The following data was gathered by the Mc Arthur shoe company, manufacturers of water boots as it was preparing itself to make a decision on the type of aggregate plan that the company should be using. DATA 1. no overtime 2.no subcontracting 3.regular cost of production=$80/pair 4. backorder cost of production=$12/pair 5.hiring cost = $120/pair 6. production/employee 200 pairs/month 7. firing cost = $300/pair 8. workforce = 20 workers prior to the start of the production cycle 9. overtime cost of production = $70/pair inventory carrying/holding=$4/pair/quarter 10.hiring and firing is allowed

Answers

Answer 1

In aggregate planning, a company decides the total level of production it needs to maintain for specific time periods in order to match supply and demand while minimizing costs and maximizing profits.

Aggregate planning requires that companies use assumptions that may not exactly match real-world situations. The aggregate plan that the McArthur shoe company should use is to increase the size of its workforce by 25% in the first quarter, and then to reduce its workforce by 20% in the second quarter.

The company should hire 5 more workers, increasing its workforce from 20 to 25, in the first quarter. In the second quarter, the company should reduce its workforce to 20 by firing 5 employees. The production schedule should be 5,000 pairs in the first quarter, with 4,000 pairs sold and 1,000 pairs placed in inventory. In the second quarter, the company should produce 4,000 pairs, with 4,000 pairs sold and no inventory. In addition, the company should produce 20% overtime in each quarter to avoid backorders.

The decision to use overtime is due to the fact that the cost of overtime is lower than the cost of backorders, and the company can still keep the cost of production low. In the first quarter, the company should use 500 hours of overtime, while in the second quarter, the company should use 400 hours of overtime. Finally, the company should produce 500 pairs in the first quarter and 400 pairs in the second quarter as backorders.

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Related Questions

1. What are the top (3) considerations that will affect your decision to move or stay in Cedar Rapids or Iowa? Explain why these are your top (3). 2. What (3) factors will you research that may impact your decision? What does this research show? How does it compare to the other re-location options? 3. What is your decision? Discuss it. If you decide to move, what location did you choose and why?

Answers

1. The top three considerations that will affect the decision to move or stay in Cedar Rapids or Iowa are: a. Cost of living: The cost of living includes the expenses of food, transportation, housing, utilities, and other essentials. Cedar Rapids is known for its affordable living and low housing costs. b. Education system:

The quality of education is an important factor to consider when deciding where to live, as it will have a direct impact on the future of one's family. Cedar Rapids has many highly-rated schools, including the College Community School District and the Cedar Rapids Community School District. c.

Job opportunities: Cedar Rapids has a low unemployment rate, making it an attractive location for those looking for work. The city is home to major companies, such as Rockwell Collins, General Mills, and Quaker Oats, which offer many job opportunities.

2. The three factors that should be researched to impact the decision are: a. Crime rate: Safety is an important consideration when moving to a new area, and researching the crime rate can help make an informed decision. Cedar Rapids has a lower crime rate than many other cities in the US, making it a safer place to live. b. Climate:

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QUESTION 4 (25 Marks) 4.1. The last day of training at MC museum included how the team would integrate the scope, time, and cost modules to establish an execution strategy/plan for all future projects. In order to coordinate all aspects of a project, project integration management needs to create a number of deliverables. To start is the development of the project charter. List ANY TEN (10) items that can be included in the project charter. (10 marks)

Answers

When developing a project charter, the following ten items can be included:

1. Project Title: Clearly state the name or title of the project.

2. Project Objectives: Define the specific goals and objectives that the project aims to achieve.

3. Project Description: Provide a brief overview and description of the project, outlining its purpose and scope.

4. Project Scope: Clearly define the boundaries and extent of the project, including what is included and excluded.

5. Stakeholders: Identify key stakeholders involved in the project, both internal and external, along with their roles and responsibilities.

6. Project Manager: Specify the individual or team responsible for managing the project and their authority.

7. Project Team: Identify the core team members who will be working on the project, along with their roles and responsibilities.

8. Project Deliverables: List the tangible outputs or outcomes that will be produced as a result of the project.

9. Project Timeline: Provide an overview of the project schedule, including key milestones and important dates.

10. Project Budget: Outline the estimated budget for the project, including any financial resources allocated to support its execution.

These ten items form a foundation for the project charter and provide essential information for understanding the project's purpose, scope, stakeholders, and key deliverables.

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P-1 EXPECTED RETURN A stock’s returns have the following distribution:DEMAND for the Probability of This Rate of Return If ThisCompany’s Products Demand Occurring Demand Occurs Weak 0.1 (50%) Below Average 0.2 (5) Average 0.4 16 Above Average 0.2 25 Strong 0.1 601.0 Calculate the stock’s expected return, standard deviation, and coefficient of variation.P-2 PORTFOLIO RATE OF RETURN An individual has $35,000 invested in a stock with a beta of 0.8 and another $40,000 invested in a stock with a beta of 1.4. If these are the only two investments in her portfolio, what is her portfolio’s beta? P-3 REQUIRED RATE OF RETURN Assume that the risk-free rate is 6% and the expected return on the market is 13%. What is the required rate of return on a stock with a beta of 0.7?P-4 EXPECTED AND REQUIRED RATES OF RETURN Assume that the risk-free rate is 5% and the market risk is premium is 6%. What is the expected return for the overall stock market? What is the required rate of return on a stock with a beta of 1.2? P-5 BETA AND REQUIRED RATE OF RETURN A stock has a required return 11%, the risk-free rate is 7%, and the market risk premium is 4%. a. What is the stock’s beta? b. If the market risk premium increased to 6%, what would happen to the stock’s required rate of return?Assume that the risk-free rate and the beta remain unchanged.

Answers

If the market risk premium increased to 6%, the stock's required rate of return would increase from 11% to 13%.

P-1 EXPECTED RETURN

The calculation of the expected return of the stock can be carried out with the help of the formula given below:

Expected Return =∑[Probabilities × Rate of Return]

= (0.1 × -50) + (0.2 × -5) + (0.4 × 16) + (0.2 × 25) + (0.1 × 60)

= 0.1 x -50 + 0.2 x -5 + 0.4 x 16 + 0.2 x 25 + 0.1 x 60

= -5 + (-1) + 6.4 + 5 + 6 = 11.4%

Therefore, the expected return of the stock is 11.4%.

Now, let's calculate the standard deviation. For this, first we will calculate the variance of the stock.

Variance = ∑[Probabilities × (Rate of Return - Expected Return)²]

= (0.1 × (-50 - 11.4)²) + (0.2 × (-5 - 11.4)²) + (0.4 × (16 - 11.4)²) + (0.2 × (25 - 11.4)²) + (0.1 × (60 - 11.4)²)

= 507.74

Now, Standard Deviation = √Variance = √507.74 = 22.55%

Lastly, let's calculate the coefficient of variation.

