Jim deposits $14.9,000 annually into a life insurance fund for the next 6 years, at which time he plans to retire. Instead of a lump sum, Jim wishes to receive annuities for the next 23 years. What is the annual payment he expects to receive beginning the year he retires if he assumes an interest rate of 8.1 percent for the whole time period?

Answers

Answer 1

To calculate the annual payment Jim expects to receive beginning the year he retires, if he assumes an interest rate of 8.1 percent for the whole time period given that Jim deposits $14,900 annually into a life insurance fund for the next 6 years, the following steps will be followed.

Step 1: Compute the value of the periodic payment.Using the future value of an ordinary annuity formula where:    FVA = P[((1 + r)n - 1) / r]    FVA is the future value of an annuity    P is the amount of each payment    r is the interest rate per period    n is the total number of periods of the annuity.It becomes: $FVA =$ 14,900[((1 + 0.081)^(23-1) - 1) / 0.081]   =$ 14,900[((1.081)^22 - 1) / 0.081]   =$ 14,900[(4.872398 - 1) / 0.081]   =$ 14,900[49.426]   =$ 736,987.4.Step 2: Divide the future value of the annuity by the number of years of payments expected to be received.     Payment per year = $736,987.4 / 23     Payment per year = $32,086.42Therefore, the annual payment Jim expects to receive beginning the year he retires if he assumes an interest rate of 8.1 percent for the whole time period is $32,086.42.

To know more about payment  visit:

https://brainly.com/question/29475683

#SPJ11


Related Questions

a type of research that tries to discover a relationship between variables and may use questionnaires, observations, and secondary date as its collection methods is called

Answers

The type of research described is called correlational research. Correlational research aims to identify and understand the relationship between variables.

It seeks to determine whether changes in one variable are associated with changes in another variable. This type of research often involves the use of questionnaires, observations, and secondary data as methods of data collection. In correlational research, researchers collect data from participants or sources and analyze it to determine the strength and direction of the relationship between variables. Questionnaires or surveys are commonly used to gather data directly from individuals, while observations involve systematically watching and recording behaviors or events. Additionally, researchers may utilize secondary data from existing sources such as databases, previous studies, or records. The main objective of correlational research is to identify patterns or associations between variables without establishing a cause-and-effect relationship.

learn more about correlational here :

https://brainly.com/question/30116167

#SPJ11

a(n) ________ card is a credit card that does not offer revolving credit and requires full payment of the balance at the end of each month.

Answers

A charge card is a type of credit card that does not provide the option of revolving credit. With a charge card, the cardholder is required to pay the full balance at the end of each billing cycle, usually on a monthly basis. Unlike traditional credit cards, which allow cardholders to carry a balance and pay it off over time with interest, charge cards mandate full repayment.

Charge cards are often associated with higher spending limits and may be issued by certain financial institutions or specific companies. They are commonly used for business expenses or by individuals who prefer to pay off their credit card balance in full each month to avoid accumulating debt or paying interest charges.
By requiring full payment of the balance, charge cards promote responsible financial management and discourage the accumulation of long-term debt. Cardholders must plan their spending carefully to ensure they can afford to pay off the balance by the due date.

To learn more about, Credit Cards, click here, https://brainly.com/question/28887767

#SPJ11

jason works part-time at a grocery store after school. jason has worked at the store for two years but still hasn't received a wage increase, even though newer employees have received raises. jason has threatened his employer with a lawsuit if he doesn't get a raise in the next few weeks. jason believes he is a victim of labor-market discrimination.Refers to scenario. In a competitive market for grocery store employees, why might Jason's wage differential persist?

Answers

Jason's wage differential may persist due to factors such as a lack of negotiation skills, differences in job performance, supply and demand dynamics in the labor market, market forces affecting wages, and legal constraints.

In a competitive market for grocery store employees, Jason's wage differential may persist for several reasons:

1. Lack of negotiation skills: Jason may not have effectively negotiated for a wage increase during his employment. Negotiation skills play a crucial role in advocating for oneself and securing better compensation.

2. Job performance: It's possible that newer employees who received raises demonstrated better job performance or had additional skills or qualifications that made them more valuable to the employer. If Jason's performance hasn't been exceptional, the employer may not see a reason to offer him a wage increase.

3. Supply and demand: The supply of grocery store employees may exceed the demand in the labor market. If there are plenty of potential employees available, the employer may not feel the need to offer higher wages to retain current staff.

4. Market forces: Wages in the labor market can be influenced by various factors, such as the overall economic conditions, industry trends, and competition among employers. If the market wages for grocery store employees haven't increased significantly, Jason's wage may remain stagnant despite newer employees receiving raises.

5. Legal constraints: While Jason may believe he is a victim of labor-market discrimination, it's essential to examine whether any discriminatory practices are taking place. If there is no evidence of unlawful discrimination, such as bias based on race, gender, or other protected characteristics, it may be challenging for Jason to prove his case in a lawsuit.

In conclusion, Jason's wage differential may persist due to factors such as a lack of negotiation skills, differences in job performance, supply and demand dynamics in the labor market, market forces affecting wages, and legal constraints on potential discrimination claims. It's important for Jason to consider these factors and explore other avenues, such as improving job performance or seeking alternative employment opportunities, to address his concerns about wage increases.

To know more about compensation visit:

https://brainly.com/question/28250225

#SPJ11

30-year level payment mortgage assuming an annual mortgage rate of 5% and an initial mortgage principal of $400,000.
In each of the following questions, monthly mortgage coupon rates should be calculated by simply dividing the annual rate by 12. You should also assume that all of the securities pay monthly. Also, you should divide annual interest rates by 12 to get the corresponding monthly rate and assume monthly compounding when computing present values.
Suppose we construct principal-only (PO) and interest-only (IO) mortgage-backed securities (MBS) using the mortgage pass-through of the previous questions. Assume a prepayment multiplier of 100 PSA. What is the present value of the PO MBS if we use an annual risk-free rate of 4.5% to value the cash-flows?

Answers

The present value of the PO MBS with an annual risk-free rate of 4.5% to value the cash-flows is $387,005.43. The formula used to compute the value is PV = Σ (t = 1 to T) Pt/(1 + r)m. In this formula, T is the final payment, Pt is the payment received in time t, r is the annual discount rate, and m is the number of discounting periods per year.

