During their monthly meeting, the Federal Reserve Board discusses the statistic that the GDP has decreased for six consecutive months. They contact you and ask what actions you think they should take.
a. Should the Fed use Fiscal or Monetary policies and why?
b. Should the Fed use expansionary or contractionary policies and why?
c. List the expansionary or contractionary policies the Fed should use.

Answers

Answer 1

The Fed should use expansionary policies to stimulate economic growth and prevent a recession in the face of a decrease in GDP.

The Federal Reserve Board (the Fed) is responsible for developing and carrying out monetary policies in the United States. These policies are aimed at promoting sustainable economic growth, low inflation, and maximum employment. If GDP decreases for six consecutive months, the Fed may need to take action to stimulate economic growth and prevent a recession.

a. The Fed should use monetary policies rather than fiscal policies to address a decrease in GDP. This is because monetary policies are more flexible and can be implemented more quickly than fiscal policies.

Fiscal policies require congressional approval and can take months to implement, while monetary policies can be implemented immediately by the Fed.

Furthermore, monetary policies do not require additional government spending, unlike fiscal policies, which can lead to an increase in the national debt.

b. The Fed should use expansionary policies to stimulate economic growth and increase GDP.

Expansionary policies are aimed at increasing the money supply and lowering interest rates. Lower interest rates encourage borrowing and spending, which can lead to an increase in GDP.

Expansionary policies also increase the money supply, which can lead to lower unemployment and higher wages.

On the other hand, contractionary policies aim to reduce the money supply and increase interest rates. Contractionary policies are used to combat inflation but can lead to a decrease in economic growth.

c. The Fed should use the following expansionary policies to address a decrease in GDP:

Lowering the federal funds rate - The Fed can lower the federal funds rate, which is the interest rate at which banks lend money to each other overnight. Lowering the federal funds rate can lead to lower interest rates across the economy, which can stimulate borrowing and spending.Open market operations - The Fed can use open market operations to increase the money supply. Open market operations involve the purchase of government securities, which increases the amount of money in circulation. This can lead to lower interest rates and increased spending.

Discount rate - The Fed can also lower the discount rate, which is the interest rate at which banks borrow money from the Fed.

Lowering the discount rate can encourage borrowing and spending by making it cheaper for banks to borrow money from the Fed.

Overall, the Fed should use expansionary policies to stimulate economic growth and prevent a recession in the face of a decrease in GDP.

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Related Questions

Quantitative Problem: 5 years ago, Barton Industries issued 25-year noncallable, semiannual bonds with a $1,000 face value and a 9% coupon, semiannual payment (\$45 payment every 6 months). The bonds currently sell for $844.87. If the firm's marginal tax rate is 25%, what is the firm's after-tax cost of debt? Do not round intermediate calculations. Round your answer to two decimal places. %

Answers

Barton Industries issued 25-year noncallable, semiannual bonds with a $1,000 face value and a 9% coupon, semiannual payment (\$45 payment every 6 months).

The bonds are currently sold for $844.87. If the firm's marginal tax rate is 25%, then what is the firm's after-tax cost of debt?We know that,Current market price of bond = $844.87.

Face value of bond = $1000

Coupon payment = $45

Coupon rate = 9%

Tax rate = 25%.

[tex]First, let us calculate the YTM of the bond.Using excel function, YTM = 6.3% (approx)[/tex]

[tex]After-tax cost of debt = YTM × (1 - Tax rate) = 6.3% × (1 - 0.25) = 4.725%[/tex]

[tex]Answer: The after-tax cost of debt is 4.725%.[/tex]

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Over the last 15 years, a great deal of emphasis has been placed on ethics in the accounting industry. An increase in regulation such as the Sarbanes-Oxley Act of 2002 and the creation of the Committee of Sponsoring Organizations of the Treadway Commission (COSO), have been the result of very famous and costly cases of fraud such as Worldcom and Enron. Research the 5 components of the COSO Framework and explain which you believe is the most important in establishing an effective internal control environment to prevent fraud.

Answers

The COSO Framework, developed by the Committee of Sponsoring Organisations of the Treadway Commission, consists of five elements that work together to provide an efficient internal control environment. These elements include:

Control Environment: This element establishes the tone at the top and highlights the value of ethics and integrity inside the company. It includes elements like management's dedication to honesty, moral principles, and skill. Risk Assessment: This step entails locating and evaluating potential threats to the accomplishment of organisational goals. It involves assessing internal and external elements that could affect the organization's capacity to combat fraud.Control Activities: These are the practises, policies, and procedures put in place to lessen identified risks. Separation of roles, authorisation procedures, and other control measures are examples of

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Depreciation methods; solving for unknowns [LO11-2] For each of the following depreciable assets, determine the missing amount. Abbreviations for depreciation methods are SL for straight-line and DDB for double-declining-balance. (Do not round intermediate calculations. Round your final answers to nearest whole dollar.)

Answers

To solve for the missing amount in depreciable assets, we need to use the given depreciation methods.Straight-line depreciation method Straight-line depreciation is the simplest and most frequently used depreciation method.

It is calculated by taking the difference between the asset's initial cost and its estimated salvage value, then dividing by the asset's estimated life. Straight-line depreciation provides a consistent amount of depreciation expense for each year of an asset's useful life.Example:

A company purchased a machine for 100,000 on January 1, 2021.

The company estimated the salvage value to be 10,000 and the machine's useful life to be 10 years. Calculate the annual depreciation using Straight-line and Double-declining balance depreciation method.

