hat company sells two types of hats: knit hats with a selling price of $15 and variable costs of $5, and hard hats with a selling price of $25 and variable costs of $10. knit hats comprise 80% of all sales. if fixed costs are $22,000, what is the break even point in units?

Answers

Answer 1

As per the requirement, the break-even points in units will be -

Number of knit hats = 2000 x 0.8 = 1600

Number of hard hats = 2000 x 0.2 = 400

To find the breakeven point in units, we need to know how many units the company needs to sell to cover all of its fixed and variable costs.

Let's start by calculating the contribution margin for each type of hat. The contribution margin is the difference between the selling price and the variable cost of a product.

Total contribution margin per unit = Weighted average contribution margin per unit = ($10 x 0.8) + ($15 x 0.2) = $11

Breakeven point (in units) = Fixed costs / Contribution margin per unit = $22,000 / $11 = 2000 units

To calculate how many knit hats and hard hats need to be sold, we need to use the sales mix. Since knit hats represent 80% of sales, we can calculate the number of knit hats by multiplying the total number of units by 0.8, and the number of hard hats by multiplying the total number of units by 0.2. This gives:

Number of knit hats = 2000 x 0.8 = 1600

Number of hard hats = 2000 x 0.2 = 400

Therefore, the company needs to sell 1600 knit hats and 400 hard hats to break even.

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Related Questions

human capital as a resource is represented by: please choose the correct answer from the following choices, and then select the submit answer button. answer choices land. the educational achievements and skills of workers. the time of workers. machinery, buildings, and other artificial productive assets.

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Human capital as a resource is represented by educational achievements and skills of workers. (Option A)

What exactly does the phrase "human capital" mean?

The information and skills that employees pick up through education, training, and experience are referred to as human capital. Resources Used Per Worker. Natural resources are components of manufacturing that come from the environment, such as minerals, water, and land. technical expertise.

What is included in human capital?

Labor and other resources that people can offer to the production process, such as education, experience, or special abilities, are referred to as human capital.

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what is the pv of an ordinary annuity with 10 payments of $7,700 if the appropriate interest rate is 5.5%?

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the present value of the ordinary annuity with 10 payments of $7,700 at an interest rate of 5.5% is $62,327.44.

To calculate the present value (PV) of an ordinary annuity with 10 payments of $7,700 at an interest rate of 5.5%, we can use the formula:

PV = Payment x ((1 - (1 + r)^-n) / r)

where r is the interest rate per period and n is the number of periods.

In this case, the payment is $7,700, the interest rate is 5.5% per period, and the number of periods is 10. Since the payments are made at the end of each period (ordinary annuity), we don't need to make any adjustment to the formula.

So, substituting the values, we get:

PV = $7,700 x ((1 - (1 + 0.055)^-10) / 0.055)

PV = $7,700 x ((1 - 0.583450851) / 0.055)

PV = $7,700 x (8.091199713)

PV = $62,327.44

Therefore, the present value of the ordinary annuity with 10 payments of $7,700 at an interest rate of 5.5% is $62,327.44.

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you want to be a millionaire when you retire in 35 years. a. how much do you have to save each month if you can earn an apr of 11.2 percent? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. how much do you have to save each month if you wait 10 years before you begin your deposits? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) c. how much do you have to save each month if you wait 20 years before you begin your deposits? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

a. The an par of 11.2 percent  n = 35 x 12 = 420, I = 11.2/12 = 0.933333, ft = 1,000,000, cot, put = 225.38

Briefing:-

b. The  save each month if you wait 10 years before you begin your deposits n = 25 x 12 = 300, cot, put = 679.99

c. The save each month if you wait 20 years before you begin your deposits n = 15 x 12 = 180, cot, put = 2282.73

Is it appropriate to round intermediate calculations?

Always round intermediate results while performing calculations on paper so that at least one additional digit is retained and is carried over to the following step. At the end, the final result is rounded to the appropriate amount of significant figures.

What does it signify when intermediate calculations are not rounded off?

Do not round computations in between. Before you round the result as instructed, wait till the final response.

Why should I round all intermediate values?

It probably indicates that as you complete each computation, you should round to three decimal places after each step (each "intermediate value") rather than merely at the conclusion (the "final value" if you will).