First, we need to calculate the PO mortgage cash flows. This can be done by multiplying the monthly mortgage rate by the outstanding balance of the mortgage. The balance of the mortgage reduces monthly, so the PO cash flows increase each month.We then need to apply a prepayment multiplier of 100 PSA.

The formula to calculate the prepayment factor is 1 – (1/(1 + PSA/12))^T.

This gives us the percentage of the mortgage balance that is expected to be prepaid in a year.

Next, we calculate the present value of the PO cash flows using the formula PV = Σ (t = 1 to T) Pt/(1 + r)m.

In this formula, T is the final payment, Pt is the payment received in time t, r is the annual discount rate, and m is the number of discounting periods per year. Using this formula, we get the present value of the PO MBS as $387,005.43.

When constructing a principal-only (PO) mortgage-backed security (MBS), the investor receives the principal portion of the borrower's mortgage payments. In contrast, the interest-only (IO) MBS investor receives only the interest payments. These two securities have different cash flow profiles and sensitivities to interest rates and prepayments.

The PO cash flows increase each month as the balance of the mortgage reduces. In contrast, the IO cash flows decrease each month as the outstanding balance of the mortgage reduces.

The PO security is more sensitive to prepayments, while the IO security is more sensitive to interest rate changes. If interest rates increase, the value of the IO security decreases because borrowers are less likely to prepay their mortgages.

Conversely, the value of the PO security increases if interest rates decrease, as borrowers are more likely to prepay their mortgages.

To learn more about annual risk-free rate

https://brainly.com/question/31361595

#SPJ11

what is the name of the concept of leadership that allows subordinates a role in decision-making and planning?

Answers

The concept is known as "shared or participative leadership" or "democratic leadership," which involves involving subordinates in decision-making and planning processes.

Shared or participative leadership is a leadership approach that encourages subordinates to actively participate in decision-making and planning. It values input and ideas from all members of a team or organization, promoting collaboration and shared responsibility. This leadership style recognizes the expertise and insights of individuals throughout the hierarchy and empowers them to contribute to the decision-making process. By involving subordinates, leaders can tap into diverse perspectives, enhance problem-solving capabilities, foster employee engagement and ownership, and build a culture of trust and mutual respect. Shared leadership can result in more innovative solutions, increased job satisfaction, and higher levels of commitment and motivation among team members.

Learn more about planning processes here:

https://brainly.com/question/30624463

#SPJ11

The investment centre of a company has the following relevant actual operating results and variances for operations during fiscal year 2018:
Sales $30,000,000 $2,000,000 unfavourable
Variable COGS 17,500,000 550,000 favourable
Controllable fixed COGS 2,500,000 N/A
Variable S&A expenses 3,250,000 275,000 unfavourable
Controllable fixed S&A expenses 1,500,000 N/A
Average operating assets for the fiscal period were $13,500,000.
Instructions:
Calculate ROI for 2018.
_% round to nearest whole number
Typed numeric answer will be automatically saved.

Answers

The ROI for 2018 is approximately 39%. To calculate the Return on Investment (ROI) for 2018, we need to determine the Operating Income and the Average Operating Assets.

Operating Income = Sales - Variable COGS - Controllable fixed COGS - Variable S&A expenses - Controllable fixed S&A expenses

Operating Income = $30,000,000 - $17,500,000 - $2,500,000 - $3,250,000 - $1,500,000

Operating Income = $5,250,000

Average Operating Assets = ($13,500,000 + $13,500,000) / 2

Average Operating Assets = $13,500,000

ROI = (Operating Income / Average Operating Assets) * 100

ROI = ($5,250,000 / $13,500,000) * 100

ROI = 38.89%

Therefore, the ROI for 2018 is approximately 39%.

Learn more about ROI here: https://brainly.com/question/30049040

#SPJ11

Assume that a competitive firm has the total cost function: TC=1q3−40q2+770q+1700 Suppose the price of the firm's output (sold in integer units) is $600 per unit. Create tables (but do not use calculus) with columns representing cost, revenue, and profit to find a solution.
1. How many units should the firm produce to maximize profit?
Please specify your answer as an integer.
2. What is the total profit at the optimal output level?
Please specify your answer as an integer.

Answers

The total profit at the optimal output level is $0. Therefore, the firm neither earns nor incurs any profit or loss at the optimal output level of 85 units.

Given the total cost function for the competitive firm: TC = 1q³ − 40q² + 770q + 1700, where q represents the quantity of output produced by the firm.

The price of the firm's output is $600 per unit. To determine the optimal output level that maximizes profit, we need to calculate the profit function.

Profit (π) can be calculated as the revenue (R) minus the cost (C). Revenue is the product of the price of the firm's output and the quantity produced: R = $600Q.

Cost is given by the total cost function: C = TC. Therefore, C = 1q³ − 40q² + 770q + 1700.

Substituting the revenue and cost functions into the profit equation:

π = R - C

π = $600Q - (q³ - 40q² + 770q + 1700)

Simplifying further:

π = -q³ + 40q² - 170q - 1700

We can factor the profit function to find the critical values:

π = -(q + 10)(q - 20)(q - 85)

To find the maximum profit, we equate the first derivative of π to zero:

dπ/dq = 0 at q = -10, 20, 85

Therefore, the critical values are q = -10, 20, and 85. To maximize profit, the firm should produce 85 units.

To find the total profit at the optimal output level, we substitute q = 85 into the profit function:

π = -(85 + 10)(85 - 20)(85 - 85)

π = -75 × 65 × 0

π = $0

Learn more about optimal

https://brainly.com/question/14914110

#SPJ11

Macroeconomics is much more than just what you read in a textbook. It is what happens every day, the sum of everything that affects the well-being of all. In fact, macroeconomics affects everyone throughout the country and the world.
Choose one of the two options below and pay particular attention to any discussion relating to the macroeconomics concepts covered in the current unit. After listening or reading, answer the following questions:
What important new things did you learn?
Did the topics discussed in the article or podcast relate to your personal experience in any way? If so, how? If not, how do you believe it could?
How does this new knowledge relate to the availability and possible governmental use of fiscal policy tools and their likely macroeconomic impact on the economy as explored in this unit?
Based on what you learned, what action(s), if any, do you think the government, or society, should take?

Answers

Macroeconomics is a branch of economics that deals with the behavior, structure, performance, and decision-making of an economy as a whole, rather than individual markets.

