Investment bank Canaccord's Think Childcare (TNK) initiation of coverage states: "TNK reported an impressive set of results following its first full year as a listed entity. Revenue of $46.5m was 7% above prospectus forecasts of $43.4m; however, the company acquired two centres during the year. On a like-for-like basis (backing out the acquisitions), revenue still came in 5% above the prospectus forecasts, at $45.5m."
Which of the following statements is NOT correct? It's important to assess how much performance exceeded forecasts on a like-for-like basis since:
Select one:
a.Expansion through acquisitions is typically more costly than organic expansion.
b.Successful word-of-mouth customer recommendations and advertising are less risky and more sustainable sources of growth compared to acquisitions.
c.Organic and acquisition-led growth both typically require extra external funding.
d.Acquisitions typically require a takeover premium which runs the risk of making them negative NPV investments.

Answers

Answer 1

The correct answer is b. Successful word-of-mouth customer recommendations and advertising are less risky and more sustainable sources of growth compared to acquisitions. Statement b is not correct because it implies that organic growth (such as word-of-mouth customer recommendations and advertising) is always less risky and more sustainable than growth through acquisitions. However, this is not necessarily the case.

The risks and sustainability of each growth strategy depend on various factors and circumstances.In the case of Think Childcare (TNK), the investment bank Canaccord notes that the company reported an impressive set of results in its first full year as a listed entity, with revenue exceeding prospectus forecasts both with and without acquisitions. This highlights the importance of assessing performance on a like-for-like basis to understand the true impact of acquisitions on growth. It's important to note that expansion through acquisitions is typically more costly than organic expansion and acquisitions typically require a takeover premium which runs the risk of making them negative NPV (net present value) investments. Therefore, the correct answer is b. Successful word-of-mouth customer recommendations and advertising are less risky and more sustainable sources of growth compared to acquisitions.

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Related Questions

What is the net present value of a project that has an initial cash flow of $37,400 and the following cash inflows? The required rate is 9.2 percent? Would you accept the project? why?
Rate 9.20%
Initial Investment 37,400.00
Year 1 13,400.00
Year 2 20,100.00
Year 3 -
Year 4 10,120.00
Should this project be accepted or rejected?

Answers

The net present value of a project that has an initial cash flow of $37,400 is $218.68.

The net present value (NPV) takes into account the money's time value and can be utilized to compare the rates of return of various projects or a projected rate of return to the hurdle rate required to approve an investment. The time worth of cash is addressed in the NPV equation by the rebate rate, which may be an obstacle rate for a venture in view of an organization's expense of capital. Regardless of how the rebate still up in the air, a negative NPV shows that the normal pace of return will miss the mark concerning it, implying that the undertaking won't make esteem.

The calculation of the net present value is frequently referred to as discounted cash flow (DCF) analysis in the context of evaluating corporate securities. Warren Buffett employs this strategy to contrast the NPV of a company's future DCFs with its current price.

Present value of inflows=cash inflow x Present value of discounting factor(rate%, time period)

=4375/1.115+8750/1.115³+4100/1.115⁴

=$12888.68

NPV=Present value of inflows-Present value of outflows

=$12888.68 - $12670

 =$218.68.

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From which of these points working capital is made up of
a) credits
b) loans
c) accounts payable
d) share capital.
e) profits.

Answers

Working capital is made up of a)credits b)loans, c) accounts payable, and d) profits.

Working capital represents the funds that a company needs to operate effectively on a day-to-day basis, and it can be used to pay for such things as salaries, rent, utilities, and supplies.

Working capital management is critical to the survival of any business since it allows it to fulfill its short-term financial obligations and maintain a solid financial footing. In general, businesses require a certain amount of working capital to cover their day-to-day expenses, such as payroll, rent, utilities, and other operating costs, as well as to purchase materials, inventory, and other assets that are necessary to operate efficiently.

Accounts payable, loans, credits, and profits are the primary components of working capital, and each plays a critical role in ensuring that the company has enough cash flow to meet its financial obligations on time. In summary, working capital is made up of credits, loans, accounts payable, share capital, and profits.

Therefore the correct option is a)credits b)loans, c) accounts payable, and d) profits.

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using the concept of complementarity, explain why companies in different countries trade with each other

Answers

Companies in different countries trade with each other because they have different resources and capabilities.

Complementarity theory suggests that countries with different endowments of resources should specialize in producing goods and services that are best suited to their resources and trade with other countries to acquire goods and services that are better produced by others. In this way, each country can maximize its production and consumption possibilities.

For example, a country that has an abundance of natural resources but a shortage of skilled labor may specialize in producing raw materials and trade them with a country that has an abundance of skilled labor but a shortage of natural resources. This way, both countries can benefit from the trade by obtaining goods and services that they would not have been able to produce on their own.