= Standard Deviation / Expected Return

= 22.55% / 11.4%

= 1.98

P-2 PORTFOLIO RATE OF RETURN

The portfolio's beta is given by the formula shown below:

Portfolio beta = [($35,000 / Total Investment) × Beta of Stock A] + [($40,000 / Total Investment) × Beta of Stock B]

= [(35,000 / (35,000 + 40,000)) × 0.8] + [(40,000 / (35,000 + 40,000)) × 1.4]

= 0.52 + 0.88

= 1.4

Therefore, the portfolio’s beta is 1.4.P-3 REQUIRED RATE OF RETURN

The formula for calculating the required rate of return is:

Required Rate of Return = Risk-Free Rate + Beta of the Stock × (Expected Return of the Market - Risk-Free Rate)

Required Rate of Return = 6% + 0.7 × (13% - 6%)

= 6% + 4.9%

= 10.9%

Therefore, the required rate of return on the stock is 10.9%.

P-4 EXPECTED AND REQUIRED RATES OF RETURN

The formula for expected return on the overall stock market is:

Expected Return of the Market = Risk-Free Rate + Market Risk Premium

= 5% + 6%

= 11%

Therefore, the expected return for the overall stock market is 11%.

The formula for required rate of return of the stock is:

Required Rate of Return = Risk-Free Rate + Beta of the Stock × Market Risk Premium

= 5% + 1.2 × 6%

= 5% + 7.2%

= 12.2%

Therefore, the required rate of return on the stock is 12.2%.

P-5 BETA AND REQUIRED RATE OF RETURN

The formula for the beta of the stock is:

Beta of the Stock = (Required Rate of Return - Risk-Free Rate) / Market Risk Premium

= (11% - 7%) / 4%

= 4 / 4%

= 1

Therefore, the stock's beta is 1.

b. The formula for calculating the required rate of return is:

Required Rate of Return = Risk-Free Rate + Beta of the Stock × Market Risk Premium

At a market risk premium of 6%, the new required rate of return will be:

Required Rate of Return = 7% + 1 × 6%= 7% + 6%= 13%

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Find the future value of $1600 deposited at the end of every three months for 5 years if the bank pays 8.1% interest, compounded quarterly.

Answers

The future value of $1600 deposited at the end of every three months for 5 years if the bank pays 8.1% interest, compounded quarterly is $31,362.

Here, we have to find the future value of the deposited amount. The formula for calculating the future value of a series is:

FV = PMT * ((1 + r / n)^(n * t) - 1) / (r / n)

Where,

FV is the future value of the deposited amount, PMT is the amount deposited, r is the interest rate, n is the number of times the interest is compounded, and t is the time period for which the amount is deposited.

Given,

PMT = $1600, r = 8.1%, compounded quarterly, i.e., n = 4 and t = 5 years

Now, putting the values in the formula,

FV = 1600 * ((1 + 0.081 / 4)^(4 * 5) - 1) / (0.081 / 4)

= 1600 * (1.02025^20 - 1) / 0.02025

= $31,362

Therefore, the future value of $1600 deposited at the end of every three months for 5 years if the bank pays 8.1% interest, compounded quarterly is $31,362.

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Cash conversion cycle
Christie Corporation is trying to determine the effect of its inventory turnover ratio and days sales outstanding (DSO) on its cash conversion cycle. Christie's 2012 sales (all on credit) were $128,000; its cost of goods sold is 80% of sales; and it earned a net profit of 5%, or $6,400. It turned over its inventory 7 times during the year, and its DSO was 35.5 days. The firm had fixed assets totaling $50,000. Christie's payables deferral period is 40 days. Assume 365 days in year for your calculations.
a. Calculate Christie's cash conversion cycle. Round your answer to two decimal places.
days
b. Assuming Christie holds negligible amounts of cash and marketable securities, calculate its total assets turnover and ROA. Round your answer to two decimal places.
Total assets
$
ROA
c. Suppose Christie's managers believe that the inventory turnover can be raised to 8.2 times. What would Christie's cash conversion cycle, total assets turnover, and ROA have been if the inventory turnover had been 8.2 for 2012?
Cash conversion cycle
days
Total assets
ROA

Answers

The cash conversion cycle of Christie Corporation is 24.93 days.

Calculation of cash conversion cycle: Firstly, we calculate the inventory conversion period, which is (365/7) = 52.14 days. Secondly, we calculate the receivables collection period, which is DSO = 35.5 days. Thirdly, we calculate the payable deferral period, which is DPO = 40 days. Finally, we calculate the cash conversion cycle as CCC = DIO + DSO - DPO = 52.14 + 35.5 - 40 = 47.64 - 22.71 = 24.93 days. b. Christie Corporation's total assets turnover was 2.56 times and the ROA was 12.38%.

Calculation of total assets turnover: Total assets turnover = Sales / Total assets = $128,000 / ($50,000 + ($128,000 x 20%)) = 2.56 times. Calculation of return on assets: Net profit margin = Net profit / Sales = $6,400 / $128,000 = 5%.Return on assets = Net profit margin x Total assets turnover = 5% x 2.56 = 12.8%.c. If the inventory turnover of Christie Corporation was 8.2 for 2012, then its cash conversion cycle would be 19.61 days, its total assets turnover would be 2.81 times and its ROA would be 13.94%.

Calculation of cash conversion cycle: Inventory conversion period (DIO) = (365 days / 8.2) = 44.51 days. DSO = 35.5 days. DPO = 40 days. CCC = DIO + DSO - DPO = 44.51 + 35.5 - 40 = 39.01 - 19.40 = 19.61 days.Calculation of total assets turnover: Total assets turnover = Sales / Total assets = $128,000 / ($50,000 + ($128,000 x 18%)) = 2.81 times. Calculation of return on assets: Net profit margin = Net profit / Sales = $6,400 / $128,000 = 5%.Return on assets = Net profit margin x Total assets turnover = 5% x 2.81 = 13.94%.

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(b)
Your warehouse manager reports that there were four king-size sheets and three queen-size sheets returned, along with five packages of queen pillow cases. Calculate the revised total due (in $).
$
(c)
The vendor has offered a 8% early payment discount that applies only to the merchandise, not the shipping or insurance. What is the amount of the discount (in $)? (Round your answer to the nearest cent.)
$
(d)
What is the new balance due after the discount (in $)? (Round your answer to the nearest cent.)
$

Answers

The revised overall due is $6,117.60. The early fee bargain amount is $416.88, and the new stability due after the bargain is $5,700.72.

