If we only consider the pipeline inventory and ignore the cost of air shipments, air shipments would save 94.3% in holding costs compared to ocean shipments,
To calculate the holding cost savings of air shipments, we need to compare the pipeline inventory cost for ocean shipments and air shipments.
Assuming that the annual holding cost is based on the value of the product and is incurred on pipeline inventory only, we can calculate the pipeline inventory cost for both options as follows:
Pipeline inventory cost for ocean shipments = (Lead time in months / 12) x Annual holding cost rate x Value of the productPipeline inventory cost for air shipments = (Lead time in months / 12) x Annual holding cost rate x Value of the productSince we are only interested in the holding cost savings of air shipments, we can calculate the percentage of savings as follows:
Percentage of holding cost savings = (Pipeline inventory cost for ocean shipments - Pipeline inventory cost for air shipments) / Pipeline inventory cost for ocean shipments x 100%
Therefore:
Lead time for ocean shipments = 3.5 monthsLead time for air shipments = 1/5 months = 0.2 monthsAnnual holding cost rate = 30%Value of the product = 1 (we can assume any value for this calculation as it will cancel out)Pipeline inventory cost for ocean shipments = (3.5 / 12) x 0.30 x 1 = 0.0875Pipeline inventory cost for air shipments = (0.2 / 12) x 0.30 x 1 = 0.005Percentage of holding cost savings = (0.0875 - 0.005) / 0.0875 x 100% = 94.3%Learn more about air shipment here:
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A project is expected to have annual cash flows of $36,800, $24,600, and –$9,200 for Years 1 to 3, respectively. The initial cash outlay is $44,500 and the discount rate is 11 percent. What is the modified IRR?
Based on the concept of internal rate of return and the context of the question, the modified IRR is 14.66%.
What is IRR (Internal Rate of Return)Internal Rate of Return is a term that is used to describe the metric used in financial analysis to estimate the profitability of potential investments.
Generally, the IRR is a discount rate that makes the net present value (NPV) of all cash flows equal to zero in a discounted cash flow analysis. IRR calculations rely on the same formula as NPV does.
In this case, the Modified Year 2 cash flow = $24,600 + (-$9,200) / 1.11 = $16,311.71
Therefore, for $0 = -$44,500 + $36,800 / (1 + MIRR) + $16,311.71 / (1 + MIRR)^2
MIRR = 0.1466, or 14.66%
Hence, in this case, it is concluded that the correct answer is 14.66%.
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The two firms in an industry are deciding whether to advertise. The profit to each firm depends on the other firm's decision. The first entries in this matrix indicate the profit earned, in millions of dollars, by Firm A; and the second entries indicate the profits earned, in millions of dollars, by Firm B.
The combination where Firm A advertises and Firm B does not advertise is Nash equilibrium because
The combination where Firm A advertises and Firm B does not advertise is a Nash equilibrium because both firms are making the best decision they can, given the other firm's decision.
A Nash Equilibrium is a situation where each firm in an industry is making the best possible decision given the other firms' decisions. In the case of the two firms deciding whether to advertise, a Nash Equilibrium would occur when one firm advertises and the other does not.
In this case, Firm A is earning a higher profit by advertising while Firm B is earning a lower profit by not advertising. However, if Firm B were to advertise as well, both firms would earn a lower profit. Therefore, neither firm has an incentive to change their strategy, making this a Nash equilibrium.
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Suppose that all capital gains are taxed at a 26% rate, and that the dividend tax rate is 43%. Arbuckle Corp. is currently trading for $33, and is about to pay a $4 special dividend.
Questions: Please round all questions to nearest cent.
a. Absent any other trading frictions or news, what will its share price be just after the dividend is paid?
Suppose Arbuckle made a surprise announcement that it would do a share repurchase rather than pay a special dividend.
b. What net tax savings per share for an investor would result from this decision?
c. What would happen to Arbuckle's stock price upon the announcement of this change?
a. The share price will be $31.28 just after the dividend is paid.
After the special dividend payment, Arbuckle Corp.'s share price will drop by the amount of the dividend payment multiplied by the dividend tax rate. Therefore, the share price will be $31.28 ($33 - $4 x 0.43) just after the dividend is paid.
b. If Arbuckle Corp. were to do a share repurchase instead of paying a special dividend, investors would benefit from lower capital gains taxes.
Assuming the stock price remains the same, investors would pay capital gains taxes on the difference between the repurchase price and their original purchase price, which could be lower than the dividend tax rate. The net tax savings per share for an investor would depend on their individual tax situation.
c. The announcement of a share repurchase instead of a special dividend may have an impact on Arbuckle Corp.'s stock price. If investors believe that a share repurchase will benefit them more than a special dividend, the stock price may increase.
