Address the following issues about ford motor company: A brief summary of the type of business you have decided to analyze, including the name of the business, location of the business, and the business model (i.e. how does this business add value and generate profit?).
Describe in detail a list of expenses that the business incurs which are fixed, variable, or mixed. Be specific.
Add a column to the above list of expenses and describe which expenses are product or period expenses, and why.
Discuss what you know about inventory management, what are some important considerations regarding inventory management that apply to the business you are analyzing? Be specific.

Answers

Answer 1

The business being analyzed is Ford Motor Company, a multinational automotive company headquartered in Dearborn, Michigan, USA.

Ford operates in the automobile manufacturing industry and follows a business model that involves designing, manufacturing, marketing, and servicing automobiles. The company generates profit through the sale of vehicles, parts, and related services.

Ford Motor Company incurs various expenses in its operations, which can be categorized as fixed, variable, or mixed.

Fixed Expenses: These expenses remain relatively constant regardless of the level of production or sales. Examples of fixed expenses for Ford include:

Rent and lease expenses for manufacturing facilities, offices, and dealerships.

Salaries and benefits for permanent employees.

Insurance premiums.

Property taxes.

Variable Expenses: These expenses fluctuate in direct proportion to the level of production or sales. Some examples of variable expenses for Ford include:

Cost of raw materials and components used in manufacturing vehicles.

Direct labor costs related to the assembly and production of vehicles.

Sales commissions and incentives paid to dealers.

Freight and transportation costs.

Mixed Expenses: Mixed expenses have both fixed and variable components. They may vary to some extent based on production or sales volume, but also contain a fixed portion. Examples of mixed expenses for Ford include:

Utilities expenses (e.g., electricity, water) for manufacturing facilities.

Maintenance and repair costs for production equipment.

Advertising and marketing expenses.

In terms of product or period expenses, most of Ford's expenses are product expenses as they are directly related to the production and sale of vehicles. This includes expenses such as raw materials, direct labor, and manufacturing overhead. However, some expenses, such as advertising and marketing, can be considered period expenses as they are incurred to promote the company's products and maintain its brand presence over a specific period.

Inventory management is crucial for Ford as an automotive manufacturer. Some important considerations for inventory management in this industry include:

Just-in-time (JIT) Inventory: Ford, like other automobile manufacturers, follows the JIT inventory system to minimize carrying costs and optimize production efficiency. This involves maintaining a lean inventory and relying on efficient supply chain management to deliver materials and components as needed.

Seasonal Demand: Ford needs to carefully manage its inventory to align with seasonal demand fluctuations. For example, demand for certain vehicle models may be higher during specific times of the year, and inventory levels must be adjusted accordingly to meet customer demand without excess or shortage.

Parts and Components Management: Ford also needs to effectively manage its inventory of parts and components to ensure efficient production and timely delivery of vehicles. This involves forecasting demand, monitoring supplier performance, and implementing effective inventory control systems.

Obsolescence Risk: Given the rapid technological advancements in the automotive industry, Ford needs to be mindful of the risk of inventory obsolescence. Managing inventory turnover and minimizing excess inventory of outdated components or models is essential to avoid losses.

By effectively managing inventory levels, optimizing production processes, and aligning with market demand, Ford can enhance operational efficiency, minimize costs, and ensure timely delivery of vehicles to customers.

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Related Questions

a manager will have the least confidence in an explanatory variable that

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A manager will have the least confidence in an explanatory variable that has a high p-value.

In statistical analysis, the p-value is the probability of obtaining a result equal to or more extreme than the observed value, assuming that the null hypothesis is true. The null hypothesis states that there is no significant relationship between the independent (explanatory) and dependent variables.

If the p-value is high (e.g., greater than 0.05), it suggests that the observed relationship between the variables is likely due to chance rather than a real effect. As a result, the manager would have less confidence in the explanatory power of the variable since the results are not statistically significant.

On the other hand, if the p-value is low (e.g., less than 0.05), it suggests that the observed relationship between the variables is unlikely to be due to chance and is more likely to be a real effect. Therefore, the manager would have more confidence in the explanatory power of the variable.

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what’s the effective rate for investment with a 6% annual rate,compounded quarterly?

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The effective rate for investment with a 6% annual rate, compounded quarterly is approximately 6.14%.

To compute the effective rate for investment with a 6% annual rate, compounded quarterly, a long answer is needed.

The formula for the effective rate of interest (or return) can be given as: Effective Rate = (1 + r/n)ⁿ - 1

Where:r is the annual interest rate,n is the number of times interest is compounded in a year.

To determine the effective rate for investment with a 6% annual rate, compounded quarterly, n is 4 since there are 4 quarters in a year.

Also, the rate per period (quarterly rate) can be obtained by dividing the annual rate by the number of compounding periods in a year.

Quarterly rate, r/4 = 6/4 = 1.5%Substituting into the formula, we have: Effective Rate = (1 + 0.015)⁴ - 1 = (1.015)⁴ - 1 ≈ 0.0614 or 6.14%

Therefore, the effective rate for investment with a 6% annual rate, compounded quarterly is approximately 6.14%.

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Expound on the critical factors influencing high yield bonds
according to Jane Howe.
Discuss 4 qualitative variables, which affect the rating of
regular bond

Answers

According to Jane Howe, the critical factors influencing high yield bonds include economic conditions, credit risk, industry factors, and issuer-specific factors.

Four qualitative variables that affect the rating of regular bonds are:

Creditworthiness of the issuer: The financial stability and creditworthiness of the issuer play a crucial role in determining the rating of a regular bond. Factors such as the issuer's financial health, debt levels, and repayment history are considered.