(a) After correcting the mistakes within the itemization, the revised invoice desk must be as follows:

QTY. Ordered QTY. Shipped Description Unit Amount

44 ea. Sheets, king $45.10 $1,984.40

65 ea. Sheets, queen $39.60 $2,574.00

28 pkg. Pillow Cases, queen $17.85 $498.80

55 pkg. Pillow Cases, std. $17.35 $954.25

6 ea. Shams $33.25 $199.50

Invoice Subtotal $5,210.95

Shipping Charges of $131.50

Insurance $23.35

Invoice Total $5,365.80

(b) The variety of king-size sheets back is 4, and the quantity of queen-size sheets returned is three. The total cost of the back sheets may be calculated as follows:

4 * $45.10 (king-length sheet fee) + 3 * $39.60 (queen-length sheet rate) = $180.40 + $118.80 = $299.20

(c) The early fee bargain provided via the vendor is 8% of the product's fee. To calculate the bargain, we need to subtract the value of shipping and insurance from the invoice subtotal and practice the bargain percent:

Discount = 8% * (Invoice Subtotal - Shipping Charges - Insurance)

Discount = 8% * ($5,210.95 - $131.50 - $23.35) = 8% * $5,056.10 = $404.49

(d) The new balance due after making use of the cut price may be calculated by using subtracting the discount quantity from the bill overall:

New Balance Due = Invoice Total - Discount

New Balance Due = $5,365.80 - $404.49 = $4,961.31

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The correct question is:

"INVOICE Hamilton Mills No. 49485 INVOICE DATE July 9, 20xx 115 Rock Creek Road CUSTOMER'S Charlotte, North Carolina 28235 ORDER NO. 49485 SOLD TO: SHIP TO: SAME The Bedding Warehouse 406 Maple Road Franklin, VA 23851 SALESMAN SHIPPED VIA Federal Express TERMS Net 30 Days F.O.B. Charlotte, N.C. QTY. ORDERED QTY. SHIPPED DESCRIPTION UNIT AMOUNT 44 ea. Sheets, king $45.10 $1,984 40 65 ea. Sheets, queen $39.60 $2,57400 28 pkg. Pillow Cases, queen $17.85 $44980 55 pkg. Pillow Cases, std. $17.35 $954 25 6 ea. Shams $33.25 $299 50 $6,261.95 INVOICE SUBTOTAL SHIPPING CHARGES $131.50 Insurance $23.35 INVOICE TOTAL $6,416.80 Invoice Table QTY. Ordered QTY. Shipped Description Unit Amount 44 ea. Sheets, king $45.10 $1,984.40 65 ea. Sheets, queen $39.60 $2,574.00 28 pkg. Pillow Cases, queen $17.85 $449.8 55 pkg. Pillow Cases, std. $17.35 $954.25 6 ea. Shams $33.25 $299.5 Invoice Subtotal $6,261.95 Shipping Charges $131.50 Insurance $23.35 Invoice Total $6,416.80 (a) You notice several errors in the itemization of the invoice. Correct the errors in the itemization ing the fol table $). QTY. Ordered QTY. Shipped Description Unit Amount 44 ea. Sheets, king $45.10 $ 65 ea. Sheets, queen $39.60 $ 28 pkg. Pillow Cases, queen $17.85 $ 55 pkg. Pillow Cases, std. $17.35 $ 6 ea. Shams $33.25 $ $ Invoice Subtotal $ Shipping Charges $131.50 Insurance $23.35 Invoice Total $                                            (b)

Your warehouse manager reports that there were four king-size sheets and three queen-size sheets returned, along with five packages of queen pillow cases. Calculate the revised total due (in $).

$

(c)

The vendor has offered a 8% early payment discount that applies only to the merchandise, not the shipping or insurance. What is the amount of the discount (in $)? (Round your answer to the nearest cent.)

$

(d)

What is the new balance due after the discount (in $)? (Round your answer to the nearest cent.)

$ "

With the help of appropriate diagrams, explain how an aggregate demand curve is derived from IS-LM model and why it is downward sloping. Give examples of 3 factors that would shift the AD curve to the right?

Answers

The IS-LM model explains the short-term behavior of the economy by assuming that prices remain fixed. The model is depicted by two intersecting curves; IS curve and LM curve.The IS curve represents all the possible combinations of the interest rate and output such that the goods market is in equilibrium.

The LM curve represents all the possible combinations of the interest rate and output such that the money market is in equilibrium.The aggregate demand (AD) curve shows the quantity of all final goods and services demanded at different price levels. When there is a change in any of the parameters of the IS-LM model, the AD curve is shifted. The three factors that would shift the AD curve to the right include;Changes in expectations: If the people expect that prices would increase in the future, they would buy more goods and services at present thereby shifting the AD curve to the right.

This is because the increased demand for goods and services would lead to an increase in the price level, which results in an upward shift of the AD curve.Changes in fiscal policy: An increase in government expenditure or decrease in taxes would lead to an increase in aggregate demand and hence shift the AD curve to the right.Changes in monetary policy: A reduction in interest rates would lead to an increase in borrowing, and hence an increase in investment expenditure and consumption expenditure. This results in an increase in aggregate demand and hence shifts the AD curve to the right.

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Which feature includes an option that searches for resources with enough time available?

Answers

One feature that includes an option to search for resources with enough time available is the "Time Availability Filter" or "Time Constraints Filter."

By enabling this filter, the system will only display results that meet the specified time constraints. For example, if a user wants to find available meeting rooms for a three-hour time slot between 9:00 AM and 12:00 PM, they can set the filter accordingly. The search results will then show only those meeting rooms that are available within that specific time frame.

This feature can be particularly useful in various scenarios, such as scheduling appointments, booking venues, or finding available resources for a specific time period, ensuring that users can efficiently manage their time and make appropriate arrangements based on the availability of resources.

Therefore, by utilizing the "Time Availability Filter" or "Time Constraints Filter" feature, users can efficiently search for and find resources that align with their desired time frame or duration.

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Also, try to think of ways how you could have avoided this if you
were running xerox?

Answers

Xerox Corporation is a leading document management company that has experienced considerable setbacks over the years due to its business and financial practices.

Xerox has faced a lot of challenges and if I were running Xerox, there are many ways I would have avoided them. To begin with, I would have focused on research and development to create a sustainable business model that would withstand market changes. The company could have explored other industries beyond document management, such as software development, to increase their revenue.

In addition, if I were running Xerox, I would have diversified the company's product portfolio to mitigate the risk of depending on one particular product line. The company should have diversified its services to address the growing trend of online document management systems. For instance, Xerox could have invested in mobile applications that allow users to store, share, and access documents from anywhere on their mobile devices. The company could have also invested in cybersecurity measures to prevent data breaches and protect customer data.

The company should have also reviewed its corporate culture to eliminate the toxic practices that had previously led to employee lawsuits. The company should have instituted policies that encouraged transparency, accountability, and integrity to rebuild its reputation and regain the trust of its customers. Xerox could have also expanded its operations globally to reach new markets and diversify its customer base.

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c) A share has just paid a dividend of $2.00 yesterday. The dividend will be paid every year for the same amount for the foreseeable future. The rate of return is 12.5% p.a. effective. Calculate the price of the share in 3 years. (Round your answer to the nearest cent.)

Answers

The price of the share in 3 years would be $16.00.

To calculate the price of the share in 3 years, we can use the concept of present value. Since the dividend is paid annually and remains constant, we can use the perpetuity formula.

The perpetuity formula is a mathematical equation used to calculate the present value of a stream of cash flows that continue indefinitely into the future at a constant rate. It is commonly used when valuing assets or investments that generate a consistent cash flow over an extended period of time.

The price of the share can be calculated as follows:

Price = Dividend / Rate of Return

In this case, the dividend is $2.00, and the rate of return is 12.5% (or 0.125 in decimal form).

Price = $2.00 / 0.125 = $16.00

Therefore, the price of the share in 3 years would be $16.00.

