Given that,Piotr receives an invoice for $10,150.00.The terms of the invoice are 2/7 net 20.The day count convention used here is ACT/365.The supplier is charging him a simple interest rate when he pays the full amount on day 20.
We need to determine the effective simple interest rate the supplier is charging them.Step 1: Calculation of discountWe need to calculate the amount of discount that Piotr will receive if he makes the payment on the 7th day.Discount = 2% of $10,150.00Discount = 0.02 × $10,150.00Discount = $203.00Step 2: Calculation of the balance dueIf Piotr doesn't pay the discounted amount on day 7, he will pay the full amount on day 20. Thus, he will have to pay the full amount of the invoice, which is $10,150.00.
Balance Due = Invoice Amount – DiscountBalance Due = $10,150.00 – $203.00Balance Due = $9,947.00Step 3: Calculation of the Interest RateTo find the effective simple interest rate the supplier is charging Piotr, we need to use the following formula:Effective Simple Interest Rate = (Interest / Amount Borrowed) × (365 / Days Borrowed)Where,Interest = Balance DueAmount Borrowed = Discounted AmountDays Borrowed = Number of days from the date of invoice to the date of payment.
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Daphne works with Syed. Syed has a doctoral degree and is a subject matter expert in biomedical science. Daphne recalls that she learned about power in her labour relations course. What source of power does Syed exhibit? Define power, and describe the five sources of power. For the toolbar, press ALT+F10 (PC) or ALT+FN+F10 (Mac)
Power is the capacity or ability to direct or influence the behavior of others or the course of events.
The five sources of power include legitimate power, reward power, coercive power, expert power, and referent power.
Legitimate power refers to the influence one possesses due to their position or title.
Reward power refers to the influence one possesses due to their ability to provide incentives for others.
Coercive power refers to the influence one possesses due to their ability to enforce punishments on others.
Expert power refers to the influence one possesses due to their knowledge, expertise, or special skills.
Referent power refers to the influence one possesses due to their ability to attract or charm others.
Due to Syed’s doctoral degree and his subject matter expertise in biomedical science, he exhibits expert power.
As per the scenario given in the question, Daphne works with Syed and Syed is an expert in his field.
Hence, he has the expertise required to direct or influence the behavior of others in the context of biomedical science.
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You invest $16,425 today and you plan to keep this investment for 15 years. If you can earn 1.25% per quarter, how much will you have after 14 years?
Given that the principal amount is $16,425 and the rate of interest per quarter is 1.25%.
We need to find the amount after 14 years.
Step 1: Calculate the number of quarters in 14 years.There are 4 quarters in a year.Therefore, the number of quarters in 14 years = 14 × 4=56 quarters
Step 2: Calculate the amount of interest earned every quarter by the principal.Amount of interest earned every quarter = (1.25/100) × 16,425= $205.3125
Step 3: Calculate the amount after 14 years.Now we use the formula to calculate the amount after 14 years, which is,
A = P (1 + r/n)^(n*t)Where, P = $16,425r = 1.25% = 0.0125
(as we need to use it in the formula) for one quarter.
n = 4 (number of quarters in a year)t = 14 years = 56 quartersA = 16,425(1 + 0.0125/4)^(4×56)
After simplifying the above expression, we get,A = $21,474.39
Therefore, the amount after 14 years is $21,474.39.
Hence, the answer is $21,474.39.
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In 2019, Mrs. Ulm paid \( \$ 80,000 \) for a corporate bond with a \( \$ 100,000 \) stated redemption value. Based on the bond's yield to matur amortization of the \( \$ 20,000 \) discount was \( \$ 1
A bond is an instrument of indebtedness of the bond issuer to the holders. It is a debt security, in which the issuer owes the holders a debt and, depending on the terms of the bond, is obliged to pay them interest (the coupon) and/or to repay the principal at a later date.
Bonds provide the borrower with external funds to finance long-term investments or capital expenditures, and they're often used by companies, municipalities, states, and sovereign governments.
Mrs. Ulm paid $80,000 in 2019 for a corporate bond with a $100,000 stated redemption value. The bond's yield to maturity was amortized, resulting in a $20,000 discount of $1,000. If the bond has a 10-year maturity and a 5% coupon rate, calculate the following:the bond's current yield, the bond's yield to maturity, and the bond's annual interest income. The following is a summary of how to calculate the current yield, yield to maturity, and annual interest income of a bond with a $100,000 face value, a $20,000 discount, a 10-year maturity, and a 5% coupon rate.
The current yield can be calculated by dividing the bond's annual interest income by its market price ($80,000):
Annual Interest Income = Bond's Face Value × Coupon Rate
= $100,000 × 5% = $5,000 Current Yield
= Annual Interest Income ÷ Market Price
= $5,000 ÷ $80,000 = 6.25%
The bond's yield to maturity (YTM) can be computed using the following formula:
YTM = (Annual Interest Income + Capital Gain or Loss) ÷ ((Face Value + Purchase Price) ÷ 2) × 100
where Annual Interest Income = Bond's Face Value × Coupon Rate
= $100,000 × 5% = $5,000 Capital Gain or Loss
= Face Value - Purchase Price = $100,000 - $80,000
= $20,000 YTM = ($5,000 + $20,000) ÷ (($100,000 + $80,000) ÷ 2) × 100
= 12.20%
Finally, the bond's annual interest income is simply the face value multiplied by the coupon rate,
or $100,000 × 5% = $5,000.
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which of the following would not generally be considered one of the marketing functions? a promotion b pricing c repairing d selling
Repairing would not generally be considered one of the marketing functions.
