TRUE / FALSE. "A retailer's safety stock planning should reflect its
desired customer service leve?

Answers

Answer 1

A retailer's safety stock planning should not be based solely on its desired customer service level. FALSE.

While the desired customer service level is an important factor to consider in safety stock planning, it is not the sole determinant. Safety stock is a buffer inventory maintained by retailers to mitigate uncertainties in demand and supply. It acts as a contingency against unexpected variations in customer demand and lead time.

The determination of safety stock involves considering factors such as demand variability, lead time variability, supplier reliability, forecast accuracy, and desired service level. The desired customer service level is a target set by the retailer to meet customer expectations and minimize stockouts. However, safety stock planning should also account for other factors to ensure effective inventory management.

By considering factors such as demand variability and lead time variability, retailers can calculate an appropriate safety stock level that strikes a balance between customer service and inventory costs. Higher levels of demand variability or longer lead times would necessitate a higher safety stock to ensure customer satisfaction. Therefore, while the desired customer service level is an essential consideration, it is not the sole factor in determining safety stock levels.

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Related Questions

What is your plan for preparing for retirement? Have you started yet (and no; you're not young to start)? If you have started to prepare for retirement, then share with us how. Again, please don't say you're still too young to save/invest for your retirement? How about planning for the non-financial aspects of retirement?

Answers

Retirement is an important phase of an individual's life that requires early planning and preparation. Retirement planning is not just about financial planning; it also involves planning for non-financial aspects of retirement. Non-financial retirement planning involves planning for activities and events that will keep you engaged, happy, and active during your retirement years. So, it is essential to have a plan for non-financial aspects of retirement.

Retirement planning is crucial for ensuring a secure and fulfilling post-employment life. While financial preparations are important, it's equally essential to consider the non-financial aspects of retirement.

Here are some key points to consider:

1.Setting Retirement Goals: Start by envisioning your ideal retirement lifestyle and setting specific goals. Consider factors like where you want to live, the activities you want to pursue, and the relationships you want to maintain or build.

2.Health and Well-being: Prioritize your physical and mental well-being. Adopt a healthy lifestyle, engage in regular exercise, eat nutritious food, and schedule regular check-ups. Cultivate hobbies and activities that bring you joy and keep you mentally stimulated.

3.Social Connections: Nurture your social connections and build a strong support network. Maintain relationships with family, friends, and colleagues. Consider joining clubs, organizations, or community groups that align with your interests and allow you to meet new people.

4.Personal Development: Retirement offers an opportunity for personal growth and learning. Explore new interests, pursue educational opportunities, or engage in volunteer work. Continually challenge yourself to stay intellectually engaged and emotionally fulfilled.

5.Time Management: Develop a routine or structure for your days in retirement. Plan how you will spend your time to ensure a sense of purpose and fulfillment. This could involve engaging in part-time work, volunteering, or dedicating time to hobbies and personal projects.

6.Emotional Adjustment: Understand that retirement can bring significant changes and transitions. Be prepared for the emotional adjustment that comes with leaving the workforce and find healthy ways to cope with any feelings of loss or identity shifts. Consider seeking support from professionals or joining retirement support groups.

Retirement planning encompasses more than just financial considerations. It's about creating a balanced and fulfilling life during this new phase. By addressing both the financial and non-financial aspects, we can better prepare yourself for a rewarding retirement journey.

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Assume that the demand curve D(p) given below is the market demand for widgets:
Q=D(p)=863−9pQ=D(p)=863-9p, p > 0
Let the market supply of widgets be given by:
Q=S(p)=−4+8pQ=S(p)=-4+8p, p > 0
where p is the price and Q is the quantity. The functions D(p) and S(p) give the number of widgets demanded and supplied at a given price.
1.What is the equilibrium price?
Please round your answer to the nearest hundredth.
2.What is the equilibrium quantity?
Please round your answer to the nearest integer.
3.What is the total revenue at equilibrium?
Please round your answer to the nearest integer.

Answers

1. The equilibrium price can be determined by setting the quantity demanded equal to the quantity supplied. In this case, the equilibrium price (p*) can be found by solving the equation D(p*) = S(p*). Substituting the given demand and supply functions, we have 863 - 9p* = -4 + 8p*. Solving for p*, we find p* = $60.36 (rounded to the nearest hundredth).

2. The equilibrium quantity (Q*) can be found by substituting the equilibrium price (p*) into either the demand or supply function. Using the demand function D(p), we have Q* = 863 - 9p* = 863 - 9(60.36) = 304 units (rounded to the nearest integer).

3. Total revenue at equilibrium is calculated by multiplying the equilibrium quantity (Q*) by the equilibrium price (p*). In this case, the total revenue is Q* * p* = 304 * 60.36 = $18,375 (rounded to the nearest integer).

At the equilibrium price and quantity, the total revenue represents the maximum revenue that can be generated in the market. It occurs when the quantity demanded equals the quantity supplied, ensuring that there is no shortage or surplus.

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1. Asia is a math teacher, and she earns $1,999 semimonthly. What is her annual salary?
2. If your remitting frequency is four times a month, when is your remittance due for March 22, 2021, assuming no stat or weekends?
3. An employee’s gross salary was $103,000 per year. An employee was promoted in May 2022 and the salary was increased to $125,000 per year. The employee is paid twice a month. Unfortunately, due to some miscommunications between HR and Payroll, this employee did not see an increment in the May 15th pay cheque and called payroll regarding it. Payroll decided to pay the difference on May 31st. What should an employee’s net pay be on May 31st factoring in all mandatory deductions where EI is at 1.58%, CPP is at 5.7% and Income tax is at 8.25%?

