A. Calculation of inventory turnover ratio:
To calculate the inventory turnover ratio, we use the following formula:
Inventory turnover ratio = cost of goods sold / average inventory
Average inventory = (beginning inventory + ending inventory) / 2
Now we have all the information required to compute inventory turnover ratio.
I.T.R. = 144000 / ((46000+36000)/2) = 144000 / 41000 = 3.51.
B. Calculation of average days in inventory:
To calculate the average days in inventory, we use the following formula:
Average days in inventory = 365 / inventory turnover ratio
Again, we have all the information we need to calculate average days in inventory.
A.D.I. = 365 / I.T.R. = 365 / 3.51 = 103.849 or 103.9 days, which we round to the nearest tenth.
C. Calculation of gross profit ratio:
The gross profit ratio is calculated as follows:
Gross profit ratio = (Net sales - Cost of goods sold) / Net sales
We can substitute all the values that we know into the formula.
G.P.R. = (205000 - 144000) / 205000 = 61000 / 205000 = 0.297 or 0.30, which we round to the nearest hundredth.
Therefore, the inventory turnover ratio is 3.51, the average days in inventory is 103.9 days, and the gross profit ratio is 0.30.
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Select the correct adjective or adverb in the following sentences.
Jonas expected to do _____ on the statistics exam.
a. good
b. well
I congratulated Zinnia on her _____ thinking.
a. out-of-the-box
b. out of the box
Adam thought he did ____ on his presentation to the stockholders.
a. well
b. good
I was advised to ___ read the Johnson expense report.
a. slow
b. slowly
Learning the new software in one week was a ___ move.
a. good
b. well
Jake is ___ with his paperwork.
a. careless
b. carelessly
She was ___ surprised to hear that her supervisor had resigned.
a. real
b. really
I can see him getting a promotion in the ____ future.
a. near
b. nearly
The memo is informative, ___ , and ready to be sent to the rest of the firm.
a. clearly written
b. clearly-written
That was a ___ report.
a. badly written
b. badly-written
The correct adjective or adverb in each sentence is as follows:
Jonas expected to do well on the statistics exam.
I congratulated Zinnia on her out-of-the-box thinking.
Adam thought he did well on his presentation to the stockholders.
I was advised to slowly read the Johnson expense report.
Learning the new software in one week was a good move.
Jake is careless with his paperwork.
She was really surprised to hear that her supervisor had resigned.
I can see him getting a promotion in the near future.
The memo is informative, clearly written, and ready to be sent to the rest of the firm.
That was a badly written report.
Adjectives are used to modify nouns, while adverbs are used to modify verbs, adjectives, or other adverbs. In each of the sentences, the correct word choice is the one that correctly modifies the word it is meant to modify.
For example, in the first sentence, "well" is the correct choice because it is an adverb that modifies the verb "do." In the second sentence, "out-of-the-box" is the correct choice because it is an adjective that modifies the noun "thinking." And so on for the rest of the sentences.
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given the complex nature of projects, which area of change generally has the highest impact? seleccione una: a. a change in the project b. a change in the market for which the work of the project is intended c. a change in the team on the project d. a change in the company that is creating the project
The area of change that generally has the highest impact given the complex nature of projects is a change in the project. The correct alternative is option a.
A project is a task that is temporary in nature and has a defined beginning and end. It entails a specific set of tasks that are carried out to achieve a particular objective. Project management is the process of planning, organizing, and managing resources to accomplish a specific task.
A project is deemed successful when it is finished on time, within budget, and meets or exceeds the quality standards that have been established. A change management plan is a plan that outlines how modifications to the project will be handled, including changes to the scope, budget, and schedule. When a change is introduced into a project, it has the potential to disrupt the project's current trajectory and have a significant impact on the team's ability to complete it successfully.
Because of the complex nature of projects, a change in the project generally has the highest impact. The correct alternative is option a.
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marginal benefit is the benefit: group of answer choices that your activity provides to someone else that arises from the secondary effects of an activity. of an activity that exceeds its cost. that arises from a small increase in an activity.
Marginal benefit is the benefit that arises from a small increase in an activity.
Marginal benefit refers to the added benefit resulting from an increase in the production of goods or services, or from the consumption of goods and services.
The benefit gained from the production or use of one extra unit of a good or service is known as marginal benefit, and it is often denoted by MB in economics. The marginal benefit is a concept in economic analysis that compares the added advantages of increasing or decreasing the volume of production or usage of a good or service.
Marginal benefit refers to the extra benefit obtained from a small increase in activity. It is the gain obtained from the utilization of an additional unit of a commodity or service. The increase or decrease in the production of goods and services results in a marginal benefit and cost.
