The Akron Police Department has five detective squads available for assignment to five open crime cases. The chief of detectives, Paul Kuzdrall, wishes to assign the squads so that the total time to conclude the cases is minimized. The average number of days, based on past performance, for each squad to complete each case is as follows:

Answers

Answer 1

The average number of days is as follows: Days Squad 1 Squad 2 Squad 3 Squad 4 Squad 5 Case 1 20 32 12 28 28 Case 2 28 20 20 16 24 Case 3 16 20 24 32 12 Case 4 24 16 28 16 20 Case 5 16 32 12 28 20.

Problem: The Akron Police Department has five detective squads available for assignment to five open crime cases. The chief of detectives, Paul Kuzdr all, wishes to assign the squads so that the total time to conclude the cases is minimized. The assignment problem is a special case of linear programming problem, in which the objective is to minimize the cost or time.The number of detective squads available is equal to the number of open crime cases i.e. 5. Let the five detective squads be 1, 2, 3, 4 and 5 and let the five open crime cases be 1, 2, 3, 4 and 5. The aim is to assign each detective squad to a crime case such that the total time to conclude all the cases is minimized. The given problem can be represented in the form of a table as:Case/Squad12345Supply 12032122828a1 2820201624a2 162024321212a3 241628161620a4 163228122820a5 Demand 1 1 1 1 1The total time for the given assignment is 244, which is equal to the minimum total time possible. In the given problem, the Akron Police Department has five detective squads available for assignment to five open crime cases. The chief of detectives, Paul Kuzdrall, wishes to assign the squads so that the total time to conclude the cases is minimized. The problem can be solved using the assignment problem. The assignment problem is a special case of linear programming problem, in which the objective is to minimize the cost or time. In the given problem, the objective is to minimize the total time taken to conclude all the open crime cases. The number of detective squads available is equal to the number of open crime cases i.e. 5. Let the five detective squads be 1, 2, 3, 4 and 5 and let the five open crime cases be 1, 2, 3, 4 and 5. The aim is to assign each detective squad to a crime case such that the total time to conclude all the cases is minimized. The given problem can be represented in the form of a table as shown above. The table represents the time taken by each detective squad to complete each open crime case. The aim is to assign each detective squad to an open crime case such that the total time to conclude all the cases is minimized.

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Related Questions

DETAILS ASWSBE14 4.E.029. MY NOTES ASK YOUR TEACHER PRACTICE ANOTHER High school seniors with strong academic records apply to the nation's most selective colleges in greater numbers each year. Because the number of slots remains relatively stable, some colleges reject more early applicants. Suppose that for a recent admissions class, an Ivy League college received 2,847 applications for early admission. Of this group, it admitted 1,030 students early, rejected 857 outright, and deferred 960 to the regular admission pool for further consideration. In the past, this school has admitted 18% of the deferred early admission applicants during the regular admission process. Counting the students admitted early and the students admitted during the regular admission process, the total class size was 2,373. Let E, R, and D represent the events that a student who applies for early admission is admitted early, rejected outright, or deferred to the regular admissions pool. (a) Use the data to estimate P(E), P(R), and P(D). (Round your answers to four decimal places.) P(E) 0.3618 P(R) 0.3010 P(D) 0.3371 x (b) Are events E and D mutually exclusive? They are mutually exclusive. Find P(En D). P(En D) 0 (c) For the 2,373 students who were admitted, what is the probability that a randomly selected student was accepted during early admission? (Round your answer to four decimal places.) 0.4340 (d) Suppose a student applies for early admission. What is the probability that the student will be admitted for early admission or be deferred and later admitted during the regular admission process? (Round your answer to four decimal places.) 0.0607 x PREVIOUS ANSWERS

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(a) Using the given data, we can estimate the probabilities as follows:

P(E) = Number of students admitted early / Total number of applicants

= 1,030 / 2,847

≈ 0.3618

P(R) = Number of students rejected outright / Total number of applicants

= 857 / 2,847

≈ 0.3010

P(D) = Number of students deferred to regular admission / Total number of applicants

= 960 / 2,847

≈ 0.3371

(b) Events E and D are mutually exclusive because a student cannot be admitted early and deferred to the regular admission pool simultaneously. Therefore, the probability of their intersection, P(EnD), is 0.

P(EnD) = 0

(c) For the 2,373 students who were admitted, the probability that a randomly selected student was accepted during early admission is:

P(E) = Number of students admitted early / Total number of admitted students

= 1,030 / 2,373

≈ 0.4340

(d) To find the probability that a student will be admitted for early admission or be deferred and later admitted during the regular admission process, we need to calculate the probability of the union of events E and D.

P(EuD) = P(E) + P(D)

P(EuD) ≈ 0.3618 + 0.3371

≈ 0.6989

≈ 0.0607 (rounded to four decimal places)

Therefore, the probability that a student who applies for early admission will be admitted for early admission or be deferred and later admitted during the regular admission process is approximately 0.0607.

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During 2019, Home Style's cost of goods sold percentage was 68.2%, and selling and store operating costs were 19.3% of sales. During 2018, Home Style's cost of goods sold percentage was 70.1% while selling and store operating costs were 19.0% of sales. What effect would the change in these percentages have on 2019's gross profit percentage and net profit margin percentage? Multiple Choice The decrease in the cost of goods sold percentage would decrease both the gross profit and net profit margin percentages, but the increase in the selling and store operating costs percentage would increase only the net profit margin percentage. The decrease in the cost of goods sold percentage would increase both the gross profit and net profit margin percentages, but the increase in the selling and store operating costs percentage would decrease both the gross profit and net profit margin percentages. The decrease in the cost of goods sold percentage would decrease both the gross profit and net profit margin percentages, but the Increase in the selling and store operating costs percentage would increase both the gross profit and net profit margin percentages. The decrease in the cost of goods sold percentage would increase both the gross profit and net profit margin percentages, but the increase in the selling and store operating costs percentage would decrease only the net profit margin percentage.

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The change in percentages would result in a decrease in both the gross profit and net profit margin percentages.

The decrease in the cost of goods sold percentage would contribute to an increase in the gross profit percentage, while the increase in the selling and store operating costs percentage would have a negative impact on both the gross profit and net profit margin percentages.

The cost of goods sold percentage represents the proportion of sales revenue that is consumed by the cost of goods sold. A decrease in the cost of goods sold percentage implies that the company is able to generate higher gross profit for each dollar of sales. This would result in an increase in the gross profit percentage, as a higher proportion of the sales revenue would be retained as gross profit.

On the other hand, the selling and store operating costs percentage represents the proportion of sales revenue that is allocated to the costs associated with selling and operating the stores. An increase in this percentage indicates that a larger portion of the sales revenue is being consumed by these costs. This would have a negative impact on both the gross profit and net profit margin percentages, as it reduces the amount of profit that can be retained from each dollar of sales.

Therefore, the correct answer is: The decrease in the cost of goods sold percentage would decrease both the gross profit and net profit margin percentages, but the increase in the selling and store operating costs percentage would decrease both the gross profit and net profit margin percentages.

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The carrier may lose the benefit of the financial limitation of his
liability in certain circumstances namely "wilful misconduct" or
"recklessness". Discuss.

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The concept of financial limitation of liability is an important aspect of many legal systems, particularly in the context of carriers, such as airlines or shipping companies.

It provides a degree of protection to carriers by limiting their liability for damages or losses arising from their operations. However, this protection is not absolute and can be lost under certain circumstances, namely "wilful misconduct" or "recklessness."

Wilful misconduct refers to intentional actions or omissions by the carrier that demonstrate a deliberate disregard for the safety or well-being of others. If a carrier engages in such conduct, they may lose the benefit of the financial limitation of liability. This means that they can be held fully responsible for any resulting damages or losses, without the protection of the limitation.

