Length: 5000 words. Look for a company or organization that is in need of a new strategy and write a report on the chosen organization. Try to avoid companies that operate in highly regulated industries. Canadian financial institutions fall into this category. Some possible sources of companies to choose from include the Toronto Stock Exchange (TSX) in Canada or the New York Stock Exchange (NYSE) in the United States. However, you are not restricted to North American companies. Note that there are over 1 million public companies listed on stock exchanges worldwide. If you choose a publicly traded organization, enter the exchange on which it trades and its stock symbol. If it’s not publicly traded, enter the city and the province/state/region in which it is based. Provide the Internet address of the organization and the name of the CEO or owner. Note that your introduction to the organization will be more important with this assignment as there is a good chance that your marker is not familiar with it.

Answers

Answer 1

Airbnb is an online marketplace and hospitality service that allows people to rent out their properties or spare rooms to guests. It provides a platform where individuals can list their accommodations, such as apartments, houses, or even unique spaces like castles or treehouses, for short-term rentals.

1. Strategic Analysis of Airbnb- Airbnb is an online marketplace and hospitality service provider that connects people looking for accommodations with hosts offering their homes, apartments, or unique properties for short-term rentals. Founded in 2008 by Brian Chesky, Joe Gebbia, and Nathan Blecharczyk, Airbnb has rapidly grown to become a global leader in the sharing economy, providing unique travel experiences to millions of users worldwide. With its headquarters in San Francisco, California, United States, Airbnb operates as a privately held company.

2. Current State and Challenges-

Despite its remarkable success, Airbnb faces several challenges that necessitate the formulation of a new strategy. Firstly, the COVID-19 pandemic significantly impacted the travel industry, leading to a decline in bookings and revenue for Airbnb. Travel restrictions, lockdowns, and reduced consumer confidence severely impacted the demand for short-term rentals. As the company recovers from the pandemic's effects, it must adapt its strategy to the new normal and regain market share.

Secondly, the rise of alternative accommodations and the increased competition in the sharing economy have put pressure on Airbnb's market position. Competitors such as Vrbo, Booking.com, and local rental platforms have been gaining traction by offering similar services to a growing customer base. To remain competitive, Airbnb needs to differentiate itself and provide unique value propositions to both hosts and guests.

Lastly, regulatory challenges and legal disputes have posed a significant threat to Airbnb's business model. Many cities and jurisdictions have imposed restrictions or outright bans on short-term rentals, citing concerns over housing availability, neighborhood disruption, and regulatory compliance. These regulatory hurdles require Airbnb to navigate complex legal landscapes and establish sustainable partnerships with local authorities.

3. Strategic Recommendations

3.1 Diversification of Services

To mitigate the impact of market fluctuations and enhance revenue streams, Airbnb should consider diversifying its services beyond short-term rentals. Expanding into related sectors such as experiences, long-term rentals, and corporate travel can provide new opportunities for growth and revenue generation. By offering a broader range of travel-related services, Airbnb can enhance customer loyalty and capture a larger share of the travel market.

3.2 Focus on Sustainability and Responsible Tourism

In response to increasing consumer demand for sustainable and eco-friendly travel options, Airbnb should incorporate sustainability practices into its core strategy. By promoting responsible tourism, supporting local communities, and implementing environmentally friendly initiatives, Airbnb can attract environmentally conscious travelers and differentiate itself from competitors. Additionally, collaborating with local governments and organizations to address housing availability concerns can help build positive relationships and alleviate regulatory challenges.

3.3 Enhanced Host and Guest Experience

To maintain a competitive edge, Airbnb must invest in improving the host and guest experience. Enhancing the user interface and functionality of the Airbnb platform, providing better customer support, and implementing stricter quality control measures can contribute to a seamless and satisfying experience for both hosts and guests. Leveraging technology, such as artificial intelligence and machine learning, can facilitate personalized recommendations, ensure accurate listings, and streamline the booking process.

3.4 Strengthened Partnerships

Given the regulatory complexities, Airbnb should proactively establish partnerships with local governments, tourism boards, and other relevant stakeholders. Collaborating with authorities to develop and implement fair and transparent regulations can help Airbnb navigate legal challenges and maintain a harmonious relationship with host communities. Additionally, strategic partnerships with travel agencies, airlines, and other travel service providers can expand Airbnb's reach and customer base.

Conclusion-

As Airbnb faces the challenges brought about by the COVID-19 pandemic, increased competition, and regulatory hurdles, the formulation of a new strategic approach is crucial for its long-term success.

To know more about organizations visit:

https://brainly.com/question/19334871

#SPJ11


Related Questions

Paul has been granted a mortgage of SEK 3,000,000 from Swedbank and it is an annuity loan with a term of 30 years and at a nominal interest rate of 4.8% p.a.
a) What will be the monthly amount?
b) How much does Paul have to pay in installments in the second month?

Answers

a) The monthly amount for Paul's annuity-loan is calculated to be 15,739. b) Paul has to pay the same amount as the monthly payment in the second month.

a) The monthly amount for Paul's annuity loan can be calculated using the formula for the monthly payment of an annuity loan:

Monthly payment = P * r * (1 + r)^n / ((1 + r)^n - 1)

Where:

P = Principal amount of the loan (SEK 3,000,000)

r = Monthly interest rate (4.8% p.a. / 12 months = 0.4% per month)

n = Total number of months (30 years * 12 months = 360 months)

By plugging in the values into the formula, we can calculate the monthly amount:

Monthly payment = 3,000,000 * (0.004) * (1 + 0.004)^360 / ((1 + 0.004)^360 - 1) =15,739

b) In the second month, the monthly installment remains the same. Therefore, the amount that Paul has to pay in installments in the second month will be equal to the monthly payment calculated in part a).

Please note that the exact numerical calculations are required to obtain the specific values for the monthly amount and the payment in the second month.

To know more about Annuity Loan, visit

https://brainly.com/question/28602592

#SPJ11

Why is it so important to identify system entry and exit points
in Software Threat Modeling?

Answers

In Software Threat Modeling, it is very important to identify system entry and exit points because the entry and exit points are the most susceptible points for software attacks.

What is Software Threat Modeling?

Software Threat Modeling is a structured approach used to identify the potential threats, vulnerabilities and risks to the software systems. It also helps to identify the best measures to mitigate these risks and enhance the security of the software systems.

What are the system entry and exit points?

System entry points are the interfaces or connections between the software system and external entities such as users, other systems, data feeds, and databases. On the other hand, system exit points are the interfaces or connections between the software system and the external world.

Software attackers can exploit system entry and exit points to gain unauthorized access to the software system, steal data, introduce malware or other malicious software into the system, or cause other damage or disruptions to the software system.

Therefore, it is very important to identify the entry and exit points of a software system in order to be able to put in place effective security controls that will prevent, detect or mitigate the risks and vulnerabilities associated with these entry and exit points.

To know more about Software Threat Modeling click on below link :

https://brainly.com/question/29803930#

#SPJ11

What is your assessment of Farmer Brother’s recent financial ratio and cash flow performance? How does it compart to Green Mountain Coffee Roasters?

Answers

Therefore, I cannot provide a direct assessment of Farmer Brother's recent financial ratio and cash flow performance compared to Green Mountain Coffee Roasters or any other company.

To assess the financial performance of Farmer Brothers or any company, it is essential to analyze key financial ratios such as profitability ratios (e.g., return on assets, profit margin), liquidity ratios (e.g., current ratio, quick ratio), and solvency ratios (e.g., debt-to-equity ratio, interest coverage ratio).

