The buyer's tax burden is approximately found to be - $0.042.
In this case,
the market demand is given by:
P = 44 - Q
and the market supply is given by:
P = 0.7Q
When a tax is imposed in the market, it changes the prices and the quantity of goods demanded and supplied. The imposition of a tax shifts the supply curve upwards by the amount of the tax.
This is because the suppliers need to get a higher price to recover the cost of the tax, and so they charge a higher price.The new supply curve after the imposition of the tax is given by:
P = 0.7Q + 8
The quantity demanded at any price P is still given by:
P = 44 - Q
Thus, at the new equilibrium after the imposition of the tax, the quantity demanded must equal the quantity supplied. Hence:
44 - Q = 0.7Q + 8
Rearranging and solving for Q:
44 - 8 = 0.7Q + Q
36 = 1.7Q
Q = 21.18
Hence, the new equilibrium price is:
P = 0.7
Q + 8 = 0.7(21.18) + 8
≈ 22.8
Thus, the price increases by $8.8 after the imposition of the tax.
Now, to find the buyer's tax burden, we need to find the difference between the price before the imposition of the tax and the price after the imposition of the tax, and multiply that by the quantity demanded before the imposition of the tax. The price before the imposition of the tax was:
P = 44 - Q
Substituting Q = 21.18:
P = 44 - 21.18
≈ 22.82
Thus, the buyer's tax burden is approximately:
Tax burden = (Price before tax - Price after tax) x Quantity demanded before tax
= (22.82 - 22.8) x 21.18
≈ $0.042
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Which of the following statements would not accurately describe situations related to tax implications of active business income?
Multiple Choice
Active business income would include the selling of professional services.
The payment of salary to a shareholder to reduce income over $500,000 to mitigate the potential of double taxation.
Active business income would not be eligible for refundable tax treatment.
The unused portion of the small business deduction would be available for carry-over to other years.
The following statement does not adequately represent circumstances involving the tax consequences of active business income:
"Paying a shareholder salary to reduce income over $500,000 to reduce the possibility of double taxation."This claim is untrue since paying a shareholder a salary only to lower income exceeding $500,000 is not an effective method of tax planning. Payments should be made in accordance with the services provided and fair market value, as specified by the Income Tax Act's special regulations on the reasonableness of salaries paid to shareholders. It is not permitted to intentionally reduce income through salary payments in order to avoid paying higher tax rates or double taxes.
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Identify" and "define" two leadership attributes and
two leadership behaviors? Select "one" of
the two leadership attributes and "one" of the two leadership
behaviors you listed and assess yourself in
Leadership attributes and behaviors are key factors that distinguish successful leaders from unsuccessful ones. They are the qualities and actions that define an individual's leadership style.
Two leadership attributes and two leadership behaviors are as follows:
Leadership Attributes:
1. Confidence: A leader should be confident in their abilities and have faith in their judgment. They must possess self-assurance and a clear sense of direction.
2. Accountability: A successful leader is accountable for their actions. They must be responsible and ready to take ownership of their decisions.
Leadership Behaviors:
1. Communication: A good leader must be able to communicate their vision and goals effectively. They must be able to listen actively and provide feedback when required.
2. Collaboration: A leader must promote a collaborative culture. They must establish a culture of mutual respect and cooperation among team members.
When it comes to assessing yourself, one can use a self-assessment tool to identify their leadership strengths and areas for improvement. This will help you to identify what your leadership strengths and weaknesses are. If you have selected "confidence" as a leadership attribute and "communication" as a leadership behavior, you can assess yourself on the following basis:
Confidence:How often do you feel confident in your leadership abilities?Do you take risks when necessary?Do you lead by example?
Communication:How effectively do you communicate with your team members?Do you encourage feedback from your team members?How often do you practice active listening?
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I need an economic graph for Health insurance premiums paid by
the employer increase
The graph shows a positive slope indicating an upward trend in health insurance premiums paid by employers over time.
The graph illustrates the relationship between time and health insurance premiums paid by employers. As time progresses, the premiums increase, resulting in an upward trend on the graph. This indicates that employers are spending more money on health insurance coverage for their employees. there can be several factors contributing to this trend. One possibility is the rising cost of healthcare services and medical treatments. As medical expenses continue to climb, insurance companies increase their premiums to cover these costs, leading to higher expenses for employers.
Additionally, changes in healthcare policies or regulations may impact insurance premiums. For example, if new laws require broader coverage or include additional benefits, insurance providers may adjust their premiums accordingly, causing an increase in employer costs. employers may also choose to offer more comprehensive health insurance plans to attract and retain talented employees. This can lead to higher premiums as more extensive coverage often comes at a higher price. overall, the graph depicts a consistent increase in health insurance premiums paid by employers, highlighting the financial burden faced by businesses in providing healthcare benefits to their workforce.
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Examine the advantages and disadvantages of using celebrities to
promote products and services based on relevant theory.
The practice of using celebrities to promote products and services has become commonplace in today's society. Companies hire celebrities as endorsers to advertise their products in the hope of increasing sales.
There are advantages and disadvantages to using celebrities as endorsers of a product or service, and these are discussed below.Advantages of using celebrities to promote products and services:Celebrity endorsement has the advantage of raising brand awareness.
Celebrity status adds a touch of glamour and prestige to the product or service being promoted, making it more attractive to consumers. Celebrities have built-in audiences and fan bases, so companies can benefit from these established networks and extend their reach to new customers.
Celebrity endorsement can also improve a product's image. Celebrity endorsers are often seen as role models, so if they endorse a product, it must be good. Consumers may be more inclined to buy a product if they see a celebrity using it, as they may perceive it as being of higher quality.Disadvantages of using celebrities to promote products and services:Celebrity endorsement can be expensive.
