a new project will have an intial cost of $50,000. cash flows from the project are expected to be $-25,000, $20,000, $30,000, $40,000 and $40,000 over the next 5 years, respectively. assuming a discount rate of 15%, what is the project's payback period?

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Answer 1

The project's payback period is approximately 3.17 years.

The payback period is the time it takes for the project's cumulative cash flows to equal its initial cost. In this case, we can calculate the payback period as follows:

Year 1: -$25,000
Year 2: $20,000
Year 3: $30,000
Year 4: $40,000
Year 5: $40,000

Cumulative cash flows:
Year 1: -$25,000
Year 2: -$5,000
Year 3: $25,000
Year 4: $65,000
Year 5: $105,000

The payback period is reached between Year 2 and Year 3. At the end of Year 2, there is still a $5,000 deficit. In Year 3, there is a cash inflow of $30,000. To find the portion of Year 3 needed to cover the $5,000 deficit, divide the remaining deficit by the Year 3 cash inflow:

$5,000 / $30,000 = 0.167

The payback period is 2 years plus the 0.167 portions of Year 3, resulting in a payback period of approximately 3.17 years.

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Related Questions

Tom is a team leader. joe is a team member who interrupts tom and other team members during their meetings. joe does not have constructive comments but instead makes negative comments about what the team member is saying. tom pulls joe aside after a meeting. What should tom say to deal with the situation constructively?

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Tom should address Joe's behavior in a direct and constructive manner.

Tom could start by acknowledging Joe's contributions to the team and then explain how his interruptions and negative comments are disruptive to the team's progress. Tom should emphasize the importance of positive communication and encourage Joe to share his thoughts and feedback in a respectful and constructive manner.

It may also be helpful for Tom to provide specific examples of Joe's behavior and how it negatively affects the team. Overall, Tom should aim to have an open and honest conversation with Joe in a way that encourages him to improve his communication style and work more effectively with the team.

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an estimate of the land and water area that is required to produce all of the goods that an individual consumes and to assimilate all of the waste that he or she produces is called a. smart growth. b. biodiversity. c. demographics. d. an ecological footprint.

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An ecological footprint is an estimate of the amount of land and water area needed to sustainably support a particular human population, taking into account the resources consumed and waste produced by that population. The correct option is d. an ecological footprint.

The concept of ecological footprint was developed to help individuals and communities understand the impact of their daily activities on the environment. It measures the amount of biologically productive land and water required to produce the resources that individuals consume, and to assimilate the waste they produce, such as carbon emissions, water pollution, and landfill waste. The ecological footprint is a useful tool for assessing the sustainability of different lifestyles, economies, and regions, and for guiding decisions about resource use and conservation.

To calculate an ecological footprint, various factors are taken into account, including food consumption, energy use, transportation, housing, clothing, and other consumption patterns. For example, the amount of land required to produce the food that an individual consumes depends on their diet, the type of agriculture used, and the location of the food production. Similarly, the amount of water required to produce goods and services varies depending on the type of industry, the efficiency of water use, and the availability of water resources.

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a publicity tool that is heavily relied on by nonprofit organizations, and which involves free space or time donated by the media, is referred to as a

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A publicity tool heavily relied on by nonprofit organizations, which involves free space or time donated by the media, is referred to as a Public Service Announcement (PSA).

PSAs are typically short messages or announcements that are broadcast or published by the media, including television, radio, print, and online outlets. They are designed to raise awareness and educate the public about a particular issue, cause, or event, and to encourage people to take action or make a donation.

Nonprofit organizations often rely on PSAs as a cost-effective way to promote their mission and reach a wide audience. The media may donate free airtime or ad space for PSAs as part of their commitment to serving the public interest.

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a putable bond gives the bond holders the right a. to sell the bond back to the corporation at the original purchase price. b. to sell the bond back to the corporation at a stated premium. c. to sell the bond back to the corporation at the current market value. d. to sell the bond back to the corporation at par.

