If the variable cost per unit increases while the selling price per unit and the fixed costs remain the same, how would you expect the change in variable costs to affect (i) profit (assuming sales vol

Answers

Answer 1

If the variable cost per unit increases while the selling price per unit and fixed costs remain the same.

The change in variable costs is likely to affect profit as follows:

(i) Profit: The increase in variable costs would cause a decrease in the contribution margin per unit. Contribution margin is the difference between the selling price per unit and variable cost per unit. When variable costs increase, contribution margin decreases, and profit margins reduce. Thus, the overall effect on profit would depend on the extent of the increase in variable costs, the sales volume, and the price elasticity of demand.

Assuming that sales volume remains constant, the increase in variable costs would lead to a decrease in operating income and net profit. This is because the higher variable costs per unit would reduce the contribution margin per unit, ultimately leading to lower profits.

However, if the company can increase its selling price per unit without negatively affecting the sales volume, it may be able to offset the increase in variable costs. Alternatively, if the company can decrease its fixed costs or increase sales volume, it may also be able to offset the impact of increased variable costs on overall profitability.

Learn more about selling price here:

https://brainly.com/question/32014637

#SPJ11


Related Questions

According to Department for Transport, there were an estimated 1,580 road deaths in the year ending June 2020 in the UK. The risk of dying in a road accident depends on many things including how often a person drives, where they drive, and their level of driving experience. a) Outline the main arguments in favour of using contingent valuation to place a monetary value on the reduction of road accident fatalities. What are the difficulties that may be (13 marks) encountered when doing so? b) Explain the concept of the Value of Statistical Life and how it might be used in policymaking (12 marks) applied to preventing road traffic accidents.

Answers

a) The main arguments in favor of using contingent valuation to place a monetary value on the reduction of road accident fatalities are as follows:

Economic Evaluation: Placing a monetary value on the reduction of road accident fatalities allows policymakers to compare the costs and benefits of different safety interventions. It helps in assessing the cost-effectiveness of various measures and prioritizing resources accordingly.Resource Allocation: Monetary valuation helps in allocating limited resources efficiently by identifying the most cost-effective interventions. It provides policymakers with information on the potential benefits of investing in road safety measures and allows them to make informed decisions.Public Preferences: Contingent valuation captures individuals' willingness to pay (WTP) for reducing the risk of road accidents. It considers the preferences of the public and incorporates their values into decision-making. This approach ensures that policies align with the priorities and concerns of the society.

To know more about accident click the link below:

brainly.com/question/4352374

#SPJ11

nges to this answer, Question 5 of Question 5 10 points The South African government has embarked on a deep sea exploration project in search of oil. This is part of the government efforts to reduce reliance for fuel on global suppliers whose prices keep shifting and distabilises the economy. BP Shell has already discovered that there is enough oil to sustain viable operation and a willing to take the initiative. They are wiling to enter into a contract with the government. This is the first of its king and the exact nature, cost and its scope is not clearly understood. This is a highly risk project and the government is very keen to ensure that the project is a success. Contacta contract-risk analysis of the project citing the potential contract related risks that the company might come across in the project. [10] For the toolbar, press ALT+F10 (PC) or ALT+FN+F10 (Mac)

Answers

Contract-Risk [CSI] Analysis for the Deep Sea Exploration Project:

Ambiguity and Uncertainty: The lack of clarity and understanding regarding the exact nature, cost, and scope of the project could lead to potential contract-related risks.

Price Volatility: While the objective of reducing reliance on global suppliers is to stabilize the economy, the oil market itself is subject to price volatility.

Technological Challenges: Deep sea exploration is a complex and technically challenging endeavor. The project may encounter unforeseen technical difficulties, such as equipment failures, environmental factors, or difficulties in extracting oil from the deep sea.

Environmental and Regulatory Risks: Deep sea exploration carries inherent environmental risks, including the potential for oil spills and damage to marine ecosystems.

Operational and Logistical Issues: The project's success depends on efficient and effective operations, including logistics, supply chain management, and coordination between the government and BP Shell.

Geopolitical and Socioeconomic Factors: The success of the project may be influenced by geopolitical factors, including political stability, changes in government policies, or international disputes.

Contractual Disputes and Renegotiations: As the project progresses, there may arise the need for contract renegotiations due to changing circumstances, unforeseen challenges, or amendments to regulations.

Currency and Exchange Rate Risks: If the contract involves international transactions or payments in foreign currencies, fluctuations in exchange rates could impact the financial aspects of the project.

Learn more about CSI project here : brainly.com/question/28236375

#SPJ11

Which of the following best describes accruals?
A. The payments made to suppliers for materials. B. The amount due in an accounting period which is unpaid. C. A payment made in advance of the accounting period to which it relates. D. An amount shown on the income statement to cover overheads.