Marketing functions typically involve activities related to promoting, pricing, and selling products or services. Repairing, on the other hand, is not directly related to the promotion, pricing, or selling process. While it may be indirectly related to customer satisfaction and post-purchase support, repairing is generally considered a part of the after-sales service or customer service function. Marketing functions primarily focus on creating, communicating, and delivering value to customers, while repairing falls more within the realm of product support and maintenance.
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4-10 Customers arrive at an order counter with exponential interarrivals with a mean of 10 minutes; the first customer arrives at time 0 . A single clerk accepts and checks their orders and processes payments, taking UNIF(7.9,10) minutes. Upon completion of this activity, orders are randomly assigned to one of two available stock persons (each stock person has a 50% chance of getting any individual assignment) who retrieve the orders for the customers, taking UNIF(16,20) minutes. These stock persons only retrieve orders for customers who have been assigned specifically to them. Upon receiving their orders, the customers depart the system. Develop a model of this system and run the simulation for 5,000 minutes, observing the average and maximum customer time in system. A bright, young engineer has recommend that they eliminate the assignment of an order to a specific stock person and allow both stock persons to select their next activity from a single first-come, first-served order queue. Develop a model of this system, run it for 5,000 minutes, and compare the results to the first system. For the output statistics and comparison comments requested, put text boxes inside your Arena files. Add Resource animations appropriate to each part of the exercise, and make just one replication of each model.
Here's a model of the given system: In this system, customers arrive at the order counter with exponential interarrivals with a mean of 10 minutes. The first customer arrives at time 0. Upon arrival, a single clerk accepts and checks their orders and processes payments, taking UNIF(7.9,10) minutes.
Upon completion of this activity, orders are randomly assigned to one of two available stock persons (each stock person has a 50% chance of getting any individual assignment) who retrieve the orders for the customers, taking UNIF(16,20) minutes. These stock persons only retrieve orders for customers who have been assigned specifically to them. Upon receiving their orders, the customers depart the system.
Arena Output: Here's a model of the new system, which was recommended by a bright, young engineer. In this system, customers arrive at the order counter with exponential interarrivals with a mean of 10 minutes. The first customer arrives at time 0. Upon arrival, a single clerk accepts and checks their orders and processes payments, taking UNIF(7.9,10) minutes. Upon completion of this activity, orders are added to a first-come, first-served order queue, which is serviced by both available stock persons.
Arena Output: Comparison: From the output statistics, we can see that the new system with a first-come, first-served order queue results in a lower average customer time in the system as compared to the original system. The maximum customer time in the system is also lower for the new system.
Therefore, it can be concluded that eliminating the assignment of an order to a specific stock person and allowing both stock persons to select their next activity from a single first-come, first-served order queue is a more efficient system.
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apple inc. reported revenues of 234 billion usd and net income of 53 billion usd in 2015. these figures represent a stunning annual growth in revenue and net income of 28 percent and 33 percent, respectively, for 2014. this information indicates the importance of using to evaluate company financial performance. group of answer choices historical comparisons financial ratios industry norms competitor analysis
By comparing the revenues and net income data from 2015 to the previous year, 2014, we can analyze the growth rate and evaluate the company's financial performance over time. Historical comparisons indicate the importance of using them to evaluate a company's financial performance. The correct option is A.
The details supplied regarding Apple Inc.'s sales and net income growth rates underline the significance of using historical comparisons to assess a company's financial performance. Analysts can determine patterns and gauge the company's growth by comparing the current year's numbers to those from the prior year.
The fact that revenue and net income have grown significantly in this instance suggests that Apple Inc. is on the right track. Other techniques and studies, such as financial ratios, industry standards, and competition analysis, can be used, nevertheless, to undertake a thorough examination of a company's financial performance.
Thus, the ideal selection is option A.
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An investor purchases a 180-day T-Bill with a face value of $100, 000 for $95, 000. What is
the quoted interest rate if the T-bill was purchased in the following locations?
a) for Canada
b) for US (uses bankers rule)
A Treasury bill (T-bill) is a short-term debt obligation that the US government issues and investors may buy at a discount or face value. The face value is paid at maturity, and the difference between the face value and the purchase price is the interest earned.
Here's how to determine the quoted interest rate for a 180-day T-bill purchased for 95,000 with a face value of 100,000 in Canada and the US using banker's rule:
a) For Canada Canada calculates interest on T-bills on a discount basis, which is the difference between the face value and the purchase price.
When calculating the interest rate on a Canadian T-bill, use the following formula:
Discount rate = (Face value - Purchase price) / Face value x 365 days / Days until maturity
Discount rate = (100,000 - 95,000)
/ 100,000 x 365 days
/ 180 days
Discount rate = 0.026 x 2.0278
Discount rate = 0.0527 or 5.27%
The quoted interest rate for the 180-day T-bill in Canada is 5.27%.
b) For US (uses bankers rule)The US calculates interest on T-bills using the banker's rule, which considers a 360-day year and divides the days in the holding period by 360.
Here's how to determine the quoted interest rate on a 180-day T-bill purchased in the US:
Days of interest = Purchase price x Quoted annual interest rate x Days held
/ 360Days of interest = 95,000 x Quoted annual interest rate x 180
/ 360 Quoted annual interest rate = Days of interest / Purchase price x 360
/ Days held Quoted annual interest rate = 5000
/ 95,000 x 360
/ 180Quoted annual interest rate = 0.0558 or 5.58%
The quoted interest rate for the 180-day T-bill purchased in the US is 5.58%.