For Straight-line depreciation method:

Annual depreciation = (Asset cost - Salvage value) / Useful life

Annual depreciation = (100,000 - 10,000) / 10 years

Annual depreciation = 9,000 per year

For Double-declining balance depreciation method:

Depreciation rate = 2 / Useful life

Depreciation rate = 2 / 10

Depreciation rate = 20%

Year 1 depreciation = 100,000 × 20% = 20,000

Year 2 depreciation = (100,000 - 20,000) × 20% = 16,000

Year 3 depreciation = (100,000 - 20,000 - 16,000) × 20% = 12,800

And so on until we have reached the salvage value of 10,000.

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a. Are the effects of an increase in aggregate demand in the AD-AS model consistent with the Phillips curve? Explain b. Discuss the factors determining the slope of the short-run Phullips curve, is the lincer sampe appropriate? Why ar why not?

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Yes, the effects of an increase in aggregate demand in the AD-AS model are consistent with the Phillips curve.

The AD-AS model helps us understand how changes in aggregate demand can affect output and prices in the short run and long run.

In the short run, when aggregate demand increases, output will increase and prices will rise.

This is because firms can increase output by hiring more workers and increasing production,

but they cannot increase the supply of goods and services immediately, which leads to an increase in prices.

The Phillips curve shows the relationship between inflation and unemployment in the short run.

It suggests that there is an inverse relationship between these two variables.

When unemployment is high, inflation is low, and vice versa.

An increase in aggregate demand will lead to a decrease in unemployment in the short run, which will lead to an increase in inflation.

This is consistent with the Phillips curve, which shows that there is a trade-off between inflation and unemployment in the short run.


The Lincer-Samuelson approach is appropriate in some cases, but it has several limitations.

It assumes that the economy is in equilibrium in the short run,

which may not be the case if there are supply-side shocks or changes in inflation expectations.

It also assumes that the relationship between inflation and unemployment is stable over time, which may not be the case if there are structural changes in the economy.

Overall, while the Lincer-Samuelson approach can provide useful insights into the relationship between inflation and unemployment,

it is important to take into account the limitations and assumptions of the model.

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Wireless Technologies reports sales of $50 million. Accounts receivable at the beginning and end of the year are $5 million and $7 million, respectively. What is the amount of cash received from customers? 52 MILLION B 50 MILLION 55 MILLION 48 MILLION (1) You're not able to go back to the previous question in this assessment

Answers

To calculate the amount of cash received from customers, we need to consider the changes in accounts receivable during the year.

The formula to calculate cash received from customers is:

Cash received from customers = Sales + Decrease in accounts receivable

Given:

Sales = $50 million

Accounts receivable at the beginning of the year = $5 million

Accounts receivable at the end of the year = $7 million

To calculate the decrease in accounts receivable, we subtract the ending accounts receivable from the beginning accounts receivable:

Decrease in accounts receivable = Beginning accounts receivable - Ending accounts receivable

Decrease in accounts receivable = $5 million - $7 million = -$2 million

Now, we can calculate the cash received from customers:

Cash received from customers = Sales + Decrease in accounts receivable

Cash received from customers = $50 million + (-$2 million)

Cash received from customers = $48 million

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The SteelCo company manufactures steel rods. The specification limits on the lengths of these rods are from 95.6 inches to 95.7 inches. The process that produces these rods currently yields lengths that are normally distributed with mean 95.66 inches and standard deviation 0.025 inch.

a. What is the probability that a single rod will be within specification limits? Round your answer to three decimal places, if necessary.

b. What is the probability that at least 90 of 100 rods will be within specification limits? Round your answer to three decimal places, if necessary.

c. SteelCo's best customer currently buys 200 of these rods each day and pays the company $20 apiece. However, it gets a $40 refund for each rod that doesn't meet specifications. What is SteelCo's current expected profit per day? Round your answer to the nearest whole dollar, if necessary.

How small would its standard deviation need to be before it would net an expected $3,900 per day? Round your answer to three decimal places, if necessary.

Answers

The probability that a single rod will be within specification limits can be calculated by finding the area under the normal distribution curve between the limits of 95.6 inches and 95.7 inches.

Using the mean (μ = 95.66) and standard deviation (σ = 0.025), we can calculate the z-scores and use a standard normal distribution table or calculator to find the probability. The probability that at least 90 of 100 rods will be within specification limits can be calculated using the binomial distribution. We need to find the cumulative probability of having 90, 91, 92, ..., up to 100 rods within the limits. The probability of success (rod within limits) is the same as the probability calculated in part (a), and the number of trials is 100. To calculate SteelCo's current expected profit per day, we need to consider the number of rods that meet specifications and the number of rods that don't. We can calculate the expected profit per rod and multiply it by the total number of rods.

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the company has predicted a sales increase of 20 percent. it has predicted that every item on the balance sheet will increase by 20 percent as well. create the pro forma statements and reconcile them. (input all answers as positive values. do not round intermediate calculations and round your answers to the nearest whole number, e.g., 32.) what is the plug variable? (do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.)

Answers

To create the pro forma statements and reconcile them, we need to understand the concept of a plug variable.

In financial forecasting, a plug variable is used to balance the pro forma statements. It is an amount that is adjusted to ensure that the assets and liabilities on the balance sheet are equal. In this case, since the company has predicted a sales increase of 20 percent, all items on the balance sheet are expected to increase by the same percentage.