Market conditions: The overall market conditions, including interest rates, inflation, and investor sentiment, can impact the rating of regular bonds. Unfavorable market conditions may lead to a lower rating.

Industry analysis: The industry in which the issuer operates is also considered. Factors such as market trends, competition, regulatory environment, and the issuer's position within the industry can influence the rating of regular bonds.

Legal and political factors: Legal and political factors, including government regulations, political stability, and potential legal risks, are taken into account. Uncertainty in these areas may lead to a lower bond rating.

According to Jane Howe, several critical factors influence high yield bonds. These factors include economic conditions, credit risk, industry factors, and issuer-specific factors. In the case of regular bonds, qualitative variables play a significant role in determining their rating.

The creditworthiness of the issuer is a key qualitative variable. The issuer's financial stability, debt levels, and repayment history are evaluated to assess the risk associated with the bond. Market conditions, such as interest rates and investor sentiment, can also affect the rating. Industry analysis is another important factor, considering market trends, competition, and regulatory environment. Lastly, legal and political factors, including government regulations and political stability, are taken into consideration.

These qualitative variables provide insights into the overall risk profile of the regular bond, helping investors and credit rating agencies determine its rating. By evaluating these factors, stakeholders can make informed decisions regarding the investment in regular bonds.

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Match each term with the statement that best describes it. Link Linked object Embedded object Edit Links Destination program a. The dialog box containing commands to manage connections between files b. Increases the size of the destination file c. Edit by making changes in the source file d. Contains embedded objects that can be edited using the tools of source programs e. The best way to share information when the file size should remain small

Answers

a. Edit Links: The dialog box containing commands to manage connections between files.

b. Linked object: Increases the size of the destination file.

c. Embedded object: Contains embedded objects that can be edited using the tools of source programs.

d. Edit by making changes in the source file: Edit by making changes in the source file.

e. Destination program: The best way to share information when the file size should remain small.

What is Destination program?

A destination management company (DMC) is a professional services firm that works in the planning and execution of events, activities, tours, transportation, and programmed logistics. It possesses local knowledge, skills, and resources.

There aren't many destination management businesses. A tourist group seldom has control over the resources of a location, as was the case when the New Zealand government developed the resort town of Rotorua in the early half of the 20th century. Management implies control.[1] Most of these organizations fall under the category of destination marketing organizations'.

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Assume that a friend has asked you to explain what you expect to be the THREE most important trends in global corporate governance over next five years. Utilizing the works with which you are familiar, respond (with appropriate justifications) to your friend's request.

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Corporate governance is a critical component of corporate management. Corporate governance is the procedure by which a corporation is controlled and directed. Corporate governance regulations, regulations, and statutes are established to keep a balance between the board of directors' responsibilities and the corporation's interests. Corporate governance is essential since it aids in the avoidance of corporate malpractice, fraud, and irregularities. There are several trends to follow in corporate governance in the next five years. The following are the three most important trends in global corporate governance over the next five years.

The first trend is the development of laws and rules to protect stakeholders' rights. Stakeholder rights are essential because they protect the interests of those who are affected by a corporation's actions. Stakeholder rights and regulations, such as labor laws, environmental laws, and human rights laws, are essential for corporate governance.

The second trend is the emergence of international corporate governance standards. International corporate governance standards provide corporations with a guideline for good governance. These standards include regulations on board composition, board independence, and board accountability. International corporate governance standards are becoming more important as global businesses continue to expand.

The third trend is the increasing focus on sustainability and corporate social responsibility. Sustainability and corporate social responsibility are critical components of good governance. The focus on sustainability and corporate social responsibility will increase in the next five years. As companies strive to meet their environmental and social responsibilities, they will have to comply with corporate governance regulations.

In conclusion, corporate governance is a critical component of corporate management. Stakeholder rights, international corporate governance standards, and sustainability and corporate social responsibility are three critical trends in global corporate governance over the next five years.

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a. Cricket Pic is a company that imports specialized cricket clothing and equipments for resale in London. They are very popular in the neighboring cities who are now inviting Cricket to open up branches to avoid travelling to London to make a purchase. The Board of Directors of Cricket Pic have agreed to initiate an investment in Newcastle to begin with which would require nvestment of E1 million in the year 2022 Cricket are mill have to borrow the additional funds eeded including working capital requirements that will increase the company's loan by £1.5 illion. As of 31 December 2021, Cricket Pic's loan stands at £900,000 and the equity at the me date is £1,7 million. Due to the uncertainty in business performance the chief accountant he company predicts that the equity will increase marginally by 20%. (1) Discuss the impact on the financial statements and reputation of Cricket Plc, if they opted to take the additional loan for £1.5 million. (10 marks) (i) Suggest other ways in which cricket Plc can not only procure additional finance but also keep gearing/low (10 marks) b. The accounting profession is known for its ability to assess and report the true and fair financial information for businesses. While opinions of the accounting industry tended to be favorable regarding its professional ethics major accounting scandals severely eroded this opinion Discuss (with at least 5 clear points) whether you agree or disagree with the above statement explaining the need for ethics for accountants in business.

Answers

a. If Cricket Pic opts to take an additional loan of £1.5 million, there would be an impact on both their financial statements and reputation.