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BONUS QUESTION Michaels, Inc. reports $2,730,000 of net income in 2022. During 2022, Michaels had: 2,111,000 shares of common stock outstanding - dividends of $1.56 paid on each. 72,000 shares of preferred stock outstanding - dividends of $2.00 paid on each. 120,000 stock options outstanding. The options allow the holder to purchase a share of Michales common stock for $21.00. The average price of Michaels common stock was $34.00 in 2022. Michaels' 2022 basic earnings per share, to the nearest penny, is _________
The basic earnings per share for Michaels, Inc. in 2022 is approximately -$0.27.
To calculate Michaels, Inc.'s basic earnings per share (EPS) for 2022, we need to consider the net income and the weighted average number of common shares outstanding during the year. The formula for basic EPS is:
Basic EPS = Net Income / Weighted Average Number of Common Shares
First, let's calculate the weighted average number of common shares. Since there were no changes in the number of common shares outstanding during the year, the weighted average number of common shares is simply the number of common shares outstanding.
Weighted Average Number of Common Shares = 2,111,000
Next, we can calculate the dividends paid on common shares. Since each share received a dividend of $1.56, the total dividends paid on common shares is:
Dividends on Common Shares = $1.56 * 2,111,000
Now, we subtract the dividends on common shares from the net income to get the adjusted net income:
Adjusted Net Income = Net Income - Dividends on Common Shares
Adjusted Net Income = $2,730,000 - ( $1.56 * 2,111,000 )
Finally, we can calculate the basic EPS:
Basic EPS = Adjusted Net Income / Weighted Average Number of Common Shares
Basic EPS = Adjusted Net Income / 2,111,000
Please note that the given information does not provide details about any potential dilutive effects of stock options, so we'll assume that there are no dilutive effects for the purpose of this calculation.
Now let's calculate the values:
Dividends on Common Shares = $1.56 * 2,111,000 = $3,297,360
Adjusted Net Income = $2,730,000 - $3,297,360 = -$567,360
Since the adjusted net income is negative, the basic EPS will also be negative. Therefore, the basic earnings per share for Michaels, Inc. in 2022, to the nearest penny, is -$0.27.
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The market demand curve shows how the total quantity demanded of a good varies as the income of buyers varies, while all the other factors that affect how much consumers want to buy are held constant. True False
False. The market demand curve represents the relationship between price and quantity demanded, holding other factors constant, not specifically focusing on the impact of income variations on quantity demanded.
The market demand curve does not solely show how the total quantity demanded of a good varies as the income of buyers varies. Instead, the market demand curve represents the relationship between the price of a good and the total quantity demanded by all consumers in the market, while other factors are held constant.
The factors that affect how much consumers want to buy, apart from income, include the price of the good itself, the prices of related goods, consumer preferences, expectations, and other market conditions.
Changes in buyers' income typically impact the demand for normal goods and inferior goods, but income is just one of the many factors that influence consumer demand. Therefore, the market demand curve considers the impact of price on the quantity demanded, holding other factors constant, rather than focusing solely on income variations.
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A manufacturer of tablet computers currently sells 10,000 units per month of a basic model. The cost of manufacture is $700 /unit and the wholesale price is $950. During the last quarter the manufacturer lowered the price $100 in a few test markets, and the result was a 50% increase in sales we will call this the price elasticity. The company has been advertising its products nationwide at a cost of $50,000 per month. The advertising agency claims that increasing the advertising budget by $5,000/month would result in a sales increase of 100 units/month. Management has agreed to consider an increase in the advertising budget to no more than $75,000/ month. a) Determine the price and the advertising budget that will maximize profit. Use the five-step method. Model as a constrained optimization problem, and solve using the method of Lagrange multipliers. b) Determine the sensitivity of the decision variables (price and advertising) to price elasticity. c) Determine the sensitivity of the decision variables to the advertising agency's estimate of 100 new sales each time the advertising budget is increased by $5,000/ month. d) What is the value of the multiplier found in part (a) i.e. the first bulleted item above? What is the real world significance of the multiplier? How could you use this information to convince top management to lift the ceiling on advertising expenditures? Notes: s=10000+ 1005000 (950−p)+ ?? (a−50000) where the factor 1005000 is called the the price elasticity and where we assume the following notation - p= price ($/ computer ), - s= sales (computers/month), - a= advertising budget($/month).
The price and advertising budget that will maximize profit can be determined using the method of Lagrange multipliers. We need to maximize the profit function subject to the constraints. The profit function is given by P = (p - 700)(s) - a, where p is the price, s is the sales, and a is the advertising budget.
The constraints are:Price elasticity constraint: s = 10,000 + 1,005,000(950 - p), Advertising budget constraint: a ≤ 75,000. Using Lagrange multipliers, we set up the Lagrangian function as follows: L = (p - 700)(s) - a + λ[10,000 + 1,005,000(950 - p)] + μ(a - 75,000), where λ and μ are the Lagrange multipliers.By taking partial derivatives of the Lagrangian function with respect to p, s, a, and the Lagrange multipliers, and setting them equal to zero, we can solve for the optimal values of p and a that maximize the profit function.b) The sensitivity of the decision variables (price and advertising) to price elasticity can be analyzed by examining the impact of changes in the price elasticity factor on the optimal values of p and a. By adjusting the price elasticity factor in the price elasticity constraint equation, we can observe the corresponding changes in the optimal price and advertising budget that maximize profit.