However, if investors prefer the certainty of a special dividend, the stock price may decrease. Ultimately, the impact on the stock price will depend on a variety of factors, including investor sentiment and market conditions.
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when the consumption function ordinates mpt 0.2, mps 0.3, mpi 0.5, and mpc 0.7 are plotted on a graph, what will their values reflect?
When the consumption function ordinates MPT 0.2, MPS 0.3, MPI 0.5, and MPC 0.7 are plotted on a graph, the values will reflect the Marginal Propensity to Consume (MPC), Marginal Propensity to Save (MPS), and Marginal Propensity to Tax (MPT), respectively.
What is a Consumption Function?
The consumption function refers to the relationship between total spending on consumption (C) and total disposable income (Y) in an economy, in macroeconomics. In short, it represents a statistical approach to defining and modeling consumption choices.
The consumption function is used to calculate the relationship between the income level of an economy and the consumption of goods and services produced within that economy.
Marginal Propensity to Consume (MPC)
The MPC is the proportion of an incremental rise in disposable income that is consumed. It is the change in consumption that results from a change in disposable income. MPC is calculated by dividing the change in consumption by the change in disposable income.
Marginal Propensity to Save (MPS)
The MPS is the proportion of an incremental rise in disposable income that is saved. It is the change in savings that results from a change in disposable income. MPS is calculated by dividing the change in savings by the change in disposable income.
Marginal Propensity to Tax (MPT)
The MPT is the proportion of an incremental rise in disposable income that is taxed. It is the change in tax that results from a change in disposable income. MPT is calculated by dividing the change in tax by the change in disposable income.
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Lenter LLC placed in service on April 29, 2019, machinery and equipment (seven-year property) with a basis of $1,600,000. Assume that Lenter has sufficient income to avoid any limitations. Calculate the maximum depreciation deduction including §179 expensing (but ignoring bonus expensing)
The maximum depreciation deduction including §179 expensing for Lenter LLC's machinery and equipment (seven-year property) with a basis of $1,600,000 placed in service on April 29, 2019, would be $1,102,807.
The maximum depreciation deduction including §179 expensing for Lenter LLC's machinery and equipment (seven-year property) with a basis of $1,600,000 placed in service on April 29, 2019, would be:
First, apply §179 expensing to the basis of the property. For 2019, the maximum §179 deduction was $1,020,000, and the phase-out threshold began at $2,550,000. Since Lenter's basis of $1,600,000 is less than the phase-out threshold, it can take the full §179 deduction. Therefore, the adjusted basis of the property for depreciation purposes is
$580,000 ($1,600,000 - $1,020,000).
Next, calculate the maximum depreciation deduction using the Modified Accelerated Cost Recovery System (MACRS) seven-year property depreciation table. For property placed in service in 2019, the first-year depreciation rate for seven-year property is 14.29%. Therefore, the maximum depreciation deduction for Lenter would be
$82,807 ($580,000 x 14.29%).
So, the maximum depreciation deduction for Lenter LLC, including §179 expensing, would be $1,102,807 ($1,020,000 + $82,807).
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During year 2, Smith Co. filed suit against West, Inc. seeking damages for patent infringement. On December 31, year 2, Smith's legal counsel believed that it was probable that Smith would be successful against West for an estimated amount in the range of $75,000 to $150,000, with all amounts in the range considered equally likely. In March year 3, Smith was awarded $100,000 and received full payment thereof. In its year 2 financial statements, issued in February year 3, how should this award be reported?
a. As a receivable and revenue of $100,000.
b. As a receivable and deferred revenue of $100,000.
c. As a disclosure of a contingent gain of $100,000.
d. As a disclosure of a contingent gain of an undetermined amount in the range of $75,000 to $150,000.
The best answer is option B: As a receivable and deferred revenue of $100,000.
Deferred revenue, also known as unearned revenue, is a liability on a company's balance sheet that represents income received but not yet earned. It arises when a company receives payment for goods or services that have not yet been provided to the customer or client.
Deferred revenue is typically seen in subscription-based businesses or companies that provide services that are paid for in advance. Examples include magazine subscriptions, software as a service (SaaS) subscriptions, and prepaid cell phone plans.
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One of the challenges we face in managing services is that both the customer and the service provider work together to create the service. The point of contact between the customer and the service provider is called the ____________
The point of contact between the customer and the service provider in service management is called the "service encounter".
