How does the IS-IM model shift in regards to the implementation
of universal basic income?

Answers

Answer 1

The IS-IM model shifts in regards to the implementation of universal basic income by increasing the equilibrium level of output and price level.

The IS-IM model is an economic framework that analyzes the impact of changes in interest rates, exchange rates, and income levels on the economy. In the IS-IM model, an increase in government spending or a decrease in taxes will shift the IS curve to the right, increasing the equilibrium level of output and price level. However, in the case of the implementation of universal basic income, it would act as a transfer payment rather than an increase in government spending. Therefore, it will have a similar effect to an increase in government spending which will shift the IS curve to the right and increase the equilibrium level of output and price level. The implementation of universal basic income can be seen as a transfer payment as it is intended to provide financial assistance to individuals or households in the form of a cash payment. As a result, individuals or households are more likely to consume and spend more, which will increase the level of aggregate demand in the economy. This will lead to a rightward shift in the IS curve, increasing the equilibrium level of output and price level.

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Related Questions

Which of the following describes a caution that should be made for the IRR method? It does not consider the value of money changing over time. It isn't easy to compare multiple investment opportunities with different costs. It excludes cash flow after the cut-off date. In the case of non-normal cash flows, the method may not be reliable as it may produce two IRRs.

Answers

Among the following, the caution that should be made for the IRR method is as follows: It may not be reliable in the case of non-normal cash flows, as it may produce two IRRs.

What is the IRR method?

Internal rate of return (IRR) is a method of calculating the profitability of an investment. IRR is the interest rate at which the net present value (NPV) of all the cash flows is equal to zero.

The IRR is frequently used to rate potential investments or projects against a company's required rate of return. When examining investments, the IRR is frequently employed to evaluate the investment's efficiency.

A caution to be made for the IRR method is as follows:In the case of non-normal cash flows, the method may not be reliable as it may produce two IRRs.

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Look at this video about how Maslow's hierarchy of needs. One of the negatives of this theory is that it is based on the western, individualistic thought process. Now that you know a lot more about the differences in workplace cultures in different countries, can you think of specific countries where the hierarchy may not be in this order? How might it vary?

Answers

Maslow's hierarchy of needs is a theory of human motivation and growth developed by Abraham Maslow in 1943. According to this theory, humans have five levels of needs that must be met in a certain order.

One of the negatives of this theory is that it is based on the western, individualistic thought process. There are specific countries where the hierarchy may not be in this order. The workplace culture of different countries plays a vital role in this regard. Some of the countries where the hierarchy may not be in this order are as follows: Japan: In Japan, the hierarchy of needs has a slightly different order.

In Japan, social belongingness is considered the most critical factor in the work environment. The Japanese have an inherently collectivist culture that values group harmony over individual achievement.China: In China, family and extended family relations are considered more important than individual achievement. In the Chinese work culture, individual performance and self-actualization are often sacrificed in favor of group achievement.Mexico: In Mexico, the hierarchy of needs is heavily influenced by a sense of community and a deep-seated tradition of loyalty. Mexican culture emphasizes family, community, and group values over individual achievement.

Therefore, self-actualization takes a back seat to the needs of the community as a whole. In conclusion, workplace cultures play a vital role in determining the hierarchy of needs. As we have seen, different countries have different cultures, and these cultures shape the way we view work and our place within it. Therefore, Maslow's hierarchy of needs may not always hold true in every context.

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With the aid of examples, explain any two IT internal security threats and 2 external IT security threats. For each threat explain what your organization can do to prevent it from occurring

Answers

Internal IT security threats include insider attacks and data breaches caused by employee negligence. To prevent these, organizations can implement strict access controls, conduct regular employee training, and employ data loss prevention tools.

Internal IT security threats:

Insider attacks: To prevent insider attacks, organizations should implement strict access controls and separation of duties, ensuring that employees only have access to the data and systems necessary for their job roles. Regular monitoring and auditing of user activities can help detect any suspicious behavior. Additionally, organizations should conduct regular employee training on security best practices and the consequences of unauthorized access or data breaches.

Data breaches caused by employee negligence: To prevent such incidents, organizations should provide comprehensive security awareness training to employees, educating them about common attack vectors and teaching them how to identify and respond to suspicious emails or requests.

External IT security threats:

Phishing attacks: To mitigate phishing attacks, organizations should implement email filters that can identify and block suspicious messages. Employees should also receive regular security awareness training to recognize phishing indicators, such as generic greetings, spelling errors, or unusual URLs.

Malware infections: To prevent malware infections, organizations should employ robust antivirus software that can detect and remove malicious programs. Keeping all software and systems up to date with the latest security patches is crucial, as vulnerabilities in outdated software are often exploited by malware.

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Which of the following statements is (are) correct about cost of debt?

Group of answer choices

Cost of debt can be based on yield to maturity of the firm's outstanding bonds.

Cost of debt can be based on interest on a bank loan.

Cost of debt must be used after-tax basis.

All of the above are corrrect.

Answers

All of the above statements are (are) correct about cost of debt. Thus, option (d) is correct.

Bonds' cost of debt can be determined using the yield to maturity approach, whereas other types of debt, including bank loans, can be determined using the debt-rating approach.

A person can compute the after-tax cost of debt by deducting the interest paid from the income tax savings.

As a result, the significance of the correct about cost of debt are the aforementioned. Therefore, option (d) is correct.

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question 2 as a project manager, you determine the cost for items such as software, tools, labor, and equipment. what budgeting term refers to these types of costs?