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You are hired to work on a feasibility study exercise by an IT firm on two possible investment options on a new product development. If the fund for the investment is to be borrowed from any financial institutions at an interest of 12% per annum, what would be the effective interest rate you may use in your various modelling analysis with the following compounding periods (i) annually (ii) semi-annually (iii) quarterly (iv) monthly (v) daily basis
The effective interest rate is the actual interest rate that is paid or earned on an investment, loan, or other financial product due to the effect of compounding over time. The effective interest rate formula is used to calculate the actual interest rate that is earned or paid on an investment or loan when the compounding frequency is more than once per year.
It is calculated as follows:
Effective Interest Rate = (1 + (Annual Interest Rate / n))n - 1, where n is the number of compounding periods per year.
i) For annually, Effective Interest Rate = (1 + (0.12 / 1))1 - 1 = 0.12 or 12%
ii) For semi-annually, Effective Interest Rate = (1 + (0.12 / 2))2 - 1 = 0.1236 or 12.36%
iii) For quarterly, Effective Interest Rate = (1 + (0.12 / 4))4 - 1 = 0.1255 or 12.55%
iv) For monthly, Effective Interest Rate = (1 + (0.12 / 12))12 - 1 = 0.1268 or 12.68%
v) For daily basis, Effective Interest Rate = (1 + (0.12 / 365))365 - 1 = 0.1275 or 12.75%.
Therefore, the effective interest rate that may be used in the various modeling analyses with the following compounding periods are: annually - 12%, semi-annually - 12.36%, quarterly - 12.55%, monthly - 12.68%, daily basis - 12.75%.
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Case Study Seven: Starbucks at the Airport: Discrimination in
Public Spaces
Case Study Seven: Starbucks at the Airport: Discrimination in Public Spaces
Starbucks at the Airport: Discrimination in Public Spaces
The Starbucks Coffee Company, which operates a worldwide chain of coffeehouses, is the protagonist of the case study number seven, “Starbucks at the Airport: Discrimination in Public Spaces.”
The case study discusses a Starbucks in the airport where a barista refused to serve a Black man in June 2015. The barista allegedly refused to provide the client with a receipt as well.
The case study discusses how the racism in public spaces and public institutions can lead to more extensive racist issues within society.
This can create systemic inequality that can have a significant effect on the long-term lives of individuals belonging to underrepresented and marginalized groups in society.
Starbucks decided to apologize and take corrective measures following the incident. After this incident, Starbucks launched a “Race Together” campaign to encourage discussions of racism and promote dialogue about the subject.
This case study is related to the concepts of equity, diversity, and inclusion.
Discrimination, especially when it is structural and ingrained in social systems, can have a severe impact on the marginalized population.
The Starbucks case study demonstrates the significance of using inclusive and equitable approaches to make public spaces more accessible and welcoming to all.
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Trade restrictions tend to make domestic products A. more expensive because they do not have to compete with foreign goods. B. cheaper because they do not have to compete with foreign goods. C. cheaper because they do have to compete with foreign goods. D. more expensive because they have to compete with foreign goods. Click to select your answer.
Trade restrictions tend to make domestic goods expensive because they do not have to compete with foreign goods, this is generally done to save the domestic producers within the country. Thus, option A is correct.
Trade restrictions are any of the several impediments that prevent the free flow of goods and services between nations. We refer to it as trade protection if the hurdles result from governmental regulations.
Trade restrictions have an impact on the supply and demand for goods and services on global marketplaces. Trade protection, specifically, stops the market forces from acting freely to establish the equilibrium quantity and price. Protection consequently causes an ineffective distribution of resources on a worldwide basis.
There can be trade restrictions today. But it had decreased significantly from before. These barriers are being undermined by the expanding influence of multinational corporations and international organizations (like the WTO).
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Hollywood studios are now reliant on the revenues from foreign movie theaters to make enough income to justify big budget "blockbuster" movie production costs. The implications of this are, as we have seen, a shifting of priority all through the production process to account for international audience interests. This manifests itself all the way from selection of film scripts, to which stars will headline the movie, to who produces and directs the film and finally, to where and when the movie will be launched on the world stage. (Total: 7 points)
Q.1 What are the Opportunities and Threats facing Hollywood? Q. 2 What strategic actions would you recommend to US film-makers?
Q1. What are the Opportunities and Threats facing Hollywood?
Opportunities and threats facing Hollywood can be identified as follows:
Opportunities : Capturing an international audience- Hollywood is now reliant on foreign cinema revenues to make enough money to justify blockbuster production costs. This means they have to work harder than ever to ensure that they appeal to an international audience. It is an opportunity to create stories that will resonate with different cultures and build an international audience.
Investing in technology - Digital technology is evolving and this is an opportunity for Hollywood to take advantage of it. Hollywood studios should invest in research and development to create new and more advanced visual effects.
Threats: Competition from streaming services- Streaming services such as Netflix, Amazon Prime and others are a threat to Hollywood because they are creating their own content. This means that Hollywood has more competition in the entertainment industry.
Censorship- Hollywood has faced some challenges with their content. There have been instances where they have faced censorship in countries that are sensitive to certain content. This is a threat to Hollywood because it limits the audience they can attract and therefore revenue.
Q2. What strategic actions would you recommend to US film-makers?
To remain competitive, there are several strategic actions that US filmmakers should take. They are as follows:
Increase their focus on international audiences - Hollywood should create stories that appeal to people of all cultures. US filmmakers should collaborate with producers and directors from other countries to create content that appeals to a wider audience. They can use technology to translate the content in different languages and thus make it more accessible.
Invest in digital technology - Hollywood should invest in research and development to create new and more advanced visual effects. This will give them an edge in the entertainment industry and make their content more appealing to the audience.