The study of macroeconomics includes different factors such as inflation, economic growth, and the business cycle. Macroeconomics is very important because it affects everyone, and is not just something that is learned from textbooks. In a podcast, I learned about the impact of inflation and deflation on the economy.

When the prices of goods and services increase, it causes inflation. In contrast, deflation occurs when the prices of goods and services decrease. The podcast also discussed the effects of these two phenomena on the economy. Inflation can lead to an increase in the prices of goods and services, while deflation can lead to a decrease in the prices of goods and services.

To know more about Macroeconomics visit:

https://brainly.com/question/28489802

#SPJ11

The traditional economic model includes the Pareto Principle. Discuss the concept of "Pareto Optimality." Include in your response the impact of pareto optimality on social equity. Comment on the authors’ statement that, "Although it may seem desirable to transfer wealth from the rich person to the poor person, doing so will make the rich person worse off. Under the traditional economic model, comment on the author’s statement that competition is designed to improve efficiency; it does not necessarily improve equity. Should health policy be based on the traditional economic model?

Answers

The Pareto Optimality is a concept used in economics that occurs when resources are allocated to their most efficient use, which implies that a change in allocation, where at least one person is better off, would also imply that at least one person is worse off, and therefore no further gains from trade can be achieved.

The concept is derived from the Pareto Principle, named after Italian economist Vilfredo Pareto, which states that for many events, roughly 80% of the effects come from 20% of the causes. Impact of Pareto Optimality on social equity: The impact of Pareto Optimality on social equity is a topic of debate among economists.

While some argue that it leads to a more efficient allocation of resources, others contend that it can exacerbate income inequality and lead to social injustice.

To know more about Optimality visit:

https://brainly.com/question/28587689

#SPJ11

A lawsuit brought by shareholders against the directors of a corporation under the common law is called a derivative action because: A. the right to sue is derived fram or based on the harm to the corporation B. the right to sue is granted exclusively by statute; C. there is no such thing as a derivative action Membership in a union: A. guarantees employment in a given field 8. takes away a worker's common law contractual remedies against an employer C. guarantees a worker to be paid a statutory minimum wage Constructive dismissal occurs when: A. an employee quits his or her employment prior to the expiry of the statutory notice period B. an employer terminates the employment of an employoe without giving proper notice C. an employee's job description is altered by an employer to such a degree that it is considered a ditterent job considered a different job An employee's obligation to mitigate his or her damages in an action for wrongful dismissal obliges him or her to: a) : b) c) A. take all reasonable steps to obtain new employment B. attempt to resolve the differences between the employee and employer in a reasonable manner; - C. take extroordinary steps to obtain new employment In a lawsuit for wrongful dismissal, the usual remedy sought is compensatory damages in the amount of salary owed: A. for a notice period held by the court to be reasonable in the circumstances B. for the applicable minimum statutory notice poriod C. for the applicable minimum statutory notice period in addition to punitive damagos

Answers

A derivative action is a lawsuit brought by shareholders against the directors of a corporation under the common law. The reason for its naming is that the right to sue is derived from or based on the harm to the corporation.

Membership in a union does not derivative employment in a given field but it guarantees a worker to be paid a statutory minimum wage and does not take away a worker's common law contractual remedies against an employer. A constructive dismissal occurs when an employee's job description is altered by an employer to such a degree that it is considered a different job.

To know more about derivative visit:

https://brainly.com/question/29144258

#SPJ11

Toying With Nature wants to take advantage of children's fascination with dinosaurs by adding several scale-model dinosaurs to its existing product line. Annual sales of the dinosaurs are estimated at 80,000 units at a price of $6 per unit. Variable manufacturing costs are estimated at $2.50 per unit, incremental fixed manufacturing costs (excluding depreciation) at $46,000 annually, and additional selling and general expenses related to the dinosaurs at $60,000 annually. To manufacture the dinosaurs, the company must invest $350,000 in design molds and special equipment. Since toy fads wane in popularity rather quickly, Toying With Nature anticipates the special equipment will have a three-year service life with only $2000 salvage value. Depreciation will be computed on a straight-line basis. All revenue and expenses other than depreciation we received or paid in cash. The company's combined federal and state income tax rate is 40 percent. Required: a. Prepare a schedule showing the estimated increase in annual net income from the planned manufacture and sale of dinosaur toys. b. Compute the annual net cash flows expected from this project. c. Compute the following. Assume discounted at an annual rate of 15 percent. Use 26 where necesary

Answers

We can deduce here that the discounted cash flows for each year are approximately $78,600, $68,173, and $58,999, respectively.

How we arrived at the solution?

a. Schedule showing the estimated increase in annual net income:

Annual Sales Revenue:

Units Sold: 80,000 units

Price per Unit: $6

Total Sales Revenue: 80,000 units × $6 = $480,000

Variable Manufacturing Costs:

Units Sold: 80,000 units

Variable Cost per Unit: $2.50

Total Variable Manufacturing Costs: 80,000 units × $2.50 = $200,000

Incremental Fixed Manufacturing Costs: $46,000

Additional Selling and General Expenses: $60,000

Depreciation:

Initial Investment in Equipment: $350,000

Salvage Value: $2,000

Depreciable Cost: $350,000 - $2,000 = $348,000

Depreciation Expense per year: $348,000 / 3 years = $116,000

Income Before Taxes:

Sales Revenue: $480,000

Variable Manufacturing Costs: ($200,000)

Incremental Fixed Manufacturing Costs: ($46,000)

Additional Selling and General Expenses: ($60,000)

Depreciation Expense: ($116,000)

Income Before Taxes: $58,000

Income Taxes (40% tax rate): $58,000 × 0.40 = $23,200

Net Income:

Income Before Taxes: $58,000

Income Taxes: ($23,200)

Net Income: $34,800

b. Annual net cash flows expected from the project:

Net Income: $34,800

Depreciation Expense: $116,000

Net Cash Flows Before Taxes: $34,800 + $116,000 = $150,800

Income Taxes (40% tax rate): $150,800 × 0.40 = $60,320

Net Cash Flows After Taxes: $150,800 - $60,320 = $90,480

c. Cash flows discounted at an annual rate of 15%:

Year 1: $90,480 / (1 + 0.15) = $78,600

Year 2: $90,480 / (1 + 0.15)² = $68,173

Year 3: $90,480 / (1 + 0.15)³ = $58,999

Learn more about cash flows on https://brainly.com/question/735261

#SPJ4

What will a corrective tax equal to the external cost imposed on polluters result in? It will increase the level of pollution. It will force polluters to internalize the external cost resulting from their actions, It will eliminate all pollution. It will usually have NO impact whatsoever on pollution levels, but will generate tax revenue for the government. Question 9 Which of the following policies is most likely to alleviate relative poverty in Canada? a progressive income tax system price and wage controls pay equity legislation sales tax Question 10 Under which of the following conditions will the labour supply curve shift to the right? when, on average, people retire earlier when nonlabour income increases other things being equal, when workers are willing to supply fewer hours of labour each week when new workers enter the labour market

Answers

Corrective taxes, also known as Pigovian taxes, are typically used to reduce negative externalities.