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The correct option is D.  A putable bond gives the bondholders the right to sell the bond back to the corporation at par.

A putable bond is a type of bond that gives the bondholder the right, but not the obligation, to sell the bond back to the corporation before the maturity date. The answer to your question is option b - to sell the bond back to the corporation at a stated premium. This means that the bondholder has the option to sell the bond back to the corporation at a price that is higher than the original purchase price. The stated premium is typically set at the time the bond is issued and is based on prevailing market conditions. It's important to note that the bondholder can only exercise this option if they feel that the market conditions have changed in a way that makes it advantageous for them to do so.

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The health care organization IT staff has notified the CISO that one of the new NewTab iPads® has been misplaced, though it is not known if it was lost or stolen. The NewTab information system does not have a mobile device management capability that could track and wipe the device before the sensitive data on the device can be compromised.
Create a Penetration Testing Agreement
Based on the recent incident with the NewTab information system, the CISO has been tasked with hiring a vendor to conduct independent penetration testing on the NewTab information system.
A penetration test agreement is very important to ensuring that both parties, the penetration tester and the client (your company), understand the purpose and scope of the penetration test.

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The New tab information system does not have a GPS mobile device management capability that could track and wipe the device before the sensitive data on the device can be compromised.

If a criminal steals one of your company's mobile devices belonging to a critical employee, you can put in place a combination of the following security measures to prevent data loss: Screen lock, GPS tracking, mobile device management, and asset tracking.

1. Asset tracking: By tracking and watching the equipment, you can make sure it is being utilised properly and find it if it is stolen.

2. Mobile device management (MDM): Using an MDM solution enables remote device administration, security, and monitoring, as well as the ability to lock or wipe the device in the event of theft.

3. GPS tracking: GPS tracking can be used to find and possibly recover a stolen gadget.

4. Screen lock: Making mobile devices' screens locked

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write the resource constraints for this situation: a small stereo manufacturer makes a receiver and a cd player. each receiver (x) takes eight hours to assemble and eight hours to test and ship. each cd player (y) takes 15 hours to assemble and two hours to test and ship. the profit on each receiver is $30 and the profit on each cd player is $50. there are 160 hours available in the assembly department and 22 hours available in the testing and shipping department.

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The resource constraints for the small-stereo manufacturer are 8x + 15y ≤ 160; 8x + 2y ≤ 22 ; x ≥ 0, y ≥ 0

Assembly Department Constraint: The assembly of receivers (x) takes 8 hours per unit and the assembly of CD players (y) takes 15 hours per unit. The total number of hours available in the assembly department is 160. Therefore, the constraint can be written as:

8x + 15y ≤ 160

Testing and Shipping Department Constraint: The testing and shipping of receivers (x) takes 8 hours per unit and the testing and shipping of CD players (y) takes 2 hours per unit. The total number of hours available in the testing and shipping department is 22. Therefore, the constraint can be written as:

8x + 2y ≤ 22

Non-negativity Constraint: The number of receivers (x) and CD players (y) cannot be negative. Therefore, the constraint can be written as:

x ≥ 0, y ≥ 0

These constraints ensure that the company uses the available resources efficiently and produces a combination of receivers and CD players that maximizes profit while satisfying the available resource constraints.

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A company opting to boost its sales of branded footwear by offering buyers 500 models/styles to choose from should consider reducing the $15 million annual costs for production run setup costs associated with producing 500 models/styles at each production facility by:_________

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A company opting to boost its sales of branded footwear by offering buyers 500 models/styles to choose from should consider reducing the $15 million annual costs for production run setup costs associated with producing 500 models/styles at each production facility by implementing lean manufacturing techniques.

Such as reducing setup times and increasing production efficiency, to minimize the costs and time required for each production run. Additionally, the company could consider consolidating production facilities to minimize the number of setups required for producing the 500 models/styles, or outsourcing production to lower-cost facilities to reduce setup costs. By reducing these costs, the company can improve profitability and invest in other areas of the business, such as marketing and product development, to further boost sales.