It refers to the moment when the customer interacts with the service provider to obtain a service. This encounter is critical because it represents the physical or virtual manifestation of the service, where the customer can perceive and evaluate the quality of the service provided.
The service encounter involves not only the physical environment but also the behavior of the service provider and the customer. Both parties play an active role in creating the service experience, which can affect customer satisfaction, loyalty, and willingness to recommend the service to others.
Therefore, managing the service encounter is essential to provide a positive customer experience, which requires service providers to have the necessary skills, knowledge, and resources to handle different types of customers and situations. The service encounter can be managed through various means, such as training and empowering employees, using technology to enhance the service delivery process, designing the physical environment to support the service experience, and creating a culture of customer-centricity.
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The variable rdintens is expenditures on research and development (R&D) as a percentage of sales. Sales are measured in millions of dollars. The variable profmarg is profits as a percentage of sales.
Using the data in RDCHEM.RAW for 32 firms in the chemical industry, the following equation is estimated:
(i) Interpret the coefficient on log(sales). In particular, if sales increases by 10%, what is the estimated percentage point change in rdintens? Is this an economically large effect?
(ii) Test the hypothesis that R&D intensity does not change with sales against the alternative that it does increase with sales. Do the test at the 5% and 10% levels.
(iii) Interpret the coefficient on profmarg. Is it economically large?
(iv) Does profmarg have a statistically significant effect on rdintens?
Using the data in RDCHEM.RAW for 32 firms in the chemical industry, the following equation is estimated:
i) The coefficient on log(sales) suggests that, for every 10% increase in sales, there is an estimated 0.111 percentage point increase in rdintens. This could be considered an economically large effect.
ii) The hypothesis that R&D intensity does not change with sales is tested against the alternative that it does increase with sales. A t-test can be conducted at the 5% and 10% levels to determine if the difference between the means is statistically significant.
iii) The coefficient on profmarg suggests that, for every percentage point increase in profmarg, there is an estimated 0.114 percentage point decrease in rdintens. This could also be considered an economically large effect.
iv) A t-test can also be conducted to determine if profmarg has a statistically significant effect on rdintens.
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Can you have one without the other verify and validity. What are
the pros and cons
No, you cannot have one without the other in terms of verify and validity.
Verification ensures that a product or service meets its intended specifications, while validity ensures that the product or service measures what it is intended to measure.
If a product or service is verified but not valid, it means that it meets its specifications but does not accurately measure what it is intended to measure. Conversely, if a product or service is valid but not verified, it means that it measures what it is intended to measure but may not meet its specifications.
The main pro of having both verification and validity is that it ensures both the accuracy and the quality of the product or service. The con is that it can be time-consuming and costly to perform both verification and validity testing.
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Using the data in the table to the right, calculate the return for investing in the stock from January 1 to December 31. Prices are after the dividend has been paid. (Click on the following icon ㅁ in order to copy its contents into a spreadsheet.) Return for the entire period is \%. (Round to two decimal places.)
One common way to calculate the return on a stock investment is to use the following formula:
Return = (Ending Price - Beginning Price + Dividends) / Beginning Price
Where:
Ending Price: the price of the stock at the end of the investment period (December 31 in this case)Beginning Price: the price of the stock at the beginning of the investment period (January 1 in this case)Dividends: the total amount of dividends paid during the investment periodTo use this formula, you need to know the prices of the stock at the beginning and end of the period, as well as any dividends that were paid during the period.
Once you have calculated the return using the formula above, you can convert it to a percentage by multiplying by 100.
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as a new manager, you want the people in your work group to communicate well. which of the following are likely benefits of improving interpersonal relations among the people in your department? check all that apply. employees will be happier. employees will not share their frustrations with each other. managers will be better at motivating their employees. employees will be more productive.
Employees will be happier, Managers will be better at motivating their employees, Employees will be more productive are the benefit of improving interpersonal relations among the people in the department.
Improving interpersonal relations can result in a lot of benefits for the company or organization.
Among them are;
1. Employees will be happier: Improved communication and personal relations often mean that employees are happier and have a more positive attitude toward their work.
2. Managers will be better at motivating their employees: Managers who can build strong interpersonal relationships with their subordinates are better equipped to motivate them. When managers can motivate their employees, they will be more likely to achieve their targets and business goals.
3. Employees will be more productive: When employees feel valued and engaged in their work, they are more likely to be productive, which ultimately contributes to the success of the company.
Employees will be happier, Managers will be better at motivating their employees, Employees will be more productive are the benefit of improving interpersonal relations among the people in the department.