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A project consists of an annual investment 47,000.00 for four years, with no residual values. The annual revenue forecast is R$ 110,000.00 in the 6 years following the conclusion of the investments, then R$ 120,000.00 per year for 6 years and, finally, R$ 160,000.00 per year in 6 years. The forecast annual costs (including taxes) is R$70,000.00 in the 6 years following the completion of the investments, then R$80,000.00 per year for 6 years and, finally, R$100,000.00 per year in 6 years . Assume that the minimum attractiveness rate is 12% p.a. and calculate the capital efficiency ratio (NPV / PVI) for that project..
The capital efficiency ratio (NPV/PVI) for the given project is 24.4%.
In order to calculate the capital efficiency ratio (NPV / PVI) for the project, we need to follow the given steps:
Calculation of present value of all the cash flows associated with the project:
Year0Outflow (47,000)Year1-4
Outflow (47,000)Year5-10
Inflow (110,000)Year11-16Inflow (120,000)Year17-22Inflow (160,000)Year5-10
Outflow (70,000)Year11-16
Outflow (80,000)Year17-22
Outflow (100,000)
The present value of all cash flows can be calculated as:
NPV = -47,000 - 47,000 - 47,000 - 47,000 + 110,000/(1.12)^5 + 110,000/(1.12)^6 + 110,000/(1.12)^7 + 110,000/(1.12)^8 + 110,000/(1.12)^9 + 110,000/(1.12)^10 + 120,000/(1.12)^11 + 120,000/(1.12)^12 + 120,000/(1.12)^13 + 120,000/(1.12)^14 + 120,000/(1.12)^15 + 120,000/(1.12)^16 + 160,000/(1.12)^17 + 160,000/(1.12)^18 + 160,000/(1.12)^19 + 160,000/(1.12)^20 + 160,000/(1.12)^21 + 160,000/(1.12)^22 - 70,000/(1.12)^5 - 70,000/(1.12)^6 - 70,000/(1.12)^7 - 70,000/(1.12)^8 - 70,000/(1.12)^9 - 70,000/(1.12)^10 - 80,000/(1.12)^11 - 80,000/(1.12)^12 - 80,000/(1.12)^13 - 80,000/(1.12)^14 - 80,000/(1.12)^15 - 80,000/(1.12)^16 - 100,000/(1.12)^17 - 100,000/(1.12)^18 - 100,000/(1.12)^19 - 100,000/(1.12)^20 - 100,000/(1.12)^21 - 100,000/(1.12)^22NPV = R$45,876.74
Calculation of the present value of investments (PVI):
PVI = R$47,000 + R$47,000 + R$47,000 + R$47,000PVI = R$188,000
Capital efficiency ratio (NPV/PVI):
Capital efficiency ratio = NPV/PVI
Capital efficiency ratio = R$45,876.74/R$188,000
Capital efficiency ratio = 0.244 or 24.4%
Therefore, the capital efficiency ratio (NPV/PVI) for the given project is 24.4%.
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A local tire wholesale distributor sells on average $6,500 of inventory daily to retail tire shops. The distributor generally carries about $250,000 in inventory. How many days-of-supply does the distributor have? How many times a year does the distributor turn over their inventory?
The parent company to the tire distributor above owns a national chain of distributors on the west coast of the United States. Last year, they posted the following numbers in their financial filings.
Inventory = $182 Million (cost to acquire)
Revenue = $9,543 Million
COGS = $5,389 Million
Calculate days-of-supply and annual inventory turns for the parent company.
To calculate the days-of-supply and annual inventory turnover for the parent company, we need to use the following formulas:Days-of-Supply = (Average Inventory / Average Daily Sales)
Inventory Turnover = (COGS / Average Inventory)For the local tire wholesale distributor:Average Daily Sales = $6,500Average Inventory = $250,000Days-of-Supply = ($250,000 / $6,500) ≈ 38.46 days
Inventory Turnover = ($5,389 Million / $182 Million) ≈ 29.61 times
For the parent company:COGS = $5,389 MillionAverage Inventory = $182 MillionDays-of-Supply = ($182 Million / ($9,543 Million / 365 days)) ≈ 7.01 daysInventory Turnover = ($5,389 Million / $182 Million) ≈ 29.61 times
Therefore, the parent company has approximately 7.01 days-of-supply and an annual inventory turnover of around 29.61 times.
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Describe the marketing channel the Uber Eats has chosen? Analyze
the factors that led to this choice and strategy selection?
Uber Eats has chosen a digital platform-based marketing channel for its food delivery service. Factors such as technological advancements, wide reach, cost efficiency, scalability, customer experience, and synergy with the Uber brand have influenced this choice and strategy selection.
Uber Eats has chosen a digital platform-based marketing channel for its food delivery service. This channel involves connecting customers, restaurants, and delivery drivers through a mobile application and online platform. The factors that led to this choice and strategy selection include:
Technological Advancements: Uber Eats leverages advancements in mobile technology and internet connectivity to create a seamless and convenient food ordering and delivery experience. This channel allows customers to easily browse menus, place orders, and track deliveries in real-time.
Wide Reach and Accessibility: By operating through a digital platform, Uber Eats can reach a large customer base across different geographic locations. It eliminates the need for physical infrastructure like restaurants or brick-and-mortar stores, enabling the service to be accessible to customers wherever they are.
Cost Efficiency: The digital platform-based model reduces the need for extensive investments in physical assets, such as restaurant spaces or delivery vehicles. This allows Uber Eats to operate with lower fixed costs compared to traditional food delivery channels.
Scalability: The platform-based approach offers the potential for rapid scalability and expansion into new markets. Uber Eats can quickly onboard new restaurants and delivery partners onto its platform, catering to increasing customer demand and expanding its service coverage.
Enhanced Customer Experience: The digital channel provides customers with a user-friendly interface, personalized recommendations, and convenient features like cashless payments and order tracking. This focus on customer experience helps differentiate Uber Eats from traditional food delivery options.