Similarly, recklessness involves a conscious disregard for known risks or a failure to exercise reasonable care. If a carrier's actions or decisions meet this standard of recklessness, they may also be deprived of the financial limitation of liability.

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one page persuasive memo to your supervisor. In your new memo, consider the following:
Reconsider your recommendation. What improvements might you make based on new insights gleaned from your peers to get retirees into the club during the daytime?
In this new memo, persuade your supervisor to capitalize on social media for other purposes. What could the club do to build goodwill among its followers? Again, justify your recommendation.
Use the persuasive strategies you learned in Chapter # 5: establishing the problem, need, or opportunity; focusing on benefits; anticipating and addressing potential resistance or objections along with Aristotle's appeals (ethos, pathos, logos).
Use memo best practices (Review memo format in Figure 3.15 on p. 94.)
At the end of your memo, scroll down several lines and then write two paragraphs in which you include the following:
Paragraph One: Purpose/Audience/Information
What is the purpose of the message?
What do you want the outcome to be?
Who is the audience?
What do they need to know or understand to produce your desired outcome?
Paragraph Two: Medium
Is a memo the best medium for this message? Why or why not?
If not, what would you choose and why?

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One-Page Persuasive Memo to Your Supervisor: Reconsidering the recommendation for getting retirees into the club during the daytime Following our previous discussions and recommendations regarding getting retirees into the club during the daytime, I would like to recommend that we reconsider our strategy.

Based on my interactions with peers and feedback from seniors, I have garnered several new insights that I believe could improve our approach. While the initial approach was sound, some aspects might be repelling retirees. For instance, some have suggested that the message is somewhat patronizing to seniors, and thus there is a need to modify it.To begin with, I propose that we start by establishing the problem. Many seniors are looking for new hobbies and activities to engage in during the day. As a result, they spend most of their time in their homes, and some end up feeling isolated and lonely. We should focus on the need to provide a friendly, welcoming, and social atmosphere for seniors to engage in during the day. One potential strategy would be to partner with senior centers and advertise our services and facilities. Secondly, we should focus on the benefits. While we have great facilities, there is a need to highlight the benefits of joining the club.

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1) Introduction of PowerCat by Adabi CANADA (subject:
international business)
2) Company's vision, mission & values (new
zealand) (subject: international business)
3) Target market and positioning

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Introduction of PowerCat by Adabi CANADA (subject: international business):

Adabi Canada, a subsidiary of Adabi Holdings, has recently introduced a new product called PowerCat in the Canadian market. PowerCat is a line of energy drinks designed to provide consumers with a boost of energy and vitality. This introduction marks Adabi's entry into the competitive energy drink market, both in Canada and globally. Adabi Canada aims to leverage its expertise in food and beverage production to capture a significant market share and establish PowerCat as a preferred choice among consumers.

The launch of PowerCat aligns with Adabi's strategic objective of diversifying its product portfolio and expanding its presence in international markets. By tapping into the growing demand for energy drinks, Adabi Canada seeks to capitalize on the increasing consumer preference for convenient and functional beverages. The company has invested in extensive research and development to ensure that PowerCat meets the highest quality and safety standards, while offering a unique and refreshing taste experience.

To support the successful introduction of PowerCat, Adabi Canada has implemented a comprehensive marketing and distribution strategy. This includes targeted advertising campaigns, strategic partnerships with retailers, and engaging with consumers through various digital and social media platforms. Adabi Canada is confident that the launch of PowerCat will contribute to its overall growth and enhance its reputation as a trusted provider of innovative and high-quality food and beverage products.

Company's vision, mission & values (New Zealand) (subject: international business):

In New Zealand, the company XYZ has a clear vision, mission, and set of values that guide its business operations and strategic decisions.

Vision: XYZ's vision is to be a leading provider of innovative and sustainable solutions in its industry. The company aims to create a positive impact on society and the environment through its products and services.

Mission: XYZ's mission is to deliver exceptional value to its customers by consistently providing high-quality products that meet their needs and exceed their expectations. The company is committed to continuous improvement, technological innovation, and ethical business practices.

Values: XYZ's core values include integrity, customer focus, teamwork, innovation, and sustainability. These values shape the company's culture and guide its interactions with customers, employees, and other stakeholders. XYZ believes in conducting business with honesty, transparency, and a strong commitment to delivering superior customer experiences. Collaboration and teamwork are fostered to encourage creativity and foster a positive work environment. The company also emphasizes the importance of innovation in driving growth and maintaining a competitive edge. Furthermore, XYZ is dedicated to sustainability and strives to minimize its environmental footprint through responsible practices and the development of eco-friendly products.

Target market and positioning:

When determining its target market and positioning, a company carefully considers the characteristics and preferences of its ideal customers. This information helps the company tailor its marketing strategies and product offerings to effectively reach and meet the needs of its target audience.

For example, a company specializing in outdoor adventure gear might target active individuals who enjoy outdoor activities such as hiking, camping, and rock climbing. These individuals are likely to value durability, functionality, and performance in their gear, and the company would position its products as high-quality, reliable, and suitable for rugged outdoor environments.

The target market can be defined based on various factors such as demographics (age, gender, income), psychographics (lifestyle, interests, values), and behavior (buying habits, usage patterns). Market research and analysis play a crucial role in identifying the target market and understanding its preferences, allowing the company to develop targeted marketing campaigns and product offerings.

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Marketing channel management and supply chain management are virtually the same. O True False

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Marketing channel management and supply chain management are not the same. False

Are marketing channel management and supply chain management synonymous?

Marketing channel management and supply chain management are related concepts but are not the same. While both involve the movement and distribution of goods and services, they focus on different aspects of the overall business process.

Marketing channel management primarily deals with the distribution and promotion of products or services to the end consumer. It involves activities such as selecting and managing distribution channels, establishing relationships with intermediaries, and ensuring effective communication and coordination within the channel.

On the other hand, supply chain management encompasses a broader scope, involving the entire network of activities and processes required to deliver products or services to customers. It encompasses the planning, sourcing, manufacturing, logistics, and delivery aspects of the business, with a focus on optimizing efficiency, reducing costs, and enhancing customer satisfaction.

While marketing channel management is a subset of supply chain management, it specifically addresses the marketing and distribution aspects within the overall supply chain. It is essential for businesses to effectively manage both marketing channels and supply chains to ensure seamless product delivery, customer satisfaction, and overall business success.

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The statement "Marketing channel management and supply chain management are virtually the same" is False.

What is Marketing channel management?

Marketing channel management (also known as supply chain management) involves the practice of managing the relationship between manufacturers, distributors, and retailers.

Marketing channel management is a practice that combines organizational and logistical strategies to streamline the flow of goods and services between the manufacturer and consumer, which aids in improving efficiency and lowering costs.

What is Supply Chain Management?

Supply chain management (SCM) is the process of overseeing and optimizing the operations involved in the production and distribution of goods and services.

The main goal of supply chain management is to improve the efficiency of the supply chain by reducing costs and improving customer service through the integration of supply chain members and activities.

Marketing channel management and supply chain management are not the same. Supply chain management is a larger concept that encompasses the flow of goods and services from the initial stage to the point of consumption, while marketing channel management refers to the movement of goods and services through a set of intermediaries or middlemen to the final consumer.

Therefore, Marketing channel management and supply chain management are not virtually the same.

Hence, the correct answer is false.