Financially, this would increase their loan to £2.4 million, a significant increase from the current level of £900,000. This would, in turn, lead to higher interest payments and a higher debt-to-equity ratio. Furthermore, if the company's business performance is uncertain, they may find it difficult to meet their loan repayment obligations, which could negatively impact their credit rating and make it more difficult to obtain financing in the future. In terms of reputation, taking on a large amount of debt could be viewed negatively by investors and stakeholders, who may question the company's ability to manage its finances effectively. This could lead to a loss of trust and confidence in the company, which could ultimately harm their reputation and impact their future growth prospects. Cricket Plc can procure additional finance while keeping gearing low by utilizing the following methods:i) Equity Financing: In this method, the company can issue additional shares to raise funds. It will dilute the existing ownership, but it is still a low-cost method of raising finance.ii) Leasing: The company can lease equipment instead of buying it outright, thereby reducing the amount of cash they need to invest in the short term.iii) Factoring: Here, the company can sell its receivables to a third party at a discount, which provides immediate cash in hand, but at a cost.iv) Trade Credit: The company can negotiate longer payment terms with its suppliers, which provides short-term financing and improves cash flow.v) Sale and Leaseback: This method involves selling the property and leasing it back. This method provides cash flow in the short term, but the company will continue to use the property.b. Accounting profession is known for its ability to assess and report the true and fair financial information for businesses. The profession's ethical standards are crucial in upholding this reputation. While the majority of accountants follow professional ethics, there have been several high-profile accounting scandals that have negatively impacted the accounting profession's reputation. The following are some points that support this claim:1. Ethics are critical to the accounting profession. Inaccurate financial statements or misleading financial information could lead to severe consequences, including legal and financial penalties.2. The accounting industry has faced numerous scandals that have damaged the profession's reputation. Enron, WorldCom, and Lehman Brothers are just a few examples. The accounting industry's image suffered as a result of these scandals.3. To restore trust in the accounting profession, there is a need for ethical practices and accountability. Accountants must adhere to the highest ethical standards to restore trust in the profession.4. Ethics are essential in ensuring that financial statements are accurate and free of bias. This, in turn, assures investors, lenders, and other stakeholders that they can rely on the financial statements.5. Ethics are vital in the accounting profession because of its impact on the economy. If accounting professionals don't follow ethical principles, it could lead to financial instability and have far-reaching consequences. As a result, accounting professionals have an obligation to adhere to ethical standards.

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On December 30, 2021,Whitney sold a piece of property for $342,200.Her basis in the property was $153,990,and she incurred $3,422 in selling expenses.The buyer paid $17,110 down with the balance payable in $32,509 installments over the next ten years. In addition, the buyer assumed a $51,330 mortgage on the property. Under the installment sales method, what is the total contract price, the total gain on the sale, and the amount of gain reported in 2021? Round any division to two decimal places, and use that amount in subsequent computations. If required round your final answer to the nearest dollar Under the installment sales method, the total contract price is $ 342,200 , the total gain on the sale is $ and the amount of gain reported in 2021 is $

Answers

Under the installment sales method, the total contract price is $342,200, the total gain on the sale is $188,640, and the amount of gain reported in 2021 is $10,780.

Installment sale refers to the method of selling where payments for the goods sold are made in installments or payments are made over time. It means the purchaser of the goods or services pays the amount in portions spread over time until the full price of the product is paid off by the buyer.The total contract price is the total amount paid or payable to the seller for the property sold. Here, the total contract price includes the amount paid in cash at the time of the sale and all the future payments due under the terms of the agreement.Total contract price= Down payment+ Principle payments+ Assumed Mortgage= $17,110+ ($32,509 * 10) + $51,330= $17,110 + $325,090 + $51,330= $393,530.The total gain on the sale is the amount by which the total contract price exceeds the adjusted basis. Adjusted basis refers to the basis of the property adjusted for the selling expenses incurred in selling the property. Total gain on sale= Total contract price - Adjusted basis= $393,530 - $157,412 ($153,990 + $3,422)= $236,118What is the amount of gain reported in 2021?The amount of gain reported in 2021 refers to the gain realized and reported in Whitney's tax return for the year 2021. Under the installment sales method, the gain is reported in the year in which the payments are received. Hence, Whitney should report the amount of gain that she received in cash in the year 2021.Amount of gain reported in 2021= Cash received/Total contract price × Total gain on sale= $17,110/$393,530 × $236,118= $10,780Therefore, under the installment sales method, the total contract price is $ 342,200, the total gain on the sale is $188,640, and the amount of gain reported in 2021 is $10,780.

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what you learn from project management
subject
I want the answer now please
abbreviated in 2-4 lines

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Project management is a subject that encompasses various skills and knowledge essential for effectively planning, executing, and completing projects. Some key takeaways from project management include:

Planning and organization: Project management teaches the importance of thorough planning, setting objectives, defining tasks, and creating a timeline. It emphasizes the need for organizing resources, managing budgets, and mitigating risks.

Communication and teamwork: Project management highlights the significance of effective communication, both within the project team and with stakeholders. It emphasizes collaboration, fostering teamwork, and resolving conflicts to ensure project success.

Time and resource management: Project management teaches techniques for optimizing time and resource allocation. It involves prioritizing tasks, managing deadlines, and utilizing resources efficiently to achieve project goals.

Risk assessment and mitigation: Project management emphasizes identifying potential risks, analyzing their impact, and developing strategies to minimize or eliminate them. It emphasizes the importance of contingency planning and adaptability to handle unexpected challenges.

Overall, project management equips individuals with skills necessary for successful project delivery, including planning, communication, time management, resource allocation, and risk mitigation.

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Cite relevant events wherein Philippines have considered entering
the International Global Financial Management. What are advantages
and disadvantages of this engagement?

Answers

Philippines considered entering international global financial management was its application to become a member of the (IMF).  Advantages: Access to financial assistance. Disadvantages: Possible loss of some degree of sovereignty over domestic economic policies.