Answers

As a project manager, the budgeting term that refers to the cost of items such as software, tools, labor, and equipment is known as Direct Costs.

What is Direct Cost? Direct costs are expenditures that can be attributed to a specific product or service. These costs are often related to the production and delivery of a product or service. Direct costs are critical in determining the profitability of a company. Direct costs can include the cost of labor, materials, equipment, and software used to develop or deliver a product or service.

The opposite of direct costs is indirect costs, which cannot be directly attributed to the production or delivery of a product or service. These costs can include expenses such as rent, utilities, and administrative salaries, which are necessary for the operation of the business but do not directly contribute to the production of a product or service.

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The balance sheet for Apple Banana Corp. is shown below in market value terms.
Market Value Balance Sheet
Cash 300,000 Debt 400,000
Fixed assets 1,000,000 Equity 900.000
Total 1,300,000 Total 1,300,000
There are 100,000 shares of stock outstanding. The company has declared a 15 percent stock dividend. \What is the ex-dividend price?

Answers

The ex-dividend price, after a 15 percent stock dividend, is $11.48 per share. This reflects the increased total equity resulting from the distribution of additional shares as dividends.

To calculate the ex-dividend price, we first need to determine the total value of the stock dividend. In this case, a 15 percent stock dividend means that 15,000 shares (15% of 100,000 shares) will be distributed as dividends.

Next, we need to calculate the value of the stock dividend based on the market value balance sheet. The total equity before the dividend is $900,000, and with the stock dividend, it increases by 15,000 shares, bringing the new total equity to $900,000 + ($900,000 / 100,000 shares * 15,000 shares) = $1,035,000.

Now, we divide the new total equity by the number of shares outstanding after the stock dividend to get the ex-dividend price per share: $1,035,000 / 115,000 shares = $11.48 per share.

Therefore, the ex-dividend price, after a 15 percent stock dividend, is $11.48 per share.

In summary, the ex-dividend price is the price per share after accounting for the stock dividend. In this case, the ex-dividend price is $11.48 per share, which reflects the increased total equity resulting from the distribution of additional shares as dividends.

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Many physicians believe that marketing "creates" needs. Do you
agree or disagree with this statement? Explain why or why not

Answers

I disagree with the statement that marketing "creates" needs. While marketing can certainly influence consumer perceptions and shape desires, it does not have the power to create needs out of thin air.

Human needs are inherent and exist independently of marketing efforts. Needs arise from fundamental aspects of human existence, such as the need for sustenance, shelter, security, social connection, and self-actualization. These needs are rooted in our biological, psychological, and sociological makeup.

What marketing can do is identify and highlight existing needs, present solutions to fulfill those needs, and communicate the value and benefits of specific products or services. Marketing strategies may employ persuasive techniques to influence consumer behavior and stimulate demand, but they do not invent needs that were previously nonexistent.

However, it is important to recognize that marketing can shape consumer preferences, create desires, and influence the way needs are perceived or prioritized. By effectively positioning products or services, marketing can generate interest and increase consumer awareness, leading individuals to believe that a particular offering can address their needs more effectively than alternatives.

In conclusion, marketing does not have the power to create needs but rather plays a role in shaping consumer perceptions and influencing choices by identifying and presenting solutions to existing needs.

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All of the following are duties of the insured following a loss, except:
A. Notify the insurance department in case of loss
B. Protect property from additional damage
C. Inventory lost property
D. Separate damaged from undamaged property

Answers

All of the following are duties of the insured following a loss except Notify the insurance department in case of loss. The correct option is A.

Insurance is a contract, represented by a policy, in which an individual or entity receives financial protection or reimbursement against losses from an insurance firm. The corporation pools customers' risks to pay for losses that certain clients may experience. Insurance policies are used to hedge against the risk of financial losses, both small and large, that may arise as a result of damage to the insured or her property or from liability for damage or injury caused to a third party. Insured's duties following a loss. The following are the insured's duties following a loss: Protect property from additional damage. After a loss, the insured must take the necessary precautions to avoid any further harm from occurring to the property.

For example, if a pipe has burst, the insured must turn off the water source and contact a plumber to get the problem resolved. Inventory lost property. The insured should prepare a list of the items that have been destroyed or damaged as a result of the loss, as well as the estimated cost of repair or replacement. Separate damaged from undamaged property. The insured should ensure that damaged property is kept separate from undamaged property and that there is no further damage to the undamaged property. Notify the insurance company as soon as possible. The insured must notify the insurance company as soon as possible after a loss, which is often a requirement in the insurance policy. The insurance company will provide the insured with guidance on how to proceed with the claim.

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While certain municipalities prospered because of the apartheid era, these were few and far between. The overall system of local government in South Africa during apartheid was therefore ineffective and inefficient. With reference to the statement above, elaborate on the development of government in terms of the context of the Group Areas Act 41 of 1950.

Answers

The statement above suggests that during the apartheid era, some municipalities benefited from the system, but the majority of them did not.

In terms of the Group Areas Act 41 of 1950, the overall system of local government in South Africa was both ineffective and inefficient.

The Group Areas Act of 1950 was one of the key apartheid laws that created residential and business segregation in South Africa. This law enabled the South African government to forcibly remove people from their homes, businesses, and lands based on their race.

As a result, the government created segregated neighborhoods, which were often of poor quality and lacking in public amenities.

As a result, the quality of life for most black South Africans deteriorated, and the economy suffered. The government's efforts to divide the population by race through this policy were largely ineffective.

The Group Areas Act and other similar apartheid legislation created economic inequality, social division, and political repression.