Answers

An employee’s net pay on May 31st is $45,530.32 after factoring in all mandatory deductions.

Asia earns $1,999 semimonthly. To find out her annual salary, we can multiply her semimonthly earnings by the number of semimonthly periods in a year. There are 12 months in a year and since Asia gets paid twice a month, then she gets paid 24 times in a year. Therefore, her annual salary is:$1,999 × 24 = $47,976So, Asia earns an annual salary of $47,976.2. Remittance due for March 22, 2021If the remitting frequency, is four times a month, then it means that remittance is due every 7 days (i.e., 30/4 = 7.5 but we can't remit half a time, hence 7 days). If remittance is due every 7 days, then we need to find out how many 7-day periods there are between March 22, 2021, and the end of the month: March 22 - March 31 = 9 days.

Hence, remittance is due twice in March: March 22 - March 28 = 1st remittance due March 29 - April 4 = 2nd remittance dueTherefore, the remittance due for March 22, 2021, is the 1st remittance due.3. Employee's net pay on May 31stAn employee’s gross salary was $103,000 per year. Then, the salary was increased to $125,000 per year. The employee is paid twice a month and Payroll decided to pay the difference on May 31st. Hence, the employee's gross earnings for the May 31st pay cheque are: Half of the salary increase = ($125,000 - $103,000)/2 = $11,000Income from Jan 1 to May 31 = $103,000/12 × 5 = $42,917Gross earnings on May 31st = $11,000 + $42,917 = $53,917The mandatory deductions are EI at 1.58%, CPP is at 5.7% and Income tax is at 8.25%.

Therefore, the total deduction is:1.58% + 5.7% + 8.25% = 15.53%Net pay = Gross pay - deductionsNet pay = $53,917 - (15.53% × $53,917)Net pay = $45,530.32. Therefore, an employee’s net pay on May 31st is $45,530.32 after factoring in all mandatory deductions.

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The Nankervis text argues both the case FOR ‘performance
incentives’, and AGAINST ‘performance incentives’, consider and
explain the advantages/disadvantages of each.

Answers

The Nankervis text presents arguments both FOR and AGAINST "performance incentives" or rewards. It has been argued that performance incentives can be used as a tool to motivate employees to achieve organizational goals.

Incentives can be used to help workers meet or exceed the standards set by the organization.

Performance incentives can be an effective way of motivating employees and enhancing productivity, which can lead to increased profits and job satisfaction for employees.

It is a way to reward workers who are working harder and producing better results than their peers. Incentives can be tied to a variety of different measures, such as productivity, quality, and customer satisfaction.

In conclusion, while performance incentives can be effective in motivating employees and enhancing productivity, it is essential to design an incentive system that is based on objective, transparent measures.

The system must also be communicated effectively to employees and should be reviewed and adjusted regularly to ensure that it continues to meet the needs of the organization and its employees.

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what is the term used for an applicant's written request to an insurer for the company to issue a contract, based on the information provided?

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The term used for an applicant's written request to an insurer for the company to issue a contract, based on the information provided is application.

An application is a formal request that a person makes to an insurer for insurance coverage. The application requests specific information about the person seeking coverage, as well as details about the property or item to be covered.Therefore, the statement that best describes the term used for an applicant's written request to an insurer for the company to issue a contract, based on the information provided is an application.

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According to the Gordon-Growth model, if the stock price is $21, required return on equity is 10% and the current dividend is $1, what is the expected growth rate of dividends?
a. 15%
b. 10%
c. 2%
d. 5%

Answers

The expected growth rate of dividends, according to the Gordon-Growth model, is approximately 5%. Therefore, the correct option is d) 5%.

In the Gordon-Growth model, the formula for the value of a stock is V0 = D1 / (r - g), where V0 is the stock price, D1 is the dividend expected to be paid in the next period, r is the required return on equity, and g is the expected growth rate of dividends.

In this case, the stock price (V0) is given as $21, the required return on equity (r) is 10%, and the current dividend (D1) is $1. We need to find the expected growth rate of dividends (g).

Using the formula, we can rearrange it as g = r - (D1 / V0).

g = 10% - ($1 / $21) = 10% - 0.0476 = 0.0524 = 5.24%.

Therefore, the expected growth rate of dividends is approximately 5%, which corresponds to option d) in the given choices.

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Rodriquez Corporation’s comparative balance sheets are presented below: RODRIQUEZ CORPORATION Comparative Balance Sheets December 31 2020 2019 Cash $16,500 $17,400 Accounts receivable 25,300 22,100 Investments 20,150 15,850 Equipment 59,950 69,850 Accumulated depreciation—equipment (13,850 ) (10,300 ) Total $108,050 $114,900 Accounts payable $14,850 $11,150 Bonds payable 10,600 30,100 Common stock 49,500 45,500 Retained earnings 33,100 28,150 Total $108,050 $114,900 Additional information: 1. Net income was $18,550. Dividends declared and paid were $13,600. 2. Equipment which cost $9,900 and had accumulated depreciation of $1,600 was sold for $3,300. 3. No noncash investing and financing activities occurred during 2020. Prepare a statement of cash flows for 2020 using the indirect method. (Show amounts that decrease cash flow with either a - sign e.g. -15,000, or in parenthesis e.g. (15,000).) RODRIQUEZ CORPORATION Statement of Cash Flows For the Year Ended December 31, 2020 Cash Flows from Operating Activities Net Income $ 18550 Adjustments to reconcile net income to $ $ $ Compute free cash flow. (Enter negative amount using either a negative sign preceding the number e.g. -45 or parentheses e.g. (45).)
b.)Compute Free cash flow $

Answers

The Free cash flow for Rodriguez Corporation is $1,950.

