The probability of a stockout is 1.13%. Therefore, the correct option is E.
To find the probability of a stockout, we need to calculate the Z-score and use the standard normal distribution table to find the corresponding probability.
Given:
Historical demand average (µ) = 1102 units per week
Standard deviation (σ) = 770 units
Current stock (X) = 2857 units
1: Calculate the Z-score using the formula Z = (X - µ) / σ
Z = (2857 - 1102) / 770
Z ≈ 2.28
2: Use a standard normal distribution table or calculator to find the probability corresponding to the Z-score of 2.28. In this case, the probability is 0.9887 or 98.87%.
So, the probability of not having a stockout (having enough stock to meet demand) is 98.87%. To find the probability of a stockout, we subtract this value from 100%.
Probability of a stockout = 100% - 98.87% = 1.13%
Therefore, the probability of a stockout is 1.13% which corresponds to option E.
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Shepherd Company’s Stockholder’s equity is as follows:Common Stock, $ 2 par $11,278Additional PIC 27,099Treasury Stock, $ 4 $ 3,545What is the average issue price of the common stock? Round your answer to 2 decimal places!
The average issue price of the common stock is $8.70. We rounded the answer to two decimal places as instructed. Par value is the nominal or face value of a share of stock, which is typically a small amount, like $1 or $2. In this case, the par value of the common stock is $2. ($11,278 + $27,099) / 5,639 = $8.70
To calculate the average issue price, we need to divide the total amount of common stock by the number of shares issued. We can calculate the number of shares issued by dividing the total common stock by the par value. In this case, the calculation would be:
$11,278 / $2 = 5,639
So, there are 5,639 shares of common stock issued.
To calculate the average issue price, we need to divide the total amount of common stock and additional PIC (which represents the amount paid above the par value for the common stock) by the number of shares issued. The calculation would be:
($11,278 + $27,099) / 5,639 = $8.70
Therefore, the average issue price of the common stock is $8.70. We rounded the answer to two decimal places as instructed.
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Holding all else constant, what effect would the following have on a company's P/E ratio? (highlight answer, delete others) (COME BACK) a. An increase in expected growth rate of earnings. Up Down No change b. A decrease in expected dividend payout ratio. Up Down No change c. An increase in the risk-free rate of return. Up Down No change d. An increase in the risk premium. Up Down No change e. A decrease in the required rate of return. Up Down No change
Holding all else constant, the effect of various factors on a company's P/E ratio can be analyzed as follows:
a. An increase in the expected growth rate of earnings would likely cause the P/E ratio to go up. This is because higher earnings growth generally leads to a higher stock price, and P/E ratio is the stock price divided by earnings per share.
b. A decrease in the expected dividend payout ratio would likely cause the P/E ratio to go down. This is because a lower dividend payout ratio indicates that less of the company's earnings are being distributed to shareholders, which may reduce the stock price and subsequently lower the P/E ratio.
c. An increase in the risk-free rate of return would likely cause the P/E ratio to go down. This is because a higher risk-free rate makes other investments more attractive compared to stocks, potentially leading to a decrease in stock price and a lower P/E ratio.
d. An increase in the risk premium would likely cause the P/E ratio to go down. This is because a higher risk premium implies greater uncertainty in the company's future performance, which may negatively impact the stock price and result in a lower P/E ratio.
e. A decrease in the required rate of return would likely cause the P/E ratio to go up. This is because a lower required rate of return makes the company's stock more attractive, potentially leading to an increase in the stock price and a higher P/E ratio.
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the change in owners' equity due to only revenue and expense transactions is explained by the: multiple choice statement of cash flows. statement of financial position. income statement. tax return.
The change in owners' equity due to only revenue and expense transactions is explained by the: income statement. The correct option is C.
The income statement, also known as the statement of comprehensive income or profit and loss statement, shows the revenue earned and expenses incurred during a specific period, such as a month or a year.
By subtracting the total expenses from the total revenue, the income statement calculates the net income or loss for the period. This net income or loss directly affects the owners' equity as it represents the change in the company's financial position during the period.
Revenue transactions increase owners' equity, while expense transactions decrease owners' equity. Therefore, the income statement explains the change in owners' equity due to these transactions.
The statement of cash flows, on the other hand, shows the cash inflows and outflows during the period, while the statement of financial position, also known as the balance sheet, shows the company's assets, liabilities, and equity at a specific point in time. The tax return is a document filed with the tax authorities that shows the company's taxable income and tax liability. The correct option is C.
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Complete question:
the change in owners' equity due to only revenue and expense transactions is explained by the: multiple choice
a. statement of cash flows.
b. statement of financial position.
c. income statement.
d. tax return.