Additionally, evaluating cash flow performance involves examining operating cash flow, investing cash flow, and financing cash flow to assess the company's ability to generate and manage cash.

To make a comparison between Farmer Brothers and Green Mountain Coffee Roasters, one would need access to the financial statements and related information for both companies and perform a detailed analysis.

Learn more about financial here

https://brainly.com/question/1265337

#SPJ11

Assume there are no employee or employer misperceptions, wages are not sticky, and prices are not sticky. There is an increase in interest rates. Which of the following correctly states the outcome?
Equilibrium real GDP would increase, unemployment would decrease, and the equilibrium price level would increase.
O Equilibrium real GDP would decrease, unemployment would increase, and the equilibrium price level would decrease.
O Equilibrium real GDP would remain the same, unemployment would remain the same, and the equilibrium price level would decrease.
O Equilibrium real GDP would remain the same, unemployment would remain the same, and the equilibrium price level would increase.

Answers

The increase in interest rates leads to the rise in the cost of borrowing, and it makes borrowing expensive for individuals and businesses.

This, in turn, decreases the consumption expenditure and investment, which ultimately results in the decline of the aggregate demand in the economy. As a result, the decrease in aggregate demand leads to the decrease in the equilibrium real GDP in the economy. Additionally, the fall in real GDP leads to the decrease in the demand for labor, which in turn, results in the rise in the rate of unemployment in the economy.

Moreover, the decrease in demand results in a decline in the price level, which leads to the fall in the equilibrium price level.

To know more about businesses visit:-

https://brainly.com/question/30036288

#SPJ11

Imagine that there are two television networks, the Wolf network and the Peacock network. At first, their audiences are similar, and many people switch between networks depending on what is on that evening. Over time, however, the networks begin to differentiate so that some people watch only the Wolf network and other people watch only the Peacock network. In other words, each network develops a monopoly on its audience. As the networks differentiate, describe what happens to the prices charged to advertisers and viewers of the two networks. The price to advertisers will ___ and the price to viewers will ___.
a. increase
b. decrease

Answers

As the Wolf network and the Peacock network differentiate and develop a monopoly on their respective audiences, the prices charged to advertisers will likely increase, while the prices charged to viewers may decrease or remain relatively stable.

When each network has a monopoly on its audience, advertisers have limited options to reach specific target demographics. With reduced competition, the networks can command higher advertising rates due to the increased demand for limited advertising slots. Advertisers may have to pay more to secure ad placements on these networks, as they have a captive audience and limited alternatives for reaching their desired viewers.

On the other hand, the prices charged to viewers may decrease or remain stable. Monopoly power allows networks to generate revenue primarily from advertising, rather than relying heavily on viewer subscriptions or fees. To attract and retain viewers, the networks may strategically price their services at affordable rates or even offer them for free to maximize audience reach. This approach aims to maintain high viewership and ensure that the networks remain attractive platforms for advertisers to advertise their products or services.

As the networks differentiate and develop a monopoly on their audiences, the prices charged to advertisers are likely to increase due to limited advertising options. In contrast, the prices charged to viewers may decrease or remain relatively stable as the networks prioritize attracting and retaining a larger audience to maximize their advertising revenue.

learn more about advertisement here:brainly.com/question/32251098

#SPJ11

What is the present value of a security that will pay $49,000 in 20 years if securities of equal risk pay 3% annually? Do not round Intermediate calculations. Round your answer to the nearest cent.

Answers

The present value of a security that will pay $49,000 in 20 years if securities of equal risk pay 3% annually is approximately $27,086.03.

To calculate the present value of the security, we need to use the present value formula for future cash flow:

PV = FV / (1 + r)^n

Where:

PV = Present value

FV = Future value ($49,000)

r = Annual interest rate (3% or 0.03)

n = Number of years (20)

Substituting the given values into the formula:

PV = $49,000 / (1 + 0.03)^20

Calculating the denominator:

(1 + 0.03)^20 ≈ 1.806111

PV = $49,000 / 1.806111

PV ≈ $27,086.03

Therefore, the present value of the security is approximately $27,086.03.

Learn more about security:

https://brainly.com/question/25720881

#SPJ11

The first step in the human resource planning process is Multiple Choice • forecasting. • goal setting. • program implementation. • program evaluation. • groupthink. One of the reasons that organizations engage in ________ is that many firms change the location of where they do business for economic reasons. Multiple Choice • goal setting • due process • downsizing • transitional research • forecasting

Answers

The first step in the human resource planning process is forecasting. One of the reasons that organizations engage in forecasting is that many firms change the location of where they do business for economic reasons.

Human resource planning is a systematic and continuous process used by organizations to guarantee that they have the right people in the right positions at the right times. Human resource planning (HRP) is the process of forecasting future personnel needs and managing the existing workforce's supply to guarantee that the organization has the right number of employees with the appropriate skills to satisfy the organization's needs.The first step in the human resource planning process is forecasting. Forecasting is the procedure of predicting the future demand for the organization's goods and services and the workforce's ability to provide those goods and services. It involves determining how many employees will be required in the future and what qualifications and skills they will require.

The forecasting procedure is affected by both internal and external variables, such as market conditions, economic trends, and demographic shifts. Forecasts must be as precise as feasible, taking into account the company's overall objectives and plans.For economic reasons, many organizations change their business locations, which is one of the reasons they engage in forecasting. Companies may need to adjust their workforce numbers and skills to remain competitive and maintain their market position as they expand or decrease. To maintain the ideal balance between supply and demand, forecasting can assist them in identifying how many workers they need and what skills they need. It can also assist in the creation of budgets, staffing plans, and resource allocation plans. The human resource department should collaborate with the organization's executives, managers, and other departments to ensure that the forecasting process is effective and that the information obtained is accurate.

To know more about human resource planning visit :-

https://brainly.com/question/23872636

#SPJ11

Capital One has just paid a dividend of $3, which is expected to grow at 5% next year, 6% in the following year, and then 4% thereafter. If the required rate of return is 10%, what is the current price of the Capital One stock?

Answers

The current price of Capital One stock is $65.29.

Capital One has just paid a dividend of $3, which is expected to grow at 5% next year, 6% in the following year, and then 4% thereafter. If the required rate of return is 10%, the current price of the Capital One stock can be calculated as follows:P0 = D1 / (r-g)where:P0 = the current price of Capital One stock D1 = the expected dividend one year from nowr = the required rate of returning = the expected dividend growth rateP0 = 3 x (1 + 5%) / (10% - 5%) x (1 + 6%) / (10% - 6%) x (1 + 4%) / (10% - 4%)P0 = $65.29.

Therefore, the current price of Capital One stock is $65.29.

To know more about Capital visit:-

https://brainly.com/question/32408251

#SPJ11

I am investing $18300 to start a two year project, which is expected to generate a free cash flow of $2000 and $19900 in year 1 and year 2 respectively. If my WACC is 5%, what is the project's MIRR (please report the answer as a decimal number with four decimal places such as 0.1234)?

Answers

The project's Modified Internal Rate of Return (MIRR) is approximately 0.1376. The MIRR is a financial indicator used to evaluate the profitability of an investment project.

In this case, the project requires an initial investment of $18,300 and is expected to generate free cash flows of $2,000 and $19,900 in year 1 and year 2, respectively. To calculate the MIRR, we need to consider the project's cash inflows and outflows, as well as the weighted average cost of capital (WACC) which is given as 5%.

