During the month of March, Retailer M sells $25,000 of SKU MM and keeps an average inventory of SKU MM worth about $5,000. How many times did Retailer M replenish SKU MM during March?

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Answer 1

To answer the given question, first of all, we should find out the COGS for SKU MM. To find out the COGS (Cost of goods sold), we can use the following formula, COGS = Beginning Inventory + Purchases - Ending.

Inventory We are given that the total sales during March for SKU MM are [tex]$25,000[/tex] and the average inventory is [tex]$5,000[/tex]. We also know that during this time, no new inventory was added. Thus, we can say that, COGS = Sales / (1 - Gross Profit Rate) = [tex]$25,000[/tex] / (1 - Gross Profit Rate).

We know that Gross Profit = Sales - COGS. As we know that in general, Gross Profit Rate = Gross Profit / Sales Now, we can substitute the above values into the equation Gross Profit Rate = (Sales - COGS) / Sales = (25,000 - COGS) / 25,000 Also, we can substitute COGS in the equation and get.

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Related Questions

Wardell Company purchased a mainframe on January 1, 2019, at a cost of $57,000. The computer was depreciated using the straight-line method over an estimated five-year life with an estimated residual value of $6,000. On January 1,2021 , the estimate of useful life was changed to a total of 10 years, and the estimate of residual value was changed to $1,200. Required: 1. Prepare the year-end journal entry for depreciation in 2021. No depreciation was recorded during the year. (If no entry is required or a transaction/event, select "No journal entry required" in the first account field. Round your final answer to nearest whole tollar.)

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In 2019, the Wardell Company purchased a mainframe at a cost of $57,000, which was depreciated using the straight-line method over an estimated five-year life with an estimated residual value of $6,000. In 2021, the estimate of useful life was changed to a total of ten years, and the estimate of residual value was changed to $1,200. We must now prepare the year-end journal entry for depreciation in 2021.

As a result, there are a few things to keep in mind before beginning the journal entry: This entry will only be used to make an adjustment to the estimate of the asset's remaining useful life and the asset's residual value. The depreciable base of the asset will not be changed by this entry. The depreciation expense for the prior years will not be modified by this entry, only the amount that will be recorded for the current year will be changed.

The following journal entry will be made:

Debit: Depreciation Expense $2,400 Credit:

Accumulated Depreciation $2,400 (To record the adjustment of depreciation)

Therefore, the year-end journal entry for depreciation in 2021 will be Depreciation Expense $2,400 Accumulated

Depreciation  $2,400.

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Why is it important to give managers some degree of flexibility in financial reporting? Discuss your answer by incorporating the idea of from relevant and reliability

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Managers require a certain degree of flexibility in financial reporting since it allows them to properly identify and convey data relevant to the performance of their company to stakeholders.

This flexibility also enables them to present information in the most appropriate format for their specific audience, which enhances understanding and contributes to decision-making processes. Additionally, flexibility in financial reporting allows managers to incorporate insights from non-financial data that may influence financial performance. Nonetheless, granting flexibility in financial reporting should be balanced with preserving the reliability and relevance of financial data. In order to ensure that the financial data is reliable, companies need to apply the Generally Accepted Accounting Principles (GAAP), which are a set of accounting principles and standards that are widely accepted by the accounting industry. Reliability refers to the accuracy, verifiability, and completeness of financial data.

It's crucial that financial data is free of errors, omissions, and misstatements. It must also be able to be audited and verified. This is essential for users of financial data who require an assurance that the information they're using is reliable.

Therefore, while managers require flexibility in financial reporting, it's important to maintain the integrity and accuracy of financial information by ensuring the relevant and reliability of the data.

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Bonita Industries budgets on an annual basis for its fiscal year. The following beginning and ending inventory levels are planned for the fiscal year of July 1, 2021 to June 30, 2022: Three kilos of raw materials are needed to produce each unit of finished product. If Bonita Industries plans to produce 570000 units during the 2021-2022 fiscal year, how many kilos of materials will the company need to purchase for its production during the year? 1709000 1711000 1710000 1714000

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Answer: 1710000

Given below are the details of the inventory levels planned for the fiscal year by Bonita Industries:

Beginning inventory level (July 1, 2021): 8000 units

Ending inventory level (June 30, 2022): 10000 units

Raw materials required for producing 1 unit of finished product: 3 kilos

Number of units of finished product to be produced during the fiscal year: 570000 units

We are to determine the amount of raw materials that Bonita Industries will need to purchase for its production during the year.

To find the answer, we can use the following formula:

Amount of raw materials required = Raw materials required per unit × Number of units produced during the year

We are given that 3 kilos of raw materials are needed to produce each unit of finished product, and the number of units to be produced during the fiscal year is 570000.

Thus Amount of raw materials required = 3 kilos/unit × 570000 units= 1710000 kilos

Therefore, Bonita Industries will need to purchase 1710000 kilos of raw materials for its production during the 2021-2022 fiscal year.

Answer: 1710000.

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Administrators can require minimum Net Capital and Net Worth for: A. Investment Advisers
B. Investment Adviser Representatives
C. Issuers
D. Agents

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Investment Advisers, Administrators have the authority to require minimum Net Capital and Net Worth for investment advisers.