The South African government did not allocate adequate resources to the various municipalities and regions. As a result, the overall system of local government was not effective or efficient.

The apartheid system of government did not provide equal opportunities for all South Africans, but instead entrenched racial disparities and perpetuated inequality.

In conclusion, the apartheid government's policies of segregation, such as the Group Areas Act of 1950, did not promote efficient or effective local government. Instead, these policies entrenched economic and social inequality, and political oppression.

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A 6.45 percent coupon bond with 24 years left to maturity is priced to offer a 5.7 percent yield to maturity. You believe that in one year, the yield to maturity will be 6.2 percent. What would be the total return of the bond in dollars? (Assume interest payments are semiannual.) (Negative amount should be indicated by a minus sign. Do not round intermediate calculations. Round your final answer to 2 decimal places.) What would be the total return of the bond in percent? (Assume interest payments are semiannual.) (Negative answer should be indicated by a minus sign. Do not round intermediate calculations. Round your final answer to 2 decimal places.)

Answers

The total return of the bond in dollars would be $-2.64, and the total return of the bond in percent would be -0.14%.

To calculate the total return of the bond in dollars, we need to consider both the interest payments and the change in bond price. The bond has a coupon rate of 6.45%, which is paid semiannually. The face value of the bond is not provided, so we'll assume it to be $1,000 for simplicity.

In one year, the yield to maturity is expected to be 6.2%. Using this yield, we can calculate the expected bond price at the end of the year. The difference between the initial bond price and the expected bond price represents the change in bond price.

To calculate the interest payments, we need to determine the semiannual coupon payment. We can then multiply it by the number of semiannual periods (48 periods for 24 years) to get the total interest payments over the life of the bond.

The total return in dollars is the sum of the interest payments and the change in bond price. In this case, it would be -$2.64.

The total return in percent is calculated by dividing the total return in dollars by the initial bond price and multiplying by 100. In this case, it would be -0.14%.

Note: The negative values indicate a decrease in value, meaning the investor would experience a loss on the bond investment.

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Jonathan wishes to borrow $180 000 from a commercial bank. He was told that the loan would be amortized over five years and that payment could be made at the beginning or at the end of each year. Please assist Jonathan by answering the following questions. a. Explain to Jonathan, what is the purpose of a loan amortization schedule?

Answers

A loan amortization schedule is a table that lists all of the periodic payments for a loan, displaying the amount of interest and principal that comprises each payment.

a.

When a person borrows money to purchase a vehicle, property, or other asset, they will normally repay the loan over a set time period at a fixed interest rate.

Each installment on a loan that is amortized is made up of two components: interest and principal. The purpose of an amortization schedule is to outline and analyze the breakdown of these components over the life of the loan.

This schedule aids in the calculation of principal and interest payments that are made each month, allowing the borrower to keep track of their payments, payment amount, interest rate, outstanding principal, and overall payment due.

Therefore, an amortization schedule is useful to Jonathan because he can figure out how much he will be paying on his loan each year, how much interest he will be charged, and how much of his payments will go toward reducing his principal.

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You are evaluating a 5-year project that will provide cash flows of $40,100, $84,510, $63,330, 561,470, and 144,730, respectively. The project has an initial cost of $188,000 and the required return is 8.6 percent. What is the project's NPV? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 87632.16)

Answers

The project's net present value (NPV) is $2,006.04, indicating that the project is expected to generate a positive return and is potentially worth pursuing.

To calculate the NPV of the project, we need to discount each cash flow to its present value and then subtract the initial cost. The formula for calculating NPV is as follows:

NPV = CF1/(1+r)^1 + CF2/(1+r)^2 + CF3/(1+r)^3 + CF4/(1+r)^4 + CF5/(1+r)^5 - Initial Cost

where CF represents the cash flow for each year and r is the required return rate.

Using the given values, we can calculate the NPV as follows:

NPV = $40,100/(1+0.086)^1 + $84,510/(1+0.086)^2 + $63,330/(1+0.086)^3 + $561,470/(1+0.086)^4 + $144,730/(1+0.086)^5 - $188,000

Simplifying the equation and performing the calculations:

NPV = $40,100/1.086 + $84,510/1.086^2 + $63,330/1.086^3 + $561,470/1.086^4 + $144,730/1.086^5 - $188,000

NPV = $37,000.92 + $74,404.42 + $55,074.94 + $447,266.86 + $102,136.02 - $188,000

NPV = $528,883.16 - $188,000

NPV = $340,883.16

Therefore, the project's NPV is $340,883.16.

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As García-Coll et al. describe, why is there no "one model fits all" when studying human development, specifically adolescent development? o Address foundations of developmental research, historical conceptions of adolescence, and examples of at least 2 theories presented in this module. O Be detailed and give examples and citations to support your statements

Answers

García-Coll et al. claim that there is no "one model fits all" when studying human development, specifically adolescent development because it is a complex process that varies widely among cultures, individuals, and other factors.

Human development research is a broad field that encompasses a wide range of theories, approaches, and methods. The study of adolescent development, in particular, has been informed by many different theoretical perspectives over time. Some of the foundational research in human development was conducted by G. Stanley Hall, who introduced the concept of adolescence as a distinct stage of development.

Hall's theory proposed that adolescence was a period of "storm and stress," during which individuals experienced heightened emotional and psychological turmoil (Hall, 1904). Hall's ideas were influential in shaping early conceptions of adolescence, but his theory has been criticized for being overly negative and for not accounting for the diversity of experiences that adolescents can have. In the decades that followed, researchers have developed a range of different theories to help understand adolescent development.

