Choose all right answers listed below.
Typical problems with IT Cost Estimates include:
Estimators underestimate cost of projects they want to "sell". Bias toward production vs capital preservation.
Management is seeking greater precision in estimate than estimators tried to provide.
Estimators over estimate how much testing and integration into existing platforms will cost in terms of time and money.
Estimation process is rushed.
Estimators lack estimation experience

Answers

Answer 1

The correct options are: Estimators underestimate cost of projects they want to "sell". Bias toward production vs capital preservation.

Management is seeking greater precision in estimate than estimators tried to provide.Estimation process is rushed.Estimators lack estimation experience.Typical problems with IT Cost Estimates include:

Estimators underestimate cost of projects they want to "sell". Bias toward production vs capital preservation. Management is seeking greater precision in estimate than estimators tried to provide.

Estimators overestimate how much testing and integration into existing platforms will cost in terms of time and money.

The estimation process is rushed, and estimators lack estimation experience.

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Related Questions

A system of income inequality has advantages and disadvantages. Which of the following is a characteristic of a country that has income inequality?
Group of answer choices
in a country with higher income inequality the lower income households generally have fewer political advantages (less influence) than the higher income households.
All of the listed choices are characteristics
a country with income inequality generally has a higher average standard of living than a country with pure income equality.
a country with income inequality provides those who are more productive the ability to reap higher rewards and higher incomes. Thus more people tend to be productive and efficient than in a system of income equality.

Answers

In a country with higher income inequality, the lower income households generally have fewer political advantages (less influence) than the higher income households. This is a characteristic of income inequality. Higher income households often have more resources and economic power, which can translate into greater political influence and the ability to shape policies that benefit their interests.

Additionally, a country with income inequality provides those who are more productive the ability to reap higher rewards and higher incomes. This characteristic suggests that income inequality allows for greater incentives for individuals to be productive and efficient. In such a system, individuals who contribute more to the economy can earn higher incomes, which can serve as a motivator for increased productivity and economic growth.

However, it is important to note that not all of the listed choices are characteristics of a country with income inequality. The statement "a country with income inequality generally has a higher average standard of living than a country with pure income equality" is not necessarily true. Income inequality does not guarantee a higher average standard of living as it depends on various factors such as social welfare programs, access to education and healthcare, and overall economic conditions. Income equality can also be achieved with a high standard of living if resources are distributed equitably among the population.

Therefore, the correct answer is in a country with higher income inequality, the lower income households generally have fewer political advantages (less influence) than the higher income households.

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The spread between the yield on a 2-year corporate bond and the yield on a similar risk-free bond is 250 basis points. The recovery rate is 40%.
i) Estimate the average hazard rate over the 2-year period.
ii) Compute the probability that the company issuing the bond will default in 2 years

Answers

The estimated average hazard rate over the 2-year period is approximately 4.17%.

The probability that the company issuing the bond will default in 2 years is approximately 8.34%

i) To estimate the average hazard rate over the 2-year period,

we need to use the spread and the recovery rate.

The hazard rate is the probability of default within a specific time period.

In this case, the spread between the yield on the corporate bond and the risk-free bond is 250 basis points,

which is equivalent to 2.5%. Since the recovery rate is given as 40%, we can assume that the remaining 60% is the probability of default.

To estimate the average hazard rate,

we can divide the spread by the recovery rate:

Average Hazard Rate = Spread / (1 - Recovery Rate)

Average Hazard Rate = 2.5% / (1 - 40%) = 2.5% / 60% = 4.17%

ii) To compute the probability that the company issuing the bond will default in 2 years,

we can use the hazard rate. The hazard rate represents the instantaneous probability of default per year.

The probability of default in 2 years can be calculated by multiplying the hazard rate by the number of years:

Probability of Default in 2 years = Hazard Rate * 2

Using the estimated average hazard rate from part

(i), we can compute the probability of default in 2 years:

Probability of Default in 2 years = 4.17% * 2 = 8.34%

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i) The average hazard rate over the 2-year period 1 is approximately 4.17%

ii) The probability that the company issuing the bond will default in 2 years is approximately 0.0806 or 8.06%.

To estimate the average hazard rate over the 2-year period, we can use the following formula:

i) Average Hazard Rate = (Spread / (1 - Recovery Rate)) / 100

Given that, Spread = 250 basis points = 2.50%

Recovery Rate = 40% = 0.40

Average Hazard Rate = (2.50% / (1 - 0.40)) / 100

Average Hazard Rate = (2.50% / 0.60) / 100

Average Hazard Rate ≈ 4.17%

ii) To compute the probability of default in 2 years, we need to use the following formula:

Probability of Default = 1 - e^(-Average Hazard Rate * Time to Maturity)

Given, Time to Maturity = 2 years

Probability of Default = 1 - e^(-0.0417 * 2)

Probability of Default ≈ 1 - e^(-0.0834)

Probability of Default ≈ 1 - 0.9194

Probability of Default ≈ 0.0806

So, the probability that the company issuing the bond will default in 2 years is approximately 0.0806 or 8.06%.



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Wayne, Erin, Alan and Kirk are all ex-police officers and have decided to start a private security business. Due to tax and ownership issues and the obvious benefits associated with having limited liability, their lawyer recommends that they should register a company for the business. They agree and instruct their lawyer to register a company to be called WEAK Security Pty Ltd. It is agreed that Wayne, Erin, Alan and Kirk will each be allotted 100 ordinary shares in WEAK Security Pty Ltd. After the company is registered, they decide to employ Rodger as a receptionist in the office. Rodger is given strict instructions that he is not to enter into contracts on behalf of the company.
Wanda works in used car sales and a good friend of Rodger. Rodger tells Wanda about his new position at WEAK Security Pty Ltd . Wanda tells Rodger that she has been trying to sell a truck and it would be perfect for the security business. Wanda shows Rodger the truck and lets him drive it. Rodger agrees that the truck would be a great addition to the security business and thinks the price Wanda is asking is very reasonable. Rodger agrees to buy the truck on behalf of WEAK Security Pty Ltd.
Can Wanda rely on any of the assumptions in section 129 of the Corporations Act in order to enforce the contract against WEAK Security Pty Ltd?
Please use the PIRAC method to analyze the case. Is there any same type of case for referencing? Thankyou!!

Answers

Wayne, Erin, Alan and Kirk are all ex-police officers and have decided to start a private security business. Due to tax and ownership issues and the obvious benefits associated with having limited liability, their lawyer recommends that they should register a company for the business.

The PIRAC method to analyze the case of issue is the issue is whether Wanda can rely on any of the assumptions in section 129 of the Corporations Act to enforce the contract against WEAK Security Pty Ltd.

The principle refers to Section 129 of the corporations act deals with the assumption of authority. It states that a person dealing with a company in good faith can assume that the company's officers have the authority to bind the company in transactions within its ordinary course of business.

Application was given strict instructions not to enter into contracts on behalf of WEAK Security Pty Ltd. Therefore, Wanda cannot reasonably assume that Rodger had the authority to bind the company in the purchase of the truck.

Conclusion is Wanda cannot rely on the assumptions in section 129 of the Corporations Act because Rodger exceeded his authority by entering into the contract on behalf of WEAK Security Pty Ltd.

