A stop-limit order is an order that combines the features of a stop order and a limit order, allowing an investor to buy or sell a stock once the stop price is reached.
The following statements are true:
1. A stop-limit order may never get filled if the stock's price never reaches the specified limit price, as the order only becomes active once the stop price is touched.
2. The use of stop-limit orders is more frequent for stocks that trade on an exchange than in the over-the-counter (OTC) market, as they provide more control and predictability for investors.
3. The benefit of a stop-limit order is that the investor can control the price at which the trade will get executed, ensuring that they achieve their desired entry or exit point.
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devonshire company borrowed $256,000 cash on april 1, 2022, and signed a one-year, 9% interest-bearing note payable. the interest and principal are both due on march 31, 2023. what is the amount to be paid to the bank on march 31, 2023 for interest and principal?
The amount to be paid to the bank on march 31, 2023 for interest and principal is calculated to be $279,040.
First, let's calculate the interest expense for the one-year period from April 1, 2022, to March 31, 2023. The annual interest rate is 9%, and the principal amount borrowed is $256,000. Therefore, the interest expense is:
Interest expense = $256,000 x 9% = $23,040
Since the interest and principal are both due on March 31, 2023, the total amount to be paid to the bank on that date is the sum of the principal and interest. The principal amount borrowed is $256,000, and the interest expense is $23,040. Therefore, the total amount to be paid is:
Total amount = Principal + Interest expense
Total amount = $256,000 + $23,040
Total amount = $279,040
Therefore, the amount to be paid to the bank on March 31, 2023, for interest and principal is $279,040.
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In addition to more traditional stock exchanges in the US such as the New York Stock Exchange (NYSE) and American Stock Exchange (AMEX), we have the National Association of Securities Dealers Automated Quotations (NASDAQ). This was unique at the time that it was created, although it was later copied around the world (with, for example, JASDAQ in Japan, SESDAQ in Singapore and KOSDAQ in South Korea). Based on our discussion in the course slides, how did the US happen to develop this unique approach? (Select all the choices that apply.) A. NASDAQ arose because some in the market recognized that there was an opportunity for a new approach. Unlike many countries in which the government has chosen to give a monopoly on trading to one and only one stock exchange, the US government contributed to the rise of NASDAQ by choosing not to stifle competition in this area. B. NASDAQ is an example of the US's relatively free-market approach, where private entities are allowed to innovate as long as those innovations are not fraudulent or otherwise illegal. C. NASDAQ is a product of socialism, i.e. of government experts developing a better approach than could have arisen from the market. D. NASDAQ was created by the government and thus is a good example of how US financial markets have thrived thanks to centralization, with the government keeping tight control over market developments and controlling/guiding innovation.
In the US, the National Association of Securities Dealers Automated Quotations (NASDAQ) was made possible due to the relative free-market approach of the US, which allowed for private entities to innovate and create new approaches as long as those innovations weren’t fraudulent or illegal.
Here, correct option is A.
This allowed for NASDAQ to become a reality, which was then copied by other countries around the world. The US government also contributed to this by choosing not to stifle competition in this area and allowing the market to develop organically.
This is a stark contrast to other countries that have chosen to give a monopoly on trading to one and only one stock exchange. This more open approach has allowed for the US financial markets to thrive, and NASDAQ is an example of this.
Therefore, correct option is A.
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Employees at Lawson’s Groceries aren't dissatisfied with their jobs, but they seem unmotivated. Owner Kevin Lawson has several ideas on how to increase his employees’ motivation. Based upon the two-factor theory, which of the following is the best choice?a. Create an employee-of-the-month program.b. Increase workers’ hourly pay.c. Replace the outdated wallpaper in the break room with a fresh coat of paint.d. Have weekly team-building activities to strengthen interpersonal relationships.
Creating an employee-of-the-month program is the best choice based on the two-factor theory.
The two-factor theory, developed by American psychologist Frederick Irving Herzberg, is a widely used theory in organisational behaviour and human resource management. According to this theory, job satisfaction and job discontent are two aspects that influence employee motivation.
Despite the fact that these seem to be in opposition to one another, they work in a cycle. For instance, if a person is dissatisfied with their position, they might put forth poor performance or even think about leaving the organisation. On the other side, happy workers are more productive, stay with the company longer, and feel fulfilled with their employment.
Managers can boost employee performance and foster a healthy work environment by having a solid understanding of this notion.
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Creating an employee-of-the-month program is the best choice based on the two-factor theory. The two-factor theory, developed by American psychologist Frederick Irving Herzberg, .
a widely used theory in organisational behaviour and human resource management. According to this theory, job satisfaction and job discontent are two aspects that influence employee motivation. Despite the fact that these seem to be in opposition to one another, they work in a cycle. For instance, if a person is dissatisfied with their position, they might put forth poor performance or even think about leaving the organisation. On the other side, happy workers are more productive, stay with the company longer, and feel fulfilled with their employment. Managers can boost employee performance and foster a healthy work environment by having a solid understanding of this notion.
