a division can sell externally for $60 per unit. its variable manufacturing costs are $35 per unit, and its variable marketing costs are $12 per unit. what is the optimal transfer price for transferring internally, assuming the division is operating at full capacity?

Answers

Answer 1

The optimal transfer price for transferring internally, assuming the division is operating at full capacity, is $47 per unit.

The transfer price should be set at the opportunity cost of the selling division, which represents the revenue it would have earned by selling externally. In this case, the selling price externally is $60 per unit. However, the transfer price should also consider the variable manufacturing and marketing costs. The variable manufacturing cost per unit is $35, and the variable marketing cost per unit is $12. These costs are directly attributable to the production and marketing of the product. Therefore, the total variable cost per unit is $35 + $12 = $47.

Since the division is operating at full capacity, any internal transfer would result in a lost external sale opportunity. Therefore, the transfer price should at least cover the variable cost per unit, ensuring that the division does not incur a loss by transferring internally. Hence, the optimal transfer price for transferring internally, assuming the division is operating at full capacity, is $47 per unit, which covers the variable manufacturing and marketing costs per unit.

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Related Questions

an american put option gives its holder the right to . buy the underlying asset at the exercise price on or before the expiration date buy the underlying asset at the exercise price only at the expiration date sell the underlying asset at the exercise price on or before the expiration date sell the underlying asset at the exercise price only at the expiration date

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An American put option is a type of financial contract that gives its holder the right, but not the obligation, to sell the underlying asset at the exercise price on or before the expiration date. In other words, the holder of an American put option has the flexibility to exercise the option at any time before the expiration date, as opposed to a European put option which can only be exercised at the expiration date.

This means that if the underlying asset's market price falls below the exercise price, the holder of the American put option can sell the asset at the exercise price and make a profit. On the other hand, if the market price remains above the exercise price, the holder can choose not to exercise the option and avoid a potential loss.

Therefore, an American put option gives its holder the right to sell the underlying asset at the exercise price on or before the expiration date. It does not give the holder the right to buy the underlying asset at the exercise price, which is the characteristic of a call option.

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Which of the following is (are) difficulties encountered when creating profit centers? None of the choices are correct. Top management loses some amount of control due to decentralization All of the choices are correct Units that have cooperated in the past may now be in competition. Question 15 (4 points) Listen The purpose of setting transfer prices is to account for transfer of goods and services between intra-company profit centers. True False Question 16 (4 points) Listen Which of the following companies would represent a related diversified organization? O Exxon Mobil None of these companies would represent a related diversified organization Proctor and Gamble Walmart

Answers

Difficulty encountered when creating profit centers: None of the choices are correct.

The given options do not accurately represent the difficulties encountered when creating profit centers. The first option states that top management loses some amount of control due to decentralization. However, this is not necessarily a difficulty but rather a characteristic of decentralization. The second option suggests that units that have cooperated in the past may now be in competition, but this is not a universal difficulty and depends on the specific organizational structure and goals.

Setting transfer prices: False

The purpose of setting transfer prices is indeed to account for the transfer of goods and services between intra-company profit centers. Therefore, the statement is true.

Related diversified organization: Proctor and Gamble

Among the given options, Proctor and Gamble represents a related diversified organization. Proctor and Gamble operates in multiple consumer goods categories such as health and hygiene products, beauty care, and household care. They have a broad product portfolio and operate in various related industries.

The difficulties encountered when creating profit centers were not accurately represented in the given choices. The purpose of setting transfer prices is to account for the transfer of goods and services between intra-company profit centers. Among the given options, Proctor and Gamble represents a related diversified organization.

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TRUE/FALSE Question:
The MIRR assumes that a project's cash flows can be reinvested at the project's cost of capital.
The NPV profile shows the relationship between a project's NPV and its cost of capital.
The crossover rate is the cost of capital at which the projects' NPVs are equal.

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A. The MIRR assumes that a project's cash flows can be reinvested at the project's cost of capital. - TRUE

B. The NPV profile shows the relationship between a project's NPV and its cost of capital. - FALSE

C. The crossover rate is the cost of capital at which the projects' NPVs are equal. - FALSE

A. True. The profitability of proposed investments is gauged using the capital budgeting indicator known as the Modified Internal Rate of Return (MIRR). The MIRR assumes that a project's cash flows can be reinvested at its cost of capital.

This makes the MIRR significantly more accurate than the traditional Internal Rate of Return (IRR), which usually overestimates a project's profitability.

B. False. The Net Present Value (NPV) profile shows the relationship between a project's NPV and its assumed rate of return. It plots how the NPV changes as the assumed rate of return changes.

The NPV profile helps investors determine the optimal rate of return for a given set of assumptions.

C. False. The crossover rate refers to the overlap point between the Internal Rate of Return (IRR) of two mutually exclusive investments.

The crossover rate is the discount rate in which the projects' IRRs are equal and their NPVs are equal.