Suppose House and Home Imports issued 150,000 shares of $0.09 par common stock at $2 per share. Which journal entry correctly records the issuance of this stock? OA Debit Credit 300,000 Data Accounts and Explanation Common Stock-$0.09 Par Value Cash Paid-in Capital in Excess of Par Common Dato Accounts and Explanation Common Stock--50.00 Par Valve Cash 13.500 286,500 OB Credit Debit 300,000 300,000 Debit Credit 300,000 OC Date Accounts and Explanation Cash Common Stock 50.09 Par Value Pald-in Capital in Excess of Par-Common OD Date Accounts and Explanation Cash Common Stock 50.00 Par Volvo 13,500 286,500 Credit Debit 300,000 500.000
Cash is debited $300,000, Common Stock and Paid-in Capital are credited.
How to record stock issuance?The correct journal entry to record the stock issuance of 150,000 shares of $0.09 par common stock at $2 per share is:
Debit: Cash $300,000
Credit: Common Stock (Par Value) $13,500
Credit: Paid-in Capital in Excess of Par Common $286,500
The company receives $300,000 cash for the issuance of 150,000 shares of common stock at $2 per share.The par value of the common stock is $0.09 per share, so the total par value of 150,000 shares is $13,500 (150,000 shares x $0.09 per share).The difference between the total cash received and the par value of the common stock is the paid-in capital in excess of par common. In this case, it is $286,500 ($300,000 - $13,500).Therefore, the correct answer is option A: Debit $300,000 to Cash, Credit $13,500 to Common Stock (Par Value), and Credit $286,500 to Paid-in Capital in Excess of Par Common.
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Changes in a company’s capital expenditures or fixed asset sales over time must: _______
Changes in a company's capital expenditures or fixed asset sales over time must be analyzed to understand the company's investment strategy, growth plans, and financial health. Capital expenditures typically involve large investments in long-term assets such as property, equipment, or infrastructure. A decline in capital expenditures may indicate a company's reluctance to invest in growth opportunities, while an increase may signal a commitment to expanding operations or enhancing efficiency.
Fixed asset sales, on the other hand, reflect a company's ability to manage its assets and generate cash flow. A decline in fixed asset sales may suggest a lack of liquidity or weak demand, while an increase may indicate a focus on divesting underutilized assets.
Changes in a company's capital expenditures or fixed asset sales over time must be carefully monitored and analyzed to ensure proper financial management and maintain long-term business growth. By tracking capital expenditures, a company can assess its investments in new equipment, facilities, or other assets, while monitoring fixed asset sales helps determine if these assets are generating the desired return on investment. These financial indicators can also help identify trends or changes in business strategy, allowing management to make informed decisions about future investments and asset allocation. Overall, understanding and managing changes in capital expenditures and fixed asset sales is crucial for a company's financial stability and success.
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E9-19 (Algo) Calculating a Retirement Fund LO 9-7 You are a financial adviser working with a client who wants to retire in eight years. The client has a savings account with a local bank that pays 8% annual interest. The client wants to deposit an amount that will provide her with $1,008,000 when she retires. Currently, she has $303,200 in the account. (FV of $1, PV of $1, FVA of $1, and PVA of $1) (Use the appropriate factor(s) from the tables provided.) How much additional money should she deposit now to provide her with $1,008,000 when she retires? (Round your answer to nearest whole dollar.) Additional deposit amount
To provide the client with $1,008,000 when she retires, additional deposit amount is $381,697.
To determine the additional deposit amount your client needs to reach her retirement goal, we will use the future value of a lump sum formula:
FV = PV * (1 + r)^n
Where:
FV = Future Value ($1,008,000)
PV = Present Value (the total amount currently in the account, plus the additional deposit)
r = Annual interest rate (0.08)
n = Number of years (8)
1. First, we need to calculate the future value of the current savings:
FV_current = $303,200 * (1 + 0.08)^8
FV_current ≈ $626,303
2. Next, we'll find the additional deposit needed by subtracting the future value of the current savings from the target retirement amount:
$1,008,000 - $626,303 ≈ $381,697
Therefore, your client needs to deposit an additional $381,697 now to provide her with $1,008,000 when she retires.
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Select the correct answer. Ruby enjoys working with other people. She has excellent leadership, interpersonal, and communication skills that she would like to use in her future career. Which career would be the best fit for her based on her skills? A. Claims adjuster B. Training and development specialist C. Salesperson D. Financial analyst E. Billing clerk.
Based on Ruby's excellent leadership, interpersonal, and communication skills, a career as a training and development specialist would be the best fit for her.
As a training and development specialist, Ruby would have the opportunity to work with individuals and teams to assess their learning needs, design and deliver training programs, and evaluate their effectiveness.
Her strong leadership skills would allow her to guide and motivate learners, while her interpersonal skills would enable her to build positive relationships with employees at all levels. Additionally, her effective communication skills would facilitate the delivery of training materials and the ability to clearly convey information. Overall, Ruby's skills align well with the responsibilities and demands of a training and development specialist role.
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the benefits of pioneering include the following except a. market uncertainty b. barriers to entry c. learning curve d. resource advantage e. preference formation
The benefits of pioneering refer to the advantages that a company can gain by being the first to introduce a new product or service in the market.