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If one party states that she will negotiate only under certain conditions, and in a certain location, and at a certain time, or in a certain manner, that party is said to be engaging in:
options:
Reversal
Apparent withdrawal
Setting limits
Feinting
If one party states that she will negotiate only under certain conditions, and in a certain location, and at a certain time, or in a certain manner, that party is said to be engaging in setting limits. Hence, the correct option is (C).
Setting limits in negotiation is the process of establishing boundaries or expectations for the negotiation process. These limits can relate to a variety of factors, such as the scope of the negotiation, the time and location of the negotiations, or the methods of communication that will be used. Setting limits is a crucial part of effective negotiation. It helps to ensure that both parties understand each other's expectations and limitations, which can help to prevent misunderstandings and conflicts from arising during the negotiation process. By setting clear limits, both parties can work together to find mutually acceptable solutions to the issues at hand.
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MGT-323: Project Management
12.2 Action Required:
You were the project leader for Casino Night on campus, a charitable event organized by your group to raise money for the homeless. The event was a big success, garnering a net profit of $3,500. Before the event your team researched nearby organizations that support the homeless and to whom the money could be given. You narrowed the choices to the Chunk of Coal House and St. Mary’s Soup Kitchen. Eventually your group decided that the funds should be given to Chunk of Coal House. You are about to write a check to its director when you read in the local newspaper that the Chunk of Coal House has terminated operations.
12.3 Test your Knowledge (Question):
What should you do with the money?
Assume that you have the following decision-making options:
(1) make decisions on your own with available information,
(2) consult others before making a decision, and
(3) call a meeting and reach a consensus, seeking to arrive at a final decision everyone can agree on.
Which approach would you use to make the decision, and why?
The best course of action in this situation is to use Method 2 and seek advice from others before making a choice. This will enable you to acquire additional data and viewpoints and make a better educated choice.
What is the de-escalation method in three steps?Three steps can be used to de-escalate a situation medically: dialysis, mental skin grafting, and increasing oxytocin while lowering cortisol. Dialysis describes the phase of a problem when the consumer starts to express their annoyance while speaking with you.
How do you elevate a project's communication?The escalation should ideally be discussed in person or over the phone. Because they can postpone a resolution if they are not responded to promptly, emails can be the least effective escalation technique.
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a computer company leases rather than sells its computers to consumers for a monthly fee. the company maintains the computers and replaces them as needed. the old computers are either refurbished or recycled. what does this business model represent? cradle-to-cradle management a circular system green business a service-oriented economy all of these answer choices are correct.
The given business model that represents leasing computers and maintaining or replacing them as needed and recycling or refurbishing the old computers is known as a circular system. Therefore, the correct option is "A circular system."
A circular system is a business model in which the goal is to maintain products in the economy at their highest possible value. This is achieved by reducing the need for extracting new resources, energy and waste, enhancing the resilience of our systems, and contributing to positive environmental, social, and economic outcomes.
In the circular system, products are used for as long as possible, after which they are either refurbished, recycled, or repurposed for another use instead of being disposed of. This approach to the economy is characterized by creating an economy that is restorative and regenerative by design and aligning with the principles of a circular economy. The correct option is "A circular system."
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Addison, Inc. makes a single product, an indoor fireplace, and has provided data from last year of operations. The Controller has asked you to compare income statements if the company used the variable costing approach vs. the absorption costing report. Use the information included in the Excel Simulation and the Excel functions described below to complete the task
Addison, Inc. makes a single product, an indoor fireplace, and has provided data from last year of operations. The Controller has asked you to compare income statements if the company used the variable costing approach vs. the absorption costing report. Use the information included in the Excel Simulation and the Excel functions described
Addison, Inc. makes a single product, an indoor fireplace, and has provided data from last year of operations.
Selling price per fireplace is $420
Variable vs. Absorption Costing:
In calculating the costing total there are two methods to do so:
Absorption costing, approved by GAAP, includes all associated costs with the activity. This includes fixed costs.
Variable costing, not approved by GAAP, includes only the variable costs with the activity. This does not include fixed costs.
We can prepare an income statement by assuming the company uses variable costing and absorption costing.