Answers

Accruals refer to the amount due in an accounting period that is unpaid. This best describes option B. Accruals represent expenses that have been incurred but not yet paid or revenues that have been earned but not yet received.

Accruals are an essential concept in accounting and represent the recognition of expenses or revenues before the associated cash transactions occur. Option B, "The amount due in an accounting period which is unpaid," accurately describes accruals.

Accruals occur when expenses have been incurred or revenues have been earned but have not yet been recorded as cash transactions. They are necessary to adhere to the accrual accounting principle, which states that financial transactions should be recognized when they occur, regardless of the timing of cash flows.

Accruals help provide a more accurate representation of a company's financial position and performance by matching expenses with the revenues they generate in a particular accounting period.

Accruals are typically recorded as adjusting entries at the end of an accounting period to ensure that financial statements reflect the economic reality of the business. They help prevent distortions in financial reporting and provide a more comprehensive view of a company's financial activities.

Learn more about payments here : brainly.com/question/8401780

#SPJ11

Why does the method in which a police officer conducts
themselves with the community he/she serves enhances like
likelihood in the overall success of the law enforcement
agency?

Answers

the way in which a police officer interacts with the community they serve has a direct impact on the success of the law enforcement agency.

Firstly, when police officers establish positive relationships and trust with the community, it fosters cooperation and collaboration. When community members trust the police and feel comfortable approaching them, they are more likely to report crimes, provide valuable information, and work together with law enforcement in addressing safety concerns. This cooperation leads to more effective crime prevention and resolution, ultimately improving the overall success of the law enforcement agency.

Secondly, community-oriented policing strategies emphasize the importance of partnerships between law enforcement and the community. By engaging in proactive and positive interactions with community members, police officers can gain a better understanding of the specific needs and concerns of the community. This knowledge allows law enforcement agencies to tailor their approaches and strategies to address the unique challenges and priorities of the community, increasing the likelihood of successful outcomes.

Learn more about community here:

https://brainly.com/question/28914034

#SPJ11

Quip Corporation wants to purchase a new machine for $290,000.
Management predicts that the machine will produce sales of $198,000
each year for the next 5 years. Expenses are expected to include
dire

Answers

Quip Corporation is considering the purchase of a new machine for $290,000. According to management's predictions, this machine is expected to generate annual sales of $198,000 for the next five years.

in addition to the sales revenue, the company anticipates incurring various expenses associated with the operation and maintenance of the machine.These expenses may include direct costs such as raw materials, labor, and any other expenses directly attributable to the production of the goods or services. Other potential expenses could encompass indirect costs like utilities, insurance, maintenance, and repairs.To accurately assess the profitability of the machine, it is crucial for Quip Corporation to estimate and deduct all relevant expenses from the projected sales revenue.

learn more about considering  here:

https://brainly.com/question/28144663

#SPJ11

Which of the following is not a type of predictable demand behavior? A. Trend B. Cycle C. Seasonality D. Random variation 23. One way to reduce the bullwhip effect is for supply chain members to A. Make ordering decisions independently of each other. B. Restrict information flows between supply chain members. C. Share demand forecasts with other supply chain members. D. Create demand forecasts independently of other supply chain members.

Answers

Predictable demand behavior refers to any regular pattern or trend in customer demand that a company can predict, and it includes trends, seasonality, and cycles.

However, unpredictable demand behavior like random variation is not predictable as it has no pattern or trend, it happens by chance and is often unexpected. Therefore, option D, Random Variation is not a type of predictable demand behavior.What is the bullwhip effect?The bullwhip effect is a phenomenon where small changes in demand or supply in the early stages of the supply chain are amplified as they move up the supply chain. As a result, inventory management, planning, and forecasting become challenging, making it difficult to maintain the optimal level of inventory to meet customer demand.One way to reduce the bullwhip effect is to share demand forecasts with other supply chain members. By sharing this information, all the members can plan their production and inventory levels accordingly. It can lead to better coordination, reduced inventory levels, and improved customer service.To summarize, Random variation is not a type of predictable demand behavior, while sharing demand forecasts with other supply chain members is a way to reduce the bullwhip effect.

To know more about bullwhip effect visit

https://brainly.com/question/32142645

#SPJ11

The current level of Standard & Poor's index is 4,438. The prospective dividend yield is 2%, and the interest rate is 4%. What is the value of a one-year futures contract on the index?

Answers

The value of a one-year futures contract on the S&P 500 index is $1,146,940.

Standard & Poor's 500 (S&P 500) is a stock market index that represents 500 large companies. It's used to track the performance of the US stock market. The price of a futures contract on the S&P 500 index is determined by calculating the expected future value of the index.

The expected future value of the index is calculated as:

Expected future value of index = Current index value * (1 + Interest rate) / (1 + Dividend yield)

The current level of the S&P 500 index is 4,438. The prospective dividend yield is 2%, and the interest rate is 4%.