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Complete Question:

TRUE/FALSE Question:

A. The MIRR assumes that a project's cash flows can be reinvested at the project's cost of capital.

B. The NPV profile shows the relationship between a project's NPV and its cost of capital.

C. The crossover rate is the cost of capital at which the projects' NPVs are equal.

a local dental partnership has been liquidated and the final capital balances are atkinson, capital (40% of all profits and losses) $ 82,000 kaporale, capital (30%) 42,000 dennsmore, capital (20%) (56,000 ) rasputin, capital (10%) (68,000 ) if rasputin contributes cash of $22,500 to the partnership, how would this

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If Rasputin contributes cash of $22,500 to the partnership, his negative capital balance of ($68,000) will be reduced to ($45,500).

Rasputin's capital balance is negative, indicating that he owes more to the partnership than his initial investment. By contributing cash of $22,500, Rasputin is essentially reducing the amount he owes to the partnership.

To calculate the new capital balance for Rasputin, we need to subtract the cash contribution from his current negative capital balance.

Current capital balance for Rasputin: ($68,000)

Cash contribution: $22,500

(-$68,000) - $22,500 = -$90,500

Therefore, after Rasputin contributes $22,500, his new capital balance will be ($90,500). However, since the negative capital balance is typically not shown with parentheses in accounting, it would be represented as -$90,500 or simply $90,500 as a liability owed by Rasputin to the partnership.

It's important to note that the impact of this contribution on the other partners' capital balances or the distribution of profits and losses would depend on the partnership agreement and the specific terms outlined therein.

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The most powerful corporate governance legislation to date has been:
A.the Sarbanes-Oxley Act (SOX) of 2002.
B.the creation of the American Institute of Certified Public Accountants
C.Corporate Ethics Code of 2007.
D.the regulation of inventory management practices by the SEC.

Answers

A. The Sarbanes-Oxley Act (SOX) of 2002. The Sarbanes-Oxley Act (SOX) of 2002 is widely regarded as the most powerful corporate governance legislation to date.

It was enacted in response to major accounting scandals such as Enron and WorldCom and aimed to enhance corporate accountability, transparency, and financial reporting. SOX established stricter regulations and requirements for public companies, including the establishment of the Public Company Accounting Oversight Board (PCAOB) and increased oversight of auditing practices. The act also introduced provisions to protect whistleblowers and imposed penalties for fraudulent activities. Its impact on corporate governance practices and financial reporting has been significant, making it a pivotal legislation in the field of corporate governance.

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The "4P" model of resisting corruption focuses on becoming aware of it (perceiving), confirming it’s happening (probing), _____.
a. Preventing its spread, and persisting until it’s prosecuted to the full extent of the law
b. Protesting its occurrence, and persisting until it’s addressed
c. Protesting its occurrence, and preventing its spread

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The "4P" model of resisting corruption focuses on becoming aware of it (perceiving), confirming it’s happening (probing), and protesting its occurrence, and persisting until it’s addressed.

To effectively resist corruption, the "4P" model emphasizes on three critical stages. The first step is to become aware of corruption, which involves perceiving and identifying the corrupt practices happening in an organization or society. The second step is to confirm the occurrence of corruption by probing deeper into the issue. Finally, protesting against corruption and persisting until it is addressed is the third step of the "4P" model.

This model is essential in preventing corruption from spreading, and it can be used in different settings to enhance transparency, accountability, and ethical practices. Therefore, to fight corruption effectively, individuals and organizations should embrace the "4P" model, which emphasizes awareness, confirmation, and persistent protests against corruption.

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An extended coverage policy of title insurance covers all of the following EXCEPT:
a) coverage offered by the standard policy. b) off-record easements. c) rights of parties in possession. d) liens placed by the insured.

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An extended coverage policy of title insurance covers all of the following except- d) liens placed by the insured.

What is the reason?

An extended coverage policy of title insurance is an additional insurance policy that provides coverage for specific risks and hazards that are not covered under a standard policy. However, it's important to note that an extended coverage policy of title insurance does not cover all possible risks and hazards.

Specifically, it does not cover liens placed by the insured, as this would be a conflict of interest. In addition, it does not cover coverage offered by the standard policy, as this is already included in the standard policy. However, it does provide coverage for off-record easements and rights of parties in possession, which are not typically covered by a standard policy.

Overall, an extended coverage policy of title insurance is an important tool for protecting property owners from a wide range of potential risks and hazards, but it's important to carefully review the policy and understand what is and isn't covered.

Hence, option d. is correct.

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what are benefits of reusing or recycling glass bottles? select all that apply. responses it will prevent depletion of natural resources from earth. it will prevent depletion of natural resources from earth. it will reduce the space required in landfills. it will reduce the space required in landfills. it will reduce the need for new construction materials. it will reduce the need for new construction materials. it will promote the production and sale of new glass bottles in the market.