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how can a police department determine what knowledge, skills, and abilities (ksas) they want in a person they are interested in hiring?

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The legal expertise of the police department is evaluated, including its understanding of judicial processes and governmental rules. understanding of security and public safety. that keep individuals safe.

What character traits might be crucial for prospective police officers?

Police officer characteristics and competencies include Exercise, critical thinking, good judgment, problem-solving abilities, and communication abilities, interpersonal abilities, moral integrity, and an ethical sense.

What are the four criteria that police employ when deciding whether to use force?

The justification and reasonableness of force, officer training in the use of force, departmental culpability in the use of force, the reasons why certain officers are reluctant to use deadly force, and how hesitation to use deadly force may be addressed, are some of these variables.

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within the first opening video within session 02, the supply chain professional was describing how he chose scm as a major and the things he liked most about supply chain management as a career. these are the things he likes most:

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For supply chain management to be successful, communication skills are essential. They support your ability to lead people, train workers, and convey needs throughout the supply chain.

What does management mean in its most basic sense?

Management is the process of carrying out the work or activity required to achieve an organization's objectives in an efficient and effective manner. The procedure implies the management duties.

Why is management so crucial?

Any organization needs managers to accomplish its objectives. They serve as the foundation of any business and are responsible for making sure everything works properly. Whether an organization succeeds or fails depends on how successfully its managers carry out their duties.

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assume you have some money and want to save to amass a given amount at the end of 5 years. one of the options you have is a 5-year, 10% coupon bond that is currently selling at par. assume that bond is default free. what will determine the total amount of money you will have at the end of year 5 if you buy the bond today?

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Assume you have some money and want to save to amass a given amount at the end of 5 years. The reinvestment rate will determine the amount accumulate at the end of year 5 if you buy the bond today.

The reinvestment rate is the expected return after reinvesting the cash flows from an investment. The return is stated as a percentage and shows the expected profit the investor expects to make on their money reinvestment.

An investor's decision to purchase a bond or Certificate of Deposit is influenced by anticipated reinvestment rates (CD).

If an investor anticipates rising interest rates, he or she may choose a shorter-term investment with the expectation that the reinvestment rate when the bond or CD matures will be higher than the interest rates that may be locked in for longer-maturity investments.

An investor bears interest rate risk when a bond is issued and interest rates rise. Because bond prices decline when interest rates rise, a fixed-rate bond investor may suffer a financial loss if the bond is sold before its maturity date.

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on april 1, a company sold $400,000 of 8%, 10-year bonds at 98. interest is payable annually. the company reports on a calendar-year basis. interest expense in the company's income statement for the year ended the next december 31, including discount amortization, will be

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The company sold $400,000 of 8%, 10-year bonds at 98, which means the company received $400,000 x 98% = $392,000 in cash from the bond issuance.

The difference between the cash received and the face value of the bonds is the discount on the bonds, which is $400,000 - $392,000 = $8,000.

The annual interest on the bonds is 8% of the face value, which is $400,000 x 8% = $32,000. This interest expense is recognized on a calendar-year basis, so the company will need to accrue interest expense from April 1 to December 31.

The number of months from April 1 to December 31 is 8, so the amount of interest expense for this period would be:

$32,000 x 8/12 = $21,333.33

In addition to the interest expense, the company will need to amortize the discount on the bonds over the 10-year life of the bonds. The annual amortization would be $8,000 / 10 years = $800 per year.

For the first year, the company would amortize the discount for 8/12 of a year, which is:

$800 x 8/12 = $533.33

Therefore, the total interest expense for the year, including discount amortization, would be:

$21,333.33 + $533.33 = $21,866.67

Hence, the interest expense in the company's income statement for the year ended December 31, including discount amortization, will be $21,866.67.

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What is behavioral segmentation in marketing?

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Behavioral segmentation is a marketing strategy that divides a market into smaller groups based on how consumers behave towards, use or respond to a product, service, or brand.

It is a way to understand customer behavior and tailor marketing efforts based on those behaviors.

Behavioral segmentation typically involves analyzing a variety of factors, such as usage rate, product benefits sought, brand loyalty, occasion and timing of purchase, and user status. By understanding these behaviors, companies can create more targeted marketing campaigns that are better suited to the specific needs and preferences of their customers.