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at the federal level, an _______ functions within an established
cabinet department.
a. Independent agency. b. Executive agency. c. State agency. d.
Legislative agency.

Answers

The correct answer is option a. Independent agency. At the federal level, a functions within an established cabinet department is Independent agency.

At the federal level, an independent agency functions within an established cabinet department. Independent agencies are federal agencies that operate independently from the executive departments and are created by Congress to carry out specific functions.

They have specific missions and often have regulatory or oversight authority in their respective areas.

Examples of independent agencies include the Environmental Protection Agency (EPA), Federal Trade Commission (FTC), and Securities and Exchange Commission (SEC).

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Hyperion Inc., currently sells its latest high-speed color printer, the Hyper 500, for $349. It plans to lower the price to $308 next year. Its cost of goods sold for the Hyper 500 is $191 per unit, and this year's sales (at the current price of $349) are expected to be 20,800 units. a. Suppose that if Hyperion drops the price to $308 immediately (rather than waiting one year) it can increase this year's sales by 30% to 27,040 units. What would be the incremental impact on this year's EBIT of such a price drop? b. Suppose that for each printer sold, Hyperion expects additional sales of $95 per year on ink cartridges for the three-year life of the printer, and Hyperion has a gross profit margin of 81% on ink cartridges. What is the incremental impact on EBIT for the next three years of such a price drop?

Answers

The incremental impact on this year's EBIT of such a price drop is $1,080,000. The incremental impact on EBIT for the next three years of such a price drop is $1,657,952.

(a) The present EBIT with the current sales of 20,800 units is given by EBIT = $349 × 20,800 – $191 × 20,800 = $3,964,800 – $3,977,280 = −$12,480. If the company lowers its price to $308 and increases its sales by 30% to 27,040 units, then the new revenue and cost are $308 × 27,040 = $8,326,720 and $191 × 27,040 = $5,167,840, respectively. The new EBIT will be $3,158,880. Thus, the incremental impact on this year's EBIT of such a price drop is $3,158,880 − (−$12,480) = $1,080,000.

(b) For each printer sold, Hyperion expects additional sales of $95 per year on ink cartridges for the three-year life of the printer, and Hyperion has a gross profit margin of 81% on ink cartridges. The incremental annual profit from ink cartridges will be $95 × 81% = $76.95. The incremental profit from ink cartridges for the next three years will be $76.95 × 27,040 × 3 = $6,590,752.

Hence, the incremental impact on EBIT for the next three years of such a price drop is $6,590,752 − $1,932,800 = $1,657,952. Therefore, the incremental impact on EBIT for the next three years of such a price drop is $1,657,952.

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Explain how an appreciation of the US$ can be expected to impact economic growth, interest rates and the stock market in the US.

Answers

An appreciation of the US dollar can be expected to impact economic growth, interest rates, and the stock market in the US as follows:

Economic Growth: When the US dollar appreciates, exports become more expensive, making them less competitive on the international market. As a result, foreign demand for US goods and services decreases, which might slow down economic growth.

Interest Rates: An appreciation of the US dollar can lead to lower interest rates. When foreign investors buy US dollars, they are also acquiring US Treasuries, which lowers bond yields and leads to lower interest rates in the US.

Stock Market: An appreciation of the US dollar can have a negative impact on the US stock market. When the dollar appreciates, US firms with international operations, such as those that rely on exports, may experience lower revenues and earnings, leading to lower stock prices. Furthermore, when the dollar appreciates, foreign investors find US investments less appealing, causing a drop in foreign investment.

An appreciation of the US dollar is a situation in which the US dollar's value rises relative to that of other currencies. As the US dollar appreciates, the economy's effects can be seen in several areas. Economic growth may be slowed due to less foreign demand for US products, interest rates may be lowered as more people buy US Treasuries, and the stock market may be negatively impacted by reduced revenues and foreign investment.

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Consider a European put option and a European call option on a \( \$ 40 \) nondividend-paying stock. Both options have 6 months remaining and both have a \( \$ 35 \) strike price. The risk-free intere

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a. The no-arb price for the call option is approximately $11.176. b. The call option is in-the-money, and the put option is out-of-the-money. Under the no-arb condition, the call option is more expensive. c. An arbitrageur would buy the underpriced call option and short sell the stock. d. The no-arb price for the put option is approximately $5.824. e. An arbitrageur would sell the overpriced put option and buy the underlying stock.

a. To calculate the no-arbitrage price for the call option, we can use the put-call parity relationship:

Call Price - Put Price = Stock Price - Strike Price * e^(-r * T)

Given that the market price of the put is $6, the stock price is $40, the strike price is $35, the risk-free interest rate is 5% (or 0.05), and the time to expiration (T) is 6 months (or 0.5 years), we can plug in these values:

Call Price - $6 = $40 - $35 * e^(-0.05 * 0.5)

Solving for the Call Price:

Call Price = $40 - $35 * e^(-0.05 * 0.5) + $6 ≈ $11.176

Therefore, the no-arbitrage price for the call option is approximately $11.176.

b. The call option is in-the-money if the stock price is above the strike price, and the put option is in-the-money if the stock price is below the strike price. In this case, since the stock price is $40 and the strike price is $35, the call option is in-the-money and the put option is out-of-the-money. Under the no-arbitrage condition, the call option should be more expensive than the put option.

c. If the quoted market price of the call option is $9, an arbitrageur would likely take the following actions:

Buy the underpriced call option: The arbitrageur would buy the call option at the market price of $9, taking advantage of the lower price.

Short sell the stock: The arbitrageur would borrow and sell the underlying stock at the current stock price of $40.

By buying the call option and short selling the stock, the arbitrageur would create a synthetic long position in the stock, which would be equivalent to buying the stock itself. This strategy allows the arbitrageur to profit from the underpriced call option and the expectation that the stock price will increase.

d. To calculate the no-arbitrage price of the put option when the quoted market price of the call is $9, we can use the put-call parity relationship:

Put Price = Call Price - Stock Price + Strike Price * e^(-r * T)

Given that the market price of the call is $9, the stock price is $40, the strike price is $35, the risk-free interest rate is 5% (or 0.05), and the time to expiration (T) is 6 months (or 0.5 years), we can plug in these values:

Put Price = $9 - $40 + $35 * e^(-0.05 * 0.5)

Solving for the Put Price:

Put Price = $9 - $40 + $35 * e^(-0.05 * 0.5) ≈ $5.824

Therefore, the no-arbitrage price for the put option is approximately $5.824.

e. If the quoted market price of the put option is $6, an arbitrageur would likely take the following actions:

Sell the overpriced put option: The arbitrageur would sell the put option at the market price of $6, taking advantage of the higher price.

Buy the underlying stock: The arbitrageur would buy the underlying stock at the current stock price of $40.

By selling the put option and buying the stock, the arbitrageur would create a synthetic long position in the stock, which would be equivalent to buying the stock itself. This strategy allows the arbitrageur to profit from the overpriced put option and the expectation that the stock price will increase.

At time T, the arbitrageur would exercise the put option if the stock price is below the strike price and deliver the stock to fulfill the option contract. However, if the stock price is above the strike price, the arbitrageur would let the put option expire worthless.

These actions allow the arbitrageur to take advantage of the overpriced put option and generate risk-free profits.