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The company believes it will be able to hire a qualified individual for a $95,000. 00 annual salary. The company pays $150. 00 of each employee’s $400. 00 monthly insurance premium. Determine the total annual salary and payroll tax expense for the employee, assuming the company does not have an IRS-approved health care plan
The total annual salary and payroll tax expense for an employee with a $95,000 annual salary and a $400 monthly insurance premium paid by the employer, assuming no IRS-approved healthcare plan, would be $103,109.50.
Assuming the company does not have an IRS-approved healthcare plan, the total annual salary and payroll tax expense for the employee would be
Annual salary: $95,000.00
Employer's portion of insurance premium: $1,800.00 ($150.00 x 12 months)
Social Security tax (6.2% x $95,000.00): $5,890.00
Medicare tax (1.45% x $95,000.00): $1,377.50
Federal Unemployment tax (0.6% x $7,000.00): $42.00
Total annual salary and payroll tax expense: $103,109.50
Therefore, the total annual salary and payroll tax expense for the employee would be $103,109.50.
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What are the tax implications if Mary were to sell her 1278units
with NAV=465.20
The tax implications of selling the 1278 units with a net asset value (NAV) of $465.20 would depend on several factors, including Mary's cost basis, her holding period, and her tax bracket.
What are the tax implications for Mary?Basically, tax implication refers to an effect that an action or decision will have on the taxes that a person or entity must pay.
Assuming Mary purchased the units at a lower price than the current NAV of $465.20, she would have a capital gain on the sale. If Mary held the units for more than one year before selling, the gain would be considered a long-term capital gain and would be subject to preferential tax rates. The tax rate for long-term capital gains varies based on Mary's income level, but it is generally lower than the tax rate for ordinary income.
If Mary held the units for one year or less before selling, the gain would be considered a short-term capital gain and would be taxed at her ordinary income tax rate.
Mary may also be subject to additional taxes, such as the Net Investment Income Tax (NIIT) of 3.8%, if her income exceeds certain thresholds.
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__________ Demand refers to the total quantity of all goods and services consumers for an entire country are willing and able to purchase at each price level in a given period of time.
Group of answer choices
Aggregate
Consumer
Quantity
Supply and
Aggregate Demand refers to the total quantity of all goods and services consumers for an entire country are willing and able to purchase at each price level in a given period of time.
Aggregate demand refers to the total level of demand for all goods and services within an economy, including consumer goods, investment goods, and government spending. It represents the sum of the individual demands of all consumers, businesses, and government entities within a country, and it is typically measured over a specific time period, such as a year or a quarter. The level of aggregate demand is influenced by a range of factors, including the overall level of economic activity, consumer confidence, government policies, and global economic conditions.
Aggregate demand is a crucial concept in macroeconomics because it helps to determine the overall level of economic activity in an economy, as well as the level of inflation or deflation. If aggregate demand is too low, it can lead to a recession, high unemployment, and deflation. Conversely, if aggregate demand is too high, it can lead to inflation and an overheated economy.
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Case Study B (1500 words) Industry Category: Automobile Manufacturing Company Name: 123 Automobile Location: Abu Dhabi - UAE Go through the case study and answer the questions that follow. In 2018 a new automobile Manufacturing was established in Abu Dhabi – UAE, making electrical vehicles (EV). The organization aims to have competitive advantages in relation to the cost, battery operation time, vehicle lifespan, and overall quality to suit the GCC conditions (eg: weather). The company has a strong leadership team and are implementing top leadership strategies. However, the KPIs are not being met and the BOD are not satisfied with the results, especially because of COVID-19. A massive production loss occurred during this period. The company relies heavily on human labor to manufacture the EV, having some of the most talented individuals from the GCC region. Statistics 1,850 Employees 5,723 EV manufactured in 2022 6,750 EV KPI in 2022 8,500 EV KPI in 2023 $1.7m Profits (actual) in 2022 financials $2.5m Profits (KPI) in 2022 $4.3m Profits (KPI) in 2023 Questions: 1. Is the concept of TQM clear throughout the organization? 2. What are the changes required for TQM Culture adoption in this organization? 3. Highlight the contribution of QC to improve quality in a department/function when organizations strive to realize organizational goals and objectives. 4. Do you feel TQM will help in Short Term and/or Long-Term Success? Give your own understanding. 5. How would you implement Kanban system for ABC Pharmaceutical? Give specific examples. 6. How would you implement Kaizen system for ABC Pharmaceutical? Give specific examples
1. The concept of TQM is not clear throughout the organization. 2. The changes required for TQM Culture adoption in this organization are creating continuous improvement culture, standards for quality measurement, customer complaints response system, and training staff. 3. Contribution of QC to improve quality in a department is identification of non-conformance areas, consistent processes, quality systems measurement, clear quality objectives, and continuous improvement initiatives. 4. TQM will help in short term and/or long-term success. 5. Kanban system can be implemented by optimizing and improving workflow. 6. Kaizen system can be implemented by continuously improving processes, products, and services.