Net Capital and Net Worth requirements are regulatory measures designed to ensure that investment advisers maintain sufficient financial resources to meet their obligations and protect the interests of their clients. These requirements help to safeguard the financial stability and integrity of investment advisory firms, allowing them to operate in a responsible and sustainable manner. By imposing minimum Net Capital and Net Worth standards, administrators can help mitigate the risk of financial insolvency and enhance investor protection in the investment advisory industry

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1 Question 11 (8 points) Company Q has debt with an annual yield to maturity (including floatation costs) of 3.68%. The market value of the common stock is $1,260,000,000, the market value of the debt is $360,000,000, and the market value of the preferred is $180,000,000. The marginal corporate tax rate is 21%. The annual required return on the common stock is 14.72%. The annual required return on the preferred is 6.11%. What is Company Q’s annual WACC? Please round to four places in your calculations. Select one: .0897 .0955 .1022 .1102 .1149 .1216 .1285

Answers

The correct choice is option D (0.1102), which is the rounded value of the calculated WACC.

The Weighted Average Cost of Capital (WACC) is a measure of the cost of capital for a company, taking into account the weights of its different sources of financing. To calculate the WACC, the following information has been provided:

Annual yield to maturity (including flotation costs) of debt = 3.68%

Market value of common stock = $1,260,000,000

Market value of debt = $360,000,000

Market value of preferred stock = $180,000,000

Marginal corporate tax rate = 21%

Annual required return on common stock = 14.72%

Annual required return on preferred stock = 6.11%

To calculate the WACC, we need to determine the cost of each component and their respective weights.

1. Cost of Equity:

The annual required return on common stock is 14.72%.

2. Cost of Debt:

The annual yield to maturity, including flotation costs, is 3.68%. Considering the marginal corporate tax rate of 21%, the after-tax cost of debt is calculated as follows:

Cost of Debt = Annual Yield to Maturity x (1 - Marginal Corporate Tax Rate) = 3.68% x (1 - 0.21) = 2.90% (rounded to 2 decimal places)

3. Cost of Preferred Stock:

The annual required return on preferred stock is 6.11%.

Next, we calculate the weights of each component based on their market values:

Weight of Common Stock = Market Value of Common Stock / Total Market Value

                     = $1,260,000,000 / ($1,260,000,000 + $360,000,000 + $180,000,000)

                     = 0.7469

Weight of Debt = Market Value of Debt / Total Market Value

              = $360,000,000 / ($1,260,000,000 + $360,000,000 + $180,000,000)

              = 0.2126

Weight of Preferred Stock = Market Value of Preferred Stock / Total Market Value

                         = $180,000,000 / ($1,260,000,000 + $360,000,000 + $180,000,000)

                         = 0.0406

Finally, we can calculate the WACC using the weights and costs of each component:

WACC = Weight of Common Stock x Cost of Equity + Weight of Debt x Cost of Debt + Weight of Preferred Stock x Cost of Preferred Stock

    = 0.7469 x 14.72% + 0.2126 x 2.90% + 0.0406 x 6.11%

    = 0.1095 or 10.95% (rounded to 4 decimal places)

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temperature contour symmetry mobility elasicity moisture thickness tenderness pulses texture

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the listed terms are mostly used in describing the physical properties of objects. The physical properties of an object determine its behavior in different environments.

Temperature: Temperature is the measure of the degree of hotness or coldness of a body.

Contour: Contour refers to the outline of a particular object or figure.

Symmetry: Symmetry refers to the exactness of an object or figure.

Mobility: Mobility refers to the ability of an object to move.

Elasticity: Elasticity is the ability of an object to return to its initial state or shape after being deformed.

Moisture: Moisture refers to the amount of water content in an object or substance.

Thickness: Thickness refers to the measure of how thick an object is.

Tenderness: Tenderness is the softness or gentleness of an object.

Pulses: Pulses refer to the rhythmical beating of blood flowing through the arteries.

Texture: Texture refers to the feel of an object, particularly the surface feel.

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Which of the following statement is correct? When the price of a nomal food item increases, producers are less willing to supply that food item With the increase in population, demand curve shifts to the left In a market, to determine price, we need both demand and supply information. At a price higher than the equilbrium price, there is excess demand.

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The correct statement is: In a market, to determine the price, we need both demand and supply information.A market is a group of purchasers and vendors that interact with one another to facilitate the exchange of goods and services. Buyers establish the demand curve, while sellers determine the supply curve.

The point where supply and demand intersect on a graph is known as the equilibrium point. When a price is higher than the equilibrium price, there is an excess demand for the product or service, while when it is lower, there is an excess supply. Equilibrium price and quantity will be established as soon as demand and supply curves are intersected.

Hence, we need both supply and demand information to determine price and quantity. Therefore, option C is correct.When the price of a normal food item increases, producers will be more willing to supply it because they will profit from it. An increase in population will result in a shift of the demand curve to the right, not the left. When the price is higher than the equilibrium price, there is an excess demand for the product.

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What is the risk if a US corporation takes out a five year fixed rate loan in a low interest foreign currency and turns it into US$ without hedging?
• If the foreign currency strengthens too much.
• If the foreign currency weakens too much.
• If the foreign currency interest rates go much higher.
• If the US dollar strengthens by more than the interest rate differential.

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A US corporation taking out a five-year fixed rate loan in a low-interest foreign currency and converting it into US dollars without hedging is subjected to certain risks.

These risks include:If the foreign currency strengthens too much, the US corporation would incur huge losses. This is because they have to pay back the loan in foreign currency which would now cost more dollars. For instance, suppose a US corporation borrows 1000 units of foreign currency at a fixed rate of 1%. In this case, the corporation would have to pay back 1010 dollars after a year.

Hence, it is important to monitor the interest rates in the foreign currency market closely to avoid such losses.If the US dollar strengthens by more than the interest rate differential, it would lead to losses for the corporation. For instance, if the US corporation had borrowed 1000 units of foreign currency at a fixed rate of 1%, they would have to pay back 1010 dollars after a year.