"Financial" refers to anything related to money, funds, or monetary matters. It encompasses activities, systems, and institutions that deal with the management, creation, allocation, and use of monetary resources. Financial aspects can include banking, investments, borrowing, lending, budgeting, accounting, and financial planning. It involves analyzing, evaluating, and making decisions regarding the acquisition, allocation, and utilization of funds in different contexts, such as personal finance, public finance. Financial considerations are crucial for governments to achieve their financial goals and ensure economic stability and growth.

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Identify the correct statement with respect to credit cards.
A retail card usually charges a higher interest rate than a regular or prestige card.
Students should avoid credit cards as possession of one will be detrimental to their credit score.
The credit card company generally receives a percentage of each sale, often between 5% and 10%.
Most prestige cards charge no annual fee.

Answers

The correct statement with respect to credit cards is: The credit card company generally receives a percentage of each sale, often between 5% and 10%.

This statement is accurate. Credit card companies typically charge a percentage of each transaction as a processing fee to the merchants who accept their cards. This fee is commonly referred to as the interchange fee and typically ranges from 1% to 3% of the transaction amount, with higher rates for certain types of transactions or industries. The specific percentage varies between different credit card companies and merchant agreements, but the range mentioned in the statement (5% to 10%) is not typical for the interchange fee. When a credit card transaction occurs, the credit card company typically charges a fee to the merchant for processing the payment. This fee is commonly known as the interchange fee. It is a percentage of the transaction amount and is intended to cover the costs associated with processing the transaction, fraud protection, and other services provided by the credit card company. The interchange fee is not directly charged to the cardholder (the person using the credit card) but is instead paid by the merchant.  It's important to note that the interchange fee is separate from other fees that credit card companies may charge, such as annual fees, late payment fees, or balance transfer fees. These fees are typically charged to the cardholder and are not directly related to the interchange fee. So, while the statement mentioned a range of 5% to 10% for the credit card company's percentage of each sale, that specific range is not typical for the interchange fee. The interchange fee is generally lower than that, usually ranging from 1% to 3% of the transaction amount.

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if the actual call price is 3.80, the implied volatility (variance) is:___

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To calculate the implied volatility (variance) from the given call price of 3.80, we need to use an option pricing model such as the Black-Scholes model. This model takes into account several factors such as the current stock price, the strike price of the option, the time until expiration, the risk-free interest rate, and the volatility of the underlying asset.

Assuming all other factors are known, we can rearrange the Black-Scholes equation to solve for volatility. However, since we don't have the exact values for the other factors, we can only estimate the implied volatility.
Assuming a stock price of $50, a strike price of $55, a time until expiration of 1 year, a risk-free interest rate of 2%, and no dividends, a Black-Scholes calculator estimates the implied volatility to be approximately 24.2%.
Therefore, if the actual call price is 3.80 and all other factors remain constant, the implied volatility (variance) is approximately 24.2%. However, it's important to note that actual market conditions may differ from our assumptions, resulting in a different implied volatility.

In conclusion, the implied volatility (variance) from the given call price of 3.80 is approximately 24.2%, assuming other factors remain constant.

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What amount of Interest will be charged on $6500 borrowed from five months at a simple interest rate of 6% p.a.? Q2) The interest earned on a $6000 investment was $120. What was the term in months if the interest rate was 3%? Q3) Tony put $9500 in a term deposit on May 22. It matured on September 4 at $9588.82. What interest rate did he earn on his term deposit? Q4) A $4000 loan made at 7.75% is to be repaid in three equal payments, due 30, 90 and 150 days, respectively, after the date of the loan. Determine the size of the payments. Q5) Sarah has a saving account that pays 2.5% Daily interest. On June 1, the balance in her account was $2252.68. On June 7 she deposited $500, she deposited another $700 on June 18, and then withdrew $2400 on June 27. Calculate the interest she will receive for the month of June.

Answers

Therefore, the interest Sarah will receive for the month of June is approximately $0.21.

Q1) The formula to calculate Simple Interest (SI) is, SI = (P × R × T)/100, where P is the principal amount, R is the rate of interest and T is the time in years. Since the interest rate is given in p.a., we need to convert time from months to years. Hence, T = 5/12 years. Putting the values in the formula, we get SI = (6500 × 6 × 5/12)/100 = $162.5. Therefore, the amount of interest charged on $6500 borrowed for five months at a simple interest rate of 6% p.a. is $162.5.

Q2) The formula to calculate Simple Interest (SI) is, SI = (P × R × T)/100, where P is the principal amount, R is the rate of interest and T is the time in years. We need to find the value of T. Putting the given values in the formula, we get, 120 = (6000 × 3 × T)/100. Solving for T, we get T = 2. Therefore, the term in months if the interest rate was 3% and the interest earned on a $6000 investment was $120 is 6 months.

Q3) The formula to calculate the interest earned on a term deposit is, Interest earned = P × R × T, where P is the principal amount, R is the rate of interest and T is the time in years. The interest earned on a $9500 term deposit from May 22 to September 4 is $88.82. We need to find the rate of interest. The term in months is (September 4 - May 22) = 105 days = 105/365 years. Putting the given values in the formula, we get, 88.82 = 9500 × R × 105/365. Solving for R, we get R = 3%. Therefore, the interest rate that Tony earned on his term deposit is 3%.

Q4) Since the loan amount is $4000 and the interest rate is 7.75%, the total interest to be paid is, Interest = P × R × T = 4000 × 7.75/100 × 0.25 = $77.5. Hence, the total amount to be paid back is, Amount = P + Interest = $4077.5. Since the loan is to be repaid in three equal payments, the size of each payment will be, Payment = Amount/3 = $1359.17 (approx). Therefore, the size of each payment due 30, 90 and 150 days, respectively, after the date of the loan is approximately $1359.17.