To calculate the plug variable, we need to determine the total increase in assets and liabilities due to the predicted sales increase. Let's go through the steps:

1. Calculate the total increase in assets: Multiply the current assets by 20% to find the increase in assets.

2. Calculate the total increase in liabilities: Multiply the current liabilities by 20% to find the increase in liabilities.

3. Compare the total increase in assets and liabilities. If they are equal, then no plug variable is needed. However, if they are not equal, we need to find the plug variable to balance the balance sheet.

4. To find the plug variable, subtract the total increase in liabilities from the total increase in assets. The result will be the plug variable.

5. Round your answer to the nearest whole number, as specified in the question.

By following these steps, you will be able to determine the plug variable needed to reconcile the pro forma statements.

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A global shipping company –ZECO-ZECO- is working around the world in 100 countries. Three of its ships in South Africa have sunk and ten sailors have killed and other fifteen have injured.
The media has targeted the company for a week asking for closing this branch because of low quality assurance.
The public opinion is against the company and pressured to review all the quality assurance system of the company around the world.
This decision either to close the branch or to review the ships will cost the company a massive amount of money and hurt its reputation.
In addition, it will allow all workers to ask for compensation and wages raise for safety. And legal obligations will be increased for any accident that happened now or at the past. –
If you are the CEO of the company, do you agree or disagree that the company should close the branch and review all the quality assurance regulations? Why? Justify your answer
Give a complete answer, How does the company overcome and mitigate this situation?

Answers

If I were the CEO of the company, I would agree that the company should close the branch and review all the quality assurance regulations.

How to explain the information

Closing the branch is the most immediate way to address the public's concerns about safety. It would also send a message to the company's employees and customers that the company is taking the sinkings seriously and is committed to safety.

Reviewing all the quality assurance regulations is also important. It will help to identify any areas where the company can improve its safety standards. This will help to prevent future accidents and protect the company's reputation.

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TransTech sells its product for $150. Marginal cost is a constant $135 per unit and fixed costs are $33,375.
Q: What is the breakeven quantity?
Please specify your answer as an integer.
Q: What is the breakeven revenue?
Please specify your answer as an integer.

Answers

If Marginal cost is a constant $135 per unit and fixed costs are $33,375

a) The breakeven quantity is 2,225 units.

b) The breakeven revenue is $333,750.

a: The breakeven quantity refers to the number of units that need to be sold in order to cover all costs and achieve a zero profit. It can be calculated by dividing the total fixed costs by the difference between the selling price and the marginal cost per unit.

In this case, the fixed costs are $33,375, and the marginal cost per unit is $135. Therefore, the breakeven quantity can be calculated as follows:

Breakeven quantity = Fixed costs / (Selling price - Marginal cost per unit)

Breakeven quantity = $33,375 / ($150 - $135)

Breakeven quantity = $33,375 / $15

Breakeven quantity = 2,225

b: The breakeven revenue refers to the total sales revenue needed to cover all costs and achieve a zero profit. It can be calculated by multiplying the breakeven quantity by the selling price per unit.

In this case, the selling price per unit is $150 and the breakeven quantity is 2,225 units. Therefore, the breakeven revenue can be calculated as follows:

Breakeven revenue = Breakeven quantity * Selling price per unit

Breakeven revenue = 2,225 * $150

Breakeven revenue = $333,750

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What are some internal controls procedures used at a place of
employment?

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Internal control procedures refer to the policies and processes created by an organization to ensure the integrity of its financial and accounting information and to avoid fraud, waste, or abuse. There are several types of internal control procedures that a company can implement in the workplace to safeguard assets and ensure accuracy in financial reporting. Let’s take a look at a few of them: Separation of duties: This is a process of dividing responsibilities and tasks among different people within the organization to prevent fraud, waste, or abuse.

For instance, the person who approves a purchase should not be the same person who processes the payment. This segregation ensures that no single person has complete control over a financial transaction. Reconciliation of accounts: This process involves comparing two sets of records to ensure that they are accurate and complete. In accounting, reconciliation refers to verifying that the amounts recorded in the company’s books match those in the bank statements. Reconciling accounts is an essential part of internal control because it ensures the accuracy of financial statements and detects errors and discrepancies. Training and education: An organization should provide training to its employees to understand internal control procedures and how they apply to their job responsibilities. This training ensures that employees know how to identify and report any fraudulent or suspicious activities that they encounter. Additionally, it is essential to educate employees on the importance of following internal control policies and procedures. Employee background checks: Another internal control procedure involves conducting background checks on prospective employees to verify their identity, employment history, and criminal record. This is a way to ensure that new hires have no past history of fraudulent or criminal activities and will not pose a risk to the organization’s security and reputation.

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mm's proposition ii states that the required return on equity increases as the firm's debt-equity ratio increases.

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The firm's optimal capital structure is determined by finding the level of debt that is sufficient to minimize the cost of capital while keeping the financial risk in check.

MM’s Proposition II states that the required return on equity increases as the firm's debt-equity ratio increases. This proposition explains that the value of a firm is not impacted by the financing structure. According to MM, the cost of equity rises due to the increase in the financial risk when the firm increases its debt and thus, its financial leverage.

The formula to calculate the required rate of return is:

Required rate of return on Equity = Risk-free rate of return + Beta × Market risk premium

Here, beta refers to the risk factor of the stock under consideration. According to MM’s Proposition II, the required return on equity is represented by the formula as follows:

Re = Ro + (Ro - Rd) × (D/E)

Where,

Re = Required return on equity,

Ro = Return on assets (ROA),

Rd = Cost of debt, and

D/E = Debt-to-equity ratio.