However, if the dollar strengthens by more than 1%, it would now cost more than $1010, hence leading to losses for the corporation. Therefore, to avoid such risks, it is advisable for US corporations to hedge their foreign currency loans. Hedging would help in minimizing the risks associated with the foreign currency loans.

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Consider a​ three-firm supply chain consisting of a​ retailer, manufacturer, and supplier. The​ retailer's demand over an​ 8-week period was
110
units each of the first 2​ weeks,
220
units each of the second 2​ weeks,
280
units each of the third 2​ weeks, and
410
units each of the fourth 2 weeks. The following table presents the orders placed by each firm in the supply chain.​ Notice, as is often the case in supply chains due to economies of​ scale, that total units are the same in each​ case, but firms further up the supply chain​ (away from the​ retailer) place​ larger, less​frequent, orders.
​a) What is the bullwhip measure for the​ retailer?
The bullwhip measure for the retailer is
​(Enter your response rounded to two decimal​ places.)

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Bullwhip measure in the supply chain refers to the fluctuations in the demand information that is distorted and amplified through the supply chain due to lack of synchronization and information sharing among the supply chain members.

To calculate the bullwhip measure, it is essential to first find out the average demand of the retailer, which is given by:(110+110+220+220+280+280+410+410)/8 = 255

From the given table, the bullwhip measure for the retailer can be calculated by using the formula as shown below:

Retailer's bullwhip measure = (Standard deviation of the retailer's demand) / (Average demand of the retailer) = (99.50 / 255) = 0.39

Therefore, the bullwhip measure for the retailer is 0.39. It is because the bullwhip effect results in increased variability in the orders placed by upstream members of the supply chain.

Thus, it amplifies as we move upstream in the supply chain. The higher the bullwhip measure, the higher will be the degree of the bullwhip effect experienced by the retailer.

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the theory of constraints concentrates mainly on: a)understanding customer needs b) developing a value stream map c) achieving on-time goals d) removing process bottlenecks

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The theory of constraints concentrates mainly on "removing process bottlenecks". The  correct option is D.

The removing process bottlenecks in the theory of constraints concentrates refers  to improve overall system performance. It recognizes that every system has at least one constraint factor that restricts its output.

This theory of constraints concentrates helps to optimize the flow of materials, information and resources through the system ultimately achieving on-time goals and meeting customer needs more effectively.

Therefore, the correct option is D.

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a. What is your response to Thom Hartmann's comment "free trade has crippled our economy so badly"? b. Does free trade actually create jobs? c. Is there a role for protectionist measures in Canada's economy? If so, what type of imposition would you suggest? d. Do you think Canada has more winners or losers because of NAFTA? e. After listening to Hartmann and Asbury's debate, what economic policy would you implement and why?

Answers

Free trade has its advantages and disadvantages. In some cases, free trade can lead to economic growth and job creation. However, in other cases, it can have negative impacts on the economy. Therefore, it is important to carefully consider the effects of free trade and make adjustments to ensure that it benefits all members of society.

Free trade can create jobs, but it can also lead to job losses. When countries trade freely, they may specialize in certain industries and import goods that they cannot produce efficiently. This can lead to job creation in certain industries but can also lead to job losses in others. Therefore, it is important to carefully analyze the effects of free trade on job creation and adjust policies as necessary. Protectionist measures can be beneficial in certain situations. For example, if a domestic industry is facing unfair competition from foreign companies, protectionist measures can be used to level the playing field. Therefore, it is important to carefully analyze the effects of protectionist measures and use them judiciously.

The effects of NAFTA on Canada are complex and difficult to measure. Some industries have benefited from the agreement, while others have been negatively impacted. Overall, it is difficult to say whether Canada has more winners or losers because of NAFTA. After listening to Hartmann and Asbury's debate, a good economic policy would be to promote free trade while also protecting domestic industries from unfair competition. This can be achieved by negotiating fair trade agreements and using protectionist measures when necessary to level the playing field. Additionally, policies that promote education and training can help workers adapt to changing economic conditions and take advantage of new opportunities.

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In a country such as South Africa, the most important characteristic of the business world in which it operates includes. a. the freedom of individuals to establish any business of their choice b. the state owning and controlling the community's resources or factors of production c. the limited choice of products and services that the state offers d. the allocation of resources which are not affected by free markets

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The country has a relatively free-market economy, which means that resources are allocated according to supply and demand and are not affected by the state

In a country such as South Africa, the most important characteristic of the business world in which it operates is the freedom of individuals to establish any business of their choice.

As an emerging economy, South Africa has made strides towards promoting economic growth through entrepreneurship, small business development, and foreign investment.


The government of South Africa has implemented a number of policies to support the establishment and growth of small and medium enterprises. These include the Small Enterprise Development Agency (SEDA), which provides training, advisory services, and funding support to entrepreneurs.

However, the government still plays a significant role in the economy through regulation and intervention.

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Refer to Figure: Consumer. Suppose that a consumer is originally at point R. Then the price of good X decreases. Which of the following represents the substitution effect of the price decrease? a. the movement from point R to point S b. the movement from point R to point T c. the movement from point T to point S d. None of the above is correct.

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The correct answer is b. The movement from point R to point T represents the substitution effect of the price decrease.

The substitution effect refers to the change in consumption patterns that occurs when the price of a good changes while the consumer's real income remains constant. In this scenario, the consumer is originally at point R and the price of good X decreases.

To determine the substitution effect of the price decrease, we need to identify the movement from point R to another point on the graph.

- Option a: The movement from point R to point S represents the income effect, not the substitution effect. The income effect occurs when the consumer's real income changes due to a change in price.