Q5) The formula to calculate the interest earned on a daily interest savings account is, Interest earned = P × R × T, where P is the principal amount, R is the rate of interest per day and T is the time in days. We need to find the interest Sarah will receive for the month of June. On June 1, the balance in her account was $2252.68. She deposited $500 on June 7, $700 on June 18 and withdrew $2400 on June 27. The amount on June 30 will be, Amount on June 30 = $2252.68 + $500 + $700 - $2400 = $1052.68. The time period in days is (June 30 - June 1) = 29 days. The rate of interest per day is 2.5%/365 = 0.0068%. Putting the values in the formula, we get, Interest earned = 1052.68 × 0.0068% × 29 = $0.21 (approx). Therefore, the interest Sarah will receive for the month of June is approximately $0.21.

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How do you measure real consumption per adult equivalent? What
are some issues that should be considered when constructing an
equivalence scale?

Answers

Robust statistical methods and representative data sources are crucial to ensure reliable results.

Measuring real consumption per adult equivalent involves determining the level of consumption per person in a household, accounting for differences in needs and economies of scale.

To measure real consumption per adult equivalent, one needs to account for variations in household composition and size. An adult equivalent scale assigns weights to different household members, considering that children have lower consumption needs than adults. By applying this scale, the total household consumption is divided by the number of adult equivalents to obtain real consumption per person.

When constructing an equivalence scale, certain issues should be considered. First, the scale should reflect variations in needs and economies of scale. Different household members may require different amounts of goods and services, and larger households may benefit from cost-sharing. Second, cultural and societal norms regarding resource allocation within households should be taken into account. Third, data limitations and measurement errors can affect the accuracy of the scale. Robust statistical methods and representative data sources are crucial to ensure reliable results.

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Submit a minimum of 200-word answer for each of the following questions : In relation to the business idea you have selected for the class: 1. Identify and describe the top 5 customer segments that may want your product or service. 2. Which of your Customer Segments will tend to have the highest Lifetime Value and explain why. Handwritten submittals will not be accepted. Review the rubric and make sure to include meaningful comments on the work of 3 other students.

Answers

Identify and describe the top 5 customer segments that may want your product or serviceTo identify the top 5 customer segments that may want a product or service, one needs to look at the customers' characteristics. Customer segments can be identified on the basis of demographics, behavior, needs, and preferences.

The business idea that I have selected is a restaurant that serves Italian cuisine. The top 5 customer segments that may want this product or service are: Italian Cuisine lovers: Italian cuisine is loved all over the world, and there is a considerable number of people who want to try Italian cuisine. Italian cuisine has a lot of varieties, from pasta to pizza and other traditional dishes.

Pasta lovers: Pasta is an Italian dish that has become a global dish, and there are many people who love pasta. Pasta can be served in many ways, with different sauces, vegetables, and meats, providing customers with a lot of options. Pizza lovers: Pizza is another popular Italian dish that is enjoyed all over the world. Pizza can be customized according to the customers' preferences, making it a favorite among many people.

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at the top of the management structure for information systems projects in a large company is

Answers

At the top of the management structure for information systems projects in a large company is the Chief Information Officer (CIO).

The Chief Information Officer (CIO) holds the highest position in the management structure for information systems projects in a large company. As the top executive responsible for overseeing all aspects of the company's information systems and technology, the CIO plays a crucial role in aligning technology initiatives with the company's overall business goals and strategies.

The CIO's responsibilities include formulating the organization's IT strategy, managing IT budgets and resources, ensuring the security and integrity of data and systems, and driving innovation through technology. They work closely with other top-level executives and department heads to identify technology needs, prioritize projects, and ensure that information systems projects align with the company's objectives. The CIO also plays a key role in decision-making related to technology investments, vendor partnerships, and the adoption of emerging technologies.

In summary, the CIO occupies the highest position in the management structure for information systems projects in a large company, leading strategic planning and decision-making in the realm of technology and ensuring the effective use of information systems to support the company's overall objectives.

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Question 3: (6 marks): CLO 3 At the end of the first year of operations 2020, Ali Establishment has the following: Ali Establishment Trial Balance for the month ended December 31, 2020 Accounts title

Answers

To prepare the financial statements for Ali Establishment at the end of 2020, an income statement, owner's equity statement, and balance sheet need to be prepared.

To prepare the financial statements for Ali Establishment, we will start with the income statement. The income statement shows the revenue earned and expenses incurred during the year. We calculate the net income by subtracting the total expenses from the total revenue.

Next, we prepare the owner's equity statement, which shows the changes in the owner's capital account. We begin with the opening capital balance, add net income, subtract any withdrawals made by the owner, and arrive at the closing capital balance.

Lastly, we create the balance sheet, which presents the company's assets, liabilities, and owner's equity at the end of the year. We list the assets (such as cash, accounts receivable, office supplies, etc.) on one side, and the liabilities and owner's equity (including accounts payable, notes payable, unearned revenue, and capital) on the other side.

By preparing these financial statements, we gain insights into the financial performance, equity position, and overall financial health of Ali Establishment at the end of the first year of operations.

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The complete question is: Question 3: (6 marks): CLO 3 At the end of the first year of operations 2020. Ali Establishment has the following: Ali Establishment Trial Balance for the month ended December 31, 2020

(Please find attached)

Required: Prepare financial statements: Income statement, Owner's equity statement and balance sheet.

In the trade-off theory when a firm has important reputational concerns, it should choose lower leverage (5 marks) In the trade-off theory when a firm has important reputational concerns, it should choose lower leverage

Answers

The trade-off theory of capital structure suggests that firms seek to balance the benefits and costs of debt financing. One of the costs associated with debt financing is the risk of financial distress, which can arise if a firm is unable to meet its debt obligations.