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the possible conflict between managers and owners is sometimes called the:___

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The possible conflict between managers and owners is sometimes called the principal-agent problem.

The principal-agent problem refers to the conflict of interest that may arise between the managers (agents) and the owners (principals) of a company. In this relationship, the owners delegate decision-making authority to the managers to act in their best interests and maximize the value of the company. However, the managers may have their own objectives and preferences that do not align with those of the owners.

The conflict arises because the managers may prioritize their own interests, such as maximizing their personal compensation or pursuing strategies that enhance their reputation or job security, rather than acting solely in the best interests of the owners. This misalignment of incentives can lead to agency costs, inefficiencies, and potentially reduced shareholder value.

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The term product should be broadly interpreted to encompass:
A) information, services, ideas, and issues
B) information and items
C) tangible items and issues
D) all tangible items
E) all intangible items

Answers

The term product should be broadly interpreted to encompass information, services, ideas, and issues. The correct answer is option A.

This means that a product can refer to not just tangible items, but also intangible items such as information, services, ideas, and issues. For example, a company may offer a product that is a service, such as consulting or training. Or, a non-profit organization may offer a product that is an idea or issue, such as promoting environmental awareness or advocating for human rights.

This interpretation includes both tangible and intangible items, as well as various aspects of the market and consumer needs. By considering a wide range of elements as products, businesses can develop diverse offerings to cater to their customers' demands and stay competitive in the marketplace.

Hence, option A is the suitable one.

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FILL IN THE BLANK yolef and stacia enter into a contract for stacia to cook a meal for yolef and yolef to pay stacia $50. yolef shows up at stacia’s house with $100. yolef’s actions are an example of _______.

Answers

Yolef's actions are an example of "tender of payment."

In contract law, tender of payment refers to the act of offering or presenting the agreed-upon payment to the other party. It signifies the intention and willingness to fulfill the financial obligation under the contract. Yolef, by showing up at Stacia's house with $100, is demonstrating his readiness to make the payment of $50 as stipulated in the contract.

Tender of payment is a crucial step in completing a contractual obligation. It serves as a signal that the paying party is ready and able to perform their part of the agreement. By tendering payment, Yolef is essentially saying, "I have the funds required, and I am offering them to fulfill my payment obligation."

However, it's important to note that tender of payment does not necessarily mean that the payment has been accepted or completed. Stacia has the right to refuse or accept the payment. If Stacia accepts the $100, it would be considered an acceptance of payment, and Yolef would have satisfied his contractual obligation. In this case, Stacia would be required to provide the agreed-upon meal.

If Stacia refuses the $100 and insists on receiving only the agreed-upon $50, Yolef would need to provide the correct amount to fulfill his obligation. The excess amount offered by Yolef in this situation does not automatically discharge his payment obligation. Stacia has the right to reject the overpayment and demand the correct amount.

In summary, Yolef's actions exemplify tender of payment, which demonstrates his readiness and willingness to fulfill his payment obligation under the contract. The acceptance or rejection of the tendered payment by Stacia will determine whether Yolef has successfully satisfied his contractual obligation.

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which of the following is ture about highly meets rating? select all that apply. true false high quality information pages, such as

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Highly meets rating is a system used by search engines to determine the relevance and quality of webpages.

It indicates that a particular page is highly relevant to the search query and provides high-quality information to the users. In order to achieve a highly meets rating, a page must have accurate and up-to-date information, be well-organized, and provide a positive user experience.
True statements about highly meets rating include:
- It indicates that a page is highly relevant to the search query.
- It indicates that a page provides high-quality information to the users.
- It is based on various factors, such as accuracy, relevance, and user experience.
False statements about highly meets rating include:
- It is the only factor that determines a page's ranking in search results.
- It is based solely on the number of keywords present on a page.
- It is irrelevant for pages that are not optimized for search engines.
In conclusion, highly meets rating is an important factor for achieving a good ranking in search results, and it is based on several factors that indicate the relevance and quality of a page.

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factors contributing to a decline in the usefulness of a fixed asset may be divided into which of the following two categories?

Answers

Factors contributing to a decline in the usefulness of a fixed asset may be divided into two categories: physical deterioration and functional obsolescence.

1. Physical Deterioration: Physical deterioration refers to the wear and tear or physical decay of a fixed asset over time. It includes factors such as damage, rust, corrosion, or natural aging that affect the asset's ability to perform its intended function. Physical deterioration can result from regular usage, environmental factors, lack of maintenance, or inadequate repairs. For example, machinery that becomes less efficient or breaks down frequently due to worn-out parts would be experiencing physical deterioration.