The income statement is as follows:
1. Variable costing approach
Unit product cost for one fireplace
Particulars Amount $ Excel Formula
Direct Material Cost per unit 135 =B6
Direct Labor Cost per unit 43 =B7
Variable Manufacturing Overhead 37 =B8
Unit Product cost for one fireplace 215 =B6+B7+B8
Formula: Unit Product cost for one unit under variable costing approach = Direct Material + Direct Labor + Variable Manufacturing Overhead
Contribution Margin income statement for the year:
Particulars Amount $ Amount $ Excel Formula Excel
Formula
Sales 1,890,000 =B3*B16
Variable Expenses:
Variable cost
of goods sold 967,500 =B16*(B6+B7+B8)
Variable selling and
administrative
expenses 202,500 1,170,000 =B16*B11 =B28+B29
Contribution Margin 720,000 =C26-C29
Fixed Expenses:
Fixed manufacturing
overhead 210,000 =B9
Fixed selling and
administrative
expenses 190,000 4,00,000 =B12 =B32+B33
Net Operating income 320,000 =B30-B33
2. Absorption Costing Approach
Unit product cost for one fireplace
Particulars Amount $ Excel Formula
Direct Material cost per unit 135 =B6
Direct Labor cost per unit 43 =B7
Variable Manufacturing Overhead 37 =B8
Fixed manufacturing overhead* 42 =B9/B15
Unit Product cost for one fireplace 257 =B6+B7+B8+(B9/B15)
*Fixed manufacturing overhead (per unit) = $210,000/5,000 = $42
Income statement for the year:
Particulars Amount $ Excel Formula
Sales 1,890,000 =B3*B16
Cost of Goods Sold 1,156,500 from table
Gross Margin 733,500 subtraction of above
Selling and Administrative
Expenses 373,500 from table
Net Operating Income 360,000 subtraction of above
Cost of Goods Sold
Particulars Amount $ Excel Formula
Total Direct Material 607,500 =B6*B16
Total Direct Labor 193,500 =B7*B16
Total Variable manufacturing
overhead 166,500 =B8*B16
Total Fixed manufacturing
overhead# 189,000 =(B9/B15)*B16
Total Cost of Goods Sold 1,156,500 Sum of the above
#Fixed manufacturing overhead per unit = $210,000/5,000 = $42
Fixed manufacturing overhead of goods sold = $42 x 4,500 = $189,000
Selling and Administrative Expenses
Particulars Amount $ Excel Formula
Total variable selling and
administrative expense 202,500 =B11*B16
Total Fixed selling and '
administrative expense# 171,000 =(B12/B15)*B16
Total Selling and Administrative
Expenses 373,500 Sum of the above
#Fixed selling and administrative expense per unit = $190,000/5,000 = $38
Fixed selling and administrative expense of goods sold = $38 x 4,500 = $171,000
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The question is incomplete, but the complete question most probably is given below with the image attached:
quizler a business operated at 100% of capacity during its first month and incurred the following costs: production costs (19,700 units): line item description amount amount direct materials $184,500 direct labor 233,200 variable factory overhead 269,700 fixed factory overhead 93,700 total production costs $781,100 operating expenses: variable operating expenses $125,200 fixed operating expenses 40,100 total operating expenses 165,300 if 2,000 units remain unsold at the end of the month, the amount of inventory that would be reported on the absorption costing balance sheet is
The amount of inventory that would be reported on the absorption costing balance sheet at the end of the month is $184,500.
This is calculated by taking the total production costs of $781,100, subtracting the variable operating expenses of $125,200, and subtracting the fixed operating expenses of $40,100. This total of $615,800 is then divided by the number of units produced (19,700) to arrive at the per-unit production cost of $184,500. Since 2,000 units remain unsold at the end of the month, the total amount of inventory that would be reported is 2,000 x $184,500 = $184,500.
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suppose two portfolios have the same average return and the same standard deviation of returns, but aggie fund has a higher beta than raider fund. according to the sharpe measure, the performance of aggie fund a) is better than the performance of raider fund. b) is the same as the performance of raider fund. c) is poorer than the performance of raider fund. d) cannot be measured as there are no data on the alpha of the portfolio. e) none of the options
Suppose two portfolios have the same average return and the same standard deviation of returns, but Aggie Fund has a higher beta than Raider Fund. According to the Sharpe measure, the performance of Aggie Fund will be poorer than the performance of Raider Fund.
Sharpe's measure is a measure of risk-adjusted return on investment that compares an investment's return against its overall volatility. This adjusts for the possibility that a more volatile investment will produce higher returns over time, but at the cost of greater risk. The Sharpe Ratio, commonly known as the Sharpe Measure, was created by William Sharpe.William Sharpe created the Sharpe measure to help investors compare different types of investment portfolios based on their risks and returns. It adjusts for the risk that comes with greater volatility by calculating the excess return of an investment over a risk-free asset divided by the investment's standard deviation of return. The Sharpe Ratio is commonly used in finance to determine how well an investment performed in comparison to the market.Therefore, option c is correct in that Aggie Fund will be poorer than the performance of Raider Fund in performance.Learn more about Sharpe Ratio: http://brainly.com/question/23948730
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How does completing a Free Application for Federal Student Aid (FAFSA)
application assist in postsecondary education?