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The benefits of reusing or recycling glass bottles include preventing the depletion of natural resources, reducing the space required in landfills, and reducing the need for new construction materials.

Reusing or recycling glass bottles offers several environmental benefits. First, it helps prevent the depletion of natural resources from the Earth. By reusing existing glass bottles or recycling them into new ones, the demand for raw materials like sand, soda ash, and limestone, which are used in glass production, is reduced. Second, reusing or recycling glass bottles helps reduce the space required in landfills. Glass is not biodegradable and can take hundreds of years to break down in landfills. By recycling glass bottles, the amount of waste sent to landfills is decreased, conserving valuable landfill space.

Lastly, reusing or recycling glass bottles also helps reduce the need for new construction materials. Glass can be recycled and used as a raw material in the manufacturing of new glass products. This reduces the demand for new resources and energy-intensive processes involved in producing glass from scratch. It's important to note that reusing or recycling glass bottles does not directly promote the production and sale of new glass bottles in the market. Instead, it focuses on the sustainable use and preservation of resources.

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global business leaders need to be more aware of ethical norms and possess what characteristics at greater levels than ever before? a. high context b. social stratification c. cultural sensitivity d. long-term orientation

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Global business leaders need to possess cultural sensitivity and long-term orientation at greater levels than ever before.

In today's interconnected world, cultural sensitivity is crucial for global business leaders. They need to be aware of and respectful towards different cultural norms, values, and practices. Understanding cultural differences and adapting their strategies accordingly enables leaders to navigate diverse markets and build successful relationships with stakeholders from various backgrounds. Cultural sensitivity fosters mutual respect, facilitates effective communication, and helps prevent misunderstandings or conflicts that can arise due to cultural differences.

Additionally, possessing a long-term orientation is essential for global business leaders. Instead of focusing solely on short-term gains, they must consider the long-term sustainability and impact of their decisions. This includes understanding the environmental, social, and ethical implications of their business practices. By taking a long-term perspective, leaders can prioritize responsible and ethical behavior, implement sustainable strategies, and build trust and credibility with stakeholders.

In summary, global business leaders need to be culturally sensitive to adapt to diverse markets and possess a long-term orientation to prioritize ethical considerations and sustainability in their decision-making processes.

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Firms are able to price-discriminate when resale is impossible and groups of individuals are difficult to distinguish. True or False

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True. Firms are able to price-discriminate in situations where resale is impossible and it is difficult to distinguish between groups of individuals. This is because they are able to charge different prices to different customers based on their willingness to pay without the risk of customers reselling their products at a lower price.

Price discrimination is the practice of charging different prices to different customers for the same product or service. This strategy is used by firms to increase profits by capturing the maximum amount of consumer surplus.

However, for price discrimination to be successful, certain conditions need to be met. One of these conditions is that resale should be impossible. This is because if customers are able to resell the product at a lower price, the firm will not be able to charge different prices to different customers as the resellers will arbitrage the price difference.

Another condition for successful price discrimination is that groups of individuals should be difficult to distinguish. This means that the firm should not be able to easily identify customers who are willing to pay more from those who are not. This is because if the firm can identify customers with high willingness to pay, it will charge them a higher price, while those with low willingness to pay will be charged a lower price.

In summary, the main answer to the question is True, and the detailed answer explains the conditions required for successful price discrimination.

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What is a long only commodity fund? Describe its main features. What are the components of the returns from a long only commodity fund?

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A long-only commodity fund aims to make profits by investing in commodities through price appreciation and roll yield. It provides exposure to a diversified portfolio of commodities and the potential benefits of commodity market performance.

A long-only commodity fund is an investment vehicle that focuses on gaining exposure to commodities through long positions only. It aims to generate returns by investing in commodities such as energy, metals, agriculture, and other physical assets. The main features of a long-only commodity fund are:

1. Long Positions: The fund takes long positions in commodity futures contracts or physical commodities, anticipating an increase in their prices over time.

2. Diversification: It provides diversification benefits by investing in a wide range of commodities, reducing the risk associated with investing in a single commodity.

3. No Short Selling: Unlike a long-short commodity fund, a long-only commodity fund does not engage in short selling. It focuses solely on long positions, benefiting from upward price movements.

The components of returns from a long-only commodity fund primarily consist of:

1. Price Appreciation: When commodity prices rise, the fund's investments in those commodities generate positive returns.

2. Roll Yield: Long-only commodity funds typically hold futures contracts, and the returns can be influenced by roll yield, which results from rolling expiring contracts into longer-dated contracts.

3. Income: Some long-only commodity funds generate income through strategies such as leasing or storage of physical commodities, which contributes to overall returns.

In conclusion, a long-only commodity fund is an investment vehicle that focuses on long positions in commodities, aiming to generate returns primarily through price appreciation and roll yield. By investing in a diversified portfolio of commodities, these funds offer exposure to the potential benefits of commodity market performance.