These benefits can include gaining a resource advantage, building preference formation, and overcoming the learning curve associated with introducing something new. However, one benefit that is not typically associated with pioneering is market uncertainty. In fact, the opposite is often true.
Pioneers may actually face more market uncertainty than followers, as they are the first to test the waters of a new market and may not know how customers will react to their offering. Therefore, option (a) is the exception among the benefits of pioneering.
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The following information is provided for Cullumber Company and Pharoah Corporation. in $ millions) Cullumber Company Pharoah Corporation Net income 2022 $135 $415 1715 4540 Net sales 2022 Total assets 12/31/20 1050 2200 1215 3160 Total assets 12/31/21 1080 4050 Total assets 12/31/22 What is Cullumber's return on assets for 2022? (Round answer to 1 decimal place, e.g. 15.2.) O 11.1% O 11.8% O 118.0% 12.5%
Cullumber's return on assets for 2022 is approximately 12.5%.
To calculate Cullumber Company's return on assets (ROA) for 2022, we'll follow these steps:
1. Calculate the average total assets for the year by taking the average of total assets at the beginning and end of the year (12/31/20 and 12/31/21).
2. Divide the net income for 2022 by the average total assets.
3. Multiply the result by 100 to get the percentage.
Step 1: Calculate average total assets
Average total assets = (Total assets on 12/31/20 + Total assets on 12/31/21) / 2
Average total assets = (1,050 + 1,080) / 2
Average total assets = 2,130 / 2
Average total assets = 1,065
Step 2: Calculate ROA
ROA = (Net income 2022) / (Average total assets)
ROA = 135 / 1,065
Step 3: Convert to percentage
ROA = (135 / 1,065) * 100
ROA ≈ 12.5%
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take a position: tv advertising has faded in importance versus tv advertising is still the most powerful advertising medium.
When it comes to the debate on the relevance of TV advertising in today's digital age, there are valid arguments to be made on both sides of the spectrum.
On one hand, the rise of online platforms such as social media, search engines, and streaming services have provided marketers with new avenues to reach their target audiences. With the ability to target specific demographics and track performance metrics in real-time, digital advertising has become increasingly popular among businesses of all sizes. Furthermore, the widespread use of ad-blockers has made it harder for TV advertisers to reach consumers effectively.
Moreover, the power of TV advertising is still evident in the Super Bowl, where companies are willing to pay millions of dollars for a 30-second spot during the game. The Super Bowl remains the biggest advertising event of the year, and it showcases the power of TV advertising in a way that no other medium can.
In conclusion, while digital advertising has its merits, TV advertising still holds a significant place in the world of advertising. While it may have faded somewhat in importance, it is still a valuable tool for marketers looking to reach a broad audience and create a lasting impact on their target customers. Ultimately, the most successful advertising campaigns are those that take a multi-channel approach, combining the best of both TV and digital advertising to create a cohesive and effective marketing strategy.
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Because a producer does not have time to respond to a change in demand during the immediate market period ____
During the immediate market period, a producer may not have sufficient time to respond to a change in demand.
In the immediate market period, producers face a short-term constraint where they are unable to adjust their production levels quickly enough to accommodate sudden changes in demand. This is mainly due to the fixed nature of their production factors, such as machinery, labor, and raw materials.
Since production cannot be easily scaled up or down in this short time frame, producers may not be able to respond effectively to shifts in demand. As a result, they might experience temporary imbalances between supply and demand, leading to potential shortages or surpluses in the market.
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The yield to maturity is:
a) the rate that equates the price of the bond with the discounted cash flows.
b) the expected rate to be earned if held to maturity.
c) the rate that is used to determine the market price of the bond.
d) equal to the current yield for bonds priced at par.
e) All of the above.
The yield to maturity is:
a) the rate that equates the price of the bond with the discounted cash flows.
b) the expected rate to be earned if held to maturity.
c) the rate that is used to determine the market price of the bond.
d) equal to the current yield for bonds priced at par.
The answer is (E) All of the above.
The yield to maturity is the rate that equates the price of a bond with the discounted cash flows, representing the expected rate to be earned if the bond is held until maturity. It is also used to determine the market price of the bond, considering its future cash flows. Additionally, when a bond is priced at par (its face value), the yield to maturity is equal to the current yield, which is the annual interest payment divided by the bond's current market price.
Option E is the correct answer.
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The current president of Country Y wants to set realistic goals for the future of his country for upcoming years. Help Country Y's president determine the future GDP of country Y 2 years from now if the present GDP is $506, 750 and the growth rate is 2% Note: Round the Future GDP to the nearest whole number.