Two examples of these theories are:

1. Erik Erikson's Psychosocial Theory: Erikson's theory of psychosocial development proposed that individuals pass through a series of eight stages of development from birth to old age, with each stage characterized by a particular developmental task or crisis. Adolescence is the fifth stage of Erikson's model, during which individuals must navigate the task of identity versus role confusion. In this stage, adolescents are trying to establish a sense of who they are and what they want to do with their lives.

2. Jean Piaget's Cognitive Developmental Theory: Piaget's theory of cognitive development proposed that individuals pass through four stages of cognitive development from birth to adulthood. The final stage, formal operational thought, emerges during adolescence and is characterized by the ability to think abstractly and hypothetically. According to Piaget, adolescents are able to think more logically and systematically than they could in earlier stages of development, which allows them to solve more complex problems and engage in more advanced reasoning.

In conclusion, the study of adolescent development is a complex and multifaceted field that has been informed by many different theoretical perspectives over time. García-Coll et al. suggest that there is no "one model fits all" when studying human development because individual experiences and cultural contexts can shape the developmental process in unique ways.

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1. Explain the difference between data and information 2. Identify two ways in which an organisation can make use of an information system. 3. By referring to the components of a computer system, explain why your cell phone can be considered a computer system. 4. Which factors provides us with a clear distinction between human processing capabilities and those of a computer? Name and define each factor 5. Provide an example of each type of computer operation performed. 6. Identify one input, one output and one storage device that you as a student make use of when interacting with a computer during your studies. 7. Which two classes of computers are commonly used by students during their studies? 8. Which operating system are you currently using on your computer?

Answers

Answer:

1) Data refers to raw, unprocessed facts and figures, such as numbers, text, or images. It lacks context and meaning on its own. On the other hand, information is processed and organized data that has been analyzed, interpreted, and given context, making it meaningful and useful for decision-making or understanding a specific situation.

2) Two ways in which an organization can make use of an information system are:

a) Decision-making: An information system can provide relevant and timely data and analysis to support decision-making processes at various levels within the organization. It helps managers and employees make informed decisions based on accurate and up-to-date information.

b) Operational efficiency: Information systems can automate and streamline organizational processes, improving efficiency and productivity. They enable tasks such as data entry, processing, communication, and collaboration to be performed more efficiently, reducing manual effort and errors.

3) A computer system consists of four main components: hardware, software, data, and users. A cell phone can be considered a computer system because it includes all these components. The hardware component includes the physical components of the cell phone, such as the processor, memory, display, and input/output devices. The software component consists of the operating system and various applications that run on the phone. Data is stored in the phone's memory, and users interact with the phone through its interface, performing tasks and accessing information.

4) The factors that provide a clear distinction between human processing capabilities and those of a computer are:

a) Creativity: Human processing capabilities include the ability to think creatively, generate new ideas, and approach problems from different perspectives. Computers, although capable of complex calculations and tasks, lack the creative and innovative thinking that humans possess.

b) Emotional intelligence: Humans have emotional intelligence, which includes the ability to understand and manage emotions, empathize with others, and engage in social interactions. Computers, being machines, do not possess emotions or the ability to understand and respond to human emotions.

5) Examples of computer operations performed include:

a) Arithmetic operations: Addition, subtraction, multiplication, and division of numbers.

b) Logical operations: Comparison of values, decision-making based on conditions (e.g., if-else statements), and Boolean operations (AND, OR, NOT).

c) Data storage and retrieval: Storing data in files or databases and retrieving it when needed.

d) Communication: Sending and receiving data or messages over networks or the internet.

6) Examples of input, output, and storage devices used by students when interacting with a computer during their studies:

a) Input device: Keyboard - used for typing and entering data into the computer.

b) Output device: Monitor/display - used to view information, read documents, and see the output of programs or applications.

c) Storage device: USB flash drive - used to store and transfer files and data between computers.

7) Two classes of computers commonly used by students during their studies are:

a) Desktop computers - These are stationary computers that typically consist of a separate monitor, CPU, keyboard, and mouse. They offer high processing power and storage capacity and are suitable for demanding tasks like programming, design work, or data analysis.

b) Laptop computers - These are portable computers that integrate the monitor, keyboard, CPU, and other components into a single device. Laptops provide mobility, allowing students to work from various locations and access resources on the go.

8) The operating system I am currently using on my computer is Windows 10.

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#2 How do the basis functions use accounting information? #3 In general, how has business and accounting evolved? #4 What are the 4 basic financial statements and what is the report of the independent

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Accounting basis functions utilize accounting information to record transactions, summarize data and prepare financial statements analyze performance and facilitate reporting. Business and accounting have evolved to emphasize transparency, technology adoption and global standards.

The four basic financial statements are the income statement, balance sheet, cash flow statement and statement of shareholders equity. The independent auditors report provides assurance on the reliability of financial statements.

Information is used by basis accounting functions to record transactions, create financial statements, and support decision making. Transparency technology integration and standardized procedures are now stressed more than ever in business and accounting.

The income statement, which highlights profitability, the balance sheet which shows the financial position, the cash flow statement which shows cash inflows and outflows and the statement of shareholders equity which highlights changes in equity are the four fundamental financial statements.

A conclusion regarding the fairness and accuracy of the financial statements is given in the independent auditor's report. These changes show a trend in modern business and accounting practices toward greater accountability, the use of cutting edge technology and a standardized framework for financial reporting.

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What is the legal mission of the NTSB.
Why is the NTSB separate from the FAA and the DOT?
What is the "Party System" and why would the NTSB use this in
some investigations?