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what have you learned about workplace documentation on the site

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I have not personally learned anything about workplace documentation on the site. However, based on the queries and questions I have received from users, I can provide some insights into workplace documentation.

Workplace documentation refers to the process of creating, storing, and managing documents that are related to an organization's operations, policies, and procedures. Documentation is an essential aspect of any workplace as it helps to maintain consistency, facilitate communication, and ensure compliance with legal requirements.From the queries I have received, it is clear that many organizations struggle with managing their documentation. Some of the common issues that arise include outdated or inconsistent documents, disorganized file systems, and difficulty in accessing information.To address these issues, organizations need to have a robust documentation management system in place. This involves creating standardized templates, establishing clear guidelines for document creation and storage, and implementing a system for version control and document approval Moreover, documentation needs to be regularly reviewed and updated to ensure that it reflects current policies and procedures. This can be achieved through regular audits, feedback from employees, and ongoing training.In conclusion, workplace documentation is a critical aspect of any organization, and it requires careful management to ensure its effectiveness. By implementing a comprehensive documentation management system and regularly reviewing and updating documents, organizations can streamline their operations and improve their overall performance.

it seems you are asking about what I have learned about workplace documentation on Brainly. As a question-answering bot, I am programmed to provide answers based on the given input, but I don't learn from the site itself. However, I can provide a concise response to your question  .Workplace documentation is essential for maintaining clear communication, providing evidence of policies and procedures, and ensuring compliance with legal requirements. On Brainly, I've come across discussions that highlight the importance of various types of workplace documentation, including:1. Policies and procedures: These documents outline the rules and guidelines that employees must follow within the organization  .Employee handbooks: These manuals provide employees with information about the company's culture, values, and expectations.. Training materials: These resources are used to educate and inform employees about their roles, responsibilities, and tasks.. Performance reviews: These assessments help employers evaluate employee performance and provide feedback for improvement.. Legal and compliance documents: These materials ensure that the organization is adhering to relevant laws and regulations.Meeting minutes: These records capture important decisions and discussions that take place during meetings .summary, workplace documentation plays a crucial role in fostering a productive and legally compliant work environment.

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Banks with relatively ____ ROAs often incur ____ noninterest expenses.
A. low; very low
B. low; very high
C. high; very high
D. none of the above

Answers

The answer to your question is B, banks with relatively low ROAs often incur very high noninterest expenses. A bank's ROA, or return on assets, is a measure of its profitability and efficiency in utilizing its assets to generate earnings.

Banks with low ROAs are often struggling to generate sufficient profits, and this can be due to a variety of factors such as low interest margins, high credit losses, or ineffective cost management. To offset these challenges, banks may incur high noninterest expenses such as salaries, rent, and technology investments in an attempt to improve their performance. However, these expenses can further erode profitability if they are not effectively managed. Therefore, it is important for banks to strike a balance between generating revenue and managing costs to achieve sustainable profitability.

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According to the Founder's Dilemmas by Wasserman, one of the big disadvantages of founding a venture with friends, classmates, or family is the possibility that things will go badly at the venture which could then negatively impact those personal relationships.
TRUE
FALSE

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TRUE; Entrepreneurs should be aware of these potential challenges and take proactive measures to address them, ensuring a balance between professional and personal dynamics for long-term success and maintaining healthy relationships.

According to "The Founder's Dilemmas" by Noam Wasserman, one of the significant disadvantages of founding a venture with friends, classmates, or family is the potential negative impact on personal relationships if things go badly in the venture. Starting a business involves various challenges and risks, and when personal relationships are intertwined with the business, failures or conflicts within the venture can strain or even damage those relationships.

When entrepreneurs start a venture with close personal connections, the lines between professional and personal life can become blurred. Disagreements, financial struggles, or business failures can create tensions, mistrust, and resentment, potentially leading to the breakdown of friendships, strain in familial relationships, or damage to classmates' dynamics.

While starting a business with friends, classmates, or family members can have its advantages, such as trust and shared values, it is important to recognize and mitigate the potential risks. Clear communication, setting expectations, establishing agreements, and maintaining a strong focus on professionalism can help navigate these challenges and minimize the potential negative impact on personal relationships.

Based on "The Founder's Dilemmas" by Wasserman, it is true that founding a venture with friends, classmates, or family members can carry the risk of negatively impacting personal relationships if the venture faces difficulties. Entrepreneurs should be aware of these potential challenges and take proactive measures to address them, ensuring a balance between professional and personal dynamics for long-term success and maintaining healthy relationships.

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in solving from an unknown interest rate involving only the f/p formula, it is possible to solve for i directly by rearranging the equation. TRUE OR FALSE

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True. It is possible to solve for the unknown interest rate (i) directly by rearranging the equation when using the future value (F) and present value (P) formula.