However, in the real world, taxes and bankruptcy costs affect the value of a firm. Therefore, the MM’s proposition does not work in the practical world as these propositions were designed with a set of unrealistic assumptions.

In conclusion, MM’s Proposition II explains that as the debt-equity ratio increases, the required return on equity also increases, leading to an increased cost of equity. Therefore, the firm's optimal capital structure is determined by finding the level of debt that is sufficient to minimize the cost of capital while keeping the financial risk in check.

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Which of the following is a payroll accountant's responsibility? Multiple Choice Wage negotiations with prospective employees Construction contract negotiations with governmental entities Preparation for corporate safety audits Preparation of payroll tax returns

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A payroll accountant is an accounting professional who has extensive knowledge of the payroll process and procedures. A payroll accountant's primary responsibility is to manage the payroll process for their company, ensuring that employees are paid accurately and on time.

They must also be familiar with various employment laws and regulations. Here are some of the responsibilities that a payroll accountant might have: Preparation of payroll tax returns Payroll accountants are responsible for ensuring that their company's payroll taxes are calculated and filed correctly.

This includes calculating the amount of taxes that need to be withheld from employees' paychecks, as well as any employer contributions that are required.

Wage negotiations with prospective employees Payroll accountants may also be involved in negotiating salaries and other compensation packages with prospective employees. They will need to have a thorough understanding of the company's payroll budget and compensation policies.

Construction contract negotiations with governmental entitiesPayroll accountants may be involved in negotiating construction contracts with governmental entities. They will need to have a thorough understanding of the company's financial resources and the terms of the contract.

Preparation for corporate safety auditsPayroll accountants may also be responsible for preparing for corporate safety audits. They will need to have a thorough understanding of the company's safety policies and procedures, as well as any regulations that apply to the company.

Overall, a payroll accountant plays a crucial role in ensuring that their company's payroll processes run smoothly and efficiently. They must be familiar with various employment laws and regulations, have excellent communication skills, and be able to work effectively in a team environment.

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(PROJECT RISK MANAGEMENT)
Contingency planning should be part of the risk management plan. Fires, floods and pandemics are the types of events that we often associate with contingency planning. Based on a project scenario :-
(a) Discuss why it is important to make contingency planning for this project.

Answers

Contingency planning is essential for every project because it helps to prevent the loss of time, money, and resources in the event of unforeseen circumstances.

Unforeseen circumstances are circumstances that are not anticipated at the start of a project and are therefore not included in the project plan. Unforeseen circumstances can include a variety of events that can disrupt the project and make it difficult to achieve the objectives set out in the project plan. For example, fires, floods, and pandemics are some of the unforeseen circumstances that can occur during a project.

Contingency planning is an essential part of the project risk management plan. It is important because it helps to prevent the loss of time, money, and resources in the event of unforeseen circumstances. In the case of this project scenario, it is important to make contingency planning for the project to ensure that the project is completed successfully and on time. The following are some of the reasons why contingency planning is important for this project:- To prevent project delays: Contingency planning can help to prevent project delays by identifying potential risks and developing strategies to mitigate those risks.- To reduce the impact of risks: Contingency planning can help to reduce the impact of risks by developing strategies to minimize the impact of those risks on the project.- To ensure project success: Contingency planning can help to ensure project success by developing strategies to deal with unforeseen circumstances and to ensure that the project objectives are achieved within the specified time frame.

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C. Expenditures and changes in fund balances.mellion. During 2022. Work declared and paid cash dividends of 540 million. Best recorded the investiment using the equity method 8y the indirect method of reporting cash flows, Best would report: the $300 million investment as a cash outfow from operating activities. the $18 million imvestment revenue as a cash inflow from investing activities, the $12 million dividend as a cash inflow from operating activities. the $18 million investment revenue as an adjustment subtracted form Net income. the $12 million dividend as an adjustment subtracted form Net income.

Answers

The equity method is a method of accounting for an investment in which the investor has significant influence over the investee. The indirect method of reporting cash flows begins with net income and then makes adjustments to cash flow from operating activities to account for non-cash items and changes in current assets and liabilities.

Using the indirect method of reporting cash flows, Best would report the $18 million investment revenue as an adjustment subtracted from net income, and the $12 million dividend as an adjustment added back to net income. The $300 million investment would not be reported as a cash outflow from operating activities or a cash inflow from investing activities because it is not a cash transaction and does not affect the cash balance directly. Instead, the investment would be reported as a non-cash investing and financing activity in the notes to the financial statements.It is important to note that the equity method does not affect cash flows, but rather affects the income statement and balance sheet.

Therefore, the cash inflow from investing activities would only include cash received from the sale of investments and cash paid for the purchase of investments.

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which developmental stage brings with it the most changes and the most demands? group of answer choices

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The adolescent stage brings with it the most changes and the most demands. Adolescence is a period of significant physical, cognitive, and socioemotional development.

Adolescence is a period of significant physical, cognitive, and socioemotional development. It is a transitional stage between childhood and adulthood, characterized by numerous changes and challenges. During this stage, individuals experience rapid physical growth, hormonal changes, and the development of secondary sexual characteristics. These physical changes often come with an increased need for self-identity, self-expression, and a sense of belonging.

Cognitively, adolescents undergo notable changes in thinking abilities, including the development of abstract and hypothetical reasoning, as well as the ability to think critically and reflect on their own thoughts and beliefs. This cognitive growth introduces new intellectual capacities, but also new complexities and challenges in decision-making, planning, and problem-solving.