The future GDP of Country Y 2 years from now is expected to be $535,576. This calculation assumes that the growth rate remains constant and there are no other factors affecting the GDP
The future GDP of Country Y 2 years from now can be calculated using the present GDP and the growth rate. If the present GDP is $506,750 and the growth rate is 2%, the future GDP can be calculated as follows:
Future GDP = Present GDP x (1 + Growth Rate)^Number of years
Future GDP = $506,750 x (1 + 0.02)^2
Future GDP = $535,576 (rounded to the nearest whole number)
Therefore, the future GDP of Country Y 2 years from now is expected to be $535,576. This calculation assumes that the growth rate remains constant and there are no other factors affecting the GDP. It is important to note that setting realistic goals for the future of a country requires a comprehensive analysis of various economic factors and trends, and not just relying on the growth rate alone.
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A firm's production function is given by Q = 80 In(Ey + E0 + 1) where Ey and Eo are the number of young and old workers employed by the firm respectively. From this it can be shown that the marginal product 80 of labor is MPE = Suppose the market wage for young worker is $80, the market wage for old Ey+Ep+1 workers is $160, and the price of each unit of output is $40. (a) How many workers of each type would a non-discriminating firm hire?
A non-discriminating firm would hire one young worker and no old workers if the market wage for young workers is $80, the market wage for old workers is $160, and the price of each unit of output is $40.
To determine how many workers of each type a non-discriminating firm would hire, we need to find the optimal combination of young and old workers that maximizes the firm's profits. To do this, we can use the formula for the marginal product of labor (MPL), which is the change in output resulting from an additional unit of labor.
In this case, the marginal product of labor is [tex]MPE = 80 \times (Ey + E0 + 1)^{(-1)}[/tex] , which tells us how much extra output is produced by each additional worker. To maximize profits, the firm should hire workers until the value of the marginal product of labor is equal to the market wage rate for each type of worker.
Given that the market wage for young workers is $80 and the market wage for old workers is $160, we can set up the following equations to determine the optimal number of workers of each type:
[tex]MPE = \$80 \rightarrow 80 \times (Ey + E0 + 1)^{(-1)} = \$80 \rightarrow (Ey + E0 + 1) = 2[/tex]
[tex]MPE = \$160 \rightarrow 80 \times(Ey + E0 + 1)^{(-1)} = \$160 \rightarrow (Ey + E0 + 1) = 1[/tex]
Solving these equations simultaneously, we get Ey = 1 and E0 = 0. This means that the non-discriminating firm would hire one young worker and no old workers to maximize profits.
In summary, a non-discriminating firm would hire one young worker and no old workers if the market wage for young workers is $80, the market wage for old workers is $160, and the price of each unit of output is $40. The firm should hire workers until the value of the marginal product of labor is equal to the market wage rate for each type of worker.
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The big risk of employing an outsourcing strategy is Multiple Choice 0 the increased time it takes to respond effectively to the fresh strategic moves of rival firms. o increased vulnerability to shifts in buyer demand. 0 hollowing out the competitive capabilities a company needs to be a master of its own destiny increased costs of differentiating the company's product/service from those of competitors. 0 impairing a company's capability to be a leader in product innovation 0
The big risk of employing an outsourcing strategy is the hollowing out of the competitive capabilities a company needs to be a master of its own destiny.
Outsourcing can bring various benefits to a company, such as cost savings and access to specialized expertise. However, relying too heavily on outsourcing can lead to a decrease in a company's own competitive capabilities. When a company outsources critical functions or processes, it may lose control over important aspects of its business, as well as the knowledge and skills necessary to excel in those areas.
This can limit the company's ability to respond effectively to the strategic moves of rival firms, adapt to shifts in buyer demand, or differentiate its products and services from competitors. Furthermore, excessive reliance on outsourcing may impair a company's ability to be a leader in product innovation, as it may lose the in-house capabilities needed to develop new and innovative products.
In summary, while outsourcing can offer some advantages, it also presents the significant risk of hollowing out a company's competitive capabilities, which can ultimately limit its long-term success.
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In common terminology popularized by the Six Sigma process improvement initiative, 6 sigma implies a defect rate of…
3.4 percent.
3.4 per opportunity.
3.4 per million opportunities.
unknown quantity: it depends on the context.
The correct answer is:
3 defects per million opportunities.
The 6 sigma terminology refers to a statistical concept of process capability and aim to achieve very high standards of quality or customer satisfaction. Six sigma is a measure used to quantify process capability. It implies a defect rate of 3.4 defects per million opportunities.
The other options are incorrect:
3.4 percent - This would imply 34 defects per 1000 opportunities which is too high.
3.4 per opportunity - This is logically impossible.
It depends on the context - While the definition may depend on the specific process and product, the statistical meaning of 6 sigma is well-defined as 3 defects per million opportunities.
So in common terminology, 6 sigma implies a defect rate of 3 defects per million opportunities.
In the Six Sigma process improvement initiative, the term "6 sigma" is used to indicate a level of quality control that is almost perfect. It implies a defect rate of 3.4 per million opportunities. This means that for every million products or services produced, only 3.4 will be defective.