The formula for the future value of an investmentor loan is:

F = P(1 + i)ⁿ

By rearranging this formula and isolating the interest rate (i), we can solve for i directly:

i = (F/P)⁽¹ⁿ⁾ - 1

This equation allows us to find the interest rate when the other variables (F, P, and n) are known.

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the correct order of cost flows in a job order costing system is:

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Direct materials

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Costs associated with two alternatives, code-named Q and R, being considered by Albiston Corporation are listed below:
Alternative Q Alternative R
Supplies costs $66,000 $66,000
Power costs $30,500 $29,600
Inspection costs $19,000 $29,600
Assembly costs $34,000 $34,000
Required:
a. Which costs are relevant and which are not relevant in the choice between these two alternatives?
b. What is the differential cost between the two alternatives?

Answers

a. Relevant costs are costs that will change based on the decision made between the two alternatives. In this case, the relevant costs are supplies costs, power costs, and inspection costs because they differ between the two alternatives. Assembly costs are not relevant because they are the same for both alternatives.

b. To find the differential cost between the two alternatives, we need to subtract the costs of one alternative from the costs of the other. In this case, the differential cost between alternative Q and alternative R is:

($66,000 - $66,000) + ($30,500 - $29,600) + ($19,000 - $29,600) + ($34,000 - $34,000) = -$10,100

Therefore, alternative Q is $10,100 cheaper than alternative R.


a. Relevant costs are those that will be affected by the decision between the two alternatives. In this case, the supplies costs, power costs, and inspection costs are relevant because they differ between alternative Q and alternative R. Supplies costs are the same for both alternatives, so they are not relevant. Assembly costs are also not relevant because they are the same for both alternatives.

b. The differential cost between the two alternatives is the difference in costs between the two alternatives. To calculate this, we need to subtract the costs of one alternative from the costs of the other. The differential cost between alternative Q and alternative R is:

(Q supplies costs - R supplies costs) + (Q power costs - R power costs) + (Q inspection costs - R inspection costs) + (Q assembly costs - R assembly costs)

Plugging in the numbers from the table, we get:

($66,000 - $66,000) + ($30,500 - $29,600) + ($19,000 - $29,600) + ($34,000 - $34,000) = -$10,100

Therefore, alternative Q is $10,100 cheaper than alternative R.

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Xola's curios shop has expanded to the point where he now needs to buy additional equipment and fixed assets. Xola is a cautious businessman and, at this stage, he orders single pieces of office equipment or fixed assets at a time and pays for each order in full at the time of purchase. The arrangement between Xola and his suppliers is that each individual order will be shipped separately.
REQUIRED Draw an REA diagram for the ordering process described. Include all entities and cardinalities

Answers

In REA diagram, Xola places an individual Order with a specific Supplier for a certain Office Equipment or Fixed Asset. Each Order is associated with one Supplier and includes one Office Equipment or Fixed Asset.

Here's an REA (Resources, Events, Agents) diagram for the ordering process described:

Entities:

Supplier: Represents the entity that supplies the office equipment or fixed assets to Xola's curios shop.

Order: Represents an individual order placed by Xola to a supplier for a specific office equipment or fixed asset.

Office Equipment or Fixed Asset: Represents the specific item being ordered by Xola.

Relationships:

Places Order: Represents the relationship between Xola and the Order entity. Xola places an order for office equipment or fixed assets.

Cardinality: Xola (1) places an order (1 or more).

Supplies: Represents the relationship between the Supplier and the Order entity. The Supplier supplies the ordered office equipment or fixed assets.

Cardinality: Supplier (1 or more) supplies (1) an order (1).

Includes: Represents the relationship between the Order and the Office Equipment or Fixed Asset entity. The Order includes a specific office equipment or fixed asset.

Cardinality: Order (1) includes (1) Office Equipment or Fixed Asset.

Below is a visual representation of the REA diagram:

              +-----------+     1        1     +-----------------------+

              |  Supplier |----------------->|         Order         |

              +-----------+                  +-----------------------+

                  1 |                                  |

                    |                                  |

                    |                                  |

                    |                                  |

                    |                                  |

                    |                                  |

                    |                 1                |

                    +-------------------+----------------+

                                        |

                                        |

                                        |

                                        |

                                        |

                                        |

                                  1     |

                    +-------------------+-------------------+

                    |        Office Equipment or           |

                    |           Fixed Asset                |

                    +-------------------------------------+

In this diagram, Xola (as the Agent) places an individual Order with a specific Supplier for a certain Office Equipment or Fixed Asset. Each Order is associated with one Supplier and includes one Office Equipment or Fixed Asset. The cardinality relationships are indicated as (1) and (1 or more) based on the description provided.