Polluters who generate pollution are subject to these types of taxes. The result of a corrective tax equivalent to the external cost imposed on polluters is: it will force polluters to internalize the external cost resulting from their actions.

A corrective tax is imposed on these polluters as a result of this action, forcing them to pay a price equivalent to the negative externalities they are creating. This encourages them to reduce their pollution emissions to minimize their tax liability.

The progressive income tax system is one of the best ways to reduce poverty and redistribute wealth. This is because it taxes those who earn higher incomes at a higher rate, allowing the government to redistribute wealth to those in need. As a result, the progressive income tax system is the most effective method for addressing relative poverty in Canada.The labor supply curve will shift to the right when new workers enter the labor market.

The supply of labor increases when more individuals enter the labor market. The labor market will shift to the right as a result of this. This leads to a higher quantity of labor being supplied at a lower wage rate. Therefore, the labor supply curve will shift to the right when new workers enter the labor market.

Know more about the Corrective taxes,

https://brainly.com/question/23836673

#SPJ11

You are studying the market for a particular new smartphone. You notice that several changes are happening in the market at the same time. The company that makes the smartphones has just opened a production plant in Malaysia where the cost of labor is lower than it is in the UK. The company has also switched to using a more cost-effective material for the outer shell of the phone. In addition, a new advertising campaign for the phone has gone viral, and now everybody wants this phone. What do you expect will happen to the equilibrium price and the equilibrium quantity? Explain your answer using a graph.

Answers

The opening of a production plant in Malaysia, the use of a more cost-effective material for the outer shell of the phone and a new advertising campaign going viral will affect the equilibrium price and the equilibrium quantity of the new smartphone as follows:

When a company is able to lower its production costs, it usually lowers the price of the product to appeal to more buyers, thereby increasing the equilibrium quantity demanded. The shift in the supply curve is to the right, leading to a decrease in the equilibrium price and an increase in the equilibrium quantity.

The viral advertising campaign, on the other hand, shifted the demand curve to the right from D1 to D2. The new equilibrium is at point C, where the equilibrium price is P3, and the equilibrium quantity is Q3. This indicates that the price has increased, while the quantity demanded has increased further.

To know more about production visit:

https://brainly.com/question/30333196

#SPJ11

1. Think of examples of advertisements you have seen that have used anthropomorphism to sell products. 2. How did you react to such advertisements? 3. What is your opinion on how effective these advertisements were in capturing your attention?

Answers

Anthropomorphism is a technique used in advertising where animals, objects, or concepts are given human-like qualities to appeal to consumers. This technique is commonly used to make consumers feel more connected to the product and to establish a more emotional connection.

Examples of advertisements that have used anthropomorphism to sell products are Geico’s gecko and Aflac’s duck, where they have given animal characters human-like qualities. The M&M's campaign is also an example where the candies have been given human-like personalities and characteristics.

When it comes to the effectiveness of such advertisements, it can be said that they have a considerable impact on consumers. Anthropomorphism is a powerful tool as it appeals to the emotions of consumers and establishes a more personal connection with them. When consumers feel connected to a product, they are more likely to choose it over others.

As for how I reacted to such advertisements, I have found them to be entertaining and amusing. In some cases, they have even encouraged me to try the product or service being advertised. Overall, I believe that anthropomorphic advertisements are effective in capturing attention and establishing an emotional connection with consumers.

To know more about advertising visit:

https://brainly.com/question/32251098

#SPJ11

1. Internal controls are designed to:
Select one:
a. prevent and detect fraud and error
b. all of the choices
c. safeguard assets against loss, misuse and theft
d. align managers and employees with th

Answers

b. each and every option. Internal controls are intended to achieve a variety of goals, such as preventing and identifying fraud and error, protecting assets from theft, loss, and misuse, and coordinating management and staff with the organization's objectives.

They offer a methodical strategy to reduce risks, guarantee the accuracy and dependability of financial reporting, foster operational efficiency, and adhere to relevant legal and regulatory requirements. Companies can improve accountability, integrity, and openness in their business processes by putting in place strong internal controls. This improves decision-making efficiency, resource protection, and overall organisational success.

learn more about management here:

https://brainly.com/question/32216947

#SPJ11

A company has a beginning inventory of 10 units at $50. Every week for four weeks an additional 10 units are purchased at respective cost of $51,$52,$55, and $60. Thirty eight units were sold for $72 each . The total cost of goods sold that were available for sale would be: a. $2,680 b. $1,010 c. $2,736 d. $2,280 e. $2,180

Answers

To calculate the total cost of goods sold, we need to determine the cost of the units sold. Therefore, the correct option is not listed among the given choices.

First, let's calculate the cost of the units purchased:

Week 1: 10 units at $51 each = $510

Week 2: 10 units at $52 each = $520

Week 3: 10 units at $55 each = $550

Week 4: 10 units at $60 each = $600

The total cost of the purchased units is $510 + $520 + $550 + $600 = $2,180.

Next, let's calculate the cost of the units sold:

38 units were sold, so we need to identify the cost of the first 10 units purchased, the cost of the next 10 units purchased, and the cost of the remaining 18 units purchased.

The first 10 units purchased have a cost of $51 each, so the cost of these units is 10 units * $51 = $510.

The next 10 units purchased have a cost of $52 each, so the cost of these units is 10 units * $52 = $520.

The remaining 18 units purchased have a cost of $55 each, so the cost of these units is 18 units * $55 = $990.

The total cost of the units sold is $510 + $520 + $990 = $2,020.

Finally, we can calculate the total cost of goods sold:

Beginning inventory: 10 units at $50 each = $500

Cost of purchased units: $2,180

Cost of units sold: $2,020

Total cost of goods sold = Beginning inventory + Cost of purchased units - Cost of units sold

Total cost of goods sold = $500 + $2,180 - $2,020 = $660.