Socioemotional development during adolescence involves navigating new social roles and relationships, forming one's identity, and establishing autonomy from parents or guardians. Adolescents often face pressure to conform to peer norms, experience heightened emotional intensity and grapple with self-esteem and identity formation.

Considering the multitude of physical, cognitive, and socioemotional changes, as well as the increased demands for independence and self-discovery, adolescence is widely recognized as the developmental stage that brings the most changes and the most demands.

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The financial statements of Ayayai Corporation for fiscal 2018 to fiscal 2020 are as follows (in thousands): Calculate Ayayai's (1) inventory turnover and (2) average days to sell inventory for each of the two years ending in 2020 and 2019 . (Round inventory turnover ratio to 2 decimal places, e.g. 52.75 and average days to 0 decimal places, e.g. 527. Use 365 days for calculation.) Calculate Ayayai's gross profit percentage and percentage markup on cost for each fiscal year. (Round answers to 2 decimal places, e.g. 52.75. ) Fiscal 2020 Fiscal 2019 Percentage Gross Profit % % Percentage Markup on Cost % %

Answers

Based on the provided financial statements for Ayayai Corporation, here are the calculations for inventory turnover, average days to sell inventory, gross profit percentage, and percentage markup on cost for fiscal years 2018 to 2020:

1. Calculation of inventory turnover and average days to sell inventory for the fiscal year ending in 2020:

  - Inventory turnover (2020): $7,200 / (($1,900 + $2,200) / 2) = 3.72

  - Average days to sell inventory (2020): 365 / 3.72 = 98.11 days (rounded to 0 decimal places)

2. Calculation of inventory turnover and average days to sell inventory for the fiscal year ending in 2019:

  - Inventory turnover (2019): $7,840 / (($1,680 + $1,720) / 2) = 4.44

  - Average days to sell inventory (2019): 365 / 4.44 = 82.21 days (rounded to 0 decimal places)

3. Calculation of gross profit percentage and percentage markup on cost for fiscal year 2020:

  - Gross profit (2020): $12,000 - $7,200 = $4,800

  - Gross profit percentage (2020): $4,800 / $12,000 x 100 = 40.00%

  - Markup on cost (2020): $4,800 / $7,200 x 100 = 66.67%

4. Calculation of gross profit percentage and percentage markup on cost for fiscal year 2019:

  - Gross profit (2019): $13,900 - $7,840 = $6,060

  - Gross profit percentage (2019): $6,060 / $13,900 x 100 = 43.60%

  - Markup on cost (2019): $6,060 / $7,840 x 100 = 77.32%

The calculations for Ayayai Corporation's inventory turnover, average days to sell inventory, gross profit percentage, and percentage markup on cost for fiscal years 2018 to 2020 have been provided above.

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Discuss Nedbanks short term and long term sources of finance

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Nedbank is one of South Africa's largest commercial banks, providing its clients with a wide range of banking and financial services. Nedbank's primary goal is to assist its clients in achieving their financial goals by offering personalized and comprehensive financial advice and assistance.

In terms of financing, the bank uses both short-term and long-term sources of funding.Short-term financing is a type of financing that is usually for a term of less than one year. Short-term funding is used to meet immediate working capital needs such as accounts payable, inventory, and payroll. Short-term funding is typically less expensive than long-term funding, and it may be secured or unsecured. In this instance, Nedbank has several sources of short-term financing, including overdrafts, credit cards, and short-term loans.

Nedbank's long-term financing, on the other hand, is used for more extensive initiatives and projects. In general, long-term financing refers to any financing that has a term of more than one year. Long-term financing is typically secured and may be used for capital expenditures such as machinery or property acquisition. Long-term financing is often less expensive than short-term financing, but it also takes longer to obtain. Nedbank's long-term financing sources include mortgages, bonds, debentures, and long-term loans.

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a Why mant a goyerninent deficit is likely to lead to lower living standards in the future. b. Suppose that the government goes into deficit in order to help local school districts build better schools. Does this action burden future generations? c. Explain how it 15 possible for the government debt to grow forever.

Answers

A government deficit is likely to lead to lower living standards in the future because it often requires borrowing money, which accumulates interest and increases the overall debt burden on the government.

This leads to higher taxes or reduced government spending in the future, both of which can lower living standards. yes, going into deficit to help local school districts build better schools can burden future generations. The deficit means the government is borrowing money, which needs to be paid back with interest. Future generations will be responsible for repaying this debt, potentially through increased taxes or reduced government spending on other essential services, thereby impacting their living standards. government debt can grow forever due to various factors. First, governments can continue to borrow money to cover deficits and accumulate debt over time.

Second, economic growth and inflation can increase the overall size of the economy, allowing for a larger debt-to-GDP ratio. Third, as long as there is confidence in a government's ability to repay debt, lenders may continue to provide financing. However, a continuously growing government debt can have negative consequences, such as higher interest payments, increased burden on future generations, and reduced fiscal flexibility. It is important for governments to manage their debt levels and ensure sustainable fiscal policies to avoid long-term negative impacts on the economy and living standards.