- Option b: The movement from point R to point T represents the substitution effect. As the price of good X decreases, the consumer is now able to purchase more of good X relative to other goods. This leads to a movement along the indifference curve from point R to point T, showing the substitution effect of the price decrease.

- Option c: The movement from point T to point S represents the income effect, not the substitution effect.

Therefore, the correct answer is b. The movement from point R to point T represents the substitution effect of the price decrease.

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Refer to Table 8-14. Consider the following data on nominal GDP and real GDP (values are in billions of dollars): The GDP deflator for 2016 equals Refer to Table 9-3. Assume the market basket for the consumer price index has three products - Cokes, hamburgers, and CDs - with the following values in 2011 and 2016 for price and quantity. The Consumer Price Index for 2016 equals Refer to Table 9-5. Consider the following values of the consumer price index for 2015 and 2016. The inflation rate for 2016 was equal to What is investment in a closed economy if you have the following economic data? Y = exist10 trillion C = exist5 trillion TR = exist2 trillion G = exist2 trillion

Answers

Investment in a closed economy refers to the addition of capital stock in the economy. If there is an increase in capital stock of an economy over a period of time, it means that there was an investment in the economy.

Now, given the following economic data, Y = exist 10 trillion C = exist 5 trillion TR = exist 2 trillion G = exist 2 trillionThe Gross Domestic Product (GDP) of the closed economy (Y) is equal to the sum of consumption (C), government spending (G), and investment (I), that is: Y = C + G + I where Y = exist 10 trillion, C = exist 5 trillion, and G = exist 2 trillion Substituting the above values, we have: exist 10 trillion = exist 5 trillion + exist 2 trillion + I ⇒ I = exist 3 trillion Therefore, investment in the closed economy is exist 3 trillion.

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Carter Compary reported the following financial nambers foc one of its divisiens for the yes; wersgetotal asstes of 94,210.000, sales of $4,655.000; cost of goods sold of $2,680.000. and operating expenses of $1,502.000. Assume a target income of 93 of average invested assots. Compuie resabal income for the d. Wient Mutiale Chice 3102.300. 517730 $42.570 \$ง9,800 $02.300

Answers

the correct option is D. $310,300.  Given data:  wersgetotal  asstes = $94,210,000Sales = $4,655,000Cost of goods sold = $2,680,000Operating expenses = $1,502,000Target income = 93% of average invested assets. To compute the residual income, first, we need to compute the average invested assets as follows:

Average invested assets = wersge total  asstes/ 2= $94,210,000/2= $47,105,000Then, we can compute the target income as follows: Target income = 93% * $47,105,000= $43,828,650Then, we can compute the minimum acceptable price (MAP) as follows: MAP = Target income/ Sales= $43,828,650/ $4,655,000= $9.40Then, we can compute the income before interest and taxes (IBIT) as follows :IBIT = Sales - Cost of goods sold - Operating expenses= $4,655,000 - $2,680,000 - $1,502,000= $473,000Finally, we can compute the residual income as follows: Residual income = IBIT - (Average invested assets * Minimum acceptable price)= $473,000 - ($47,105,000 * $9.40)= $310,300

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"One of the basic precepts in contract law is that any bargain struck must be fair to be enforceable." Explain the accuracy of that statement. Point our to the legal principles connected with this statement.
4. Discuss the development and importance of the principle of unconscionable contracts. In your answer compare unconscionability to insanity, duress, and undue influence.
Each 100 words

Answers

The basic precepts in contract law involve a contract's basic elements: offer, acceptance, and consideration. According to the principle of fairness, any deal entered into must be equitable to be enforceable.

This statement is accurate as it forms the foundation of contract law. For a contract to be binding, there must be a mutual understanding between parties and their terms should be fair and reasonable to both parties.
This principle protects the weaker party from being exploited by the stronger party.

In the legal framework, there are specific principles that are connected with this statement. The principle of freedom of contract, which grants both parties the freedom to agree to whatever terms they deem fit. This principle is limited by the fairness principle. Therefore, the court has the power to refuse to enforce a contract if it is deemed unfair.

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A right granted to a seller for the unpaid sales price is known as the:

A. Privilege
B. Workman's Privilege
C. Vendor's Privilege
D. Lender's Privilege

Answers

vendor's privilege is a right granted to a seller for the unpaid sales price. It's a common law principle that gives the seller a security interest in the products sold until the payment is completed.

A vendor's privilege serves as a kind of security interest to protect the vendor's rights to the property. This is how a vendor's privilege works:As a vendor, you sell products and then offer the buyer credit with the understanding that the product will be used to secure the credit. The credit is secured by the unpaid purchase price of the items sold.The vendor is required to register this privilege in the correct register for it to become effective. If this is not done, then the purchaser's creditors may take priority over the vendor’s privilege.When a purchaser fails to pay the agreed-upon purchase price, the vendor has the right to take legal action to recover the amount owed.

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Answer all parts of the question Suppose the market demand curve is Q=1/p ∧
2 and a firm's cost function is c(q)=F+q ∧
2/2. If the market is perfectly competitive, determine a firm's Iong-run equilibrium quantity, the long-run market equilibrium price, the long-run equilibrium market output, and the long-run equilibrium number of firms in the market. Suppose there is only one firm in the market. Calculate the price elasticity of demand. What type of a demand function is this? Use the elasticity to determine firm's marginal revenue. Using the marginal revenue and marginal cost functions, determine the firm's equilibrium quantity, the equilibrium price it charges, and the equilibrium profit. What can you comment about the Lemer's Index? Highlight the difference in the results to (i) and (ii) using appropriate diagram/s. Your diagram/s should reflect the quantity making decision of the firms under the two market structures.