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Complete Question :

Consider a European put option and a European call option on a $40 nondividend-paying stock. Both options have 6 months remaining and both have a $35 strike price. The risk-free interest rate is 5% CCAR. a. The market price of the put is $6. Calculate the no-arb price for the call. b. Which of the options is in-themoney? Which is out-of-the-money? Under the no-arb condition, is the call or the put more expensive? c. Describe the likely actions of an arbitrageur now and at time T if the quoted market price of the call is $9. d. Now as assume the quoted market price of the call is $9.00. Calculate the no-arb price of the put. e. Describe the likely actions of an arbitrageur now and at time T if the quoted market price of the put is $6.

A loan where the borrower receives money today and repays only a single lump sum at some time in the future is called a(n) loan. Select one: a. amortized b. continuous c. balloon x d. pure discount e. interest-only f. recurring

Answers

A balloon loan is one in which the borrower obtains funds now and makes just one lump sum payment later on.

With a balloon loan, you can borrow more money and pay it back over a longer period of time than you would with a conventional loan.

Balloon payments are larger-than-usual payments that are made at the end of a mortgage term in order to cover the remainder of the principal owed on the loan. To put it another way, the term "balloon" refers to a large final payment due at the end of a loan term.

Amortized loan: Amortization is the process of dividing a loan into smaller payments that are paid over time. The borrower will pay interest plus a portion of the principal in each payment.

Interest-only loan: For a specified period, the borrower only pays the interest on the loan.

Pure discount loan: A pure discount loan is one in which the borrower repays only the principal.

Balloon loan: The borrower receives money today and pays only one lump sum in the future.

Recurring loan: A recurring loan is a loan that is available to the borrower on an ongoing basis.

Continuous loan: Continuous loan refers to a line of credit that is accessible to the borrower on a continuing basis.

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Nina is able to select her weekly work hours. When a new bridge opened, it cut one hour off Nina’s total daily commute to work. Show on a graph the impact of this change on the budget constraint. Suppose that Nina did not change her weekly hours. Does Nina's labor supply curve slope upward, bend backward, or is it vertical? Show on a graph

Answers

When the new bridge opened, Nina's budget constraint shifted to the right in a parallel fashion, indicating an increase in the amount of available time for either work or leisure (excluding commuting time).

The graph the impact of this change on the budget constraint.

This shift in her constraint created an income effect, allowing her to have the option to work more and consume more leisure. Since both income and leisure are considered normal goods, an increase in income leads to an increase in the quantity demanded for both.

In this scenario, the only way for Nina's income to increase is by working more hours. Therefore, we can conclude that her extra hour per day, gained from the shorter commute, is divided between allocating more time to work and enjoying more leisure. Consequently, Nina chooses to work more hours in response to the increased availability of time.

Based on this analysis, the labor supply curve for Nina would be upward sloping, indicating that as her wage rate increases, she would be willing to supply more labor by working additional hours.

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You expect Commodore Company's stock to pay its next dividend of $6.36 exactly one year from now. After this first dividend, future dividends will grow at -3% for each of the subsequent 2 years and then 5% per year every year thereafter. What is Commodore's intrinsic value today? Use a discount rate of 12.2% and round your answer to the nearest penny.
Athens, Inc has a credit rating of A and wants to issue 15-year bonds at par value. If the 15-year Treasury bond has a YTM of 4.97% and the credit spread for Single A debt over Treasuries is 5.33%, what coupon rate should Athens select? Enter your answer as a decimal and show four decimal places. For example, if your answer is 5.25%, enter .0525.

Answers

The bonds are issued at par value, the coupon rate should be set equal to the required yield. Therefore, Athens, Inc should select a coupon rate of 10.30% (or 0.1030 as a decimal) for its bonds.

To calculate Commodore Company's intrinsic value today, we need to determine the present value of its future dividends using the dividend discount model (DDM).

Given information:

First dividend (D₁) = $6.36

Dividend growth rate for the subsequent 2 years (g₁) = -3%

Dividend growth rate after the first 2 years (g₂) = 5%

Discount rate (r) = 12.2%

Step 1: Calculate the present value of the first dividend (D₁):

PV(D₁) = D₁ / (1 + r)¹

PV(D₁) = $6.36 / (1 + 0.122)¹

PV(D₁) = $5.68

Step 2: Calculate the present value of dividends for the subsequent 2 years (D₂ and D₃):

PV(D₂) = D₁ * (1 + g₁) / (1 + r)²

PV(D₂) = $6.36 * (1 - 0.03) / (1 + 0.122)²

PV(D₂) = $5.61

PV(D₃) = D₂ * (1 + g₁) / (1 + r)³

PV(D₃) = $5.61 * (1 - 0.03) / (1 + 0.122)³

PV(D₃) = $5.54

Step 3: Calculate the present value of dividends after the first 2 years (D₄ onwards):

PV(D₄ onwards) = D₃ * (1 + g₂) / (r - g₂)

PV(D₄ onwards) = $5.54 * (1 + 0.05) / (0.122 - 0.05)

PV(D₄ onwards) = $71.72

Step 4: Calculate the intrinsic value by summing up the present values of all dividends:

Intrinsic Value = PV(D₁) + PV(D₂) + PV(D₃) + PV(D₄ onwards)

Intrinsic Value = $5.68 + $5.61 + $5.54 + $71.72

Intrinsic Value = $88.55

Therefore, Commodore Company's intrinsic value today is approximately $88.55.

Now let's move on to the second question:

Athens, Inc wants to issue 15-year bonds at par value. We need to determine the coupon rate for these bonds. The yield to maturity (YTM) for a 15-year Treasury bond is given as 4.97%, and the credit spread for Single A debt over Treasuries is 5.33%.

The required yield for Athens, Inc's bonds would be the sum of the YTM and the credit spread:

Required Yield = YTM + Credit Spread

Required Yield = 4.97% + 5.33%

Required Yield = 10.30%

Since the bonds are issued at par value, the coupon rate should be set equal to the required yield. Therefore, Athens, Inc should select a coupon rate of 10.30% (or 0.1030 as a decimal) for its bonds.

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You are long a put option with an exercise price of $100. The option expires today and the underlying security is trading at $94. If youpurchased the option for $4, should you exercise the option?a. yes b. no

Answers

The net payoff is negative. Hence, it is not advisable to exercise the option. So, the correct  is option (b) no.

It is asked whether to exercise the option if the option expires today and the underlying security is trading at $94. We will solve this question step by step below.

Let us first understand the given terms:

Put option: It is an option contract that gives the owner the right, but not the obligation, to sell a specified amount of an underlying asset at a predetermined price within a specified time.

Exercise price: Also called the strike price, it is the price at which an option can be exercised by the owner of the option.

Underlying security: It refers to the asset or security that an option derives its value from. In this case, it is not specified which underlying asset is being used.Let's now solve the question:

Given,

Exercise price = $100

Option premium paid = $4

Underlying security trading at = $94

Now, we have to decide whether to exercise the option or not.

For a put option, it is beneficial to exercise the option if the market price of the underlying asset is less than the exercise price.

In this case, the market price of the underlying asset is $94 which is less than the exercise price of $100.

Hence, it is profitable to exercise the option.