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Dreebyshaw Industries must set its investment and dividend policies for the coming year. It has three independent projects from which to choose, each of which requires a $6 million investment. These projects have different levels of risk, and therefore different costs of capital. Their projected IRRs and costs of capital are as follows:
Project A: Cost of capital = 18%; IRR = 22%
Project B: Cost of capital = 13%; IRR = 10%
Project C: Cost of capital = 6%; IRR = 9%
Dreebyshaw intends to maintain its 45% debt and 55% common equity capital structure, and its net income is expected to be $9,750,000. If Dreebyshaw maintains its residual dividend policy (with all distributions in the form of dividends), what will its payout ratio be? Round your answer to two decimal places.

Answers

Dreebyshaw Industries' payout ratio would be approximately 0.87 or 87%.

To determine the payout ratio for Dreebyshaw Industries, we need to consider its net income and the amount available for distribution as dividends. The residual dividend policy implies that dividends will be paid using the remaining earnings after satisfying investment requirements.

First, let's calculate the equity portion of Dreebyshaw's capital structure. Since the company maintains a 45% debt and 55% equity capital structure, the equity portion can be calculated as 55% of the total capital:

Equity portion = 55% * ($6,000,000 + $6,000,000 + $6,000,000) = $9,900,000

Next, we need to calculate the total cost of capital for the equity portion. This can be done by weighing the costs of capital for each project based on their respective equity requirements:

Cost of capital for Project A = 18% * ($6,000,000 / $18,000,000) = 6%

Cost of capital for Project B = 13% * ($6,000,000 / $18,000,000) = 4.33%

Cost of capital for Project C = 6% * ($6,000,000 / $18,000,000) = 2%

Total cost of capital for equity = 6% + 4.33% + 2% = 12.33%

Now, we can calculate the amount available for distribution as dividends. This is the net income minus the retained earnings required to meet the equity cost of capital:

Available dividends = Net income - (Total equity * Cost of capital for equity)

Available dividends = $9,750,000 - ($9,900,000 * 12.33%) = $9,750,000 - $1,220,670 = $8,529,330

Finally, we can calculate the payout ratio by dividing the available dividends by the net income:

Payout ratio = Available dividends / Net income = $8,529,330 / $9,750,000 ≈ 0.8749 ≈ 0.87

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What is the optimal tax objective for multinational corporations? A)minimize domestic taxes paid on worldwide income B)minimize worldwide taxes paid, within the limitations of applicable tax law C)minimize worldwide taxes paid D)minimize foreign taxes

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The optimal tax objective for multinational corporations depends on various factors, such as the company's business model, operations, and tax laws in different countries.

Generally, multinational corporations aim to minimize their taxes to increase profits and maximize shareholder value. However, there are different strategies to achieve this objective. Option A is relevant if the company is domiciled in a country that taxes worldwide income, and it aims to reduce the taxes paid in that country. Option B is suitable if the company operates in multiple countries and wants to minimize the overall tax burden while complying with applicable tax laws. Option C is the most aggressive strategy, as it aims to reduce taxes paid worldwide, even if it involves aggressive tax planning or avoidance. Option D is relevant if the company has operations in countries with high tax rates, and it aims to reduce the foreign taxes paid to increase profits. Ultimately, the optimal tax objective for a multinational corporation should align with its values, principles, and legal obligations.

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When evaluating mutually exclusive investments, choose the one with the highest internal rate of return that is also greater than the cost of capital. True O False

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The statement is True. When evaluating mutually exclusive investments, it is essential to choose the one that has the highest internal rate of return (IRR), which is the rate of return that the investment is expected to generate.

However, it is not enough to only consider the IRR, as it is also crucial to ensure that the IRR is greater than the cost of capital. The cost of capital is the minimum rate of return that an investor expects to receive for investing in a project. If the IRR is less than the cost of capital, the project is not viable and will not generate a positive return.

Therefore, it is important to evaluate both the IRR and the cost of capital when making investment decisions.

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Which one of the following situations is consistent with a real depreciation of the pound against the dollar?

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A decrease in the relative value of the pound compared to the dollar due to factors such as lower interest rates, declining export competitiveness, or higher inflation rates in the UK.

A real depreciation of the pound against the dollar refers to a situation where the value of the pound decreases relative to the dollar in terms of purchasing power. This can occur due to various factors such as changes in supply and demand, interest rates, inflation rates, and economic performance.

One situation consistent with a real depreciation of the pound against the dollar could be a decrease in the relative interest rates between the United Kingdom and the United States.

If the interest rates in the UK decrease or remain stable while the interest rates in the US increase, it would make investments in the US more attractive, leading to an increase in demand for the dollar. This increased demand would cause the value of the pound to decrease relative to the dollar, resulting in a real depreciation of the pound.

Another possible scenario could be a decline in the UK's export competitiveness. If the UK experiences a decrease in productivity, an increase in production costs, or a decline in the quality of its goods and services, it would make UK exports less attractive in the international market. As a result, demand for UK goods and services, and subsequently demand for the pound, would decrease. This decreased demand would cause the value of the pound to depreciate relative to the dollar, indicating a real depreciation.