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Vera has a june credit card balance of $476. 9. Her payment due date is june 27th, with a grace period of 5 days. If her payment is late, the credit card company charges a $30 late fee. Vera wants to pay the full amount to have a zero balance. How much should she pay if her online payment is processed on july 6th?.

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Vera should pay her full June credit card balance of $476.9 on or before July 2nd to avoid the late fee and have a zero balance.

Vera's payment due date is June 27th, but she has a grace period of 5 days, which means she can make a payment without incurring any late fees until July 2nd. If she makes the payment on July 6th, she will be considered late, and the credit card company will charge her a $30 late fee. To have a zero balance, Vera needs to pay her entire June credit card balance of $476.9. So, if Vera wants to avoid the late fee and pay the full amount, she needs to make a payment on or before July 2nd. If she misses the grace period and pays on July 6th, she needs to pay $476.9 + $30 late fee, which equals $506.9.

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what is an advantage of outsourcing? (1 point) hiring more employees less control over the subject cost-effective if time is constrained losing the opportunity for internal growth

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Overall, outsourcing can help companies to improve their efficiency, reduce their costs, and focus on their core business activities, which can ultimately lead to greater profitability and growth.

Outsourcing has become a popular business strategy for many companies because it offers a number of advantages. One of the most significant advantages is that outsourcing can be cost-effective. By outsourcing certain functions or processes, companies can often reduce their operating costs significantly, as they can avoid the expenses associated with hiring and training new employees, purchasing equipment and software, and maintaining facilities. Additionally, outsourcing can help companies to be more flexible and agile, as they can quickly scale up or down their operations as needed without having to worry about managing a large workforce.

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What is the penalty for not paying estimated taxes?.

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The penalty for not paying assessed charges Installments under 31 days late are punished at 2% of the sum due and installments 31+ days late are punished at 10% of the sum due.

Concealing or Misreporting Your Income. According to Segment 271(C) of the Personal Duty Demonstration of 1961, in the event of stowing away or downplaying your pay, the punishment can be anyplace between 100 % to 300% of how much expense was expected yet not paid.

There is no penalty for recording a late return after the expense cutoff time on the off chance that a discount is expected. On the off chance that you didn't record and owe a charge, document a return straightaway and pay however much as could be expected to diminish punishments and interest.

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you deposit $4000 in an account earning 7% interest compounded continuously. how much will you have in the account in 15 years?

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In 15 years, you will have approximately $11,203.40 in the account.

To calculate how much money you will have in the account in 15 years, we can use the formula A = Pe^(rt), where A is the final amount, P is the initial deposit, e is the mathematical constant approximately equal to 2.71828, r is the interest rate, and t is the time period in years.
Plugging in the given values, we get:
A = 4000e^(0.07*15)
Simplifying this expression, we get:
A = 4000e^(1.05)
Using a calculator or computer program to approximate e^(1.05), we get:
A = 4000*2.712
A = $10,848.25

Therefore, after 15 years, you will have approximately $10,848.25 in the account.
Note that the interest is compounded continuously in this problem, which means that the interest is added to the account constantly over time, rather than being added at regular intervals (such as annually or monthly). This leads to a slightly higher final amount than if the interest were compounded at regular intervals.
Hi! To calculate the future value of your $4,000 deposit with 7% interest compounded continuously over 15 years, you can use the formula for continuous compounding: A = P * e^(rt), where A is the future value, P is the principal amount, e is the base of the natural logarithm (approx. 2.71828), r is the interest rate, and t is the time in years.

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As a group, oligopolists would always earn the highest profit if they would.

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As a group, oligopolists would always earn the highest profit if they would charge the same price that a monopolist would charge if the market were a monopoly.

The option (C) is correct.