To calculate the MIRR, we first determine the future value (FV) of the cash inflows and outflows using the WACC as the discount rate.

In year 1, the future value of the cash inflow of $2,000 would be = $2,100 (2000 × (1+0.05)).

In year 2, the future value of the cash inflow of $19,900 would be = $20,895 (19900 × (1+0.05)²).

Next, we calculate the present value (PV) of the terminal value, which is the future value of the final cash inflow discounted back to the present at the WACC.

The PV of the terminal value

=$20,895/(1+0.05)²

= $18,580.

Then, we calculate the MIRR by finding the discount rate that equates the present value of the cash outflow (initial investment) with the sum of the present value of the cash inflows (year 1 cash inflow and terminal value).

Using a financial calculator or spreadsheet software, we can find that the MIRR is approximately 0.1376, which represents a return of 13.76% on the investment over the two-year period.

To learn more about MIRR here brainly.com/question/31390081

#SPJ11

When the government increases its borrowing, the budget ___ increases and government debt ___. The resulting change in investment due to this increased government borrowing is called ___

Answers

When the government increases its borrowing, the budget deficit increases, and government debt rises. The resulting change in investment due to this increased government borrowing is called the crowding-out effect.

When the government engages in borrowing, it usually does so by issuing bonds or Treasury securities to raise funds. This leads to an increase in the budget deficit, which is the amount by which government spending exceeds its revenue in a given period. As a result, the government accumulates more debt as it needs to borrow to cover the deficit.

When the government borrows more, it competes with other borrowers, such as businesses and individuals, for available funds in the financial market. This increased demand for funds can lead to higher interest rates. Higher interest rates make borrowing more expensive for private investors and businesses, reducing their ability or willingness to invest in projects, such as expanding businesses or purchasing capital goods.

This phenomenon is known as the crowding-out effect because government borrowing "crowds out" private investment. When the government increases its borrowing, it absorbs a larger share of available funds, reducing the amount of capital available for private investment. This can result in decreased investment levels, which may have negative consequences for economic growth and productivity in the long run.

To know more about crowding-out effect click here brainly.com/question/995089

#SPJ11

South Drink Company produces a variety of specialty beverages. One of its products is made in a separate facility for which monthly equipment leasing and heating costs are $60,000. Eight workers handle production and shipping. Each receives salary and fringe benefits of $2,500 per month. The advertising is charged at $54,708 per year. The product is sold for $7.00 a case. Packaging and distribution costs are $0.30 per case, and ingredients cost $1.50 per case. The company wants to determine how many units should be produced to ensure a profit per month. What is the break-even volume? Round to two decimal places. O
a. 6261.35 b. 19410.18 c. 20133.10 d. 22,271.71

Answers

Rounded to two decimal places, the break-even volume is approximately 16,223.65 units.

none of the s provided matches this calculation, none of the given s (a, b, c, d) is  for the break-even volume.

To calculate the break-even volume, we need to determine the number of units that need to be produced to cover all the costs and achieve a profit of zero.

First, let's calculate the total fixed costs per month. The fixed costs include the equipment leasing and heating costs, salaries and fringe benefits of workers, and annual advertising costs.

Equipment leasing and heating costs per month: $60,000Salary and fringe benefits per worker per month: $2,500 x 8 = $20,000

Advertising costs per month: $54,708 / 12 = $4,559

Total fixed costs per month: $60,000 + $20,000 + $4,559 = $84,559

Next, let's calculate the variable costs per unit. The variable costs include packaging and distribution costs and ingredients costs.

Packaging and distribution costs per unit: $0.30Ingredients costs per unit: $1.50

Total variable costs per unit: $0.30 + $1.50 = $1.80

Now, let's determine the contribution margin per unit. The contribution margin is the selling price per unit minus the variable costs per unit.

Selling price per unit: $7.00

Contribution margin per unit: $7.00 - $1.80 = $5.20

To calculate the break-even volume, we divide the total fixed costs per month by the contribution margin per unit.

Break-even volume = Total fixed costs per month / Contribution margin per unit

Break-even volume = $84,559 / $5.20Break-even volume ≈ 16,223.65

Learn more about margin here:

https://brainly.com/question/28481234

#SPJ11

1. Using an example from your personal or work life, explain how logistics is present and why it is so important both for people's lives and for companie’s operations?.
2. Complete the following chart to make a comparison between domestic ground and air transportation. Use at least three points or items to make this comparison. Ground Transportation Air Transportation
3. Say in your own words, what is a Freight Forwarder and why it would be convenient to use one?
4. Case: Assume that you are an exporter and your customer has asked you for a quote for the product you sell. a.The customer tells you that he can bear the costs once the goods have been unloaded at the port of destination. What will be the Incoterm that you should use in your quote? Justify. b. What would be the incoterm that should be used if the client wants to use his own insurance company from which the goods are shipped at the port of origin?

Answers

The incoterm that should be used is Free on Board (FOB). This term requires the seller to bear the costs of loading onto the vessel, but the buyer will bear the costs of transportation from the port of origin and any insurance during transit.

1. Logistics is present in my work life through the operations of shipping products. For instance, I work in a retail industry where products are ordered from different manufacturers worldwide. The products are then transported by air or sea to our distribution centers where they are organized, stored, and then transported to different retail outlets. The logistics involved in this process are crucial to ensure that the right products reach the right stores at the right time, while also minimizing costs. Logistics is essential for both people's lives and company's operations because it enables efficient transportation of goods and services from one location to another. This, in turn, allows people to access goods and services from anywhere, and businesses to expand their operations beyond their local areas.2.
Comparison Ground Transportation Air TransportationSpeed Low HighCost Low HighLimitation Short distance, land only Long distance, air onlyCapacity Small Large3. A Freight Forwarder is an agent who acts on behalf of exporters and importers to manage logistics activities. It is convenient to use a freight forwarder because they have expertise in transportation, customs clearance, documentation, and insurance. They can help navigate complex regulations and provide advice on the most cost-effective and efficient transportation methods.4. a. The incoterm that should be used is Cost and Freight (CFR). This term requires the seller to pay for transportation to the port of destination and the cost of loading onto the vessel. The buyer will then bear the costs of unloading from the vessel and any transportation from the port of destination.

to know more about insurance, visit

https://brainly.com/question/25855858

#SPJ11

Commercial cookery/ kitchen:
Identify and briefly explain three (3) ways you can proactively
consult with colleagues about ways to improve efficiency and
service levels.

Answers

There are three proactive ways to consult with colleagues in a commercial cookery/kitchen to enhance efficiency and service levels: conducting regular team meetings, implementing suggestion boxes, and fostering an open communication culture.

Regular team meetings provide an opportunity to consult with colleagues and discuss ideas for improving efficiency and service levels in a commercial cookery/kitchen. These meetings can be structured to encourage open dialogue, allowing everyone to share their thoughts, suggestions, and concerns. Through collaborative discussions, potential bottlenecks or inefficiencies can be identified, and innovative solutions can be brainstormed and implemented. Implementing suggestion boxes is another effective way to proactively consult with colleagues. By placing suggestion boxes in visible areas of the kitchen, such as the staff room or near the notice board, employees can anonymously contribute their ideas and suggestions for improving efficiency and service. This approach ensures that everyone has an opportunity to voice their opinions and provides a platform for collecting diverse perspectives. Management can regularly review the suggestions and implement feasible ones, fostering a sense of ownership and collaboration among the staff.  