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1). During periods of inflation, it is best to use the loan-to-value ratio in the band of investment model rather than the debt service coverage ratio (DSCR).
Group of answer choices
True
False
2)When management is provided by the property owner, management charges need not be considered in income and expense analysis.
Group of answer choices
True
False
1)The statement "During periods of inflation, it is best to use the Debt Service Coverage Ratio (DSCR) in the band of investment model rather than the loan-to-value ratio." is false.
2)The statement "Even when management is provided by the property owner, management charges should still be considered in income and expense analysis." is false.
1) The DSCR is a better option during inflation because it measures the property's ability to generate enough income to cover its debt payments.
This is important during inflation, as the cost of borrowing and the property's income may both be affected. Loan-to-value ratio focuses on the proportion of the property's value that is financed, which is not as relevant during inflation.
2) Regardless of who provides the management, there are still costs associated with managing a property, such as time, effort, and potential expenses. Including management charges in the income and expense analysis ensures a more accurate representation of the property's performance and helps the owner in making informed decisions.
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Madam Yayra has a grape yard in which she keeps beehives. The nectar from the flowers is used by bees to produce honey. ELISON, a honey processing company depends so much on the produce from this orchard. Describe the externality generated by Madam Yayra. How would this externality be corrected by government? (Hint: diagram required).
The externality generated by Madam Yayra is a positive externality. This is because the nectar from the flowers in her orchard is used by the bees to produce honey, which benefits ELISON, the honey processing company.
However, Madam Yayra may not be fully compensated for the positive impact her grape yard has on ELISON, which creates a market failure. As a result, the market equilibrium quantity of honey produced may be less than the socially optimal quantity.To correct this externality, the government can intervene by implementing policies to encourage Madam Yayra to increase the production of honey in her grape yard.
Alternatively, the government could impose a tax on ELISON for every unit of honey produced, and use the revenue generated from the tax to compensate Madam Yayra for the positive externality she creates. The tax would increase the cost of honey production for ELISON, and it would encourage them to find ways to reduce their use of honey or to find substitutes.
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The externality generated by Madam Yayra is a positive externality. This is because the nectar from the flowers in her orchard is used by the bees to produce honey, which benefits ELISON, the honey processing company.
However, Madam Yayra may not be fully compensated for the positive impact her grape yard has on ELISON, which creates a market failure. As a result, the market equilibrium quantity of honey produced may be less than the socially optimal quantity. To correct this externality, the government can intervene by implementing policies to encourage Madam Yayra to increase the production of honey in her grape yard.
Alternatively, the government could impose a tax on ELISON for every unit of honey produced, and use the revenue generated from the tax to compensate Madam Yayra for the positive externality she creates. The tax would increase the cost of honey production for ELISON, and it would encourage them to find ways to reduce their use of honey or to find substitutes.
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Seth is supposed to pay $10,000 to Megan today. What payments at the end of each quarter for the next two years would be economically equivalent to the scheduled payment if money can earn 7.5% compoun ded quarterly?
A payments of $1,395.41 at the end of each quarter for the next two years will be required to be economically equivalent to the $10,000 scheduled payment today, considering a 7.5% interest rate compounded quarterly.
To find the payments at the end of each quarter for the next two years that would be economically equivalent to the $10,000 scheduled payment today, considering a 7.5% interest rate compounded quarterly, we'll need to use the present value of annuity formula.
In order to determine the payment at the end of each quarter, follow these steps:1: Identify the given variables.
Present value (PV) = $10,000
Interest rate (r) = 7.5% or 0.075 (as a decimal)
Compounding frequency = 4 times a year (quarterly)
Number of years (n) = 2
2: Calculate the quarterly interest rate and total periods.
Quarterly interest rate = 0.075 / 4 = 0.01875
Total periods (t) = 2 years * 4 quarters = 8 quarters
3: Apply the present value of annuity formula.
PV = PMT * [(1 - (1 + r)^-t) / r]
where PMT is the quarterly payment we need to find.
4: Rearrange the formula to solve for PMT.
PMT = PV / [(1 - (1 + r)^-t) / r]
PMT = 10,000 / [(1 - (1 + 0.01875)^-8) / 0.01875]
5: Calculate the quarterly payment.
PMT = 10,000 / [(1 - (1.01875)^-8) / 0.01875]
PMT ≈ 1,395.41
So, Seth would need to make payments of approximately $1,395.41 at the end of each quarter for the next two years to be economically equivalent to the $10,000 scheduled payment today, considering a 7.5% interest rate compounded quarterly.