2. Functional Obsolescence: Functional obsolescence occurs when a fixed asset becomes outdated or obsolete in terms of its functionality or technological capabilities. This can happen due to advancements in technology, changes in industry standards, or shifts in customer preferences. An asset may no longer be able to meet the current needs or demands of the business or may have limited compatibility with new systems or processes. For instance, a computer system that lacks the necessary software or processing power to handle the latest applications would be considered functionally obsolete.

These two categories encompass the main factors that contribute to a decline in the usefulness of fixed assets. While physical deterioration relates to the physical condition of the asset, functional obsolescence focuses on its relevance and compatibility in the context of changing business requirements and technological advancements. Assessing and addressing these factors is essential for effective asset management and decision-making regarding repairs, replacements, or upgrades.

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if the members of an oligopoly face a prisoner’s dilemma, which of the following strategies would yield the highest combined profits?
a. One of the oligopolists decides to hold down output regardless what any of the other oligopolists do. b. Each of the oligopolists decides to expand output regardless what any of the other oligopolists do. c. Each of the oligopolists cooperates in holding down output d. None of the above.

Answers

The correct answer is d. None of the above.In a prisoner's dilemma situation, each oligopolist faces a strategic decision on whether to cooperate or compete.

The dilemma arises when each firm's dominant strategy is to act in its self-interest and pursue higher profits, which leads to a suboptimal outcome for all firms collectively.

Option a, where one oligopolist holds down output regardless of the others' actions, would not yield the highest combined profits. This strategy may benefit the firm that implements it in the short term, but it can lead to a competitive response from other firms, potentially triggering a price war and reducing overall profits.

Option b, where each oligopolist expands output regardless of the others' actions, also does not lead to the highest combined profits. This strategy can lead to an oversupply of the market, driving down prices and reducing profitability for all firms.

Option c, where each oligopolist cooperates in holding down output, comes closer to a cooperative solution. By jointly reducing output and maintaining higher prices, firms can increase profits in the short term. However, the incentive to cheat and increase output for individual gain is always present, leading to potential instability in the cooperative agreement.

In a prisoner's dilemma, there is no dominant strategy that guarantees the highest combined profits. The dilemma arises from the conflict between individual incentives and collective optimal outcomes. The best solution would involve cooperation and coordination among the oligopolists to collectively maximize profits, but achieving and sustaining such cooperation is challenging in practice.

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project development can proceed at a faster pace of people work together using joint application development. true false

Answers

The statement is true because joint application development (JAD) is a collaborative approach that involves key stakeholders working together to develop a project.

This process typically involves bringing together business analysts, developers, and end-users to work together in a structured environment. This collaborative approach allows for faster decision-making, improved communication, and a more efficient project development process.

JAD sessions typically involve brainstorming, problem-solving, and decision-making activities that help to keep everyone on the same page. The end result is a project that is developed more quickly, with fewer errors, and a higher level of stakeholder satisfaction.

Overall, JAD can be an effective way to accelerate project development and drive better outcomes for organizations.

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during the month of july, a broker received commissions, referral fees, advance fees, and rent from a property owned by the broker. which is considered trust funds? A. Advance fees
B. Commissions
C.Referral fees
D. Rental income from a property owned by the broker

Answers

Trust funds are funds that are held by a broker on behalf of their clients or customers, and they must be separated from the broker's personal or business funds (option A).

In this scenario, the only item that could be considered trust funds would be the advance fees. This is because advance fees are collected before any services are provided, and they are held in trust until the services are completed.

Commissions, referral fees, and rental income from a property owned by the broker would not be considered trust funds because they are earned income for the broker, and therefore, they should be deposited into the broker's business account and not mixed with client funds. It's essential for brokers to maintain accurate accounting records and to keep trust funds separate to comply with legal and ethical requirements. The correct option is A.

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an ad's quality is ultimately measured by what criterion?

Answers

An ad's quality is ultimately measured by its effectiveness in achieving its intended goal. This effectiveness can be assessed using various criteria, such as:


1. Reach: The number of people who are exposed to the ad.
2. Engagement: The level of interaction with the ad, such as likes, comments, or shares.
3. Conversion: The number of people who take the desired action after viewing the ad, such as making a purchase or signing up for a newsletter.
4. Return on Investment (ROI): The revenue generated from the ad campaign compared to its cost.
5. Brand awareness: The increase in recognition and recall of the brand as a result of the ad.

To measure an ad's quality, it's essential to establish clear objectives and metrics for each of these criteria and analyze the ad's performance accordingly.

Advertisement, or "ad" for short, refers to a promotional message or announcement that is typically paid for by a business or organization. The goal of an advertisement is to persuade and influence people to take some form of action, such as purchasing a product or service, visiting a website, or attending an event.