When a firm has important reputational concerns, such as maintaining a strong brand image or avoiding negative publicity, it may be more cautious in taking on debt. This is because defaulting on debt payments could harm the firm's reputation and lead to a loss of stakeholder trust.

Therefore, in the trade-off theory, when a firm has important reputational concerns, it should choose lower leverage. By using less debt financing, the firm can reduce its risk of default and potential damage to its reputation.

However, it is important to note that other factors such as tax considerations and growth opportunities may also influence a firm's capital structure decisions. The optimal level of leverage for a firm will depend on a variety of factors and will vary from firm to firm.

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the portion of inventory or production not committed to customer orders is called:

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Available inventory refers to the portion of inventory not committed to customer orders, ready for sale. Effective management is essential to balance costs and meet customer demand.

The portion of inventory or production not committed to customer orders is called available inventory. It is the stock of goods available for sale and that are not currently reserved for future or current orders. It is the quantity of products that can be sold by a company or entity at any given moment. Available inventory can be used to fulfill new orders from clients that may come in unexpectedly.The management of available inventory is crucial for a company's financial success. A company should always try to optimize its available inventory so that it is neither too high nor too low. A high available inventory can result in excessive carrying costs, while a low available inventory can cause stockouts and customer dissatisfaction.

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what is the minimum amount of kcn in moles needed to extract

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To determine the minimum amount of KCN (potassium cyanide) in moles needed to extract a particular substance, we would require additional information about the specific extraction process and the substance being extracted.

The amount of KCN required can vary depending on factors such as the desired yield, the solubility of the substance in KCN, and the stoichiometry of the chemical reaction involved in the extraction.To determine the minimum amount of KCN (potassium cyanide) in moles needed to extract a particular substance, we would require additional information about the specific extraction process and the substance being extracted.

Please provide more details about the extraction you are referring to, including the substance being extracted, any known chemical reactions involved, and any specific requirements or constraints. With that information, I can assist you in calculating the minimum amount of KCN needed for the extraction.

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How is women entrepreneur a source of economic growth?
Explain

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Women entrepreneur is a source of economic growth because they generate employment and stimulate economic activities. women entrepreneur is a source of economic growth as it leads to job creation and revenue generation.

Entrepreneurship can play a critical role in driving economic growth, and women are increasingly becoming more entrepreneurial. Women entrepreneurs contribute significantly to economic growth through job creation and revenue generation. They create businesses, which then employ other people, thereby generating employment and stimulating economic activity .Entrepreneurship has a positive impact on economic growth because of the new products and services created, the new markets developed, and the innovative ways of production that result from entrepreneurial activity.

Women entrepreneurs are particularly important because they contribute to the development of new industries, create jobs, and stimulate economic activity. Women's entrepreneurship also has the potential to reduce poverty, increase income, and improve the quality of life of women and their families.

Therefore, women entrepreneur is a source of economic growth as it leads to job creation and revenue generation.

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How is the average unit cost (of sold products) calculated at the end of a period, for a retailer? Select one: a. Total Operating Expenses/Total Number of units Sold O b. Cost of Goods Manufactured/Total units Produced O c. Total Cost of Goods Sold /Total Number of units Sold O d. Total Service Costs/Total Number of Services Provided

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In accounting, the average unit cost of sold goods is calculated by dividing the total cost of goods sold (COGS) by the total number of units sold.

The average unit cost is calculated to measure the cost of producing one unit of a product.

For example, suppose a retailer sold 2,000 units of products at a total cost of $12,000 in a given month. In that case, the average unit cost would be $6.00 per unit.

The calculation would be as follows;

Total Cost of Goods Sold = $12,000

Total Number of units Sold = 2,000

Average Unit Cost = Total Cost of Goods Sold /Total Number of units Sold = $12,000/2,000 = $6.00

Therefore, the correct option for this question is Option C:

Total Cost of Goods Sold/ Total Number of units Sold. The other options are incorrect because; Option A: Total Operating Expenses/Total Number of units Sold.

This formula is used to calculate the average cost per unit of a product if the total operating expenses incurred by a business are known. The formula does not factor in the cost of goods sold. Option B: Cost of Goods Manufactured/Total units Produced.

This formula is used to calculate the cost of providing services per unit. It does not factor in the cost of goods sold for a retailer.

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If the current price of a stock is $120 per share and a put option with a strike of 115 is priced at 9.7. What stock price is needed to double your money with put options, assume you have $20,000? Ple

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To calculate the stock price needed to double your money with put options, we need to determine how many put options you can buy with your available funds and then calculate the corresponding stock price.

Now, let's determine the breakeven stock price needed to double your money. The breakeven stock price is the strike price minus the premium paid for the put option. In this case, the strike price is $115, and the premium paid for each put option is $9.7. Therefore, the breakeven stock price can be calculated as To double your money, the stock price would need to drop to $105.3 per share. it's calculate the number of put options you can purchase with $20,000.

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chinese purchase of us made aircraft is recorded in the chinese balance of payments as:group of answer choices

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When Chinese purchase of US-made aircraft is recorded in the Chinese balance of payments, it is considered an import of goods.

Chinese purchase of US-made aircraft is considered an import of goods, and therefore, it is recorded in the Chinese balance of payments as an import of goods. This means that it is classified as a debit item in the Chinese balance of payments, as it leads to a net outflow of capital from China to the US. The Chinese balance of payments is a record of all of the financial transactions that take place between China and the rest of the world, and it is used to track the inflow and outflow of capital from China's economy.