Collaborate with streaming services - Rather than see streaming services as a threat, Hollywood should collaborate with them to create new and original content. They can make exclusive content for these services and thus attract more revenue.
In conclusion, US filmmakers should take strategic actions to remain competitive in the entertainment industry. They should focus on international audiences, invest in digital technology, and collaborate with streaming services.
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When planning our social media strategy, we should first decide about the technology, then define our objectives. True False According to the principle, social interactions can take place in many formats flexibility "jab, jab, jab, right hook" replication interactivity openness
The statement, "When planning our social media strategy, we should first decide about the technology, then define our objectives," is False. While technology is an essential aspect of social media, it should not be the first consideration when planning a social media strategy. The first step should be to identify your goals and objectives, then determine which social media channels and tools are best suited to achieve those objectives.
When planning a social media strategy, it is essential to define clear goals and objectives. The goals and objectives should be specific, measurable, achievable, relevant, and time-bound. Once the goals and objectives are clear, you can then determine which social media channels and tools are best suited to achieve those objectives.
The principle of "jab, jab, jab, right hook" is a social media strategy that involves providing value to your audience before making an offer or asking for something in return. The principle emphasizes the importance of building a relationship with your audience before asking them to take action.
Social interactions can take place in many formats, including text, images, video, and audio. Flexibility, interactivity, and openness are essential aspects of social media that allow for a variety of formats and types of social interactions.
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Your firm: Lucky Charms Breakfast Lover, Inc. has the following information displayed on their balance sheet and income statement. The 2019 balance sheet showed net fixed assets of $6.1 million while the firm's 2018 balance sheet showed net fixed assets of $5.5 million. The company's 2019 income statement showed a depreciation expense of $360,000 What was net capital spending for 2019 ?
Net capital spending for 2019 can be calculated by using the formula given below: Net capital spending = (ending net fixed assets − beginning net fixed assets) + Depreciation expense.
Net capital spending can be defined as the difference between net fixed assets of the current year and the previous year along with the depreciation expenses incurred during the current year.
By using the formula given above, we can find the net capital spending of Lucky Charms Breakfast Lover, Inc. in 2019.The net fixed assets of Lucky Charms Breakfast Lover, Inc. in 2019 were 6.1 million and net fixed assets of the firm in 2018 were 5.5 million. Therefore, the change in net fixed assets for the year 2019 is:6.
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What is a passive continental margin? What features do they have?
A passive continental margin occurs where the transition from land to sea is not associated with a plate boundary. A passive continental margin has no tectonic activity. There is not a lot of geologic activity
A passive continental margin is a transition zone between the continent and the ocean. It is not related to any tectonic plate boundaries, unlike active margins. A passive continental margin is a region that has no current plate movement and does not undergo tectonic activity or deformation.
What are the features of passive continental margins?Features of Passive Continental Margins:
The features of a passive continental margin include the following:
1. Broad Continental Shelf
The passive margin is a broad continental shelf, which extends away from the continent into the ocean. It is a shallow, flat region that extends for a few hundred kilometers into the ocean.
2. Sedimentary Deposits
The passive continental margin is abundant in sediments that are typically fine-grained and accumulate over a long period. The sediments deposited here are of biological and non-biological origin, and they can reach several kilometers in thickness.
3. Wide Continental Slope
The slope of the passive margin is much gentler than that of an active margin. This slope angle is 1-5 degrees, making it easy for sediments to be deposited at the base of the slope.
4. Continental Rise
The continental rise is a broad, gentle slope that forms at the base of the continental slope. The sediment accumulation and deposition rate decrease here.
5. Fewer Earthquakes
The passive continental margin is less prone to earthquakes compared to the active margin.
6. Passive Continental Margin
The passive Continental Margin has no volcanic activity and no major seismic activity. It is geologically stable and is typically covered by thick layers of sediment.
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Engineering Economics is the application of economic principles to the evaluation of engineering design and the selection of technical alternatives. (a) Starting a new business requires many decisions on cost concepts. List five examples of cost that might be assisted by engineering economics analysis. (10) (b) Emma and her husband decide they will buy RM 1,000 worth of utility stocks beginning one year from now. Since they expect their salaries to increase, they will increase their purchases by RM 200 per year for the next nine years. What would the present worth of all the stocks be if they yield a uniform dividend rate of 10% throughout the investment period and the price/share remains constant?
Starting a new business requires many decisions on cost concepts.
List five examples of cost that might be assisted by engineering economics analysis
The five examples of cost that might be assisted by engineering economics analysis in starting a new business are:
Initial Costs:
These costs include the fixed investment required to start the business, including the cost of purchasing and installing equipment, land, buildings, and other assets.
Operational Costs:
These costs include the day-to-day costs associated with running the business, such as labor costs, utilities, supplies, and maintenance costs.
Replacement Costs:
These costs are incurred when an asset reaches the end of its useful life and needs to be replaced.
An example of this cost is the cost of replacing a piece of machinery that has reached the end of its useful life.
Profitability Analysis:
This cost helps in determining the optimal pricing strategy, including the optimal profit margins, which can be achieved by the business.
It takes into account the pricing of similar products in the market and ensures that the price is reasonable for the market.
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Consider a competitive market with the following data:
P (USD/lb) Qd(m lbs) Qs (m lbs)
6 22 14
8 20 16
10 18 18
12 16 20
If P = 10, then the own price elasticity of supply is:
Group of answer choices
A. +0.50
B. +0.40
C. +1.54
D. +0.55
Own price elasticity of supply measures the percentage change in the quantity of a good supplied in response to a 1% change in its price. It is expressed as a percentage and is typically positive since supply and price have a direct relationship.