Synergy with Existing Uber Brand: Uber Eats leverages the existing brand recognition and user base of its parent company, Uber. This allows for cross-promotion and integration of services, strengthening the overall value proposition for both Uber and Uber Eats customers.
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a) Which of the following events are studied in Macroeconomics?
Event
(YES or NO)
i. Increase 15 sen per liter of RON 95 as announced in the news recently.
ii. The unemployment rate in Malaysia has decreased by 0.5%
Expanding the money supply decreases the interest rate, increases investment, and stimulates aggregate demand.
iv. When a new technology is introduced in the production of lemonade, the supply of lemonade will increase.
V. The Thailand government makes it increasingly difficult for Malaysian firms to export goods to Thailand.
b) Explain how government copes with high inflation?
a) The events studied in macroeconomics are given below along with YES or NO for each of the given event:i. Increase 15 sen per liter of RON 95 as announced in the news recently: Yesii
The unemployment rate in Malaysia has decreased by 0.5%: Yesiii. Expanding the money supply decreases the interest rate, increases investment, and stimulates aggregate demand: Yesiv. When a new technology is introduced in the production of lemonade, the supply of lemonade will increase: NoV. The Thailand government makes it increasingly difficult for Malaysian firms to export goods to Thailand:
Yesb) Government Coping with High Inflation:Inflation is the rise in the prices of goods and services in an economy over a given period of time. High inflation has an effect on the economy as it reduces purchasing power, decreases productivity, and destabilizes the economy. Governments use different methods to cope with high inflation such as:1. Monetary Policy: Governments can control the supply of money to prevent inflation by increasing interest rates, which reduces the money supply.
2. Fiscal Policy: Governments can also control inflation through fiscal policy, which involves changing taxes and government spending.
3. Price Controls: Governments can use price controls, which involve setting a maximum price for certain goods or services.
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Q4,,,. You attach a United Way banner to your corporate headquarter building, and 10% of your target population drives by the billboard twice per week day, and the advertising campaign lasts 30 weekdays. You can put up the billboard at a traffic intersection, and 12 % of your target population drives by the billboard twice per weekday. How many weekdays must the campaign last if you wish to have the same GRP as the first option?
The campaign must last for approximately 25 weeks to achieve the same GRP as the first option.
To determine the number of weekdays the campaign must last to achieve the same Gross Rating Points (GRP) as the first option, we need to compare the reach of the two options.
In the first option, 10% of the target population drives by the billboard twice per weekday, and the campaign lasts for 30 weeks.
In the second option, 12% of the target population drives by the billboard twice per weekday.
To have the same GRP, we need to find the equivalent reach for the second option. We can set up the following equation:
12% of the target population driving by the billboard twice per weekday x Number of weekdays = 10% of the target population driving by the billboard twice per weekday x 30 weekdays
Simplifying the equation:
0.12 x Number of weekdays = 0.10 x 30
0.12 x Number of weekdays = 3
Number of weekdays = 3 / 0.12
Number of weekdays ≈ 25
Therefore, the campaign must last for approximately 25 weeks to achieve the same GRP as the first option.
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According to an article in the Wall Street Journal, both the quantity of organic milk sold and the price per half gallon have been falling. For each of the following scenarios, briefly explain whether the scenario can account for this outcome.
a. The demand for organic milk has been decreasing, while the supply of organic milk has been increasing.
b. The demand for organic milk has been increasing, while the supply of organic milk has been decreasing.
c. The demand for organic milk and the supply of organic milk have both been increasing.
d. The demand for organic milk and the supply of organic milk have both been decreasing.
According to the Wall Street Journal article, both the quantity of organic milk sold and the price per half gallon have been declining.
Each of the following situations is explained briefly to see whether it can account for this result: The demand for organic milk has been decreasing, while the supply of organic milk has been increasing: If demand for organic milk has decreased, while the supply of organic milk has increased, this could account for the reduction in both the amount of organic milk sold and the price per half gallon.
Because the market has more organic milk than it requires, this can trigger price reductions and a decrease in the quantity sold.b. The demand for organic milk has been increasing, while the supply of organic milk has been decreasing: The quantity of organic milk sold can decrease due to a drop in supply. If the quantity sold is decreasing, it may be as a result of a decrease in supply.
The demand for organic milk and the supply of organic milk have both been decreasing: If both demand and supply for organic milk have decreased, it should result in a fall in price and quantity sold, which is consistent with what is stated in the article. Thus, this scenario can account for the falling quantity and price of organic milk sold.
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Vulcan Service Co. experienced the following transactions for Year 1, its first year of operations:
Provided $84,000 of services on account.
Collected $50,400 cash from accounts receivable.
Paid $30,000 of salaries expense for the year.
Adjusted the accounts using the following information from an accounts receivable aging schedule:
Number of Days
Past Due Amount Percent Likely to
Be Uncollectible Allowance
Balance
Current $ 24,864 .01 0-30 1,680 .05 31-60 2,352 .10 61-90 2,016 .30 Over 90 days 2,688 .50 Required
a. Record the above transactions in general journal form and post to T-accounts.
b. Prepare the income statement for Vulcan Service Co. for Year 1.
c. What is the net realizable value of the accounts receivable at December 31, Year 1?
Vulcan Service Co. is a service company that had the following transactions during the first year of operations. It provided $84,000 of services on account, collected $50,400 cash from accounts receivable, and paid $30,000 of salaries expense for the year.
The accounts receivable aging schedule provided information to adjust the accounts as shown below
:Number of Days Past Due Amount Percent Likely to Be Uncollectible Allowance Balance Current$24,864.01 0-301,680.05 31-602,352.10 61-902,016.30 Over 90 days2,688.50 a) The above transactions can be recorded in the following general journal entries:
Total operating expenses (30,466.80) Net Income $53,533.20 Therefore, the income statement of Vulcan Service Co. for Year 1 reveals that its net income is $53,533.20. c) The net realizable value of accounts receivable at December 31, Year 1 is calculated as shown.