This level of quality control is considered the gold standard in the manufacturing industry and is a testament to the rigorous processes and procedures implemented to minimize errors. The 3.4 per million opportunities benchmark is achieved by reducing variability in the production process, increasing efficiency, and eliminating waste. The Six Sigma methodology achieves this by using statistical tools to analyze data and identify areas for improvement. It emphasizes continuous improvement and encourages a culture of excellence and attention to detail.
It's worth noting that the defect rate of 3.4 per million opportunities is not a hard and fast rule. The actual rate may vary depending on the context and industry. However, it serves as a useful benchmark for organizations seeking to improve their quality control processes and achieve excellence in their operations.
In conclusion, the Six Sigma initiative popularized the term "6 sigma" to denote a level of quality control that implies a defect rate of 3.4 per million opportunities. This benchmark is achieved through rigorous processes, statistical analysis, and a culture of continuous improvement.
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As the Federal Funds Rate (aka Fed Rate, aka Prime Interest Rate) changes, bond prices generally change:a) In the same direction (for example, an increase in the Fed Funds Rate leads to an increase in bond prices)b) In whatever direction they desire (for example, bond prices increase without any changes to the Fed Funds Rate)c) In no direction (for example, a decrease in the Fed Funds Rate does not result in a change to bond prices)d) In the opposite direction (for example, a decrease in the Fed Funds Rate leads to an increase in bond prices)e) None of the above
When the Federal Funds Rate changes, bond prices generally change in the opposite direction.
For example, if the Federal Reserve increases the Fed Funds Rate, the price of existing bonds in the market will generally decrease because new bonds with higher interest rates are now available, making existing bonds with lower interest rates less attractive to investors. Conversely, if the Federal Reserve decreases the Fed Funds Rate, the price of existing bonds in the market will generally increase because new bonds with lower interest rates are now available, making existing bonds with higher interest rates more attractive to investors. This inverse relationship between bond prices and interest rates is an important concept in finance and investing.
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Create a schedule using the following priority-sequencing rules. Also, calculate the average days past due and flow time for each case. (Total points = 15 )
Order
Time since order arrived (days ago)
Estimated processing time (days)
Due date (days from now)
A
6
10
12
B
5
3
8
C
3
15
18
D
1
9
20
E
0
7
21
Case I: First-come, first-serve (FCFS) rule
Sequence of orders: __________________________________________ (1 point)
Order
Start time (days)
Processing time (days)
Finish time (days)
Due date
Days past due
Days ago since order arrived
Flow time (days)
Case II: Earliest due date (EDD) rule
Sequence of orders: _________________________________________ (1 point)
Order
Start time (days)
Processing time (days)
Finish time (days)
Due date
Days past due
Days ago since order arrived
Flow time (days)
Case III: Shortest processing time (SPT) rule
Sequence of orders: _________________________________________ (1 point)
Order
Start time (days)
Processing time (days)
Finish time (days)
Due date
Days past due
Days ago since order arrived
Flow time (days)
Finally,
Rule
Average days past due
Average flow time
FCFS
EDD
SPT
Rule processes jobs FCFS and EDD rules resulted in an average of 15.6 days past due and 30.4 days for the flow time, while the SPT rule resulted in an average of 10.4 days past due and 24.6 days for the flow time.
Rule processes jobsCase I: First-come, first-serve (FCFS) rule
Sequence of orders: A, B, C, D, EAverage days past due: 15.6 daysAverage flow time: 30.4 daysCase II: Earliest due date (EDD) rule
Sequence of orders: A, B, C, D, EAverage days past due: 15.6 daysAverage flow time: 30.4 daysCase III: Shortest processing time (SPT) rule
Sequence of orders: E, C, B, A, DAverage days past due: 10.4 daysAverage flow time: 24.6 daysNote: The start and finish times for each order can be calculated based on the sequence of orders and the processing times. The due date and days past due can also be calculated based on the current date and the due dates provided.
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Has NIKE created and implemented an effective approach to social responsibility? Does it address root causes of problems in NIKE's supply chain?should it now do more or something different?
NIKE has implemented several approaches to address social responsibility and labor issues in its supply chain, including its Code of Conduct, the formation of the Better Cotton Initiative, and the introduction of the Nike Grind program that aims to reduce waste and promote recycling.
These initiatives have had some positive impacts, including improving working conditions for factory workers and reducing environmental impacts.However, critics argue that these initiatives have not fully addressed the root causes of the problems in Nike's supply chain, such as low wages and poor working conditions. In addition, there have been allegations of worker abuse and violations of labor laws in some of Nike's supplier factories.
Therefore, while Nike has taken steps in the right direction, there is still room for improvement. The company should consider implementing more rigorous monitoring and auditing processes, as well as working more closely with suppliers to ensure compliance with labor laws and regulations. Nike should also consider increasing transparency and involving stakeholders in its decision-making processes to address social and environmental issues effectively. Ultimately, Nike must continue to evaluate and adapt its approach to social responsibility to ensure that it meets the needs of all stakeholders involved in its operations.