Learn more about the units  here:

https://brainly.com/question/15710994

#SPJ11

Over the past 15 to 20 years, more and more companies in the US and other developed economies have turned to domestic and global outsourcing to reduce the cost of producing their products.
Companies are now finding that outsourcing offers the potential for much more than cost savings—it offers the opportunity for transformative change.
Your post should begin with a title indicating your the food and beverage industry, good or service, and should include section headings indicating when you are moving from answering one question to the next.
Linder's article on transformative outsourcing and the Deloitte Survey,
You must draw a distinction between traditional and transformative outsourcing.
Additional research will add to the strength of your answer
1. Summarize the 4 types of transformational outsourcing identified in the Linder article in no more than 4 sentences each regarding the food and beverage industry.
2. The Deloitte presentation identifies the top benefits of using global business services (GBS), ie outsourcing, as well as the top enablers of these benefits. LIST the top 3 benefits and top 3 enablers as identified by Deloitte's survey.
3. In which of these ways is outsourcing being used (or might it be used) in your industry/company or the one you are studying in this course?
-Categorize the above as traditional or transformational outsourcing, and briefly explain your choice.
-If it is transformational, which of the categories of 'Transformational Outsourcing' best fits your organization's use of outsourcing?
4. What are (or could be) the key benefits to your company or industry from outsourcing?
-How do these compare to those identified in the Deloitte survey as the most frequently cited benefits by companies?
5. Do you see changes in the remote workplace induced by the COVID-19 re-shaping your industry or company's use of outsourcing and if so, how?

Answers

Title, Transformative Outsourcing in the Food and Beverage Industry, Introduction.
Over the past 15 to 20 years, more and more companies in the US and other developed economies have turned to domestic and global outsourcing to reduce the cost of producing their products.

Companies are now finding that outsourcing offers the potential for much more than cost savings—it offers the opportunity for transformative change. Linder's article on transformative outsourcing and the Deloitte Survey.
Traditional outsourcing is a strategic tool for reducing costs, but it often fails to offer sustainable competitive advantage.

According to Linder's article, transformative outsourcing offers a much broader scope of benefits, including innovation, risk-sharing, increased flexibility, and enhanced competitive advantage. Deloitte's survey identifies the top benefits of using global business services (GBS), i.e., outsourcing, as well as the top enablers of these benefits.
To know more about Transformative visit:

https://brainly.com/question/13801312

#SPJ11

L’Oréal designs its shampoo products to correspond to offset whether a customer has dry, normal, or oily hair. This is an example of _____________ segmentation.
A.
Geographic
B.
Psychographic
C.
Demographic
D.
Behavioural

Answers

L’Oréal designs its shampoo products to correspond to offset whether a customer has dry, normal, or oily hair. This is an example of _____________ segmentation. The correct answer is C. Demographic segmentation.

Answer: L'Oreal is one of the world's biggest makeup and haircare brands. L'Oreal, like all other businesses, requires a well-planned and well-executed marketing strategy to remain successful. Market segmentation is one of the most important aspects of this approach. Demographic, geographic, behavioral, and psychographic are the four primary types of segmentation. Demographic segmentation is the most popular type of segmentation.

L'Oreal designs its shampoo products to correspond to offset whether a customer has dry, normal, or oily hair. This is an example of demographic segmentation, which is a type of market segmentation that divides the market into groups based on variables such as age, gender, income, and education.

Demographic segmentation makes it easier for companies to tailor their marketing campaigns to specific groups of consumers with comparable characteristics. By dividing the market into segments, L'Oreal will concentrate on its target market, which is the section of the market that is most likely to buy its products.

For instance, L'Oreal will be able to concentrate on a specific demographic of people (those with dry, normal, or oily hair) to create and market haircare products that will cater to their specific hair type. The marketing team of L'Oreal, by knowing which demographic to target, can promote the benefits of L'Oreal's hair products that will appeal to that specific demographic.

This type of targeting results in a more effective and efficient marketing campaign that can help a business achieve its sales goals.

To know more about customer visit:

https://brainly.com/question/31192428

#SPJ11

In the context of Roseff (1982) company's average dividends to net income ratio is found to be
A. Negatively related to its anticipated future growth of its stock returns.
B. Negatively related to proportion of company's institutional ownership.
C. Negatively related to the ownership diversification.
D. Negatively related to the systematic risk ofits stock stock

Answers

Roseff (1982) found that a company's average dividends to net income ratio is negatively related to the anticipated future growth of its stock returns. Therefore, option A is the correct answer.

What is the reason?

Option A is correct as Roseff (1982) found that a company's average dividends to net income ratio is negatively related to the anticipated future growth of its stock returns.

This is mainly because companies with high growth prospects tend to reinvest most of their profits back into the business instead of paying dividends to shareholders.

This leads to a lower dividend payout ratio and, consequently, a lower dividends to net income ratio.

The other options, B, C, and D, are not supported by Roseff's findings.

Institutional ownership, ownership diversification, and systematic risk are not directly related to the average dividends to net income ratio.

Hence, option a. is correct.

To know more on dividends visit:

https://brainly.com/question/30030205

#SPJ11

Which of the following best characterizes where a competitive firm would set the wage for its workers?
1. Below the intersection of the marginal revenue product of labor and supply curve
2. Where the marginal revenue product of labor intersects the labor supply curve
3. Where the marginal factor cost of labor intersects the supply curve
4. Above the intersection of the marginal factor cost of labor and the supply curve.
5. None of the above

Answers

The best option that characterizes where a competitive firm would set the wage for its workers is where the marginal revenue product of labor intersects the labor supply curve.

Marginal revenue product (MRP) is the extra revenue obtained from using an extra worker, that is, the additional revenue obtained when a company hires one more worker.

It's calculated as MRP = (change in total revenue / change in labor input).

In the short term, a competitive firm can hire as many workers as it wants at the going market wage because labor is a competitive commodity.

A market is defined as competitive if both buyers and sellers have equal bargaining power.

A competitive market is characterized by the existence of many small companies competing against each other.

Because labor is a competitive market, the firm can pay its employees the market wage because there are many people willing to work at that wage.

If a company pays its employees a wage higher than the market wage, it will not be able to generate profits, whereas if it pays a wage lower than the market wage, it will lose out on potential employees.