Fostering an open communication culture is crucial for proactive consultation. Encouraging colleagues to share their ideas, feedback, and concerns on a regular basis creates an environment where continuous improvement is valued. This can be facilitated through informal discussions, feedback sessions, or designated channels for communication, such as a dedicated communication app or email thread. By actively listening to and considering the input of colleagues, the kitchen team can identify areas of improvement, address challenges promptly, and collectively work towards enhancing efficiency and service levels.

Learn more about open communication here: https://brainly.com/question/31795623

#SPJ11

No-regrets option is also called 1 Asian option 2 Barrier option 3 Lookback option 4 Tandem options

Answers

The no-regrets option is sometimes referred to as a barrier option. The correct answer is option (2).

A barrier option is a type of financial instrument that is used to protect against losses from market volatility. A barrier option is usually a contract between two parties, with one party agreeing to buy a financial asset at a specified price if the price of that asset reaches a certain level (called the "barrier"), and the other party agreeing to sell the asset at that price. If the price of the asset does not reach the barrier level, the option expires worthless and the buyer loses the premium paid for the option.  Hence, the right answer is option (2).

However, if the asset does reach the barrier level, the buyer can exercise the option and make a profit on the price difference. The no-regrets option is a type of barrier option that allows the buyer to participate in the upside potential of an investment while protecting against downside risk. It is sometimes called an Asian option or a lookback option, but these terms are not synonymous with the no-regrets option.

To know more about barrier option click here

brainly.com/question/32327982

#SPJ11

Suppose Boeing, a Chicago-based aerospace firms, exports $80 million worth of Boeing 767 to Cathay Pacific, a Hong Kong-based airline firm. Assume Cathay Pacific pays Boeing with its USD-denominated bank
account kept with JPMorgan Chase in New York, NY. Which of the following is correct way in which Boeing's export to Cathay Pacific would be recorded for the U.S.
balance of payments statement?
A. Boeing's export to Cathay Pacific would have been
recorded as a credit of - $80M.
B. Boeing's export to Cathay Pacific would have been
recorded as a debit of -$80M.
C. Boeing's export to Cathay Pacific would have been
recorded as a credit of +$80M.
.D Boeing's export to Cathay Pacific would have been
recorded as a debit of +$80M.

Answers

The export of Boeing 767 to Cathay Pacific would be recorded as a credit of +$80 million in the U.S. balance of payments statement.

Boeing, an aerospace company headquartered in Chicago, exports Boeing 767 aircraft valued at $80 million to Cathay Pacific, an airline company based in Hong Kong.

Cathay Pacific makes the payment to Boeing using its USD-denominated bank account held with JPMorgan Chase in New York, NY.

The correct method to record Boeing's export to Cathay Pacific on the U.S. balance of payments statement is as follows:

According to the correct accounting practice, the export of Boeing's aircraft to Cathay Pacific would be recorded as a positive credit of $80 million

This is because an export generates a credit in the balance of payments statement.

The credit is equal to the amount received by the exporting country. In this case, Boeing received $80 million from Cathay Pacific for the export of Boeing 767.

The amount is credited as +$80 million because it represents an inflow of funds into the U.S. economy.

The payment is made in U.S. dollars, which are the primary currency of the U.S. economy.

Therefore, the export of Boeing 767 to Cathay Pacific would be recorded as a credit of +$80 million in the U.S. balance of payments statement.

Learn more about export at: https://brainly.com/question/13663581

#SPJ11

Hi can someone explain (please include full explanation)
:
1. why decrease in equity is a negative sign in financing
activities ? and what causes a decrease in equity?
2. Why decrease in debt is a neg
Cash Flow Analysis Solution Investing activities Capital asset acquisitions Capital asset disposals Net capital asset acquisitions Other investing cash flows Investing cash flow Financing activities I

Answers

A decrease in equity is a negative sign in financing activities because it indicates that the company's profitability is declining and its ability to borrow money in the future may be limited. A decrease in debt is also a negative sign for the company because it suggests that the company is not taking advantage of leverage, and it could also indicate that the company is struggling to meet its obligations.

The "decrease in equity" is a negative sign in financing activities due to the following reasons:

If the equity is decreasing, it means that the company is paying out more than it is earning. This means the company's profitability is declining, which isn't a good sign for investors. In addition, when equity decreases, the company's ability to borrow money in the future may be limited, which may result in difficulties in obtaining financing.

A decrease in equity can be caused by a variety of factors, including:

1. Losses incurred by the company

2.Dividends paid to shareholders

3. Repurchasing of shares

4. Issuing shares at a price lower than the current market value

5. Issuing shares at a price lower than the book value of equity

6. Payment of debt

7. Expenses of the company's operations.

The decrease in debt is a negative sign for the company due to the following reasons:

If the debt is decreasing, it means that the company is not taking advantage of the potential benefits of leverage, such as tax savings and increased returns. Furthermore, it could indicate that the company is struggling to meet its obligations, which may suggest that it has a low credit rating. As a result, the company may face difficulty obtaining financing in the future if it needs it.

What causes a decrease in debt?

A decrease in debt can be caused by the following:

1. Repayment of outstanding debt

2. Refinancing of outstanding debt

3. Write-offs or reductions in the value of debt.

Learn more about financing activities:

https://brainly.com/question/28392668

#SPJ11

What is the EAR if the APR is 13 percent compounded monthly? Enter answer as 4 decimals (e.g. 0.1234)

What is the EAR if the APR is 13 percent compounded monthly? Enter answer as 4 decimals (e.g. 0.1234)

Answers

The Effective Annual Rate (EAR) for an Annual Percentage Rate (APR) of 13 percent compounded monthly is approximately 0.1357.

To calculate the EAR, we need to take into account the compounding frequency. The formula to convert an APR to EAR is:

EAR = (1 + APR/n)^n - 1

Where APR is the annual percentage rate and n is the number of compounding periods per year.

In this case, the APR is 13 percent and the compounding is done monthly, so n = 12. Plugging these values into the formula, we get:

EAR = (1 + 0.13/12)^12 - 1 ≈ 0.1357

Therefore, the EAR for an APR of 13 percent compounded monthly is approximately 0.1357.

To know more about compound interest, refer here:

https://brainly.com/question/22621039#

#SPJ11

(a) Describe what is "binning"; explain what is it used for?

(b) List the key steps in the k-mean clustering algorithm.
(c) Describe how dictionary-based sentiment analysis works and give an example of its use in marketing.

Answers

(a) Binning is a statistical technique of grouping a continuous variable into a smaller number of bins. (c) Dictionary-based sentiment analysis is a technique used to categorize the sentiment of a piece of text based on the words used. It involves using a pre-built dictionary of words categorized as positive, negative, or neutral.

It is used to simplify data, making it easier to interpret and analyze. Binning is useful for handling outliers and reducing the effects of noise and small variations in data. The sentiment of the text is then determined by counting the frequency of each type of word. An example of its use in marketing is analyzing customer reviews of a product to determine overall sentiment and identify areas for improvement. This information can then be used to adjust marketing strategies and improve the product.

The data can be smoothed using the binning method. Most data contains a lot of noise. A different kind of algorithm is used in the data smoothing technique to get rid of the noise in the data set. Because of this, important patterns can be seen.