Now, let us calculate the net payoff of the option:

Net Payoff = Market price - Exercise price - Option premium

= $94 - $100 - $4

= -$10

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Which of the following would be considered an inferior good?
a.) A used car that can be traded in for a newer and better one
b.) A flight to the beach for a week-long spring break vacation
c.) Eating at high-end restaurants
d.) New professional clothes that can be bought with a higher income

Answers

The correct answer is c.) Eating at high-end restaurants. It is an inferior good.

Inferior goods are goods for which demand decreases as consumer income increases. They are typically considered lower quality or less desirable compared to other alternatives. In this case, eating at high-end restaurants would be considered an inferior good. As income increases, people tend to have more disposable income and may choose to dine at higher-quality establishments or explore other dining options rather than expensive fine dining experiences. Therefore, the demand for eating at high-end restaurants decreases as income rises, making it an example of an inferior good.

Inferior goods are characterized by a negative income elasticity of demand, meaning that as income increases, the demand for these goods decreases. The reasoning behind this is that as consumers' income rises, they can afford to purchase higher-quality alternatives or indulge in more luxurious options. In the given options, a used car that can be traded in for a newer and better one (a) and new professional clothes that can be bought with a higher income (d) are both examples of normal goods.

As income increases, the demand for better cars and nicer clothes tends to increase. Similarly, a flight to the beach for a week-long spring break vacation (b) is also a normal good as people with higher incomes may be more inclined to spend on leisure activities and vacations. However, eating at high-end restaurants (c) is an example of an inferior good. As income rises, people may opt for other dining options or higher-quality establishments, leading to a decrease in demand for expensive fine dining experiences.

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Making Business Decisions I
The Broadway Cafe needs to take advantage of e-business strategies if it wants to remain competitive. Create a document that discusses the many e-business strategies that The Broadway Cafe could use to increase revenue. Be sure to focus on the different areas of business such as marketing, finance, accounting, sales, customer service, and human resources.
PROJECT FOCUS:
Explain how understanding e-business can help you achieve success in each of these areas. A few questions you might want to address include:
What type of e-business would you deploy at The Broadway Cafe?
How can an e-business strategy help The Broadway Cafe attract customers and increase sales?
What types of metrics would you want to track on your e-business Web site?
How could you use an e-business strategy to partner with suppliers?
How could a portal help your employees?
Would you use Kiosks in the cafe?

Answers

An e-business strategy is a kind of business strategy that employs web-based technologies to complete various activities such as online sales, marketing, and customer service. The Broadway Cafe can use a variety of e-business techniques to increase revenue by being competitive.

An e-business approach should focus on various business areas such as finance, sales, customer service, marketing, and human resources.How understanding e-business can help you achieve success in each of these areas?Finance: An e-business approach will assist the company's finance department in lowering costs and maximizing revenue. It will enable the cafe to easily handle accounting procedures, inventory management, and financial planning.

Customer Service: An e-business approach will allow the cafe to provide better customer service, such as 24-hour customer support, online chat support, and a user-friendly ordering system, which will improve customer satisfaction and help the cafe attract more customers.Marketing: The Broadway Cafe could use an e-business strategy to market its brand through various online channels, such as social media, email marketing, SEO optimization, and so on.

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Answer questions 1 through 8 based on retirement funding calculation using the 4-step annuity method.
Layla, age 43, currently earns $95,000. Her wage replacement ratio is 82 percent.
She expects that inflation will average 5 percent for her entire life expectancy. She expects to earn 8 percent on her investments and retire at age 67 (full retirement age), possibly living to age 90. Her Social Security retirement benefit in today's dollars is $15,500 per year, for retiring at full retirement age.
Questions 1 through 4: Calculate Layla's capital needed at retirement at age 67 and the amount she must save at the end of each year, assuming she has no current savings accumulated for retirement.
Questions 5 through 8: Calculate the present value of her benefits at ages 63, 67, and 70.

Answers

To determine the amount she must save at the end of each year, considering the expected rate of return, inflation rate, and the remaining years until retirement.

To calculate Layla's capital needed at retirement at age 67, we can use the wage replacement ratio. Multiply her current income of $95,000 by the replacement ratio of 82%.
To determine the amount Layla must save at the end of each year, we need to consider the time period and the expected rate of return. Subtract her Social Security retirement benefit from the capital needed at retirement and divide it by the present value of an annuity factor for the period and rate of return.
Calculate the present value of Layla's Social Security retirement benefit at age 67 by discounting it using the inflation rate.
Calculate the amount Layla must save at the end of each year, considering the expected rate of return, inflation rate, and the present value of her Social Security benefit at age 67.
Calculate the present value of Layla's benefits at age 63 by discounting the Social Security benefit using the inflation rate.
Calculate the present value of Layla's benefits at age 67 by discounting the Social Security benefit using the inflation rate.
Calculate the present value of Layla's benefits at age 70 by discounting the Social Security benefit using the inflation rate.
Use the present value of Layla's benefits at age 67 to determine the amount she must save at the end of each year, considering the expected rate of return, inflation rate, and the remaining years until retirement.

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sarah U=100x0.5 y0.5
Jani U=50x0.4 y0.6
Px= 10
Py= 20
Current output
x= 58
y=36
sarah income I=600
Jani income I=700
1. Calculate MRS for sarah and jani.
2. calculate the quantities of x and y used by

Answers

MRS for Sarah is higher than Jani, indicating she is willing to give up more y for an additional unit of x. Sarah uses 34.55x and 26.54y, while Jani uses 23.37x and 28.44y.

1.  To calculate the Marginal Rate of Substitution (MRS) for Sarah and Jani, we can use the formula:

MRS = (MUx / MUy)

where MUx is the marginal utility of x and MUy is the marginal utility of y.

For Sarah, we have:

MUx = (dU/dx) = 50x^(-0.5)y^(0.5) = 50(58)^(-0.5)(36)^(0.5) ≈ 8.21\

MUy = (dU/dy) = 50x^(0.5)y^(-0.5) = 50(58)^(0.5)(36)^(-0.5) ≈ 2.74

MRS of Sarah = MUx / MUy = 8.21 / 2.74 = 2.99

For Jani, we have:

MUx = (dU/dx) = 40x^(-0.6)y^(0.4) = 40(58)^(-0.6)(36)^(0.4) ≈ 6.04\

MUy = (dU/dy) = 40x^(0.4)y^(-0.6) = 40(58)^(0.4)(36)^(-0.6) ≈ 5.07

MRS of Jani = MUx / MUy = 6.04 / 5.07 = 1.19

Therefore, Sarah has a higher MRS than Jani, indicating that she is willing to give up more y for an additional unit of x than Jani.

2.  To calculate the quantities of x and y used by Sarah and Jani, we can use the formula:

MRS = Px / Py

For Sarah, we have:

MRS = Px / Py = 10 / 20 = 0.5

Substituting the value of MRS and the given income, we get:

Px / Py = MUx / MUy\

10 / 20 = 50x^(-0.5)y^(0.5) / 50x^(0.5)y^(-0.5)\

y / x = (10 / 20) \* (58)^(0.5) / (36)^(0.5)\

y / x ≈ 0.77

Substituting the value of y / x in the budget equation, we get:

Px \* x + Py \* y = I\

10 \* x + 20 \* (0.77x) = 600\

x ≈ 34.55\

y ≈ 26.54

Therefore, Sarah uses approximately 34.55 units of x and 26.54 units of y.