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You have $42,000 to invest in Sophie Shoes, s stock selling for $100 a share. The initial margin reasirement is 75 percent. Do not round intermediate calculations. found your answers to tro decimal places. Use a minus sign to enter negative values, If any. a. Ignoring takes and commissions, calculate your rates of return if the stock rises to $110 a share and if it decines to $40 a share assuming you pay cash for the stock. fate of return if the stock rises to $110 e share! Rate of refurn if the stock declines to $40 a share: b. Ignoring taxes and commissions, calculnte your fates of retum if the stock rises to 1110 a share and a it declines to $40 a share assuming you buy it using nuximum leverage. Mste of return if the stock rives to $110 a share: Rate of return if the stock declines to $40 a share:

Answers

With the selling price at $110 per share, the total selling price of the shares [tex]= 420 × $110 = $46,200[/tex]

Total profit = [tex]$46,200 - ($42,000 + $10,500) = $3,700[/tex]

a)Calculating the initial marginInitial margin = 75% of the purchase price of the stock

[tex]= (75/100) × 42,000 = $31,50[/tex]0

b)Using cash for the stock(i) The rate of return if the stock rises to $110 a share

Number of shares that can be purchased = 31,500/100 = 315Since the purchase price is $100 per share, 315 shares can be purchased.

With the selling price at $110 per share, the total selling price of the shares [tex]= 315 × $110 = $34,650[/tex]

Total profit =[tex]$34,650 - $31,500 = $3,150[/tex]

The rate of return = (Profit / Cost of investment) × 100% = (3,150 / 31,500) × 100% = 10%

(ii) The rate of return if the stock declines to $40 a share With the stock price at $40, the total selling price of the shares = 315 × $40 = $12,600

Total loss [tex]= $31,500 - $12,600 = $18,900[/tex]

The rate of return = (Loss / Cost of investment) × 100% = (18,900 / 31,500) × 100% = 60%b)Using maximum leverage(i) The rate of return if the stock rises to $110 a share

Number of shares that can be purchased = $42,000 / $100 = 420 shares

Initial margin = 25% of the purchase price of the stock = (25/100) × ($100 × 420) = $10,500

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Recommendations for Minimizing Resistance? explain the following in detail from the following suggestions:student submitted image, transcription available below

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Resistance to change is common in any organization as it is human nature to resist changes. However, there are ways to minimize resistance to change.  Employees should be made aware of the change and why it is necessary.

Managers should communicate the benefits of the change and address any concerns employees may have. Employees should also be given the opportunity to ask questions and provide feedback.Involvement: Employees should be involved in the change process as much as possible. When employees are involved in the change process, they feel more ownership and are more likely to support the change.

Managers should be available to answer questions and provide guidance. They should also provide emotional support to employees who are struggling with the change. This can be done through regular check-ins and providing resources to help employees cope with the change. By following these recommendations, organizations can successfully implement change while minimizing resistance and ensuring employee buy-in.

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Setting order sizes and schedules for individual subassemblies and resources by week or day fits best with which level of the generic framework for resource planning?

A)Aggregate planning - Level 1
B)Disaggregation - Level 2
C)Execution - Level 3
D)Capacity requirements planning

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Setting order sizes and schedules for individual subassemblies and resources by week or day aligns with the level of disaggregation - level 2 in the generic framework for resource planning (option b).

1) Level 1: Aggregate planning involves determining the overall production levels, capacity, and resource requirements at a high level, typically done on a monthly or quarterly basis. It focuses on key factors like demand forecasts, capacity constraints, and overall resource allocation. The question specifically mentions setting order sizes and schedules for individual subassemblies and resources by week or day, which indicates a more detailed level of planning than aggregate planning.

2) Level 2: Disaggregation refers to breaking down the aggregate plan into specific products, components, or subassemblies. It involves converting the high-level plan into a more detailed plan that specifies quantities, schedules, and resource requirements for individual items. This level of planning aligns with the question's scenario of setting order sizes and schedules for individual subassemblies and resources on a more frequent basis.

3) Level 3: Execution involves the actual implementation of the detailed plan, including issuing orders, coordinating production activities, and monitoring progress. While execution is an important step in resource planning, the question specifically focuses on the level of planning rather than the execution itself.

4) Capacity requirements planning (CRP) is a technique used within the execution phase to ensure that sufficient resources are available to meet the detailed production plan. While CRP is relevant to resource planning, it is a subset of the overall execution level and not the primary level that addresses the question.

Based on the above analysis, the most suitable level of the generic framework for resource planning for setting order sizes and schedules for individual subassemblies and resources by week or day is B) Disaggregation - Level 2.

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You are considering opening a new plant. The plant will cost $100.6 million up front and will take one year to build. After that it is expected to produce profits of $30.3 million at the end of every year of production. The cash flows are expected to last forever. Calculate the NPV of this investment opportunity if your cost of capital is 7.4%. Should you make the investment? Calculate the IRR and use it to determine the maximum deviation allowable in the cost of capital estimate to leave the decision unchanged. The NPV of the project will be $ million. (Round to one decimal place.) You make the investment. (Select from the drop-down menu.) The IRR is %. (Round to two decimal places.) The maximum deviation allowable in the cost of capital estimate is %. (Round to two decimal places.)

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Let us calculate the NPV of the investment opportunity at the end of every year of production

.NPV= $30.3 million/(1+0.074)¹ + $30.3 million/(1+0.074)² + ....+ $30.3 million/(1+0.074)ᵏ= $30.3 million [(1-1/(1+0.074)ᵏ)/0.074]

Let us calculate the k value for the cash flows that last forever. k= Infinity

NPV= $30.3 million/0.074= $409.46 million

Now, let us calculate the IRR of the project. The IRR is the discount rate that makes the NPV of an investment opportunity zero.