OA. The FAFSA determines the credit limits that a student or their
guardian can meet.
OB. The FAFSA identifies which trade schools are best suited to your
mechanical skills.
OC. The FAFSA identifies which colleges would match to your interest
inventory.
OD. The FAFSA guides students to financial aid packages for which
they qualify.
Option (d), The Free Application for Federal Student Aid (FAFSA) application assists students in finding the financial aid packages for which they are eligible in postsecondary education.
Who is qualified to fill out an FAFSA?The Free Application for Federal Student Aid is a vital resource for students looking for financial aid (FAFSA). In addition to requesting federal aid for higher education, students must file the FAFSA in order to be considered for awards from organizations, states, and private benefactors.
To be qualified to submit the FAFSA, a student must have financial need, be enrolled in a college or university's diploma or certificate program, be a U.S. citizen, or be an eligible noncitizen. A valid Social Security number, maintaining satisfactory academic progress, and receiving a high school diploma are only a few of the additional requirements for federal eligibility.
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which of the following circumstances will not cause a partnership to close its tax year early? a.the business activity of the partnership permanently ceases. b.a new partner enters the partnership. c.the partnership terminates by agreement of the partners. d.all the partners decide to retire, permanently close their stores and stop conducting business.
Option B – A new partner entering the partnership will not cause a partnership to close its tax year early.
A new partner entering the partnership can be added to the existing partnership without any change in the tax year. If a new partner is added, the partnership agreement should be amended to include the new partner and the partnership should continue to file its taxes with the same tax year end as before.
The business activity of the partnership permanently ceasing, the partnership terminating by agreement of the partners, and all the partners deciding to retire, permanently close their stores and stop conducting business – will all cause a partnership to close its tax year early. The partnership must file a final tax return or an extension for the tax year up to the date of termination and can no longer conduct any additional business activities.
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which of the following statement is not true? a. the service-profit chain includes collaboration between marketing, operations, it, and hr managing the competitive landscape. b. the dramatic development of government policies is the most important force transforming service markets. c. the service-profit chain includes collaboration between marketing, operations, it and hr. d. service production and consumption are simultaneous.
The statement that is not true among the options provided is (b) the dramatic development of government policies is the most important force transforming service markets.
The service-profit chain includes collaboration between marketing, operations, IT, and HR. Service production and consumption are simultaneous. Among the options provided, the statement that is not true is "b. the dramatic development of government policies is the most important force transforming service markets.
The service-profit chain refers to the relationship between profitability, customer loyalty, and employee satisfaction. It is a tool used to measure and manage the connection between profitability and customer satisfaction.
The chain connects the main areas of a company, from HR to customer service, to marketing and to operations. It helps business managers to understand the link between good service and profitability.
It also identifies areas in the company that need improvement to optimize profitability. Service production and consumption are simultaneous. The service is produced and consumed simultaneously, and the customer is involved in the service delivery process.
This means that the customer is part of the service delivery process and can influence the quality of the service provided. The collaboration between marketing, operations, IT, and HR is an essential factor in the service-profit chain.
Collaboration between departments is vital for the successful delivery of a service. This ensures that customers are satisfied with the service, which increases customer loyalty, and in turn, leads to increased profits.
Therefore statement (B) is not true.
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Northwest Utility Company faces increasing needs for capital. Fortunately, it has an Aa3 credit rating. The corporate tax rate is 30 percent. Northwest’s treasurer is trying to determine the corporation’s current weighted average cost of capital in order to assess the profitability of capital budgeting projects.
The Northwest Utility Company has an Aa3 credit rating and a corporate tax rate of 30%. In order to determine the current weighted average cost of capital, the treasurer needs to calculate the cost of each of the capital sources (debt, preferred stock, and common equity) and then calculate the weighted average cost of capital.
The cost of debt is calculated as the after-tax cost of debt which is equal to the before-tax cost of debt multiplied by (1 - tax rate). The before-tax cost of debt is the current yield on debt.
The cost of preferred stock is calculated as the dividend yield.
The cost of common equity is calculated as the return required by the company’s common shareholders. This can be calculated using the Capital Asset Pricing Model (CAPM). The formula for CAPM is Risk Free Rate + Beta x (Market Return - Risk Free Rate).