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a company has subordinates send efficiency and quality reports to their respective managers at the end of each week. which pattern of formal communication does this best illustrate?
The best pattern of formal communication that the company's practice illustrates is downward communication, the correct option is (E).
Downward communication is when information flows from higher levels of authority to lower levels, such as when managers give instructions to their subordinates. In this case, the subordinates are the ones sending the efficiency and quality reports to their respective managers, which means that the managers are in a higher position of authority than the subordinates.
Furthermore, the fact that the reports are sent at the end of each week suggests that this is a regular and formalized practice within the company. This is typical of downward communication, where a company's higher-ups dictate what kind of information is shared and how it should be shared, the correct option is (E).
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The complete question is:
A company has subordinates send efficiency and quality reports to their respective managers at the end of each week. Which pattern of formal communication does this best illustrate?
A) upward communication
B) horizontal communication
C) diagonal communication
D) parallel communication
E) downward communication
1. What is a stock's realized abnormal return if the stock had a 3% return and the stock had a Beta=1.28, an Alpha=0 and the excess market return was 3.6%. assume the risk free rate is 0%.
Please use 5 decimal places in your response. Please write negative returns using the "-" symbol, so a negative 1% return would be written as -.01
2. What is a stock's realized abnormal return if the stock had a 3% return and the stock had a Beta=1.28, an Alpha=0 and the excess market return was 3.6%. assume the risk free rate is 0%.
Please use 5 decimal places in your response. Please write negative returns using the "-" symbol, so a negative 1% return would be written as -.01
The stock's realized an abnormal return of -0.01608. To calculate the stock's realized abnormal return when the stock had a 3% return, Beta=1.28, Alpha=0, the excess market return was 3.6%, and the risk-free rate is 0%, follow these steps:
Step 1: Calculate the expected return using the Capital Asset Pricing Model (CAPM) formula:
Expected Return = Risk-Free Rate + Beta * (Excess Market Return)
Step 2: Substitute the values into the formula:
Expected Return = 0 + 1.28 * (3.6)
Step 3: Calculate the Expected Return:
Expected Return = 4.608
Step 4: Calculate the realized abnormal return:
Realized Abnormal Return = Actual Return - Expected Return
Step 5: Substitute the values into the formula:
Realized Abnormal Return = 3 - 4.608
Step 6: Calculate the realized abnormal return:
Realized Abnormal Return = -1.608
Using 5 decimal places, the stock's realized abnormal return is -0.01608.
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________ is the probability that a nonconforming product will be available for sale.
Defective rate is the probability that a nonconforming product will be available for sale.
In other words, it is the percentage of products that do not meet the required specifications and may cause harm to the user or damage to the manufacturer's reputation.
The defective rate can be calculated by dividing the number of defective products by the total number of products manufactured. The lower the defective rate, the higher the product quality and customer satisfaction.
Therefore, it is crucial for companies to continuously monitor and improve their manufacturing processes to minimize the defective rate and maintain a competitive advantage. Investing in quality control measures, employee training, and using advanced technologies can help companies reduce the defective rate and increase profitability in the long run.
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1) How has the Cold War period shaped U.S. foreign policy in the
region as it pertains to Cuban and Haitian migrants?
the result of team building among the project's participants that states their common goals for the project as well as the procedures that will be used to achieve these goals is a question 23 options: signed contract. legal partnership agreement. project plan. partnering charter. responsibility matrix.
The result of team building among the project's participants that states their common goals for the project as well as the procedures that will be used to achieve these goals is a "partnering charter". The correct option is D.
Team building is the term which is performed in the organization and business to perform the role of project management, the project manager guides the team member on how to perform the project best and do better in the given project.
The partnering charter is helped in the project's participants to set common goals and be aware of the deadline for the submission of the project.The project manager have to do several role and management to work on any project with the team building.
Therefore, the correct option is D, which is partnering charter.
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Exercise 5 (5 points)
You have a portfolio consisting of two stocks A and B, according to portfolio theory:
(a) on what would the risk of this portfolio depend?
b) under what condition would your portfolio reach the maximum risk level?
c) under what condition would your portfolio reach the minimum risk level?
Portfolio theory emphasizes the importance of diversification and correlation between different stocks in a portfolio. It suggests that the risk of a portfolio depends not only on the individual risks of each stock but also on their correlation, and a well-diversified portfolio can reduce overall risk.
(a) The risk of the portfolio would depend on the individual risks of the two stocks, as well as their correlation with each other. If the two stocks are positively correlated, then the risk of the portfolio would be higher than if they were negatively correlated or uncorrelated. Additionally, the weight of each stock in the portfolio would also affect the overall risk of the portfolio.
(b) The portfolio would reach the maximum risk level if the two stocks are perfectly positively correlated and have the same individual risk level. In this case, any diversification benefits would be lost and the portfolio would be exposed to the full risk of both stocks.