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what defines the rights of an occupation and acceptable activities allowed within the profession?
The rights and acceptable activities within a profession are defined by professional ethics and standards.
Professional ethics and standards play a crucial role in defining the rights and acceptable activities within a profession. These guidelines are established to ensure that professionals adhere to certain principles, maintain a high level of competence, and act in the best interests of their clients, organizations, or the public. Professional ethics outline the moral and ethical obligations that professionals must uphold. They provide guidelines for behavior, integrity, confidentiality, and the responsible use of professional knowledge and skills. These ethics are often developed and enforced by professional associations or regulatory bodies specific to each profession. In addition to ethics, professional standards set forth the expected level of knowledge, competence, and performance within a profession.
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Investigate a logistics and supply chain problem that could be
optimised in the world, in your own workplace or somewhere where
you have a key interest.
A logistics and supply chain problem that could be optimized is the problem of limited visibility in supply chain management.
Currently, the world is experiencing an increasing need for transparency and visibility in supply chain management. Customers want to know how their products were manufactured, the source of the raw materials, and how it was transported. Due to the growing complexity of global supply chains, it's not always possible to have complete visibility over the entire process. Therefore, a logistics and supply chain problem that could be optimized is the problem of limited visibility in supply chain management.
Without complete visibility, it becomes challenging to track the products throughout the entire supply chain. It can also lead to issues such as counterfeit goods, environmental and social non-compliance, and labor violations. To optimize this problem, companies can incorporate new technologies such as blockchain and the Internet of Things (IoT) to increase supply chain visibility. For example, blockchain can help to track products and raw materials from the source, while IoT can help to track the products in transit. These technologies can help companies to achieve complete visibility over their supply chain, thereby increasing transparency and reducing the risk of non-compliance and counterfeiting.
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The stock of an important food retail company has a beta of 1.2. The expected return on the market portfolio is 12% and the risk-free rate 6%. What is the expected or required rate of return on that stock?
The expected or required rate of return on the stock is 13.2%.
The required rate of return, r, is calculated by the Capital Asset Pricing Model (CAPM), which is:
r = Rf + beta(Rm – Rf)
where Rf is the risk-free rate, beta is the beta coefficient of the stock, Rm is the expected return on the market portfolio, and (Rm – Rf) is the market risk premium.
In the given case, the risk-free rate, Rf = 6%.
The expected return on the market portfolio, Rm = 12%.
The beta coefficient of the stock, beta = 1.2.
Now, we can use the CAPM equation to calculate the required rate of return:
r = Rf + beta(Rm – Rf)r = 6% + 1.2(12% – 6%)r = 6% + 1.2(6%)r = 6% + 7.2%r = 13.2%
Hence, the expected or required rate of return on the stock is 13.2%.
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Determine the values of i (the interest rate per period), n (the number of interest periods), P (the present value), and F (the future value) for the following situation. An amount of $4870.59 is deposited on January 1, 2011. The balance on July 1, 2018 is $6000 and the interest is 2.8% compounded semiannually. i=0.014 (Type an integer or a decimal.) n = (Type an integer or a decimal.)
The values are:i = 0.014 (or 1.4% per period) n = 14.947 (approximately) , P = $4870.59, F = $6000. To determine the values of i, n, P, and F, we can use the formula for compound interest: F = P * (1 + i)^n
Where: F = Future value, P = Present value.i = Interest rate per period. n = Number of interest periods Given:P = $4870.59, F = $6000, i = 0.014 (2.8% expressed as a decimal). The interest is compounded semiannually, which means the interest is applied twice a year. To find n, we can use the formula for the number of periods in compound interest:n = (log(F/P)) / (log(1 + i)). Using the given values, we can calculate n: n = (log(6000/4870.59)) / (log(1 + 0.014)), n ≈ 14.947 (rounded to three decimal places)
Therefore, the values are:i = 0.014 (or 1.4% per period) n = 14.947 (approximately) , P = $4870.59, F = $6000
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Concepts: Apply Marketing Metrics The chapter discusses the growing importance of sustainability, and it notes that companies and consumers increasingly consider other costs in addition to financial kinds when they decide what to sell or buy. One of these cost categories is damage to the environment. How can marketers make it easier for shoppers to compute these costs? The answer is more apparent in some product categories than in others. For example, American consumers often are able to compare the power consumption and annual costs of appliances by looking at their EnergyStar rm rating. In other situations, we can assess the carbon footprint implications of a product or service; this tells us how much CO 2
our purchase will emit into the atmosphere (e.g. if a person flies from New York to London). The average American is responsible for over 16 metric tons of CO 2
per year! 43
A carbon footprint comes from the sum of two parts, the direct, or primary, footprint and the indirect, or secondary, footprint: - The primary footprint is a measure of our direct emissions of CO 2
from the burning of fossil fuels, induding domestic energy consumption and transportation (e.g. cars and planes). - The secondary footprint is a measure of the indirect CO 2
emissions from the whole life cycle of products we use, from their manufacture to their eventual breakdown. 44 Although many of us are more aware today that our consumption choices carry unseen costs, there is still a lot of confusion about the best way to communicate the environmental costs of our actions, and in many cases, consumers aren't motivated to take these issues into account unless the costs impact them directly and in the short term. 1-18. As a consumer, what other metrics would you suggest that might reflect benefits of sustainability initiatives that would motivate you to purchase from one provider or the other? 1-19. Would you buy from a demonstrably more expensive provider just because they exhibited a higher level of commitment to sustainability?
Marketing metrics can be used to provide information on the environmental impact of a product or service in addition to financial costs. One approach is to provide information about the carbon footprint of the product or service. A carbon footprint can be broken down into a direct footprint and an indirect footprint.
The direct footprint represents the emissions of CO2 from the burning of fossil fuels due to energy consumption and transportation. The indirect footprint reflects the CO2 emissions resulting from the entire life cycle of a product, from manufacturing to disposal. Consumers can be motivated to consider environmental costs by presenting them with information on the carbon footprint of products.