Oligopolists create the most elevated gains when they structure a cartel that gives them the "advantage" of a Monopolist.

At the point when they meet up to settle on a choice connecting with cost and units created or provided, they can change the said factors to such an extent that it gives them more benefit than if they worked as single substances with a slight contest against one another. They procure their most elevated benefits on the off chance that they can unite as one cartel and carry on like a monopolist by diminishing results and raising costs.

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This question is not complete, Here I am attaching the complete question:

As a group, oligopolists would always earn the highest profit if they would

a. produce the perfectly competitive quantity of output.

b. produce more than the perfectly competitive quantity of output.

c. charge the same price that a monopolist would charge if the market were a monopoly.

d. operate according to their own individual self-interests.

if company wants to create a private, secure tunnel through the internet by which to share information, it is most likely relying on/using a to establish the connection T/F

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The given statement "If a company wants to create a private, secure tunnel through the internet to share information, it is most likely relying on/using a to establish the connection" is true because it is most likely relying on a Virtual Private Network (VPN) to establish the connection.

A VPN is a technology that allows secure and encrypted communication between devices, even over public networks. In a VPN, data is encrypted before being sent through the internet, ensuring that any intercepted information remains unreadable. Once the data reaches the intended recipient, it is decrypted and can be accessed securely. This method is especially beneficial for companies as it provides a secure way to share sensitive information between remote locations and employees.

VPNs use various encryption protocols, such as Internet Protocol Security (IPSec), Secure Sockets Layer (SSL), and Transport Layer Security (TLS) to protect data. In addition, VPNs can utilize different authentication methods, including passwords, digital certificates, and two-factor authentication, to further enhance security.

By employing a VPN, a company can maintain the privacy and integrity of its data while minimizing the risk of unauthorized access, data breaches, and cyber-attacks. In summary, a VPN is an essential tool for establishing secure connections and protecting sensitive information in a corporate environment.

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what is the effect on the balance sheet of recording a $200 cash purchase of raw materials? multiple choice assets decrease by $200 and stockholders' equity decreases by $200. assets and stockholders' equity do not change. assets increase by $200 and stockholders' equity increases by $200. assets increase by $200 and stockholders' equity does not change.

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On recording a $200 "cash-purchase" of "raw-materials", the effect on balance-sheet is that (b) assets and stockholders' equity do not change.

A "Balance-Sheet" is referred as a "financial-statement" which gives a summary of a company's financial position at a specific point in time.

Recording a $200 cash purchase of raw materials would result in an increase of $200 in the asset account "Raw materials" and a decrease of $200 in the asset account "Cash". These changes would offset each other, resulting in no "net-change" in the total assets of the company.

1Since there is "no-change" in the total assets of the company, there is no change in the total stockholders' equity.

Therefore, option (b) is the correct answer.

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The given question is incomplete, the complete question is

What is the effect on the balance sheet of recording a $200 cash purchase of raw materials?

(a) assets decrease by $200 and stockholders' equity decreases by $200.

(b) assets and stockholders' equity do not change.

(c) assets increase by $200 and stockholders' equity increases by $200.

(d) assets increase by $200 and stockholders' equity does not change.

in the most recent reporting period, how much profit did nike earn after recognizing the cost of inventory sold? a. $6,046. b. $14,804. c. $21,479. d. $46,710.

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$46,710 profit did Nike earn after recognizing the cost of inventory sold.

Traditionally, inventory is valued at its historical cost on a company's balance sheet. However, by using the conservative lower-of-cost-or-market approach, reductions can be made. On a retailer's balance sheet, inventory is listed as a current asset. A current asset is one that will provide income within a specific accounting term, which is typically one year.

Because it is anticipated to be sold within a fiscal or calendar year, inventory of goods qualifies. Both the products that are on hand for sale and the raw materials required to make those products are considered inventory. On the balance sheet of an organization, it is categorized as a current asset.