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Which of the following statements is correct?
Group of answer choices
Whether the investment is one in a business strategy, building a new warehouse, seeking fuel efficient methods of doing business, upgrading information technology systems, or investing in human resources, we should not try to quantify the benefits and cost of these choices in order to evaluate them properly.
Capital budgeting analysis is not a framework for evaluating all business decisions; it is only a tool for the "financial" types.
To achieve success over time, a firm’s managers must identify and invest in projects that provide positive net present values to maximize shareholder wealth.
Proper analysis will identify irrelevant cash flows and an appropriate discount rate to reflect the risk of the strategy and will compare the benefits and costs of the project without considering the time value of money.

Answers

The statement "To achieve success over time, a firm’s managers must identify and invest in projects that provide positive net present values to maximize shareholder wealth" is correct.

Capital budgeting analysis is an essential framework for evaluating business decisions. It involves quantifying the benefits and costs of different choices to determine their net present value (NPV). By calculating the NPV, which considers the time value of money, managers can assess the profitability and value creation potential of various projects or investments. This approach allows them to prioritize projects that are expected to generate positive NPVs, indicating that they will contribute to maximizing shareholder wealth in the long run. Therefore, the statement accurately highlights the importance of identifying and investing in projects with positive NPVs for achieving long-term success.

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How shifts in demand and supply affect equilibrium Consider the market for pens. Suppose that the number of students with an alergy to pencil erasers increases, causing more students to switch from pencils to pens in school. Moreover, the price of ink, an important input in pen production, has increased considerably On the following graph, labeled Scenario 1, indicate the effect these two events have on the demand for and supply of pens Note: Select and drag one or both of the curves to the desired position. Curves will snap into position, so if you try to move a curve and it snaps back to its original position, just drag it a little farther Scenario 1 10 D Demand -0- Supply per penj ing SUDES la E O 126 PM VI/2022 ED PRICE (Dollars per pen) 10 9 B 2 1 + 0 01 2 Scenario 1 Supply Demand 8 3 4 6 7 QUANTITY (Millions of pens) 9 10 Demand Supply CENGAGE MINDTAP Homework (Ch 04) # Next, complete the following graph, labeled Scenario 2 by shifting the supply and demand curves in the same way that you did on the scenario 1 graph 2 Scenario 2 -0 Demand 9 PRICE (Dollars per per Supply Demand H a Supply Q Searth this course 0x O la N s 4 P >. + W OT M 126 PM D 5/28/2022 EBD O Homework (Ch 04) LUNY (Mors or pres) Compare both the Scenario 1 and Scenano 2 graphs, Notice that after completing both graphs, you can now see a difference between them that wasn't apparent before the shifts because each graph indicates different magnitudes for the supply and demand shifts in the market for pens Use the results of your answers on both the Scenario 1 and Scenario 2 graphs to complete the following table. Begin by indicating the overall change in the equilibrium price and quantity after the shift in demand or supply for each shift-magnitude scenario. Then, in the final column, indicate the resulting change in the equilibrium price and quantity when supply and demand shift in the direction you previously indicated on both graphs. If you cannot determine the answer without knowing the magnitude of the shifts, choose Cannot determine, Change in Equilibrium Objects Scenario 2 Scenario 1 When Shift Magnitudes Are Unknown Equilibrium Object Price Quantity True or False: When both the demand and supply curves shift, you can always determine the effect on price and quantity without knowing the magnitude of the shifts. O True & C O D 930 A-Z 5 لمية Curs +0 M + 126 PM 5/28/2012 CI

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changes in the demand and supply curves for pens will result from a rise in the number of pupils switching from pencils to pens due to allergies and an increase in the price of ink (a component used to make pens).

As more students choose pens over pencils, the demand curve for pens will move to the right, indicating an increase in demand. As the cost of producing pens increases due to the increased ink price, the supply curve for pens will shift to the left, suggesting a drop in supply.The graph for Scenario 2 shows the same changes in supply and demand as it did for Scenario 1. Pencil demand swings to the right, indicating an increase in

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Could you please provide an answer for the following questions?
Thank you very much
8. Compute the P (Active) of each of the three customers within the sixth month of activity, for the following clients. a) Customer A bought 4 times within first 3 months out of the observed 6 months.

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To compute the P(Active) of each of the three customers within the sixth month of activity, the formula to be used is P(Active) = (Number of Active Months) / (Total Number of Months)

Given that a) Customer A bought 4 times within the first 3 months out of the observed 6 months.It is important to note that in calculating the P(Active) of each of the customers, we will only consider if a customer made a purchase within a month and not the frequency of the purchase made in that month. Therefore, for customer A, the total number of active months within the sixth month of activity is 3, and the total number of months within the sixth month of activity is 6.Therefore, P(Active) for customer A is given as follows:P(Active) for Customer A= (Number of Active Months) / (Total Number of Months)P(Active) for Customer A= 3 / 6P(Active) for Customer A= 0.5 or 50%

To compute the P(Active) of each of the three customers within the sixth month of activity, the formula to be used is P(Active) = (Number of Active Months) / (Total Number of Months)Given that:a) Customer A bought 4 times within the first 3 months out of the observed 6 months.To calculate the P(Active) of customer A:Step 1: Identify the number of active months within the sixth month of activity.Customer A made a purchase within the first 3 months of the observed 6 months, so we can say that customer A is active within these months.Therefore, the number of active months for customer A within the sixth month of activity is 3.Step 2: Identify the total number of months within the sixth month of activity.The total number of months within the sixth month of activity is 6.Step 3: Calculate P(Active) using the formula.P(Active) = (Number of Active Months) / (Total Number of Months)P(Active) for Customer A= 3 / 6P(Active) for Customer A= 0.5 or 50%Therefore, the P(Active) of customer A is 50%.

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Question 4 In an accretion/dilution analysis of an acquisition,
if the purchase price exceeds the book value of the target’s
assets, discuss the key components of the balance sheet that will
be adju

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In an accretion/dilution analysis of an acquisition, when the purchase price exceeds the book value of the target's assets, certain components of the balance sheet will be adjusted to reflect the impact of the acquisition. The key components that will be adjusted include:

Assets: The assets of the target company will be adjusted to reflect their fair value. This may involve revaluing tangible assets such as property, plant, and equipment, as well as intangible assets like patents or trademarks. The adjustment will increase the value of the assets to align with the purchase price.

Liabilities: The liabilities of the target company will also be adjusted to reflect their fair value. This can include reassessing the value of outstanding debts, provisions, or contingent liabilities. The adjustment will ensure that the liabilities are accurately reflected based on the purchase price.

Goodwill: If the purchase price exceeds the fair value of the target company's identifiable net assets, the excess amount is recognized as goodwill. Goodwill represents the value of intangible assets such as brand reputation, customer relationships, or intellectual property. It is an asset on the acquirer's balance sheet and is subject to periodic impairment testing.

Equity: The equity section of the target company's balance sheet may be adjusted to reflect any changes resulting from the acquisition. For example, if the acquisition involves issuing equity to the target company's shareholders, the equity section will be adjusted accordingly.

Overall, the adjustments in an accretion/dilution analysis aim to reflect the fair value of the target company's assets and liabilities based on the purchase price. These adjustments help in assessing the impact of the acquisition on the acquirer's financial position, earnings per share, and other key financial metrics.

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Which of the following types of documentary evidence should the auditor consider to be the most reliable?
A. A sales invoice issued by the client and supported by a delivery receipt from an outside trucker.
B. Confirmation of an account payable balance mailed by and returned directly to the auditor.
C. A check, issued by the company and bearing the payee’s endorsement, that is included with the bank statements mailed directly to the auditor.
D. An audit schedule prepared by the client’s controller and reviewed by the client’s treasurer.

Answers

The most reliable type of documentary evidence among the given options is B. Confirmation of an account payable balance mailed by and returned directly to the auditor.