Additionally, if the UK experiences higher inflation rates compared to the US, it would erode the purchasing power of the pound. Inflation reduces the value of a currency over time, making goods and services more expensive. As a result, the pound would have a decreased value relative to the dollar, indicating a real depreciation.

In summary, a real depreciation of the pound against the dollar could occur due to factors such as changes in interest rates, a decline in export competitiveness, or higher inflation rates in the UK compared to the US.

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restful hotel corporation, a u.s. firm, establishes a wholly owned subsidiary in singapore. as a parent corporation, with respect to the subsidiary, restful retains complete ownership of

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Restful Hotel Corporation, a U.S. firm, has decided to establish a wholly-owned subsidiary in Singapore. This means that Restful Hotel Corporation will have complete ownership of the new subsidiary.
Restful Hotel Corporation, a U.S. firm, establishes a wholly-owned subsidiary in Singapore. As the parent corporation, Restful retains complete ownership of the subsidiary, meaning they have full control over its operations and decisions. This structure allows Restful to expand its business internationally while managing the Singapore subsidiary's activities in line with the company's overall strategy and goals. As the parent corporation, Restful will be responsible for the subsidiary's operations, while the subsidiary will operate as a separate legal entity. This move allows Restful to expand its operations into Singapore and gain a foothold in the Southeast Asian market. By establishing a wholly-owned subsidiary, Restful will have complete control over the subsidiary's operations and can ensure that its standards and values are maintained.

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capacity is constrained when exceeds and the flow rate is equal to .

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Capacity is constrained when demand exceeds supply, and the flow rate is equal to the capacity of the system.

When demand exceeds supply, it means that there is more demand for a product or service than the available quantity or capacity to fulfill that demand. constraint can occur in various contexts, such as MANUFACTURING, transportation, or service industries.

The flow rate refers to the rate at which goods, services, or information can move through a system. It represents the maximum rate at which the system can operate effectively. If the flow rate matches the capacity of the system, it implies that the system is operating at its full capacity, and any additional demand cannot be met due to the constraint.

For example, if a manufacturing facility has a production capacity of 1,000 units per day, and the demand for the product is 1,200 units per day, the capacity is constrained because the demand exceeds the supply. In this case, the flow rate, which is the production rate, is equal to the capacity of 1,000 units per day. The system is operating at its maximum capacity, and the excess demand of 200 units cannot be fulfilled unless additional capacity is added.

In summary, capacity is constrained when demand exceeds supply, and the flow rate is equal to the capacity of the system.

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Which of the following developments in the business of a firm often lead to a change in the firm's organizational structure? (Check all that apply.) A. Introduction of a new product
B. Merger or acquisition C. Implementation of a new information system D. Change in the CEO

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B. Merger or acquisition and D. Change in the CEO often lead to a change in the firm's organizational structure.

When a firm undergoes a merger or acquisition, there is usually a need for reorganizing the company to integrate the new business and align it with the existing structure.  This may involve changing reporting lines, redefining roles and responsibilities, and streamlining processes. Similarly, when there is a change in the CEO, it often brings a new vision and strategy for the firm, which may require a change in the organizational structure to support this new direction.

A.  Introduction of a new product may require the creation of new departments or teams to manage the product, leading to a change in the organizational structure.

B. Merger or acquisition typically leads to a restructuring of the organization to integrate the merged or acquired company, resulting in changes to the organizational structure.

C.  Implementation of a new information system may necessitate changes in roles, responsibilities, and reporting lines, thus changing the organizational structure.

D. Change in the CEO does not necessarily lead to a change in the organizational structure but may cause shifts in priorities or strategies.

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Which of the following would mostly likely cause us to consider transforming our data prior to further statistical testing? (A) The data points on a scatterplot appear to be arranged in a straight line. (B) The data points on a scatterplot show a similar degree of variation through the range considered. (C) The data is only appropriate for a correlation study, not a regression one. (D) The variances of the groups we are comparing with an ANOVA differ. (E) A statistical test for equality of variances when considering an ANOVA results in a large p value.

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A) On a scatterplot, the data points seem to be grouped in a straight line. Two quantitative variables are plotted together to show the relationship between them in terms of its strength, direction, and shape.

The strength of that connection is gauged by a correlation coefficient. A scatterplot and the correlation coefficient both describe how similar the variables are to one another. The variables are deemed to be correlated if a lovely, tidy little line appears on the scatterplot.

The form, direction, and intensity of the relationship should always be described in a brief explanation of the association in a scatterplot, as well as the existence of any outliers.

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Eric plans to deposit $6,000 per year in his son's college savings account each of the next 12 years. If he makes the first deposit one year from today and the account earns an interest rate of 9% per year, how much will Eric have saved immediately after he makes his final deposit? Enter your answer as a positive number rounded to the nearest dollar. Eric plans to deposit $6,000 per year in his son's college savings account each of the next 12 years. If he makes the first deposit one year from today and the account earns an interest rate of 9% per year, how much will Eric have saved immediately after he makes his final deposit? Enter your answer as a positive number rounded to the nearest dollar.