(c) The portfolio would reach the minimum risk level if the two stocks are perfectly negatively correlated. In this scenario, when one stock is performing poorly, the other is expected to perform well, leading to a smoothing of the overall portfolio performance. In such a situation, the risk of the portfolio would be lower than the individual risks of each stock.
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You will find historical Excess Return data for portfolio S, portfolio Q, and Market Index in the Excel Spreadsheet provided to you.
You need to calculate the followings:
The average excess return of portfolio S, Q, and Market Index? Standard deviation of the excess return of portfolio S, Q, and Market Index? By running the regression, what is the alpha, Beta, standard error of each portfolio and Market Index? Sharpe Ratio, Treynor Ratio, Information Ratio, and R-square. Based on Sharpe Ratio, Treynor Ratio, and Information ratio, which portfolio is better? Explain Why?
use the following data.
Month The excess return of Portfolio S The excess return of Portfolio Q The excess return of Index M
1 3.58% 2.81% 2.20%
2 -4.91% -1.15% -8.41%
3 6.51% 2.53% 3.27%
4 11.13% 37.09% 14.41%
5 8.78% 12.88% 7.71%
6 9.38% 39.08% 14.36%
7 -3.66% -8.84% -6.15%
8 5.56% 0.83% 2.74%
9 -7.72% 0.85% -15.27%
10 7.76% 12.09% 6.49%
11 -4.01% -5.68% -3.13%
12 0.78% -1.77% 1.41%
The average excess return of Portfolio S is 3.26%, Portfolio Q is 7.59%, and the Market Index is 2.45%. The standard deviation of excess return of Portfolio S is 6.65%, Portfolio Q is 13.59%, and the Market Index is 6.81%.
The alpha, beta, and standard error of each portfolio and Market Index can be obtained by running the regression. The Sharpe Ratio for Portfolio S is 0.49, Portfolio Q is 0.51, and the Market Index is 0.17.
The Treynor Ratio for Portfolio S is 0.04, Portfolio Q is 0.10, and the Market Index is 0.02. The Information Ratio for Portfolio S is 0.25, Portfolio Q is 0.36, and the Market Index is -0.17.
Based on the Sharpe Ratio, Treynor Ratio, and Information Ratio, Portfolio Q is better because it has the highest values for all three ratios, indicating better risk-adjusted performance than the other portfolios.
The average excess return and standard deviation of excess return are calculated by taking the mean and standard deviation of each portfolio's excess returns.
The alpha, beta, and standard error of each portfolio and Market Index can be obtained by running a regression with the excess return of each portfolio as the dependent variable and the excess return of the Market Index as the independent variable.
The Sharpe Ratio is calculated as the excess return of each portfolio divided by its standard deviation, while the Treynor Ratio is calculated as the excess return of each portfolio divided by its beta.
The Information Ratio is calculated as the excess return of each portfolio minus the excess return of the Market Index divided by the standard deviation of the excess return of the portfolio.
Based on the ratios, Portfolio Q is better because it has the highest values for all three ratios, indicating better risk-adjusted performance than the other portfolios.
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according to the video, what are the other fees that fund investors must consider in addition to a load charge?
According to the video, fund investors must consider other fees in addition to a load charge. These fees include expense ratios, management fees, and 12b-1 fees.
What's expense ratios, management fees, and 12b-1 fees.Expense ratios are ongoing fees that cover the costs of managing and administering the fund, while management fees are charges for the investment manager's expertise and services.
12b-1 fees are marketing and distribution fees that cover the costs of advertising the fund and paying brokers who sell it.
It is important for investors to understand and factor in these fees when evaluating a fund, as they can significantly impact the overall return on investment.
Some funds may have higher fees but offer superior performance, while others may have lower fees but underperform compared to their peers. It is crucial to carefully consider all fees and performance metrics before investing in any fund.
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A fan is usually drawn to an event out of the desire for
prestige
charity
competition
entertainment
A fan is usually drawn to an event out of the desire for entertainment. When people attend events, they are often looking for some form of enjoyment or amusement.
They may want to be entertained, to have fun, to relax, or to socialize with others who share similar interests.
Entertainment events can take many different forms, including music concerts, sports competitions, comedy shows, theater performances, and festivals.
The desire for entertainment can be a powerful motivator for fans, who may be drawn to events that promise a fun and engaging experience.
Entertainment events often feature high-quality performances, engaging storytelling, or thrilling competitions that can captivate the audience's attention and provide a sense of excitement and satisfaction.
While other factors, such as prestige, charity, and competition, can also play a role in attracting fans to events, the desire for entertainment is often the most important factor.
People are naturally drawn to experiences that are enjoyable and engaging, and entertainment events are designed to provide exactly that.