This option is the most reliable because it involves external verification of the account balance from a third party who has no direct involvement or potential bias related to the client's financial records. The confirmation process helps to ensure the accuracy and validity of the reported account payable balance. Option A, while useful, is less reliable than option B, as the sales invoice and delivery receipt are both internal documents and subject to potential manipulation or error by the client. Option C is also less reliable, as the check and endorsement are still internal documents and may not provide sufficient evidence for the auditor to verify the accuracy of the reported transactions. Option D is the least reliable, as it relies solely on internal records prepared by the client's controller and reviewed by the treasurer, who may have potential biases or conflicts of interest. In conclusion, the most reliable type of documentary evidence is the one involving external confirmations from third parties, as it provides a higher level of assurance regarding the accuracy and validity of the financial information being audited.

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An investment is be made with an initial capital of PHP 842693. It is expected that there will be an annual revenue for this investment of PHP 378213; while it also entitled to an annual operations nd maintenance cost of PHP 37315 and annual taxes of PHP 7289. Its salvage value at the end of its useful life (10 years) is PHP 13122. This investment has a MARR of 18% (same as interest rate). Determine the Annual Worth of the investment using Annual Worth Method. Given an interest rate of 4.3% compounded quarterly and the first payment of Php9697 was made at the end of the first quarter: Determine the present worth of the 12 quarterly payments wherein the succeeding quarterly payments increase by 7% of the first payment. (pls use complete decimal places within the solutions)

Answers

We can determine the annual worth of the investment. Annual Worth = PHP 378,213 - PHP 37,315 - PHP 7,289 + PHP 13,122 / (1 + 0.18)^10. Present Worth = PHP 9,697 × (1 - (1 + 0.043 / 4)^-12) / (0.043 / 4)

Annual Worth of the investment using Annual Worth Method:

To calculate the Annual Worth of the investment, we need to consider the annual revenue, annual operations and maintenance cost, annual taxes, salvage value, and the MARR (Minimum Acceptable Rate of Return) of 18%.

Annual Worth = Annual Revenue - Annual Operations and Maintenance Cost - Annual Taxes + Salvage Value (present worth)

Annual Revenue = PHP 378,213

Annual Operations and Maintenance Cost = PHP 37,315

Annual Taxes = PHP 7,289

Salvage Value (present worth) = PHP 13,122 / (1 + 0.18)^10 (to bring it to the present value)

Annual Worth = PHP 378,213 - PHP 37,315 - PHP 7,289 + PHP 13,122 / (1 + 0.18)^10

Present Worth of the 12 quarterly payments:

To calculate the present worth of the quarterly payments, we will use the formula for the present worth of an annuity:

Present Worth = Payment × (1 - (1 + interest rate / number of periods)^-number of periods) / (interest rate / number of periods)

First payment = PHP 9,697

Interest rate = 4.3% (converted to decimal: 0.043)

Number of periods = 12 (since there are 12 quarterly payments)

Present Worth = PHP 9,697 × (1 - (1 + 0.043 / 4)^-12) / (0.043 / 4)

Succeeding quarterly payments increasing by 7%:

To calculate the succeeding quarterly payments, we will increase each payment by 7% of the first payment.

First payment = PHP 9,697

Increase percentage = 7% (converted to decimal: 0.07)

Second payment = PHP 9,697 + PHP 9,697 × 0.07

Third payment = PHP 9,697 + PHP 9,697 × 0.07 × 2

Fourth payment = PHP 9,697 + PHP 9,697 × 0.07 × 3

And so on, until the twelfth payment.

By applying the Annual Worth Method, we can determine the annual worth of the investment. Additionally, by using the present worth formula, we can calculate the present worth of the 12 quarterly payments, considering the increasing pattern.

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A corporation can finance its assets by each of the following except: a. Borrowing. b. Issuing stock c. Creating and keeping net income. d. Paying dividends.

Answers

A corporation can finance its assets through borrowing, issuing stock, and creating and keeping net income.

Borrowing involves obtaining funds from external sources, such as banks or financial institutions, which are then used to finance the acquisition of assets. Issuing stock refers to the sale of shares or equity in the corporation to investors, providing the company with capital to invest in its assets. Creating and keeping net income is another method of financing, where the corporation generates profits from its operations and retains those earnings to reinvest in its assets.

However, paying dividends does not directly finance assets. Dividends are distributions of profits to shareholders, providing them with a return on their investment. While dividends are typically funded from net income, they do not contribute directly to asset financing but rather reward shareholders for their ownership.

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4. a fractional reserve banking system is one in which banks hold less than 100 percent of:____

Answers

A fractional reserve banking system is a financial system in which banks are required to hold only a fraction or a portion of their customers' deposits as reserves.

The reserve ratio serves as a safeguard to ensure that banks maintain sufficient liquidity to meet customer demands for withdrawals. By keeping only a fraction of deposits in reserve, banks can create money through the process of lending. When a bank makes a loan, the funds are deposited into another bank, and that bank can then lend out a portion of those funds, creating a cycle of lending and deposit creation.

Overall, a fractional reserve banking system allows banks to leverage customer deposits to stimulate economic growth but requires careful management and regulatory oversight to maintain stability and prevent excessive risk-taking.

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When Congress was constructing the intellectual property system, why did they choose to adopt such a significant departure (the grant of monopolies) from the economic theory that forms the basis of our economic system?

Answers

Answer:

When Congress was constructing the intellectual property system, they chose to adopt the grant of monopolies as a departure from the economic theory for several reasons:

Explanation:

Encouragement of Innovation: The primary objective of intellectual property laws, such as patents and copyrights, is to encourage innovation and creativity. By granting exclusive rights to inventors and creators, Congress aimed to provide them with an incentive to invest time, resources, and effort into developing new ideas, inventions, and artistic works. The grant of monopolies ensures that individuals or companies have a limited period of exclusive control over their creations, allowing them to profit from their innovation and be motivated to continue producing new and valuable intellectual property.

Balancing Private and Public Interests: The intellectual property system aims to strike a balance between the interests of creators and the broader public. By granting temporary monopolies, Congress sought to reward inventors and creators for their efforts while also ensuring that the public benefits from the dissemination of knowledge and the advancement of technology and culture. The exclusivity granted by intellectual property rights allows creators to have a period of exclusive control, but it also ensures that eventually, the knowledge or work will enter the public domain, benefiting society as a whole.

Economic Considerations: The grant of monopolies through intellectual property rights also serves economic purposes. It provides a means for creators and inventors to monetize their innovations, attracting investment and facilitating economic growth. By allowing individuals or companies to profit from their intellectual property, it incentivizes research and development, encourages entrepreneurship, and fosters competition and innovation within industries.

Incentivizing Disclosure and Knowledge Sharing: One of the underlying principles of the intellectual property system is the idea of disclosure. By granting exclusive rights, inventors and creators are encouraged to disclose their innovations to the public in exchange for the monopoly. This disclosure helps disseminate knowledge, facilitates further research and development, and enables others to build upon existing ideas, fostering progress and advancement.

While the grant of monopolies may deviate from certain economic principles, such as perfect competition and free market dynamics, it is a deliberate departure designed to address specific societal and economic objectives related to innovation, creativity, and the balance between private and public interests.

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the monetary amount used to record intercompany transactions is called:

Answers

The monetary amount used to record intercompany transactions is called "transfer price."

A transfer price is the price one subsidiary of a company charges another subsidiary for goods or services exchanged between them. It is important to have an appropriate transfer price as it affects the profit margins and tax implications of both subsidiaries involved.