Know more about Binning, here:

https://brainly.com/question/31812902

#SPJ11

In 2015, a customer buys 1 GE 10%, $1,000 par debenture, M '40, at 120. The interest payment dates are Jan 1st and Jul 1st. The bond is callable in 3 years at an 8% call premium. The yield to call on the bond is:

A. 5.26%
B. 8.00%
C. 8.37%
D. 10.23%

Answers

The bond is callable in 3 years at an 8% call premium. The yield to call on the bond is 8.37%. A callable bond is a bond that can be redeemed before maturity by the issuer.

The yield to call is the rate of return received if the bond is purchased at its current market value and then held until it is called by the issuer.The formula for yield to call is:(I / 2 + ((F - P) / n)) / ((F + P) / 2) x (1 / t)Where,P is the current market price,F is the face value of the bond,n is the number of periods per year,t is the number of years remaining until the bond is called or matures, andI is the interest payment.

To calculate the yield to call on this bond, we'll need to use the above formula. Here is how:Step 1: Calculate the interest payments per period: Interest payments per period can be found by multiplying the bond's coupon rate by its par value and then dividing by the number of payments per year. In this case, the coupon rate is 10% and the bond's par value is $1,000. $1,000 x 10% = $100. $100 / 2 = $50.

To know more about call premium visit:

https://brainly.com/question/30038914

#SPJ11

Analyze Spirit Airlines Business & Marketing strategies.
Identify & discuss 2 of the 10 external forces that impact
Spirit airline strategies and performance.

Answers

Spirit Airlines is an American low-cost carrier that provides air travel across the United States, Latin America, the Caribbean, and Mexico. It is known for its low-fare tickets and additional costs for extras like checked bags, seat selection, and snacks. In analyzing the business and marketing strategies of Spirit Airlines, it is important to consider some of the external forces that impact the company.

Two of these external forces are discussed below:1. Economic Factors:The airline industry is particularly sensitive to changes in the economic climate. The global recession that began in 2008 had a significant impact on the industry, as people cut back on travel expenses and businesses reduced their travel budgets. In recent years, however, the economy has been improving, and more people are flying for business and leisure. This has created opportunities for airlines like Spirit to expand their routes and increase their revenue streams.2. Technological Factors:The aviation industry is constantly evolving, and technology is playing an increasingly important role in the industry. Advances in technology are helping airlines to reduce costs, improve efficiency, and enhance the customer experience. Spirit Airlines has embraced technology in a number of ways, including offering mobile boarding passes, self-service kiosks, and automated baggage check-in. By everalging technology, Spirit Airlines has been able to reduce costs and improve its operational performance.These external forces play a significant role in shaping the business and marketing strategies of Spirit Airlines. By analyzing these forces and adjusting its strategies accordingly, Spirit Airlines is better positioned to succeed in the competitive airline industry.

learn more about  Airlines here;

https://brainly.com/question/24245746?

#SPJ11

1)- Is the existing service area expanded? That is, are there any entities being added to the service area?
2)- If the service area is expanded, what should be the main service goals to be added besides monitoring the baby's condition?

Answers

The first question is whether the existing service area is being expanded by adding entities to the service area If the service area is expanded, the main service goals to be added, besides monitoring the baby's condition, should be determined.

The first question seeks to clarify whether there is an expansion of the existing service area by adding entities. This could refer to geographic expansion, where the service is being extended to new locations or regions. It could also refer to the inclusion of additional healthcare providers or facilities within the service area. Understanding whether there is an expansion of the service area is important to assess the potential changes and implications for service delivery.

If the service area is indeed being expanded, it is important to identify the main service goals that should be added in addition to monitoring the baby's condition. This would involve determining the specific needs and requirements of the new entities or locations included in the expanded service area. For example, additional goals could include providing preventive care, improving access to healthcare services, offering specialized treatments or therapies, enhancing communication and coordination among healthcare providers, or implementing patient education and support programs.

Learn more about entities here:

https://brainly.com/question/30509535

#SPJ11

I am investing $13200 to start a project, which is expected to generate a free cash flow of $1400 every year for ever. What is the project's IRR (report the decimal number with four decimal places such as 0.1234)?

Answers

The Internal Rate of Return (IRR) for the project is approximately 0.1061, expressed as a decimal with four decimal places. This means that the project is expected to yield a return of 10.61% on the initial investment of $13,200.

The Internal Rate of Return (IRR) is a financial metric used to evaluate the profitability of an investment project. It represents the discount rate at which the net present value (NPV) of the project becomes zero. In this case, the project requires an initial investment of $13,200 and is expected to generate a constant free cash flow of $1,400 per year indefinitely.

To calculate the IRR, we need to determine the rate at which the present value of the cash flows equals the initial investment. In other words, we solve for the discount rate that makes the NPV zero. Using a financial calculator or software, we can find that the IRR for this project is approximately 0.1061.

This means that the project is expected to generate a return of 10.61% per year on the initial investment. The higher the IRR, the more attractive the investment opportunity, as it indicates a higher rate of return compared to the cost of capital or alternative investments. In this case, the IRR of 0.1061 suggests that the project has the potential to provide a favorable return on investment.

To learn more about IRR here: brainly.com/question/31393609

#SPJ11

An investment will pay $50 at the end of each of the next 3 years, $200 at the end of Year 4, $300 at the end of Year 5, and $550 at the end of Year 6. If other investments of equal risk earn 11% annually, what is its present value? Its future value? Do not round intermediate calculations. Round your answers to the nearest cent.

Answers

The future value of the investment is $1,329.83.

An investment will pay $50 at the end of each of the next 3 years, $200 at the end of Year 4, $300 at the end of Year 5, and $550 at the end of Year 6. If other investments of equal risk earn 11% annually, the present value and future value of the investment are calculated as follows:Present value: Firstly, we need to find out the present value of each cash flow. We have the following data:PMT = $50, N = 3, and i = 11%PMT = $200, N = 4, and i = 11%PMT = $300, N = 5, and i = 11%PMT = $550, N = 6, and i = 11%Therefore, we can use the present value formula to find the present value of each cash flow:PV = PMT/(1 + i)NPresent value of $50 at the end of each of the next 3 years:PV = $50/(1 + 0.11)3PV = $36.28Present value of $200 at the end of Year 4:PV = $200/(1 + 0.11)4PV = $123.61Present value of $300 at the end of Year 5:PV = $300/(1 + 0.11)5PV = $171.67Present value of $550 at the end of Year 6:PV = $550/(1 + 0.11)6PV = $279.63The total present value of all the cash flows is the sum of the present value of each cash flow:Total PV = $36.28 + $123.61 + $171.67 + $279.63Total PV = $611.19Therefore, the present value of the investment is $611.19. Future value:We can use the future value formula to find the future value of the investment:Future value = Present value x (1 + i)NFuture value = $611.19 x (1 + 0.11)6Future value = $1,329.83Therefore, the future value of the investment is $1,329.83.

To know more about investments visit:

https://brainly.com/question/15105766

#SPJ11

If a decrease in the price of good Y causes the demand for good Z to decrease, this indicates that: Select one: a. Y is a normal good and Z is an inferior good. b. Y and Z are unrelated. c. Y and Z are complements. d. Y and Z are substitutes.

Answers

If a decrease in the price of good Y causes the demand for good Z to decrease, this indicates that Y and Z are substitutes. The correct answer is option d.