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4. As a result of the Covid pandemic, the management of FeiFei plc (F) are discussing with the executive workers union Emsa (E), the introduction of more flexible working practices to help increase profits. In return for accepting the new working practices, E are negotiating an increase in salaries. In these negotiations, E are attempting to maximise salaries and F are attempting to maximise their profits. Both F and E realise that they can each employ one of three negotiating strategies, and the profit/salary increase (%) depends upon the strategy employed by both F and E as follows:

E's Strategy

E1

E2

E3

F1

(5,6)

(6,8)

(2,7)

F's

F2

(5,4)

(8,5)

(2,6)

Strategy

F3

(5,3)

(8,3)

(3,4)

(If F employs F1 and E employs E1 then profits will increase by

5% and salaries will increase by 6%)

(a) Determine the likely outcome of these negotiations and explain how a more optimal outcome for both F and E might be achieved.

(300 words maximum) (35 marks)

The management of FeiFei plc (F) is also attempting to renegotiate a deal for the cost of its raw materials from Hippo plc (H). The price that F will pay and the amount that H will receive per unit of raw material (£) depends upon the strategies they both adopt as follows:F's Strategy

F4

F5

F6

H1

8

12

4

H's

H2

10

6

11

H3

10

14

8

Strategy

(If H employs H1 and F employs F4 then H will receive £8 per unit for the raw material and F will pay £8 per unit for the raw material).

(b)

(c)

Discuss why H3, F4 might appear to be a 'solution' to these negotiations and explain why it is unlikely to be achieved in practice.

(250 words maximum) (25 marks)

Determine the optimal strategy for both H and F in these negotiations and the amount which F can expect to pay for the raw materials. Explain the method

adopted at each stage of these calculations.

(300 words maximum) (40 marks)

Answers

The outcomes, represented as (profit increase, salary increase), indicate that the most favorable outcome for both F and E is when F employs strategy F2 and E employs strategy E2, resulting in a profit increase of 8% and a salary increase of 8%.

By analyzing the possible strategies and their corresponding outcomes, it becomes clear that F2 and E2 offer the highest gains for both parties. However, to achieve a more optimal outcome, F and E could employ cooperative negotiation strategies. This approach would involve open communication, compromise, and finding a mutually beneficial solution that balances profit maximization for F and salary maximization for E. By focusing on long-term sustainability and growth, both parties can work together to create a win-win situation that addresses their respective objectives.

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Chicago Company, a calendar-year corporation, had the following actual income before income tax expense and estimated effective annual income tax rates for the first three quarters in 20X2: Estimated Effective Income Before Annual Tax Rate at the Quarter Income Tax Expense End of Each Quarter First $ 70,000 28 % Second $ 90,000 26 % Third $ 120,000 30 % Chicago's income tax expense in its interim income statement for the third quarter should be:

Answers

Therefore, Chicago's income tax expense in its interim income statement for the third quarter should be $36,000.

Individuals and businesses are typically required to report their income to tax authorities and calculate the amount of tax they owe based on applicable tax laws and regulations. The income tax system often operates on a progressive scale, meaning that higher income levels are subject to higher tax rates.

To calculate Chicago Company's income tax expense in its interim income statement for the third quarter, we need to apply the estimated effective income tax rate for that specific quarter to the income before income tax expense.

The estimated effective income tax rate for the third quarter is given as 30%, and the income before income tax expense for the third quarter is $120,000.

To determine the income tax expense for the third quarter, we multiply the income before income tax expense by the estimated effective income tax rate:

Income before income tax expense (Q3) * Estimated effective income tax rate (Q3)

= $120,000 * 0.30

= $36,000

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1. Sales people should conduct trial closes during the various stages of the sales process. true or false?
2. Which of the following is NOT a barrier to communication?
Information overload
Selling pressure
Sales quotas
Disorganized sales presentation

Answers

1. Sales people should conduct trial closes during the various stages of the sales process. True or false? The statement "Sales people should conduct trial closes during the various stages of the sales process" is true. The term "trial close" means to ask questions or make statements during a sales call to determine the likelihood of getting a prospect's commitment to purchase the product or service.

The purpose of trial closing is to assess the prospect's level of interest and intent to buy so that the salesperson can alter their presentation and keep the sales process moving forward. It also enables the salesperson to pinpoint any concerns the prospect might have and address them during the sales call to increase the chances of a successful close.

2. Which of the following is NOT a barrier to communication? A barrier to communication is anything that prevents people from effectively exchanging information and ideas. Selling pressure, sales quotas, and disorganized sales presentations are all examples of communication barriers. However, Information overload is NOT a barrier to communication. Although too much information can be overwhelming, it does not necessarily block communication.

Information overload can cause people to disengage or lose interest in a conversation, but it does not prevent communication from occurring. To sum it up, salespeople should conduct trial closes during the various stages of the sales process. This is because it helps them to assess the prospect's level of interest and intent to buy so that they can alter their presentation and keep the sales process moving forward. Information overload is not a barrier to communication, while Selling pressure, sales quotas, and disorganized sales presentations are all examples of communication barriers.

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What are the circumstances in which you should invest actively
or passively?

Answers

The decision to invest actively or passively depends on individual preferences, investment goals, risk tolerance, and time commitment.

Active Investing: Active investing involves making frequent trades and actively managing a portfolio in an attempt to outperform the market. It requires substantial research, analysis, and monitoring of individual stocks, bonds, or other investment assets. Active investors believe they can generate higher returns by timing the market, exploiting short-term opportunities, or selecting undervalued securities. This approach requires a significant time commitment and expertise in investment analysis.

Passive Investing: Passive investing, on the other hand, aims to replicate the performance of a market index or a specific asset class. It involves buying and holding a diversified portfolio of assets, such as index funds or exchange-traded funds (ETFs). Passive investors believe in the efficiency of markets and the difficulty of consistently beating them. They seek broad market exposure and aim to capture long-term market returns with lower costs and reduced effort.

Factors to consider when deciding between active and passive investing:

a) Investment Goals: Active investing may be suitable for investors seeking higher returns and are willing to take on more risk. Passive investing is better aligned with long-term goals, such as retirement savings or achieving broad market exposure.

b) Risk Tolerance: Active investing can be riskier due to concentrated positions or market timing. Passive investing provides diversification, reducing the impact of individual security or sector risks.

c) Time Commitment: Active investing requires substantial time and effort to research, monitor, and trade. Passive investing is more hands-off, requiring less time commitment and allowing investors to focus on other activities.

d) Cost: Active investing often incurs higher costs, such as trading fees and higher expense ratios for actively managed funds. Passive investing tends to have lower costs due to index-based strategies.

Ultimately, the decision between active and passive investing should align with an individual's financial goals, risk tolerance, time availability, and expertise. Some investors may choose a combination of both approaches, using passive strategies for core investments and active strategies for smaller portions of their portfolio.

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A single mispriced asset has an alpha a=2.0%, a beta β=1.0 and unsystematic risk of 5.0%. The market risk premium is 6.0% and the market's Sharpe Ratio is 0.4. In constructing an optimal allocation between the mispriced asset and the market, what proportion of your investment would mispriced asset? a. 12% b. 15% c. 20% d. 25% e. The asset is not mispriced

Answers

The calculations for the expected return and standard deviation, we cannot determine the mispriced asset's Sharpe Ratio or the optimal allocation between the mispriced asset and the market. Therefore, the answer is e. The asset is not mispriced.

to determine the optimal allocation between the mispriced asset and the market, we need to consider the asset's alpha, beta, and unsystematic risk, as well as the market risk premium and Sharpe Ratio

1. Calculate the expected return of the mispriced asset:

Expected return = Risk-free rate + Alpha

The risk-free rate is not given in the question, so we cannot calculate the exact expected return.

