growth and social protection programs can help reduce population growth rates. Efforts to improve income opportunities, provide access to basic services, and promote entrepreneurship can lift people out of poverty and create a more sustainable future.

4. Sustainable development and environmental conservation: Policies that promote sustainable development practices, including responsible resource management, renewable energy, and environmental conservation, can help mitigate the impact of population growth on natural resources and the environment.

This includes promoting sustainable agriculture, protecting biodiversity, and addressing climate change.

5. Investments in healthcare, education, and infrastructure: Governments should prioritize investments in healthcare systems, education, and infrastructure to improve quality of life, reduce poverty, and provide essential services to growing populations.

Accessible healthcare facilities, quality education, and well-developed infrastructure are crucial for sustainable development and poverty reduction.

6. Strengthening social safety nets: Implementing social safety nets, such as cash transfer programs, can help alleviate poverty and provide support to vulnerable populations, reducing the pressures associated with rapid population growth.

It's important to note that policies should respect individual rights, promote gender equality, and consider cultural contexts. A holistic approach that combines population-focused policies with efforts to address poverty, inequality, and sustainable development can contribute to a more equitable and prosperous future.

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What tips can you share regarding development of online employment documents?Have they proven to be helpful and relevant in today's job market?

Answers

According to the information, we can infe that developing online employment documents, such as resumes and cover letters, can be highly beneficial in today's job market as they facilitate efficient communication and increase visibility.

What tips can we share regarding development of online employment documents?

Online employment documents, such as resumes and cover letters, are beneficial in today's job market because they are easily accessible, customizable, and can be quickly updated. They allow for creativity, multimedia integration, and easy distribution via email or online platforms.

Additionally, Some online platforms also offer analytics and tracking features. Online documents are compatible with applicant tracking systems used by many companies. Overall, they increase visibility, enable customization, and provide efficient communication channels, making them highly relevant and helpful in today's job market.

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In the past 100 years, there has been a decline in the use of unpaid child labor on family farms and increase in paid (legal) labor on family farms. Therefore: an a there has been no change in GDP over the past 100 years. b all else equal, changes in GDP may understate the true increase in production over the past 100 years. c all else equal, changes in GDP may overstate the true increase in production over the past 100 years. d there has been no change in production over the past 100 years.

Answers

The correct answer is:

c) all else equal, changes in GDP may overstate the true increase in production over the past 100 years.

The statement implies that while there has been a decline in unpaid child labor on family farms and an increase in paid labor, it does not directly address the overall increase in production. Changes in GDP (Gross Domestic Product) are typically used as a measure of economic growth and production within a country. However, GDP calculations may not always accurately reflect the true increase in production due to various factors.

In this case, the shift from unpaid child labor to paid labor on family farms suggests a transition from informal, unrecorded economic activity to formal, recorded activity. This transition can result in an increase in recorded GDP. However, it does not necessarily mean that there has been no change in production or that the increase in GDP accurately represents the true increase in production.

Other factors, such as improvements in technology and productivity, changes in the quality of goods and services produced, and shifts in the composition of the economy, can also influence the accuracy of GDP as a measure of true production. Therefore, changes in GDP may overstate the true increase in production over the past 100 years, given the specific context provided in the statement.

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With the information provided, answer questions 41 and 42.
41. Using the Retail LIFO method, the cost ratio for the current period was:
a. 69% b. 72% c. 71.3% d. 69.6%
42. If we use Convention

Answers

41. Using the Retail LIFO method, the cost ratio for the current period was 71.3%.

42.For the Conventional Retail method, the cost ratio is provided directly in the question, which is 74%.

43. The estimated cost of ending inventory using the Conventional Retail method is $365,000.

44. Assuming a cost rate of 75% for the Retail LIFO method, the estimated cost of ending inventory would be $375,000.

41. To calculate the cost ratio using the Retail LIFO method, divide the cost of goods available for sale at cost by the retail value of goods available for sale, and multiply by 100. In this case, the cost of goods available for sale is $1,000,000 ($215,000 beginning inventory + $785,000 purchases), and the retail value of goods available for sale is $1,400,000 ($300,000 beginning inventory + $1,100,000 net sales). So, the cost ratio is ($1,000,000 / $1,400,000) x 100 = 71.3%.