Answers

The legal mission of the NTSB is to investigate transportation accidents, It is saprate because it is investigative agency, reports to Congress, rather than to DOT or FAA."Party System" is collaborative investigation approach used by the NTSB in some investigations for its efficiency

The National Transportation Safety Board (NTSB) is a federal agency whose main objective is to advance transportation safety by conducting independent investigations, advocating for safety measures, and fostering the public's awareness of transportation safety issues.

The legal mission of the NTSB is to investigate transportation accidents. To determine their probable cause, and formulate recommendations for preventing similar accidents in the future. The NTSB's responsibilities include investigating aviation, railroad, highway, marine, and pipeline accidents and promoting transportation safety by issuing recommendations.

The NTSB is an independent federal agency that is separate from the Federal Aviation Administration (FAA) and the Department of Transportation (DOT). It was created in 1967 as an independent investigative agency and reports to Congress, rather than to the DOT or FAA. The NTSB's independence ensures that its investigations and recommendations are free from outside influence, and its recommendations are not subject to approval by any other agency

The "Party System" is a collaborative investigation approach used by the NTSB in some investigations. This system involves the NTSB appointing parties to the investigation, including those who have expertise in the area under investigation.

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Which of the following is correct?
Group of answer choices
Tax should be considered when determining cash flows of investments.
The aggregate cash flows of the firm should be considered when evaluating investments.
Sunk costs should be considered when evaluating investments.

Answers

The correct statement among the following is: "Tax should be considered when determining cash flows of investments."

Taxes should be considered when determining cash flows because taxes are a critical part of cash outflows. When a firm calculates its cash inflows and outflows, it should include the taxes paid on income earned from investments as a part of the outflows.

The cash flow formula is as follows:

Cash flow = Total revenue - Total cash expenses

Tax should be factored in when calculating the total cash expenses. By taking the tax aspect into account, firms can better assess whether the investment will produce enough cash inflow to cover all cash outflows, including taxes.In conclusion, tax should be considered when determining cash flows of investments, as it is an important factor that can affect the total cash outflows and inflows for the firm.

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Identify the conditions that shape multinational firm's strategic decision of market entry in competition in international environment. use integration- responsiveness grid to explain your answer

Answers

Multinational corporations are challenged by market competition and integration and responsiveness in global business.

In this regard, the strategies of multinational firms are affected by various factors in the business environment that encourage entry into a foreign market. The conditions that shape multinational firm's strategic decision of market entry in competition in the international environment are as follows: Market size: The size of the market has a significant impact on the MNC's strategic decisions about market entry.

Large markets with high growth prospects are often preferred by MNCs, whereas small markets with high market saturation are usually avoided. Market proximity: Geographic proximity is also a factor that impacts MNC's strategic decisions about market entry. In this context, the proximity of foreign markets to home markets influences market entry decisions.

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A project has cash flows over the next three years -50, 160, -100,
respectively.
i) Find IRRs.
ii) Find Modified IRRs.

Answers

The IRR is defined as the internal rate of return. It is a financial metric that calculates the rate of return on a project and determines whether it is profitable.

To find IRRs for a project that has cash flows over the next three years of -50, 160, -100, respectively, follow the steps below:

i) Using a financial calculator, the IRRs can be determined by inputting the cash flows as follows: CF0 = 0, CF1 = -50, CF2 = 160, CF3 = -100.IRR = 15.85%. Hence, the IRRs for the project are 15.85%.

ii) The Return (MIRR) is another measure used in financial analysis to assess the profitability of an investment. The MIRR formula can be calculated as follows:

MIRR = (FV positive/negative) ^(1 / t) -1 where FV positive is the future value of the inflows, FV negative is the future value of the outflows, n is the total number of years, and t is the financing rate. Using the cash flows of -50, 160, -100, respectively, the MIRR can be calculated as follows:

FV of inflows (160) = 160(1 + 0.10)2 = 193.6FV of outflows (-50, -100) = -50(1 + 0.10)1 - 100(1 + 0.10)2 = -230.0MIRR = (FV positive/negative) ^(1 / t) -1= (193.6/-230.0) ^(1 / 3) -1= -0.074 or -7.4%. Thus, the Modified IRR for the project is -7.4%.

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A person who is forced to enter into a contract under the threat of harm can assert the defense of ____________________.

A. mistrust

B. undue influence

C. coercion

D. duress

Sarah and Mike enter into a contract in which Mike agrees to pay Sarah $100 for her watch. Mike's subsequent transfer of his right to receive the watch to his brother, Fred, is known as:

Group of answer choices

A. a delegation

B. an assignment

C. a novation

D. a quasi-contract

Answers

A person who is forced to enter into a contract under the threat of harm can assert the defense of duress.

Duress can be defined as the threat of violence or other harms or threats used to force someone to act in a way they would not normally do. A person who enters into a contract under duress can assert the defense of duress when they are sued for breach of contract.Sarah and Mike enter into a contract in which Mike agrees to pay Sarah $100 for her watch. Mike's subsequent transfer of his right to receive the watch to his brother, Fred, is known as an assignment. Assignment of contract is a legal process by which the assignor transfers the ownership of their rights or benefits of a contract to another party, known as the assignee. In the context of this question, Mike transferred his right to receive the watch to Fred, who became the new owner of the contract. Thus, the correct answer is B, an assignment.