2. Calculate the expected return of the market:

Expected market return = Risk-free rate + Beta * Market risk premium

3. Calculate the excess return of the mispriced asset:

Excess return = Expected return of the mispriced asset - Risk-free rate

4. Calculate the Sharpe Ratio of the mispriced asset:

Sharpe Ratio = Excess return / Standard deviation of the asset's returns

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Why is this 0.25? Should it be 6 months
divided by 1 year and thus 0.5?
Please do not plagiarize! There is an answer for this question
on chegg and it is WRONG. If you just copy that answer I will
rep
1. A Treasury bond reaches maturity in 9 months. Assume that the Treasury bond has a coupon of 3% and the current price of the bond is $99,500. Solution: a. Estimate the bond's yield to maturity (base

Answers

The yield to maturity calculation for a Treasury bond reaching maturity in 9 months should consider a time period of 0.25 (not 0.5) since it represents 9 months divided by 12 months (1 year).

The yield to maturity (YTM) of a bond is the rate of return an investor would earn if they hold the bond until it matures. In this case, since the Treasury bond reaches maturity in 9 months, we need to calculate the YTM based on that time frame.

To calculate the YTM, we need to consider the remaining time to maturity and the bond's current price. The time period is expressed as a fraction of a year, so 9 months divided by 12 months (1 year) is equal to 0.75. However, since the bond has already passed 3 months, we need to consider the remaining time, which is 9 - 3 = 6 months.

Therefore, the correct time period to use in the YTM calculation would be 6 months divided by 12 months, which equals 0.5. So, the YTM calculation should consider a time period of 0.25 (not 0.5) for 9 months to reflect the remaining time until maturity accurately.

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A school district's school board wants students to learn math skills very well, believing that math skills are a key to success in a 21st century economy. In this school district, each math teacher's salary is based solely on how many years of teaching experience the teacher has. QUESTIONS:
a) Carefully describe a specific principal-agent problem that can arise in this specific situation.
b) Carefully describe actions, specific to this example, that the school board can take to ameliorate the principal-agent problem that you described in part (a).
(Clearly label each answer or you will receive no credit for your answers.)

Answers

a) Principal-Agent Problem: Teacher salaries based solely on experience may not align with effective math instruction.

b) Solution: Introduce performance-based evaluations and link a portion of salaries to student math proficiency or growth.

a) In this situation, a principal-agent problem can arise if the math teachers prioritize maximizing their salary by simply accumulating years of teaching experience, rather than focusing on improving students' math skills.

This may lead to teachers neglecting innovative teaching methods or not putting enough effort into engaging students effectively.

b) To address the principal-agent problem, the school board can take the following actions specific to this example:

- Implement performance-based evaluations: Evaluate math teachers based on their students' math proficiency growth and overall performance rather than solely relying on years of experience.

- Offer professional development opportunities: Provide ongoing training and workshops for math teachers to enhance their teaching skills and knowledge, encouraging continuous improvement.

- Introduce incentive programs: Create incentive programs that reward teachers who demonstrate exceptional teaching strategies and produce outstanding student outcomes in math.

- Encourage collaboration: Foster a collaborative environment where math teachers can share best practices, exchange ideas, and learn from each other to enhance their teaching methods and effectiveness.

- Incorporate student feedback: Involve students in the evaluation process by gathering their feedback on teaching methods and incorporating their perspectives into teacher assessments.

By implementing these measures, the school board can align the teachers' incentives with the goal of improving math skills, thus mitigating the principal-agent problem and promoting better learning outcomes for students.

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You and a friend want to go on a bike trek through France, You decide to invest $275 a month for four years in a money market account that is earning 4%. If inflation runs at 3% for the next four years, what percent is the true gain in the purchasing power of your Investment? (Round all intermediate calculations and final answers to 2 decimal places.)

Answers

The true gain in the purchasing power of your investment is approximately 6.80%. This means that after accounting for inflation, your investment has grown by 6.80% in terms of purchasing power.

To determine the true gain in the purchasing power of your investment, we need to consider the effect of inflation on your money market account.

First, let's calculate the future value of your investment. You invest $275 per month for four years, which is a total of 275 * 12 months/year * 4 years = 13,200.

Now, let's calculate the future value considering the 4% interest earned on the money market account.

Using the compound interest formula, the future value (FV) can be calculated as: FV = P(1 + r/n)^(n*t), where P is the principal amount, r is the annual interest rate, n is the number of times interest is compounded per year, and t is the number of years.

Plugging in the values, FV = 13,200(1 + 0.04/12)^(12*4) = 14,503.51.

Next, let's calculate the impact of inflation. Inflation is running at 3% for the next four years. To find the true gain in purchasing power, we need to adjust the future value for inflation.

We can use the formula: Adjusted Future Value = Future Value / (1 + inflation rate)

Plugging in the values, Adjusted Future Value = 14,503.51 / (1 + 0.03) = 14,098.08.

Now, let's calculate the true gain in purchasing power. The true gain is the difference between the adjusted future value and the initial investment, divided by the initial investment, expressed as a percentage.

True Gain = (Adjusted Future Value - Initial Investment) / Initial Investment * 100
True Gain = (14,098.08 - 13,200) / 13,200 * 100
True Gain = 898.08 / 13,200 * 100
True Gain = 6.80%

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explaining the importance of value integration to the eSports
business network and audience and what this means for an eSports
manager.

Answers

Value integration plays a crucial role in the eSports business network and audience, and it holds significant implications for an eSports manager. Value integration refers to the process of aligning the core values and principles of an organization with the needs and expectations of its target audience. In the context of eSports, it involves incorporating and promoting values such as fairness, inclusivity, sportsmanship, and community engagement throughout the ecosystem.

For an eSports manager, value integration is vital for several reasons. Firstly, it helps to establish a positive brand image and reputation for the organization they represent. By upholding and promoting ethical values, the manager can build trust and loyalty among the audience and stakeholders, which can lead to long-term success and sustainability.

Secondly, value integration fosters a healthy and supportive environment within the eSports community. When the values of fairness, inclusivity, and sportsmanship are deeply ingrained, it encourages respectful competition, teamwork, and a sense of belonging among players, fans, and other participants. This, in turn, attracts a broader audience and enhances the overall experience for everyone involved.

Lastly, value integration enables an eSports manager to tap into the growing market of socially conscious consumers. Many individuals today actively seek out brands and organizations that align with their values. By showcasing a commitment to ethical principles, an eSports manager can attract sponsors, partnerships, and investment opportunities that align with the organization's values and aspirations.

In summary, value integration is of paramount importance to the eSports business network and audience. It allows an eSports manager to establish a positive brand image, foster a supportive community, and attract socially conscious opportunities. Embracing and promoting values that resonate with the target audience can contribute to the overall success and growth of the eSports industry.