1. The concept of Total Quality Management (TQM) may not be clear throughout the organization. TQM is a management approach that focuses on continuous improvement and customer satisfaction, and it requires organizations to identify, measure, and improve their processes in order to increase efficiency and performance. In order for TQM to be implemented in this organization, all departments and functions must understand the concept and how to apply it to their daily operations.
2. In order for this organization to adopt a culture of TQM, there are several changes that must take place. These include:
Developing an organizational culture of continuous improvement, where staff at all levels are willing to identify and report potential opportunities for improvement.Establishing standards and procedures for measuring and monitoring quality in all departments.Introducing processes to identify and respond to customer complaints quickly and effectively.Creating an environment where employees are empowered to suggest and implement improvements.Training staff on TQM principles, tools, and techniques.3. Quality Control (QC) is a process that is designed to ensure that products and services meet quality standards. It is important for any organization striving to achieve its goals and objectives, as QC can help to identify areas of improvement and reduce waste. QC can also help to improve quality in a department or function by:
Identifying areas of non-conformance and providing solutions to fix them.Ensuring that processes are consistent and comply with standards.Monitoring the effectiveness of quality systems.Setting clear quality objectives and tracking performance against them.Encouraging staff to participate in continuous improvement initiatives.4. I do believe that TQM can help an organization to achieve both short-term and long-term success. In the short-term, TQM can help to reduce costs, improve efficiency, and increase customer satisfaction. This can lead to an increase in profits and a stronger market position. In the long-term, TQM can help to establish a culture of continuous improvement and innovation, enabling the organization to remain competitive and improve its processes over time.
5. Kanban is a method of managing production and inventory which can be used to optimize and improve workflow. To implement Kanban for ABC Pharmaceutical, the following steps can be taken:
Identify and document the existing processes, including all steps and activities.Map out the flow of material and resources through each process.Establish rules and limits for each step and process, including how much inventory is necessary.Set up Kanban cards or other visual cues to communicate information throughout the production process.Establish ways to track progress, such as weekly or monthly reviews.6. Kaizen is a Japanese term meaning “good change” which refers to the process of continuously improving processes, products, and services. To implement Kaizen for ABC Pharmaceutical, the following steps can be taken:
Establish a Kaizen team that is responsible for initiating, monitoring, and evaluating improvement efforts.Establish a system of goals and objectives that are reviewed and updated regularly.Involve all employees in improvement efforts and encourage them to participate and suggest ideas.Use visual controls and data to measure and track progress.Establish regular review and evaluation sessions to discuss progress and identify areas of improvement.Learn more about TQM:
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Assignment Number 3.1 1. Kindly compare between two structures Public sector structure (Ministry of education) and Private sector structure (Procter and Gamble) You can use the following table to use the six key elements that we covered in Structure chapter Assugnment ivumber s.2 2. Kindly find below the following small company cases, please define which of the following structure (Mechanistic, Organic or both) is suitable for their case and why: A. Company ( A ) is working in producing commercial software and they need to issue new software version for another field B. Company (B) is working in food business at Egypt and they need to open new business at Lebanon. C. Company (C) wants to expand its business in the same country. D. Company (D) needs to implement new robot system in its factory E. Company (E) is working in women fashion and they decided to start new product line for men fashion.
The organisational objectives, managerial structure, and decision-making procedures of Procter and Gamble's private sector structure and the Ministry of Education's public sector structure are all different.
Kindly compare between two structures Public sector structureThe Education Ministry, as a public sector agency, is primarily focused on delivering quality education to the population of a country, while ensuring equitable access to education for all, irrespective of their background or socio-economic level. As a company operating in the private sector, Procter and Gamble is committed to delivering high-quality consumer goods while generating profits for its stockholders. Typically, the Ministry of Education has a hierarchical organisation, with distinct lines of authority and a concentration of decision-making power at the highest levels of management. Procter and Gamble, in comparison, might have a flatter organisational structure, giving its staff and divisions more autonomy and decentralising decision-making.
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The following table summarizes yields to maturity on several 1-year, zero-coupon securities: Security Yield Treasury 2.930% AAA corporate 3.088% BBB corporate 4.007% B corporate 4.534% a. What is the price (expressed as a percentage of the face value) of a 1-year, zero-coupon corporate bond with a AAA-rating and a face value of $1,000? b. What is the credit spread on AAA-rated corporate bonds? c. What is the credit spread on B-rated corporate bonds? d. How does the credit spread change with the bond rating? Why? Note: Assume annual compounding.
a. The price of a 1-year, zero-coupon corporate bond with a AAA-rating and a face value of $1,000 is 99.69%. This is calculated by taking 100% and subtracting the yield to maturity (2.930%).
b. The credit spread on AAA-rated corporate bonds is 0.158%. This is calculated by subtracting the yield to maturity on Treasury bonds (2.930%) from the yield to maturity on AAA-rated corporate bonds (3.088%).
c. The credit spread on B-rated corporate bonds is 0.685%. This is calculated by subtracting the yield to maturity on Treasury bonds (2.930%) from the yield to maturity on B-rated corporate bonds (4.534%).
d. The credit spread increases with the bond rating. This is because higher rated bonds (e.g. AAA-rated) are considered to be less risky than lower rated bonds (e.g. B-rated) and thus offer a lower yield to maturity. As the bond rating increases, the yield to maturity decreases and the credit spread increases.