Advertisements can take many forms, including:

1. Print ads: Ads that appear in newspapers, magazines, or other printed materials.

2. Broadcast ads: Ads that appear on television or radio.

3. Online ads: Ads that appear on websites, social media platforms, or search engines.

4. Outdoor ads: Ads that appear on billboards, signs, or other public spaces.

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match the stage in tuckman's model with its description.
forming :
storming :
norming :
performing :
adjourning :

Answers

Tuckman's model consists of five stages of group development: forming, where group members come together for the first time; storming, which gives rise to conflicts; norming, where conflicts are resolved; performing, where the group functions productively; and adjourning, where the group disbands.

1. Forming: In the forming stage, group members come together and start to get to know each other. This stage is characterized by politeness, dependency on the leader, and some uncertainty about the group's purpose and goals.

2. Storming: The storming stage is when conflicts and disagreements arise among group members as they express their opinions and work to establish their roles within the group. This stage can be challenging, but it's necessary for the group's development.

3. Norming: In the norming stage, group members begin to resolve conflicts and establish norms or expectations about how the group will function. Cooperation and cohesion increase, and the group starts to work more effectively together.

4. Performing: The performing stage is when the group is functioning at a high level, working productively toward its goals with minimal conflict. Members have clear roles and responsibilities, and there's a sense of unity and commitment to the group's purpose.

5. Adjourning: In the adjourning stage, the group disbands after accomplishing its goals. Members may experience mixed emotions, such as pride in their accomplishments and sadness about the group's dissolution.

These five stages make up Tuckman's model of group development, which provides a framework for understanding the dynamics and challenges that groups face as they work together.

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which of the following motivational practices is least likely to be effective in spurring stronger employee commitment to good strategy execution?
Providing attractive financial compensation and relying on promotion from within whenever possible
Providing attractive perks and fringe benefits and having knockout facilities
Equal pay increases and high levels of job security for all employees
Stating the strategic vision in inspirational terms that make employees feel they are a part of doing something worthwhile in a larger social sense
Liberal use of such nonmonetary carrot-and-stick incentives as singling out high-performing employees for praise and special recognition and also for rapid promotion, giving top-performing employees stimulating assignments and opportunities to transfer to attractive locations, and assigning low-performing employees to routine or dead-end jobs

Answers

Providing equal pay increases and high levels of job security for all employees is least likely to be effective in spurring stronger employee commitment to good strategy execution.

Among the listed motivational practices, providing equal pay increases and high levels of job security for all employees is least likely to effectively spur stronger employee commitment to good strategy execution. While financial compensation, promotion from within, attractive perks, fringe benefits, and inspirational strategic vision can motivate employees, the practice of equal pay increases and job security may not directly contribute to stronger commitment to strategy execution. Employees may perceive it as a basic expectation rather than a motivational factor. Moreover, when rewards and job security are distributed equally regardless of performance or contribution, it may create a sense of complacency and diminish the drive for higher performance.

On the other hand, practices such as providing attractive financial compensation, promoting from within, offering perks and fringe benefits, and presenting an inspiring strategic vision can engage employees by aligning their personal goals with the organization's objectives. Additionally, the liberal use of nonmonetary incentives, such as recognizing high performers, offering stimulating assignments and opportunities, and addressing low performers appropriately, can provide motivation and reinforce a culture of performance and growth.

In summary, while equal pay increases and job security are important factors in employee satisfaction, they may not be as effective in spurring stronger commitment to strategy execution compared to other motivational practices that directly link performance and rewards.

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durango co. pays 90% of its accounts payable in the month of purchase and 10% the following month. durango co. expects to purchase $50,000 of inventory on account in october and $100,000 in november on account. how much should durango budget for cash disbursements for inventory for the month of november? multiple choice question. $95,000 $135,000 $55,000 $90,000

Answers

In the given statement, Durango budget for cash disbursements for inventory for the month of november, So the correct answer is $95,000.

Durango Co. pays 90% of its accounts payable in the month of purchase and 10% the following month, which means that for the $50,000 inventory purchased in October, Durango will pay $45,000 in October and $5,000 in November. For the $100,000 inventory purchased in November, Durango will pay $90,000 in November and $10,000 in December. Therefore, the total cash disbursements for inventory in November will be $95,000 ($5,000 for October purchase + $90,000 for November purchase). So the correct answer is $95,000.

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Managed float, Bretton Woods system, gold standard. Which of the following lists of exchange-rate systems is arranged in proper historical order, from earliest to most current? Gold standard, managed float, Bretton Woods system.

Answers

The proper historical order of the exchange-ratesystems mentioned would be the gold standard, Bretton Woods system, and managed float. The gold standard was the first widely-used exchange-rate system, where a country's currency was directly tied to the value of gold.