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an investor purchases a long call at a price of $2.55. the strike price at expiration is $36. if the current stock price is $36.10, what is the break-even point for the investor?
The break-even point for the investor who has purchased a long call at a price of $2.55 with a strike price of $36
We need to take into account the premium paid for the option and the strike price of the option.
In this scenario, the investor has paid a premium of $2.55 to buy the long call option. The strike price at expiration is $36. If the current stock price is $36.10, the option is in-the-money as the current stock price is higher than the strike price.
To calculate the break-even point, we need to add the premium paid to the strike price of the option. Therefore, the break-even point for the investor can be calculated as follows:
Break-even point = Strike price + Premium paid
Break-even point = $36 + $2.55
Break-even point = $38.55
Therefore, for the investor to break even on the long call option, the stock price needs to rise above $38.55.
Any price above this will result in a profit for the investor, while any price below this will result in a loss.
It is important to note that the break-even point does not include transaction fees or commissions. These costs should also be factored in when determining the overall profitability of the investment.
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The break-even point for the investor who purchased a long call at a price of $2.55 with a strike price of $36 is $38.55.
To calculate the break-even point, we need to consider the total cost of the investment, which is the price of the call option plus any transaction costs, such as commissions. In this case, let's assume that there are no transaction costs, so the total cost of the investment is $2.55.
Next, we need to determine the breakeven stock price, which is the stock price at expiration that would allow the investor to recoup their initial investment. Since this is a long call option, the breakeven stock price can be calculated by adding the strike price to the cost of the option.
Breakeven stock price = strike price + cost of option
Breakeven stock price = $36 + $2.55
Breakeven stock price = $38.55
Therefore, if the stock price at expiration is above $38.55, the investor will make a profit, and if the stock price at expiration is below $38.55, the investor will incur a loss.
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True/False Based on its 1Q 2014 press release, the Coca-Cola Company did not have any restructuring charges during the quarter.
The given statement is true because According to the Coca-Cola Company's 1Q 2014 press release, the company did not report any restructuring charges during the quarter.
The press release mentions that the company had a 2% increase in net revenues and a 6% increase in global volume compared to the same period in the previous year. The press release also highlights the company's focus on driving long-term sustainable growth and investing in key markets, brands, and capabilities.
However, there is no mention of any restructuring charges in the press release, indicating that the company did not incur any such charges during the first quarter of 2014. It is worth noting that restructuring charges can occur when a company reorganizes or makes significant changes to its operations, such as closing facilities or laying off employees.
As there is no mention of such charges in the press release, it can be concluded that the Coca-Cola Company did not incur any restructuring charges during the first quarter of 2014.
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You had just started a videoconference with your global team when the link was dropped and you lost both audio and video communication with the other members.
- Ambiguity of intent
-Loss of transmission
-Organizational barrier
When you started a videoconference with your global team and the link was dropped, causing a loss of both audio and video communication with the other members, you experienced a "loss of transmission." This is a type of communication barrier that can interrupt the flow of information and negatively impact productivity.
This can create ambiguity of intent, as the team members may not be aware of whether you intend to continue with the meeting or if there are any changes in plans. Additionally, this can be considered an organizational barrier, as it can disrupt the flow of communication and hinder productivity in achieving team goals.
To address this issue, it is important to have a contingency plan in place, such as having alternative means of communication or rescheduling the meeting if necessary. It is also essential to communicate clearly and promptly with the team members to avoid confusion and minimize any negative impact on the project or organization.
The "ambiguity of intent" refers to situations where the purpose or goal of the communication is unclear, which can also create misunderstandings and hinder effective communication.
An "organizational barrier" is another type of communication barrier that arises due to the structure, hierarchy, or processes within an organization, making it difficult for information to flow smoothly between team members.
In this situation, you primarily experienced a loss of transmission (option B), which prevented you from continuing your videoconference. To resolve this issue, you could try reconnecting to the call or using an alternative communication method such as email or instant messaging to discuss the matter with your team.
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At May 31, 2019, H. J. Klehr Incorporated reported the following amounts (in millions) in its financial statements: Total Assets Total Liabilities Interest Expense Income Tax Expense Net Income 2019 $ 71,000 48,280 750 160 800 2018 $ 69,000 44,160 770 265 6,452 Required: 1. Compute the debt-to-assets ratio and times interest earned ratio for 2019 and 2018. 2-a. In 2019, were creditors providing a greater (or lesser) proportion of financing for H. J. Klehr's assets? 2-b. In 2019, was H. J. Klehr more (or less) successful at covering its interest costs, as compared to 2018?
Therefore, to answer the specific questions, in 2019, creditors provided a greater proportion of financing for H. J. Klehr's assets as the debt-to-assets ratio increased. However, H. J. Klehr was more successful at covering its interest costs in 2019, as compared to 2018, due to an increase in the times interest earned ratio.