For example, a company may use behavioral segmentation to target customers who purchase their products frequently, or who tend to buy their products in response to a specific need or occasion.

Overall, behavioral segmentation can be a powerful tool for companies looking to create effective marketing campaigns and build stronger relationships with their customers.

By understanding the specific behaviors and preferences of their customers, companies can create more targeted and effective marketing campaigns that drive better results and ultimately improve their bottom line.

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on november 10, jumpstart co. provides $2,030 in services to clients. at the time of service, the clients paid $770 in cash and put the balance on account. question content area a. journalize the performance of these services. if an amount box does not require an entry, leave it blank.

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Account Receivable Debit $1260, Cash Credit $770 and Service Revenue Credit $2030.

The journal entry to record the performance of services on November 10 is as follows:

Date            Account                     Debit       Credit

November 10    Accounts Receivable                        $1,260

November 10    Cash                             $770

November 10    Service Revenue     $2,030

Accounts Receivable is debited to recognize the amount that the clients owe to Jumpstart Co. for the services provided on account  ($2,030 - $770 = $1,260).Cash is credited for the amount of cash received from the clients.Service Revenue is credited for the total amount of services provided ($2,030).

The journal entry would be:

    Accounts Receivable    Debit  $1,260

    Cash                               Credit  $770

    Service Revenue           Credit $2,030

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your campaign about chest pains is complete, and research shows that you were most successful at reaching people who were already fairly well informed about heart attack warning signs. unfortunately, low-income individuals at highest risk for heart attacks were not as influenced by the campaign. this is an example of:

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Your campaign about chest pains is complete, and research shows that you were most successful at reaching people who were already fairly well informed about heart attack warning signs. unfortunately, low-income individuals at highest risk for heart attacks were not as influenced by the campaign. this is an example of the knowledge gap Hypothesis .

What functions does the gap hypothesis?

According to the seismic gap hypothesis, particular faults or plate boundaries become more earthquake-prone the longer it has been since a significant earthquake. The seismic gap hypothesis was applied to earthquake forecasting by McCann et al. in one of the first and most straightforward ways.

What is an example of the knowledge gap theory?

Communication abilities—An educated person will most likely be able to explain themselves considerably better than someone without a formal education.

                                   The communication skills required for effective communication are substantially better in the educated person. Knowledge levels and socioeconomic status are positively associated, with educational attainment levels serving as a common operationalization.

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the primary objective of financial reporting is to provide information: multiple choice 1 about a firm's management team. useful to capital providers. concerning the changes in financial position resulting from the income-producing efforts of the entity. about a firm's financing and investing activities.

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Option B. Useful to capital providers. The primary objective of financial reporting is to provide useful information to capital providers.

This includes investors, creditors, and other stakeholders who rely on financial statements to make informed decisions about the allocation of their resources. The information provided through financial reporting includes a firm's financial position, performance, and changes in financial position resulting from its income-producing activities, financing, and investing activities. Financial reporting is necessary to ensure transparency, accountability, and good governance, and it helps to promote efficient capital markets. Therefore, financial reporting must be reliable, relevant, comparable, and understandable to be of value to capital providers.

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Complete question:

The primary objective of financial reporting is to provide information:

A. about a firm's management team

B. useful to capital providers

C. concerning the changes in financial position resulting from the income-producing efforts of the entity

D. about a firm's financing and investing activities.

suke used to be a music teacher at a local high school, but got let go last year due to budget cuts. suke now works part-time as a waitress while looking for another teaching job. suke is:

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Suke is a dedicated and experienced music teacher who experienced job loss due to budget cuts in their previous school. Currently, they are working part-time as a waitress to make ends meet while actively searching for another teaching opportunity.

Suke is an individual who previously worked as a music teacher at a local high school. Unfortunately, they lost their job due to budget cuts. As a result, Suke has had to find alternative employment and is now working part-time as a waitress while continuing to search for another teaching job. This situation highlights the challenges faced by many individuals in today's workforce, particularly those in the education sector, who may face job loss due to budget cuts or other reasons beyond their control. Despite these setbacks, Suke is persevering and is actively seeking new employment opportunities to support themselves and pursue their passion for teaching. This resilience and determination are characteristics that will serve Suke well as they navigate their career journey.