When two goods are substitutes, a decrease in the price of one good leads to a decrease in the demand for the other. This is because consumers can easily switch from one good to another, as they serve similar purposes or satisfy similar needs. In this scenario, when the price of good Y decreases, consumers find it more attractive in terms of affordability, leading them to choose more of good Y over good Z. Consequently, the demand for good Z decreases as consumers substitute it with the cheeper  alternative, good Y.

It is important to note that this relationship between the price of Y and the demand for Z indicates that Y and Z are substitutes, not complements. Complementary goods are those that are typically consumed together, and a decrease in the price of one would result in an increase in the demand for the other. However, in this case, the decrease in the price of Y causes a decrease in the demand for Z, suggesting that they are not complements.

To know more about demand click here: brainly.com/question/30402955

#SPJ11

Net income was $230,500 for the year. Throughout the year the company had outstanding 15,000 shares of $3.00, $50 par value preferred stock and 106,000 shares of common stock.

Show work.

Required:
Calculate basic earnings per share of common stock for the year.

Answers

Answer:

The basic earnings per share of common stock = $1.75

Explanation:

1.) Calculate the annual preferred dividend.

The annual preferred dividend is calculated by multiplying the number of preferred shares outstanding by the preferred dividend per share. In this case, the annual preferred dividend is $45,000 (15,000 shares * $3.00 per share).

2.) Subtract the annual preferred dividend from net income to get the amount of net income available to common shareholders.

In this case, the amount of net income available to common shareholders is $185,500 ($230,500 - $45,000).

3.) Divide the amount of net income available to common shareholders by the number of common shares outstanding to get basic earnings per share of common stock.

In this case, basic earnings per share of common stock is $1.75 ($185,500 / 106,000 shares).

Here is the work:

Net income = $230,500

Annual preferred dividend = $45,000

Net income available to common shareholders = $230,500 - $45,000 = $185,500

Basic earnings per share of common stock = $185,500 / 106,000 shares = $1.75

Learn more about Common Stock.

https://brainly.com/question/32716708

#SPJ11

2. Quantitative Problem 1: You deposit $1,800 into an account that pays 7% per year. Your plan is to withdraw this amount at the end of 5 years to use for a down payment on a new car. How much will you be able to withdraw at the end of 5 years? Do not round intermediate calculations. Round your answer to the nearest cent.

$

Quantitative Problem 2: Today, you invest a lump sum amount in an equity fund that provides an 12% annual return. You would like to have $11,700 in 6 years to help with a down payment for a home. How much do you need to deposit today to reach your $11,700 goal? Do not round intermediate calculations. Round your answer to the nearest cent.

3. Quantitative Problem 1: You plan to deposit $2,400 per year for 4 years into a money market account with an annual return of 2%. You plan to make your first deposit one year from today.

What amount will be in your account at the end of 4 years? Do not round intermediate calculations. Round your answer to the nearest cent.
$

Assume that your deposits will begin today. What amount will be in your account after 4 years? Do not round intermediate calculations. Round your answer to the nearest cent.
$

Quantitative Problem 2: You and your wife are making plans for retirement. You plan on living 25 years after you retire and would like to have $85,000 annually on which to live. Your first withdrawal will be made one year after you retire and you anticipate that your retirement account will earn 15% annually.

What amount do you need in your retirement account the day you retire? Do not round intermediate calculations. Round your answer to the nearest cent.
$

Assume that your first withdrawal will be made the day you retire. Under this assumption, what amount do you now need in your retirement account the day you retire? Do not round intermediate calculations. Round your answer to the nearest cent.

Answers

Quantitative Problem 1:

a. You will be able to withdraw $2,524.59 at the end of 5 years.

b. You need to deposit $6,527.61 today to reach your goal of $11,700 in 6 years.

Quantitative Problem 2:

c. At the end of 4 years, there will be $9,779.75 in your account if the deposits start one year from today.

If the deposits begin today, there will be $12,561.60 in your account at the end of 4 years.

d. On the day you retire, you need $523,775.80 in your retirement account.

Quantitative Problem 1:

a. You deposit $1,800 into an account that pays 7% per year for 5 years.

To calculate the amount you will be able to withdraw at the end of 5 years, we can use the formula for compound interest:

Withdrawal Amount = Initial Deposit * (1 + Interest Rate)^Number of Years

Withdrawal Amount = $1,800 * (1 + 0.07)^5

Withdrawal Amount = $1,800 * (1.07)^5

Withdrawal Amount = $1,800 * 1.402551

Withdrawal Amount = $2,524.59 (rounded to the nearest cent)

Therefore, you will be able to withdraw $2,524.59 at the end of 5 years.

Quantitative Problem 2:

b. Today, you invest a lump sum amount at an annual return of 12% to reach a goal of $11,700 in 6 years.

To calculate the amount you need to deposit today, we can use the formula for present value of a future sum:

Deposit Amount = Future Value / (1 + Interest Rate)^Number of Years

Deposit Amount = $11,700 / (1 + 0.12)^6

Deposit Amount = $11,700 / (1.12)^6

Deposit Amount = $11,700 / 1.790847

Deposit Amount = $6,527.61 (rounded to the nearest cent)

Therefore, you need to deposit $6,527.61 today to reach your goal of $11,700 in 6 years.

Quantitative Problem 1 (Continued):

c. You plan to deposit $2,400 per year for 4 years into a money market account with a 2% annual return, starting one year from today.

To calculate the amount that will be in your account at the end of 4 years, we can use the formula for future value of a series of deposits:

Account Balance = Deposit Amount * ((1 + Interest Rate)^Number of Years - 1) / Interest Rate

Account Balance = $2,400 * ((1 + 0.02)^4 - 1) / 0.02

Account Balance = $2,400 * (1.02^4 - 1) / 0.02

Account Balance = $2,400 * (1.082432 - 1) / 0.02

Account Balance = $2,400 * 0.082432 / 0.02

Account Balance = $9,779.75 (rounded to the nearest cent)

Therefore, there will be $9,779.75 in your account at the end of 4 years.

If your deposits begin today, the calculation remains the same, except the number of years becomes 5:

Account Balance = $2,400 * ((1 + 0.02)^5 - 1) / 0.02

Account Balance = $2,400 * (1.02^5 - 1) / 0.02

Account Balance = $2,400 * (1.10408 - 1) / 0.02

Account Balance = $2,400 * 0.10408 / 0.02

Account Balance = $12,561.60 (rounded to the nearest cent)

Therefore, if your deposits begin today, there will be $12,561.60 in your account at the end of 4 years.

Quantitative Problem 2 (Continued):

d. You plan on living 25 years in retirement and would like to have $85,000 annually to live on. Your retirement account is anticipated to earn 15% annually.

To calculate the amount you need in your retirement account on the day you retire, we can use the formula for present value of an annuity:

Retirement Account Balance = Annual Withdrawal Amount * ((1 - (1 + Interest Rate)^(-Number of Years)) / Interest Rate)

Retirement Account Balance = $85,000 * ((1 - (1 + 0.15)^(-25)) / 0.15)

Retirement Account Balance = $85,000 * ((1 - 0.075623) / 0.15)

Retirement Account Balance = $85,000 * 0.924377 / 0.15

Retirement Account Balance = $523,775.80 (rounded to the nearest cent)

Therefore, you need $523,775.80 in your retirement account on the day you retire.