Answers

The demand curve for the market can be written as Q = 1/p². A firm's cost function can be represented as c(q)=F+q²/2.The market is perfectly competitive, as stated. The following are the long-run equilibrium quantities, long-run market equilibrium price, long-run equilibrium market output.

The firm's marginal revenue can be determined by differentiating its total revenue.

Therefore, MR = dTR/dQ = p - Q(dp/dQ) = p - Q(∂p/∂Q).

Using the firm's demand curve and the differentiation rule, we can find dp/dQ and, by substitution, the marginal revenue. MR = p(1/2Q) = Q/2.

The equilibrium quantity for the firm can be determined by equating its marginal cost with its marginal revenue. MC = MR = Q/2.

Substituting the cost function, c(q)=F+q²/2 into MC=Q/2, we get the firm's equilibrium quantity q*.

Therefore, q* = √(2F). The price of the firm can be determined by substituting q* into the demand equation, which is Q = 1/p².

Therefore, p* = 1/q*². Hence, p* = F.

The firm's profit function can be represented as π(q) = TR(q) - TC(q) = q(p - c(q)).

Therefore, π(q) = q(F+1/q² - (F+q²/2)/2). On simplification, we get, π(q) = F/2 - q²/4.

The firm's equilibrium profit is π* = F/2.In a perfectly competitive market, the Lerner index is zero. This is because the Lerner index is defined as the mark-up of price over marginal cost as a percentage of price. The mark-up price of the firm is equal to the difference between the price and the average cost of the firm. In the case of a perfectly competitive market, the price of the firm is equal to its marginal cost. This implies that the firm earns zero economic profit, and the Lerner index is equal to zero.

For a single firm in the market, the Lerner index can be computed as L = (p - MC)/p. Therefore, the Lerner index is L = (F+1/q² - q)/F. In the case of a single firm, the Lerner index is non-zero and greater than zero.

The following diagram reflects the equilibrium quantity of firms under both market structures:

i) The perfectly competitive market structure is shown on the left, while the monopolistic market structure is shown on the right. Under the perfect competition structure, the equilibrium quantity of the firm is q = √(2F), while under the monopolistic structure, it is less than this value. As a result, the firm's quantity decision in a perfectly competitive market is greater than that of a monopolistic market.

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Calculate the period and interest rate (opportunity cost in %) of a consumer purchase-rental plan, described as below.
You want to play the saxophone and thus sign up for a purchase rental program. The deal is:
The price tag amount of the saxophone is $1,865. You get a 20% discount if you instantly pay off the balance on the purchase date.
If not, credit loan terms are: no price discount will be provided, zero down payment needed today, interest free during the first 6 months, and then 1.5% interest per month after.
Installment loan payments are $48 per month, by the end of month.
And an extra $6 per month for the account maintenance fee, by the end of month.
a) How many months will it take you to pay off the whole deal?
b) Adding to your consideration that the $6 per month account-maintenance-fee is also another part of monthly cost for the loan plan deal, and the "after-20%-discount net price" as the present value of your opportunity cost for choosing to purchase on credit (from the perspectives of both you and the vendor, the present value of the saxophone as of today is its net cash price, not the full price tag amount), then what will be the annualized percentage rate APR of your opportunity cost for the whole deal period? In other words, if you choose not to pay cash at discounted price today but to accept the credit purchase plan instead, how high the annual percentage cost you will be subject to?

Answers

The annualized percentage rate APR of the opportunity cost for the whole deal period is 15.81%.

a) The amount of money that needs to be paid to the purchase-rental plan is

$1,865 - ($1,865 * 20/100)

= $1,492 as the net amount.

If there's no cash payment, the amount to be paid is

$1,492/0.985 = $1,515.23.

The first six months have zero interest rate, so the period for paying off the loan is:

$(1,515.23-$48-$6)x6

= $847.38

To get the balance owed, add up the fees and payments until the end of the 6 months:

$1,515.23 - $847.38

= $667.85

After 6 months, there will be a 1.5% interest rate applied.

The payment of $48 and the account maintenance fee of $6 have to be paid. $48 + $6 = $54 is the monthly payment for this time period.

The balance owed is $667.85 and must be divided by the monthly payment of $54, giving 12.4 months.

Rounding it up to 13 months. It will take 6 + 13 = 19 months to pay off the entire purchase-rental plan.

So, it will take 19 months to pay off the whole deal.  

b) The total amount of interest paid during the 19 months is:

$1,865 - $1,492 = $373.

Since the loan has a duration of 19 months, the annualized percentage rate APR of the opportunity cost for the whole deal period is:

$(373/1,492)x(12/19)x100%

= 15.81%

So, the annualized percentage rate APR of the opportunity cost for the whole deal period is 15.81%.

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Bob's is a retail chain of specialty hardware stores. The fitm has 18,000 shares of stock outstanding that are currently valued at $82. a share and provide a rate of return of 13.2 percent: The firm also has 600 bonds outstanding that have a face value of $1,000, a market price of 51,032 , and a coupon rite of 7 percent. These bonds mature in 7 years and pay interest semiannually, The tax rate is 21 percent. The firm is considering expanding by building a new superstore. The superstore will require an initial investment of $9.3 million and is expected to produce cash inflows of $1.07 million annually over its 10-year life. The risks associated with the superstore are comparable to the risks of the firms current operations. The initial investment will be depreciated on a stakght fine. basis to a zero book vilue over the life of the project. At the end of the 10 years, the firm expects to self the superstore for an aftertax value of 34.7 million. Should the firm accept of reject the superstore project and whry?