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the bradford company issued 12% bonds, dated january 1, with a face amount of $96 million on january 1, 2024. the bonds mature on december 31, 2033 (10 years). for bonds of similar risk and maturity, the market yield is 14%. interest is paid semiannually on june 30 and december 31. required: 1. determine the price of the bonds at january 1, 2024. 2. to 4. prepare the journal entries to record their issuance by the bradford company on january 1, 2024, interest on june 30, 2024 (at the effective rate) and interest on december 31, 2024 (at the effective rate). note: use tables, excel, or a financial calculator. (fv of $1, pv of $1, fva of $1, pva of $1, fvad of $1 and pvad of $1)

Answers

To determine the price of the bonds at January 1, 2024, we need to calculate the present value of the future cash flows using the given market yield of 14%.

First, we need to determine the semi-annual coupon payment. The annual coupon payment is 12% of the face amount, which is $96 million x 12% = $11.52 million. The semi-annual coupon payment is $11.52 million / 2 = $5.76 million. We can use the following formula to calculate the present value of the bonds:

PV = (C / i) x [1 - (1 / (1 + i)^n)] + (F / (1 + i)^n)

Where:

PV = Present value of the bonds

C = Coupon payment

i = Market yield / 2 (semi-annual rate)

n = Number of periods

F = Face value of the bonds

Using the above formula, we can calculate the present value of the bonds:

PV = ($5.76m / 0.07) x [1 - (1 / (1 + 0.07)^20)] + ($96m / (1 + 0.07)^20) = $52,829,152.84

Therefore, the price of the bonds at January 1, 2024, is $52,829,152.84.

Journal entries:

To record issuance of bonds on January 1, 2024:

Cash $52,829,153

Bonds payable $52,829,153

Interest on June 30, 2024, with effective rate:

Interest expense $3,698,041.71

Bonds payable $2,062,078.29

Cash $1,635,963.42

Calculation of interest expense:

Carrying value of bonds at beginning of period = PV of future cash flows at issuance = $52,829,152.84

Effective interest rate = 14% / 2 = 7%

Interest expense = $52,829,152.84 x 7% = $3,698,041.71

Interest on December 31, 2024, with effective rate:

Interest expense $4,298,183.51

Bonds payable $2,062,078.29

Cash $2,236,105.22

Calculation of interest expense:

Interest expense = carrying value of bonds at beginning of period x effective interest rate

Carrying value of bonds at beginning of period = carrying value of bonds at end of June 30, 2024 = $50,766,074.55

Effective interest rate = 14% / 2 = 7%

Interest expense = $50,766,074.55 x 7% = $3,537,623.22

Interest expense for the period = $3,537,623.22 + $760,560.29 (amortization of discount) = $4,298,183.51

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the part of marketing that involves fulfilling the desires and expectations of customers is called .

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The part of marketing that involves fulfilling the desires and expectations of customers is called "customer satisfaction."

The part of marketing that involves fulfilling the desires and expectations of customers is called "customer satisfaction." It is a crucial aspect of marketing that focuses on delivering products or services that meet or exceed customers' expectations, resulting in positive customer experiences and loyalty. By meeting customers' needs and desires, businesses can build a strong brand reputation and achieve long-term success. Customer satisfaction is a term used to describe how well a product or service meets the expectations and needs of customers. It refers to the level of contentment customers feel after purchasing and using a product or service. Customer satisfaction is a critical aspect of business success, as satisfied customers are more likely to become repeat customers, recommend the product or service to others, and leave positive reviews or feedback.

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in which step of the career management process would human resource professionals specify the knowledge they want an employee to develop?

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Human resource professionals would explain the knowledge they really need an employee to learn while setting goals as part of a career management process.

How do you manage your career using the four skills?

These are so-called career management skills: Self-awareness. awareness of the labor market Employability.

What aims does career management pursue?

Programs for occupational management assist in recognizing the abilities and interests of employees. These programs' primary goal is to identify and enhance employees' skill sets in order to connect them to organizational goals.

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In general, progressives differed from labor and farm advocates because the progressives:________

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In general, progressives differed from labor and farm advocates because the progressives were mostly middle-class urban reformers.