Statement of Cash FlowsFor the Year Ended December 31, 2020Cash Flows from Operating ActivitiesNet Income $ 18,550Adjustments to reconcile net income to net cash provided by operating activities: Depreciation Expense $ 3,550Gain on Sale of Equipment (700)Increase in Accounts Receivable (3,200)Increase in Accounts Payable 3,700Net Cash Provided by Operating Activities $ 22,900Cash Flows from Investing ActivitiesSale of Equipment $ 1,700Purchase of Investments (4,300)Net Cash Used by Investing Activities (2,600)Cash Flows from Financing Activities

Issuance of Bonds Payable $ -Retirement of Bonds Payable (19,500)Payment of Dividends (13,600)Net Cash Used by Financing Activities (33,100)Net Decrease in Cash (12,800)Cash, Beginning of Year $ 17,400Cash, End of Year $ 4,600Compute free cash flow.$ 1,950. Free cash flow is calculated as follows: FCF = Operating Cash Flow - Capital Expenditures. From the Statement of Cash Flows above Net Cash Provided by Operating Activities $ 22,900Less: Capital Expenditures (20,950)Free Cash Flow $ 1,950. The Free cash flow for Rodriguez Corporation is $1,950.

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There are nine building blocks in the business model canvas and they are customer value proposition, customer segments, channels, customer relationships, revenue streams, key resources, key partners, key activities, and cost structure.
Create a Business model canvas of an old age home/ facility. ( 200 words )

Answers

Business Model Canvas: Old Age Home/Facility

Customer Segments:

1. Elderly individuals require assisted living, healthcare, and support services.

2. Families seeking professional care and accommodation options for their elderly loved ones.

3. Insurance companies or government agencies providing coverage or subsidies for elderly care.

Customer Value Proposition:

1. High-quality and personalized care services tailored to the specific needs of elderly residents.

2. Safe and comfortable living environment with 24/7 assistance and support.

3. Comprehensive healthcare services, including medical supervision, medication management, and specialized treatments.

4. Social and recreational activities to promote mental and physical well-being.

5. Integration of technology for enhanced safety, communication, and convenience.

Channels:

1. Direct marketing and referrals from healthcare professionals, social workers, and retirement communities.

2. Online presence through a dedicated website, social media platforms, and online directories.

3. Partnerships with hospitals, clinics, and senior service agencies for collaborative care.

Customer Relationships:

1. Individualized care plans and regular communication with residents and their families to ensure their needs are met.

2. Compassionate and empathetic staff providing emotional support and fostering a sense of community.

3. Feedback mechanisms to continuously improve services based on residents' and families' input.

Revenue Streams:

1. Monthly fees paid by residents or their families for accommodation, care services, and amenities.

2. Government subsidies or insurance reimbursements for eligible residents.

3. Additional revenue from supplementary services such as rehabilitation therapies, specialized care programs, and wellness classes.

Key Resources:

1. Trained and experienced caregivers, nurses, and healthcare professionals.

2. Well-designed and equipped residential facilities with safety features and necessary amenities.

3. Collaborative partnerships with healthcare providers, suppliers, and community organizations.

Key Partners:

1. Healthcare providers for specialized medical services and consultations.

2. Suppliers of medical equipment, pharmaceuticals, and other necessary supplies.

3. Local community organizations for social engagement, volunteering, and integration initiatives.

Key Activities:

1. Providing personalized care plans and assistance in daily living activities.

2. Administering healthcare services, medication management, and therapy programs.

3. Creating a supportive and engaging environment through recreational activities, outings, and social events.

Cost Structure:

1. Personnel costs for staffing and training of caregivers, nurses, and support staff.

2. Facility costs, including rent, maintenance, utilities, and insurance.

3. Healthcare-related expenses, such as medication, medical equipment, and professional consultations.

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(Related to Checkpoint​ 5.4) ​(Present-value comparison) You are offered $100,000 today or ​$300,000 in 13
years.
Assuming that you can earn 11 percent on your​ money, which should you​ choose?
If you are offered $300,000 in 13 years and you can earn 11 percent on your​ money, what is the present value of $300,000​?

Answers

The present value of $300,000 in 13 years is approximately $103,107.85.

To determine whether you should choose $100,000 today or $300,000 in 13 years, we need to compare their present values.

Present value of $100,000 today:

Since the amount is already in present value terms, there is no need to discount it. Therefore, the present value of $100,000 today is simply $100,000.

Present value of $300,000 in 13 years:

To calculate the present value of $300,000 in 13 years, we use the formula for present value:

PV = FV / (1 + r)^n

Where PV is the present value, FV is the future value, r is the interest rate, and n is the number of years.

PV = $300,000 / (1 + 0.11)^13

PV = $300,000 / (1.11)^13

PV = $300,000 / 2.9107

PV ≈ $103,107.85

Therefore, the present value of $300,000 in 13 years is approximately $103,107.85.

Based on the comparison, if you can earn 11 percent on your money, you should choose the $300,000 in 13 years. This is because the present value of $300,000 in 13 years is greater than the present value of $100,000 today.

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Netflix, Inc. is an American technology and media services provider and production, founded in 1997. Netflix Inc. has become one of leading firms in the CATV Systems (Community Antena Television). In 2019, Netflix recorded US$20.16 billion of revenue, and currently its share price reaches US$539.44. By using the Porter five Forces Model, evaluate how the five competitive forces influence profitability and enhancing Netflix Inc. competitive advantage in CATV Systems industry.