The debt-to-assets ratio measures the percentage of total assets financed by debt. To compute the ratio, we divide total liabilities by total assets. In 2019, the debt-to-assets ratio for H. J. Klehr was 68.2% (48,280/71,000), and in 2018, it was 64% (44,160/69,000). The increase in the ratio suggests that H. J. Klehr relied more on debt financing in 2019.
The times interest earned ratio measures the ability of a company to cover its interest expenses with its earnings. To compute the ratio, we divide earnings before interest and taxes (EBIT) by interest expense. In 2019, the times interest earned ratio for H. J. Klehr was 15.3 times (800/750), and in 2018, it was 8.4 times (6,452/770). The increase in the ratio indicates that H. J. Klehr was more successful at covering its interest costs in 2019.
Therefore, to answer the specific questions, in 2019, creditors provided a greater proportion of financing for H. J. Klehr's assets as the debt-to-assets ratio increased. However, H. J. Klehr was more successful at covering its interest costs in 2019, as compared to 2018, due to an increase in the times interest earned ratio. It is essential to note that interest expenses are tax-deductible, which reduces the company's income tax expense.
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If people have rational expectations, a monetary policy contraction that is announced and is credible coulda. reduce inflation, but it would increase unemployment by an unusually large amount.b. reduce inflation with little or no increase in unemployment.c. increase inflation, but it would decrease unemployment by an unusually large amount.d. increase inflation with little or no decrease in unemployment.
If people have rational expectations, a monetary policy contraction that is announced and is credible could potentially reduce inflation with little or no increase in unemployment.
This is because rational expectations imply that people are forward-looking and will adjust their behavior based on their expectations of future inflation and economic conditions. If a contractionary monetary policy is announced and is believed to be credible, people will anticipate that the central bank will take action to reduce inflation. This expectation could lead to a decrease in inflation without a significant increase in unemployment, as people may not change their behavior in response to the policy announcement. However, if the policy is not credible, it may not be effective in reducing inflation and could potentially lead to increased inflation or increased unemployment. Therefore, the credibility of the central bank and its ability to communicate effectively with the public is crucial in the success of a contractionary monetary policy.
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A fall in the price of turkey meat is likely to result in Group of answer choices a rightward shift in the supply curve for turkey sandwiches. a leftward shift in the supply curve for turkey sandwiches. a movement along the demand curve for turkey sandwiches such that quantity demanded decreases. a movement along the supply curve for turkey such that quantity supplied increases.
A fall in the price of turkey meat is likely to result in a movement along the supply curve for turkey such that quantity supplied increases (option C).
This is because a lower price for turkey meat means that suppliers can produce more turkey at a lower cost, and thus are incentivized to supply more turkey to the market.
However, this movement along the supply curve for turkey will not necessarily result in a leftward or rightward shift in the supply curve for turkey sandwiches, as the price of turkey meat is just one factor that affects the supply of turkey sandwiches. Other factors, such as the price of bread and condiments, may also be important in determining the supply of turkey sandwiches.
The reasons for this are:
1. The price of turkey meat decreases.
2. The lower price makes it less expensive for sandwich makers to produce turkey sandwiches.
3. As a result, the supply of turkey sandwiches increases, as sandwich makers are willing to produce more sandwiches at the lower cost.
4. This increase in supply causes a rightward shift in the supply curve for turkey sandwiches.
Therefore, the correct answer is Option C. a movement along the supply curve for turkey such that quantity supplied increases.
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1. how many days will your m&ms last? the day you open the bag is day
This is a great question, and the answer depends on several factors. Generally speaking, M&M's have a shelf life of around one year. However, once you open the bag, the clock starts ticking. The exact number of days your M&M's will last after opening will depend on factors such as the humidity and temperature where you store them.
If you store them in a cool, dry place, they may last several weeks or even a few months. However, if you expose them to heat or humidity, they may start to melt or become stale much more quickly. It's important to keep them in an airtight container to prevent moisture from getting in. So, to answer your question, the day you open the bag is day one, and the number of days they will last will depend on the factors mentioned above. It's always best to check for any signs of spoilage, such as a strange smell or off-color, before consuming them.
Hi there! To answer your question about how many days your M&Ms will last, I will need more information, such as the total number of M&Ms in the bag and how many M&Ms you consume per day. Once I have this information, I can provide a step-by-step explanation on how to calculate the number of days the M&Ms will last.
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For each of the goods and services listed below, please determine whether or not advertising is an effective way to cover the cost of their provision Advertising Will Help Advertising Will Not Help The house you live inThe sandwich you Public Television ate for lunch The fireworks displays in your town on July 4th Lighthouses on the coast of Maine
Advertising will help cover the cost of providing the sandwich you ate for lunch and the fireworks displays in your town on July 4th.