What are progressives?

Progressives advocate for increased social and economic equality as well as advancement in feminism and homosexual rights. They also support government-run social programs, and they want social movements to have more influence in the US.

What philosophies did Progressives hold?

Progressives were those who supported the notion of human advancement and the virtues of democracy. They believed that society should be built on the idea of human rights and that it is the responsibility of the state to ensure the wellbeing of its citizens.

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you will need $95,000 at the end of each of the next 8 years, and your parents will deposit a sum of money sufficient to provide you with the needed 8 withdrawals (i.e., $95,000 each). your bank will be paying 4.00% annual interest. a) how large of a deposit must your parents make today? (1 point) b) how much will you have in the account immediately after you make the withdrawal in year 3? (1 point) c) how much will you have in the account immediately after you make all the withdrawals including the last one in year 8? (1 point) d) suppose that you are making no withdrawal at all over the 8-year period. how much will you have in the account at the end of year 8? (1 point)

Answers

The deposit must your parents make today is $639610.76. The Balance in the account after 3rd withdrawal is $422923.12.

What is Future value?

Future value is a sum of money invested today that will become in future time, at a rate of interest.

Future Value of the deposited Amount,

Future Value after 8 years = Amount deposited * ( 1 + r) ^ n

n = Number of Years = 8

r = Interest Rate = 4%

Future Value after 8 years = $639610.76 * ( 1 + 4%) ^ 8

Future Value after 8 years = $639610.76 * 1.3686

Future Value after 8 years = $875351.49

Therefore, The deposit must your parents make today is $639610.76.

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at the end of the current year, james company reported total liabilities of $312,000 and total equity of $112,000. the company's debt ratio was:

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Debt Ratio is a financial ratio that indicates the percentage of a company's assets that are provided via debt. It is the ratio of total debt and total assets.

What is the meaning of the Debt ratio?

A financial measure called the debt ratio shows what proportion of a company's assets are financed by debt. It measures how much debt to assets there is overall.

A decent debt-to-income ratio is often between 1 and 1.5. The appropriate debt-to-equity ratio will, however, vary by business, as some employ more debt financing than others. Capital-intensive businesses with higher ratios that can exceed 2 include the financial as well as manufacturing sectors.

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kent, co. filed a voluntary bankruptcy petition on august 15, 20x5 and the statement of affairs reflects the following accounts: assume that the assets are converted to cash at the estimated current values and the business is liquidated. what amount of cash will be available to pay unsecured non-priority claims?

Answers

The amount of cash available to pay unsecured non-priority claims is P250,000.

How do you determine the amount of cash available?

To determine the amount of cash available to pay unsecured non-priority claims, we need to calculate the total amount of cash that can be realized from the assets, which is the sum of the estimated current values of the assets.

Total estimated current value of assets = P370,000 + P120,000 + P320,000 = P810,000

Next, we need to subtract the claims of secured and priority creditors from the total estimated current value of the assets to arrive at the amount of cash available to pay unsecured non-priority claims.

Claims of secured creditors = P370,000 + P120,000 = P490,000

Claims of priority creditors = P70,000

Total claims of secured and priority creditors = P560,000

Amount of cash available to pay unsecured non-priority claims = Total estimated current value of assets - Total claims of secured and priority creditors

= P810,000 - P560,000

= P250,000

Therefore, the amount of cash available to pay unsecured non-priority claims is P250,000.

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suppose that your income remains unchanged, but the price of gasoline decreases. you can afford to purchase more gasoline, because there has been:

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The Demand curve shows the relationship between the price of a good or service and the quantity demanded over a period of time.

Demand curves can be used to determine the price-to-volume relationship for an individual consumer or for all consumers in a given market. When income stays the same but the price of gas goes down.

They can afford to buy more gas because there has been downward movement along the existing demand curve, partly explained by the income effect. When gasoline prices fall, demand for large cars increases; This is how the market shows the big car market.

Demand for large cars is shifting to the right due to lower prices, resulting in higher consumption of gasoline cars. Greater demand for cars with existing supply will increase their prices.

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why do firms in a sweezy oligopoly resist changing their prices so long as marginal cost remains within a certain range?