For Jani, we have:

MRS = Px / Py = 10 / 20 = 0.5

Substituting the value of MRS and the given income, we get:

Px / Py = MUx / MUy\

10 / 20 = 40x^(-0.6)y^(0.4) / 40x^(0.4)y^(-0.6)\

y / x = (10 / 20) \* (58)^(0.4) / (36)^(0.6)\

y / x ≈ 1.22

Substituting the value of y / x in the budget equation, we get:

Px \* x + Py \* y = I\

10 \* x + 20 \* (1.22x) = 700\

x ≈ 23.37\

y ≈ 28.44

Therefore, Jani uses approximately 23.37 units of x and 28.44 units of y.

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The President of the United States semiconductor corporation made this statement in the companies annual report: "United's primary goal is to increase the value of the common stockholders equity overtime". Later in the report the following announcements were made:
A: The company contributed $1.5 million to the symphony orchestra in San Francisco, it’s headquarters city.
B: United is pending $5 million to open a new plant in Mexico. no revenues will be produced by the plant for four years, so earnings will be depressed during this period versus what they would have been had the company not open the new plant.
C: The company is increasing its relative use of debt. Assets were formally financed with 35% debt and 65% equity; henceforth, the financing mix will be 50-50
D. The company uses a great deal of electricity and its manufacturing operations, and it generates most of this power itself. United plans to utilize nuclear fuel rather than coal to produce electricity in the future.
E: The company has been paying out half of its earnings as dividends and retaining the other half. Henceforth, it will pay only 30% as dividends.

Answers

These measures were indicative of the company’s commitment not just to the shareholders but also to a broader set of social and environmental responsibilities.

The President of the United States semiconductor corporation's statement in the annual report that “United's primary goal is to increase the value of the common stockholders equity overtime” displayed the focus on the stock price and shareholder value.

To achieve this, the company made a few key announcements that enabled it to not just increase equity value long-term, but also meet its potential socially and environmentally. The first announcement that it contributed $1.5 million to the symphony orchestra in its headquarters city, San Francisco, showed its commitment to meet social and environmental responsibilities and integrate cultural and artistic aspects into its corporate life. This showed that it was aware of its role in the larger community and gave it a public image boost.

The second announcement that it was pending $5 million to open a new plant in Mexico was indicative of its commitment to increase its geographical presence and in turn its market share. Even though the plant will not produce any revenues for a period of four years, this commitment was necessary for the company’s long-term prospects.

The third announcement that the company was increasing its relative use of debt and converting its financing mix from 35/65 debt/equity to a 50/50 ratio reflected an update in its financial strategy. The company was taking on more risk in an effort to increase long-term returns for its stockholders equity. The fourth announcement that United planned to switch from coal to nuclear fuel to produce electricity was in line with its environmental commitments. The company was aware of the energy it was using and was making a conscious decision to switch to an emission-free fuel source.

Finally, the fifth announcement that the company will pay out only 30% of its earnings as dividends rather than 50% showed its focus on financial mobilization for the company’s long-term rewards. This indicated that United was being more strategic with its finances and planning for the future. In conclusion, all of these announcements were aimed at increasing the value of the common stockholders equity for the company in the long run.

Hence, these measures were indicative of the company’s commitment not just to the shareholders but also to a broader set of social and environmental responsibilities.

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n
Mohammed wishes to buy some stocks in a reputable company with a 4% tobacco activity, a total debt of $30,000, total cash of $40,000, and a total asset of $100,000. Determine whether this stock is Sharia compliant so Mohammed can invest. [6Marks]

Answers

His stock is not Sharia compliant

All the following financial ratios must be met for companies to be considered Shariah-compliant:

1. Revenue from non compliant activities should not exceed 5% of total revenue.

2. Debt is less than 33.333% of total assets

3.Accounts receivable and cash are less than 50% of total assets;

4.Cash and interest bearing items are less than 33.333% of total asset.

Checking Condition 1)

In our case tobacco activity is 4% only, thus does not fall in this category.

Debt = 30,000

Total Assets = 100,000

Debt / Total Assets = 30,000 / 100,000 = 30%

This Condition is also not breached.

Checking Condition 3)

Cash = 40,000

Total Assets = 100,000

Cash / Total Assets = 40,000 / 100,000 = 40%

Ratio is less than 50%, hence complying with the condition.

Checking Condition 4)

Cash = 40,000

Total Assets = 100,000

Cash / Total Assets = 40,000 / 100,000 = 40%

This is higher than 33.33% hence this condition is breached.

It can be concluded that his stock is not Sharia compliant

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Question 6.Which of the following statements related to Canadian taxation is correct:A Interest income received by a corporation is tax-free.B Dividend income received by a Canadian corporation from another Canadian company is taxable.C Dividend paid out by a corporation is treated as tax deductible expense.D Interest paid by a corporation is treated as before-tax expense, so it is 100% tax deductible.Question 7. Which of the following items will show a cash inflow (cash flow increase) to the firm:A increase of inventory B. decrease of marketable securities C. increase in accounts receivablesD decrease of borrowings from banksE. increase of fixed assets

Answers

The correct option is B. Dividend income received by a Canadian corporation from another Canadian company is taxable.

The option that shows a cash inflow (cash flow increase) to the firm is C. increase in accounts receivables.Explanation for option 6:B. Dividend income received by a Canadian corporation from another Canadian company is taxable.In Canada, dividends received by Canadian corporations from other Canadian companies are subject to taxation. The dividend is taxed at a reduced rate because of the dividend tax credit (DTC). The DTC is a non-refundable tax credit that provides a tax break to Canadian taxpayers who receive dividends from Canadian corporations.

Increase in accounts receivables - An increase in accounts receivable would result in a cash inflow. Accounts receivable (AR) is the money owed to a company for goods or services that have already been delivered. When customers pay their bills, the company receives cash, which is reflected as a cash inflow in the cash flow statement.

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Choose the step that is clearly out of order in the following schematic of a documentary credit transaction.
Importer's bank opens a letter of credit
The exporter loads the goods to a ship and obtains a bill of lading
A bill of exchange is accepted by the importer
The exporter receives payment in exchange for the bill of exchange and the bill of lading to the Exporter's bank.
Documents are sent to the importer's bank
Importer's bank collects payment from the importer and hands over the bill of lading
The importer collects the goods from the ship

Answers

The step that is clearly out of order in the schematic of a documentary credit transaction is:

The exporter receives payment in exchange for the bill of exchange and the bill of lading from the Exporter's bank.

In a typical documentary credit transaction, the exporter receives payment after the importer's bank collects payment from the importer and hands over the bill of lading. The correct sequence would be:

1. Importer's bank opens a letter of credit.

2. The exporter loads the goods to a ship and obtains a bill of lading.

3. Documents are sent to the importer's bank.

4. Importer's bank collects payment from the importer and hands over the bill of lading.

5. The exporter receives payment in exchange for the bill of exchange and the bill of lading from the Exporter's bank.

6. The importer collects the goods from the ship.

Therefore, the step "The exporter receives payment in exchange for the bill of exchange and the bill of lading to the Exporter's bank" is out of order in the given sequence.