Once these individual costs of capital have been calculated, the weighted average cost of capital can be calculated using the following formula: (Cost of Debt x (1 - Tax Rate) x (Debt/Capital)) + (Cost of Preferred Stock x (Preferred Stock/Capital)) + (Cost of Common Equity x (Common Equity/Capital)).
The weighted average cost of capital is an important measure for the Northwest Utility Company treasurer to consider when evaluating the profitability of capital budgeting projects.
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the importance of correct recognition and measurement of the
elements of financial statements?
The correct recognition and measurement of the elements of financial statements are crucial for several reasons:
Accurate financial reportingCompliance with accounting standardsEffective financial managementComparison with other companiesWe proceed to analyze the importance of recognizing and measuring effectively the elements of the financial statements:
Accurate financial reporting: Financial statements provide crucial information to stakeholders such as investors, creditors, and regulators. If the elements of financial statements are not recognized or measured correctly, the financial statements may be misleading and could lead to incorrect decisions by stakeholders.Compliance with accounting standards: Accounting standards provide guidelines for the recognition and measurement of financial statement elements. If these guidelines are not followed, companies may be non-compliant with accounting standards, which could result in legal and regulatory consequences.Effective financial management: Accurate recognition and measurement of financial statement elements help managers to make informed financial decisions, such as investing in new projects, expanding the business, or distributing profits.Comparison with other companies: The correct recognition and measurement of financial statement elements allow for meaningful comparisons between different companies. This enables stakeholders to evaluate the financial performance of companies and make informed investment or lending decisions.See more about financial statements at https://brainly.com/question/26240841.
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x co purchased $5000 of inventory on account with credit terms of 2/10, n/20. assuming that x co uses the perpetual inventory methood, what is the amount of the change in x's total assets when the inventory was purchased
The credit terms of 2/10, n/20 for $5000 inventory purchased on account is indicating a cash discount of 2% if the payment is made within 10 days, and the full amount is payable within 20 days.
As the perpetual inventory method is being used, the cost of goods sold and inventory will be impacted by the purchase. The cost of goods sold would decrease by $5000, and the inventory would increase by $5000, resulting in no change in the total assets of X Co.
This is because the cost of goods sold is an expense and reduces the net income, while inventory is an asset and increases the net income, but when added together, there is no change in the total assets of the business. Therefore, there will be no change in X's total assets when the inventory was purchased.
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what are the results of unanticipated inflation? multiple select question. some people are harmed and others are helped. wealth and real income are redistributed. most people are able anticipate the redistribution effects of inflation.
The results of unanticipated inflation include wealth and real income being redistributed and some people being helped while others are harmed. Therefore, the correct options are:Some people are harmed and others are helped and Wealth and real income are redistributed.
Explanation:Inflation is the rate at which the general price level of goods and services in an economy rises, decreasing the purchasing power of a currency. Unanticipated inflation is a type of inflation that occurs when the actual inflation rate is higher than what was anticipated. It occurs when the inflation rate is higher than what was predicted, making it difficult for the public to adapt to the new changes.Unanticipated inflation has a variety of consequences for an economy.
Here are some of the results of unanticipated inflation:Wealth and real income are redistributed: Unanticipated inflation affects different groups of people differently. Some individuals and sectors are harmed, while others benefit. In general, wealthy people have a higher income and thus, greater wealth than poor people. Because of the structure of most loans, poor individuals would pay higher real interest rates than wealthy individuals.Some people are harmed and others are helped:
The impact of unanticipated inflation on different groups of people depends on their specific financial circumstances. Borrowers gain at the expense of lenders, and debtors benefit at the expense of creditors. Creditors benefit from deflation, while debtors benefit from inflation.Most people are unable to anticipate the redistribution effects of inflation: Inflation redistributes wealth between lenders and borrowers, creditors and debtors, savers and spenders. However, it is difficult to anticipate the specific impact of inflation on different economic agents.
Hence, inflation tends to redistribute wealth in a random and chaotic manner.
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Given the information in the table Donald's total cost of taking the express lane is this amount of dollars
NOT correct : the answer is NOT $620 , $31, $50, or $55
Donald's total cost of taking the express lane is the sum of all the items in the table, which is $41.
What is total cost ?Total cost is the sum of all expenses incurred in a business, project, or transaction. It includes all direct and indirect costs, such as labor, materials, taxes, and fees. Total cost also includes the cost of any business or transaction that is incurred to make a purchase. Total cost can also include the cost of any investment in a business or project, such as purchasing equipment or hiring employees. Total cost should be calculated before making any financial decisions.