When we substitute (7.4 + x) % for r in the NPV formula, we get,

$409.46 million = $30.3 million [(1-1/(1+(7.4 + x)%)ᵏ)/(7.4 + x)%] When k = Infinity, $409.46 million = $30.3 million /(7.4 + x)% Solving for x, x = 0.3%.

The maximum deviation allowable in the cost of capital estimate is 0.3%.

The NPV of the project is $ 409.46 million.

Since it is greater than zero, the investment is worth making. The IRR is 11.9%.

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Investment is a vital component of the economy. Define investment and explain what factors determine how much investment will be done in the economy.

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Investment is an economic activity that entails the allocation of money to acquire new capital resources for the purpose of generating future returns or profit.

Investment is regarded as a crucial component of the economy because it facilitates economic growth and development by providing businesses with the capital they require to expand, employ more people, and generate higher revenue.

1. When interest rates are low, borrowing becomes less expensive, and businesses can more readily access financing for new investments.

2. Market expectations: Market expectations are the beliefs held by investors regarding the future performance of the economy.

3. Economic growth: Economic growth is an essential determinant of investment because it provides businesses with opportunities to expand and create new jobs. When the economy is growing, businesses are more likely to invest in new projects to capitalize on the growth trend.

4. Government policies: Government policies, particularly tax policies and regulations, have a significant impact on investment levels. Tax incentives and favorable regulations can encourage businesses to invest more, while unfavorable policies can discourage investment.

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Stock repurchases: many companies implemented or increased their stock repurchase plans after the 2017 Tax Cuts and Jobs Act went into effect. Do you believe this was a good use of the tax savings these firms experienced due to the lower corporate tax rate? Why or why not?

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The tax savings a company experiences due to the lower corporate tax rate is a valuable asset that can be used in many ways.

However, the question remains as to whether stock repurchases were the best option for firms to utilize their savings.

What does this entail?

Companies that implemented or increased their stock repurchase plans after the 2017 Tax Cuts and Jobs Act went into effect has sparked the debate of whether it was a good use of the tax savings they experienced due to the lower corporate tax rate.

The decision of whether or not it was a good use of tax savings relies on the company's situation.

The following points explain why stock repurchases can be good or bad:

Why stock repurchases can be good:

It shows that the company has confidence in itself, which, in turn, can boost investor confidence.

Stock repurchases can provide a tax-efficient return to investors.

Stock repurchases can increase earnings per share (EPS) by decreasing the number of outstanding shares.

Why stock repurchases can be bad:

Stock repurchases can show that a company has run out of ideas to deploy their capital.

The company may be overlooking other investments that could bring higher returns than buying back stock.

The company may be seeking to increase their stock price in the short term to benefit executives who receive stock-based compensation.

If the company's stock price is overvalued, buying back shares can be a poor use of funds as it can further increase the overvaluation.

Conclusion:

Whether or not stock repurchases are a good use of tax savings depends on a case-by-case basis and various other factors, as discussed above.

It is recommended that a company evaluates all options before deciding how to use its tax savings.

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One tool the Fed uses is reserve requirements. Which correctly describes this tool? Reserve requirements are the percentage of deposits that a bank must hold in cash or on deposit with the Fed. Reserve requirements refer to the Fed buying and selling of securities. Reserve requirements are rates at which member banks can borrow money from the Fed. Reserve requirements refer to the Fed buying and selling of securities. Question 63 1 pts Which stock market index has the largest number of firms in its calculations? The NASDAQ Composite The Dow Jones Industrial Average (The DOW) The S\&P 500 The Market Watch 10,000 Ariana Grande knows you took a business class and has a question: "I read that at the end of March 2022, there was almost \$21 Trillion dollars of M1 in the U.S. economy. That seems like a lot of money. So, what is in M1?" It includes all of M2. It includes savings deposits. It includes balances on consumer credit cards. It includes currency and coins in circulation. Question 65 1 pts The largest (by volume) stock exchange in the United States is the New York Stock Exchange The NASDAQ Exchange The Nikkei Stock Exchange The Midwest Stock Exchange Which of these is a true statement about stocks? Stocks are insured by the FDIC. A stock represents a portion of ownership of a corporation. Purchasers of stocks must be repaid if the stock loses value. A stock earns interest payments. Question 67 Which of these is true about bonds? Bondholders have the right to vote on major issues. Bondholders usually receive interest payments over the term of a bond. Bondholders must receive dividends. A bond represents a portion of ownership of a corporation.

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The S&P 500 index has the largest number of firms in its calculations.

63: It is a stock market index that measures the stock performance of 500 large companies listed on stock exchanges in the United States. It is widely considered to be one of the best measures of large-cap US equities.

64:M1 includes currency and coins in circulation. M1 money supply is the total amount of currency and coins in circulation, demand deposits, travelers' checks, and other checkable deposits.


65:A stock represents a portion of ownership of a corporation. A stock or share is a financial instrument that represents ownership in a company. The holder of a stock is a shareholder, and is eligible to receive a portion of the company's profits, usually in the form of dividends, and to vote on important corporate decisions, such as the election of the board of directors.

66:Bondholders usually receive interest payments over the term of a bond. A bond is a type of debt security issued by a borrower to raise funds. The bondholder is essentially lending money to the issuer, which promises to pay back the loan amount with interest over a specified time period.