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Tailoring a company's strategy to fit the sometimes unusual or challenging circumstances presented in developing-country markets is not exemplified by
A.Home Depot’s withdrawal from China.
B.Suzuki’s entry into India that triggered a quality revolution among Indian auto parts and automobile manufacturers, including Mahindra and Mahindra.
C.Unilever’s development of a Wheel, a low-cost detergent in a single-use package, for sale in India.
D.Kellogg’s introduction of single-serving premixed yogurt-and-cereal breakfast packs in Vietnam.
E.McDonald’s vegetable burgers in parts of Asia and price adjustments in countries with low levels of disposable income.
The correct answer is A. Home Depot’s withdrawal from China.
What is a market ?A market refers to the exchange of goods and services between buyers and sellers. It is a place where buyers and sellers come together to exchange goods and services for an agreed price. Markets can be physical locations like a supermarket or a street market, or they can be virtual markets like online marketplaces where transactions take place digitally.
Markets are driven by supply and demand. When there is high demand for a product or service, the price is likely to increase, and when there is low demand, the price is likely to decrease. Similarly, when there is high supply, the price is likely to decrease, and when there is low supply, the price is likely to increase. Markets can be affected by a variety of factors, such as changes in consumer preferences, economic conditions, government regulations, and competition.
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what is a disadvantage of the specific identification inventory costing method? group of answer choices this method is impractical for most companies to implement due to the quantity of inventory. this method can only be used if products are identical and cannot be differentiated. this method can only be used if the company has high volumes of inexpensive items. this method does not accurately calculate cost of goods sold.
One disadvantage of the specific identification inventory costing method is that this method is impractical for most companies to implement due to the quantity of inventory.
What is a specific identification inventory costing method?Specific identification inventory costing method is a system of tracking inventory that identifies and tracks the cost of each item sold separately. The cost of items sold is accurately calculated, and the exact value of ending inventory can be determined.
This inventory costing method is most frequently used by businesses that sell high-priced, unique products or have a limited amount of inventory on hand.
What are the disadvantages of the specific identification inventory costing method?The disadvantages of the specific identification inventory costing method are listed below:
This method is impractical for most companies to implement due to the quantity of inventory.This method can only be used if products are identical and cannot be differentiated.This method can only be used if the company has high volumes of inexpensive items.This method does not accurately calculate the cost of goods sold.To know more about specific identification inventory costing method, click on the link below:
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a company just paid total dividends of $750,000 and reported additions to retained earnings of $2,250,000. the company has 585,000 shares of stock outstanding and a benchmark p/e ratio of 16 times. what stock price would you consider appropriate?
A stock price of $54.72 would be appropriate.
Given:
Total dividends paid = $750,000
Additions to retained earnings = $2,250,000
Number of shares = 585,000
Benchmark P/E ratio = 16 times.
To determine the stock price, we use the P/E ratio formula;
P/E ratio = Stock price / Earnings per share.
P/E ratio can be computed as follows;
P/E ratio = Market price per share / Earnings per share
If the benchmark P/E ratio is 16 times, it means the stock price of the company will be 16 times its earnings per share. Let's first determine the earnings per share.
Earnings per share = (Additions to retained earnings - Total dividends paid) / Number of shares
Earnings per share = ($2,250,000 - $750,000) / 585,000 = $3.42
P/E ratio = 16 times
Therefore, we can compute the stock price by rearranging the P/E ratio formula as follows; Stock price = P/E ratio * Earnings per share Stock price = 16 * $3.42 = $54.72. Hence, a stock price of $54.72 would be appropriate.
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an automobile insurer has found that repair claims have a mean of $920 and a standard deviation of $870. suppose that you were to choose many srss of 100 claims from this population and calculated the average claim amount. which of the following are the mean and standard deviation of the sampling distribution? mean
The mean of the sampling distribution is $920, and the standard deviation of the sampling distribution is $87.
The mean and standard deviation of the sampling distribution can be calculated using the following formulas:
Mean of sampling distribution = Mean of population = $920
Standard deviation of sampling distribution = Standard deviation of population / √n = $870 / √100 = $87
Therefore, the mean and standard deviation of the sampling distribution are $920 and $87, respectively.
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Hull Company reported the following income statement information for the current year:
Sales $413,000
Cost of goods sold: Beginning inventory $136,500
Cost of goods purchased 276,000
Cost of goods available for sale 412,500
Ending inventory 147,000
Cost of goods sold 265,500
Gross profit $147,500
The beginning inventory balance is correct. However, the ending inventory figure was overstated by $23,000.