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Upon completion of his final deposit, Eric's savings will amount to approximately $119,567.

To calculate the amount Eric will have saved immediately after making his final deposit, we can use the formula for the future value of an ordinary annuity:

FV = P * [(1 + r)^n - 1] / r

Where:

FV is the future value of the annuity

P is the annual deposit amount

r is the interest rate per period (per year in this case)

n is the number of periods (number of years in this case)

In this scenario, the annual deposit amount (P) is $6,000, the interest rate (r) is 9% or 0.09, and the number of years (n) is 12. Plugging these values into the formula, we have:

FV = $6,000 * [(1 + 0.09)^12 - 1] / 0.09

FV = $6,000 * [1.09^12 - 1] / 0.09

FV ≈ $119,566.70

Therefore, Eric will have approximately $119,566.70 saved immediately after making his final deposit.

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A random sample of 80 employees at a large grocery store with multiple locations was asked if they spend more than 30 minutes commuting to work Assume the true proportion of employees that spend more than 30 minutes commuting to work 35%, which of the following is closest to the probability that fewer than 30% of the employees in the sample would respond that they spend more than 30 minutes commuting to work each day? a. 0.8258 b. 0.1742

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So, the probability that fewer than 30% of the employees in the sample would respond that they spend more than 30 minutes commuting to work each day is approximately 0.0102, which is not listed among the options provided.

The probability of fewer than 30% of the employees in the sample responding that they spend more than 30 minutes commuting to work can be calculated using the binomial distribution. Let p be the true proportion of employees that spend more than 30 minutes commuting to work (p=0.35), n be the sample size (n=80), and x be the number of employees in the sample that respond that they spend more than 30 minutes commuting to work. Then, the probability can be calculated as follows:

P(x < 0.3n) = P(x ≤ 0.3n - 1) = Σ[i=0 to i=0.3n-1] (nCi) * p^i * (1-p)^(n-i)

Using a binomial calculator, we get:

P(x < 0.3n) ≈ 0.1742 (option b)

Therefore, the answer is option b, 0.1742, which is closest to the probability that fewer than 30% of the employees in the sample would respond that they spend more than 30 minutes commuting to work each day.
To find the probability that fewer than 30% of the employees in the sample spend more than 30 minutes commuting to work, we can use the normal approximation to the binomial distribution. The true proportion is 0.35, and the sample size is 80.

1. Calculate the mean (μ) and standard deviation (σ) of the sample proportion:
μ = np = 80 * 0.35 = 28
σ = sqrt(np(1-p)) = sqrt(80 * 0.35 * (1-0.35)) ≈ 4.33

2. Convert the target proportion (0.3) to a z-score:
z = (x - μ) / σ = (0.3 * 80 - 28) / 4.33 ≈ -2.32

3. Find the probability associated with the z-score using the standard normal distribution table or calculator:
P(z < -2.32) ≈ 0.0102

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your client sally owns 2,000 shares of the omega venture fund, an open-end investment company. if sally places an order to sell 1,000 of her shares, she will receive a) the best available price when her order is received b) the next computed net asset value c) the last computed net asset value d) the next computed public offer price

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When Sally places an order to sell 1,000 shares of the Omega Venture Fund, she will typically receive the next computed net asset value (NAV) for those shares.

The net asset value is the per-share value of the fund's assets after deducting its liabilities. It is calculated at the end of each trading day based on the closing prices of the fund's underlying investments. Since the Omega Venture Fund is an open-end investment company, it continuously issues and redeems shares based on investor demand. When an investor places a sell order, the fund will calculate the NAV per share at the end of the trading day. This NAV represents the value of the fund's assets divided by the total number of shares outstanding.When Sally's order is processed, she will receive the next computed NAV as her sale price for the 1,000 shares she is selling. This ensures that she receives a fair value for her shares based on the current market conditions and the underlying assets of the fund.Therefore, the correct answer is b) the next computed net asset value.

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Organizations periodically have an external entity review the controls so as to uncover any potential problems in the controls. This process is called ________.
a. information modification
b. business continuity plan
c. recovery plan objective analysis
d. information systems audit
e. risk analysis

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a) Organizations periodically have an external entity review the controls so as to uncover any potential problems in the controls. This process is called information modification.

Organizations periodically have an external entity review the controls so as to uncover any potential problems in the controls. This process is called an information systems audit. An information systems audit is a systematic examination of an organization's information systems, policies, and procedures to evaluate their effectiveness, integrity, and compliance with relevant regulations. It aims to identify any weaknesses or vulnerabilities in the controls and provide recommendations for improvement. By conducting information systems audits, organizations can ensure the security, reliability, and confidentiality of their information assets, as well as mitigate potential risks and ensure regulatory compliance. It is a proactive measure to assess the overall effectiveness and efficiency of an organization's control environment.

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