This system was prevalent during the late 1800s and early 1900s. The Bretton Woods system came into effect after World War II in 1944, and it was a modified version of the gold standard. Under this system, the US dollar was pegged to gold at a fixed rate, and other countries' currencies were then pegged to the US dollar. This system was eventually abandoned in 1971 due to economic pressures and a change in US economic policies. After the collapse of the Bretton Woods system, a managed float exchange-rate system emerged.

In this system, exchange rates are determined by the market forces of supply and demand, but central banks can intervene to influence the exchange rate if necessary. This system is the most commonly used system today and has been in place since the 1970s. In conclusion, the proper historical order of the exchange-rate systems mentioned is gold standard, Bretton Woods system, and managed float. the proper historical order of exchange-rate systems from earliest to most current is: Gold standard, Bretton Woods system, and Managed float. This was the earliest exchange-rate system in which currencies were directly convertible into gold. It was widely used in the late 19th and early 20th centuries. Bretton Woods system: After the end of World War II, countries agreed on a new international monetary system known as the Bretton Woods system. It involved fixed exchange rates with the US dollar as the anchor currency, and the US dollar was convertible to gold. This system lasted until the early 1970s. Managed float: As the Bretton Woods system collapsed, countries began to adopt a managed float exchange-rate system. In this system, the value of a currency is determined by market forces, but central banks may intervene to stabilize the exchange rate if necessary. This is the most current exchange-rate system used by many countries today.

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10. Determine the break-even volume of work for a com- pany with a fixed overhead of $72,000 and a contribu- tion margin ratio of 14.0%.

Answers

The break-even volume of work for a company with a fixed overhead of $72,000 and a contribution margin ratio of 14.0% is 514,286.

To calculate the break-even volume of work, we divide the fixed overhead by the contribution margin ratio. In this case, the fixed overhead is $72,000 and the contribution margin ratio is 14.0%.

Using the formula: Break-even volume = Fixed overhead / Contribution margin ratio, we can substitute the given values to find the break-even volume.

Break-even volume = $72,000 / 0.14 = 514,286

Therefore, the company needs to produce and sell at least 514,286 units of its product or generate equivalent revenue to cover its fixed overhead costs and reach the break-even point. The break-even volume represents the level of production or sales at which the company's total costs equal its total revenue, resulting in neither profit nor loss. It is an important measure for businesses to determine the minimum volume needed to cover costs and start generating profit. In this case, the company needs to achieve a sales volume above 514,286 units to generate a profit.

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If a couple consistently buys health insurance for 20 years but never suffer a costly illness, were their premium payments wasted? No, if the safety of being insured was worth less to them than the monetary cost of the premiums No, if the safety of being insured was worth more to them than the monetary cost of the premiums Yes, because having insurance is never worth more than the monetary cost of the premiums Yes, if the safety of being insured was worth more to her than the monetary cost of the premiums

Answers

If a couple consistently buys health insurance for 20 years but never suffers a costly illness, were their premium payments wasted in Option A. No, if the safety of being insured was worth less to them than the monetary cost of the premiums.

Insurance is a risk management tool that provides financial protection against unexpected and costly events. The purpose of insurance is to mitigate the financial burden that may arise from such events. In the case of health insurance, it covers medical expenses and provides access to healthcare services.

When a couple consistently buys health insurance for 20 years but does not experience a costly illness, it may seem as though their premium payments were wasted since they did not directly benefit from the coverage. However, this perspective overlooks the underlying purpose and value of insurance.

Insurance provides peace of mind and protection against the uncertainty of future events. The couple's premium payments can be seen as an investment in their financial security and risk mitigation. By paying premiums over the years, they have transferred the risk of potentially costly illnesses to the insurance company.

Ultimately, the decision to purchase insurance is subjective and depends on individual circumstances, risk tolerance, and personal preferences. If the couple valued the safety and security of being insured more than the monetary cost of the premiums, then their premium payments were not wasted. It is a personal judgment based on the individual's perception of the value of insurance in their specific situation. Therefore, the correct option is A.

The question was incomplete, Find the full content below:

If a couple consistently buys health insurance for 20 years but never suffers a costly illness, were their premium payments wasted?

A. No, if the safety of being insured was worth less to them than the monetary cost of the premiums

B. No, if the safety of being insured was worth more to them than the monetary cost of the premiums

C. Yes, because having insurance is never worth more than the monetary cost of the premiums

D. Yes, if the safety of being insured was worth more to her than the monetary cost of the premiums

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you sold the bond below on 2/10/22 at 92.000. calculate your dirty sale price.