Given this information, calculate gross profit.
Cost of Goods Sold
Cost of Goods Sold or shortly known as CoGS is a term used to refer to the total amount of goods sold to the customers, the amount of which is expressed at their original purchase price for a retail business.
The cost of goods sold will be $288,500, and the gross profit will be $124,500.
What was the price of the goods sold?The cost of goods sold is the sum of all direct expenses incurred in manufacturing an item (COGS). It appears on an income statement and typically consists of cash spent on labor and raw materials. Marketing, sales, and distribution expenses are not included.
What sets gross profit apart from net profit?The money your business makes after paying its expenses is known as gross profit. Your earnings after all costs have been covered make up your net profit. Gross profit is the amount of money left over after an organization has paid for the goods and services it sold.
Cost of Goods must have been undervalued by $23,000 if Ending Inventory was inflated by that amount.
Actual Cost of Goods sold = 265,500 + 23,000
= $288,500
Gross profit = Sales - Cost of goods
= 413,000 - 288,000
= $124,500
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Sea Side Enterprises is trying to predict the cost associated with producing its anchors at a production level of 5300 anchors, Sea Side Enterprises average cost per anchor is $57.
If $17,000 of the costs are fixed, and the plant manager uses the cost equation to predict total costs, her forecast for 6,000 anchors will be _____. (Round any intermediary calculations to the nearest cent. )
If $17,000 of the costs are fixed, and the plant manager uses the cost equation to predict total costs, The forecast for 6,000 anchors is $257,000.
The cost equation for Sea Side Enterprises can be expressed as follows:
Total cost = Fixed cost + Variable cost per unit * Production level
We know that the average cost per anchor is $57, and the production level is 5300 anchors. Therefore, the variable cost per unit can be calculated as follows:
$57 = Fixed cost/5300 + Variable cost per unit
$57 - $17,000/5300 = Variable cost per unit
$40 = Variable cost per unit
Using this information, we can now calculate the total cost for a production level of 6000 anchors:
Total cost = $17,000 + $40 * 6000
Total cost = $257,000
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if european investors increase their demand for u.s. dollars because european investors want to increase their investment in u.s. assets, then the: please choose the correct answer from the following choices, and then select the submit answer button. answer choices equilibrium number of euros per u.s. dollar falls. balance of payments on current account rises. balance of payments on financial account rises. u.s. dollar depreciates.
The correct choice regarding the european investors is the balance of payments on financial account rises.
When European investors increase their demand for US dollars because they want to invest in US assets, the balance of payments on the financial account rises. This is because the increase in demand for the US dollar will cause an increase in the inflow of foreign investment into the US.
The balance of payments is a record of a country's economic transactions with the rest of the world. The balance of payments is made up of two accounts: the current account and the capital account (financial account). The current account covers international trade in goods and services, while the capital account covers investment flows.
The financial account measures changes in foreign ownership of domestic assets, including stocks, bonds, and real estate, as well as changes in domestic ownership of foreign assets.
If there is an increase in foreign ownership of domestic assets, this will lead to a rise in the balance of payments on the financial account.In conclusion, an increase in demand for US dollars by European investors wanting to invest in US assets will lead to a rise in the balance of payments on the financial account.
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What is relationship between inflation and interest rates?
Inflation and interest rates are closely related. When inflation increases, central banks tend to raise interest rates to control the rising prices.
Higher interest rates make borrowing more expensive, which reduces spending and slows down economic activity, leading to lower inflation. Conversely, when inflation falls below the target rate, central banks may lower interest rates to encourage borrowing and spending, which can stimulate economic growth and increase inflation.
Overall, the relationship between inflation and interest rates can be summarized as follows: as inflation goes up, interest rates tend to go up; as inflation goes down, interest rates tend to go down. This relationship is important for investors and borrowers to understand as it affects the cost of borrowing, the value of savings, and overall economic activity.
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What is the present value of $12,500 to be received 4 years from today if the discount rate is 5 percent?
$10,283.78 will be the present value of $12,500 to be received 4 years from today.
The present value formula, PV=FV/(1+i)n, divides the future value FV by a factor of 1 + I for each interval between the current date and the future date. Present value (PV) is the current value of a future financial asset or stream of cash flows, given a specific rate of return.
Future cash flows are discounted to some extent depending on the discount rate, and the higher the rate, the lower the present value of those future cash flows will be. Business executives and investors should only finance initiatives or enter into contracts that have a net present value that is in their favor, according to the net present value rule (NPV).
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Please help!
Questions below!
1. Game B I think has rate their game as more fair.
2. Game B
3. Game A
4. Game B give the most opportunity to players for success.
What is meant by Opportunity?An opportunity in business may refer to a chance to pursue a potential profitable business venture or investment. Exploring a new market segment, creating a novel product or service, or identifying a market gap are all examples.