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1. Who were the two longest-lasting prime ministers in Canadian history? Why do you think they were so successful? 2. Does the prime minister have too much power? Why or why not? Why did Stephen Harper become so significant in the politics of Canada? Can the same conclusions be made about Justin Trudeau?

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1. The two longest-lasting prime ministers in Canadian history are William Lyon Mackenzie King and Sir John A. Macdonald.

William Lyon Mackenzie King served as the prime minister for a total of 21 years, which is the longest in Canadian history. Sir John A. Macdonald served as the prime minister for 19 years, which is the second longest in Canadian history.

They were both successful because they were skilled politicians who knew how to build strong coalitions and navigate complex political situations. They were also able to appeal to a broad range of voters and were able to implement policies that were popular and effective.
2. The prime minister does have a significant amount of power in Canada, but this power is balanced by the country's democratic institutions and the rule of law. The prime minister is the head of the government and has significant influence over policy and legislation, but the government must still operate within the confines of the Constitution and the decisions of the courts.

Stephen Harper became significant in the politics of Canada because he was able to appeal to a broad range of voters and was able to build a strong coalition within his party. He was also able to implement policies that were popular with his base, such as tax cuts and a tough stance on crime.

The same conclusions can be made about Justin Trudeau, who has also been able to build a strong coalition and has implemented popular policies such as the legalization of marijuana and the expansion of social programs. However, it remains to be seen whether he will be able to maintain this level of support over the long term.

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significant variations in accounting methods among firms make meaningful ratio comparisons between firms more difficult than if all firms used the same or similar accounting methods. T/F

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Significant variations in accounting methods among firms can make meaningful ratio comparisons more difficult than if all firms used the same or similar accounting methods. True

Accounting methods can vary depending on a firm's size, industry, and even geographic location. For example, different firms may use different inventory accounting methods, such as first-in-first-out (FIFO) or last-in-first-out (LIFO), which can lead to different financial ratios.

Additionally, differences in depreciation methods, revenue recognition, and expense recognition can also impact financial ratios. To overcome this issue, analysts often make adjustments to financial statements to standardize accounting methods and facilitate meaningful ratio comparisons.

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which of the following are rights of a copyright holder? (check all that apply) the right to distribute the work to the public. the right to prevent others from producing competitive works. the right to perform the work in public. the right to reprodu

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All of the following are the rights of a copyright holder:  1. The right to distribute the work to the public; 2. The right to prevent others from producing competitive works; 3. The right to perform the work in public; 4. The right to reproduce the work

Among the given options, the rights of a copyright holder include:
1. The right to distribute the work to the public: This means the copyright holder can control how the work is distributed, whether it's through sales, rentals, or other methods.
2. The right to perform the work in public: This allows the copyright holder to control public performances of their work, such as in concerts or plays.

The right to prevent others from producing competitive works is not a valid copyright holder's right, as copyright does not protect ideas or concepts, only the specific expression of those ideas. The last option, "the right to reproduce," appears to be incomplete, so it's unclear what right it is referring to.

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Suppose GoSports pennant monopoly is broken up and the pennant industry becomes perfectly competitive. It would be expected that the_would increase from the breakup and the would decrease from the breakup. a. producer surplus; consumer surplus and total surplus b. consumer surplus; producer surplus and total surplus C. consumer surplus and total surplus; producer surplus d. producer surplus and total surplus; consumer surplus

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If GoSports pennant monopoly is broken up and the pennant industry becomes perfectly competitive, it would be expected that the consumer surplus would increase from the breakup and the producer surplus would decrease from the breakup.

In a monopoly, the producer has the power to set prices higher than the cost of production, which results in a decrease in consumer surplus and an increase in producer surplus. However, in a perfectly competitive market, the producer has no power to set prices and has to sell at the market price, which is determined by the forces of demand and supply. This leads to a decrease in producer surplus as they can no longer charge higher prices, but an increase in consumer surplus as they can buy the product at a lower price.