So, a competitive firm would set the wage for its workers where the marginal revenue product of labor intersects the labor supply curve. This is the point at which the demand for labor equals the supply of labor and the company can achieve maximum profits.

To know more about company visit:

https://brainly.com/question/30532251

#SPJ11

On January 1,2022 , Blue Corporation issued $1,830,000 face value, 5%,10 - year bonds at $1,695,310. This price resulted in an effective-interest rate of 6% on the bonds. Blue uses the effective-interest method to amortize bond premium or discount. The bonds pay annual interest January 1 Your answer is correct. Prepare the journal entry to record the issuance of the bonds on January 1, 2022. (Round answers to 0 decimal places, e.g. 125. Credit account titles are automatically indented when amount is entered. Do not indent manually.) Attempts: 1 of 3 used Prepare the journal entry to record the accrual of interest and the amortization of the discount on December 31, 2022. (Round answers to 0 decimal places, e.g. 125. Credit account titles are automatically indented when amount is entered. Do not indent manually.) Attempts: 0 of 3 used

Answers

Journal entry to record the issuance of the bonds on January 1, 2022: Account Titles Debit Credit Cash$1,695,310. Bond Premium$165,690. Bonds Payable$1,830,000.

Explanation: The journal entry is required to record the issuance of the bonds on January 1, 2022. The market value of the bond is calculated using the effective-interest rate of 6 percent. The bonds are issued at $1,695,310, resulting in a premium of $165,690 ($1,830,000 − $1,695,310).

The entry debits cash and bond premium and credits bonds payable for the face value of the bonds plus the bond premium. To record the issuance of bonds, the following journal entry is made: On January 1, 2022, the company issued $1,830,000 in bonds at a price of $1,695,310.

As a result, the bond premium is $165,690, which is calculated as follows: $1,830,000 - $1,695,310 = $134,690.The journal entry for the issuance of the bonds is as follows: Cash$1,695,310.00 Bond premium$165,690.00 Bonds payable$1,830,000.00

To record the bond issuance, the company credits the cash account for the amount received and debits the bond premium account for the premium amount. Finally, it credits the bonds payable account for the face value of the bonds and the premium.

To know more about issuance visit:

https://brainly.com/question/32104787

#SPJ11

Assume a merchandising company's estimated sales for January, February, and March are $108,000, $128.000, and $118.000, respectively. Its cost of goods sold is always 60% of its sales. The company always maintains ending merchandise Inventory equal to 25% of next month's cost of goods sold. What are the required merchandise purchases for January? Multiple Choice $79.000 $67800 $61,800 0 $7600

Answers

We must calculate the cost of goods sold for January and deduct the starting inventory to arrive at the necessary additional merchandise purchases for the month.

The cost of products sold is always 60% of sales, therefore given that January's expected sales are $108,000, $108,000 * 0.60 equals $64,800.We must determine 25% of the cost of products sold for February in order to determine the beginning inventory for that month, which comes out to $128,000 * 0.60 * 0.25 = $19,200. The necessary goods purchases for January are determined by deducting the initial inventory from the cost of products sold: $64,800 - $19,200 = $45,600. All of the available options are therefore incorrect. The right response for the necessary January retail purchases is $45,600.

learn more about purchases here:

https://brainly.com/question/31832768

#SPJ11

if the fed fears an economic downturn, it would be most likely to

Answers

If the Federal Reserve (Fed) fears an economic downturn, it would be most likely to implement expansionary monetary policy measures.

Here are some actions the Fed might take in response to an economic downturn:

Lowering interest rates: By reducing interest rates, the Fed encourages borrowing and spending, which stimulates investment and consumption.

Quantitative easing (QE): In extreme cases, the Fed may implement quantitative easing.

Adjusting reserve requirements: The Fed can lower reserve requirements, which are the funds that banks are legally required to hold in reserves. This increases the amount of money banks can lend, encouraging lending and investment.

Forward guidance: The Fed can provide forward guidance by signaling its commitment to keeping interest rates low for an extended period.

These measures aim to stimulate economic growth, increase lending and investment, and restore confidence in the economy.

To learn more about Federal Reserve

https://brainly.com/question/25817380

#SPJ11

This question has two parts For this question, you will be asked to graphically capture the impact of an event on economic growth. Once you have completed the graph, you will be required to upload the image. Draw your graph using an online sketch cite (e.g. https://sketch.io/sketchpad/ ) or offline with a plan to scan and upload. Your mark will based on the graph submitted. Consider the economy at the steady state according to the Solow growth model. a. Graphically depict the steady state for the economy. Your graph should indicate the steady state values of k,y,c, and i. Be sure to label the axes, all lines, and steady state values for k,y,c, and i. (1 mark) b. Suppose that depreciation d decreases. Capture the impact this has on the steady state on your graph. Be sure the direction of change is clear using arrows and/or labels. (2 marks).

Answers

a. Graphically depicting the steady state for the economy: Label the x-axis as "Capital per worker (k)" and the y-axis as "Output per worker (y)."

Draw a 45-degree line starting from the origin (0,0) to represent the relationship between capital and output per worker.

Indicate the steady state by drawing a vertical line from the intersection of the 45-degree line and the production function curve. Label this point as "kss" and "yss" to represent the steady state values of capital and output per worker.

Draw another line parallel to the x-axis to represent the constant consumption per worker (c) in the steady state. Label this line as "c" and indicate its value at the steady state.

Draw a line parallel to the y-axis to represent the constant investment per worker (i) in the steady state. Label this line as "i" and indicate its value at the steady state.

b. To capture the impact of a decrease in depreciation (d) on the steady state:

Adjust the production function curve upward to reflect the higher steady state output per worker due to decreased depreciation.

Draw arrows or labels to indicate the direction of change, showing that the steady state values of capital per worker (k), output per worker (y), consumption per worker (c), and investment per worker (i) have increased due to the decrease in depreciation.

Remember to use appropriate scales, label all lines and axes, and clearly indicate the changes in the steady state values and their direction.

Learn more about production function here:

https://brainly.com/question/32931459

#SPJ11

fog corporation sells $5,000 goods on account. salaries expense was $3,000. sales returns were $100, and sales discounts were $300. net sales were

Answers

Net sales represents revenue generated by a company after accounting for sales returns and sales discounts. In the given scenario, Fog Corporation had total sales of $5,000. However, they also had sales returns amounting to $100 and sales discounts of $300.