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5. Explain how this statement can be true: "A long call position offers potentially ited gains if the underlying asset's price rises but a fixed, maximum loss if the bo ing asset's price drops to zero

Answers

The statement is true because a long call position gives the holder the right, but not the obligation, to buy the underlying asset at a predetermined price (strike price) within a specific time period (expiration date).

When the price of the underlying asset rises, the long call position allows the holder to benefit from the price increase. The potential gains are unlimited because the underlying asset's price can continue to rise, and the holder can exercise the call option to buy the asset at the lower strike price and then sell it at the higher market price.

On the other hand, the maximum loss for a long call position is limited to the premium paid for the option. If the price of the underlying asset drops to zero or remains below the strike price at expiration, the holder can simply choose not to exercise the option, allowing it to expire worthless. In this case, the loss is limited to the premium paid for the call option.

Therefore, a long call position offers potentially unlimited gains if the underlying asset's price rises, but a fixed, maximum loss if the underlying asset's price drops to zero.

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"Heart Limited has one bond in issue expiring in eight years, paying 0 coupon and has a face value of $1000. It is currently traded at $720, Beta =1.2, risk free rate is 2%, historic market risk premium is 5.5%. Assume the ratio of debt to equity is 2:1, and corporate tax rate is 20%." (c) Determine the WACC for Heart Limited.

Answers

The Weighted Average Cost of Capital (WACC) for Heart Limited is 5.73%.

1. Calculate the cost of equity (Ke):

  Ke = Risk-Free Rate + Beta * Market Risk Premium

  Ke = 2% + 1.2 * 5.5% = 8.6%

2. Calculate the cost of debt (Kd):

  Since the bond pays no coupon and is currently traded at a discount, the yield to maturity (YTM) can be used as the cost of debt.

 

Given that the bond has a face value of $1000 and is currently traded at $720, the discount is $1000 - $720 = $280.

 

The YTM can be calculated using the bond's discount and time to maturity:

  YTM = (Discount / Purchase Price) * (1 / Time to Maturity)

  YTM = ($280 / $720) * (1 / 8) = 0.0486 or 4.86%

3. Calculate the weights of equity (We) and debt (Wd):

  Since the debt-to-equity ratio is 2:1, the weights can be calculated as follows:

  We = 2 / (2 + 1) = 0.6667 or 66.67%

  Wd = 1 / (2 + 1) = 0.3333 or 33.33%

4. Calculate the WACC:

  WACC = (We * Ke) + (Wd * Kd)

  WACC = (0.6667 * 8.6%) + (0.3333 * 4.86%)

  WACC = 5.73%

Therefore, the WACC for Heart Limited is 5.73%.

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Strategic Management
-How can a decision maker identify strategic factors in a
corporation’s external international environment? Your
answer shouldn't exceed 120 words.

Answers

Decision makers can gain a comprehensive understanding of the external international environment and identify the critical strategic factors that will shape the corporation's success in the global market.

A decision maker can identify strategic factors in a corporation's external international environment through the following steps:

Environmental scanning: Conduct a thorough analysis of the global market, considering political, economic, social, technological, and legal factors.

Competitor analysis: Assess the competitive landscape, including the strengths, weaknesses, opportunities, and threats posed by rival firms operating internationally.

Market research: Gather information about customer preferences, trends, and demands in various international markets.

Stakeholder analysis: Identify key stakeholders such as governments, regulatory bodies, suppliers, and partners, and evaluate their influence and impact on the corporation's international operations.

PESTEL analysis: Examine the political, economic, social, technological, environmental, and legal factors affecting the corporation's international environment.

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Question 1 (15 marks) Explain how the four (4) factors of the incentive intensity principle apply to: (i) (5 marks) A linear contract with one agent? (ii) (5 marks) A multitasking linear contract with subjective performance evaluation (SPE)? (iii) (5 marks) A linear contract with two (2) agents and with a relative performance evaluation (RPE)?

Answers

The incentive intensity principle aims to ensure that agents put forth the required effort to achieve the goals of the contract.

What are the 4 factors?

The four factors of the incentive intensity principle are the sensitivity of the contract to effort, the agent's degree of risk aversion, the degree of substitution between effort and other inputs, and the degree of complementarity between effort and other inputs.

These four factors are applied differently depending on the contract type, as described below:

(i) Linear contract with one agent:

The sensitivity of the contract to effort: The greater the sensitivity of the contract to effort, the higher the effort level will be.The agent's degree of risk aversion: The higher the degree of risk aversion, the lower the agent's effort level.The degree of substitution between effort and other inputs: The lower the degree of substitution, the higher the effort level.The degree of complementarity between effort and other inputs: The higher the degree of complementarity, the higher the effort level.


(ii) Multitasking linear contract with subjective performance evaluation (SPE):

The sensitivity of the contract to effort: The greater the sensitivity of the contract to effort, the higher the effort level will be.The agent's degree of risk aversion: The higher the degree of risk aversion, the lower the agent's effort level.The degree of substitution between effort and other inputs: The lower the degree of substitution, the higher the effort level.The degree of complementarity between effort and other inputs: The higher the degree of complementarity, the higher the effort level.



(iii) Linear contract with two agents and with a relative performance evaluation (RPE):


The sensitivity of the contract to effort: The greater the sensitivity of the contract to effort, the higher the effort level will be.
The agent's degree of risk aversion: The higher the degree of risk aversion, the lower the agent's effort level.

The degree of substitution between effort and other inputs: The lower the degree of substitution, the higher the effort level.
The degree of complementarity between effort and other inputs: The higher the degree of complementarity, the higher the effort level.

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In your groups create a short report (min 3 pages, no maximum) for Taylor Guitar that outlines your FINAL RECOMMENDATION for the network design of the company in Canada. Include your detailed recommendation as it relates to facility locations, key transportation routes, supply chain flow and all rationale for your decisions

Answers

In this report, we will recommend the network design for Taylor Guitars in Canada that will help it to achieve an efficient and effective supply chain flow.

Facility Location Taylor Guitars is currently operating in Canada with two warehouses, one in Toronto and the other in Vancouver. The warehouses are situated at the two extreme ends of the country, which makes the transportation of raw materials and finished goods from the manufacturer's facilities to these warehouses a complicated process. We recommend the company relocate the Vancouver warehouse to Edmonton, which is centrally located in Canada.

We suggest Taylor Guitars adopts a hybrid supply chain model. This model combines elements of both push and pull strategies to optimize the supply chain. This hybrid model is designed to be more flexible than a pure push or pull model. It will enable the company to reduce costs and improve service levels while providing greater agility to respond to changes in customer demand. Rationale We recommend these changes because they will streamline the supply chain network, which will ultimately lead to cost savings, improved delivery times, and increased customer satisfaction.

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TRUE/FALSE/MAYBE and EXPLAIN:
It is impossible for the total number of people employed and the
unemployment rate both to fall at the same time.

Answers

If the rate of job creation outpaces the growth of the labour force, more individuals can find employment, resulting in a decrease in both unemployment and an increase in the total number of people employed.