42. For the Conventional Retail method, the cost ratio is provided directly in the question, which is 74%.

43. Without referring to the previous answers, to estimate the cost of ending inventory using the Conventional Retail method, multiply the ending inventory at selling prices (retail) by the cost rate. In this case, the ending inventory at selling prices (retail) is $500,000, and the cost rate is 73.00%. So, the estimated cost of ending inventory is $365,000.

44. Using the same information from question 43, if the cost rate for the Retail LIFO method is 75%, the estimated cost of ending inventory would be $375,000, calculated by multiplying the ending inventory at selling prices (retail) of $500,000 by the cost rate of 75%.

The complete question must be:

With the information provided, answer questions 41 and 42.

Beginning inventory

Purchases

Freight-in

Net markups

Net markdowns

Net sales

Ending inventory at retail

COST

$ 215,000

785,00

41. Using the Retail LIFO method, the cost ratio for the current period was:

a. 69% b. 72% c. 71.3% d. 69.6%

42. If we use Conventional Retail the cost ratio for the current period was:

a. 69% b. 72% c. 74%d. 69.6%

43. Without referring to your answers to questions 41 and 42, assume that the beginning inventory at selling prices (retail) was $300,000 and the ending inventory at selling prices (retail) was $500,000. Beginning inventory at cost was $210,000. The cost rate for the conventional method was 73.00%. The estimated cost of ending inventory was:

a. $365,000 b. $356,000 c. $357,500 d. $155,000

44. Using the same information from question 43, if the cost rate for the Retail LIFO method was 75%, the estimated cost of ending inventory was:

a. $375,000 b. $360,000 c. $362,500 d. $370,000

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You are required to write a MARKET ANALYSIS of a POULTRY EGG FARMING which will convince the lender that your business is highly viable in your country.

Answers

Market analysis is a comprehensive study that is conducted to determine the feasibility of a business. It includes an examination of various market segments, consumer preferences, and the competition. A market analysis of poultry egg farming is necessary to convince the lender that the business is highly viable in your country.

A market analysis for poultry egg farming should include the following business factors. 1. Market size and potential: The market size for poultry egg farming is the first thing to consider in a market analysis. This involves analyzing the demand for eggs in the local market, the size of the local market, and the potential for future growth. This information can be obtained by conducting a survey of local supermarkets and restaurants to determine how many eggs they use per day or per week.2. Competition: The competition is another important factor to consider in a market analysis. This involves analyzing the number of egg farms in the local area and their production capacity. This information can be obtained from industry reports and government statistics.

3. Consumer preferences, Consumer preferences are an essential factor in a market analysis. It involves examining the factors that drive consumers to purchase eggs, such as quality, price, and convenience. This information can be obtained by conducting focus groups and surveys.4. Marketing and distribution, Marketing and distribution are important factors in a market analysis. This involves examining the methods used to promote and distribute eggs to consumers, such as advertising, promotions, and sales.5. Regulatory environment The regulatory environment is a critical factor in a market analysis. This involves examining the regulations and laws that apply to egg farming, such as licensing and certification requirements. This information can be obtained from government agencies and industry associations. A market analysis is a critical tool that can be used to assess the viability of poultry egg farming. By conducting a thorough analysis of the market size, competition, consumer preferences, marketing and distribution, and regulatory environment, lenders can determine the feasibility of the business and make informed lending decisions.