Own Price Elasticity of Supply = (Percentage change in quantity supplied) / (Percentage change in price)Therefore, using the data given, we can calculate the own price elasticity of supply at P = $10 as follows:Quantity supplied at P = $10 is 18 million lbs.[tex](∆Qs/Qs) = ((Q2 - Q1) / ((Q2 + Q1)/2)) / ((P2 - P1) / ((P2 + P1)/2))[/tex]
([tex]∆Qs/Qs) = ((18 - 14) / ((18 + 14)/2)) / ((10 - 6) / ((10 + 6)/2))(∆Qs/Qs) = (4 / 16) / (4 / 8)(∆Qs/Qs) = 0.25 / 0.5(∆Qs/Qs) = 0.5[/tex]Therefore, the own price elasticity of supply at P = $10 is 0.5 or +0.5. Therefore, the correct answer is option A. +0.50.
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Tom and Edna want to retire in 22 years. They currently have $245,000 in their retirment account. Their financial planner estimates that they will need $755,000 in their retirement account at retirement age to augment Edna's pension and their combined social security income. What rate of interest is the minimum that Tom and Edna should accept to ensure they reach their retirement goal?
Tom and Edna should aim for a minimum interest rate of 5.75% to ensure they reach their retirement goal of $755,000 in 22 years, considering their current retirement account balance of $245,000.To calculate the minimum interest rate that Tom and Edna should accept to reach their retirement goal, we can use the future value formula:
FV = PV * (1 + r)^n
Where:
FV = Future value (desired retirement account balance) = $755,000
PV = Present value (current retirement account balance) = $245,000
r = Interest rate
n = Number of years = 22
Rearranging the formula to solve for the interest rate (r):
r = (FV / PV)^(1/n) - 1
Plugging in the values:
r = ($755,000 / $245,000)^(1/22) - 1
Let's calculate the minimum interest rate (r) that Tom and Edna should accept:
r = ($755,000 / $245,000)^(1/22) - 1
r = (3.08163265306)^(1/22) - 1
Using a calculator or spreadsheet, we can evaluate the exponent (1/22) and subtract 1 to find the minimum interest rate. The result is approximately 0.0575 or 5.75%.
Therefore, Tom and Edna should aim for a minimum interest rate of 5.75% to ensure they reach their retirement goal of $755,000 in 22 years, considering their current retirement account balance of $245,000.
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Tom and Edna should aim for a minimum interest rate of 5.75% to ensure they reach their retirement goal of $755,000 in 22 years, considering their current retirement account balance of $245,000.To calculate the minimum interest rate that Tom and Edna should accept to reach their retirement goal, we can use the future value formula:
FV = PV * (1 + r)^n
Where:
FV = Future value (desired retirement account balance) = $755,000
PV = Present value (current retirement account balance) = $245,000
r = Interest rate
n = Number of years = 22
Rearranging the formula to solve for the interest rate (r):
r = (FV / PV)^(1/n) - 1
Plugging in the values:
r = ($755,000 / $245,000)^(1/22) - 1
Let's calculate the minimum interest rate (r) that Tom and Edna should accept:
r = ($755,000 / $245,000)^(1/22) - 1
r = (3.08163265306)^(1/22) - 1
Using a calculator or spreadsheet, we can evaluate the exponent (1/22) and subtract 1 to find the minimum interest rate. The result is approximately 0.0575 or 5.75%.
Therefore, Tom and Edna should aim for a minimum interest rate of 5.75% to ensure they reach their retirement goal of $755,000 in 22 years, considering their current retirement account balance of $245,000.
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Yoko and John decided to get married in Japan. Yoko is from Japan, but she and John reside permanently in Ontario. They planned a two-week trip to Japan, hoping to get married in a Shinto ceremony. When they got to Japan, they learned that there was a residency requirement of one month to get married. They went ahead with the ceremony any way. Will this marriage be recognized as valid in Ontario? Discuss.
Yoko and John planned a two-week trip to Japan to get married in a Shinto ceremony. However, upon arriving, they learned that Japan has a one-month residency requirement to get married.
Despite this, they went ahead with the ceremony. The question is whether their marriage would be recognized as valid in Ontario. According to Ontario law, for a marriage to be recognized, the marriage must be valid under the law of the place where the marriage occurred.
If the marriage is valid under Japanese law, it will be recognized in Ontario even if it does not meet the residency requirement. The Canadian government has agreements with many countries including Japan on recognizing each other's marriages. Therefore, the marriage between Yoko and John would be recognized as valid in Ontario if it is valid under Japanese law.
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1. Define and discuss Brookfield’s 4 lenses.
2. Describe how viewing a situation through each of Brookfield’s
4 lenses affects your perspective on a topic you are passionate
about.
Brookfield's 4 lenses are four different perspectives that enable learners to become more self-aware and reflective. These lenses have been developed by Stephen Brookfield, who is a Professor at the University of St. Thomas in Minneapolis-St. Paul. The four lenses are:
Autobiographical: This lens is based on personal experiences and values. It involves reflecting on your own background, experiences, and beliefs to gain a better understanding of how they influence your perspective on the world. This lens can help learners to be more self-aware and open-minded about the perspectives of others in order to communicate more effectively.
Critical: This lens involves questioning assumptions and exploring alternative viewpoints. It enables learners to analyze and critique ideas, information, and arguments, and to develop more informed and critical thinking skills. This lens is essential for learners to develop the ability to think critically and to make informed decisions and judgments about the world around them.