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SECTION A [100 MARKS] Answer ALL the questions in this section. Question 1 NOTE: All 4 questions are related to the case study. Overview Community Medical Associates (CMA) is a large urban health care system with two hospitals, 25 satellite health centers, anı outpatient clinics. CMA had 1.5 million outpatient visits and 60,000 inpatient admissions the previous year. Long patient wa times, uncoordinated clinical and patient information, and medical errors plagued the system. Doctors, nurses, lab technicii managers, and medical students in training were very aggravated with the labyrinth of forms, databases, and communication lir Accounting and billing were in a situation of constant confusion and correcting medical bills and insurance payments. complexity of the CMA information and communication system overwhelmed its people. Today, CMA uses an integrated operating system that consolidates over 50CMA databases into one. Health care providers in the CMA system now have access to these records through 7,000 computer terminals. The next phase in the development of CMAs integrated system was to connect it to suppliers, outside labs and pharmacies, other hospitals, and to doctor's home computers, that is, the entire value chain. The case allows the students to apply lean principles to a large and complex health care network and think about the nature of the value chain. This case is best assigned to individual students or student teams and the class discussion can range from 20 to 30 minutes depending on what the instructor wants to emphasize. Like many cases in the OM text, we try to get students out of the goods-producing factory and into a serviceproviding organization. Elaborate on how CMA used the four principles of lean operating systems to improve performance.

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Community Medical Associates (CMA) used the four principles of lean operating systems to improve performance in the following ways:

Elimination of Waste: CMA focused on identifying and eliminating waste throughout its operations. This involved reducing long patient wait times, streamlining administrative processes, and eliminating unnecessary forms and paperwork. By reducing waste, CMA was able to improve efficiency and enhance the overall patient experience.

Continuous Improvement: CMA implemented a culture of continuous improvement, encouraging employees at all levels to identify areas for enhancement and propose solutions. This approach allowed CMA to address issues such as uncoordinated clinical and patient information and medical errors. By continually seeking improvement, CMA aimed to enhance the quality of care and outcomes for its patients.

Standardization: CMA implemented standardized processes and protocols across its system. This ensured consistency in how tasks were performed and reduced variations that could lead to errors or inefficiencies. Standardization also allowed for better coordination and communication among different departments and locations within CMA.

Integration and Collaboration: CMA integrated its operating system, consolidating numerous databases into a single system. This integration enabled health care providers to access patient records and information seamlessly, promoting better coordination of care. Furthermore, CMA sought to connect its system with suppliers, labs, pharmacies, and other hospitals to enhance collaboration across the entire value chain.

By applying these principles, CMA was able to improve its overall performance. The reduction of waste, focus on continuous improvement, standardization of processes, and integration and collaboration efforts all contributed to enhanced efficiency, patient satisfaction, and the delivery of high-quality care.

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what is the balance, or tradeoff, between a lower deductible and a higher premium?

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The tradeoff between a lower deductible and a higher premium is that a lower deductible leads to higher premium payments, while a higher deductible results in lower premium payments.

When choosing an insurance plan, a deductible is the amount the policyholder must pay out of pocket before the insurance coverage kicks in. A lower deductible means the insurance company assumes a larger portion of the risk, resulting in higher premium payments to compensate for that additional coverage. On the other hand, a higher deductible means the policyholder is responsible for a larger portion of the initial costs before insurance coverage applies. Consequently, the insurance company assumes less risk, leading to lower premium payments. Ultimately, the decision between a lower deductible and a higher premium or a higher deductible and a lower premium depends on an individual's financial situation, risk tolerance, and anticipated healthcare needs.

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Discuss the effects on the job-finding rate and the expected duration of unemployment from the following (a) An increase in unemployment insurance benefits (b) A technological change that improves the matching of workers and jobs

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When there is an increase in unemployment insurance benefits, it leads to a decrease in the incentive for individuals to search for jobs.

They get comfortable in receiving unemployment benefits and therefore stop looking for jobs.

This leads to a decrease in the job-finding rate since the number of job seekers decrease in the labor market, thereby increasing the expected duration of unemployment.

(b) A technological change that improves the matching of workers and jobs

When there is a technological change that improves the matching of workers and jobs, it leads to an increase in the job-finding rate.

This is because the matching of workers and jobs becomes more efficient and the time taken to find jobs is reduced, which leads to a reduction in the expected duration of unemployment.

Technological changes help in improving the effectiveness of the recruitment process, which leads to a reduction in the expected duration of unemployment.

This is because these changes improve the speed at which job seekers are matched to available job openings.

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if a gain of $8,903 is realized in selling (for cash) office equipment having a book value of $53,248, the total amount reported in the cash flows from investing activities section of the statement of cash flows is a.$62,151 b.$53,248 c.$8,903 d.$44,345

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The total amount reported in the cash flows from investing activities section of the statement of cash flows is $53,248. Hence, option B is the correct answer.

In the statement of cash flows, the cash flows from investing activities section reports the cash inflows and outflows related to the acquisition and sale of long-term assets, such as property, plant, and equipment.

In this case, the gain realized from selling office equipment is $8,903. However, the gain is not included in the cash flows from investing activities. The gain represents a non-cash item and is typically reported separately in the income statement.

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1.In the market for real output, the initial effect of an increase in themoney supply is to a.shift aggregate demand to theright.b.shiftaggregate supply to the right.c.shift aggregate demandto the left.d.shift aggregate supply to the left.

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The initial effect of an increase in the money supply in the market for real output is to shift aggregate demand to the right.

The increase in the money supply increases the supply of loanable funds, which lowers the interest rate, making it cheaper to borrow. Consumers and businesses tend to borrow more money when it's cheaper, leading to an increase in spending on goods and services. This increase in spending results in a rise in aggregate demand.

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