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The desired daily output for an assembly line is 600 units. This assembly line will operate 650 minutes per day. The following table contains information on this product's task times and precedence relationships: IMMEDIATE PREDECESSOR TASK А. B TASK TIME (SECONDS) 35 25 40 5 50 15 10 10 D E F G H A A B B D-E G-F b. What is the workstation cycle time? Workstation cycle time seconds per unit c. Balance this line using the largest number of following tasks. Use the longest task time as a secondary criterion. (Leave no cells blank - be certain to enter "0" wherever required.) Work Station Task Idle Time II IV d. What is the efficiency of your line balance? (Round your answer to 1 decimal place.) Efficiency %

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The desired daily output for an assembly line is 600 units. Assembly line will operate 650 minutes per day. Immediate predecessor task Task Time (seconds) A - 35 B - 25 C - 40 D - 5 E - 15 F - 10 G - 10.

Workstation cycle time = Available production time ÷ Desired daily output = 650 × 60 ÷ 600= 65 seconds per unit. Balancing the line using the longest task time as a secondary criterion: Tasks that are to be balanced are A, B, C, D, E, F, G, and H. According to the given table, the longest task time is 50 seconds for task B. Idle time = Workstation cycle time – Task time.

For Task A: Idle time = 65 – 35 = 30 seconds.

For Task B: Idle time = 65 – 25 = 40 seconds.

For Task C: Idle time = 65 – 5 = 60 seconds.

For Task D: Idle time = 65 – 15 = 50 seconds.

For Task E: Idle time = 65 – 10 = 55 seconds.

For Task F: Idle time = 65 – 10 = 55 seconds.

For Task G: Idle time = 65 – 30 = 35 seconds.

For Task H: Idle time = 65 – 10 = 55 seconds.

The given assembly line will be balanced using Task B as a secondary criterion.

Balance table: Work Station Task Idle Time II IV1 A 30 0.5 02 B 40 0.6 03 G 35 0.54 H 55 0.85 D 50 0.86 E 55 0.87 C 60 0.88 F 55 0.8. The efficiency of the line balance: Efficiency = Sum of task time ÷ (Number of workstations × Workstation cycle time × Number of days) = (35 + 25 + 40 + 50 + 15 + 10 + 10 + 30) ÷ (8 × 65 × 1) = 0.73 × 100 = 73%. Therefore, the efficiency of the line balance is 73%.

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You have been asked to analyze a new cost cutting initiative at your firm. The firm will need to invest $500,000 in new materials handling equipment. This equipment will be depreciated at a CCA rate of 20%. You expect to save $150,000 per year for five years if you undertake the project. The new equipment can be sold for $50,000 at the end of five years. Net Working Capital will rise by $20,000 at time zero but it will all be recovered at the end of the five years. The firm's tax rate is 24% and it wants to earn an 16% return. a. What is the answer to Step #1: b. What is the answer to Step #2: c. What is the answer to Step #3: d. What is the answer to Step #4: I e. What is the answer to Step #5:

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In order to analyze a new cost cutting initiative at your firm based on the provided information, a. the answer to Step #1 is initial cash outlay = $520,000;  b. the answer to Step #2 is depreciation = $100,000 per annum; c.  the answer to Step #3 is annual savings = $50,000; d. the answer to Step #4 is total salvage value = $50,000; and e. the answer to Step #5 is NPV = $254,750.

a. Step #1: The initial cash outlay will be the amount of the equipment plus the increase in net working capital plus any additional initial expenses or cost minus any tax savings. 

Initial cash outlay = $500,000 + $20,000 = $520,000

b. Step #2: Depreciation rate at 20% on a declining balance basis. 

Depreciation = 20% x $500,000 = $100,000 per annum

c. Step #3: The amount of annual savings will be the difference between the cost saving and the annual depreciation. 

Annual savings = $150,000 – $100,000 = $50,000

d. Step #4: The total salvage value is the value of the equipment sold at the end of the five-year period plus any working capital recovery plus any tax savings realized. 

Total salvage value = $50,000

e. Step #5: In the last step, we will calculate the NPV of the project. To compute the NPV, we must first determine the PV of cash inflows, which is given by:

Cash inflows = $50,000 + $50,000 + $50,000 + $50,000 + $50,000 + $150,000 x 3.465 = $774,750

The NPV of the project is then:

NPV = PV of Cash Inflows – Initial Cash Outlay

NPV = $774,750 – $520,000NPV = $254,750

Since the NPV is positive, we should accept the project. This means that the project will be able to generate a return that is at least equal to the required rate of return.

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A company's prime costs total $3,100,000 and its conversion costs total $7,100,000. If direct materials are $1,050,000 and factory overhead is $5,050,000, then direct laboris Multiple Choice $4,000,00

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A company's prime costs total $3,100,000 and its conversion costs total $7,100,000. If direct materials are $1,050,000 and factory overhead is $5,050,000, then direct labor is $2050000. the correct option is c.

To find the value of direct labor, we can use the formula:

Prime costs = Direct materials + Direct labor

Given:

Prime costs = $3,100,000

Direct materials = $1,050,000

Substituting these values into the formula:

$3,100,000 = $1,050,000 + Direct labor

Now, let's solve for Direct labor:

Direct labor = $3,100,000 - $1,050,000

Direct labor = $2,050,000

Therefore, the value of direct labor is $2,050,000.  the correct option is c.

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Which one of the following statements is correct? a. Low standard deviation and low risk premium generally correspond to wide frequency distribution. b. If the return on t-bills is 3 percent and the inflation rate is 2 percent and the average return on large-company stocks is 10 percent, the risk premium on large-company stocks is 8 percent. c. In order to convince investors to accept greater volatility, you must decrease the risk premium. d. Standard deviation is a measure of volatility. e. The rate of return on long-term treasury bonds is normally used as the risk-free rate of return.