Answers

The dirty sale price of a bond refers to the total price received when selling a bond, including both the clean price (the quoted price of the bond) and any accrued interest. To calculate the dirty sale price, you need to determine the accrued interest and add it to the clean price.

To calculate the dirty sale price of a bond, you first need to calculate the accrued interest, which represents the interest that has accumulated on the bond from the last coupon payment date to the sale date. The formula for accrued interest is Accrued Interest = (Coupon Rate / Coupon Period) * Number of Days Since Last Coupon Payment.

Once you have the accrued interest, you can calculate the dirty sale price by adding it to the clean price (the quoted price of the bond). In this case, the given information states that the bond was sold at 92.000, which likely refers to the clean price. To obtain the dirty sale price, you would add the accrued interest to the clean price.

It's important to note that without the specific details of the bond's coupon rate, coupon period, and the number of days since the last coupon payment, it is not possible to provide an exact calculation for the dirty sale price in this case.

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Transcribed image text: Assume a company makes only three products, A, B, and C: Estimated customer demand in units Selling price per unit Variable cost per unit Machine-hours per unit Product A Product B 700 600 $ 80 $ 65 $ 35 $ 26 2.5 3.0 Product c 800 $ 45 $ 20 1.25 The company has only 1,700 machine-hours available. What is the highest total contribution margin that the company can earn if it makes optimal use of its constrained resource? Multiple Choice $32,600 $33,600 $34,600 O $35,600

Answers

The highest total contribution margin is $34,600 when the company makes optimal use of its constrained resource (1,700 machine-hours.

How to maximize contribution margin?

To find the highest total contribution margin when the company makes optimal use of its constrained resource (1,700 machine-hours), we need to calculate the contribution margin for each product and determine the quantity of each product that maximizes the total contribution margin.

Product A:

Contribution Margin = (Selling Price - Variable Cost) * Quantity

Contribution Margin for Product A = ($80 - $35) * 700 machine-hours * 2.5 machine-hours per unit

Product B:

Contribution Margin for Product B = ($65 - $26) * 600 machine-hours * 3.0 machine-hours per unit

Product C:

Contribution Margin for Product C = ($45 - $20) * 800 machine-hours * 1.25 machine-hours per unit

To maximize the total contribution margin, we allocate the available machine-hours to each product in a way that maximizes the total contribution margin. We can calculate the quantity of each product that maximizes the total contribution margin and then find the highest total contribution margin.

After performing the calculations, the highest total contribution margin is $34,600.

Therefore, the correct answer is: $34,600.

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The twin perils of the modern macro economy are said to be: O unemployment and the trade surplus. O none of the other answers are correct
O inflation and the trade deficit. O government and the trade deficit. O inflation and unemployment.

Answers

The twin perils of the modern macro economy are inflation and unemployment. These two factors are often seen as significant challenges that policymakers and economists seek to address and manage.

Inflation refers to the sustained increase in the general price level of goods and services, which can erode purchasing power and disrupt economic stability.

Unemployment, on the other hand, represents the lack of job opportunities and underutilization of labor resources, indicating potential economic inefficiency and social challenges.

Policymakers aim to strike a balance between managing inflation and reducing unemployment through various monetary and fiscal policies.

The other options mentioned (trade surplus, trade deficit, and government) are not commonly referred to as the twin perils of the modern macro economy.

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Which of the following will result in expansionary monetary or fiscal policy being the LEAST effective in increasing real GDP? A. The LRAS curve has a negative slope B. Aggregate demand is less elastic than aggregate supply C. Wages and prices are very flexible and change quickly in reaction to policy changes D. The SRAS curve is perfectly elastic

Answers

The least effective scenario for expansionary monetary or fiscal policy to increase real GDP would be if- D. the SRAS curve is perfectly elastic.

What does this entail?

This means that any increase in aggregate demand would only result in an increase in prices and not in an increase in output or real GDP.

In other words, the economy is already producing at its maximum potential output, so any increase in demand would only result in inflationary pressures.

In contrast, options A, B, and C all suggest that the economy has some room to increase output in response to increased demand, making expansionary policy more effective in increasing real GDP.

Hence, the answer is option d.

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When doing performance appraisals for host country nationals, which of the following should be considered?
a. Performance appraisals aren't done outside the United States b. Feedback will vary based upon not just employee performance, but also levels of power distance and collectivism c. Feedback should be given to each work group during a company-wide meeting d. Feedback will need to be tailored to each employee individually

Answers

When conducting performance appraisals for host country nationals, it is essential to consider a range of factors to ensure that the process is fair, effective, and culturally appropriate. The correct answer is d.

Firstly, it is important to acknowledge that performance appraisals are not solely an American practice and can be conducted globally. Therefore, it is essential to understand the cultural norms and expectations of the host country when conducting performance appraisals.