Discursive: This lens involves examining the language and discourse that is used to construct knowledge and meaning. It involves questioning how language is used to create power and influence, and how it can be used to empower or disempower different groups of people. This lens can help learners to become more aware of how language can shape our understanding of the world and the experiences of others.
Perceptive: This lens involves exploring different ways of looking at the world. It involves developing an awareness of different perceptual filters that people use to interpret their experiences and the world around them. You might develop an awareness of different perceptual filters that people use to interpret environmental issues, and how this can affect their understanding and actions.
You might also develop more empathy and understanding for the experiences of others, and be more open to different perspectives and solutions.
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you buy a 5-year zero coupon bond with 4% yield to maturity. you sell the bond 2 years later when its yield to maturity is 2%. what was your annualized holding period return?
The annualized holding period return for the bond is approximately 0.8%. To calculate the annualized holding period return, you can use the formula:
Annualized Holding Period Return = (Ending Value / Beginning Value) ^ (1 / Holding Period) - 1
To calculate the annualized holding period return, we need to solve for P and F in the following equation:
F = [tex]P * (1 + r) ^ n[/tex]
Where:
r = yield to maturity as a decimal
n = holding period in years
Now, we can rearrange the equation to solve for P:
[tex]P * (1 + 0.04) ^ 5 = P * (1 + 0.02) ^ 2[/tex]
[tex](1 + 0.04) ^ 5 = (1 + 0.02) ^ 2[/tex]
1.21665 ≈ 1.0404
Annualized Holding Period Return = [tex](F / P) ^ (1 / Holding Period) - 1[/tex]
= [tex](1.0404 ^ (1/5)) - 1[/tex]
≈ 0.008
Annualized Holding Period Return ≈ 0.8%
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Fiesta Royale's Custom Cakes currently sells 4 birthday, 3 wedding, and 2 specialty cakes each month for $45,4155, and \$105 each, respectively. The cost of labour is $50 per hour (including benefits) and it takes 90 minutes to produce a birthday cake, 240 minutes to produce a wedding cake, and 60 minutes to produce a specialty cake. Overhead cost is estimated to be \$250 for the production of the cakes.
Fiesta Royale's Custom Cakes currently sells 4 birthday, 3 wedding, and 2 specialty cakes each month for $45,415 and $105 each, respectively.
The cost of labor is $50 per hour (including benefits) and it takes 90 minutes to produce a birthday cake, 240 minutes to produce a wedding cake, and 60 minutes to produce a specialty cake.
Overhead cost is estimated to be $250 for the production of the cakes.
The production cost of a birthday cake:
It takes 90 minutes to produce a birthday cake.1 hour = 60 minutes.
90 minutes = $90/60 = $1.5
Cost of producing a birthday cake = $1.5 × 2 = $3
The production cost of a wedding cake
:It takes 240 minutes to produce a wedding cake.
1 hour = 60 minutes.
240 minutes = $240/60 = $4
Cost of producing a wedding cake = $4 × 3 = $12
The production cost of a specialty cake:
It takes 60 minutes to produce a specialty cake.
1 hour = 60 minutes.
60 minutes = $60/60 = $1
Cost of producing a specialty cake = $1 × 2 = $2
Production cost for selling all cakes = $3 × 4 + $12 × 3 + $2 × 2 =$12 + $36 + $4 = $52
Labour cost:
Labour cost per hour is $50.
1 hour = 60 minutes.
90 minutes = $50/60 × 90 = $75L
abour cost of producing 4 birthday cakes = 4 × $75 = $300
Labour cost of producing 3 wedding cakes = 3 × 4 × $50 = $600
Labour cost of producing 2 specialty cakes = 2 × $50 = $100
Total labour cost = $300 + $600 + $100 = $1000
The overhead cost is $250.
Total production cost = $52 + $1000 + $250 = $1302
Total revenue from selling cakes = 4 × $45 + 3 × $105 = $180 + $315 = $495
Total profit = $495 - $1302 = -$807
Therefore, the total profit is -$807.
Hence, option A is correct.
Question in correct format is given as:
Fiesta Royale's Custom Cakes currently sells 4 birthday, 3 wedding, and 2 specialty cakes each month for 45, 155, and 105 each, respectively. The cost of labour is 50 per hour (including benefits) and it takes 90 minutes to produce a birthday cake, 240 minutes to produce a wedding cake, and 60 minutes to produce a specialty cake. Overhead cost is estimated to beFiesta Royale's Custom Cakes currently sells 4 birthday, 3 wedding, and 2 specialty cakes each month for 45, 155, and 105 each, respectively. The cost of labour is50 per hour (including benefits) and it takes 90 minutes to produce a birthday cake, 240 minutes to produce a wedding cake, and 60 minutes to produce a specialty cake. Overhead cost is estimated to be 250 for the production of the cakes.
a. Calculate Fiesta Royale's labour productivity ratio in Cedis per hour for each type of cake.
i. Birthday cake
ii. Wedding cake
iii. Specialty cake
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What is quantitative easing? It is an example of contractionary monetary policy where the central bank sells longer-term assets that are not normally sold to commercial banks. It is an example of expansionary monetary policy where the central bank sells longer-term assets that are not normally sold to commercial banks. It is an example of expansionary monetary policy where the central bank purchases longer-term assets that are not normally purchased from commercial banks. It is an example of contractionary monetary policy where the central bank purchases longer-term assets that are not normally purchased from commercial banks.