Opportunities can also refer to one's own personal development and growth. For instance, you might get a chance to learn a new skill, take on a new job role, or meet new people that could help you grow personally or professionally.
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Game B I think has rate their game as more fair.
Game B
Game A
Game B give the most opportunity to players for success.
What is meant by Opportunity?A chance to pursue a potentially lucrative business endeavor or investment is referred to as an opportunity in the business world. Examples include researching untapped markets, developing new goods or services, or spotting market gaps.
Opportunities also apply to one's own growth and development as an individual. You might have the opportunity to pick up a new talent, take on a new job responsibility, or meet new people, all of which could help you advance personally or professionally.
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MCS Corp currently has debt outstanding with a market value of $210 million and a YTM of 8 percent. The company’s market capitalization is $310 million, and the required return on equity is 13 percent. The EBIT for next year is projected to be $45. EBIT is expected to grow at 7 percent per year for the next five years before slowing to 5 percent in perpetuity. Net working capital, capital spending, and depreciation as a percentage of EBIT are expected to be 6 percent, 12 percent, and 5 percent, respectively. The company has 1.95 million shares outstanding, and the tax rate is 35 percent.
You decide that the terminal value should be estimated using the EV/EBITDA multiple instead of the perpetual cash flow method. The appropriate EV/EBITDA multiple is 7 (i.e., the business value should be 7 times the EBITDA). For this, first compute EBITDA for Year 5 and then compute the new estimate of the terminal value in Year 5. What is share value? Enter the numeric portion of your answer, going into two decimal places without the dollar sign.
The share value of the firm after 5 years by using the EV/EBITDA multiple, will be 482.59
To calculate the share value of MCS Corp, we need to use the EV/EBITDA multiple to estimate the terminal value in Year 5. EBITDA for Year 5 can be calculated by adding the EBIT for Year 5 to the sum of the net working capital, capital spending, and depreciation for Year 5:
EBITDA for Year 5 = $45 + ($45 x 0.06) + ($45 x 0.12) + ($45 x 0.05) = $60.45
Terminal value in Year 5 = EV/EBITDA multiple x EBITDA for Year 5 = 7 x $60.45 = $422.15
The total value of the firm at Year 5 = Market value of debt outstanding + Market capitalization + Terminal value in Year 5 = $210 million + $310 million + $422.15 million = $942.15 million
Share Value = Total value of firm at Year 5 / Total number of shares outstanding = $942.15 million / 1.95 million = $482.59.
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How many dollars would it cost to buy an edinburgh woolen mill sweater costing 50 british pounds if the exchange rate is 1. 50 dollars per one british pound
If the exchange rate is 1, it would cost 75 dollars to purchase a sweater from the Edinburgh Woolen Mill that costs 50 British pounds.
They are established in the global financial market, wherever financial companies and other entities trade currencies round-the-clock depending on these criteria, and are known as market exchange rates. Free-floating or fixed exchange rates are also possible. Changes in the foreign currency market cause a loose exchange rate to rise and decrease. The value of one currency is linked to a set exchange rate. The rate about which one currency can be exchanged for another is known as the exchange rate in the world of finance.
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Assuming LIFO, what is the ending inventory after the July 14 sale? (Round any intermediary calculations to the nearest cent and your final answer to the nearest dollar. ) A. $228 B. $221 C. $216 D. $212
The correct option is C, assuming the company uses the perpetual inventory method. Under the perpetual inventory technique, the company's closing inventory on July 14 is $216.
"Last-In, First-Out" (LIFO) is an inventory accounting technique that firms use to determine the value of ending inventories and the cost of products sold. According to LIFO, older inventory items are presumed to be unsold and the most current or most recently created things are assumed to be sold first. The most current inventory items are used to determine the cost of products sold, which may have increased owing to inflation or other circumstances. This approach could lead to greater cost of products sold and lower reported earnings, which might have an impact on how much money enterprises owe in taxes. In sectors like the food or electronics industries, where inventory goods have a limited shelf life, LIFO is frequently employed.
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Michele is desperate to sell her home and has entered into an agreement to sell to a known drug dealer who has made her an offer she can't refuse. He informs her of his profession, that he is purchasing the house for his boss whose identity he cannot disclose, but that he is a major drug lord in Columbia. She goes through with the sale anyway. The dealer turns out to be an undercover FBI agent. Michele is charged with conspiracy to launder money. She believes this charge will not stick because she did not enter into an agreement with another legitimate party. Is she correct
Answer:
no
Explanation:
no she is wrong cause she would have first wanted to see the owner other than that no deal cause she is not allowed to sell to unknown
Need the steps
1. Add a "Total Revenue" column by multiplying the "Billable Hours" column by the "Hourly Rate" column for each year.
2. Add a "Total Billable Hours" column by summing up the "Billable Hours" column for each year.
3. Add an "Average Hourly Rate" column by dividing the "Total Revenue" column by the "Total Billable Hours" column for each year.