Therefore, option B (consumer surplus; producer surplus and total surplus) is the correct answer as it takes into account the increase in consumer surplus and the decrease in producer surplus after the breakup of the GoSports pennant monopoly.

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the way in which the work required to produce a good or service is divided into a number of tasks that are performed by different workers.

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The way in which the work required to produce a good or service is divided into a number of tasks that are performed by different workers is known as the division of labor.

Labor refers to the physical or mental effort that individuals contribute to produce goods or services. It is one of the primary factors of production alongside capital, land, and entrepreneurship. In economic terms, labor is often measured in units of time, such as hours or days worked, and is compensated through wages or salaries.

Labor is essential for the functioning of an economy as it enables the production of goods and services, which are necessary for meeting the needs and wants of individuals and society as a whole. The type of labor required can vary depending on the industry and the specific job, ranging from manual labor such as farming or construction to more skilled labor such as engineering or medicine.

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which of the following would be the effect on the exchange rate with the chinese yuan of expansionary monetary policy? (hint: b is not correct, and d is not correct either) a an increase the exchange rate. b a decrease in the exchange rate. c an increase in exports to china. d an appreciation of the dollar. e both a and c. f both b and d.

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B, a decrease in the exchange rate. An expansionary monetary policy would increase the supply of money in the economy, leading to a decrease in the value of the currency relative to other currencies such as the Chinese yuan.

This decrease in exchange rate would make exports cheaper for other countries, including China, hence increasing exports to China. Therefore, the correct option is E, both a and c. Option D, an appreciation of the dollar, is not correct as an expansionary monetary policy would not cause the dollar to appreciate but rather to depreciate.

Expansionary monetary policy involves increasing the money supply, which can lead to lower interest rates. When interest rates are lower, it encourages borrowing and investing, which in turn can lead to a weaker currency. In this case, the Chinese yuan would decrease in value relative to other currencies (Option A).

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which type of structure works best for a differentiation strategy, a low-cost strategy, and a corporate strategy?

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When it comes to implementing a differentiation strategy, the best structure to use would be a functional structure. This type of structure groups employees based on their specific areas of expertise, which allows them to focus on their strengths and work towards achieving the goals of the strategy. By having different departments, such as marketing, research and development, and design, all working together towards the same objective, a company can create a unique product or service that stands out from its competitors.

In contrast, a low-cost strategy would benefit most from a divisional structure. This structure allows the company to create separate business units, each with its own budget and profit and loss statement. This way, each unit can focus on reducing costs and improving efficiencies in their specific area of operation, without being distracted by other departments. By streamlining operations and focusing on cost-saving measures, a company can provide goods or services at a lower price than its competitors, which can help it gain market share.

In summary, the best structure for a differentiation strategy is a functional structure, for a low-cost strategy is a divisional structure, and for a corporate strategy is a matrix structure. Each structure has its own strengths and weaknesses, so it is important for a company to choose the one that best aligns with its objectives and goals.

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The type of structure that works best for a differentiation strategy is a functional structure, which allows for a high level of specialization and expertise in each functional area.

This structure promotes innovation and creativity, which is crucial for a company to differentiate itself from its competitors. On the other hand, a low-cost strategy works best with a divisional structure, which allows for more control and efficiency in each division's operations. This structure promotes cost-cutting measures, which are essential for a company to maintain its low-cost position. Finally, a corporate strategy is best served by a matrix structure, which allows for a flexible and dynamic approach to managing multiple projects and teams. This structure promotes collaboration and cross-functional communication, which is vital for a company to achieve its corporate goals and objectives. Overall, choosing the right structure depends on the company's strategy and goals.

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Separation of duties requires that
individuals who have physical responsibility for assets should not have access to accounting records.
two employees may not work on the same project if they are related.
an employee procedures manual must be developed to describe duties.
the board of directors may not influence the decisions of the top managers.

Answers

Separation of duties requires that an employee procedures manual must be developed to describe duties.