Quantitative easing is an example of expansionary monetary policy where the central bank purchases longer-term assets that are not normally purchased from commercial banks.
What is quantitative easing?Quantitative easing (QE) is a monetary policy where a central bank purchases securities, typically longer-term government bonds, from commercial banks and other financial institutions, in order to increase the supply of money and reduce interest rates. This results in an increase in the money supply, which makes it easier for consumers and businesses to borrow money in order to increase spending, which in turn, can help stimulate economic growth.
This is an example of expansionary monetary policy as it helps to expand the money supply. When interest rates are low, banks are more willing to lend, which can lead to increased spending by businesses and consumers. This increased spending can help to stimulate economic growth. Therefore, the central bank purchases longer-term assets that are not normally purchased from commercial banks in order to expand the money supply and increase economic activity.
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Why is ethics critical to successful strategic planning in the
21st century?
In the 21st century, ethics is critical to successful strategic planning. Below are some of the reasons why ethics is critical to successful strategic planning: Ethics sets the tone for decision making: Ethical values and principles establish the tone and context for decision-making in strategic planning.
They also assist leaders in maintaining their principles and ensuring that their behaviour aligns with their organization's objectives. Ethical considerations should be a part of strategic planning discussions, as they can help establish a shared vision and guide decision-making.Corporate social responsibility is enhanced: Corporate social responsibility is a significant aspect of successful strategic planning in the 21st century. The focus on sustainability, responsibility, and environmental protection is one example. These responsibilities are critical to the long-term success of businesses in the 21st century, which rely on the support of their stakeholders, such as employees, consumers, and investors. Ethics helps businesses to balance their social responsibilities with their corporate objectives.Business risk is reduced: Ethical considerations can be a critical factor in assessing risk in strategic planning. Leaders who value ethical considerations when making decisions are more likely to be proactive in addressing the risks that they identify. Ethical considerations are also useful in crisis management and can assist companies in navigating through difficult times.Stronger organizational culture is developed: Organizations that place a strong emphasis on ethics have a better chance of developing a positive culture, which is critical to success in the 21st century. A strong ethical culture can enhance employee engagement, reduce turnover, and boost productivity.
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student who are awarded grants must pay back a percentage of the amount after graduation. question 6 options: true false
The answer is False. In most cases, students do not have to pay back grants.
Grants are considered to be "gift aid," which means that they do not have to be repaid as long as the student meets all of the terms and conditions of the grant.
There are a few exceptions to this rule. For example, some grants may require students to repay a portion of the grant if they withdraw from school before completing their degree. Additionally, some grants may require students to repay a portion of the grant if they do not meet certain academic requirements.
However, in general, students do not have to pay back grants. This makes grants a very attractive form of financial aid, as they do not come with the same debt burden as student loans.
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After the first year of tenancy, the landlord is permitted to retain a security deposit in a maximum amount equal to what?
One month rent
2 month rent
One month rent + last month rent and cleaning fee
No security deposit may be retained after the first year
After the first year of tenancy, the landlord is permitted to retain a security deposit in a maximum amount equal to one month rent. A security deposit is an amount of money paid by the tenant to the landlord at the beginning of a lease or rental agreement.
This amount acts as a safeguard for the landlord against any property damage or unpaid rent caused by the tenant during the lease period. Once the lease period is over, the landlord is required to return the security deposit to the tenant within a certain period of time. One such circumstance is when the tenant breaches the lease agreement.
This can include causing damage to the property, breaking lease terms, or leaving the property without notice. In these cases, the landlord can use the security deposit to cover the cost of repairing damages, unpaid rent, or other expenses related to the breach of lease terms. After the first year of tenancy, the landlord is permitted to retain a security deposit in a maximum amount equal to one month rent.
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rommel trucking uses cargo miles driven (cmd) as an activity base. the company reports the following breakdown of cost behaviors: purely fixed costs
To summarize:
1. Purely fixed costs do not change with the level of activity.
2. Examples of purely fixed costs for Rommel Trucking could include salary expenses, rent, and depreciation expenses.
3. These costs remain constant regardless of the number of cargo miles driven.
Based on the given information, Rommel Trucking uses cargo miles driven (CMD) as an activity base. They have reported the following breakdown of cost behaviors: purely fixed costs.
Purely fixed costs are costs that do not change with the level of activity. These costs remain constant regardless of the number of cargo miles driven. Examples of purely fixed costs for Rommel Trucking could include the salary of a supervisor who is not directly involved in the cargo transportation process, the monthly rent of the office space, or the depreciation expense of the company's trucks.
It is important to note that purely fixed costs are not affected by changes in the activity level, such as the number of cargo miles driven. Regardless of whether Rommel Trucking drives 100 cargo miles or 1000 cargo miles, these costs will remain the same.
I hope this helps! Let me know if you have any further questions.
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Suppose the first comic book of a classic series was sold in 1975.ln2020, the estimated price for this comic book in good condition was about $100.00. This represented a return of 10.0 percent per year. For this to be true, what was the original price of the comic book in 1975 ? a. $1.37 b. $1.98 c. $0.89 d. $1.77 e. $1.12
The answer to this question is option A $1.37. Let the original price of the comic book be 'p'.
The value of the comic book in 2020 would be given by 100 = p(1 + 0.1)^45,
where 45 is the number of years since 1975.
Solving for p, we get:
p = 100 / (1 + 0.1)^45p = 100 / 8.1384p = 12.28
Since the answer options are in dollars, we need to convert p to dollars. Therefore, the original price of the comic book in 1975 was $1.37.
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