Answers

Porter's Five Forces Model helps companies determine their position in the industry and develop strategies for competitive advantage.

Threat of New Entrants: In the CATV Systems industry, there are a few significant barriers to entry, such as regulations, technical expertise, and high capital requirements, which limit the entry of new players. As a result, Netflix's profitability is safeguarded.

Bargaining Power of Suppliers: In the CATV Systems industry, Netflix Inc. has a huge impact and large market power, which gives them the ability to negotiate with suppliers and maintain their competitive edge.. Threat of Substitutes: In the CATV Systems industry, there are many alternatives available to customers, such as streaming services, cable TV, and satellite TV.

Overall, the five competitive forces in the CATV Systems industry have an impact on Netflix's profitability and competitive advantage. However, Netflix has been able to stay ahead of the competition by providing high-quality content and a user-friendly platform.

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What is a growing perpetuity? Compare/contrast
this to a ‘simple’ perpetuity
What is the purpose of a loan amortization
schedule?

Answers

A growing perpetuity is an annuity that increases at a constant rate for an indefinite period of time. The formula for growing perpetuity is P = C / (r - g). Here, P is the present value of the growing perpetuity, C is the constant payment, r is the discount rate, and g is the constant growth rate. This formula is used to calculate the value of investments or stocks that have a constant growth rate.

On the other hand, a simple perpetuity is an annuity that pays a fixed amount for an indefinite period of time. The formula for a simple perpetuity is P = C / r, where P is the present value of the perpetuity, C is the constant payment, and r is the discount rate.

The purpose of a loan amortization schedule is to show how a loan is paid off over time. It breaks down each payment into its principal and interest components. This allows the borrower to see how much of each payment goes towards paying down the loan principal and how much goes toward paying the interest on the loan. This information can be used to plan future payments, calculate interest savings, and adjust payment schedules.

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Appreciate the challenges and rewards that accompany a change
management role .

Answers

Challenges: Resistance to change, managing stakeholders, overcoming inertia. Rewards: Contributing to organizational growth, personal and professional development, driving innovation and improvement.

In a change management role, challenges arise from the resistance to change, managing stakeholders with diverse interests, and overcoming organizational inertia. However, the rewards are significant, as it allows for contributing to organizational growth, fostering personal and professional development, and driving innovation and improvement. Successfully navigating these challenges can lead to transformative outcomes and a sense of accomplishment in driving positive change within the organization.

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Explain, in detail, what is meant by the sampling distributor of an
estimate, what is meant by precision of the estimate and why is
precision important?

Answers

The sampling distribution of an estimate refers to the distribution of values that could be obtained for a particular estimate when repeatedly sampling from the same population.

Sampling distribution represents the range of possible values for the estimate and provides information about its variability. The sampling distribution is based on the concept of sampling variability, which arises due to the fact that different samples from the same population will yield slightly different estimates.

The precision of an estimate refers to the level of consistency and exactness in the estimate. It indicates how closely the estimated value represents the true value of the population parameter. A precise estimate has a small margin of error and is more likely to be close to the true value, while an imprecise estimate has a larger margin of error and may deviate more from the true value.

Precision is important because it affects the reliability and accuracy of the estimate. A more precise estimate provides greater confidence in its accuracy and reduces the risk of making incorrect decisions based on the estimate. It allows for more accurate inferences and conclusions to be drawn about the population. Precision is particularly important in fields such as scientific research, market research, and quality control, where precise measurements and estimates are essential for informed decision-making and minimizing potential errors.

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Which of the following would not cause the supply curve to shift?

a. a change in the technology of production

b. a change in factor costs

c. a change in the price of the good

d. a change in suppliers' expectations of future prices

Answers

c. a change in the price of the good would not cause the supply curve to shift

Changes in the price of the good itself do not cause the supply curve to shift. Instead, they cause a movement along the supply curve, representing a change in the quantity supplied. When the price of a good increases, suppliers are generally willing to supply more of the good, resulting in a higher quantity supplied.

Conversely, when the price of a good decreases, suppliers are willing to supply less of the good, resulting in a lower quantity supplied. This movement along the supply curve is known as a change in quantity supplied and is caused by changes in the price of the good.

On the other hand, factors such as a change in the technology of production, a change in factor costs (e.g., wages, raw material prices), and a change in suppliers' expectations of future prices can all cause the entire supply curve to shift. These factors affect the costs, profitability, and incentives for suppliers to produce and supply a certain quantity of goods or services at various price levels. When these factors change, the entire supply relationship between price and quantity supplied changes, leading to a shift in the supply curve.

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TC = 229 +17Q + 3Q² What is the average variable cost when 13 units are produced? Enter as a value.

Answers

To find the average variable cost when 13 units are produced, we need to calculate the total variable cost (TVC) and divide it by the quantity produced.

The total variable cost can be obtained by subtracting the total fixed cost (TFC) from the total cost (TC). In this case, the TC equation is given as TC = 229 + 17Q + 3Q², where Q represents the quantity produced. To calculate the average variable cost, we first need to determine the total variable cost at 13 units. Plugging in Q = 13 into the TC equation, we get:

TC = 229 + 17(13) + 3(13)²

TC = 229 + 221 + 507

TC = 957

Next, we subtract the total fixed cost from the total cost to get the total variable cost:

TVC = TC - TFC

TVC = 957 - 229

TVC = 728

Finally, we divide the total variable cost by the quantity produced to obtain the average variable cost:

Average Variable Cost = TVC / Q

Average Variable Cost = 728 / 13

Average Variable Cost ≈ 55.85

Therefore, the average variable cost when 13 units are produced is approximately $55.85.