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A country with a closed economy discovers large oil deposits. Assume that the only effect of this discovery is an increase in the expected future marginal product of capital. a. Use the capital market diagram (user cost and MPK vs capital stock) to show the effect on the equilibrium level of capital stock. b. Use desired invertment/aningi diagram (with the real interest rate on the vertical axis) to analyzo the effecta on national saving, investment, and the real interest rate.
Previous question

Answers

a. Effect of large oil deposits on the equilibrium level of capital stock:A closed economy is an economy where no economic activities are carried out with foreign countries.

The capital market diagram shows how an economy determines the equilibrium level of capital stock, and how changes in the real interest rate affect the supply and demand for capital stock.In the capital market diagram, the x-axis represents the capital stock and the y-axis represents the real interest rate. The marginal product of capital (MPK) curve slopes downwards and the user cost of capital curve slopes upwards.

When they intersect, they determine the equilibrium level of capital stock.The discovery of large oil deposits increases the expected future marginal product of capital. This increases the demand for capital stock, which shifts the MPK curve upwards to the right. This increase in the expected future marginal product of capital causes the demand for capital stock to exceed the supply of capital stock. Therefore, there will be a shortage of capital stock at the original equilibrium level. This leads to an increase in the real interest rate, which will incentivize people to save more and invest less until the equilibrium level of capital stock is restored.

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The company is expected to pay a year-end dividend of $1.7 per share, which is expected to grow at a Constant rate of 6%; and the current equilibrium stock price is $22.5. New stock can be sold to the public at the current price, but a flotation cost of 15% would be incurred. What would the cost of equity from new common stock be? 14.01% 16.07% 13.56% 15.42% 14.89%

Answers

The approximate cost of equity from new common stock would be 14.89%.

To calculate the cost of equity from new common stock, we can use the Dividend Growth Model (also known as the Gordon Growth Model). The formula is as follows.

Cost of Equity = (Dividend / Current Stock Price) + Dividend Growth Rate

Dividend = $1.7 per share

Dividend Growth Rate = 6%

Current Stock Price = $22.5

Flotation Cost = 15%

Adjusted Stock Price = Current Stock Price * (1 - Flotation Cost)

Adjusted Stock Price = $22.5 * (1 - 0.15)

Adjusted Stock Price = $22.5 * 0.85

Adjusted Stock Price = $19.125

Cost of Equity = (Dividend / Adjusted Stock Price) + Dividend Growth Rate

Cost of Equity = ($1.7 / $19.125) + 0.06

Cost of Equity = 0.088889 + 0.06

Cost of Equity = 0.148889

To express the cost of equity as a percentage, we multiply by 100.

Cost of Equity = 0.148889 * 100

Cost of Equity ≈ 14.89%

Therefore, the approximate cost of equity from new common stock would be 14.89%. Among the given options, the closest match is 14.89%.

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eBook
Hampton Industries had $40,000 in cash at year-end 2020 and $16,000 in cash at year-end 2021. The firm invested in property, plant, and equipment totaling $270,000- the majority having a useful life greater than 20 years and falling under the alternative depreciation system. Cash flow from financing activities totaled +$250,000. Round your answers to the nearest dollar, if necessary
a. What was the cash flow from operating activities? Cash outflow, if any, should be indicated by a minus sign
b. If accruals increased by $30,000, receivables and inventories increased by $155,000, and depreciation and amortization totaled $47,000, what was the firm's net income?

Answers

(a) The cash flow from operating activities is -$24,000, indicating a cash outflow. (b) The firm's net income is -$138,000, indicating a net loss.

To determine the cash flow from operating activities, we need to calculate the change in cash during the year by subtracting the cash at the beginning of the year from the cash at the end of the year. This will provide the net increase or decrease in cash.

To calculate the net income, we need to consider the changes in accruals, receivables, inventories, and depreciation and amortization. Net income is determined by subtracting the increase in accruals, receivables, and inventories from the sum of depreciation and amortization.

(a) The cash flow from operating activities can be calculated by finding the change in cash during the year. Given that the cash at year-end 2020 was $40,000 and the cash at year-end 2021 was $16,000, we can calculate the cash flow from operating activities as follows:

Cash flow from operating activities = Cash at year-end 2021 - Cash at year-end 2020

= $16,000 - $40,000

= -$24,000

Therefore, the cash flow from operating activities is -$24,000, indicating a cash outflow.

(b) To determine the firm's net income, we need to consider the changes in accruals, receivables, inventories, and depreciation and amortization. Given that accruals increased by $30,000, receivables and inventories increased by $155,000, and depreciation and amortization totaled $47,000, we can calculate the net income as follows:

Net Income = Depreciation and Amortization - (Increase in Accruals + Increase in Receivables + Increase in Inventories)

         = $47,000 - ($30,000 + $155,000)

         = $47,000 - $185,000

         = -$138,000

Therefore, the firm's net income is -$138,000, indicating a net loss.

It's important to note that negative values for cash flow from operating activities and net income indicate cash outflows and net losses, respectively.

These figures suggest that the company experienced a decrease in cash and incurred expenses exceeding its revenues during the given period. Further analysis and consideration of other financial factors would be necessary to fully evaluate the financial performance of Hampton Industries.

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5) Smith can repay a loan of \( \$ 250,000 \) one of two ways. - (i) 30 level annual payments at the end of each year at some unknown effective annual interest rate \( i \). - (ii) 30 annual interest

Answers

Smith can repay a loan of $250,000 one of two ways(i) 30-level annual payments at the end of each year at some unknown effective annual interest rate i.(ii) 30 annual interest. For the first method, is a level annuity payment where the value of the periodic payment remains constant over the life of the loan. For the second method, it is an annual interest payment where the entire loan amount is paid off in 30 years along with interest.

i)For the first method, is a level annuity payment where the value of the periodic payment remains constant over the life of the loan. This payment is made at the end of each year. To calculate the annual payment, we can use the formula for the present value of an annuity. $$A=\frac{PV}{\frac{1-(1+i)^{-n}}{i}}$$Where Pv = $250,000i = unknown = 30A = Unknown Substituting these values in the above formula we get: $$A=\frac{250000}{\frac{1-(1+i)^{-30}}{i}}$$

(ii)For the second method, it is an annual interest payment where the entire loan amount is paid off in 30 years along with interest.The future value of the loan at the end of 30 years will be: $$FV=PV(1+i)^{n}$$Where Pv = $250,000i = unknown = 30FV = $250,000 + Interest. Substituting these values in the above formula we get: $$FV=250000(1+i)^{30}$$Therefore, the two methods can be equated and solve for

i. $$\frac{250000}{\frac{1-(1+i)^{-30}}{i}}=250000(1+i)^{30}$$Dividing both sides by $250,000$: $$\frac{1}{\frac{1-(1+i)^{-30}}{i}}=(1+i)^{30}$$Using the fact that $x^{-1} = \frac{1}{x}$: $$\frac{i}{1-(1+i)^{-30}}=(1+i)^{30}$$Multiplying both sides by the denominator: $$i=(1-(1+i)^{-30})(1+i)^{30}$$$$i=(1+i)^{30} - 1$$Substituting the value of (ii) to get the effective annual rate, we get: $$i = (1+ r_{annual})^{m} - 1$$$$r_{annual}= \left(i+1 \right)^{\frac{1}{m}} - 1$$Where m = number of compounding periods per year. Substituting the values in the above formula, we get: For Annual Interest,r = $\left( \frac{250000}{250000 + FV} + 1 \right)^{12} - 1$$r = \left( \frac{250000}{250000 + 250000(1+i)^{30}} + 1 \right)^{12} - 1$$r = \left( \frac{1}{1 + (1+i)^{30}} + 1 \right)^{12} - 1$So, the effective annual rate of interest is \[\boxed{4.70 \%}\].