Sales returns refer to merchandise that customers have returned to the company for various reasons, such as defects or dissatisfaction. Sales discounts, on the other hand, are reductions in the selling price offered to customers as an incentive for early payment or other reasons.

To calculate the net sales, we subtract the sales returns and sales discounts from the total sales:

$5,000 - $100 - $300 = $4,600

Therefore, the net sales for Fog Corporation would be $4,600. This represents the actual revenue earned by the company from the sale of goods, accounting for any returns and discounts given to customers. It is an important metric for assessing the company's sales performance and determining its overall financial health.

To learn more about Net sales, click here:https://brainly.com/question/29436143  

#SPJ11

(a) What is the depreciation? (b) Suppose that the farm manager purchases a machine for $40,000. The useful life the machine is six years. At the end of the life of the machine, it has a salvage value of $2,000 which he can recover in cash. Compute the annual depreciation of the machine using the straight line method. What would be the value of the machine at the END of the 2nd year? Show your work along with the formula you are using.

Answers

The value of the machine at the end of the second year would be $27,333.34. Depreciation is the allocation of a tangible asset's cost over its useful life. It is used to record the wear and tear or obsolescence of a product over time.

The annual depreciation of the machine can be calculated using the straight-line method, which is as follows:Annual Depreciation = (Cost - Salvage Value) / Useful LifeThe cost of the machine is $40,000, the salvage value is $2,000, and the useful life is six years. Therefore, the annual depreciation can be calculated as follows:Annual Depreciation = ($40,000 - $2,000) / 6= $6,333.33

To calculate the value of the machine at the END of the 2nd year, we first need to calculate the depreciation expense for each of the two years. Depreciation Expense Year 1 = $6,333.33 Depreciation Expense Year 2 = $6,333.33

To calculate the value of the machine at the end of the second year, we subtract the depreciation expense for the two years from the cost of the machine. Cost of the Machine = $40,000 - ($6,333.33 * 2) = $27,333.34. Therefore, the value of the machine at the end of the second year would be $27,333.34.

To know more about Depreciation visit:

https://brainly.com/question/30531944

#SPJ11

Masters machine shop is considering a four-year project to improve its production efficiency. buying a new machine press for $385,000 is estimated to result in $145,000 in annual pretax cost savings. the press falls in the macrs five-year class, and it will have a salvage value at the end of the project of $45,000. the press also requires ana initial investment in spare parts inventory of $20,000, along with an additional $3,100 in inventory for each succeeding year of the project. if the shop’s tax rate is 22 percent and its discount rate is 9 percent, should the company buy and install the machine press?

Answers

Based on the analysis, Masters machine shop should buy and install the machine press. The project is expected to generate positive net present value, indicating that it will provide a return greater than the initial investment.

To determine whether Masters machine shop should buy and install the machine press, we need to evaluate the project's financial feasibility.

Step 1: Calculate the annual cash flows
The annual pretax cost savings from the new machine press is $145,000. To calculate the after-tax cash flows, we need to consider the tax rate of 22%. So, the annual after-tax cash flow is: $145,000 * (1 - 0.22) = $113,100.

The initial investment in spare parts inventory is $20,000. Additionally, there is an annual investment in inventory of $3,100 for each succeeding year. Since the project is four years long, the total investment in inventory over the project's duration is: $20,000 + ($3,100 * 3) = $29,300.

Step 2: Calculate the annual net cash flows
To calculate the annual net cash flows, we subtract the annual investment in inventory from the annual after-tax cost savings: $113,100 - $29,300 = $83,800.

Step 3: Determine the salvage value
The machine press has a salvage value at the end of the project of $45,000.

Step 4: Apply the discounted cash flow analysis
Using the discount rate of 9%, we can calculate the present value of the annual net cash flows and the salvage value. The present value of each year's cash flow is calculated by dividing the cash flow by (1 + discount rate)^year.

Year 1: $83,800 / (1 + 0.09)^1 = $76,972.48
Year 2: $83,800 / (1 + 0.09)^2 = $70,770.92
Year 3: $83,800 / (1 + 0.09)^3 = $64,994.61
Year 4: $83,800 / (1 + 0.09)^4 = $59,623.44
Salvage value: $45,000 / (1 + 0.09)^4 = $35,460.99

Step 5: Calculate the present value of the project
To calculate the present value of the project, we sum up the present values of the cash flows.

Present value of the project = $76,972.48 + $70,770.92 + $64,994.61 + $59,623.44 + $35,460.99 = $307,822.44

Step 6: Compare the present value of the project with the initial investment
The present value of the project ($307,822.44) is higher than the initial investment of $385,000. Therefore, it indicates that the project is financially viable.

In conclusion, based on the analysis, Masters machine shop should buy and install the machine press. The project is expected to generate positive net present value, indicating that it will provide a return greater than the initial investment.

Know more about initial investment  here:

https://brainly.com/question/31635721

#SPJ11

The term "physical distribution" refers to the receipt of
component parts, partially assembled products, or processed goods
into a factory within the supply chain.
True
False
The "sorting function"

Answers

The statement "The term "physical distribution" refers to the receipt of component parts, partially assembled products, or processed goods into a factory within the supply chain" is False. Physical distribution refers to the movement and storage of products and goods from the end of the manufacturing process to the final customer.

It entails all of the actions required to move finished goods from the manufacturer to the customer, including warehousing, order fulfilment, transportation, and product return. A number of components make up the physical distribution of a product, including packing, stock control, transport, and order processing. Physical distribution can either be run in-house by the firm or outsourced to logistics or fulfilment service providers. Similarly, sorting function refers to a logistic operation that sorts, arranges, and separates goods by their destination, shipping method, and other factors. Sorting function assists to make the transportation of products and goods more efficient. Hence, the correct statement is "The "sorting function" is the correct term for the function that sorts, arranges, and separates goods by their destination, shipping method, and other factors."

To know more about physical distribution visit:

https://brainly.com/question/32755114

#SPJ11

unemployment type rate (percent) frictional 3.6 cyclical 0.0 structural 1.1 total unemployment 4.7 true or false: this economy is not currently at its natural rate of unemployment. true false

Answers

The given statement ' this economy is not currently at its natural rate of unemployment.' is False because economy is currently at its natural rate of unemployment.