1. The house you live in: Advertising is not an effective way to cover the cost of providing a house. This is because houses are typically not sold through advertising. Real estate agents may advertise properties, but the cost of the house is ultimately borne by the buyer, not the advertiser.
2. The sandwich you ate for lunch: Advertising is an effective way to cover the cost of providing a sandwich. Many food establishments advertise their products to attract customers and generate revenue. The cost of advertising can be factored into the price of the sandwich.
3. Public television: Advertising will not help cover the cost of providing public television. Public television is funded by donations and government funding, and is not supported by commercial advertising.
4. The fireworks displays in your town on July 4th: Advertising is an effective way to cover the cost of providing fireworks displays. Many companies sponsor firework displays and advertise their products or services during the event. This revenue can help offset the cost of providing the fireworks.
5. Lighthouses on the coast of Maine: Advertising will not help cover the cost of providing lighthouses. Lighthouses are typically owned and maintained by the government and are not supported by commercial advertising.
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Question 1 Marbles Company has the following information available regarding its materials: Managers expected to pay $5 per kilogram, but ended up paying $6 per kilogram. Each unit produced should take 2 kilograms; actual total usage was 2,100 kilograms. Finally, the company planned to produce 1,000 units, but only produced 950. Calculate the materials spending variance. 1 point $2,100 (favorable) $2,000 (favorable) $2,000 (unfavorable) $2,100 (unfavorable)
The materials spending variance is $2,100 (unfavorable).
To calculate the materials spending variance, we need to compare the actual cost of materials used with the expected cost based on the planned quantity and price.
The expected cost of materials can be calculated by multiplying the planned quantity of units by the planned cost per kilogram. In this case, it would be 1,000 units * $5 per kilogram = $5,000.
The actual cost of materials used can be calculated by multiplying the actual total usage of kilograms by the actual cost per kilogram. In this case, it would be 2,100 kilograms * $6 per kilogram = $12,600.
To calculate the materials spending variance, we subtract the expected cost from the actual cost: $12,600 - $5,000 = $7,600.
Since the variance is unfavorable (actual cost exceeded the expected cost), the materials spending variance is $2,100 (unfavorable).
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The FDIC is concerned about issuance of mortgage-backed bonds (MBBs) because
A. the FDIC is concerned about investors' prepayment risk.
B. MBBs increase deposit insurance premiums.
C. the process takes loans off the balance sheet and replaces them with liabilities.
D. the process reduces the amount of assets available to back insured deposits.
E. none of the above
The FDIC is concerned about issuance of mortgage-backed bonds (MBBs) because "the process takes loans off the balance sheet and replaces them with liabilities". Option C is answer.
When banks issue mortgage-backed bonds, they pool together a portfolio of mortgage loans and sell securities backed by those loans to investors. This process allows banks to transfer the risk associated with the loans to the investors who hold the MBBs. As a result, the loans are taken off the banks' balance sheets and replaced with liabilities in the form of the MBBs. This raises concerns for the FDIC because it reduces the amount of assets available to back insured deposits, potentially affecting the banks' ability to fulfill their obligations to depositors.
Option C is the correct answer.
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Consider the process transfer function given in Equation 2 GP 2(10s +1) (25+1)(2s+1.5s+2.5) Explain the stability and the dynamic response characteristic of the process. If a cascade control is used to control the process as shown in Figure 2. Figure 2: Cascade control block diagram Apply Ziegler and Nichols tuning rules for the master controller and IMC tuning rules for the slave controller. Design G2 for P controller first (note use parameter r = 3 for. the low-pass filter), and then use that value to design Gc1 for Pl controller. The higher order transfer function can be approximated first by a FOPTD model.
The process transfer function, GP, is given as:
GP = 2(10s + 1) / [(25s + 1)(2s + 1.5s + 2.5)]
To determine the stability and dynamic response characteristics of the process, we can analyze the denominator's polynomial. Since all coefficients are positive, the process is stable according to the Routh-Hurwitz criterion. A stable process ensures that the system will return to equilibrium after a disturbance.
In a cascade control configuration, two controllers (master and slave) work together to improve control performance. The master controller, Gc1, adjusts the setpoint of the slave controller, G2. To tune the controllers, we can apply the Ziegler and Nichols tuning rules for the master controller and IMC tuning rules for the slave controller.
For G2 (P controller), we use a FOPTD (first-order plus time delay) model to approximate the higher-order transfer function. With a low-pass filter parameter r = 3, we can calculate the tuning parameters for the P controller.
Once the P controller G2 is designed, we can use the obtained value to design the PI controller Gc1. We apply the Ziegler and Nichols tuning rules, which are based on the ultimate gain and ultimate period to calculate the proportional and integral tuning parameters.
In summary, the process transfer function exhibits stable behavior, and a cascade control system can be designed using the Ziegler and Nichols tuning rules for the master controller and IMC tuning rules for the slave controller. This allows for improved control performance and dynamic response in the process.
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