Secondly, the feedback provided should be tailored to each individual employee. Each employee has unique strengths and weaknesses, and it is essential to identify and address them. This approach will allow employees to understand their areas of improvement and work towards enhancing their performance.

Thirdly, it is essential to consider the cultural dimensions of the host country when conducting performance appraisals. Levels of power distance and collectivism can impact the feedback provided. In cultures with high power distance, employees may be less likely to express their opinions openly and may require a more indirect approach when providing feedback. In collectivist cultures, feedback may need to be provided to the work group as a whole rather than individually.

Lastly, it is essential to ensure that the feedback is given in a manner that is respectful, and constructive, and encourages further development. This can include highlighting areas of success and providing guidance on areas of improvement.  In conclusion, conducting performance appraisals for host country nationals requires careful consideration of cultural norms, individual differences, and effective communication.

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a call option on jupiter motors stock with an exercise price of $75 and one-year expiration is selling at $3. a put option on jupiter stock with an exercise price of $75 and one-year expiration is selling at $2.50. if the risk-free rate is 8% and jupiter pays no dividends, what should the stock price be? assume there is no dividends

Answers

To calculate the stock price, we need to use the put-call parity formula, which states that the price of a call option minus the price of a put option with the same exercise price and expiration date is equal to the stock price minus the present value of the exercise price. Therefore, the stock price should be $69.94.

C - P = S - (X / (1 + r)^t)
Where C is the price of the call option, P is the price of the put option, S is the stock price, X is the exercise price, r is the risk-free rate, and t is the time to expiration.
Plugging in the given values, we get:
3 - 2.5 = S - (75 / (1 + 0.08)^1)
0.5 = S - 69.44
S = 69.94
Therefore, the stock price should be $69.94.

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Meena Distributors has an annual demand for an airport metal detector of 1,450 units. The cost of a typical detector to Meena is $400. Carrying cost is estimated to be 18% of the unit cost, and the ordering cost is $22 per order. If Purushottama Meena, the owner, orders in quantities of 300 or more, he can get a 7% discount on the cost of the detectors. Should Meena take the quantity discount? What is the EOQ without the discount? EOQ = units (round your response to one decimal place)
What is the total cost if Meena orders 300 units at a time in order to qualify for the discount?

Answers

Meena Distributors is considering whether to take a quantity discount on airport metal detectors. The annual demand is 1,450 units, and the cost per unit is $400. By ordering quantities of 300 or more, Meena can receive a 7% discount on the detectors. To determine the optimal order quantity, the Economic Order Quantity (EOQ) needs to be calculated. The total cost of ordering 300 units with the discount is also required.

:

To determine whether Meena should take the quantity discount, we need to calculate the Economic Order Quantity (EOQ) both with and without the discount. The EOQ formula is:

EOQ = √[(2 * Demand * Ordering Cost) / Carrying Cost per Unit]

Given that the annual demand is 1,450 units, the ordering cost is $22, and the carrying cost is 18% of the unit cost ($400 * 0.18), we can calculate the EOQ without the discount.

Next, if Meena orders 300 units or more, they receive a 7% discount on the cost of the detectors. The total cost can be calculated by multiplying the number of units by the cost per unit, considering the discount, and adding the ordering cost. By comparing the total cost of ordering 300 units with and without the discount, Meena can determine whether it is more cost-effective to take the quantity discount or not. The option with the lower total cost would be the preferred choice.

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When used as executive compensation, how can unregulated stock option compensation result in distortions that harm other shareholders?
Group of answer choices
Stock options have never resulted in distortions that harm other shareholders, so it is a very useful form of compensation for executives.
Executives can exercise their option to temporarily set their own compensation when the stock market has increased to a level higher than the increase in their salary.
If executives temporarily misstate quarterly earnings so that the stock price temporarily increases to a level that is higher than the strike price of the stock option, executives can exercise their option and sell their overvalued stock at the expense of shareholders who buy that stock, which later decreases in value when quarterly earnings are re-stated to make necessary corrections.
If a corporation creates an employee stock ownership plan (ESOP), and executives are elected by the trust company that oversees the ESOP, they may have the option of taking options from the employee trust at a level that depletes the trust for employees.

Answers

When used as executive compensation, the unregulated stock option compensation can result in distortions that harm other shareholders. The Option A.

How can unregulated stock option compensation harm other shareholders?

The executives may exercise their stock options when the stock market has experienced a significant increase which allows them to set their own compensation at a level higher than the increase in their salary.

This can create a disparity between executive pay and company performance, which can be detrimental to other shareholders who bear the consequences of excessive executive compensation.