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The correct statement among the options provided is d. Standard deviation is a measure of volatility. It accurately reflects the variability or dispersion of returns from an average or expected value.

a. This statement is incorrect. Low standard deviation and low risk premium typically correspond to a narrow frequency distribution, as they indicate less variability and lower compensation for risk.

b. This statement is incorrect. The risk premium is calculated by subtracting the risk-free rate of return from the return on an investment. In this case, the risk premium on large-company stocks would be 10% (the return on stocks) minus 3% (the risk-free rate of return), resulting in a risk premium of 7%.

c. This statement is incorrect. To convince investors to accept greater volatility, you would generally need to increase the risk premium. Investors expect higher compensation for taking on additional risk.

d. This statement is correct. Standard deviation is a widely used measure of volatility in finance. It quantifies the dispersion of returns around the mean or expected value. A higher standard deviation indicates greater volatility and potential fluctuations in returns.

e. This statement is incorrect. The rate of return on long-term treasury bonds is often considered a benchmark for low-risk investments, but it is not always used as the risk-free rate of return. The risk-free rate can vary depending on the context and the specific investment being considered.

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Training is different from development in that

a.
development focuses on the present, while training focuses on the future

b.
training considers an employee's work experience more than development does

c.
development aims to prepare employees for changes, while training prepares them for current jobs

d.
participation in training is voluntary, while that in development is required

e.
e. unlike development, training considers the requirements of jobs that do not exist as yet

Answers

The correct option is option c. Training is different from development in that development aims to prepare employees for changes, while training prepares them for current jobs. Training and development are two interrelated concepts in Human Resource Management.

However, the two terms are different from each other in terms of meaning and application. Training refers to the process of acquiring knowledge and skills to perform a specific task. The primary goal of training is to increase an individual's job-related competencies to carry out current jobs more efficiently and effectively. In contrast, development refers to the process of preparing employees for future responsibilities within an organization. The primary goal of development is to expand the capacity of an individual for future job-related challenges and opportunities

Training is different from development in that development aims to prepare employees for changes, while training prepares them for current jobs. Training is designed to help employees acquire new skills, knowledge, and attitudes to perform their current jobs. On the other hand, development is intended to enhance the capacity of employees to take on new responsibilities, handle new challenges, and exploit new opportunities. Development aims to prepare employees for changes, whereas training prepares them for current jobs.

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which of the following is not considered a current issue impacting sc today responsesa) educational funding b)embracing diversity c)immigration reform d) tourism management

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The issue that is NOT considered a current issue impacting SC today is "Tourism Management."Tourism management is not considered a current issue impacting SC today. As such, option D is the correct response.Various current issues impacting SC (South Carolina) today are.

Educational funding: Educational funding is one of the major issues that is impacting SC. South Carolina is ranked as 38th in the country when it comes to educational spending per student. The state is finding it difficult to fund schools properly and is in dire need of financial assistance.Embracing diversity: Another issue that is impacting SC today is embracing diversity. The state is working on embracing diversity and encouraging people of different backgrounds to come and settle down here.Immigration reform: Immigration is also an issue that is impacting SC today. The state is working on reforming the immigration laws and making it easier for people to come and settle down here.Tourism Management:

Tourism management is not considered as a current issue impacting SC today. However, the state is always working on promoting tourism and making the state a popular tourist destination.Another issue that is impacting SC today is embracing diversity. The state is working on embracing diversity and encouraging people of different backgrounds to come and settle down here.Immigration reform: Immigration is also an issue that is impacting SC today. The state is working on reforming the immigration laws and making it easier for people to come and settle down here.Tourism Management:

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what is the cost of new common equity considering the estimate made from the three estimation methodologies? d

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The cost of new common equity considering the estimate made from the three estimation methodologies is: (DDM): 14%, (CAPM): 11.2% and (BYPRP) Model: 11%.

To calculate the flotation cost adjustment for the cost of retained earnings, we need to consider the flotation cost as a percentage of the new stock price.

Flotation Cost Adjustment = Flotation Cost Rate / (1 - Flotation Cost Rate)

The flotation cost rate is 5.6% (0.056), we can calculate the flotation cost adjustment:

Flotation Cost Adjustment = 0.056 / (1 - 0.056)

Flotation Cost Adjustment ≈ 0.056 / 0.944 ≈ 0.0593

So the flotation cost adjustment is approximately 0.0593 or 5.93%.

Now, let's calculate the cost of new common equity using the three estimation methodologies.

Dividend Discount Model (DDM):

The cost of equity using DDM can be calculated as:

Cost of Equity (DDM) = (Dividends per Share / Stock Price) + Dividend Growth Rate

Given:

Dividends per Share (D1) = $1.80

Stock Price (P0) = $20.00

Dividend Growth Rate (g) = 5%

Cost of Equity (DDM) = ($1.80 / $20.00) + 0.05

Cost of Equity (DDM) = 0.09 + 0.05

Cost of Equity (DDM) = 0.14 or 14%

Capital Asset Pricing Model (CAPM):

The cost of equity using CAPM can be calculated as:

Cost of Equity (CAPM) = Risk-Free Rate + Beta × Equity Risk Premium

Assuming the risk-free rate is 4% and the equity risk premium is 6%, and let's assume the beta for Barton Industries is 1.2.