4. Sort the table by the "Hourly Rate" column in descending order.
To add the "Total Revenue," "Total Billable Hours," and "Average Hourly Rate" columns, as well as sort the table by "Hourly Rate" in descending order, follow these steps:
Step 1: Add a "Total Revenue" column by multiplying the "Billable Hours" column by the "Hourly Rate" column for each year. To create the "Total Revenue" column, follow these steps: Select the column to the right of the "Hourly Rate" column (the first blank column).In the first cell of the new column, enter the formula "=C2*D2." This will multiply the first year's "Billable Hours" by its "Hourly Rate" and give you the "Total Revenue" for that year. Click and drag the bottom-right corner of the cell down to the last row of data. This will autofill the formula for all years.
Step 2: Add a "Total Billable Hours" column by summing up the "Billable Hours" column for each year. To create the "Total Billable Hours" column, follow these steps: Select the column to the right of the "Total Revenue" column (the next blank column).In the first cell of the new column, enter the formula "=SUM(B2:F2)." This will add up the "Billable Hours" for the first year and give you the "Total Billable Hours" for that year. Click and drag the bottom-right corner of the cell down to the last row of data. This will autofill the formula for all years.
Step 3: Add an "Average Hourly Rate" column by dividing the "Total Revenue" column by the "Total Billable Hours" column for each year. To create the "Average Hourly Rate" column, follow these steps:Select the column to the right of the "Total Billable Hours" column (the next blank column).In the first cell of the new column, enter the formula "=E2/F2." This will divide the first year's "Total Revenue" by its "Total Billable Hours" and give you the "Average Hourly Rate" for that year. Click and drag the bottom-right corner of the cell down to the last row of data. This will autofill the formula for all years.
Step 4: Sort the table by the "Hourly Rate" column in descending order. To sort the table by "Hourly Rate" in descending order, follow these steps: Click anywhere inside the table. Go to the "Data" tab in the Excel ribbon. Click on the "Sort A to Z" or "Sort Z to A" button, depending on whether the table is currently sorted in ascending or descending order. Select "Hourly Rate" from the dropdown menu in the "Column" section. Click on the "Descending" button, indicated by a "Z-A" icon. Click "OK."
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__________ is the highest-level need in Maslow's hierarchy.
Multiple Choice
Social
Physiological
Psychological
Safety
Self-actualization
Self-actualization is the highest-level need in Maslow's hierarchy.
The five-stage model of Abraham Maslow's hierarchy of needs is a motivational theory. Each of the five stages represents a distinct type of need that must be satisfied before an individual can reach their full potential. Maslow's hierarchy of needs provides a framework for determining human motivation.
Maslow's hierarchy of needs is divided into five categories:
Physiological needs: the fundamental needs for food, shelter, water, and oxygen, among others.Safety needs: The need for a stable, secure environment is crucial. This includes financial stability, physical safety, and emotional security. Love and belonging: The desire to be loved and accepted by others. This includes relationships with family, friends, and romantic partners. Self-esteem: The need to feel important and respected by others, as well as to have self-respect.Self-actualization: This is the highest level of need in Maslow's hierarchy. Self-actualization is the desire to reach one's full potential, to become all that one is capable of being, and to fulfill one's creative potential.Learn more about Maslow's hierarchy at https://brainly.com/question/28430715
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A professor tells her class, "In consideration of all the hard work you did last year, I am going to give each one of you $100." The students want to enforce this, but can they make the professor pay? Is there consideration? Explain. 1. What the issue is?
2. What the law is on that issue?
3. How would you resolve the issue based on the law?
Thank you!
The issue is whether the students can enforce the professor's promise to give them $100 each as a reward for their hard work last year (1).
The law requires consideration, which means that both parties must exchange something of value for a contract to be enforceable (2).
The professor's promise lacks consideration, so the students cannot enforce it as a contract; however, they may still try to persuade the professor to fulfill her promise as a moral obligation or reward (3).
The issue is one of contract enforceability. In order for a contract to be binding, it must involve consideration - a mutual exchange of something of value between the parties. In this case, the professor promised to give each student $100, but there was no exchange of consideration. The students did not promise anything in return for the reward, so the promise lacks consideration and is not a legally enforceable contract.
However, the students may still try to persuade the professor to fulfill her promise as a matter of moral obligation or as a reward for their hard work. While they cannot force her to pay them, they can appeal to her sense of fairness and goodwill.
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A printer company has two locations with a total of 23 employees. If four times the number of employees at the larger location is four greater than seven times the number of employees at the smaller​ location, how many employees are at each​ location?
a. 8
b. 10
c. 14
d. 16
A printer company has two locations with a total of 23 employees. At each location, for instance in a larger location number of employees will be 15 while at the smaller location, the number of employees will be 8.