Based on the given information, the total unemployment rate is 4.7%, which is the sum of frictional and structural unemployment rates. As  there is no cyclical unemployment (0.0%), it conclude that the economy is currently at its natural rate of unemployment. The natural rate of unemployment is the level of unemployment that exists when the economy is at full employment and there is no cyclical unemployment. In this case, the total unemployment rate, which includes both frictional and structural unemployment, equals the natural rate. Therefore, the statement "this economy is not currently at its natural rate of unemployment" is false. The economy is operating at its natural rate of unemployment as there is no cyclical unemployment present.

To know more about unemployment here

https://brainly.com/question/32627858

#SPJ4

Imagine that you have assigned as a knowledge champion in any
company, where will you establish knowledge management strategies ?
and how ?

Answers

management strategies by creating a centralized knowledge repository, implementing knowledge sharing platforms, conducting regular training sessions, and encouraging a culture of continuous learning and knowledge sharing.

In more detail, I would start by creating a centralized knowledge repository where employees can store and access relevant information, documents, and resources. This repository could be in the form of a digital platform or a shared drive. Additionally, I would implement knowledge sharing platforms such as forums, wikis, or collaborative tools to facilitate communication and exchange of ideas among employees. Regular training sessions would be organized to enhance employees' skills and encourage them to share their expertise .Furthermore, fostering a culture of continuous learning and knowledge sharing would be vital. This can be achieved through recognition and rewards for knowledge sharing, establishing mentorship programs, and promoting cross-functional collaboration.

Learn more about cross-functional here:

https://brainly.com/question/33442032

#SPJ11

Other Questions
Getting adequate rest will actually strengthen you in the long run, true of false Find An Equation Of The Line That Satisfies The Given Conditions. Through (1,8); Parallel To The Line X+2y=6 a) Find the first four successive (Picard) approximations of the solutions to y' = 1 + y,y(0) = 0. b) Use separation of variables to solve y' = 1+ y, y(0) = 0 and compare y'(0), y" (0), y"' (0) with y'_4(0), y"_4(0), y"'_4(0) respectively. Background Information Provided by Your Client:The Beach Side Hotel, is a resort hotel is in Cape May, New Jersey. For the hotel, management expects occupancy rates to be 70% in December, January, February and March; 85% in November and April; and 95% the rest of the year. This hotel has 325 rooms and the room rental is $245.00 per night. Of this, on average 10% is received as a deposit the month before the stay, 60% is received in the month of the stay, and 28% is collected the month after. The remaining 2% is never collected and assumed bad debt in the month after as a sales & general admin cost. Most of the costs of running the hotel are fixed. The variable costs are only $55.00 per occupied room, per night. Fixed salaries (including benefits) run $410,000 per month, depreciation is estimated to be $350,000 a month, other fixed costs are $160,000 per month, and interest expense is $575,000 per month. Fixed, variable costs and salaries are paid in the month they are incurred, depreciation is only recorded at the end of each quarter and interest is paid semi-annually each June and December. Financial statements should have proper heading, titles and format for the period they cover. You are making a presentation to a client. Summarize your answers & conclusions for each part in a textbox. The template is just an idea starter.Clients Concern:The client is aware that net income does not equal cash flow and wants to make sure that the business will generate enough cash to meet all of its obligations.Project Part 1:The client wants your accounting firm to prepare a detailed and summarized monthly cash budget for the Beach Side hotel for the entire year. For simplicity, assume that there are 30 days in each month. Make sure you place proper headings and titles on your cash budget. Assume the starting cash balance for January 1 is zero, build the monthly cash table at the bottom using zero as the start, add January activity to get January ending, aka February beginning balance. A flexible budget is a budget prepared for a different level of volume than that which was originally anticipated. true. ROI formula. What is the main difference between a privately held company and a publicly held company? O Privately held companies are started by individuals and public ones are started by the government. O Privately held companies have shares owned by investors while publicly held companies have their shares available to the public on Wall Street. O Privately held companies are owned by citizens, and publicly held ones have shares owned by the government. O Privately held companies are for-profit, while publicly held ones are non-profit. Question 4 1 pts Nonprofit organizations do not aim to make money for shareholders. O True O Fals 2. Suppose you were assigned to write the job description of a mortgage funder for a particular bank in Toronto. Give at least 2 methods with concrete details to collect job analysis data and information. Identify a bank you know in Toronto which has used a similar approach. To determine the level of sales required to achieve a target profitGroup of answer choicesadd target profit to the break-even level of sales.add target profit to budgeted sales.subtract target profit from fixed costs and divide that difference by sales.add target profit to fixed costs and divide that sum by contribution margin%. A coin has probability 0.7 of coming up heads. The coin is flipped 10 times. Let X be the number of heads that come up. Write out P(X=k) for every value of k from 0 to 10 . Approximate each value to five decimal places. Which value of k has the highest probability? Create a calculator that can add, subtract, multiply or divide depending upon the input from the user, using loop and conditional statements. After each round of calculation, ask the user if the program should continue, if ' y ', run your program again; if ' n ', stop and print 'Bye'; otherwise, stop and print 'wrong input'. Given points A(2,1,3),B(1,0,4) and C(2,2,5). (a) Find an equation of the plane passing through the points. (b) Find parametric equation of the line passing through A and B. How many chips are necessary to implement a 4 MBytes memory: 1) using 64Kbit SRAM; 2) using 1Mbit DRAM; 3) 64 KBytes using 64Kbit SRAM and the rest using 1Mbit DRAM. An investment of $1,000 is earning interest at the rate of 3. 8% compounded daily over 3 years. Approximately how much interest is earned on the investment?. P=2l+2w Suppose the length of the rectangle is 2 times the width. Rewrite P in terms of w only. It is not necessary to simplify. Which of the following statements is false? Select one: a. Intra-unit transfers include food items exchanged between departments of a food operation. b. To verfy the price, the receiving clerk compares the invoice price with the quoted price c. Directs purchases are a part of the in wentory uifit they are issued for direct usage in production d. It is the best practice to verify incoming delivery products against purchase specifications T or F: People from Mexico or Egypt would most likely adopt a polychronic orientation toward time. whats the standard for the amount of water used to fill the steam table chipotle Who does Laertes blame for Ophelia's death and how does he respond?. The perimeter of the rectangular playing field is 396 yards. The length of the field is 2 yards less than triple the width. What are the dimensions of the playing field? Find the first and second derivatives of the function. f(x) = x/7x + 2f ' (x) = (Express your answer as a single fraction.)f '' (x) = Express your answer as a single fraction.)