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A higher tax on alcoholic drinks raises the price of alcoholic drinks and provides an incentive for consumers drink even more than before the higher tax. True False

Answers

The statement "A higher tax on alcoholic drinks raises the price of alcoholic drinks and provides an incentive for consumers drink even more than before the higher tax" is False.

A tax on alcoholic drinks that is higher raises the price of alcoholic drinks and discourages consumers from drinking them. The use of the term "incentive" in the question is ambiguous. It can be concluded that a higher tax is a disincentive for drinkers because it raises the price of alcoholic beverages, making them more expensive, and thus lowering the incentive for individuals to drink alcohol.

The rationale behind this is straightforward: as the price of something rises, individuals tend to consume less of it. As a result, higher alcohol taxes can be used to lower alcohol consumption levels, particularly among those who consume alcohol excessively. Therefore, higher alcohol taxes are commonly employed as a method of reducing excessive alcohol consumption and lowering the harms associated with alcohol use.

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Why is the Brexit vote significant both within the UK and globally? What are the potential implications for the Brexit vote in relation to Canada's relationship with the EU and the UK? What are the key challenges facing leadership in the UK in light of the Brexit vote?

Answers

The Brexit vote, which refers to the referendum held in the UK in 2016 resulting in a decision to leave the European Union (EU), is significant both within the UK and globally for several reasons:

1. UK's Sovereignty: The Brexit vote represents a significant shift in the UK's relationship with the EU, as it signals a desire to regain sovereignty and have more control over its own laws, regulations, and borders. It reflects the UK's decision to assert its independence and determine its own path separate from the EU.

2. Economic Implications: Brexit has economic implications for both the UK and the EU. The UK's departure from the EU's single market and customs union has resulted in changes to trade agreements, movement of goods and services, and access to the EU market. It has created uncertainty for businesses, impacted investments, and led to changes in economic relationships between the UK and EU member states.

3. Global Impact: The Brexit vote has broader global implications, as it has challenged the existing framework of regional integration and cooperation within the EU. It has raised questions about the stability and future of the EU itself and has influenced debates on nationalism, populism, and sovereignty in other parts of the world. It serves as a precedent for other countries considering similar moves or reevaluating their relationships with supranational organizations.

In relation to Canada's relationship with the EU and the UK, the Brexit vote and subsequent negotiations have implications:

1. Trade and Investment: Canada has strong economic ties with both the EU and the UK. The UK's exit from the EU has necessitated the negotiation of new trade agreements, including the Comprehensive Economic and Trade Agreement (CETA) between Canada and the EU. The UK's ability to negotiate its own trade deals post-Brexit may provide opportunities for Canada to establish closer trade relations with the UK.

2. Diplomatic Relations: Canada has expressed its commitment to maintaining a positive relationship with both the EU and the UK. It has emphasized the importance of preserving existing ties, cooperating on global issues, and minimizing disruptions to bilateral relations caused by Brexit. Canada has indicated its readiness to negotiate agreements with both parties to ensure a smooth transition.

The key challenges facing leadership in the UK in light of the Brexit vote include:

1. Negotiating Future Relationship: The UK needs to negotiate a new relationship with the EU, covering areas such as trade, security, and regulatory cooperation. These negotiations are complex and involve balancing national interests, addressing potential trade barriers, and finding solutions to contentious issues such as the Irish border.

2. Economic Impact: The UK's departure from the EU has economic consequences, including potential disruptions to supply chains, changes in investment patterns, and the need to establish new trade relationships. Managing the economic impact and ensuring a smooth transition is a significant challenge for UK leadership.

3. Domestic Unity and Political Consensus: Brexit has led to divisions within the UK, with different regions and demographics holding diverse views on the issue. Building consensus and maintaining domestic unity during the negotiation process and beyond is crucial for effective governance and decision-making.

4. Rebuilding International Relationships: The UK's departure from the EU requires reevaluating and rebuilding relationships with other countries and international organizations. Establishing new partnerships and maintaining influence on the global stage will be important for the UK's post-Brexit position.

It's important to note that the implications and challenges related to Brexit are ongoing and subject to change as negotiations progress and new agreements are reached. The outcomes will shape the future trajectory of the UK, its relationships with the EU and other countries, and the broader global landscape.

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if the percentage change in quantity demanded is less than the percentage change in price for good y, then the demand for good y is group of answer choices inelastic. unit elastic. elastic. perfectly elastic.

Answers

If the percentage change in quantity demanded is less than the percentage change in price for good Y, it indicates that the demand for good Y is inelastic.

What is Inelastic Demand?

If the percentage change in quantity demanded is less than the percentage change in price for good Y, it indicates that the demand for good Y is inelastic.

This means that the quantity demanded is not very responsive to changes in price. Even if the price increases or decreases, the demand for good Y remains relatively stable, indicating a less elastic demand curve.

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Sorensen Systems Inc. is expected to pay a $2.50 dividend at year end (D 1 = $2.50), the dividend is expected to grow at a constant rate of 5.50% a year, and the common stock currently sells for $87.50 a share. The before-tax cost of debt is 7.50%, and the tax rate is 25%. The target capital structure consists of 45% debt and 55% common equity. What is the company’s WACC if all the equity used is from retained earnings? Do not round your intermediate calculations.
a. 7.13%
b. 6.62%
c. 5.69%
d. 5.10%
e. 7.35%

Answers

The company's WACC if all the equity used is from retained earnings is 5.69%.