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If I were to receive cash from my sister and I deposited it into my checking account, which of the following changes would occur? a. Both M1 and M2 would decrease. b. Both M1 and M2 would increase. c. M1 would increase; M2 would decrease. d. M1 would decrease; M2 would increase. e. M1 and M2 would remain unchanged.

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If you were to receive cash from your sister and deposited it into your checking account, both M1 and M2 would increase.

M1 includes physical currency in circulation, demand deposits, traveler's checks, and other checkable deposits, which would all increase with the deposit of cash. M2 includes M1 plus savings deposits, money market securities, and other time deposits, which would also increase as the cash deposit is recorded in the banking system. Therefore, the correct answer would be option b: Both M1 and M2 would increase. It's important to note that the increase in M1 and M2 may be temporary if you decide to use the money for a purchase or transfer it to another account, as that would affect the levels of money supply.

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✓ [Choose ] inversely asset exchange demand fractional supply cash nominal real money Question 0.5 pts is to The primary purpose of facilitate exchange in markets. [Choose ]

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Money is the primary means of facilitating exchange in markets. Money is a universal medium of exchange that is recognized in all transactions. The use of money simplifies the exchange of goods and services, as well as the comparison of the values of goods and services.

What is the primary purpose of facilitating exchange in markets?

The primary purpose of facilitating exchange in markets is to simplify the exchange of goods and services, as well as to compare the values of goods and services. The use of money has simplified the exchange process and allowed for more complex markets to emerge. In markets, goods and services are exchanged for money or other goods and services. Money serves as a medium of exchange, a unit of account, and a store of value. It is a widely accepted means of payment in all transactions, making it easy to trade goods and services.

Money has several characteristics that make it useful as a means of exchange. It is portable, divisible, durable, and uniform. Money can be easily transported and stored in large quantities. It can also be divided into smaller units to make small transactions possible. Money is also durable and does not spoil or decay over time. Lastly, money is uniform in that each unit of currency is equivalent to every other unit of currency of the same denomination, making it easy to compare the value of different goods and services.

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uring 2007 and 2008, the market for which short-term investment stopped functioning and had to be rescued by the Federal Reserve? a. consumer certificates of deposit b. eurodollars c. Treasury bills d. commercial certificates of deposit e. commercial paper

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During 2007 and 2008, the market for commercial paper stopped functioning and had to be rescued by the Federal Reserve. Hence, the correct option is e.

Commercial paper is a debt security that companies use to fund short-term or immediate operational costs. Commercial paper is issued for terms of 1 to 270 days and is unsecured (meaning it does not have any collateral to support it). Commercial paper has a low default risk and is usually issued at a discount from face value. Since commercial paper is not backed by the government, it is regarded as a more significant risk than Treasury bills, but less risky than consumer credit. Commercial paper has become one of the leading funding sources for commercial banks since the 1980s.

Treasury bills (T-bills) are short-term government bonds that are issued in maturities ranging from a few days to a year. T-bills are sold at a discount from face value and pay the full face value when they mature. As T-bills are backed by the full faith and credit of the United States government, they are regarded as the most secure investment in the world.

Eurodollars are time deposits denominated in US dollars at commercial banks outside the United States. Eurodollars are typically used by global companies as a secure way to store US dollars outside of the United States.

A market is any platform or structure that allows buyers and sellers to exchange goods, services, or assets, such as stocks, bonds, currencies, and commodities. When a buyer and a seller agree on a price for a good, the exchange of ownership takes place. The market price is the most recent price at which an asset was sold. The most frequent types of markets include the stock market, the foreign exchange market, and the bond market.

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a service provider suggests that their service will have 99.9% availability. what is this an example of?

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The statement "a service provider suggests that their service will have 99.9% availability" is an example of a service level agreement (SLA).

An SLA is a contract between a service provider and its client that outlines the level of service expected from the provider. It details the nature and quality of the service to be provided, as well as the terms of payment, responsibilities of both parties, and other critical information. Service providers typically use service-level agreements to reassure their clients of the level of service they will receive and to guarantee certain levels of performance. Service providers typically include service-level agreements in their service contracts as a way to establish expectations and standards for the services they provide. The 99.9 percent availability statement suggests that the service provider guarantees the service to be available for 99.9 percent of the time, implying that the service will not be available for only 0.1 percent of the time.

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The director of a theater company in a small college town is considering changing the way he prices tickets. He has hired an economic consulting firm to estimate the demand for tickets. The firm has classified people who go to the theater into two groups and has come up with two demand functions. The demand curves for the general public (Qgp) and students (Qs)
are given below:
Qgp = 500 - 5P
Qs = 200 - 4P
a. Graph the two demand curves on one graph, with on the vertical axis and Q on the horizontal axis. If the current price of tickets is $35, identify the quantity demanded by each group.
b. Find the price elasticity of demand for each group at the current price and quantity.
c. Is the director maximizing the revenue he collects from ticket sales by charging $35 for each ticket? Explain.
d. What price should he charge each group if he wants to maximize revenue collected from ticket sales?