It is possible for the total number of people employed and the unemployment rate to both fall at the same time. This can occur when there is a decrease in the overall labour force, meaning fewer people are actively seeking employment. In such cases, even though the number of people employed may decrease, the unemployment rate can also decrease if the decrease in the labour force is proportionally larger. So, it is not impossible for both numbers to fall simultaneously.

That statement is not necessarily true. It is possible for the total number of people employed and the unemployment rate to both fall at the same time under certain circumstances.

When the total number of people employed decreases, it typically indicates a decline in the number of individuals who have jobs. However, if the labour force participation rate also decreases, meaning fewer people are actively seeking employment, the unemployment rate could still decrease even with a decline in the number of employed individuals.

Additionally, economic growth and improved job creation can lead to an increase in the total number of people employed while simultaneously reducing the unemployment rate. If the rate of job creation outpaces the growth of the labour force, more individuals can find employment, resulting in a decrease in both unemployment and an increase in the total number of people employed.

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If you invest $10,000 today and another $10,000 a year from today, what will be the total value of your investments at the end of 10 years from today? Assume that your investments earn a 6% return.
Group of answer choices
$35,816.95
$34,803.27
$17,908.48
$16,894.79

Answers

The total value of the investment in 10 years from now, if you invest $10,000 today and another $10,000 a year from today, will be $216,097.12.

In the present case, let us assume that the annual compounding of the investment is done over 10 years, with a 6% return per annum.

In the first year, the investment will grow by 6% of $10,000 = $600. So the total investment at the end of the first year = $10,000 + $600 = $10,600

In the second year, there will be two investments - one of $10,000 and another of $10,600. Both will grow by 6%. Thus the investment at the end of the second year will be: $10,000 x 1.06 + $10,600 x 1.06 = $11,236

This way, we can calculate the investment at the end of every year up to the 10th year. At the end of the 10th year, the total investment will be $216,097.12.

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8. Ron Corporation had 8 million shares of common stock outstanding during the current calendar year. On July 1, Ron issued ten thousand $1,000 face value, convertible bonds. Each bond is convertible into 50 shares of common stock. The bonds were issued at face amount and pay interest semi annually for 20 years. They have a stated rate of 12%. Jet had income before tax of $24 million and a net income of $18 million. Ron would report the following EPS data (rounded): a. Basic EPS $2.25 Diluted EPS $2.24 b. $2.25 n/a antidilutive c. $2.25 $2.16 d. $2.25 $2.12

Answers

Based on the information provided, Ron Corporation would report the following EPS data (rounded):

a. Basic EPS: $2.25

Diluted EPS: $2.24

Basic EPS calculates earnings per share based on the weighted average number of common shares outstanding during the period. In this case, there were 8 million shares outstanding throughout the year.

To calculate diluted EPS, potential common shares from convertible securities need to be considered. Ron issued convertible bond on July 1, which are convertible into 50 shares of common stock each. Since the bonds were issued halfway through the year, the impact on diluted EPS would be proportional.

To calculate the diluted EPS, we need to determine the potential number of shares that would be added if all the bonds were converted. Since each bond is convertible into 50 shares, the total number of potential additional shares is 10,000 bonds * 50 shares/bond = 500,000 shares.

the diluted EPS is calculated by dividing the net income of $18 million by the sum of the weighted average shares outstanding (8 million) and the potential additional shares (500,000), resulting in $2.24.

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A critical examination of the possible types of employee reactions to the proposed change, again using the key theory {The theory is Kirkpatrick’s reactions to change (2001) – positive, negative and mixed and the other model is Carnall’s coping cycle (2003)} to underpin the discussion and giving consideration to the different types of employees employed by Eagle Air.

Answers

A critical examination of the possible types of employee reactions to the proposed change at Eagle Air can be conducted using Kirkpatrick's reactions to change (2001) and Carnall's coping cycle (2003).



Kirkpatrick's theory suggests that employees can have positive, negative, or mixed reactions to change. Positive reactions may include enthusiasm, motivation, and excitement about the proposed change. Negative reactions may manifest as resistance, fear, and skepticism towards the change. Mixed reactions may involve a combination of positive and negative emotions.


Carnall's coping cycle provides a framework to understand how employees adapt to change. It consists of four stages: denial, resistance, exploration, and commitment. In the denial stage, employees may refuse to acknowledge the need for change.


When examining the types of employees employed by Eagle Air, it is important to consider their individual characteristics, experiences, and attitudes. Different employees may respond differently to the proposed change based on factors such as their job role, level of expertise, and personal circumstances.


By utilizing these theories, Eagle Air can gain insights into the potential reactions and coping mechanisms of their employees, enabling them to plan and implement the proposed change effectively.

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Radovilsky Manufacturing Company, in Hayward, Califomia, makes flashing lights for toys. The company operates its production facility 300 days per year. It has orders for about 11,500 flashing lights per year and has the capability of producing 95 per day. Setting up the light production costs $48. The cost of each light is $1.05. The holding cost is $0.15 per light per year. a) What is the optimal size of the production run? units (round your response to the nearest whole number).
Find the following:
A. Optimal Size of Production
B. Average Inventory
C.Average set up cost per year
D. Annual purchase cost of lights

Answers

The optimal size of the production run is 121 units, the average inventory is 60.5 units, the average setup cost per year is $4,528.10, and the annual purchase cost of lights is $12,075.

To calculate the optimal production run size, we can use the economic order quantity (EOQ) formula. The EOQ formula is given by:

EOQ = sqrt((2DS) / H)

Where:

D = Annual demand (11,500 units)

S = Setup cost per production run ($48)

H = Holding cost per unit per year ($0.15)

Plugging in the values, we get:

EOQ = sqrt((2 * 11,500 * 48) / 0.15) = 120.83

Rounding this to the nearest whole number, the optimal size of the production run is 121 units.

To find the average inventory, we can use the EOQ formula:

Average Inventory = EOQ / 2 = 121 / 2 = 60.5 units

The average setup cost per year can be calculated by multiplying the number of production runs per year by the setup cost:

Average Setup Cost per Year = Number of Production Runs * Setup Cost = 11,500 / 121 * 48 = $4,528.10

The annual purchase cost of lights can be calculated by multiplying the annual demand by the cost per light:

Annual Purchase Cost of Lights = Annual Demand * Cost per Light = 11,500 * $1.05 = $12,075

Therefore, the optimal size of the production run is 121 units, the average inventory is 60.5 units, the average setup cost per year is $4,528.10, and the annual purchase cost of lights is $12,075.

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Compare and contrast the use of government spending changes versus tax changes as a means of influencing the course of the economy. Is one or the other preferable in specific situations? Imagine for a moment that you have two roommates, who each have opposing viewpoints on nearly everything, including politics and economics. Taylor is adamant that the best way to manage the economy is through tax changes, while Morgan insists that it’s better to adjust the economy through government spending. What would a Neoclassical economist say? What would a Keynesian economist say? Which roommate do you agree with, and why? Find a news article to help support your opinion. Summarize the article and include the link to in your response.

Answers

A neoclassical economist would argue that tax changes are preferable to government spending changes for influencing the course of the economy.

On the other hand, a Keynesian economist would advocate for government spending as a more effective tool. Personally, I align with the neoclassical economist's viewpoint, as tax changes provide greater flexibility and efficiency in economic management.