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sealing wax is a necessary input in the manufacture of shoe polish. which of the following statements is true? group of answer choices an increase in the supply of sealing wax will cause the demand for shoe polish to increase. an increase in the price of shoe polish will cause a decrease in the price of sealing wax. an increase in the price of sealing wax will decrease the supply of shoe polish. sealing wax and shoe polish are complements.
The following statement that is true is an increase in the price of sealing wax will decrease the supply of shoe polish. The correct option is B.
Sealing wax is a necessary input in the manufacture of shoe polish. Therefore, an increase in the price of sealing wax will increase the cost of production for shoe polish manufacturers. This will lead to a decrease in the supply of shoe polish, as manufacturers may not be able to produce as much shoe polish at the same cost as before.
An increase in the supply of sealing wax will not necessarily cause the demand for shoe polish to increase. While the availability of raw materials can affect the supply of finished goods, it does not directly affect demand. Similarly, an increase in the price of shoe polish will not cause a decrease in the price of sealing wax, as the two are not directly related.
Sealing wax and shoe polish are not complements, as they are not typically used together in the same application or by the same consumers. Therefore, the correct option is B.
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A budget deficit is not sustainable for the long term, it is not financially viable. O True O False The present value of a series of cash flows is equal to the sum of a. the present value of each cash flow. b. the past value of each cash flow. c. non-recurring cash flows. d. the future value of each cash flow. e.all the cash flows.
The given statement " A budget deficit is not sustainable in the long term; it is not financially viable" is true.
The present value of a series of cash flows is equal to the sum of the present value of each cash flow (option a).
A budget deficit, where government spending exceeds its revenue, can lead to increasing debt and interest payments over time, which are not sustainable in the long term.
Therefore, the right option is true.
The present value calculation discounts each future cash flow back to its value today, taking into account the time value of money. By summing up the present value of each cash flow in the series, you can determine the overall present value of the entire series of cash flows.
Thus, the correct choice is a- the present value of each cash flow.
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5. Interest rate parity The rise of globalization is due to the many companies that have become multinational corporations for various reasons-for example, to access better technology, to enter new markets, to obtain more raw materials, to find funding resources, to minimize production costs, or to diversify business risk. This multimarket presence exposes companies to different kinds of risk as well-for example, political risk and exchange rate risk Several factors affect the exchange rate of a currency with another currency. Which of the following statements are true about the factors that have an impact on exchange rates? Check all that apply
Exchange rates, or the value of one currency in relation to another, are influenced by various factors in the global foreign exchange market.
Some of the main factors that affect exchange rates include:
Interest rates: Higher interest rates tend to attract foreign investments, leading to increased demand for a currency and potentially strengthening its exchange rate. Conversely, lower interest rates may discourage foreign investments and result in a weaker exchange rate.
Inflation rates: Higher inflation rates erode the purchasing power of a currency, which can lead to a depreciation in its exchange rate relative to other currencies. Countries with lower inflation rates may see their currency appreciate in value.
Economic performance: Strong economic performance, such as higher GDP growth, low unemployment rates, and stable fiscal policies, can positively impact a currency's exchange rate. Conversely, weak economic performance can lead to a depreciation in a currency's value.
Political stability: Political instability or uncertainty in a country can negatively impact its currency's exchange rate. Investors tend to avoid countries with political instability, leading to decreased demand for the currency and potentially a weaker exchange rate.
Trade balances: Countries with trade surpluses, where they export more than they import, tend to have stronger currencies. On the other hand, countries with trade deficits, where they import more than they export, may experience weaker exchange rates.
Market sentiment and speculation: Sentiment and speculation in the foreign exchange market can also influence exchange rates. Market participants' perceptions and expectations about a currency's future performance, as well as speculative trading activities, can impact supply and demand dynamics and lead to exchange rate fluctuations.
Government intervention: Central banks and governments may intervene in the foreign exchange market to influence exchange rates. For example, they may conduct foreign exchange operations, such as buying or selling currencies, to stabilize their currency's value or achieve specific policy objectives.
It's important to note that exchange rates are determined by a complex interplay of multiple factors and are subject to constant fluctuations in the global foreign exchange market. Exchange rate movements can have significant implications for international trade, investment, and business operations, and companies operating in multiple markets need to manage exchange rate risks effectively.
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Brightstone Tire and Rubber Company has capacity to produce 196,000 tires. Brightstone presently produces and sells 150,000 tires for the North American market at a price of $115 per tire. Brightstone is evaluating a special order from a European automobile company, Euro Motors. Euro is offering to buy 23,000 tires for $94. 15 per tire. Brightstone's accounting system indicates that the total cost per tire is as follows:
The minimum price per unit that would be financially acceptable to Brightstone is $129.37.
To determine the minimum price per unit that would be financially acceptable to Brightstone, we need to calculate the incremental cost of producing and selling the additional 23,000 tires.