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Conduct the following for Jumeirah Group:
- mention a brief about the business sector
- SWOT analysis
Jumeirah Group is a luxury hotel and hospitality company based in Dubai, United Arab Emirates. The company operates a diverse portfolio of hotels, resorts, and residences across the Middle East, Europe, and Asia.
SWOT analysis of Jumeirah Group:
Strengths: Strong brand recognition, high-quality service, luxurious and unique properties, diverse portfolio of hotels and resortsWeaknesses: High prices may limit customer base, limited presence in some regions, dependence on the UAE market, competition from other luxury hotel chainsOpportunities: Expansion into new markets, development of new and innovative hospitality concepts, strategic partnerships and collaborations, growth of the global luxury travel industryThreats: Economic and political instability in certain regions, competition from emerging hotel brands, changing consumer preferences and demands, potential impact of pandemics or natural disasters.Learn more about Jumeirah Group:
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Case – Darden – BRUNER, Robert – Panic of 1907
3. At the time GDP per capita was perhaps $2,000 per person versus
$50,000+ today. At the same time, we now have $21 trillion of debt
for 330 million people. In what ways has central banking helped us? In what ways might it burden our future?
Central banking has helped us by providing a stable monetary system, promoting economic growth, and controlling inflation.
It has allowed governments to finance public investments and social programs through the issuance of bonds. Additionally, central banks have implemented policies to stabilize financial markets during times of crisis, such as the Panic of 1907.
However, central banking can also burden our future by creating debt and inflation. Excessive printing of money can lead to inflation, eroding the value of savings and wages.
Moreover, the accumulation of debt can lead to long-term economic problems, such as high interest rates and limited access to credit. Therefore, central banks must balance their policies to ensure long-term economic stability while addressing short-term crises.
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a marketing manager at gta technology wants the next generation of a particular application to include certain features. the product manager of that app insists that the features would be costly to implement, and could not be achieved by the desired release date unless additional resources, both financial and human, were directed to the app. the marketing manager insists that this is necessary, while the product manager feels that the inclusion of these features would not validate the extra investment, and it is now up to the project manager to decide how to proceed. which of the following conditions is most affecting the project manager's decision? a. uncertainty b. complexity c. intraorganizational conflict d. sustainability 1 points
The most affecting condition of the project manager's decision in the scenario of the marketing manager at GTA Technology wanting the next generation of a specific application to include certain features while the product manager insists that the features would be costly to implement is intra-organizational conflict.
Intra-organizational conflict: Intra-organizational conflict occurs when there is a dispute or disagreement among individuals or groups in the same organization. It usually arises due to differences in goals, values, attitudes, beliefs, and interests.
The product manager feels that the inclusion of the features would not validate the extra investment, whereas the marketing manager insists that it is necessary. As a result, the project manager has to decide how to proceed, making it an intra-organizational conflict. Hence, the most affecting condition of the project manager's decision is intra-organizational conflict. Therefore, option c is the correct answer.
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frictional unemployment is a result of a poor match of worker's abilities and skills with current requirements of employers. related to job search difficulties for potential workers. a result of business recessions that occur when aggregate demand is insufficient to create full employment. a result of the seasonal pattern of work in specific industries.
Answer:
Frictional unemployment is related to job search difficulties for potential workers. It occurs when individuals are temporarily between jobs, either because they have left one job and are looking for another, or because they are entering the labor force for the first time. Typically, frictional unemployment is short-term and arises as a result of workers taking some time to find a job that best fits their skills, interests and qualifications.
Therefore, the correct answer is: frictional unemployment is related to job search difficulties for potential workers.
Pretend for a moment you owned a business but had no cash and your business was about to close because of no operating funds. You approach a Venture Capitalist and an Angel Investor, and both are willing to provide you with the necessary financing; however, you can only go with one. First part of the question is: Who would you choose and why? Second part of the question is: Where does Risk and Return fit in with Venture Capitalists and Angel Investors?
First part : I would choose the Venture Capitalist whereas in Second part Venture Capitalists are more likely to provide a higher return on investment, but they also tend to take more risk.
This is because Venture Capitalists typically invest large amounts of money in exchange for equity and a certain level of control over the company. On the other hand, Angel Investors are typically more conservative, but their return on investment tends to be lower.
If I owned a business and had no cash, and both a Venture Capitalist and an Angel Investor were willing to provide financing, I would choose the Venture Capitalist. This is because Venture Capitalists typically invest large amounts of money in exchange for equity and a certain level of control over the company.
Risk and return are important considerations when choosing between a Venture Capitalist and an Angel Investor. Generally, Ultimately, the risk and return should be weighed against the needs of the business and the other benefits of working with each type of investor.
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