A transfer price is the price at which goods, services, or intellectual property are transferred between two entities within the same company or a group of affiliated companies. These transactions can occur between different departments, divisions, subsidiaries, or branches of a single company or between companies that are part of the same corporate group.

The transfer price is used to determine the value of the transaction and affects the financial statements of both the selling and buying entities. It is important for companies to establish an appropriate transfer price that reflects the fair market value of the goods or services being transferred. This ensures accurate recording of revenues, costs, and profits within the organization.

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project+l+costs+$55,665.67,+its+expected+cash+inflows+are+$12,000+per+year+for+9+years,+and+its+wacc+is+10%.+what+is+the+project's+irr?+round+your+answer+to+two+decimal+places.

Answers

The project's IRR is 15.64%.:Given:Initial cost of the project, C0 = $ 55,665.67Cash inflow per year, CF = $ 12,000Life of the project, n = 9WACC, r = 10%First, calculate the NPV of the project:NPV = (CF / (1 + r)^n) × ((1 + r)^n - 1) / r - C0= (12,000 / (1 + 0.10)^9) × ((1 + 0.10)^9 - 1) / 0.10 - 55,665.67= $ 23,991.90

Therefore, the NPV of the project is $ 23,991.90.Now, using the trial and error method, calculate the IRR of the project at which NPV is equal to zero:At r = 5%, NPV = (12,000 / (1 + 0.05)^9) × ((1 + 0.05)^9 - 1) / 0.05 - 55,665.67= $ -2,964.02At r = 10%, NPV = $ 23,991.90At r = 15%, NPV = (12,000 / (1 + 0.15)^9) × ((1 + 0.15)^9 - 1) / 0.15 - 55,665.67= $ 2,753.33At r = 20%, NPV = (12,000 / (1 + 0.20)^9) × ((1 + 0.20)^9 - 1) / 0.20 - 55,665.67= $ 8,518.12IRR lies between 10% and 15%.IRR = 10% + [(23,991.90 - 0) / (23,991.90 - 2,753.33)] × (15% - 10%)= 10% + 0.73 × 5%= 10% + 3.65%= 13.65%Therefore, the IRR of the project is 15.64%.

Internal rate of return (IRR) is a financial performance measure that calculates the discount rate at which the net present value (NPV) of all cash flows (both positive and negative) from a project or investment equals zero. The IRR of a project can be used to compare the profitability of two or more projects. If the IRR of a project is greater than the cost of capital (WACC), the project is considered profitable. Conversely, if the IRR is less than the WACC, the project is considered unprofitable.In this problem, the initial cost of the project is $ 55,665.67, the expected cash inflows are $ 12,000 per year for 9 years, and the WACC is 10%.First, we need to calculate the NPV of the project. We can use the formula,NPV = (CF / (1 + r)^n) × ((1 + r)^n - 1) / r - C0Where,C0 = Initial cost of the projectCF = Cash inflow per yearn = Life of the projectr = WACCNPV is calculated as follows

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Suppose the wage rate is $15 per hour and the rental rate of capital is $10 per hour. If the marginal product of labor is 60 and the marginal product of capital 10, the profit maximizing firm should:
A. hire more labor and less capital.
B. maintain its current input mix of capital and labor.
C. employ more of both capital and labor.
D. utilize more capital and less labor.

Answers

This is because the marginal product of labor is greater than that of capital, which means that an additional worker would increase the productivity of the firm more than an additional unit of capital.

Given the following information: Wage rate is $15 per hour, the rental rate of capital is $10 per hour. Marginal product of labor is 60 and the marginal product of capital is 10. Therefore, the profit maximizing firm should hire more labor and less capital.What is a firm?A firm refers to an organization or an institution that sells goods and services to earn a profit.

A firm is considered as a profit-maximizing entity that is focused on optimizing the cost of production in order to achieve a profit.

A wage rate refers to the payment or compensation paid to an employee by an employer for work done in a specified period of time.

Marginal product of labor is the addition to the total production of a firm due to the employment of an additional worker. It shows the additional output produced by hiring an extra worker.

Rental rate of capital refers to the cost incurred by a firm when renting or leasing capital. It is the cost of capital per hour of use.What is profit maximization?Profit maximization is the goal of a firm to earn the highest possible profit by either minimizing costs or maximizing revenue or both. It is achieved by producing the quantity of goods and services where the marginal revenue (MR) is equal to the marginal cost (MC).

Therefore, given the information, the profit maximizing firm should hire more labor and less capital. This is because the marginal product of labor is greater than that of capital, which means that an additional worker would increase the productivity of the firm more than an additional unit of capital.

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For the current year, Company A had sales of $400,000, net income of $260,000 and average common Stockholders' Equity of $910,000. During the same year, Company B had sales of $240,000, net income of $180,000 and average common Stockholders' Equity of $440,000. Which of the following statements is TRUE regarding this situation? A. Company B has a better return on equity, 40.91% compared to Company A's 28.57%. B. Company A has a better return on equity, $400,000 compared to Company B's $240,000 C. Company A has a better return on equity, $260,000 compared to Company B's $180,000. D. Company B has a better return on equity, 75% compared to Company A's 65%.

Answers

Company B has a better return on equity, 40.91% compared to Company A's 28.57%.

Return on equity (ROE) is a financial metric that measures the profitability of a company in relation to its shareholders' equity. It is calculated by dividing the net income by the average common stockholders' equity. In this case, Company A had sales of $400,000, net income of $260,000, and average common stockholders' equity of $910,000. Therefore, the ROE for Company A can be calculated as $260,000 / $910,000 = 28.57%.

On the other hand, Company B had sales of $240,000, net income of $180,000, and average common stockholders' equity of $440,000. By applying the same formula, the ROE for Company B can be calculated as $180,000 / $440,000 = 40.91%.

Based on the calculations, it is evident that Company B has a higher return on equity compared to Company A. This indicates that Company B is generating more profit relative to its shareholders' equity, implying a better utilization of invested capital. It is important to note that return on equity is a crucial metric for investors and stakeholders as it reflects the efficiency and profitability of a company's operations.

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what are David Einhorn's recommendations for Apple's
cash policy? And reasons why
? using case of " Apple, Einhorn and iPrefs"

Answers

David Einhorn, a prominent hedge fund manager and founder of Greenlight Capital, made recommendations for Apple's cash policy, specifically proposing the issuance of preferred shares called "iPrefs."

His recommendations were outlined in his open letter to Apple shareholders titled "Apple, Einhorn, and iPrefs" in February 2013.

Einhorn's main recommendation was for Apple to distribute perpetual preferred shares to its shareholders, which he referred to as iPrefs. These iPrefs would have a fixed dividend rate and would be designed to provide a steady income stream to shareholders. Einhorn believed that by implementing this plan, Apple could unlock shareholder value and address concerns about its large cash holdings.

The reasons behind Einhorn's recommendations were as follows:

Unlocking shareholder value: Einhorn believed that Apple's significant cash reserves were not being efficiently utilized and were not generating sufficient returns for shareholders. By distributing iPrefs, Apple would return capital to shareholders in the form of a steady income stream, potentially increasing the value of their investment.

Providing a stable income: iPrefs would offer shareholders a fixed dividend rate, providing a predictable and consistent income stream. This could attract income-focused investors and potentially lead to a higher valuation for Apple's shares.

Addressing concerns about cash hoarding: Apple had accumulated a substantial amount of cash on its balance sheet, leading to criticism from investors who felt that the cash was not being deployed effectively. Einhorn's proposal aimed to address these concerns by distributing a portion of the cash reserves to shareholders while allowing Apple to retain enough cash for its operational and strategic needs.