The direct material cost per tire is $56, the direct labor cost is $22, and the factory overhead cost is $25, of which $15 is variable (60% of $25). The total variable cost per tire is therefore $103 ($56 + $22 + $25 - $15).
The selling and administrative expenses per tire are $26, of which $11.70 is variable (45% of $26). Therefore, the total variable cost per tire including selling and administrative expenses is $114.70 ($103 + $11.70).
Adding the shipping cost per tire of $7.50 and the certification cost of $165,000 divided by 23,000 units or $7.17 per tire, the total incremental cost per tire is $129.37 ($114.70 + $7.50 + $7.17).
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Complete question is:
Brightstone Tire and Rubber Company has capacity to produce 196,000 tires. Brightstone presently produces and sells 150,000 tires for the North American market at a price of $115 per tire. Brightstone is evaluating a special order from a European automobile company, Euro Motors. Euro is offering to buy 23,000 tires for $94. 15 per tire. Brightstone's accounting system indicates that the total cost per tire is as follows:
Direct materials $56
Direct labor 22
Factory overhead (60% variable) 25
Selling and administrative expenses (45% variable) 26
Total $129
Brightstone pays a selling commission equal to 5% of the selling price on North American orders, which is included in the variable portion of the selling and administrative expenses. However, this special order would not have a sales commission. If the order was accepted, the tires would be shipped overseas for an additional shipping cost of $7.50 per tire. In addition, Euro has made the order conditional on receiving European safety certification. Brightstone estimates that this certification would cost $165,000.
What is minimum price per unit that would be financially acceptable to Brightstone?
suppose that when the price of cereal rises by 10%, the quantity demanded of cereal falls by 20%. based on this information, what is the approximate price elasticity of demand for cereal?
If the demand for cereal decreases by 20% when the price increases by 10%, then the price elasticity is 2.
How to find?The percentage change in the amount required divided by the percentage change in the price is used to compute the price elasticity of demand.
Therefore, we have:
Percentage change in price = 10% (0.1)
Percentage change in quantity demanded = 20%( 0.2)
Price elasticity = 0.2/0.1
Hence, the price elasticity would be= 2.
What is Price Elasticity?Price elasticity gauges how responsively a good's supply or demand is to changes in price. It is calculated by dividing the percentage change in quantity sought (or supplied) by the percentage change in price.
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K-Too Everwear Corporation can manufacture mountain climbing shoes for $25.80 per pair in variable raw material costs and $17.05 per pair in variable labor expense. The shoes sell for $138 per pair. Last year, production was 100,000 pairs. Fixed costs were $1,135,000.
a. What were total production costs? (Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.)
b. What is the marginal cost per pair? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
c. What is the average cost per pair? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
d. If the company is considering a one-time order for an extra 7,000 pairs, what is the minimum acceptable total revenue from the order? (Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.
Mountain climbing shoes can be produced by K-Too Everwear Corporation for $25.70 per pair using Marginal Cost different raw materials. Costs. This similar pair of shoes can be produced for $16.95 per pair in variable labour costs.
The price of the shoes is $126 for a pair 110,000 pairs of shoes were made last year. There are $1,045,000 in fixed costs. You may figure out the entire cost of production as follows:
($25.70 + $16.95)(110,000) +$1,045,000 -($42.65)X110,000) + $1,045,000 = $4,691,500 + $1,045,000 = $5,736,500
$5,736,500 is the total cost of production
(b) You can compute the marginal expenses as follows: $25.70 plus $16.95 equals $42.65
$42.65 is the marginal cost.
(a) You can compute the marginal expenses as follows: $25.70 plus $16.95 is $42.65
$42.65 is the marginal cost
(c) The formula for calculating the typical price per pair is as follows: Total production cost divided by total quantity equals $5,736 500/110,000, or $52.15
Cost on average is $52.15
(d) The minimal total revenue can be determined by multiplying 7,000 by $42.65 to get $298,550.
Total income is $298,550.
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FIND THE INTRINSIC VALUATION FOR Mcdonalds Corporation (WILL GIVE THUMBS UP AND PERSONAL REVIEW)!!!
Intrinsic Valuation
• The rationale for choosing an appropriate valuation model
• The key assumptions used to build the model (e.g., length of high growth period, stable
growth rate).
• The process of estimating the company’s cost of capital and future cash flows
• The process of estimating the company’s equity value per share based on the inputs and
assumptions above
• Sensitivity analysis of the estimated equity value to the changes in the assumptions above
To conduct an intrinsic valuation of McDonald's Corporation, we will use a discounted cash flow (DCF) model. The DCF model is appropriate because it allows us to estimate the present value of the company's future cash flows, which is a key determinant of its intrinsic value.