Given data:D1 = $2.50k = 5.50%Po = $87.50

Debt = 45%Equity = 55%

Tax rate = 25%

Before-tax cost of debt = 7.50%

The dividend growth rate (g) is given by:g = k - (1 - t) × (k - kd)

Where,k = required rate of return = WACC

g = dividend growth rate

k = WACC = (E/V) × ke + (D/V) × kd × (1 - t)

Po = market value per share

D1 = expected dividend next yearWe have to calculate ke which is the cost of equity.

Cost of equity:ke = D1 / Po + g

Where,D1 = expected dividend next year

Po = market value per shareg

= dividend growth rate

k= 2.5 / 87.5 + 5.5%

= 8.46%

Using the formula of WACC:WACC = (E/V) × ke + (D/V) × kd × (1 - t)

Given,E/V = 55%D/V

= 45%kd

= 7.50%t

= 25%WACC

= (0.55 × 8.46%) + (0.45 × 7.50%) × (1 - 0.25)

= 5.69%

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Estee Lauder opened a cosmetics store in NYC and eventually created an empire. Her store sold about $12,070 worth of beauty inventory per year and had around times in a year. The store was $1,900 worth of inventory on average at any given time. Based on this, we can calculate that her inventory turned about open 9 hours a day. Round up to the nearest whole turn to recieve credit. Numeric Response

Answers

The shop was open nine hours a day, meaning that the inventory was turned over every 45 days, rounding up to the nearest whole number. It implies that Estée Lauder's store had a regular rotation of stock and was very profitable.

Estée Lauder was an entrepreneur who built an empire from scratch. She began her career selling beauty items in her aunt's store. Estée Lauder began by selling cosmetics to friends, which resulted in her gaining a reputation as an authority on beauty items. Estée Lauder's store sold approximately $12,070 worth of beauty inventory annually and turned the inventory about eight times a year.

This means that the stock was replenished every 45 days because the inventory turnover ratio is calculated by dividing the annual cost of sales by the average stock on hand. The shop had an average of $1,900 in inventory at any given time.

The inventory turnover is calculated by dividing the cost of sales by the average inventory, which is the average stock at any given time. It is calculated by dividing $12,070 by $1,900, which equals approximately six turnovers.

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Describe how employer-sponsored retirement plans work in general. In an employer-sponsored retirement plan, Choose BEST Answer - the money can be invested in any type of investment account chosen by the employee. - you and/or your employer contribute money to a retirement account each pay period. - the money is taxed at the capital gains tax rate. - the money is taxed when the contribution is made.

Answers

In an employer-sponsored retirement plan, you and/or your employer contribute money to a retirement account each pay period.

The money contributed is often tax-deductible, and the earnings on the investments in the account grow tax-free until retirement.

Upon retirement, the money in the account can be withdrawn and will be taxed at the ordinary income tax rate. In some cases, an employer may offer a matching contribution to incentivize participation in the retirement plan.

Employees can choose how to invest the money within the plan based on the options provided by the employer-sponsored retirement plan.A general overview of how employer-sponsored retirement plans work is given as follows:Employees and employers are required to contribute to the employee's retirement account.

The contribution is frequently tax-deductible, and the investments' gains grow tax-free. The money in the account can be withdrawn at retirement and is subject to regular income tax rates.

The employer-sponsored retirement plan can be tailored to the employee's preferences, and the money can be invested according to the employee's preferences, provided the investment options provided by the employer are selected. In some cases, employers offer matching contributions to encourage retirement plan participation.

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The E.N.D. partnership has the following capital balances as of the end of the current year:
Pineda $120,000
Adams 100,000
Fergie 90,000
Gomez 80,000
Total capital. $390,000

a.
Assume that the partners share profits and losses 3:3:2:2, respectively. Fergie retires and is paid $108,000 based on the terms of the original partnership agreement. If the goodwill method is used, what is the capital balance of the remaining three partners?

b.
Assume that the partners share profits and losses 4:3:2:1, respectively. Pineda retires and is paid $300,000 based on the terms of the original partnership agreement. If the bonus method is used, what is the capital balance of the remaining three partners? (Do not round your intermediate calculations. Round your final answers to the nearest dollar amounts.)

Answers

a. Fergie's capital balance is $90,000. Fergie is paid $108,000, which is $18,000 more than her capital balance.

This $18,000 is goodwill.

How is the balance shared among the partners?

The remaining three partners' capital balances are increased by $18,000 in proportion to their profit and loss sharing ratios.

Pineda's capital balance is increased by $9,000 (3/8 * $18,000).

Adams' capital balance is increased by $9,000 (3/8 * $18,000).

Gomez's capital balance is increased by $6,000 (2/8 * $18,000).

The remaining three partners' capital balances are:

Pineda: $129,000

Adams: $109,000

Gomez: $86,000

b.

Pineda's capital balance is $120,000.

Pineda's earnings amount to $300,000, exceeding her capital balance by $180,000. The three remaining partners will receive a bonus of $180,000.

The profit and loss sharing ratios of the remaining three partners determine their proportional increase in capital balances totaling $180,000.

Adams' capital balance is increased by $90,000 (3/7 * $180,000).

Fergie's capital balance is increased by $60,000 (2/7 * $180,000).

Gomez's capital balance is increased by $30,000 (1/7 * $180,000).

The remaining three partners' capital balances are:

Adams: $190,000

Fergie: $150,000

Gomez: $110,000

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If a 5-year $1,000 par value bond with a 10% annual coupon and a
15% yield to maturity is currently worth $832.39, how much will it
be worth 2 years from now if interest rates are constant?

Answers

The worth of the bond value 2 years from now if interest rates are constant is $963.10.