Answers

Firms in a sweezy oligopoly resist changing their prices so long as marginal cost remains within a certain range due to the effect of price changes on the behavior of rival firms.

What happens if an oligopoly has more companies in it?

As the number of firms increases in an oligopoly market, the product price declines and becomes closer to the marginal cost. As a result, in an oligopoly market, the size of the pricing effect reduces as the number of firms increases.

What transpires in an oligopoly in terms of prices?

An oligopoly can prevent new competitors from entering the market, stifle innovation, and raise prices, all of which are detrimental to consumers. Instead than collecting prices from the market, companies in an oligopoly determine pricing, whether collectively—in a cartel—or under the direction of one enterprise.

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a storm destroys half the fava bean crop. is this event more likely to hurt fava bean farmers if the demand for fava beans is very elastic or very inelastic? explain. g

Answers

If the demand for beans is particularly elastic, destroying half of the bean harvest is likely to hurt the pea farmers.

When a crop is cut in half, the supply curve shifts to the left, increasing bean prices. An increase in pricing causes a fall in overall revenue when demand is very elastic because the reduction in the required quantity outweighs the price rise. A change in buyers' and sellers' behaviour in reaction to a change in the price of a good or service is referred to as elastic behaviour in economics. In other words, the degree to which demand for a thing or service changes as its price rises or falls, is what is known as its demand elasticity or inelasticity.

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in his theory of absolute advantage, adam smith advocated that __________ should determine what a country imports and what it exports.

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In his theory of absolute advantage, Adam Smith advocated that a country's ability to produce a particular good more efficiently than other countries should determine what it exports and what it imports.

He believed that this specialization would lead to increased productivity and economic growth, benefiting both trading partners. By specializing in the production of goods in which they have an absolute advantage, countries can trade with each other and benefit from the gains of trade.

For example, if a country has an absolute advantage in producing cars, it can produce cars at a lower cost and more efficiently compared to other countries. Another country may have an absolute advantage in producing textiles.

By specializing in the production of cars and textiles respectively, both countries can trade with each other and benefit from the resulting gains in productivity, output, and wealth. Smith's theory of absolute advantage laid the foundation for international trade theory and provided a rationale for free trade.

According to this theory, trade should be based on the principle of comparative advantage, which means that countries should produce and trade goods in which they have a comparative advantage, even if they do not have an absolute advantage.

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normally we care about the irr for the equity investors in an lbo - the pe firm that buys the company - but how do we calculate the irr for the debt investors?

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The Internal Rate of Return (IRR) for the debt investors in an LBO is calculated by taking the total cash flows for the debt investment.

Determining what rate of return would make those cash flows equal to the amount of the initial debt investment. This can be calculated using a financial calculator, or by finding the IRR using a spreadsheet program such as Excel. A statistic used in capital planning to determine the profitability of possible investments is the internal rate of return (IRR). A discount rate known as the internal rate of return reduces the net present value (NPV) of all future cash flows from a certain project to zero. The terms "economic rate of return" and "discounted cash flow rate of return" are occasionally used to refer to IRR. The term "internal" denotes the exclusion of outside variables from the computation, such as the cost of capital or inflation. Up next. IRR. Internal Rate Of Return Modified. Operational risk is included in IRR leveraged together with financial risk.

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Fill The Blank? industries that convert raw materials into homogeneous products typically use_______

Answers

Industries that convert raw materials into homogeneous products typically use continuous processing.

What is continuous processing?

Continuous processing is a manufacturing method that involves a continuous flow of raw materials through a series of processing steps, without interruption. It is commonly used in industries such as chemicals, oil and gas, food and beverage, and pharmaceuticals, where large quantities of homogeneous products are produced.

In a continuous processing system, raw materials are fed into the system at one end and the finished product is collected at the other end, with a series of processing steps taking place in between.

The system is designed to operate continuously, with minimal downtime for maintenance or changeovers. This allows for high levels of efficiency and productivity, as well as consistent product quality.

Continuous processing systems are often highly automated, using advanced control systems and sensors to monitor and adjust the various processing parameters. This helps to ensure that the product meets the desired specifications and quality standards.