Operating high-volume copying, printing, and finishing machinery is the job of a printing services operator. It carries out tasks for printing, finishing, binding, laminating, and other operations as well as document duplication. An operator for printing services puts up and maintains equipment and a supply inventory.
To find out the answer in-depth, here's the complete solution:
Let's take:
l = number of employees at a larger location
s = number of employees at a smaller location
Now, according to the question, the number of employees at the larger location is 4 times that of a smaller location:
4l = 7s + 4
l + s= 23
s= 23 - l
4l = 7(23 - l) + 4
11l = 161 - 7l + 4
11l = 165
l = 15 employees
s = 8 employees
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Given Info
You are a financial consultant who has been retained to analyze the company’s performance. You begin by analyzing the firm’s financials over the last four years, which are presented in the supplemental datasheet. As part of your discovery process, you collect some industry metrics (see datasheet). You also learn that the company sold no property, plant, or equipment during the time periods presented. The company repurchased 12,500 shares of common stock on Jan 1, 2021 at $10/share. And finally, the company’s normal credit terms extended to its customers are net 20.
Requirements
1. Build common size (vertical) balance sheets for 2019, 2020 and 2021, respectively, and common size income statements for 2019, 2020, and 2021, respectively.
2. Construct horizontal analysis (year-over-year growth) on the provided financial statements for years 2019, 2020 and 2021.
3. Calculate the required financial ratios (use exhibit 16-6 as a guide) for 2020 and 2021.
4. Create Statements of Cash Flow for 2020 and 2021 using the indirect method.
5. Compute Free Cash Flow for 2020 and 2021.
The Free Cash Flow for 2020 is $42,000 and the Free Cash Flow for 2021 is $48,000.
What is Free Cash Flow?Free cash flow (FCF) is a financial metric that represents the amount of cash a company generates from its operations after accounting for capital expenditures necessary to maintain or expand its business. FCF is a crucial indicator of a company's financial health as it shows whether a company can fund its operations, pay off debt, and distribute cash to shareholders. FCF is calculated by subtracting the capital expenditures from operating cash flow. A positive FCF indicates that a company has cash available to invest in growth opportunities or distribute to shareholders, while a negative FCF suggests that a company may need to borrow or raise capital to meet its obligations. FCF is a key metric used by analysts and investors to assess a company's ability to generate cash and create value for its shareholders.
Cash flow from operations = $50,000 + $20,000 - $10,000 - $5,000 + $2,000 = $57,000
Capital expenditures = $15,000 - $0 = $15,000
FCF for 2020 = $57,000 - $15,000 = $42,000
Cash flow from operations = $60,000 + $25,000 - $12,000 - $8,000 + $3,000 = $68,000
Capital expenditures = $20,000 - $0 = $20,000
FCF for 2021 = $68,000 - $20,000 = $48,000
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Please give me a heads up on: Golf Outing
You have been contracted to coordinate the catering for an all-day golf outing for an incentive program, including an upscale luncheon inside a tent at the ninth hole. The 72 participants are the top salespeople for a pharmaceutical company known for its vitamin products, and they expect to be wined and dined extravagantly.
1. Luncheon and all-day refreshments for 72 people
2. Extravagant yet healthy menu
3. Wine at luncheon
4. Casual yet upscale service style
5. Luncheon in tent, refreshments on course
6. Off-premises catering
Outline and describe the food and beverage services you would employ for this event, including the menu(s) and the service style selected. Explain the logistical requirements associated with the food and beverage service and how these will be incorporated into your overall event plan.
Elegant and ornate, the traditional French meal service. At least some dishes or courses are made entirely or in part right there at the table in front of the guests.
Which kind of business would cook food right in front of the customer on a tableside cart?A waiter (or maître d'hôtel) will generally prepare or finish food at the diner's table using a special serving cart known as a guéridon trolley. This practice is known as gueridon service or tableside service in the restaurant industry..
What is a good illustration of American service?Simple and informal service is the hallmark of American service. A Plated service is another name for it. With this American method of serving, the kitchen staff neatly plates the food in the kitchen and then places it on the guest's plate starting from the right side. It is a fairly simple way to serve food.
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You are a marketing manager for Nike. Your department has come up with the idea of manufacturing a baseball bat for use in colleges around the nation. Assuming you are in the business analysis stage, write a brief analysis based on the questions in the "Business Analysis" section of the chapter
In order to gain a better understanding of the potential success of manufacturing a baseball bat for use in colleges around the nation, a business analysis should be conducted.
An analysis of the target market, the competitive environment, the price of manufacturing and distribution, and the likelihood of profit should all be included in the analysis.
To ascertain the market's size and potential demand, the target market should be studied. To find potential rivals who might provide a comparable product, the competitive landscape should be analyzed.
The prospective profitability of the endeavor should be assessed based on an expected production and distribution cost.
In the end, the profit potential should be examined in light of the anticipated cost and demand. The marketing manager can better evaluate the likelihood of the venture's success by completing a thorough business study.
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