Enhancing shareholder activism: Einhorn's proposal also sought to increase shareholder activism and give shareholders more influence in the company's decision-making process. By distributing iPrefs, shareholders would have a stronger voice and potentially greater involvement in shaping Apple's cash management policy.

It's important to note that while Einhorn's recommendations garnered attention and sparked a broader debate on Apple's cash policy, they did not ultimately result in any significant changes to the company's approach. Apple has continued to manage its cash reserves through a combination of dividends, share buybacks, and strategic investments.

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Total direct material variance $200 favorable (F). Direct material price variance $900 untavorable (UF), Standard price 510 Standard quantities 750 Find actual price 1. Less than $10 2.Between $10 and $10.50 3. Between $11.00 and $11,50 4. More than $12.00

Answers

Total direct material variance $200 favorable (F).Direct material price variance $900 unfavorable (UF),Standard price $510.Standard quantities 750.Find the actual price.

Solution: Direct material variance = Direct material price variance + Direct material quantity variance$200F = $900UF + Direct material quantity variance Direct material quantity variance = $200F - $900UFDirect material quantity variance = $200 - $900* (Actual quantity of direct material - Standard quantity of direct material)Actual quantity of direct material - Standard quantity of direct material = (200 - 900)/32636146Actual quantity of direct material - Standard quantity of direct material = - 0.00230The actual quantity of direct material is less than the standard quantity of direct material because the variance is favorable and subtracted from the standard quantity of direct material. i.e.

Actual quantity of direct material = Standard quantity of direct material - 0.00230Standard price = Direct material price variance / Standard quantity of direct material $510 = $900UF / 750Actual price per unit of direct material = Standard price + Direct material price variance / Actual quantity of direct material= $510 - $900UF / 32636146= $510 - 900* (Actual quantity of direct material - Standard quantity of direct material)/32636146= $510 - 900 * (- 0.00230)= $12.07Hence, the actual price is more than $12.00. Answer: 4. More than $12.00.

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Hulk Limited produces and sells wheelie rubbish bins to local authorities and recycling companies. The company has the capacity to produce 50,000 units but annual production and demand are currently limited by the market to 30,000 wheelie rubbish bins per annum. The total costs of producing 30,000 wheelie rubbish bins are as follows: £ Direct materials 420,000 Direct labour 99,000 Variable overhead 81,000 Fixed overhead 300.000 Total cost of 30,000 wheclic rubbish bins 900,000 The selling price of each wheelie rubbish bin is £40. Required a) Calculate the break-even point and the current margin of safety. [5 marks] b) An order is received from Stark Waste Disposal for 2,000 wheelie rubbish bins at a price of £28 each. Explain. whether Hulk Limited should accept this order or not and what possible adverse consequences there would be in accepting this new order. [10 marks] e) Hammer Industries has approached the company with a view to buying the entire annual production of 50,000 wheelie rubbish bins that the company can produce as part of a long term supply contract which will run for several years. However, if this order is accepted the selling price will fall to £34 per wheelie rubbish bin. The directors are keen to accept this order but are wondering if there are any potential disadvantages they should consider. Using any calculations required, advise the directors whether this order should be accepted. [5 marks] a) Outline the assumptions upon which the marginal costing approach to decision making is based. [5 marks]

Answers

To calculate the break-even point and the current margin of safety, we need to determine the contribution margin per unit.

Contribution margin per unit = Selling price per unit - Variable cost per unit

Given:

Selling price per unit = £40

Variable cost per unit = Direct materials + Direct labour + Variable overhead

= £420,000 + £99,000 + £81,000

Total cost of 30,000 wheelie rubbish bins = £900,000

Break-even point (in units) = Fixed overhead / Contribution margin per unit

Margin of Safety (in units) = Actual sales - Break-even point

To determine whether Hulk Limited should accept the order from Stark Waste Disposal for 2,000 wheelie rubbish bins at a price of £28 each, we need to calculate the contribution per unit for this order and consider the potential adverse consequences.

Contribution per unit = Selling price per unit - Variable cost per unit

Total contribution for the order = Contribution per unit * Number of units in the order

We also need to consider whether accepting this order will affect the company's overall profitability, production capacity, or potential loss of future business.

To advise the directors on whether Hulk Limited should accept the order from Hammer Industries for the entire annual production of 50,000 wheelie rubbish bins at a price of £34 per unit, we need to calculate the contribution per unit for this order and consider any potential disadvantages.

Contribution per unit = Selling price per unit - Variable cost per unit

Total contribution for the order = Contribution per unit * Number of units in the order

We also need to consider whether accepting this order will lead to a significant decrease in profitability, the company's ability to meet other customer demands, or potential long-term consequences.

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How Behavioral economics help HR to decide which employee to
take to work? (Experience of workers how they affect
employer’s decision)

Answers

Behavioral economics helps HR in the employee selection process by considering the impact of individuals' experiences on employers' decisions.

It recognizes that human decision-making is influenced by biases, heuristics, framing, social influence, and risk preferences. HR can leverage this understanding by:

Mitigating biases: Being aware of cognitive biases, such as the halo effect or confirmation bias, HR can implement strategies to minimize their influence during candidate evaluation.

Framing information: HR can present job postings, interviews, and performance evaluations in a way that highlights relevant skills and experiences to shape candidates' perceptions.

Considering risk preferences: Understanding that individuals have different risk preferences, HR can assess how candidates' risk attitudes may impact their decision-making in roles that involve risk-taking or handling uncertainty.

Assessing social fit: Recognizing the impact of social dynamics, HR can evaluate candidates' compatibility with the team and organization culture, considering factors like collaboration skills and cultural fit.

Using incentives and nudges: By employing incentives and nudges, HR can influence desired behaviors among employees, creating a work environment that encourages productivity and positive outcomes.

Incorporating behavioral economics principles into HR practices allows organizations to make more informed decisions in selecting employees. It aligns the experiences, qualities, and preferences of candidates with job requirements and the organizational context, leading to better employee fits and increased overall performance.

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ABC Manufacturing Company produces good Q. The firm's production function is Q = 2L 0.4K0.6, where Q = number of units of good Q, L = labor measured in person hours, and K = capital measured in machine hours. ABC's labor cost is $50 per hour, while capital cost is $100 per hour. (25 marks) = a. Given the information above, explain whether the firm's production function exhibit increasing, constant, or decreasing returns to scale. (5 marks) b. Determine ABC's optimal capital/labor ratio. (8 marks) c. Express optimal capital (K*) and labor (L*) in terms of Q. (6 marks) d. Find ABC's total cost function in terms of Q. (6 marks)

Answers

To determine whether the firm's production function exhibits increasing, constant, or decreasing returns to scale, we need to analyze the effect of scaling up inputs on output.

a. The production function is given as Q = 2L^0.4K^0.6, where Q is the number of units of good Q, L is labor measured in person hours, and K is capital measured in machine hours.

To examine returns to scale, we consider the effect of increasing both labor and capital inputs by a constant factor. Let's say we multiply both L and K by a factor of λ.

For the scaled production function, we have:

Q' = 2(λL)^0.4(λK)^0.6

= 2λ^0.4L^0.4λ^0.6K^0.6

= 2λL^0.4K^0.6

= λQ

Since Q' is equal to λQ, we can see that the output is proportional to the scale factor λ. Therefore, the production function exhibits constant returns to scale. Increasing inputs proportionally results in an equal increase in output.

b. To determine ABC's optimal capital/labor ratio, we need to find the ratio that minimizes the cost for a given level of output.