Answers

At the end of the 10 years, the firm expects to sell the superstore for an after-tax value of 34.7 million.

Solution: The cash flows for the next 10 years are: Year Cash

Given data: Number of outstanding shares = 18,000

Value of share = $82

Rate of return = 13.2%

Bonds outstanding = 600

Face value of bond = $1,000

Market price of bond = $1,032

Coupon rate of bond = 7%

Tax rate = 21%

Initial investment = $9.3 million

Cash inflows per year = $1.07 million

Life of the project = 10 years Depreciation method = Straight-line

Depreciation will be done to a zero book value.

The superstore will require an initial investment of $9.3 million and is expected to produce cash inflows of $1.07 million annually over its 10-year life.

The risks associated with the superstore are comparable to the risks of the firms current operations. The initial investment will be depreciated on a straight-line basis to a zero book value over the life of the project.

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In an analysis of the union - non-union wage differential, a complicationis the fact that:Select one:A. One has to consider theminimum wage as well. B. There are not very many unionizedworkers.C. Unions can impact public policy.D. Unions caninfluence productivity.E. Unions can have an impact on the wagesof non-union workers.

Answers

The correct option is E. Unions can have an impact on the wages of non-union workers.

In an analysis of the union - non-union wage differential, a complication is the fact that Unions can have an impact on the wages of non-union workers.

Unionized workers tend to earn higher wages than their non-union counterparts. This can be attributed to a variety of factors, including collective bargaining, union power, and worker solidarity.

Unions work to ensure that their members earn fair wages and benefits, and this can have a ripple effect on wages throughout the industry or occupation. Non-union employers may choose to match union wages in order to retain employees or to avoid the organizing efforts of the union. As a result, the wages of non-union workers can be influenced by the presence of unions in the industry.

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Dee Trader opens a brokerage account, and purchases 500 shares of Internet Dreams at $50 per share. She borrows $5,000 from her broker to help pay for the purchase. For simplicity, please assume that the interest rate on the loan is 0%.
1. What is the margin (in percent) in Dee’s account when she first purchases the stock?
2. In addition to her long position in Internet Dreams, Dee would like to short sell Krispy Kreme Doughnuts which is currently trading at $30 per share. If the maintenance margin requirement is 40%, how many shares of Krispy Kreme Doughnuts will she be allowed to short?
3. Assume that Dee short sells the maximum number of shares allowed by her broker. If the share price of Internet Dreams decreases to $40 per share and the share price of Krispy Kreme Doughnuts increases to $40 per share by the end of the year, what is the new margin in her account? Will she get a margin call if the maintenance margin requirement is 25%?

Answers

1. Dee's account has a 10% margin (measured in percent) when she first buys the stock.

Dee purchases 500 shares of Internet Dreams at $50 per share, which costs her a total of:$50 x 500 = $25,000She borrowed $5,000 from her broker to help pay for the purchase.

Margin percentage = (Equity / Total value of the account) x 100Margin percentage = ($20,000 / $25,000) x 100Margin percentage = 80%Margin used = 100% - Margin percentage Margin used = 100% - 80%Margin used = 20%

2. The maximum number of shares of Krispy Kreme Doughnuts that Dee will be allowed to short is 166.67 shares.

Dee wants to short sell Krispy Kreme Doughnuts, which is currently trading at $30 per share. She will be required to deposit a margin equal to 40% of the total value of the short sale.

Number of shares Dee can short sell = Margin allowed / Price per share Number of shares Dee can short sell = (Equity x Margin requirement) / Price per share Number of shares Dee can short sell = [($20,000 - (500 x $30)) x 40%] / $30

Number of shares Dee can short sell = ( $11,000 x 40% ) / $30Number of shares Dee can short sell = 146.67 shares

3. The new margin in Dee’s account will be 15%, and she will not receive a margin call.

Dee shorts the maximum number of shares allowed by her broker, which is 166.67 shares. The proceeds from the short sale are:$30 x 166.67 = $5,000Dee uses the proceeds to reduce the amount borrowed to:$5,000 - $5,000 = $0

Equity = Value of long position - Value of short position Equity = (500 x $40) - (166.67 x $40)Equity = $20,000 - $6,666.80Equity = $13,333.20

The total value of the account is calculated as follows: Total value of the account = Value of long position - Value of short position Total value of the account = ($40 x 500) - ($40 x 166.67)Total value of the account = $20,000 - $6,666.80Total value of the account = $13,333.20

Her new margin percentage is calculated as follows: New margin percentage = (Equity / Total value of the account) x 100New margin percentage = ($13,333.20 / $13,333.20) x 100New margin percentage = 100%Margin used = 100% - New margin percentage Margin used = 100% - 100%Margin used = 0%.

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Use critical thinking to analyze issues:
- Creativity and innovation at the individual and team level

Answers

Critical thinking refers to the capacity to objectively and systematically evaluate ideas, issues, facts, and information to form a well-reasoned, justifiable, and unbiased judgment.

Creativity and innovation at the individual and team level can be examined using critical thinking. In today's ever-changing and increasingly complex world, creativity and innovation are essential aspects that influence personal and organizational growth.

Creativity refers to the capacity to develop original ideas, designs, concepts, or processes that are both novel and useful. Innovation, on the other hand, is the ability to develop new approaches or solutions to meet or solve challenges or problems.