Separation of duties is an important principle in business that helps to prevent fraud, errors, and conflicts of interest. The basic idea behind separation of duties is that individuals who have responsibility for different aspects of a business process should not be able to influence or control each other.

For example, someone who has physical responsibility for assets should not have access to accounting records, as this could allow them to manipulate the records to cover up theft or mismanagement. Similarly, two employees who are related should not work on the same project, as this could create conflicts of interest that could compromise the quality of their work. To ensure that separation of duties is maintained in a business, it is important to have clear procedures in place.

Additionally, it is important to have a strong governance structure in place, with a board of directors that is independent and able to provide oversight to the top managers. This can help to ensure that the decisions made by the top managers are based on objective criteria and are not influenced by personal relationships or other factors. Overall, the correct option is an employee procedures manual must be developed to describe duties.

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shantelle faces a risk where she has equal chance of either gaining $2,000 or losing $2,000. which of the following statements describes her view of the risk if she is risk averse?

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If Shantelle is risk-averse, she will view the risk of gaining or losing $2,000 as more significant than the potential gain itself.

Risk aversion refers to a preference for a lower level of risk even if it means sacrificing potential returns. In this case, Shantelle's risk aversion will cause her to view the potential loss of $2,000 as more significant than the potential gain of $2,000, even though the two outcomes are equally likely.

As a result, she may seek to mitigate the risk by avoiding the decision altogether or by taking actions to reduce the potential loss, such as buying insurance or diversifying her investments.

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elyse wants to calculate her return on equity but has forgotten the formula. you tell her that return on equity equals a. total assets divided by owners equity. b. net income divided by owners equity. c. owners equity divided by total assets. d. owners equity divided by net income.

Answers

Elyse's return on equity can be calculated using the formula net income divided by owners equity.


This indicates the profitability of a company's equity investments and how effectively the company is utilizing its owners' investments to generate profits. The return on equity formula measures the amount of net income generated per dollar of owner's equity invested. Therefore, it is an important metric to consider for investors and analysts when evaluating a company's financial performance. By using this formula, Elyse can determine how efficiently her investment is being used to generate profits and make informed decisions accordingly.

To find ROE, she should follow these steps:

1. Identify her net income from her financial statements.
2. Identify her owner's equity, also found on her financial statements.
3. Divide her net income by her owner's equity.

By using this formula, Elyse can accurately determine her return on equity, which will give her insight into the efficiency of her business in generating profit from her investments.

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are good examples of the limits to arbitrage because they show that the law of one price is violated. i) siamese twin companies ii) unit trusts iii) closed-end funds iv) open-end funds v) equity carve-outs

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Arbitrage is a trading strategy that involves buying an asset in one market and selling it in another market simultaneously to profit from the price difference. The law of one price states that identical assets should have the same price in different markets.

However, there are instances where the law of one price is violated due to various reasons such as market inefficiencies, information asymmetry, and transaction costs. These violations create opportunities for arbitrage, but in some cases, the limits to arbitrage prevent traders from taking advantage of these opportunities.

Now, let's look at the examples you mentioned. Siamese twin companies are two companies with identical assets and operations, but they are listed on different stock exchanges. Due to market inefficiencies, the prices of their stocks may differ, violating the law of one price. However, the limits to arbitrage, such as high transaction costs and regulatory restrictions, make it difficult for traders to exploit this price difference.

Unit trusts, closed-end funds, and open-end funds are investment vehicles that pool money from investors and invest in a portfolio of assets. The prices of their shares may deviate from their underlying net asset value due to market inefficiencies and transaction costs. However, the limits to arbitrage, such as illiquidity and regulatory restrictions, make it difficult for traders to arbitrage these price discrepancies.

Equity carve-outs occur when a company sells a portion of its subsidiary to the public through an initial public offering. The prices of the parent company's shares and the subsidiary's shares may differ due to market inefficiencies and information asymmetry. Again, the limits to arbitrage, such as high transaction costs and regulatory restrictions, make it difficult for traders to exploit these price differences.