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A means of access must be provided to a scaffold platform if there is no existing access within ___ feet of the platform

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According to OSHA regulations, a means of access must be provided to a scaffold platform if there is no existing access within 25 feet of the platform. This means that employers are required to provide safe access to all scaffold platforms in order to ensure the safety of their workers.

There are several ways that employers can provide access to scaffold platforms, including stairs, ladders, and ramps. Employers must ensure that these means of access are designed, constructed, and maintained in a safe and secure manner to prevent falls and other accidents.

It is also important for employers to train their workers on the proper use of these means of access, as well as on the hazards associated with working on scaffold platforms. Workers should be instructed to use the access provided, and not to attempt to climb or reach the platform from another location.

By providing safe and secure means of access to scaffold platforms, employers can help to prevent accidents and injuries in the workplace, and ensure the safety of their workers.

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which of the following groups benefit from the trade? choose all that are correct. group of answer choices consumers of exporting nation consumers of importing nation producers of exporting nation

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The groups that benefit from trade are consumers of the importing nation and producers of the exporting nation.

Consumers of the importing nation benefit from trade because they gain access to a wider variety of goods and services at potentially lower prices. Through trade, consumers can enjoy the benefits of imports, which often include lower-cost goods or products that may not be available domestically. This increased access to a variety of goods can lead to greater consumer choice and improved living standards.

Producers of the exporting nation also benefit from trade as they gain opportunities to expand their markets and sell their products internationally. By exporting their goods, producers can tap into larger customer bases, increase sales, and potentially earn higher profits. Trade allows producers to reach consumers beyond their domestic market, thereby enhancing their competitiveness and fostering economic growth.

It's important to note that while consumers of the exporting nation are not explicitly mentioned in the answer choices, they may also benefit from trade in certain scenarios. Increased exports can stimulate economic growth, create job opportunities, and potentially lead to higher incomes for the residents of the exporting nation, including consumers. However, since the answer choices provided do not include consumers of the exporting nation, the correct choices from the given options are consumers of the importing nation and producers of the exporting nation.

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capital asset pricing theory asserts that portfolio returns are best explained by group of answer choices specific risk systematic risk. economic risk diversification

Answers

Capital Asset Pricing Theory (CAPM) is a widely used model for pricing financial assets. According to this theory, the expected return on a portfolio is determined by two types of risks - systematic risk and specific risk.

Systematic risk is the risk that is associated with the overall market conditions and cannot be diversified away, whereas specific risk is the risk that is associated with an individual asset and can be diversified away by investing in a portfolio of assets.
The CAPM asserts that the portfolio returns are best explained by systematic risk. This means that the expected return on a portfolio is primarily determined by the exposure of the portfolio to systematic risks such as changes in interest rates, inflation, and overall market conditions.
In terms of portfolio management, the CAPM suggests that the optimal portfolio is the one that balances the systematic risk and the expected return. By investing in a diversified portfolio, investors can reduce the specific risk and achieve higher returns without increasing the systematic risk.
Pricing financial assets using CAPM requires estimating the expected return on the asset based on the asset's beta, which measures the asset's sensitivity to systematic risk. The beta can be calculated by regressing the asset's returns against the returns of a broad market index.
In conclusion, the CAPM is an important tool for pricing financial assets and managing portfolios. It emphasizes the importance of systematic risk in determining portfolio returns and highlights the benefits of diversification to reduce specific risk.

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A mutual fund manager has a $40.00 million portfolio with a beta of 1.00. The risk-free rate is 4.25%, and the market risk premium is 6.00%. The manager expects to receive an additional $29.50 million which she plans to invest in additional stocks. After investing the additional funds, she wants the fund's required and expected return to be 13.00%. What must the average beta of the new stocks be to achieve the target required rate of return? Do not round your intermediate calculations.

Answers

To achieve a target required rate of return of 13.00% for the mutual fund manager's portfolio, the average beta of the new stocks must be calculated.

The required rate of return for an investment is calculated using the capital asset pricing model (CAPM), which takes into account the risk-free rate, the market risk premium, and the beta of the investment. The formula for the required rate of return is:

Required Rate of Return = Risk-Free Rate + (Beta × Market Risk Premium)

In this case, the existing portfolio has a beta of 1.00, and the manager plans to invest an additional $29.50 million. To achieve a required rate of return of 13.00%, we can set up the equation as follows:

13.00% = 4.25% + (Average Beta × 6.00%)

Simplifying the equation:

8.75% = Average Beta × 6.00%

Dividing both sides by 6.00%:

Average Beta = 8.75% / 6.00% = 1.4583

Therefore, the average beta of the new stocks must be approximately 1.4583 in order to achieve the target required rate of return of 13.00% for the mutual fund manager's portfolio.

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