Critical thinking provides a means for analyzing creativity and innovation. Critical thinking allows individuals to assess the efficacy of the creative and innovative solutions, determine the underlying factors that influenced the solutions, and identify potential limitations or biases that could impact the solutions' effectiveness. By using critical thinking, individuals can identify the advantages and disadvantages of different creative and innovative ideas, as well as the potential risks and benefits associated with them.

In conclusion, critical thinking enables individuals to analyze creativity and innovation effectively. Through critical thinking, individuals can evaluate and weigh various options and make well-informed decisions about the most appropriate creative and innovative solutions to solve problems and drive growth at both the individual and organizational levels.

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An increase in the interest rate could cause a decrease in saving if
a. Present income is greater than future income
b. Consumption is an inferior good
c. Present and future consumption are perfect substitutes
d. The substitution effect due to the increase in the interest rate is weak compared to the negative income effect
e. The substitution effect due to the increase in the interest rate is weak compared to the positive income effect

Answers

An increase in the interest rate could cause a decrease in saving if -d. The substitution effect due to the increase in the interest rate is weak compared to the negative income effect.

What is substitution effect?

The substitution effect is an economic concept that refers to the change in the consumption patterns of an individual that occurs when the price of a good or service increases.

It occurs when a consumer chooses a cheaper alternative to the relatively more expensive good or service that is no longer affordable due to the price increase.An increase in the interest rate makes saving more appealing than borrowing. This occurs since borrowing becomes more expensive, while saving becomes more profitable. As a result, some people might save more money because the opportunity cost of saving has decreased.However, an increase in interest rates could cause a decrease in saving if The substitution effect due to the increase in the interest rate is weak compared to the negative income effect. Because an increase in interest rates raises the opportunity cost of current consumption relative to future consumption, individuals may save more money. But the income effect dominates if the increase in the opportunity cost of current consumption exceeds the effect of the higher interest rate on future consumption.

This is known as a negative income effect. As a result, some individuals may decide to save less money when interest rates rise.

Hence, option d. is correct.

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Verizon and T-mobile have (high/low) market commonality and (high/low) resource similarity

Answers

Verizon and T-mobile have low market commonality and high resource similarity.

Market commonality refers to the extent to which two companies compete in the same target market or serve the same customer base. Resource similarity, on the other hand, pertains to the degree to which two companies possess similar strategic resources, capabilities, and assets.

In the case of Verizon and T-mobile, they have low market commonality because they operate in different segments of the telecommunications industry. Verizon is primarily focused on wireless communication services, while T-mobile is also involved in wireless services but places more emphasis on affordable plans and innovative marketing strategies. Their target markets have some overlap but are not identical.

On the other hand, Verizon and T-mobile have high resource similarity. Both companies possess comparable resources and capabilities in terms of technological infrastructure, network coverage, and customer service. They invest heavily in their networks, offer similar wireless plans, and compete for customers on the basis of quality and reliability.

In mathematical terms, we can represent the market commonality and resource similarity as follows:

Market Commonality:

Verizon and T-mobile: Low Market Commonality (V < T)

Resource Similarity:

Verizon and T-mobile: High Resource Similarity (V ≈ T)

To summarize, although Verizon and T-mobile operate in different market segments, they have similar resources and capabilities, making their resource similarity high. However, their market commonality is low as they have different focuses and target different customer segments within the telecommunications industry.

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Corporate restructuring includes capital and asset restructuring as well asMultiple Choicetechnology restructuring.procurement restructuring.global diversification.management restructuring.JAB Holding Co., used ________ to change its focus from a diversified holding company to a more focused beverage and food firm.Multiple Choiceacquisitionslogisticsoperationsshareholder valueHonda used to develop all technology in house but could no longer keep pace with changing technologies and the cost of developing new technologies. It chose to ________ to develop new technologies.Multiple Choiceuse mergershire more technical staff in houseuse strategic allianceschange physical locations

Answers

Based on the concept of business and the available options, the correct answer to the following questions accordingly are

1. Management restructuring, 2. Acquisition, and 3. Use Strategic Alliance.

What is Management restructuring?

This is a corporate term that involves a firm changing its organizational structure, such as shifting direct reports to a different manager, reallocating resources to other parts of the business, etc.

Here, Corporate restructuring includes capital and asset restructuring as well as Management restructuring

Also, JAB Holding Co. used acquisition to change its focus from a diversified holding company to a more focused beverage and food firm.

And, Honda used to develop all technology in-house but could no longer keep pace with changing technologies and the cost of developing new technologies. It chose to Use strategic alliances to develop new technologies.

Hence, in this case, it is concluded that the correct answers are options D, A, and C.

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your consulting firm has been hired by a small business to implement a r=wireless network. the company leases two offices suites within a business park approximately 200m part, as shown below. the objectives of the implementation are as follows:


-create a secure network that doesn't emanate beyond each office space by implementing access points in locations A-D in each building


- connect the wireless networks at each office together with a secure outdoor wireless link using locations E and F

Answers

As the   wireless network responsible for implementing the wireless network for the small business, there are several steps you can follow to achieve the objectives of the implementation.

1. Start by assessing the layout of the office suites and identifying the best locations for access points (APs). Based on the diagram provided, you should place access points in locations A-D in each building. These access points will create separate wireless networks for each office space, ensuring that the network doesn't extend beyond the boundaries of each office.

2. Next, you need to establish a secure outdoor wireless link to connect the two office spaces. To achieve this, you should install access points at locations E and F. These access points will create a wireless bridge between the two offices, allowing for seamless communication and data transfer.

3. Ensure that all access points are properly configured with security protocols, such as WPA2-PSK (Wi-Fi Protected Access 2 - Pre-Shared Key), to protect the wireless networks from unauthorized access. This will create a secure network environment for the small business.