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what's the rate of return you would earn if you paid $2,880 for a perpetuity that pays $85 per year? a. 2.42% b. 3.19% c. 3.48% d. 2.95% e. 3.04%

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Using the formula, we get rate of return, R = $85 / $2,880 = 0.0295 or 2.95%. Therefore, the correct answer is (d) 2.95%.

To calculate the rate of return on a perpetuity, we need to use the formula R = PV / PMT, where R is the rate of return, PV is the present value, and PMT is the payment per period. In this case, the PV is $2,880 and the PMT is $85 per year. So, R = $2,880 / $85 = 33.88.

This means that the rate of return is 33.88%, which is not one of the answer choices provided. However, this answer is incorrect because it assumes that the perpetuity is growing at a constant rate, which is not stated in the problem.

Therefore, we need to use a different formula to calculate the rate of return, which is R = PMT / PV.

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The per capita growth rate of a population is best defined as.

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The per capita growth rate of a population is the average rate at which each individual in the population is increasing or decreasing in number over a given time period. This is calculated by dividing the total population growth rate by the total population size.

Per capita growth rate is a key measure used in demography and ecology to describe how a population is changing over time. It takes into account the size of the population and the rate at which it is growing or declining. The formula for calculating per capita growth rate is: Per capita growth rate = (Total population growth rate) / (Total population size)

The total population growth rate is simply the change in the size of the population over a given time period, expressed as a percentage. For example, if a population of 100 individuals grows to 110 individuals over one year, the total population growth rate is 10%.

Dividing this by the total population size (100) gives a per capita growth rate of 0.1 or 10%. This means that on average, each individual in the population has increased in number by 10% over the year.

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you feel that you can save $415 per month until you retire. what apr do you have to earn in order to achieve your goal?

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To calculate the APR that you need to earn in order to achieve your goal of saving $415 per month until retirement, we first need to determine the total amount of savings that you will have at retirement. Assuming that you will retire after 30 years and that you earn a fixed APR over that period, the formula to calculate the total amount of savings is:

FV = Pmt x (((1 + r) ^ n - 1) / r)

Where FV is the future value of your savings at retirement, Pmt is your monthly savings of $415, r is the APR, and n is the number of periods in months, which is 30 years x 12 months = 360.

Plugging in the numbers, we get:

FV = $415 x (((1 + r) ^ 360 - 1) / r)

Simplifying this equation is difficult since it involves exponents, but we can use trial and error or a financial calculator to find the APR that will give us a future value of $X, where X is the amount of savings that we need at retirement.

Assuming that you want to have $500,000 in savings at retirement, we can solve for r:

$500,000 = $415 x (((1 + r) ^ 360 - 1) / r)

r = 7.45%

Therefore, you need to earn an APR of 7.45% in order to achieve your goal of saving $415 per month until retirement and having $500,000 in savings at that time. However, it's important to note that this calculation assumes a fixed APR over 30 years, which may not be realistic. It's also important to consider the impact of inflation on the value of your savings over time.

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if one nation experiences a gain in its external wealth due to valuation effects only, the other nations in the world combined will experience: no change in external wealth. an increase in the interest they earn. an equal gain since all currencies are worth more. an equal decline in external wealth.

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The other nations in the world combined will experience no change in external wealth if one nation experiences a gain in its external wealth due to valuation effects only.

External wealth refers to a nation's net foreign assets, which include its holdings of foreign currency, investments in other countries, and trade balances. Valuation effects, on the other hand, refer to changes in the exchange rate of a nation's currency relative to other currencies.

Valuation effects refer to changes in the value of a country's external assets and liabilities due to fluctuations in exchange rates, interest rates, and other market factors. When one country's external wealth increases because of these effects, it means that the value of its assets has risen relative to the value of the liabilities.

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