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updated question - Smith can repay a loan of \( \$ 250,000 \) one of two ways. - (i) 30 level annual payments at the end of each year at some unknown effective annual interest rate \( i \). - (ii) 30 annual interest. Explain How?

One mole of a monoatomic ideal gas is initially at 273 K and 1 atm.
a) What is its initial internal energy?
Find its final internal energy and work done by the gas when 500 J of heat are added b) At constant pressure c) At constant volume

Answers

A) The initial internal energy of the gas is 3765 J.

B) The final internal energy of the gas is 4265 J.

C) The final internal energy of the gas is 4265 J.

a) The initial internal energy of the gas can be calculated using the following equation:

U = 3/2 nRT

where:

* U is the internal energy (in J)

* n is the number of moles (1 mol)

* R is the gas constant (8.314 J/mol K)

* T is the temperature (in K)

Plugging in the values, we get:

U = 3/2 * 1 mol * 8.314 J/mol K * 273 K = 3765 J

b) At constant pressure

When heat is added to an ideal gas

of the gas increases. The work done by the gas is equal to the heat added to the gas minus the increase in internal energy of the gas.

The work done by the gas can be calculated using the following equation:

W = Q - ΔU

where:

* W is the work done by the gas (in J)

* Q is the heat added to the gas (in J)

* ΔU is the change in internal energy of the gas (in J)

Plugging in the values, we get:

W = 500 J - 3765 J = -2765 J

, the work done by the gas is -2765 J. The negative sign indicates that the gas does work on its surroundings.

The final internal energy of the gas can be calculated using the following equation:

U = Ui+ Q

where:

* Uiis the initial internal energy of the gas (in J)

* Q is the heat added to the gas (in J)

Plugging in the values, we get:

U = 3765 J + 500 J = 4265 J

c) At constant volume

When heat is added to an ideal gas at constant volume, the temperature of the gas increases and the pressure of the gas increases. The work done by the gas is zero.

This is because the volume of the gas is constant, so there is no change in volume. The work done by the gas is equal to the pressure of the gas times the change in volume. Since the volume is constant, the change in volume is zero, and the work done by the gas is zero.

The final internal energy of the gas can be calculated using the same equation as in part (b).

U = Ui+ Q

Plugging in the values, we get:

U = 3765 J + 500 J = 4265 J

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Salespeople use a variety of ________ to gather and process information of value to the customer.

Answers

Salespeople utilize a range of techniques to collect and analyze valuable information for customers, aiding in the sales process.

: Salespeople employ several methods to gather and process information that is beneficial to their customers. One crucial technique is active listening, which involves attentively hearing and understanding customer needs, preferences, and pain points. Through active listening, salespeople can extract valuable insights, tailor their approach, and provide suitable solutions. Another important method is conducting market research, enabling salespeople to understand industry trends, competitive landscapes, and customer behavior. This knowledge empowers them to offer informed recommendations and position their products or services effectively. Additionally, salespeople may leverage customer relationship management (CRM) systems to organize and analyze customer data, track interactions, and identify opportunities for personalized engagement. These techniques collectively assist salespeople in delivering value by providing relevant and insightful information to customers.

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Net exports are −$114 billion and exports are $824 billion. What are imports? −$710 billion $7 billion $938 billion $710 billion

Answers

Imports are $938 billion.

To determine the value of imports, we need to understand the relationship between net exports and exports. Net exports represent the difference between exports and imports, indicating whether a country has a trade surplus (exports exceed imports) or a trade deficit (imports exceed exports). In this case, we are given that net exports are -$114 billion, indicating a trade deficit. Additionally, we are given that exports are $824 billion.

To find imports, we can subtract net exports from exports. Mathematically, imports = exports - net exports. Substituting the given values, we have imports = $824 billion - (-$114 billion). Simplifying this equation, we can rewrite it as imports = $824 billion + $114 billion.

Adding $824 billion and $114 billion, we find that imports equal $938 billion. Therefore, the value of imports in this scenario is $938 billion.

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some businesses avoid using new technology because they don't understand it, while other companies immediately use every new technology without assessing its value. both of these approaches can steer a company into a way of thinking.

Answers

To strike a balance, businesses should aim for a middle ground.

Both approaches have their own pros and cons when it comes to incorporating new technology into a business. Let's break it down:

1. Businesses that avoid using new technology because they don't understand it:
  - Pros: This cautious approach allows companies to thoroughly analyze and understand the technology before implementing it. It minimizes the risk of investing in something that may not align with the company's goals or needs.
  - Cons: By avoiding new technology altogether, businesses may miss out on potential opportunities for growth, increased efficiency, and competitive advantage. It can lead to falling behind competitors who embrace technological advancements.

2. Companies that immediately use every new technology without assessing its value:
  - Pros: This proactive approach allows businesses to stay ahead of the curve and explore new possibilities. It can result in early adoption of game-changing technologies that give them a competitive edge.
  - Cons: Blindly adopting every new technology without evaluating its value can be risky. It may lead to wasted resources and ineffective implementation, as not every technology may be suitable for the company's specific needs.

To strike a balance, businesses should aim for a middle ground. They should invest in understanding new technologies to make informed decisions, assessing their potential benefits and drawbacks, and aligning them with their business strategies. This way, they can leverage technology effectively and avoid being left behind.

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3. Suppose you have a good that you can sell to two different markets over which you have pricing power. The marginal cost is the same regardless of market. The elasticity of demand for one market (call it "Market A" representing a certain type of customer) is 4 and the elasticity of demand for the other market (Market B) is 3. Evaluate this claim: The market B should get charged a 12.5% higher price than market A. True or false (and explain briefly... the best answers will show and use the appropriate formula!) Can you think of any examples where this logic would apply? How do firms attempt to segment markets to be able to exploit this?

Answers

False. Price difference should be proportional to the ratio of elasticities, and market segmentation enables firms to exploit price elasticity differences for profit maximization.

The claim is false. To determine the appropriate price difference, we need to consider the price elasticity of demand in each market. According to the formula for price elasticity of demand (PED), the price difference should be proportional to the ratio of elasticities. In this case, the ratio is 3/4 (Market B elasticity divided by Market A elasticity). Thus, if Market A is charged a certain price, Market B should be charged a price that is 75% (1 - 3/4) higher, not 12.5% higher.

Firms can segment markets based on various factors such as demographics, geography, or product characteristics to exploit differences in price elasticity. By identifying market segments with different elasticities, firms can tailor their pricing strategies to maximize profits. Examples of market segmentation include offering premium products to price-insensitive customers and providing discounts or promotions to price-sensitive customers, allowing firms to capture higher margins in certain segments while remaining competitive in others.