Answers

a. So, the equilibrium quantity for the general public is 325. b. So, the equilibrium quantity for the students is 60. c. So, the current price of $35 is not maximizing the revenue collected from ticket sales. d. Price elasticity of demand for Qs = -1

a. To graph the demand curves on one graph, we will use the given equations and set them equal to each other:

Qgp = Qs

500 - 5P = 200 - 4P

Simplifying and solving for P, we get:

P = (500 - 4Q) / 5

Therefore, the demand function for the general public (Qgp) is:

Qgp = 500 - 5(Qgp) / 5

Similarly, the demand function for students (Qs) is:

Qs = 200 - 4(Qs) / 4

To graph the two demand curves on one graph, we will plot Qs on the y-axis and Qgp on the x-axis.

b. To find the price elasticity of demand for each group at the current price and quantity, we will use the given demand functions and calculate the percentage change in quantity demanded with a one percent change in price:

Price elasticity of demand for Qgp = (percentage change in quantity demanded) / (percentage change in price)

Price elasticity of demand for Qgp = (500 - 5(Qgp) / 5) / (5(Qgp) / 5 - 4(Qgp) / 4) * (4(Qgp) / 4 - 5Qgp / 5) / (4(Qgp) / 4 - 3.999999) * (3.999999 - 4(Qgp) / 4)

Simplifying, we get:

Price elasticity of demand for Qgp = -0.999999 / (0.000001 - 0.000001) * 0.000001 / (0.000001 - 0.000000000001) * (0.000000000001 - 0.000001)

Simplifying further, we get:

Price elasticity of demand for Qgp = -1

Price elasticity of demand for Qs = (500 - 200) / (500 - 4(200)) * (4(200) - 500) / (4(200) - 4(200)) * (4(200) - 500) / (4(200) - 3.999999)

Simplifying, we get:

Price elasticity of demand for Qs = -1

c. No, the current price of $35 is not maximizing the revenue collected from ticket sales. The maximum revenue is achieved when the quantity demanded equals the quantity supplied, which is when the demand curve intersects the supply curve at the equilibrium price. The equilibrium price and quantity can be found using the following equations:

Qgp = Qs = Q

P = (Qgp * Qs) / Q

Substituting the given values, we get:

Qgp = Qs = 200

P = (200 * 200) / 200

P = 400

Therefore, the equilibrium price is $400 and the equilibrium quantity is 200.

d. To find the price that should be charged to each group if the director wants to maximize revenue collected from ticket sales, we need to find the demand curve for each group and determine the equilibrium price and quantity.

The demand curve for the general public (Qgp) is given by:

Qgp = 500 - 5P

Substituting the given price of $35, we get:

Qgp = 500 - 5(35)

Qgp = 500 - 175

Qgp = 325

To find the demand curve for the students (Qs), we need to use the given demand function:

Qs = 200 - 4P

Substituting the given price of $35, we get:

Qs = 200 - 4(35)

Qs = 200 - 140

Qs = 60

To find the maximum revenue, we need to find the price that maximizes the equation:

Revenue = Qgp * (P - 35) + Qs * (P - 35)

Substituting the equilibrium quantities and prices for each group, we get:

Revenue = 325 * (35 - 35) + 60 * (35 - 35)

Revenue = 0 + 0

Revenue = 0

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For your team's assigned topic, you will individually write a scenario describing what you think conditions in the US will be like in 25 years if there are absolutely no new government regulations or policies placed on the actions of major corporations or on the actions of the financial markets (Wall Street). You will then post your ideas on the Class Discussion page designated for that topic.

Team 3 will make predictions about Scenario Topics 3: The Common Good

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In 25 years, without new government regulations or policies on major corporations and the financial markets, conditions in the US may likely lead to increased economic inequality, environmental degradation, and reduced social welfare.

Without new regulations or policies, major corporations and financial markets would have unrestricted freedom to pursue profit-maximizing activities. This could result in heightened economic inequality, as corporations prioritize shareholder value over societal well-being. Wealth and power concentration among a few could lead to a larger wealth gap, limited economic mobility, and decreased social cohesion.

Furthermore, without regulations, corporations may exploit natural resources without adequate environmental safeguards. This could contribute to environmental degradation, including pollution, deforestation, and depletion of natural resources. Climate change impacts may worsen, affecting communities and ecosystems.

In terms of social welfare, the absence of new regulations may result in reduced consumer protections, worker rights, and access to essential services. Corporations could prioritize cost-cutting measures, potentially leading to lower product safety standards, reduced labor protections, and limited access to healthcare and education. Vulnerable populations may face greater hardships and inequalities.

Without new government regulations or policies, the future scenario in the US could be marked by increased economic inequality, environmental degradation, and reduced social welfare. It underscores the importance of balanced regulations to ensure sustainable and equitable development, protect the environment, and promote the well-being of individuals and communities.

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The Terrence Co. manufactures two products, Baubles and Trinkets. The following are projections for the coming year: Baubles 11,000 units Trinkets 5,500 units Sales $11,000 $11,000 Costs: Fixed $2,400 $7,680 Variable 4,400 6,800 2,200 9,880 Income before taxes $ 4,200 $ 1,120 How many Baubles will be sold at the break-even point, assuming that the facilities are jointly used with the sales mix remaining constant?

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At the break-even point, approximately 1,000 Baubles will be sold, assuming that the facilities are jointly used and the sales mix remains constant.

The break-even point occurs when the income before taxes is zero, indicating that the company is neither making a profit nor incurring a loss. In this case, we need to find the sales volume of Baubles at which the income before taxes becomes zero.

To calculate the break-even point, we subtract the total fixed costs from the total variable costs for Baubles. From the given information, the fixed costs for Baubles are $2,400 and the variable costs are $4,400. Therefore, the total costs for Baubles at the break-even point would be $2,400 + $4,400 = $6,800.

Next, we divide the total fixed costs by the contribution margin per unit for Baubles. The contribution margin per unit is the selling price per unit minus the variable cost per unit. From the given information, the selling price for Baubles is $11,000 and the variable cost per unit is $4,400. Therefore, the contribution margin per unit for Baubles is $11,000 - $4,400 = $6,600.

Dividing the total fixed costs of $6,800 by the contribution margin per unit of $6,600, we find that approximately 1 Bauble will be sold at the break-even point.

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