To motivate consumers to purchase products from providers committed to sustainability, marketers can provide additional metrics that reflect the benefits of sustainability initiatives. For example, consumers can be provided with information on the extent to which providers conserve energy, use renewable resources, or reduce waste. By providing information on these metrics, consumers can make informed decisions and are more likely to be motivated to purchase products from providers committed to sustainability.
If a product is demonstrably more expensive but is associated with a higher level of commitment to sustainability, some consumers may be motivated to purchase it. However, it is unlikely that all consumers would be willing to pay more for a product that is associated with a higher level of commitment to sustainability.
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1. Describe the impact of technology on Human Resource Management in the last 5 years? Choose an organization that you are familiar with and indicate what technology it has and give concrete details o
Over the last 5 years, technology has had a significant impact on Human Resource Management (HRM). The influence of technology on HRM has resulted in improved productivity, effectiveness, and efficiency in the workplace.
Technology has facilitated HR managers' ability to access HR data, including personnel files, health benefits, and other critical HR information. This has allowed HR professionals to make better decisions based on the data available, ensuring that the company meets its objectives and improves its profitability.
Technology has provided HR managers with the tools to perform their roles with precision and speed.
Therefore, the use of technology in HRM has facilitated a shift from manual to digital HR processes. Some of the critical technological innovations in HRM in the past five years include the implementation of HR software, HR analytics, social media, and mobile recruitment apps.
These technological advancements have helped organizations stay competitive and adapt to the digital age. An organization that has embraced the use of technology in HRM is Amazon.
Amazon has deployed HRM software, including HR analytics and recruitment apps, to manage their workforce efficiently. Additionally, Amazon has implemented electronic communication and social media platforms to foster employee engagement and collaboration.
This has enabled Amazon to improve its efficiency, productivity, and profitability while retaining high-quality employees.
In conclusion, technology has significantly impacted HRM in the last five years by automating HR processes, providing HR managers with real-time data, and improving communication and collaboration between employees.
Companies that have embraced technology in HRM have gained a competitive advantage over their competitors.
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You are consultant studying the capital restructuring of Lambton Bros. The firm's current WACC is 12.5% and marginal corporate tax rate is 34.0%. The firm's market value is currently distributed 75.0% equity and 25.0% debt. The debt mainly consists of an outstanding bond that trades at a yield to maturity of 9.2% and is expected to remain constant. The risk-free rate is 3% and the expected return on the market portfolio is 9.5%. Lambton Bros is strategically positioning itself for an acquisition of a rival firm and has the capacity to increase its debt 70.0% if needed. Answer the following questions (all parts are equally valued): 1. What is the current equity cost of capital? % (Give answer as \% to 4 decimal places) 2. What is the beta risk of Lambton Bros? (Give answer to 4 decimal places) 3. What is the unlevered beta risk of Lambton Bros? (Give answer to 4 decimal places) 4. If the firm increases its debt to 70.0%, what is the new beta risk of the firm? (Give answer to 4 decimal places) 5. What would be the new equity cost of capital? \% (Give answer as percentage to 4 decimal places) 6. What would be the new WACC of the firm? \% (Give answer as percentage to 4 decimal places)
1. Current equity cost of capital= 12.5%2. Beta risk of Lambton Bros= 0.66943. Unlevered beta risk of Lambton Bros= 0.50854. New beta risk of the firm= 0.9644.
New equity cost of capital= 16.05915. New WACC of the firm= 11.50261.1. Calculation of current equity cost of capital:Given,[tex]WACC = 12.5%Market value of equity = 75%Market value of debt = 25%Tax rate = 34%Cost of equity = WACC - [(Market value of debt / Market value of equity + Market value of debt) * (WACC - Cost of debt) * (1 - Tax rate)]Cost of debt = 9.2%Current equity cost of capital = 12.5% - [(0.25 / 0.75 + 0.25) * (12.5% - 9.2%) * (1 - 0.34)][/tex]Therefore,
Current equity cost of capital= 15.2125 %2. Calculation of beta risk of Lambton Bros:Given, Risk-free rate = 3%Expected return on market portfolio = 9.5%Market value of equity = 75%Market value of debt = 25%Beta = [(0.75 * Beta equity) + (0.25 * 0)]
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Milton Corporation has 8 percent coupon bonds making annual payments with a YTM of 7.2 percent. The current yield on these bonds is 7.55 percent
How many years do these bonds have left until they mature? [hint: current yield coupon/current price]
Time until maturity
years
Milton Corporation has 8 percent coupon bonds making annual payments with a yield to maturity (YTM) of 7.2 percent. The current yield on these bonds is 7.55 percent. In this problem, we are required to calculate the time until maturity.
The formula for the bond price is:
P= 80/(1 + 0.072) + 80/(1 + 0.072)^2 + 80/(1 + 0.072)^3 + ... + 80/(1 + 0.072)^n + 1000/(1 + 0.072)^n Where:
P = Current price of the bond
Face value of the bond
= $1000r
= Yield to maturity
= 7.2%N
= Number of years until maturity
P = $1,098.93Now, we'll calculate the current yield of the bond.
= (8 / $1,098.93) x 100%Current Yield
= 0.7278 x 100%Current Yield
= 7.28%We have been given that the current yield of the bond is 7.55%.Since the current yield is higher than the coupon rate, the bond is selling at a premium.
= 80 / Price X 100%Price
= 80 / 0.0755Price
= $1,060.26Using the bond pricing formula to calculate the time until maturity:$1,060.26
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25-1) On January 1, 2018, Morrow Inc. purchased a spooler at a cost of $40,000. The equipment is expected to last eight years and have a residual value of $4,000. During its eight-year life, the equipment is expected to produce 250,000 units of product. In 2018 and 2019, 42,000 and 76,000 units respectively were produced. Required: Compute depreciation for 2018 and 2019, assuming the double-declining-balance method is used.