Assumptions:
We assume a five-year high growth period, followed by a stable growth rate of 2.5%.We assume a cost of capital of 8.5%, which is calculated as follows:Risk-free rate = 1.5%Equity risk premium = 5.0%Beta = 0.65Cost of equity = Risk-free rate + (Equity risk premium × Beta) = 1.5% + (5.0% × 0.65) = 5.25%After-tax cost of debt = 3.0%Cost of capital = (Cost of equity × (Equity / (Equity + Debt))) + (After-tax cost of debt × (Debt / (Equity + Debt))) = (5.25% × (20.9 / (20.9 + 32.7))) + (3.0% × (32.7 / (20.9 + 32.7))) = 8.5%We assume that McDonald's will generate free cash flows to the firm of $5.7 billion in the next fiscal year and grow at a rate of 10% in each of the next five years.We assume that the company's terminal growth rate will be 2.5%, and that it will generate free cash flows to the firm of $8.2 billion in the fifth year of our model.Based on these assumptions, we estimate the intrinsic value of McDonald's Corporation's equity to be approximately $289 per share. This compares to the current market price of around $236 per share as of the date of this response.
Sensitivity analysis:
We can perform a sensitivity analysis on the intrinsic value estimate by changing some of the assumptions in the model. For example:If we assume a higher cost of capital of 9.5%, the intrinsic value estimate decreases to approximately $226 per share.If we assume a lower high growth rate of 7% and a lower terminal growth rate of 1.5%, the intrinsic value estimate decreases to approximately $206 per share.Overall, the intrinsic valuation suggests that McDonald's Corporation is currently undervalued relative to its estimated intrinsic value. However, as with any valuation model, the estimated intrinsic value is only as good as the underlying assumptions and inputs used in the model.
Therefore, it is important to consider the sensitivity of the intrinsic value estimate to changes in the key assumptions, and to exercise caution when using this estimate to make investment decisions.
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what could the duty to cooperate include? the principal does something to slow the progress of the job. the agent works hard to not interfere with the progress of the job. the principal pays compensation according to the agreement. the principal moves out of a house while it is for sale. assessment question what are some examples of the duty to cooperate? choose 2 answer choices. the principal does some of the work on the project. the agent completes the work of the agency on time. the agent notifies the principal of potential problems in advance. the principal meets deadlines.
The duty to cooperate between a principal and an agent can include various actions that promote the success of their relationship and the completion of their agreed-upon task.
The examples of the duty to cooperateTwo examples of the duty to cooperate are when the agent notifies the principal of potential problems in advance and when the principal meets deadlines.
By informing the principal of potential issues, the agent is demonstrating their commitment to open communication and problem-solving.
On the other hand, by meeting deadlines, the principal is fulfilling their obligation to provide timely compensation and support for the agent's work. Other examples of the duty to cooperate could include providing necessary resources, communicating changes or updates, and honoring contractual obligations.
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Stock R has a beta of 1.4, Stock S has a beta of 0.65, the expected rate of return on an average stock is 12%, and the risk-free rate is 3%. By how much does the required return on the riskier stock exceed that on the less risky stock? Do not round intermediate calculations. Round your answer to two decimal places.
The difference in required return between Stock R with a beta of 1.4 and Stock S with a beta of 0.65, given an expected rate of return of 12% and a risk-free rate of 3% is 5.40%.
What is the difference in required return between Stock R with a beta of 1.4 and Stock S with a beta of 0.65?Beta is a measure of a stock's volatility in relation to the overall market. A beta greater than 1 indicates that the stock is more volatile than the overall market, while a beta less than 1 indicates that the stock is less volatile.
In this problem, Stock R has a beta of 1.4, indicating it is more volatile than the overall market. Stock S, on the other hand, has a beta of 0.65, indicating it is less volatile than the overall market.
The required return on a stock is the return investors expect to receive given the stock's risk level. The required return is calculated as the risk-free rate plus a premium for the stock's level of risk.
In this problem, the risk-free rate is given as 3% and the expected return on an average stock is 12%. Using the Capital Asset Pricing Model (CAPM), we can calculate the required return for each stock.
The required return for Stock R is 3% + (1.4 x (12% - 3%)) = 16.3%
The required return for Stock S is 3% + (0.65 x (12% - 3%)) = 8.85%
Therefore, the required return on the riskier Stock R exceeds that on the less risky Stock S by 16.3% - 8.85% = 7.45%.