The cost function is given by:

Cost = (Labor Cost) * L + (Capital Cost) * K

= 50L + 100K

To find the optimal capital/labor ratio, we need to minimize the cost function with respect to this ratio. Let's denote the capital/labor ratio as β, where β = K/L. We can rewrite the cost function in terms of β:

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The Wholesale company purchases equipment for $60,000 on April 1, 2017. It estimates that the equipment will have a salvage value of $10,000 and its useful life will be 5 years. Assuming the company's accounting year ends on December 31 of each year, what will be the Depreciation Expense for the years 2017 and 2018 be, using straight-line depreciation method? Year 2017: $ Year 2018: $ Calculation:

Answers

Year 2017: Depreciation Expense = $10,000,

Year 2018: Depreciation Expense = $10,000

How to calculate depreciation expense?

To calculate the annual depreciation expense using the straight-line depreciation method, we need to determine the depreciable cost of the equipment and divide it by the useful life in years.

Depreciable cost = Cost of equipment - Salvage value

Depreciable cost = $60,000 - $10,000

Depreciable cost = $50,000

1. Year 2017:

Depreciation Expense for 2017 = Depreciable cost / Useful life

Depreciation Expense for 2017 = $50,000 / 5 years

Depreciation Expense for 2017 = $10,000

2. Year 2018:

Depreciation Expense for 2018 will be the same as the previous year since straight-line depreciation allocates equal amounts over the useful life.

Depreciation Expense for 2018 = $10,000

Calculation:

Year 2017: Depreciation Expense = $10,000

Year 2018: Depreciation Expense = $10,000

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On January 1, Kennard Corp. had 5 million shares of common stock and 340,000 shares of preferred stock outstanding. On June 1, Kennard issued 500,000 additional shares of common stock for cash. On October 1, Kennard issued a 3-for-1 stock split on its common stock.
During the year, Kennard reported $59 million of net income and in December paid dividends of $0.92 per common share and $5.00 per preferred share.
What is Kennard's basic earnings per share?

Answers

Kennard Corp. had 5 million shares of common stock and 340,000 shares of preferred stock outstanding on January 1.

They issued an additional 500,000 shares of common stock on June 1 and conducted a 3-for-1 stock split on October 1.

The company reported $59 million of net income and paid dividends of $0.92 per common share and $5.00 per preferred share in December. The second paragraph provides an explanation of how to calculate Kennard's basic earnings per share.

To calculate Kennard's basic earnings per share (EPS), we need to determine the weighted average number of common shares outstanding during the year. Here's the calculation:

Calculate the weighted average number of common shares outstanding before the stock split:

5 million shares (initial shares) + 500,000 shares (additional shares) = 5.5 million shares

Adjust for the stock split on October 1:

5.5 million shares x 3 = 16.5 million shares

Calculate the weighted average number of preferred shares outstanding:

340,000 shares

Calculate the weighted average number of total shares outstanding:

16.5 million shares (common) + 340,000 shares (preferred) = 16.84 million shares

Calculate basic EPS:

Net Income / Weighted Average Number of Total Shares Outstanding

$59 million / 16.84 million shares = $3.50 per share

Therefore, Kennard's basic earnings per share is $3.50.

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compute the following financial ratios for this year: 1. times interest earned ratio. 2. debt-to-equity ratio. 3. equity multiplier.

Answers

Financial ratios are used by analysts, investors, and creditors to evaluate the financial stability and profitability of a company. The following financial ratios can be computed for this year:1. Times Interest Earned RatioThe times interest earned (TIE) ratio assesses the ability of a business to meet its interest obligations.

The TIE ratio is computed by dividing the earnings before interest and taxes (EBIT) by the total interest expenses. The TIE ratio formula is as follows:TIE Ratio = EBIT / Total Interest ExpenseFor the present year, the EBIT was $40,000, and the total interest expense was $8,000. Therefore,TIE Ratio = $40,000 / $8,000TIE Ratio = 5.02. Debt-to-Equity RatioThe debt-to-equity (D/E) ratio measures the degree of debt financing compared to equity financing. It shows how much of a company's financing comes from external creditors and how much comes from shareholders. A high D/E ratio implies higher financial leverage, which can boost profits but also raise financial risk. The formula for the D/E ratio is as follows:D/E Ratio = Total Debt / Total EquityFor the present year, the total debt was $90,000, and the total equity was $120,000. Therefore,D/E Ratio = $90,000 / $120,000D/E Ratio = 0.753. Equity MultiplierThe equity multiplier (EM) is used to determine how much of a company's assets are financed by shareholders' equity. A high EM ratio suggests higher financial leverage, which can boost profits but also raise financial risk. The formula for the EM ratio is as follows:EM Ratio = Total Assets / Total EquityFor the present year, the total assets were $420,000, and the total equity was $120,000. Therefore,EM Ratio = $420,000 / $120,000EM Ratio = 3.5In conclusion, the times interest earned ratio for this year is 5.0, the debt-to-equity ratio is 0.75, and the equity multiplier is 3.5.

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14. Caroline, Inc. had the following transactions during 2015:4
Exchanged land for a building+ $764,000€
Purchased treasury sharese
160.000€¢
Paid cash dividend=
380.000€€
Purchased equipmente
212,000€€
Issued ordinarv shares]
588,000€¢

Answers

To find out the cash flow from investing activities of Caroline, Inc., we will only consider the transactions related to investment activities.

Following are the relevant transactions that took place during 2015.  Exchanged land for a building+ $764,000€ Purchased equipment 212,000€€. The exchange of land for a building will fall under investing activities and will be considered an investment in property, plant, and equipment. The purchase of equipment is also an investing activity. The payment of cash dividends is not an investing activity, and neither is the purchase of treasury shares. The issue of ordinary shares is classified as a financing activity. Now, to calculate the cash flow from investing activities, we will add the cash outflows and subtract the cash inflows. Hence the cash flow from investing activities of Caroline, Inc. is: Cash outflows: 764,000 + 212,000 = €976,000

The cash flow from investing activities of Caroline, Inc. during 2015 is €976,000. Since there were only two cash outflows, the answer is less than 100 characters.

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Create an analysis of the existing political culture in
Myanmar
** Need help pls. Thank you.

Answers

The existing political culture in Myanmar is characterized by authoritarianism, military dominance, limited political participation, ethnic conflicts, and suppression of dissent.

Myanmar's political culture is heavily influenced by decades of military rule and authoritarianism. The military has historically held significant power and has dominated the political landscape, limiting political participation and suppressing dissent. This culture has hindered the development of democratic institutions and practices.

Ethnic conflicts and tensions have also played a significant role in shaping Myanmar's political culture. The country is home to a diverse range of ethnic groups, many of which have experienced marginalization and discrimination. These conflicts have further entrenched divisions and hindered the creation of a cohesive political culture.

Moreover, freedom of speech and press freedom are limited, with journalists and activists facing harassment, censorship, and imprisonment. This further restricts political discourse and hampers the development of an open and inclusive political culture.

Overall, Myanmar's existing political culture is characterized by authoritarianism, military dominance, limited political participation, ethnic conflicts, and suppression of dissent. Addressing these issues is crucial for the country's democratic development and inclusive governance.

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(figure: long-run average cost) use figure: long-run average cost. this firm has _____ in the output region from 0 to a.

Answers

Long-run average cost. This firm has economies of sale in the output region from 0 to a.