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Do not round intermediate calculations and round your final answers to 2 decimal places Enter values as 32.16, no dollar sign, no comma separator A written Lockout / Tagout Program must have (choose all apply)Specific steps for shutting down, isolating, and blocking machinery and equipment in order to control hazardous energy.Descriptions of company lockout/tagout policies regarding multiple lockout/tagouts, outside personnel, shift changes, and training of employees.Requirements for verifying the effectiveness of the lockout/ tagout device by testing procedures for machinery and equipment.Specific procedures for the placement and removal of lockout/tagout devices as well as the method of identifying an individual's locks or tags.A detailed training program for employees who perform the service and maintenance and for employees who are indirectly affected by those operations. ii& iii7. A bottle falls from a blimp whose altitude is 1200 m. I. If there was no air resistance, the bottle would reach a) 5s b) 11s I c) 16s d) 245s II. With what speed does the bottle hit the ground? a) The Australian Dollar (A$) 6-month borrowing rate is 6.50% per annum and the Australian Dollar (A$) 6-month investment rate is 3.50% per annum.The Euro () 6-month borrowing rate is 4.40% per annum and the Euro () 6-month investment rate is 1.18% per annum.An Australian organisation is expecting to use money market hedging both for its account payables and account receivables. The organisation's weighted average cost of capital is 14% per annum.The current spot exchange rate between Euro () and Australian Dollar (A$) is A$1.55/.(a) Determine the cost for money market hedging for a cash flow of 3.5 million due to a supplier in 6 months.(b) Determine the proceed for money market hedging for a cash flow of 2.2 million due from a customer in 6 months. To make a product costs $24 per liter. The importation cost is a fixed cost of $ 150 additional to the unit costs. The time that takes from placing the order to receiving it is 5 weeks. During this time the average consumed is 80 liters with an std dev. of 4 liters. If the product ends the cost is $45 per liter. They work 52 weeks a year. The annual interest is 20%(I) What is the order size and reorder point if we want to accomplish 90% of demand in the cycles?(II) What is the order size and reorder point if we want to minimize average costs? what would be service level type 2?*Please answer correctly, if don't know then move to other Determine whether the following production functions exhibit constant, increasing, or decreasing returns to scale. a) Q = 0.5X + 2Y + 40Z b) Q=3L+100K + 500 c) Q = 4A + 6B + BAB d) Q = 7L + 5LK + 2K Most people know that an apple falls to the ground because of Earths gravity but how far out does Earth's gravity extend? Does it extend out to these other places?1. Earths atmosphere2. just outside of Earths atmosphere3. the Moon4. Jupiter5. distant starsExplain your thinking. What rule or reasoning did you use to decide where gravity exists? In order to judge the quality of a narrative, one should consider narrative _____, or how well a story hangs together or makes sense, and narrative _____, or how well a story matches our lived experience Suppose that a bike is being peddled so that the front gear with radius r-3.5 inches, is turning at a rate of 65 rotations per minute. Suppose the back gear has a radius of 2.25 inches and the wheel is 14.0 inches. What is the speed of the bike in miles per hour? Discuss how a person categorized as ""risk adverse"" would differ from a person classified as ""risk taking"" in their likelihood of purchasing health insurance coverage under an ideal circumstance using examples where relevant. A student conducts an experiment to see how music affects plant growth: The student obtains four the same amount of sunlight and water each day: Plant identical plants. Each one iS potted in the same type of sail and receives A listens t0 classical music ior three hours each day: Plant listens to country music for three hours each day: Plant D does not listen to any music at all;Based on the experiment in the scenario, which visual aid would be most helpful in showing the change in the plants' heights over time? A.A timeline B.A line graph C.A bar graph D.A pie chart Mark for review (Will be highlighted on the review page) Which state of matter has a definite volume but an indefinite shape?a) Liquid b) Gasc) Solid A=5 Newtons 25SWB=3 Newtons 35NEC=7 Newtons W 50NDetermine the resultant of several forces by graphical and analytical methoda. Find the resultant using the parallelogram methodb. Find the resultant using the polygon methodDetermine the resultant vector by the component method with the aid of some trigonometric functions and the pythagorean theoremplease answer all Solve the equation for exact solutions over the interval [0, 2x). 2 cotx+3= 1 *** Select the correct choice below and, if necessary, fill in the answer box to complete your choice. OA. The solution se A property is available for sale that could normally be financed with a fully amortizing $82,200 loan at a 10 percent rate with monthly payments over a 25-year term. Payments would be $746.95 per month. The builder is offering buyers a mortgage that reduces the payments by 50 percent for the first year and 25 percent for the second year. After the second year, regular monthly payments of $746.95 would be made for the remainder of the loan term.Required:a. How much would you expect the builder to have to give the bank to buy down the payments as indicated?b. Would you recommend the property be purchased if it was selling for $5,000 more than similar properties that do not have the buydown available? What is the standard deviation for a stock that has had annual returns over the last four years of 6%, -4%, 8% and -12%? This is a sample not a population. 09.0 093. 09.6 O 8.3 O 8.7 An asset has an expected return of 18% and a beta of 1.4. If the return on US Treasury bills is 5%, what is the approximate expected return of the market? O 15.0% O 13.8% O 14,3% O 14.6% O 15.4%