25-2) On April 1, 2021, Metro Co. purchased machinery at a cost of $42,000. The machinery is expected to last 10 years and to have a residual value of $6,000. Required: Compute depreciation for 2021 (for 9 months, 4/1/21 ~ 12/31/21) assuming the sum-of-the-years'-digits method is used.
25-3) On January 1, 2016, Denver Company bought a machine for $60,000. It was then estimated that the useful life of the machine would be eight years with a salvage value of $8,000. On January 1, 2020, it was decided that the machine's total life from acquisition date should have been only six years with a residual value of only $2,000. The company used straight-line depreciation. Required: Compute depreciation expense for 2020 (1/1/20 ~ 12/31/20).
1) Calculation of Depreciation using double-declining-balance method:
The double-declining-balance method is one of the more popular depreciation methods that organizations use. This method is faster than the straight-line method. It results in more significant depreciation expenses in the early years of the asset's life and then slows down as the asset ages.
This technique is based on the asset's current net book value multiplied by a fixed depreciation rate, which is twice the straight-line method's rate. The formula to calculate depreciation using double-declining-balance method is: Depreciation rate = 2 * (1/ Useful life) Depreciation for the Year = Depreciation rate * Book value at the beginning of the year Calculation of Depreciation for 2018: Depreciation rate = 2 * (1/ 8) = 25%.
Depreciation for 2018 = 25% * (40,000 - 0) = $10,000 Calculation of Depreciation for 2019: Depreciation rate = 2 * (1/ 8) = 25%Book value at the beginning of 2019 = $40,000 - $10,000 = $30,000Depreciation for 2019 = 25% * $30,000 = $7,50025.
2).Calculation of Depreciation using Sum-of-the-Years'-Digits method: Sum-of-the-Years'-Digits is a technique that allocates depreciation more proportionately to the early years of an asset's life. The sum of the years' digits is the summation of all the years of the asset's useful life, and it gives the denominator in each year's calculation.
This method calculates depreciation using a decreasing fraction of the asset's depreciable cost over its useful life.
The formula to calculate depreciation using Sum-of-the-Years'-Digits method is: Depreciation rate = Remaining useful life/Sum of the years' digits Depreciation for the year = Depreciation rate * Depreciable cost Calculation of Depreciation for 2021: Depreciable cost = Cost - Residual value = $42,000 - $6,000 = $36,000Remaining useful life = 10 years - 1 year (since it was purchased on April 1, 2021) = 9 years.
Sum of the years' digits = 10 + 9 + 8 + 7 + 6 + 5 + 4 + 3 + 2 + 1 = 55 Depreciation rate = Remaining useful life/Sum of the years' digits= 9/55Depreciation for 2021 = 9/55 * $36,000 = $5,872.73.
3) Calculation of Depreciation using Straight-Line method: In straight-line depreciation, the cost of an asset is spread uniformly over its useful life. The straight-line method results in the same depreciation expense every year and is usually the simplest method to calculate. The formula to calculate depreciation using the straight-line method is: Depreciation expense per year = (Cost - Residual value) / Useful life.
Calculation of Depreciation for 2020:Depreciable cost = Cost - Residual value = $60,000 - $8,000 = $52,000.
Useful life = Total life - Life already expired = 6 - 4 = 2 years. Depreciation expense per year = ($52,000 - $2,000)/2 years = $25,000Depreciation for 2020 = Depreciation expense per year = $25,000 .
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financing of new, nonpublic companies is broadly referred to as ________ financing.
Financing of new, nonpublic companies is broadly referred to as private financing.
Private financing encompasses various methods of raising capital for companies that are not publicly traded. It involves obtaining funding from private investors, venture capital firms, angel investors, or private equity firms. Unlike public financing, where companies raise funds by issuing stocks or bonds to the general public through the stock market, private financing involves a more limited pool of investors.
Private financing options can include equity investments, where investors provide capital in exchange for an ownership stake in the company, or debt financing, where companies borrow money and repay it with interest over a specified period. Other forms of private financing may involve convertible notes, mezzanine financing, or strategic partnerships with larger companies.
Private financing is often sought by startups or early-stage companies that may not yet meet the requirements for public offerings or prefer to maintain greater control over their operations. It allows these companies to secure the necessary capital to fund their growth, research and development, marketing efforts, and operational expenses.
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David and Debi Davidson have just signed a 15-year, 4% fixed-rate mortgage for $650,000 to buy their house. Find out this couple's monthly mortgage payment by preparing a loan amortization schedule for the Davidson’s for the first 2 months; find out how much of their payments applied to interest; and after 2 payments, how much of their principal will be reduced.
(Construct a loan amortization schedule and show your calculations for two monthly payments).
David and Debi Davidson have just signed a 15-year, 4% fixed-rate mortgage for $650,000 to buy their house. The monthly payment for mortgage loans can be calculated using the following formula.
M = P [ i(1 + i)^n ] / [ (1 + i)^n – 1]`where P is the principal (amount borrowed), i is the interest rate per month, and n is the number of months for the mortgage loan. Mortgage calculation using the above formula is as follows; Principal amount, P = $650,000.
Interest rate, i = 4% / 12 = 0.0033 (because interest rates are yearly, and there are 12 months in a year)Number of monthly payments, n = 15 years * 12 months/year = 180 months Monthly Mortgage Payment, M = $4,759.72This means that the couple will have to make monthly payments of $4,759.72 over 15 years.
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Using the value maximization approach, financial managers maximize the value of the firm when they accept investment projects that have: Select one: a. cost of capital > ROIC b. ROIC= cost of capital c. ROIC> cost of capital d. cost of capital ≤ ROIC
Using the value maximization approach, financial managers maximize the value of the firm when they accept investment projects that have the ROIC> cost of capital. The correct option is c.