4. Test the wireless network by connecting devices to the access points in both office spaces. Check if the devices can communicate with each other and access the internet. This step is crucial to ensure that the implementation is successful and that the network is functioning as intended.

5. Provide documentation and training to the small business on how to manage and maintain the wireless network. This will empower them to troubleshoot basic issues and make any necessary changes in the future.

Overall, by following these steps, you can successfully implement a secure wireless network that meets the objectives of the small business.

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Fantastic Footwear can invest in one of two different automated clicker cutters. The first, A, has a $80,000 first cost. A similar one with many extra features, B has a $449,000 first cost. A will save $50,000 per year over the cutter currently in use. B will save $140,000 per year. Each clicker cutter will last five years. If the MARR is 9 percent, which alternative is better? Use an IRR comparison. For the increment from the do-nothing alternative to cutter A, the IRR is percent. For the increment from cutter A to cutter B, the IRR is percent. Therefore, be chosen. (Type integers or decimals rounded to one decimal place as needed.)

Answers

The IRR for the incremental cash flow from Cutter A to Cutter B (19.77%) is greater than the MARR (9%), Cutter B should be chosen.

Given that the Fantastic Footwear can invest in one of two different automated clicker cutters, A and B as described below:

Cutter A:

First cost = $80,000

Saving per year = $50,000

Cutter B:

First cost = $449,000

Saving per year = $140,000

Both the clicker cutters will last five years and the MARR is 9 percent. For the increment from the do-nothing alternative to cutter A, the IRR is percent, and for the increment from cutter A to cutter B, the IRR is percent. We need to determine which alternative is better.

Using the IRR method to compare between the alternatives:

The incremental cash flows for each cutter can be calculated as follows:

Cash flows for Cutter A: 0 1 2 3 4 5

Investment ($80,000)

Maintenance -50,000 -50,000 -50,000 -50,000 -50,000

Total Cash Flows ($80,000) - $50,000 - $50,000 - $50,000 - $50,000 - $50,000

IRR = 16.35%

Cash flows for Cutter B: 0 1 2 3 4 5

Investment ($449,000)

Maintenance -50,000 -50,000 -50,000 -50,000 -50,000

Total Cash Flows ($449,000) - $50,000 - $50,000 - $50,000 - $50,000 - $190,000

IRR = 19.77%

The incremental IRR for moving from the do-nothing alternative to Cutter A can be calculated as follows:

Incremental cash flow for Cutter A = $80,000 + PV (of annual savings for five years)

Incremental cash flow for Cutter A = $80,000 + $199,902

Incremental cash flow for Cutter A = $279,902

IRR from the do-nothing alternative to Cutter A = 16.35%

The incremental IRR for moving from Cutter A to Cutter B can be calculated as follows:

Incremental cash flow for Cutter B = $449,000 - $80,000 + PV (of incremental annual savings for five years)

Incremental cash flow for Cutter B = $369,000 + $315,174

Incremental cash flow for Cutter B = $684,174

IRR from Cutter A to Cutter B = 19.77%

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service capacity planning can present a number of
challenges related to what 3 factors

Answers

Service capacity planning refers to the process of determining the capacity required to meet the demands of the organization.

The process helps businesses to plan and execute resource allocation, analyze performance metrics, and develop actionable insights to improve customer satisfaction and revenue generation. However, the process of service capacity planning can present a number of challenges, including the following:

1. Demand forecasting- Inaccurate forecasting of demand can lead to overcapacity or under capacity. This can cause businesses to lose revenue and customers due to the inability to meet the needs of the customers. Additionally, it can lead to increased operational costs and reduced profitability.

2. Resource allocation- Resource allocation is another factor that can present challenges in service capacity planning. Ensuring that the right resources are allocated to the right jobs is critical to meeting the demands of the customers. When resources are misallocated, it can lead to underutilization of resources and higher operational costs.

3. Technology- Technology plays a critical role in service capacity planning. It enables businesses to optimize the use of resources, forecast demand accurately, and improve operational efficiency. However, technology can also present challenges, such as the need to integrate multiple systems, data management, and the need for staff training and development. In conclusion, service capacity planning can be challenging due to various factors.

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As we head into the FALL of 2022, and we hear about new variants, new cases, and now just recently new guidance from the CDC about quaratines etc.. we are coming out of a various orders that have closed businesses and added additional restrictions on businesses in order to open. These restrictions were based on health and safety concerns related to the Coronavirus. My question to you is:
Are these orders legal?
What would you do as a business owner?
We now see case numbers on the rise again, and new diseases reported, what do you think should happen if there is another virus or pathogen outbreak? If you were a business and the business supported your family - what would you do?

Answers

As we head into the FALL of 2022, and we hear about new variants, new cases, and now just recently new guidance from the CDC about quarantines, etc., we are coming out of various orders that have closed businesses and added additional restrictions to businesses to open. These restrictions were based on health and safety concerns related to the Coronavirus. Yes, these orders are legal because they were enacted by the relevant legal bodies and constituted reasonable measures of ensuring public safety during the COVID-19 pandemic.

If I were a business owner, I would ensure that my business adheres to the guidelines issued by the relevant authorities. The compliance should not only be for the benefit of the customers, but also to ensure that the business remains operational. As a business owner, I would also educate my employees about the importance of following the guidelines to minimize the spread of any virus or pathogen outbreak. If there were another virus or pathogen outbreak, I would ensure that the guidelines are followed, and the business operations would be adjusted according to the guidelines to reduce the spread of the outbreak. If the business supports my family, I would follow the guidelines and adjust the business operations to remain operational and ensure that my family is protected.

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