According to the questions, Face value of the bond = $1,000, Annual coupon rate = 10%, Annual yield to maturity = 15%, Bond's current value = $832.39.

To solve for the bond value 2 years from now, we need to find the bond's future value. The future value (FV) of the bond can be found using the following formula:

FV = PV (1 + r)^n

Where, FV = Future value of the bond, PV = Present value of the bond, r = Annual interest rate (Yield to maturity), and n = Number of years

Using the above formula, we can calculate the bond's future value. But before that, we need to find out the annual interest payment and semi-annual interest payment.

Annual interest payment = Face value of bond x Annual coupon rate = $1,000 x 10% = $100

Semi-annual interest payment = Annual interest payment / 2 = $100 / 2 = $50

Now, we can calculate the bond's future value 2 years from now as follows:

FV = PV (1 + r)^n

FV = $832.39 (1 + 0.15/2)^4  

[Since, we have semi-annual interest payments, the number of years (n) will be multiplied by 2 and the interest rate (r) will be divided by 2.]

FV = $832.39 (1.0375)^4

FV = $832.39 x 1.15927

FV = $963.10

Therefore, the bond's value 2 years from now if interest rates are constant is $963.10.

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A company wants to examine the impact of advertising on sales. Regression analysis was applied between sales and advertising. The following relationship was found: y = 6500 + 5.89*x. If the company plans to reach a sales number of $50,000, how much should the company spend on advertising?

Answers

The company should spend approximately $7,389.48 on advertising to reach a sales number of $50,000, based on the given regression relationship.

to determine the amount the company should spend on advertising to reach a sales number of $50,000, we can use the regression equation:

y = 6500 + 5.89*x

in this equation, y represents sales and x represents advertising. we want to find the value of x when y is equal to $50,000.

substituting y = 50,000 into the equation, we have:

50,000 = 6500 + 5.89*x

to isolate x, we can subtract 6500 from both sides:

50,000 - 6500 = 5.89*x

43,500 = 5.89*x

to find the value of x, we divide both sides by 5.89:

x = 43,500 / 5.89

x ≈ $7,389.48

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This is the type of unemployment generated by the matching process between skills and jobs available: a Seasonal Unemployment b Natural Unemployment c Frictional Unemployment. d Structural Unemployment

Answers

The type of unemployment generated by the matching process between skills and jobs available is frictional unemployment.

Frictional unemployment refers to the temporary unemployment that occurs when individuals are in the process of transitioning between jobs or entering the labor market for the first time. It arises due to factors such as job search, skill mismatch, and the time it takes for individuals to find suitable employment opportunities. Frictional unemployment is considered a natural part of a dynamic labor market as it reflects the normal churn and mobility of workers. It is generally considered less concerning than other forms of unemployment, such as structural unemployment, which arises from long-term mismatches between the skills of workers and the available job opportunities.

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Ross Hopkins, president of Hopkins Hospitality, has developed the tasks, durations, and predecessor relationships in the following table for building new motels. Immediate Predecessor(s) Time (weeks) m b Immediate Predecessor(s) Activity a Time (weeks) Activity a m b 6 9 10 1923 8 12 16 7 10 3 9 21 SS D.GH LJ leo

Answers

Ross Hopkins, president of Hopkins Hospitality, has developed the tasks, durations, and predecessor relationships in the following table for building new motels.

The immediate predecessors and time taken for each activity are given below. Immediate Predecessor(s)  Time (weeks)m bImmediate Predecessor(s)   Activity a Time (weeks) Activity a   m b   6   9   10 19   23   8   12   16   7   10   3   9   21   SS   D   GH   LJ   Leo.

The above table represents the information in the form of an activity network diagram, where each box represents an activity, and the lines connecting these boxes show the immediate predecessor relationships. The immediate predecessor relationship means that the activity represented by the box on the right cannot start until the activity represented by the box on the left is completed. For example, the activity represented by the box m has two immediate predecessors, a and b, which must be completed before the activity m can begin. The duration of each activity is also mentioned alongside the activity in the table. Hence, this table helps in developing a project network diagram, which helps in identifying the critical path and non-critical paths and determines the expected duration of the entire project.

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Aggregate demand exhibits a negative relationship between the price level and the quantity of real GDP demanded. According to aggregate demand, which of the answer choices would be an expected response from a decrease in the price level?
a When interest rates decrease, Marriott International builds fewer new luxury hotels. b With cheaper American goods, French restaurants in Paris purchase less Texas beef. c Because of the lower price level, more homeowners feel wealthier and remodel their homes. d With lower prices and higher wages, American companies hire more workers.

Answers

According to the negative relationship, an expected response from a decrease in the price level would be that more homeowners feel wealthier and remodel their homes.

Option c, "Because of the lower price level, more homeowners feel wealthier and remodel their homes," aligns with the expected response from a decrease in the price level according to aggregate demand. When the price level decreases, the purchasing power of consumers increases, making them feel wealthier.

As a result, homeowners are more likely to engage in discretionary spending, such as remodeling their homes, as they perceive their increased wealth can support such expenditures.

Options a, b, and d do not align with the expected response from a decrease in the price level. Option a states that a decrease in interest rates leads to Marriott International building fewer new luxury hotels, which is unrelated to the price level.

Option b suggests that cheaper American goods lead French restaurants to purchase less Texas beef, which is related to changes in relative prices rather than the overall price level.

Option d states that lower prices and higher wages result in American companies hiring more workers, which focuses on the relationship between prices and wages, rather than the price level and GDP demanded.