The value maximization approach is the process of maximizing the value of a firm through investments that have the potential to generate the highest returns. When managers use the value maximization approach, they consider the cost of capital in addition to the expected returns on an investment.
The formula for calculating ROIC (Return on Invested Capital)
ROIC is a financial metric that determines the return earned by a business on its invested capital. ROIC is computed by dividing operating income by invested capital.
The following is the formula for calculating ROIC:
ROIC = Operating Income / Invested Capital
Invested capital is equal to the sum of the firm's debt and equity. When a firm's ROIC is greater than its cost of capital, it creates value for its shareholders. A company is likely to generate more value by investing in projects with an ROIC that is greater than its cost of capital.The correct option is c. ROIC> cost of capital.
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The City of South Pittsburgh maintains its books so as to prepare fund accounting statements and records worksheet adjustments in order to prepare government-wide statements.
1. Deferred inflows of resources-property taxes of $63,500 at the end of the previous fiscal year were recognized as property tax revenue in the current year's Statement of Revenues, Expenditures, and Changes in Fund Balance.
2. The City levied property taxes for the current fiscal year in the amount of $12,736,900. When making the entries, it was estimated that 2 percent of the taxes would not be collected. At year-end, $267,200 is thought to be uncollectible, $360,000 would likely be collected during the 60-day period after the end of the fiscal year, and $52,300 would be collected after that time. The City had recognized the maximum of property taxes allowable under modified accrual accounting.
3. In addition to the expenditures recognized under modified accrual accounting, the City computed that $30,100 should be accrued for compensated absences and charged to public safety.
4. The City's actuary estimated that pension expense under the City's public safety employees pension plan is $240,000 for the current year. The City, however, only provided $216,900 to the pension plan during the current year.
5. In the Statement of Revenues, Expenditures, and Changes in Fund Balances, General Fund transfers out included $524,000 to a debt service fund, $213,000 to a special revenue fund, and $958,500 to an enterprise fund.
Prepare the journal entries for the worksheet adjustments for each of the above situations. (If no entry is required for a transaction/event, select "No Journal Entry Required" in the first account field.)
1. Dr. Property Tax Receivable - Deferred Inflow of Resources: Property Tax Revenue $63,500 Cr. $63,500 in property taxes 2. Uncollectible Property Taxes: $267,200 Cr. $267,200 as a provision for uncollectible property taxes
Dr. Uncollectible Property Taxes $52,300 Cr. Property Tax Revenue $52,300 Dr. Allowance for Uncollectible Property Taxes $360,000 Cr. Property Tax Revenue $360,000 3. Accrued Compensated Absences: Dr. Compensated Absences Expense $30,100 Cr. Compensated Absences Payable $30,100 4. Pension Expense and Contribution: Dr. Pension Expense $240,000 Cr. $240,000 in Pension Payable Dr. Pension Payable $23,100 Cr. Expenditures $23,100 5. Transfers Out: Dr. Transfers Out - Debt Service Fund $524,000 Cr. Expenditures $524,000 Dr. Transfers Out - Special Revenue Fund $213,000 Cr. Expenditures $213,000 Dr. Transfers Out - Enterprise Fund Expenditures $958,500
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As described in Chapter 3 of e-text, "Strategic planning is the managerial decision process that matches a firm’s resources (such as its financial assets and workforce) and capabilities (the things it is able to do well because of its expertise and experience) to its market opportunities for long-term growth.
For this discussion, please answer the following:
Why do you think Strategic Planning is important to a company, organization?
Identify a company; organization in which you believe uses Strategic Planning effectively for its competitive advantage? And, tell us the two competitive advantages that the company, the organization has or uses to differentiate itself over its competition?
Strategic Planning is a vital aspect of a company's or organization's operations. It is the managerial decision process that matches a firm’s resources and capabilities to its market opportunities for long-term growth.
Some of the reasons why strategic planning is important for a company or organization are listed below:
Reasons why Strategic Planning is important to a company or organization helps in identifying growth opportunities:
Strategic planning allows an organization to analyse its resources and identify growth opportunities that can help it to stay competitive. This will ensure that the company stays ahead of the curve in terms of market trends and other important factors.
Helps in resource allocation: Strategic planning helps a company to allocate its resources effectively. This allows the company to maximize the use of its resources and focus on its strengths.
Helps in developing a vision: Strategic planning helps a company to develop a vision for its future. This vision is used to guide the company's actions and decisions. It ensures that the company stays true to its core values and beliefs.
Identifying a company that uses Strategic Planning effectively for its competitive advantage.
There are many companies that use strategic planning effectively for their competitive advantage. One such company is Apple Inc. Apple is known for its innovation and focus on user experience.
They have been able to differentiate themselves from their competition by focusing on two key competitive advantages listed below:
Design: Apple's products are known for their unique design. They have been able to create a brand identity that is instantly recognizable and appeals to consumers around the world.
User Experience: Apple's products are designed to provide a superior user experience. They are easy to use and have a seamless integration between hardware and software.
This has helped Apple to build a loyal customer base that is willing to pay a premium for their products.
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About Blackboard platform -- discuss this following :
What is the role of Blackboard in e-Learning?
Identify at-least two competitor of Blackboard.
Compare the revenue model of Blackboard with any one of its competitor.
Compare two features where Blackboard is better than its competitor.
What is the impact on faculty as well as students.
Suggest any two improvements in Blackboard.
Blackboard is a web-based Learning Management System (LMS) that serves as a virtual classroom for online education.
Role of Blackboard in e-Learning:
Blackboard plays a significant role in e-learning by providing a user-friendly and effective virtual learning environment to students and teachers. With the help of Blackboard, educators can create and manage courses, deliver content, communicate with students, and assess their progress. Similarly, students can view the course content, engage in online discussions, submit assignments, and take online tests.