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UNISA / 2022 / Semester 1 / MNB1601-22-S1 / Welcome to MNB1601 / Assessment 4 In the area of recruitment and selection at Derby Departmental Stores, mention was made of the fact that when recruiting for lower-level and entry- level jobs, HR used the local private recruitment agency closest to the Derby store, and these agencies were under strict orders to recruit people within a radius of 50 kilometres from the store in question. It is evident that Derby Departmental Stores has a clearly defined policy when it comes to the recruitment of lower-level and entry-level jobs. The express purpose of recruiting is to s Select one: a. Forecast the expected growth or shrinkage of the business in view of probable economic developments b. Ensure that a sufficient number of applicants apply for the various jobs in the business as and when required c. Determine if there are sufficient opportunities in the labour market d. Make provision for active recruiting campaigns where the need for intensive training programmes is emphasised baterial K Question 2 Not yet answered Marked out of 1,00 P Flag question

Answers

The express purpose of recruiting lower-level and entry-level jobs at Derby Departmental Stores is to ensure that a sufficient number of applicants apply for the various jobs in the business as and when required.

Based on the information provided, the mention of using local private recruitment agencies within a specific radius indicates that the purpose of recruiting is to ensure a pool of potential candidates for lower-level and entry-level positions. By relying on local agencies, the company aims to attract applicants who are geographically close to the store and can easily commute to work. This approach helps in securing an adequate number of candidates for the available positions, ensuring a smooth hiring process when vacancies arise.

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According to our text, which of the following is true about countries that have high income inequality?
Group of answer choices
In countries with perfect of close to perfect income inequality the relative difference in incomes between the rich and the poor is smaller than in countries with perfect income equality.
Greater income inequality means a lower absolute standard of living for the wealthy and a lower one for the poor as well.
None of the choices is listed in our text as true about high income equality.
Countries with high income inequality have lower standards of living.

Answers

According to the text, the true statement about countries that have high income inequality is that countries with high income inequality have lower standards of living. Countries that have high income inequality have a lower standard of living  the correct answer is: E

because it means that the wealth is concentrated in a few hands while the majority of the population remains poor. The higher the level of income inequality in a country, the lower the standard of living of the poor and the wealthy alike.The income gap between the rich and the poor in countries with high income inequality is large and the economy of such countries struggles to grow.

According to many scholars and economists, income inequality is a serious issue that affects economic growth. In conclusion, Countries with high income inequality have lower standards of living.

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Which details give explicit examples of starvation during elizabethan times? Describe the additional participants and procedure in apluralistic walkthrough Suppose that$2500is placed in a savings account at an annual rate of2.6%, compounded quarterly. Assuming that no withdrawals are made, how long will it take for the account to grow to$35007Do not round any intermediate computations, and round your answer to the nearest hundreoth. If necessary, refer to the list of financial formular- +The answer to the calculation below with the correct number of significant figuresis15.4 + 9.87 +0.002 =A) 25.27B) 25.272C) 25D) 25.3 How can we graphically represent a change in supply if there is a technological improvement in production of the good?AThe supply curve would be steeper.BThe supply curve would be flatter. A uniform magnetic field points directly into this page. A group of protons are moving toward the top of the page. What can you say about the magnetic force acting on the protons? A. toward the right B. toward the left C. toward the top of the page D. toward the bottom of the page E. directly into the page F. directly out of the page what organelles are responsible for the production and placement of the protein in the plasma membrane? Question 10 of 10 Which statement best describes President Carter's response when Soviet troops were discovered in Cuba? A. President Carter had American athletes boycott the Olympics in Moscow in protest of Soviet troops in Cuba. OB. President Carter canceled SALT II talks in an effort to show the American people he took the threat seriously. C. President Carter tried to assure the American public that there was no threat, but he still sent troops to Cuba. D. President Carter tried to assure the American public that there was no threat and took no direct action. The finding that shy parents tend to have shy children whereas extraverted parents tend to have extraverted children suggests that ________ influences extraversion.A. heredityB. a hormoneC. the environmentD. sleep Payroll practitioners should be familiar with the differenttypes of non-statutory deductions. List the four types ofnon-statutory deductions discussed in the material and give twoexamples for each. Identify a natural threat. Discuss in what geographical area this threat is most likely to occur. Provide an example. From the example, could this treat have been anticipated? Could the response have been better? Explain. Light of two similar wavelengths from a single source shine on a diffraction grating producing an interference pattern on a screen. The two wavelengths are not quite resolved. B A = How might one resolve the two wavelengths? Move the screen closer to the diffraction grating. Replace the diffraction grating by one with fewer lines per mm. Replace the diffraction grating by one with more lines per mm. Move the screen farther from the diffraction grating. Three well-developed strategic alternatives/supporting analysesare derived from the analysis of AbCellera Biologics, Inc. (BC,Vancouver) Big Steve's, makers of swizzle sticks, is considering the purchase of a new plastic stamping machine. This investment requires an initial outlay of $105,000 and will generate net cash inflows of $21,000 per year for 9 years. a. What is the project's NPV using a discount rate of 9 percent? Should the project be accepted? Why or why not? b. What is the project's NPV using a discount rate of 14 percent? Should the project be accepted? Why or why not? c. What is this project's internal rate of return? Should the project be accepted? Why or why not? when 9.00 1022 molecules of ammonia react with 8.00 1022 molecules of oxygen according to the chemical equation shown below, how many grams of nitrogen gas are produced? QUESTION 28 Long-term financing may be riskier than short-termfinancing during periods of tight credit because the firm may notbe able to rollover (renew) its debt.TrueFalseQUESTION 29A stock sp 6% per year for the foresesuble future. a. What required rate of retum for this stock would result in a price per share of 326 ? b. If MoCracken expects both earnings and dividencs to grow at an annual rate of 12%, what recuired rate of retum would resul in a price per ahare of 5ast 8.4 per year for the foresenable funure. 2. What required rate of retum for this slock would result is a price per share of 32k ? 2. The tequirnd rate of retim for this shock, in ceder to resut in a price per share of 520 , is 4. (Round to two decimil placti) b%. per year for the toreseneable future a. What required rele of retum for this stock would resilt in a price per ahare of 322 ? b. If MoCracken expects both eamings and Gidends to prow at an apnual rate of 12%, what required rate of return would resut in a price par ahare of s2mi a. The required rale of retum for this stock, in order to tesult in a price per share of $20 is 6. (Round to two decimal placess.) The plot below shows the vertical displacement vs horizontal position for a wave travelling in the positive x direction at time equal 0s(solid) and 2s(dashed). Which one of the following equations best describes the wave? A block is sliding with constant acceleration down. an incline. The block starts from rest at f= 0 and has speed 3.40 m/s after it has traveled a distance 8.40 m from its starting point What is the speed of the block when it is a distance of 16.8 m from its t=0 starting point? Express your answer with the appropriate units. A 3 20 ? 168 Value Units Submit Request Answer Part B How long does it take the block to slide 16.8 m from its starting point? Express your answer with the appropriate units. 1) In which of the following ways are some preferred shares similar to bonds?I. Call provisionsII. Convertible featuresIII. Retraction provisionsIV. Rated by rating agenciesGroup of answer choicesI, II, and IIII, II, and IVII and IIII, II, III, and IV