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A company that is growing below its sustainable growth rate and has no positive NPV projects.should
A. Focus operations
B. Increase the payout ratio
C. Reduce the payout ratio
D. Add more debt to capital structure Issue equity

Answers

A company that is growing below its sustainable growth rate and has no positive NPV (Net Present Value) projects should reduce the payout ratio from the given options. The correct answer is option C.

Sustainable Growth Rate (SGR) is defined as the maximum rate at which a company can grow without raising external equity financing, i.e., without issuing any new shares. It is calculated based on internal factors such as earnings retention and asset turnover. A company's sustainable growth rate is determined by its earning power and capital utilization.

Net Present Value (NPV) is the difference between the present value of cash inflows and the present value of cash outflows. It is used to evaluate investments and determine whether they are worthwhile or not. A positive NPV means that an investment is expected to generate more cash inflows than outflows over its lifetime.

If a company is growing below its SGR and has no positive NPV projects, it means that the company is not using its resources efficiently. In such a case, the company needs to adjust its operations to achieve sustainable growth. The company can do this by reducing the payout ratio, which will allow it to retain more earnings that can be reinvested in the business to achieve sustainable growth.

The payout ratio is the percentage of earnings paid out to shareholders as dividends. A high payout ratio means that the company is distributing most of its earnings as dividends, leaving little for reinvestment. By reducing the payout ratio, the company can retain more earnings for reinvestment, which will allow it to achieve sustainable growth without raising external equity financing. Therefore, the correct option is (C).

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Cron Corporation is planning to issue bonds with a face value of $850,000 and a coupon rate of 13 percent. The bonds mature in five years and pay interest semiannually every June 30 and December 31. All of the bonds were sold on January 1 of this year. Cron uses the effective-interest amortization method. Assume an annual market rate of interest of 12 percent.

What was the issue price on January 1 of this year?

Answers

Bonds are issued at either par, discount, or premium to face value based on the market interest rate.

Therefore, the issue price of the bonds on January 1 of this year can be calculated as follows:

First, calculate the present value factor for the bond using the formula: PVIFA = [1 - (1 + r/n)-nt]/(r/n)

Where r is the annual market rate of interest, n is the number of times interest is paid in a year, and t is the number of years to maturity.

For this bond, r = 12%/2 = 6%, n = 2, and t = 5 years. PVIFA = [1 - (1 + 6%/2)-2*5]/(6%/2)

PVIFA = 7.4698 Then, calculate the present value of the bond using the formula:

PV = FV × PVIFA Where FV is the face value of the bond.

PV = $850,000 × 7.4698 PV = $6,348,230 Finally,

divide the present value of the bond by the number of bonds issued to get the issue price per bond:$6,348,230 ÷ 850 = $7,466.15

Therefore, the issue price of the bonds on January 1 of this year is $7,466.15.

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Please help fill i the rest of the blanks.
Pearl Products Limited of Shenzhen, China, manufactures and distributes toys throughout South East Asia. Three cubic centimeters (cc) of solvent H300 are required to manufacture each unit of Supermix,

Answers

1. The production budget for Supermix:

July: 35,000 units + 20% of August sales - Finished goods inventory (10,000 units) = Production needed

August: 40,000 units + 20% of September sales - Finished goods inventory (35,000 units) = Production needed

September: 50,000 units + 20% of October sales - Finished goods inventory (40,000 units) = Production needed

October: 30,000 units + 20% of November sales - Finished goods inventory (50,000 units) = Production needed

3. The direct materials budget for solvent H300:

July: (Production for July + 20% of August production) × 3 cc - Raw materials inventory (54,000 cc) = Quantity to be purchased

August: (Production for August + 20% of September production) × 3 cc - Raw materials inventory (One-half of September production needs) = Quantity to be purchased

September: (Production for September + 20% of October production) × 3 cc - Raw materials inventory (One-half of October production needs) = Quantity to be purchased

Quarter in total: Sum of quantities to be purchased for July, August, and September.

Calculate the production needed for each month by considering the budgeted unit sales, adjusting for the finished goods inventory, and accounting for the 20% of the following month's sales.

Calculate the quantity of solvent H300 needed for each month by multiplying the production needs by the required amount of solvent per unit.

Determine the quantity of solvent H300 to be purchased by subtracting the raw materials inventory from the total raw materials needed for each month.

Repeat the calculations for July, August, and September to derive the quantities of solvent H300 to be purchased for the quarter in total.

Note: The information provided doesn't include sales projections for November and December, so the calculations for those months are not included in the answer.

The complete question must be:

Pearl Products Limited of Shenzhen, China, manufactures and distributes toys throughout Southeast Asia. Three cubic centimeters (cc) of solvent H300 are required to manufacture each unit of Supermix, one of the company’s products. The company now is planning raw materials needs for the third quarter, the quarter in which peak sales of Supermix occur. To keep production and sales moving smoothly, the company has the following inventory requirements:

The finished goods inventory on hand at the end of each month must equal 3,000 units of Supermix plus 20% of the next month’s sales. The finished goods inventory on June 30 is budgeted to be 10,000 units.

The raw materials inventory on hand at the end of each month must equal one-half of the following month’s production needs for raw materials. The raw materials inventory on June 30 is budgeted to be 54,000 cc of solvent H300.

The company maintains no work in process inventories.

A monthly sales budget for Supermix for the third and fourth quarters of the year follows.

Budgeted Unit Sales

July 35,000

August 40,000

September 50,000

October 30,000

November 20,000

December 10,000

Required:

1. Prepare a production budget for Supermix for the months July, August, September, and October.

3. Prepare a direct materials budget showing the quantity of solvent H300 to be purchased for July, August, and September, and for the quarter in total.

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