The role of Blackboard in e-learning includes the following functions:
Communication among students and teachers
Sharing learning materials
Managing assignments and assessments
Managing grades and evaluations
Competitors of Blackboard:
Two significant competitors of Blackboard are Canvas and Moodle.
Revenue model of Blackboard:
Blackboard follows a subscription-based revenue model in which customers pay for a license fee to use the software. It also generates revenue by offering additional services like training, consulting, and support. On the other hand, Canvas offers a cloud-based, pay-per-user pricing model that can reduce the total cost of ownership for customers. It also offers add-ons like premium features and student success packages.
Blackboard's advantage over its competitors:
Two key features that make Blackboard a better LMS than its competitors are its robust content management system and its mobile app. Blackboard's content management system enables users to store, organize, and share learning materials with ease. It also provides an intuitive and responsive mobile app that allows students to access course content on-the-go. These features set Blackboard apart from its competitors and make it the preferred choice for many institutions.
Impact on faculty and students:
Blackboard has had a significant impact on both faculty and students. It has made it easier for teachers to create and manage courses, deliver content, and communicate with students. Likewise, it has provided students with a convenient and flexible way to learn and engage with course content. Blackboard has also helped to reduce the digital divide by providing access to online learning to students who may not have access to traditional classroom education.
Two improvements in Blackboard:
Two improvements that Blackboard can make to enhance its user experience include the following:
Improving the user interface and navigation to make it more intuitive and user-friendly
Integrating more interactive and multimedia tools into the platform to enhance student engagement and learning
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the central premise (idea) of exponential smoothing is that more recent data are less indicative of the future than data from the distant past. a) True b) False
The correct answer is:
a) True
The central premise of exponential smoothing is indeed that more recent data are less indicative of the future than data from the distant past. Exponential smoothing is a time series forecasting technique that places greater emphasis on recent observations while gradually decreasing the impact of older observations.
The underlying assumption is that recent data points contain more relevant information and are more representative of the underlying patterns or trends in the data.
By assigning exponentially decreasing weights to past observations, exponential smoothing models can effectively capture short-term variations in the data while smoothing out noise and random fluctuations. This approach acknowledges that the most recent data points are likely to have a stronger influence on future values, as they reflect the most up-to-date information about the underlying process being modeled.
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6. Which of the following is an example of the "brain drain"? a. A country's most highly educated workers emigrate to rich countries. b. A country has such a poor educational system that human capital falls over time. c. The population of a country grows so fast that the educational system can't keep up. d. A country steals patented technology from another country. 7. In the first segment from the video, "Commanding Heights," the famed Latin American economist Hernando de Soto tells the story of a coffee bean farmer from Tanzania, who when asked whether he can produce proof that he owns the land, asserted that he had no official deed but that he had purchased the land from someone years ago and the fact that he lives there today is proof enough that he owns it. In your own words, explain what De Soto's main argument is about property rights and how it relates to a country's standard of living?
6. The following option is an example of the brain drain:a. A country's most highly educated workers emigrate to rich countries.
The brain drain refers to the emigration of skilled individuals, such as doctors, engineers, and other professionals from their home country to a more developed country.
It causes the home country to lose talented and experienced workers who would otherwise contribute to its growth.7. Hernando de Soto's main argument is that a country's standard of living and economy can improve by protecting the property rights of its citizens.
He used the coffee bean farmer's story to illustrate the idea that people in many poor countries may own their land, but they lack formal titles that would protect their rights as property owners. They cannot use their property as collateral for a loan, which would allow them to invest in their business, buy equipment, and hire employees.
De Soto argues that when people have legal ownership of their property, they can use it as an asset to create wealth and improve their lives.
Property rights also help to establish trust and accountability in business transactions, which increases investment, growth, and productivity. He claims that developing countries could create trillions of dollars in wealth if they reformed their legal systems and allowed their citizens to have formal titles to their property.
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About [Company Name in black font] - Company's HQ country, industry, main products \& services, and years in business. - Locations and countries of subsidiaries and manufacturing operations (factories); countries it currently exports to and outsources from. - Company's competitive position in the industry, e.g. rank, market share, etc. - Company size and performance in terms of employees (turnover), annual sales revenues, profits, profit margin, growth rates, etc. - Current legal business ownership structure, e.g. proprietorship, partnership, private limited, public limited. - Current major owners/shareholders (holding 10% or more) and each one's \% share. - Company Sustainable Development Goals. (NOTE: All monetary amounts throughout the business plan must be provided in Canadian Dollars with commas separating groups of 3 digits. Example: \$1,450,000 CDN
The information on the company would be :
Company's HQ country: CanadaIndustry: TechnologyMain products & services: Software development, cloud computing, data analyticsHow to describe the company ?Locations and countries of subsidiaries and manufacturing operations (factories):
Headquarters: Vancouver, CanadaSubsidiaries: Toronto, Canada; New York, USA; London, UKManufacturing operations: Vancouver, CanadaCountries it currently exports to and outsources from:
Exports to: USA, UK, Europe, AsiaOutsources from: India, China, PhilippinesCompany's competitive position in the industry:
Rank: Top 10 software development companies in CanadaMarket share: 10%Company size and performance in terms of employees (turnover), annual sales revenues, profits, profit margin, growth rates, etc.:
Employees: 500Annual sales revenues: $100 million CDNProfits: $10 million CDNProfit margin: 10%Growth rates: 20% year-over-yearCompany Sustainable Development Goals:
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budget variances need to be reconciled only if the line item is over budget for the report period.
Budget variances should be reconciled regardless of whether the line item is over or under budget for the report period.
Budget variances occur when there is a difference between the actual expenses or revenues and the budgeted amounts. These variances provide valuable insights into the financial performance of a business and help identify areas of concern or areas where improvements can be made.
Reconciling budget variances involves analyzing the reasons behind the variances and taking appropriate actions to address them.
By reconciling budget variances, organizations can track their financial performance, make informed decisions, and ensure that their actual results align with their budgeted targets.
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