While government spending can stimulate demand in the short term, it can lead to long-term inefficiencies and potential crowding out of private investment. Tax changes, on the other hand, can incentivize productive behavior, encourage savings and investment, and provide individuals and businesses with more control over their resources.

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Other Questions
: A microwave source and a parabolic reflector produce a parallel beam of 10,000 megahertz radiation 20 cm in diameter. The radiation in the beam is emitted as pulses 10-9 seconds long, with a total energy of 10-joules per pulse. 20 cm L. (a) During the pulse the waves have an electric field E Em sin(wt kx){ with constant amplitude Em. Find w and k. (b) Write an expression for the B field of the wave (magnitude and direction) in terms of Em, w and k. (c) What is the numerical value of the average energy per unit volume inside a pulse? (d) All of the beam strikes a detector at right angles to the beam, which absorbs 80% of the radiation and reflects 20% of the radiation. What is the force exerted on the detector during a pulse? (e) Suppose that instead of hitting the detector, the pulse is incident on a single-loop, circular antenna with a radius r that is small compared to the wavelength of the radiation. The antenna picks up a signal from time-varying magnetic flux passing through the loop, which generates an emf via Faraday's law. Find the maximum emf that can be generated in the antenna. (f) How should the antenna be oriented to realize the maximum emf obtained in part (e)? please help philosophy Critical thinkingis this a cogent argument by analogy?Recently, the Supreme Court considered the case of a Colorado baker who refused to bake a cake for a same-sex wedding couple, on the grounds of his religious beliefs. The court had to decide whether or not his actions violated the states anti-discrimination law. Many people thought the bakers actions should be illegal, on the grounds of an argument by analogy to racism: 1. If you refuse to bake a wedding cake for an interracial couple, that would be an illegal form of discrimination. 2. Refusing to bake a cake for a same-sex marriage is relevantly similar to refusing to bake a cake for an interracial couple. Therefore, 3. If you refuse to bake a wedding cake for a same-sex couple, that ought to be an illegal form of discrimination, too. Recently, the philosopher John Corvino criticized this argument on the grounds that there are relevant dissimilarities between the two cases. Specifically, he says that Black communities have faced "pervasive, state-sponsored, and socially intractable" discrimination to an extent that LGBTQ individuals havent, and so you shouldnt lump the two cases together. The entire article is worth reading. a) Consider the following system of linear equations x + 4y Z 9y+ 5z 2y 0 -1 mz = m Find the value(s) of m such that the system has i) No solution ii) Many solutions iii) Unique solution |||| A 10 m wide building has a gable shaped roof that isangled at 23.0 from the horizontal (see the linkedfigure).What is the height difference between the lowest andhighest point of the roof? Complete a procurement plan for the project provided by your instructor. Changing topics is not permitted. 2. You must create your procurement plan based on the course materials. Do not use a template from an external source. 3. Use multiple sources to develop your understanding of the project procurement process. Recommended starting points a. Kerzner eText b. PMBOK Guide c. Course material 4. Create a professional looking document that includes a title page, table of contents, and bibliography. APA standards must be followed. 5. Assignment length: minimum 2 pages excluding title page, table of contents and bibliography pages. 6. Submit your assignment to the drop box: Assignment 1 . Only one submission is permitted. Therefore, ensure that you create your own work before it's submitted to the drop box. Your organization strongly supports the goals of the United Nations' PRME (Principles for Responsible Management Education). The organization has begun its first PRME project, a high priority and highly visible initiative. You have been named project manager. The project will identify and establish ongoing relationships with corporate partners worldwide. The partnerships will promote the development, transfer, dissemination and diffusion of environmentally sounc educational technologies to developing countries on favorable terms, including concessional and preferential project will be a content delivery platform for elementary and secondary school organizations. D2L (eConestoga) is an example of this technology. It is expected that several partners will be required to fulfill all the needs of the school organizations. Preference will be given to partners in developing nations, partners with visible minorities and women as the majority shareholders. Partners should be ready to work with school organizations on January 1, 2024. Partners may have one or more of the following responsibilities. - Develop and build educational technologies. - Customize technology to fit the needs of the school organization. - Install the technology in the school system. - Train teachers in how to use the technology in their first language. - Create training materials for students. - Deliver periodic upgrades to the technology as well as ongoing user support. Procurement Plan Contents Timer 0.346 s S a. The accuracy of the given timer b. The accuracy of ruler c. The relative error in measured acceleration due to gravity v cm d. What will happen to the value of g if the ball falls from height y= 100.0 cm Y=60.0 cm Timer 0.346 s QUESTION 5 1.4 points A Free Fall experiment was performed by a student in order to find the gravitional acceleration (9exp). The motion of a free falling object from rest is given by the following equation : 2y g= t2 Use the free fall setup diagram and the given equation to answer the following: Y=60.0 cm Company A has the following information from its financial statements:Which of the following statements is correct?1. Return on Sales ratio is constant.2. Other expenses is fixed costs.3. COGS is a variable cost.4. COGS is a fixed cost. A zero-coupon bond has the following:par value = $1,000maturity = 13 years from nowdiscount rate = 8%(assume semi-annual compounding).Calculate the price of the bond. 1.Identify and discuss four main advanlages Radio has over theTelevision.2. Identify and discuss four main values of the 'News'. Jennifer went on a 34 mile hiking trip with her family. Each day they decided to hike an equal amount. If they spent a week hiking, how many miles were hiked ____________wave or pulsed wave systems will have a higherquality factor. The earlier the onset of teenage smoking, the __________.greater their daily cigarette usegreater the likelihood of quitting before age 30smaller their chances of heart attack and strokesmaller the exposure to toxins Write the uncoded row matrices for the message.Message: SELL CONSOLIDATEDRow Matrix Size: 1 31 1 0 Encoding Matrix: A = 1 0 1 2 1 2 Write the uncoded row matrices for the message.Message:SELL CONSOLIDATEDRow Matrix Size: 1 x 31 -1 1 -2 0 0 -1 1 2 Encoding Matrix: A =Uncoded:Encode the message using the matrix A.Encoded: 1. How did the changing condition of European cities support the development of industry and address some of the social challenges associated with the Industrial Revolution?2. Describe the steps taken by feminists in the late nineteenth and early twentieth centuries. What issues did they address, and what was the outcome? 220 sixth grade a dessert and 190 seventh graders registered for electives. 60% of the sixth graders and 50% of seventh graders signed up for PE. How many more sixth graders than seventh graders signed up for PE? The order is for 1000mL of D5W to alternate with 1000mL of D5L/R over the next 24 hours at a rate of 150mL an hour. The drop factor is 20 gtt/mL. How many gtt/min will you give? time dose of daunorubicin for a patient receiving concurrent chest irradiation is: A. 450 mg/m2. B. 400 mg/m2. C. 550 mg/m2 D. 500 mg/m2 A photon of wavelength 1.73pm scatters at an angle of 147 from an initially stationary, unbound electron. What is the de Broglie wavelength of the electron after the photon has been scattered? candle (h, - 0.24 m) is placed to the left of a diverging lens (f=-0.071 m). The candle is d, = 0.48 m to the left of the lens.Write an expression for the image distance, d; True or False?A negative charge moves from Point P1 to PointP2. If the electric potential is lower at P2than at P1, then the work done by the electric force ispositive.