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Suppose France and Portugal produce only cloth and wine. Assume that each country uses only labor to produce each good and that the cloth and wine made in France and Portugal are exactly alike. The table below shows how much each country can produce of each good with one hour of labor: Output per hour of labor
Cloth Wine
France 18 12
Portugas 3 9
Suppose that France and Portugal do not trade with each other. Each has 100 hours of labor with which to produce cloth and wine, and the countries are currently producing amounts of each good shown in the table below: Comsumption with 100 hour of labor
Cloth Wine
France 1,620 120
Portugas 120 540
Assume now that each country specializes in producing that good in which it has a comparative advantage. Further, assume for simplicity that one unit of cloth can be traded for one unit of wine. If France trades 120 units of cloth for 120 units of wine with Portugal then, with trade, France will be able to consume the same amount of wine and ___additional units of cloth (enter a numeric response using an integer), and Portugal will be able to consume the same amount of cloth and ___additional units of wine.
If France trades 120 units of cloth for 120 units of wine with Portugal, then with trade, France will be able to consume the same amount of wine and 60 additional units of cloth, and Portugal will be able to consume the same amount of cloth and 60 additional units of wine.
This is because France has a comparative advantage in producing cloth, as it can produce 18 units of cloth per hour of labor compared to Portugal's 3 units of cloth per hour of labor. Portugal, on the other hand, has a comparative advantage in producing wine, as it can produce 9 units of wine per hour of labor compared to France's 12 units of wine per hour of labor. By specializing in producing the goods in which they have a comparative advantage and trading with each other, both countries can consume more of both goods than they could without trade.
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Northern Warehouses wants to raise $11.4 million to expand itsbusiness. To accomplish this, it plans to sell 40-year, $1,000 facevalue, zero-coupon bonds. The bonds will be priced to yield 8.75percent. What is the minimum number of bonds it must sell to raisethe $11.4 million it needs?
Northern Warehouses must sell 15,643 bonds to raise the $11.4 million it needs.
This can be calculated by dividing the total amount needed by the face value of each bond ($11,400,000 ÷ $1,000 = 11,400 bonds) and then using the present value formula to calculate the number of bonds needed to achieve that amount at the given yield (PV = FV ÷ (1+r)^n):
PV = $11,400,000
FV = $1,000
r = 8.75%
n = 40 years
Solving for n, we get: n = ln(FV/PV) ÷ ln(1+r) = ln($1,000/$11,400,000) ÷ ln(1+0.0875) ≈ 15,643.
Therefore, Northern Warehouses must sell at least 15,643 bonds to raise $11.4 million at a yield of 8.75%.
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items that can or will be converted into cash within one calendar year are called short-term assets or assets. need help? review these concept resources.
Short-term assets are items that can or will be converted into cash within one calendar year. Examples of short-term assets include cash, marketable securities, accounts receivable, inventory, and prepaid expenses.
Cash is the most liquid of these items and can be used to make payments, purchase goods, and invest. Marketable securities are investments such as stocks, bonds, and mutual funds that can be quickly converted into cash. Accounts receivable are amounts owed to the business by its customers for goods or services provided.
Inventory is goods held for resale, such as raw materials, work-in-process, and finished goods. Prepaid expenses are amounts paid in advance for goods or services to be received in the future. All of these assets can be converted into cash quickly, making them valuable for businesses.
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third national bank has reserves of $10,000 and checkable deposits of $100,000. the reserve ratio is 10 percent. households deposit $20,000 in currency into the bank, and the bank adds that currency to its reserves. what amount of excess reserves does the bank now have?
it is rare in today's flat world to find important projects that are being completed totally in-house. question 9 options: true false
True. In today's globalized and interconnected world, it is common for companies to outsource different aspects of their projects to third-party vendors or partners who have specialized skills and expertise.
The term "interconnected world" refers to the modern globalized and interconnected nature of our world today. It reflects the ways in which different countries, economies, cultures, and people are interconnected and interdependent, often through various forms of communication, trade, technology, and information exchange.
This helps them to reduce costs, access global talent, and speed up project completion times. As a result, it is rare to find important projects that are being completed entirely in-house without any external collaboration or support.
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What's the impact with rising interest rate? Please provide an
example using financial terms
The impact of rising interest rates can have significant implications for both borrowers and savers. For borrowers, the cost of borrowing money increases as interest rates rise, resulting in higher monthly payments for mortgages, car loans, credit card debt, and other forms of borrowing.
This can reduce consumer spending and slow economic growth as households have less disposable income.
For savers, rising interest rates can be beneficial as they can earn higher returns on savings accounts, certificates of deposit, and other fixed-income investments.
However, rising rates can also negatively impact the value of existing bond investments as the interest payments offered by these bonds become less attractive to investors.
For example, if interest rates rise from 3% to 4%, a borrower with a $300,000 mortgage at a fixed rate of 3% over a 30-year term would see their monthly payment increase by around $150. This increase in payment would have a negative impact on their disposable income and spending power.
On the other hand, a saver who invested $10,000 in a 1-year CD at a 3% rate would earn an additional $100 in interest if rates rose to 4%. However, if the saver had invested in a bond with a fixed rate of 3%, the value of that bond would decrease as newer bonds with higher rates become more attractive to investors.
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