If your first withdrawal is made on the day you retire, the calculation remains the same, except the number of years becomes 24:

Retirement Account Balance = $85,000 * ((1 - (1 + 0.15)^(-24)) / 0.15)

Retirement Account Balance = $85,000 * ((1 - 0.077996) / 0.15)

Retirement Account Balance = $85,000 * 0.922004 / 0.15

Retirement Account Balance = $520,836.27 (rounded to the nearest cent)

Therefore, if your first withdrawal is made on the day you retire, you now need $520,836.27 in your retirement account.

To learn more about compound interest visit : https://brainly.com/question/28020457

#SPJ11

An 6-year project is forecast to generate sales of $213,000 ±15% and costs of $96,500 ±15%. It will need a $350,000 equipment, which will be straight-line depreciated over 6 years. Assume a tax rate of 40% , the operating cash flow is ____ for the worst-case scenario. a $42,045 b $88,503 c $51,363 d $121,088
e $65,378

Answers

The correct answer is option (a) $42,045, indicating that the operating cash flow for the worst-case scenario is $42,045.

To calculate the operating cash flow for the worst-case scenario, we need to determine the minimum sales and maximum costs.

Sales:

Minimum Sales = $213,000 - 15% of $213,000

Minimum Sales = $213,000 - $31,950

Minimum Sales = $181,050

Costs:

Maximum Costs = $96,500 + 15% of $96,500

Maximum Costs = $96,500 + $14,475

Maximum Costs = $110,975

Operating Cash Flow:

Operating Cash Flow = (Sales - Costs) * (1 - Tax Rate)

Operating Cash Flow = ($181,050 - $110,975) * (1 - 40%)

Operating Cash Flow = $70,075 * 0.6

Operating Cash Flow = $42,045

Therefore, the correct answer is option (a) $42,045, indicating that the operating cash flow for the worst-case scenario is $42,045.

learn more about cash flow here; brainly.com/question/27994727

#SPJ11

starta pizza business and fill this business canvas

Answers

The business model canvass for a Pizza business is given below.

How to fill a business canvass

Customer Segments  - Pizza lovers, families, students, working professionals

Value Proposition  - Delicious and customizable pizzas, quick delivery, affordable prices

Channels  - Online ordering platform, phone orders, local advertising

Customer Relationships  - Personalized customer service, feedback collection, loyalty programs

Revenue Streams  - Pizza sales, delivery charges, catering services

Key Activities  - Pizza preparation, order management, inventory management

Key Resources  - High-quality ingredients, skilled pizza chefs, delivery fleet, kitchen equipment

Key Partnerships  - Local suppliers for ingredients, delivery service providers, marketing agencies

Cost Structure  - Ingredient costs, staff wages, kitchen expenses, marketing expenses

Learn more about business canvass at:

https://brainly.com/question/24448358

#SPJ4

For the following find the initial feasible solution using VAM method. Show all the steps. After each iteration (fill one cell), show further steps in next table. Calculate z-value. The table is the cost per cell. The total demand is 4, 7, 9 and 5 respectively and total supply is 5, 12, and 8 respectively. Cost per cell 18 11 9 8 16 6 to 10 14 7 5 7 128 O True O False

Answers

True. The VAM method is used to determine the initial feasible solution for a transportation problem. It is also known as the least-cost method.

The steps involved in the VAM method are as follows:The initial feasible solution using the VAM method is as follows:Step 1: Draw a table to represent the transportation problem. Allocate the demand and supply for each cell. Represent the cost of each cell in the table.Cost per cell9 8 16 6 to 105 7 7 14 Total Demand4 7 9 5Total SupplyStep 2: Starting with the top-left cell, draw a line from left to right or top to bottom. If only one cell is available, select it.

If two cells have the same value, choose any of them. Allocate the maximum possible quantity to the chosen cell. Reduce the supply or demand of the allocated cell to zero.Step 3: Repeat step 2 until all the cells are allocated. If the allocation is incomplete, return to the unallocated cells and repeat the process.Step 4: Calculate the total cost of all the allocated cells. This is the initial feasible solution for the given transportation problem. The total cost of the initial feasible solution is the sum of the products of the allocated quantities and their respective costs.The initial feasible solution using the VAM method is as follows:Cost per cell9 8 16 6 to 105 7 7 14 Total Demand4 7 9 5Total Supply5 2 0 0Demand SupplyAllocation9 5 4 7 2 0 0 9 0 0 9 0 0 0 0 0 0 0 0 0 0 0 0 0 0 5 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0The initial feasible solution for the given transportation problem using the VAM method is shown in the table. The total cost of the initial feasible solution is calculated as follows:Total Cost = (9 x 4) + (7 x 2) + (16 x 5) + (8 x 2) + (6 x 5) = 36 + 14 + 80 + 16 + 30 = 176.

To  know more about transportation  visit:-

https://brainly.com/question/29851765

#SPJ11

A Cold Inc is a frozen food distributor with_. Use Table_ 1LL ACold Inc is a frozen food distributor with 0 warehouses across the country: Ivan Tory; one of the warehouse managers; wants t0 make sure that the inventory policies used by the warehouse are minimizing inventory while still maintaining quick delivery to ACold's customers Since the warehouse carries hundreds of different products, Ivan decided to study one: He picked Caruso's Frozen Pizza (CFP) Average daily demand for CFPs is normally distributed with a mean of 381 and standard deviation of 152_ Since ACold orders at least one truck from their supplier each day; ACold can essentially order any quantity of CFP it wants each day: In fact; ACold's computer system is designed to implement an order-up-to policy for each product: Ivan notes that any order for CFPs arrives 5 days after the order: Supp pose an order-up-to level of 2410 is used What is the expected on-hand inventory? Use Table 14. and round to nearest integer: Suppose an order-up-to level of 2488 is used What is the expected on-order inventory? Round your answer t0 the nearest integer: Suppose an order-up-to level of 2032 is used What is the in-stock probability? Use Table 14.1. Round your answer to one decimal: Supp pose ACold wants 0.95 in-stock probability What should the order-up-to level be? Use Table 14.1, Round your answer to the nearest integer:

Answers

The order-up-to level that A Cold should use if it wants a 0.95 in-stock probability is  634  (rounded to the nearest integer).

This distributor has no warehouses across the country and Ivan Tory is one of the warehouse managers.

He wants to ensure that the inventory policies used by the warehouse are minimizing inventory while still maintaining quick delivery to ACold's customers. Since the warehouse carries hundreds of different products, Ivan decided to study one. He picked Caruso's Frozen Pizza (CFP).

Average daily demand for CFPs is normally distributed with a mean of 381 and standard deviation of 152. ACold orders at least one truck from their supplier each day. ACold can essentially order any quantity of CFP it wants each day. In fact, ACold's computer system is designed to implement an order-up-to policy for each product.

Ivan notes that any order for CFPs arrives 5 days after the order. If an order-up-to level of 2410 is used, what is the expected on-hand inventory? Suppose an order-up-to level of 2488 is used, what is the expected on-order inventory?

Suppose an order-up-to level of 2032 is used, what is the in-stock probability? If A Cold wants a 0.95 in-stock probability, what should the order-up-to level be?

Firstly, the expected on-hand inventory when an order-up-to level of 2410 is used: From Table 14, using z-value

= (2410-381)/152

= 13.38,

the probability associated with this z-value is practically 1.

Thus, the expected on-hand inventory when an order-up-to level of 2410 is used is 2410-381 = 2029.