The long-run average cost (LRAC) curve in the output region from 0 to a for a firm can be determined as per the following explanation:

In the long run, all input costs are variable, including capital expenditures on plant and equipment. Because capital investments entail a fixed cost, the long-run average cost (LRAC) curve reflects the entire cost curve, including both fixed and variable costs. In other words, in the long term, the company is not constrained by any factor and may alter all of its production inputs. The LRAC, therefore, reflects the lowest average cost of producing different levels of output over the long term, after all inputs are variable. It is a u-shaped curve, just like the short-run average total cost (SRATC) curve, but it is flatter at the bottom since it encompasses both fixed and variable expenses. As the output level increases from 0 to point a, the long-run average cost curve falls steeply initially and then flattens out at a certain point a. The LRAC curve initially slopes downward as the company expands output production by utilizing economies of scale. There is a point beyond which the LRAC curve becomes flatter because of economies of scale being exhausted or diseconomies of scale taking over, resulting in a flat region of output as output increases, signifying minimum average cost of production for that level of output.

Therefore, this firm has a decreasing long-run average cost in the output region from 0 to a.

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Other Questions
Which of the following statements is true? A Sentences are stored verbatim in long-term memory b) Material stored by meaning can usually be retrieved word-for- word. c) Material is usually stored in long -term memory according to meaning . d ) Material is usually stored in short- term memory according to meaning . Value for (ii): 11.65 Part c) Which of the following inferences can be made when testing at the 5% significance level for the null hypothesis that the racial groups have the same mean test scores? OA. Since the observed F statistic is greater than the 95th percentile of the F2,74 distribution we do not reject the null hypothesis that the three racial groups have the same mean test score. OB. Since the observed F statistic is less than the 95th percentile of the F2,74 distribution we do not reject the null hypothesis that the three racial groups have the same mean test score. OC. Since the observed F statistic is greater than the 5th percentile of the F2,74 distribution we do not reject the null hypothesis that the three racial groups have the same mean test score. OD. Since the observed F statistic is less than the 95th percentile of the F2,74 distribution we can reject the null hypothesis that the three racial groups have the same mean test score. O E. Since the observed F statistic is less than the 5th percentile of the F2,74 distribution we do not reject the null hypothesis that the three racial groups have the same mean test score. OF. Since the observed F statistic is greater than the 95th percentile of the F2,74 distribution we can reject the null hypothesis that the three racial groups have the same mean test score Your 5th grade class is having a "guess how many M&Ms are in the jar" contest. Initially, there are only red M&Ms in the jar. Then you show the children that you put 30 green M&Ms in the jar. (The green M&Ms are the same size as the red M&Ms and are thoroughly mixed in with the red ones.) Sanjay is blindfolded and allowed to pick 25 M&Ms out of the jar. Of the M&Ms Sanjay picked, 5 are green; the other 20 are red. Based on this experiment. what is the best estimate we can give for the total number of M&Ms in the jar? Explain how to solve this problem in two different ways, neither of which involves cross- multiplying. .4. Imagine you have collected a water sample from the surface of Batiquitos Lagoon. a. In comparison to the surface ocean, what would you expect for an oxygen value for the lagoon surface water? The lagoon oxygen content would be lower than higher than the same as the surface ocean. (Circle your choice above.) b. Give several possible reasons to justify your choice in the space provided below. The lagoon will be sheltered compared to the open ocean thus surface temperature is expected to be higher. This will result in less oxygen being in the water. Less wave mixing and higher organic decomposition also contribute to lower oxygen. Anne is worried because the only students who are willing to participate in her study are those who consistently make the Dean's List. Anne is most likely concerned about the:A. error of estimate in her sample.B. inadequate sample size.C. stability of her sample.D. volunteer bias. find the following limits3. limx2 x-3x+5/3x+4x+1 ; 4. lim x3 x-2x-3/3x-2x+1 8) The opportunity cost of holding money increases when A) the purchasing power of money rises. B) the price level falls. C) consumers' real incomes increase. D) the nominal interest rate rises. A salesman has to visit the cities A, B, C, D and E which forms a Hamiltonian circuit. Solve the traveling salesman problem to optimize the cost. The cost matrix is given below: A BC D E A. 6 9 5 6 B.6 8 5 6 C.9 8 9 D.5 5 9 9E.6 6 7 9 Though the price level P is not explicitly included in it, explain and illustrate the theoretical impact of contractionary monetary policy using the Keynesian Cross diagram. Explain the multiplier effect as well as the effect on employment and show both in your diagram. [30 marks] Suppose 32 pregnant women are sampled who smoke an average of 23 cigarettes per day with a standard deviation of 12.a) What is the probability that the pregnant women will smoke an average of 23 cigarettes or more?probability =b) What is the probability that the pregnant women will smoke an average of 23 cigarettes or less?probability =c) What is the probability that the pregnant women will smoke an average of 19 to 24 cigarettes?probability =d) What is the probability that the pregnant women will smoke an average of 23 to 26 cigarettes?probability =Note: Do NOT input probability responses as percentages; e.g., do NOT input 0.9194 as 91.94. A bag contains 10 quarters, 6 dimes, and 4 pennies. Eight coins are drawn at random without replacement. What is the probability that the total value of the coins is 98 cents? Hint: There is only one combination of coins which add up to 98 cents. Do not provide a decimal answer. 14 (3 points) Suppose T: R4 R4 is a linear transformation and the rank of T is 10. (a) Determine whether T is injective. (b) Determine whether T is surjective. (c) Determine whether T is inver draw a structural formula for the major organic product of the reaction shown below. h30 ether ch3ch2ch2ch=cch2ch3 (ch3)2culi ci you do not have to consider stereochemistry. At a spa, customers generally spend 2 hours in the facility On average this includes 15 minutes waiting after arrival, 7 minutes waiting for a massage, and 4 minutes waiting to checkout. The remainder of the time is spent being pampered by the spa's staff Report your answer as a decimal and round to 3 decimal places What is the overall equipment effectiveness (CEE) of this spa? If the mountain ranges of Bhutan lie parallel to the main Himalayan mountain range, how would it affect the climate of Bhutan? Explain TRUE / FALSE. "T or FIndirect productio n costs can be ignored because they do not affect the cost of a product. Costs can be classified as direct or indirect with respect to a particular cost object. Direct manufact urin" At the supermarket, there is a stable demand of instant noodles, 120 boxes per month. The supermarket purchases the product from its supplier at the cost of $10 per box. The supermarket incurs a fixed cost of $100 per each order and the inventory holding cost is 1% of the purchasing cost. Which of the following is NOT true? If the monthly demand and the inventory holding cost increase by a factor of 2, EOQ remains the same If the fixed cost increases by a factor of 4, EOQ will increase by a factor of 2 If the annual demand and the inventory holding cost increases by a factor of 2, the total annual cost remains the same If the fixed cost increases by a factor of 4, the total annual cost will increase by a factor of 2 please answer the correct answer with steps. Thank you so much (1). 4(b + a) + (c + a) + c = 4(b + a) + (a +c) + c = 4 (b+a) + a (c +c)= (4b +4a) + a) + 2c= 4b + (4a+a)+2c= 4b+5a+2c Name the property used ina) associative property of addition b) distributive property of addition c) commutative property of addition d) distributive property for scalars what kind of risk management framework there is for an Apple M1supply chain? a) A trial balance is a bookkeeping worksheet in which the balances of all ledgers are compiled into debit and credit account column totals that are equal. Based on this statement, the new accounts executive confidently presented the company's quarterly financial statements to his accounts manager by stating that the financial statements are correct and complete. However, his account manager disagreed with his statement and would like to check again his work. Explain 5 reasons to support the account manager disagreement with the new accounts executive regarding his statement on the trial balance. (10 marks) b) Explain the importance of enhancing qualitative characteristic in preparing the financial statement. (10 marks) c) Many sole proprietorships and small businesses use cash basis accounting; however, accrual basis accounting is the method of accounting most corporations and professionals are required to use by Malaysian Accounting Standards Board (MASB). Explain 4 reasons why corporations are required to use accrual basis accounting compared to cash basis accounting (10 marks)