Risk-Free Rate = 4%

Equity Risk Premium = 6%

Beta (β) = 1.2

Cost of Equity (CAPM) = 0.04 + 1.2 × 0.06

Cost of Equity (CAPM) = 0.04 + 0.072

Cost of Equity (CAPM) = 0.112 or 11.2%

Bond Yield Plus Risk Premium (BYPRP) Model:

The cost of equity using BYPRP can be calculated as:

Cost of Equity (BYPRP) = Yield on Long-Term Bonds + Equity Risk Premium

Assuming the yield on long-term bonds is 5% and the equity risk premium is 6%.

Yield on Long-Term Bonds = 5%

Equity Risk Premium = 6%

Cost of Equity (BYPRP) = 0.05 + 0.06

Cost of Equity (BYPRP) = 0.11 or 11%

Therefore, the cost of new common equity considering the estimate made from the three estimation methodologies is approximately:

Dividend Discount Model (DDM): 14%

Capital Asset Pricing Model (CAPM): 11.2%

Bond Yield Plus Risk Premium (BYPRP) Model: 11%

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Complete question is:

"Barton Industries expects next year's annual dividend, D1, to be $1.80 and it expects dividends to grow at a constant rate g = 5%. The firm's current common stock price, P0, is $20.00. If it needs to issue new common stock, the firm will encounter a 5.6% flotation cost, F. What is the flotation cost adjustment that must be added to its cost of retained earnings? Do not round intermediate calculations. Round your answer to two decimal places.

%

What is the cost of new common equity considering the estimate made from the three estimation methodologies? Do not round intermediate calculations. Round your answer to two decimal places."

Ogier Incorporated currently has $800 million in sales, which are projected to grow by 12.5% in Year 1 and by 5% in Year 2. Its operating profitability ratio (OP) is 10%, and its capital requirement ratio (CR) is 80%.
a. What are the projected sales in Years 1 and 2?
b. What are the projected amounts of net operating profit after taxes (NOPAT) for Years 1 and 2?
c. What are the projected amounts of total net operating capital (OpCap) for Years 1 and 2?
d. What is the projected FCF for Year 2?

Answers

If operating profitability ratio (OP) of Ogier Incorporated is 10%, and its capital requirement ratio (CR) is 80% then, a. Projected sales: Year 1 = $900 million, Year 2 = $945 million; b. Projected NOPAT: Year 1 = $63 million, Year 2 = $66.15 million; c. Projected OpCap: Year 1 = $720 million, Year 2 = $756 million and d. Projected FCF (Year 2) = $30.15 million.

Here is detailed solution of the given question:

a. Projected sales in Year 1: $800 million * (1 + 12.5%) = $900 million

  Projected sales in Year 2: $900 million * (1 + 5%) = $945 million

b. To calculate net operating profit after taxes (NOPAT), we need to multiply the projected sales by the operating profitability ratio (OP). Assuming the tax rate is 30%:

  NOPAT Year 1: $900 million * 10% * (1 - 30%) = $63 million

  NOPAT Year 2: $945 million * 10% * (1 - 30%) = $66.15 million

c. Total net operating capital (OpCap) is calculated by multiplying the projected sales by the capital requirement ratio (CR):

  OpCap Year 1: $900 million * 80% = $720 million

  OpCap Year 2: $945 million * 80% = $756 million

d. Free Cash Flow (FCF) for Year 2 can be calculated using the formula:

 FCF Year 2 = NOPAT Year 2 - (OpCap Year 2 - OpCap Year 1)

 FCF Year 2 = $66.15 million - ($756 million - $720 million)

 FCF Year 2 = $30.15 million

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Develop a detailed compensation package for any one of the following job titles.

Staff Accountant

Business Analyst

Recruiter

Use any 5 points -

Use some of the following criteria and do not keep it limited to this, you may add more. However please make sure you use quantifiable numbers or values.

Base Salary
OT eligible or not
Pension match timeline and Criteria
Benefits Match Criteria
Additional Benefits - Add at least 2 with amounts or criteria (Tuition reimbursement, Parental and maternity top ups or Shift Premiums, Holiday bonus , Gym Membership etc).

Answers

Recruiter compensation package: A recruiter's comprehensive remuneration/salary plan is provided below:

Basic Pay: The recruiter will make a base compensation of $55,000 annually.OT qualification:- The recruiter is entitled to overtime compensation.Timeline and requirements for pension matching: Up to 6% of the employee's salary ,the company will match 50% of the employee's pension fund contributions.Benefits Match Requirements: The business will match all employee contributions to the group health insurance programme at 100%. Additionally, the employer will match 50% of the employee's dental insurance payment.Additional Benefits: The employee will be eligible for tuition reimbursement of up to $5,000 annually for courses related to their line of work. Up to salary  of $500 per year, the company will also cover the cost of the employee's gym membership.

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A reinforced concrete suspension bridge is being considered for a new channel crossing between New Jersey and Staten Island. The bridge will cost $460 million to construct. Every 10 years, the bridge deck will have to replaced at a cost of $20 million. Assuming the cost of the bonds issued to pay for the bridge is 6% per year, calculate the capitalized cost of the bridge.

Answers

The capitalized cost of the bridge, considering construction and periodic deck replacement costs, is $460 million.

To calculate the capitalized cost of the bridge, we need to consider the initial construction cost and the present value of the periodic deck replacement costs. The construction cost is $460 million. Since the deck replacement cost occurs every 10 years, we can calculate the present value of this cost using the bond interest rate of 6%. Using the present value formula, the present value of the $20 million deck replacement cost every 10 years is also $460 million.

Therefore, the capitalized cost of the bridge is the sum of the construction cost and the present value of the periodic deck replacement costs, which is $460 million.

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