Secondly, the expected on-order inventory when an order-up-to level of 2488 is used: From Table 14, using z-value

= (2488-381)/152

= 14.05,

the probability associated with this z-value is practically 1. Thus, the expected on-order inventory when an order-up-to level of 2488 is used is

2488-381-2029

= 78.

Thirdly, the in-stock probability when an order-up-to level of 2032 is used: From Table 14, using z-value

= (2032-381)/152

= 9.01, the probability associated with this z-value is 0.9999.

Therefore, the in-stock probability when an order-up-to level of 2032 is used is 1 - 0.9999 = 0.0001 (rounded to one decimal).

Lastly, the order-up-to level that ACold should use if it wants a 0.95 in-stock probability: From Table 14, the z-value for an in-stock probability of 0.95 is 1.64.

Therefore, the order-up-to level that A Cold should use if it wants a 0.95 in-stock probability is 381+1.64*152 = 634 (rounded to the nearest integer).

To know more about country visit;

brainly.com/question/29801639

#SPJ11

Other Questions
global temperature variations on earth driven by the milankovitch cycle differ from those driven by the anthropogenic greenhouse effect in that Shaanxi mining Company (GH) estion 2.Ltd. is a Chinese mining company operating in Ghana. Using relevant examplesdiscuss four (4) factors that might propel Shaanxi to engage in Corporate Social Responsibility (CSR). Using resource management theory, should Jamie buy or Lease her vehicles, and what are two advantages for this?Jamie runs a small car and campervan rental business. Anticipating an increase in thenumber of tourists once the New Zealand borders fully reopen, Jamie considerssignificantly expanding her car and campervan rental business. Before making such animportant step, she wants to understand the resources required. Jamie has carefullystudied existing rental car and campervan operators (RCO) and read several researchpapers to estimate the required number of staff, branches, and cars in her fleet. QUESTION 11A company with a net income of BD 215,000 and a dividend pay out ratio of 35%, will retain how much cashO a. BD 139750O b. BD 75250O c. BD 161250O d. BD 180000 Watch the Chapter 09 Activator Video: The Art and Science of Forecasting External Tool and respond to the following:Imagine you were thinking about opening a new restaurant. Consider the time we're in - during a global pandemic - in which hundreds of businesses were forced to shut down. The large number of closures has given you the opportunity to open the business you've always wanted to because there's now room in the marketplace for your concept. Forecasting demand and sales will be critical for your success. Given the current situation, how would you go about forecasting demand and sales? Outline at least three possible solutions and explain the benefit of each. In addition to other costs, Perez Telephone Company planned to incur $408,170 of fixed manufacturing overhead in making 343,000 telephones. Perez actually produced 348,000 telephones, incurring actual Interest expense is typically excluded in the project cash flow because: Multiple Choice all projects are always financed only by equity. taxes cannot be adjusted for the correct debt rate. the discount rate or WACC reflects the cost of debt. the analysis is too crude to handle debt impacts. Burak's grandparents have made him two offers. The first offer includes annual cash flows of $10,000, $12,000, and $13,000 at the end of next three years, respectively. The other offer is the payment of one lump sum amount today. The discount rate is 10 percent and Burak is trying to decide which offer to accept. What is the minimum amount that he will accept today if he is going to choose the lump sum offer? (Do not found intermediate calculations and round your answer to 2 decimal places, e.g., 12.47.) the disease called sickle-cell anemia is caused by a change in a single amino acid residue in the hemoglobin protein, resulting in a distortion of the protein's shape at which levels? Consider the following mergers or acquisitions. What synergy was or would be logically possible? What would inhibit synergy? Consider operations, culture, and brand equities. Evaluate the following discussion in a two to three page paper (excluding title, abstract, and reference pages) Citicorp acquired Providian, a credit card ?rm serving low-income segments Pepsi (the owners of Frito-Lay) acquired Quaker Oats Toyota acquiring Jeep if the required rate of return (rrr) on a security is less than the internal rate of return (irr) on that security, then the: What are the competitive dynamics of hospitals or the medical field? Can you discuss the external environment within the context of hospitals industry and macroeconomic environment? Use the Porter Five Forces model to describe the characteristics of your companys external environment. It is important that you describe a real, specific example. You can use your companys situation for this analysis.Gamble, J., Peteraf, M., & Thompson, A. (2021). Essentials of Strategic Management, 7th Edition. NY, NY: McGraw-Hill.Porter, M. (2008, January). "The Five Competitive Forces that Shape Strategy." Harvard Business Review. Retrieved at hbr.org.Industry: The Medical Field in the United StatesThe health care industry as a whole is a continuum of growth all the time. It brings innovations as well as opportunities for many. One factor, which the medical field struggles with, is the need for staff. As noted in our text book in Chapter three, rivalry can be characterized as cutthroat or brutal when competitors engages in price wars or the use of aggressive tactics (Gamble, pg. 40, 2021). Within the medical field, we see of competitive negotiations for hiring staff. We have many rivals that need staff as much as we do and we see those offering steep bonuses and increasing wages, which is very enticing to many. There are numerous competitors, which increases the competitive rivalry (Porter, 2008). I would characterize rivalry among competing sellers (hospitals) as strong.In Healthcare, as the customers in need of supplies. During Covid-19, the supply demand has increased and product availability has decreased. Because of this, many hospitals have had to look at substitutes. According to (Gamble, 2021) there are three factors a company has to look at to determine if substitutes are acceptable. In the case, of supplies for hospitals these days it is not about the money as much as it is about the need for supplies. Changing of supplies can be costly and not as good as a previous product. According to (Porter, 2008) having more suppliers you can choose from makes it easier to switch. I would say the power of substitute as low.According to (Porter, 2008), suppliers have the buyer power. Suppliers have the ability to drive prices during the current times where demand for supplies is at its all-time high. For a corporation to switch to a cheaper product it can be more costly. In hospitals right now, it is difficult to get certain stock that we have used for years and have built protocols around, and because of this, it would be costly to change. Now that the demand has increased for the same supplies and due Covid causing a shortage in many supplies, the bargaining power is in the hands of the supplier. I would characterize the power of buyer as strong. 1. what is the ip address and the mac address of the system you are on? is it ipv4 or ipv6? how long is your lease good for? is it a wifi or ethernet connection? In Paterson, New Jersey, a Walgreens Pharmacy found it challenging to plan for the correct number of staff to administer flu shots each day of the week. The variability in the number of customers arriving each day to get their shots was the main reason behind this challenge. Hence, the administrations new plan required customers to make appointments. This approach requiring appointments is an example ofa. Chasing capacityb. Chasing demandc. Yield Managementd. Leveling Yielde. Managing demand AOI = sin-1 (Length / Width) O AOI=tan (Length / Width) O AOI = sin-1 (Width / Length) O AOI = tan (Width / Length) Pointed edges of a droplet that radiates out from the spatter and can help to determine the direction of force are called Ospatter O origin/source spines Oparent drop 1 point Name the places of eastern mindanao and its type of climate The method, identifies each item in ending inventory with a specific purchase and invoice. O FIFO O Weighted Average O Specific Identification OLIFO Question 8 The method, identifies each item in ending inventory with a specific purchase and invoice. O FIFO O Weighted Average O Specific Identification LIFO An external style sheet is used when one wants to create styles for a single webpage that are different from the rest of the website.a. Trueb. False As a boy, Harold Dye had stolen a(n) ________________ and his punishment included a whipping and a(n) ___________________. When you set up an account for a new company vehicle: A. Expense B. Current Asset C. Equity D. Property