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ophra invested well and plans to retire now because she has $2,300,000 in her tax-deferred ira account. how long will she be able to withdraw $125,000 per year (beginning 1 year from now) if her investments earn at a rate of 4% per year? solve using factors and the nper function.x

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The result is approximately 21.85 years. Therefore, Oprah will be able to withdraw $125,000 per year for approximately 21.85 years (beginning 1 year from now) if her investments earn at a rate of 4% per year.

To calculate the number of years that Oprah will be able to withdraw $125,000 per year, we can use the present value formula for an annuity:

[tex]PV = Payment x [(1 - (1 + r)^-n) / r][/tex]

where PV is the present value of the annuity, Payment is the annual payment, r is the interest rate, and n is the number of periods (in this case, the number of years).

We want to solve for n, so we can rearrange the formula as follows:

[tex]n = -ln(1 - PV x r / Payment) / ln(1 + r)[/tex]

Plugging in the values given, we get:

PV = $2,300,000

Payment = $125,000

r = 0.04

Using these values, we can calculate the number of years using the NPER function:

=NPER(0.04, -125000, 2300000, 0, 1)

The result is approximately 21.85 years. Therefore, Oprah will be able to withdraw $125,000 per year for approximately 21.85 years (beginning 1 year from now) if her investments earn at a rate of 4% per year.

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Which solution best illustrates an effect of globalization?

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Answer:

C. A musican from Ethiopia has fans all over the world.

the world income appreciation fund has current assets with a market value of $7.1 billion, 535 million shares outstanding, and a current market price quotation of $14.35. calculate the front-end load. (do not round intermediate calculations. enter your answer as a percent rounded to 2 decimal places.)

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The front-end load is 6.88%. Enter your answer as a percent rounded to 2 decimal places.

NAV = Market Value / Number of shares outstanding

Market Value = $7.1 b = $7100 million

Number of shares = 535 million

=> NAV = 7100 / 535 =  $13.27

Current Market Price = $14.35

Hence, Front End Load = (Market Price - NAV)/Market Price * 100% = (14.25 - 13.27)/14.25 *100% = 6.88%

Earnings are difficult to outline conceptually and the definition can be extraordinary for the duration of fields. for instance, a person's income in a financial experience may be unique from their income as described with the resource of the regulation.

A very essential definition of income is Haig–Simons earnings, which defines earnings as intake + trade-in internet truly worth and is widely applied in economics. For households and individuals within America, income is defined with the useful resource of tax law as a sum that consists of any earnings, earnings, profit, interest rate, rent, or some other shape of earnings acquired in a calendar year. Discretionary earnings are frequently described as gross profits minus taxes and special deductions (e.g., compulsory pension contributions), and are broadly used as a basis to take a look at the welfare of taxpayers.

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ou are trying to figure out how a team member prefers to receive positive recognition. which interpersonal skill can you use to make this dete

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One interpersonal skill that can be used to determine how a team member prefers to receive positive recognition is active listening.

An Active listening is a communication skill that involves fully concentrating on, understanding, and responding to what the other person is saying. By actively listening to a team member, you can pick up on subtle cues in their communication style and behavior that may indicate how they prefer to receive positive recognition. By using active listening, you can better understand a team member's preferences for positive recognition and tailor your approach to meet their needs. This can help to strengthen relationships, improve motivation and engagement, and ultimately lead to better performance and outcomes for the team. To use active listening to determine a team member's mortgage preference for positive recognition, you could Ask open-ended questions, Pay attention to nonverbal cues and Paraphrase and reflect.

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felicia and bernard have decided to go into the quarry business together. they start by writing an agreement that explains the parameters of the business they will own and the responsibilities and roles each of them will have in the business. they have created a(n) .

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Examples of typical partnership businesses are law firms, medical groups, real estate investment firms, and accounting groups.

What are the different types of partnerships?

There are four different types of business partnerships:

collaborating as an LLC (also known as a multi-member LLC)

Limited-risk enterprise (LLP)

restricted alliance (LP)

common alliance (GP)

What distinguishes simple from compound partnerships?

When two or more people invest their money in a firm, those individuals are referred to as Partners, their relationship is a Partnership, and the money is Capital. If both partners make an investment at once, the relationship is referred to as a simple partnership. If they put money aside for a future date, they create a compound partnership.

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