Therefore, the expected future value of the index can be calculated as follows:

Expected future value of index = 4,438 * (1 + 0.04) / (1 + 0.02)Expected future value of index = 4,587.76The value of a one-year futures contract on the index can be calculated by multiplying the expected future value of the index by the futures price multiplier.

The futures price multiplier is a constant that represents the value of one point of the index. For example, if the multiplier is 50, then a one-point move in the index is worth $50.

The futures price multiplier for the S&P 500 index is 250. Therefore, the value of a one-year futures contract on the index can be calculated as follows:

Value of futures contract = Expected future value of index * Futures price multiplier

Value of futures contract = 4,587.76 * 250

Value of futures contract = $1,146,940

The value of a one-year futures contract on the S&P 500 index is $1,146,940.

To know more about stock index visit:

https://brainly.com/question/32064696

#SPJ11

The shape of the PPF curve illustrates... O A. Allocative inefficiency O B. Decreasing opportunity cost O C. Increasing opportunity cost O D. Allocative efficiency

Answers

The shape of the PPF curve illustrates increasing opportunity cost. Hence, the correct answer is option C.

The PPF (Production Possibilities Frontier) curve shows the various combinations of two goods that can be produced using available resources and technology. The shape of the PPF curve reflects the concept of increasing opportunity cost. This means that as an economy shifts resources from producing one good to another, the opportunity cost of producing more of the second good increases.

When resources are initially allocated to the production of one good, there is typically a low opportunity cost as resources are specialized and well-suited for that particular good. However, as more resources are shifted from the production of the first good to the second, they may not be as efficiently utilized or suited for the new production, resulting in a higher opportunity cost.

The PPF curve usually exhibits a concave shape, sloping outward from the origin. This convex shape indicates that the opportunity cost of producing more of one good increases as the production of the other good expands. Therefore, the correct answer is C. Increasing opportunity cost.

Learn more about PPF here: brainly.com/question/29098353

#SPJ11

which of the following are main issues of bonds? multiple choice u.s. treasury bonds municipal bonds all of these choices are correct. corporate bonds

Answers

Bonds are a fixed income investment, where an investor loans money to an entity, which borrows the funds for a defined period at a fixed interest rate.

The loan can be repaid at the end of the term along with the principal investment.Major issues of bonds are:Bond rating: Bond rating is a measure of the creditworthiness of a bond issuer and is used by investors to assess the probability of default. A bond with a low rating is considered more risky than a bond with a high rating, and investors may require a higher yield to compensate for the added risk.Interest rate risk: The risk that bond prices will fall when interest rates rise, and vice versa, is known as interest rate risk. As interest rates rise, the price of existing bonds falls in response to new, higher-yielding bonds being issued in the market. This can be harmful to an investor's total return, especially if they need to sell the bond before maturity.Credit risk: Credit risk refers to the risk that the issuer of a bond will default on its payments. Investors can assess credit risk by reviewing bond ratings issued by credit rating agencies, but these ratings are not a guarantee that the issuer will make all payments on time.Liquidity risk: Liquidity risk is the risk that an investor will be unable to sell a bond when they need to, or will have to sell it at a lower price than they paid for it, due to a lack of market demand for the bond. In some cases, investors may be unable to sell the bond at all.All of the above options, US treasury bonds, municipal bonds, and corporate bonds, are all types of bonds and are therefore all subject to the main issues of bonds mentioned above.

To know more about Bonds visit

https://brainly.com/question/31388849

#SPJ11

Give 3 arguments in support of globalization and 2 areas of concern due to globalization please give clear examples for each argument

Answers

Globalization refers to the interconnectedness of people, businesses, and governments around the world that has emerged due to advances in communication and transportation technology.

Globalization has numerous advantages, including the creation of new markets, increased efficiency, and the promotion of cultural exchange. At the same time, it raises issues, such as environmental concerns and the exploitation of cheap labor. Let's take a look at the three advantages of globalization and two areas of concern, and provide examples for each.Advantages of Globalization:1. Increased Efficiency: Globalization has increased efficiency in many sectors of the economy, resulting in lower costs for businesses and consumers. Companies can now source raw materials and labor from across the world and produce goods more efficiently. For example, if a company needs steel for its products, it can purchase it from a steel manufacturer located anywhere in the world, making it easier to get the materials required for production.2. New Markets: Globalization has created new markets for goods and services, opening up opportunities for businesses to expand their operations. With the rise of the internet and other communication technologies, companies can now reach consumers in remote locations around the world. For example, a small clothing manufacturer in India can now sell its products to customers in the United States through online retailers such as Amazon.

To know more about  Globalization visit:

https://brainly.com/question/32660255

#SPJ11

As used in the hotel industry, what is another name for "ancillary revenue? a. Marketing-related revenue b. Meeting room revenue c Food and beverage revenue d. Non-room revenue As the first step in the hospitality business cycle, a hospitality operation uses its cash or credit reserves to :
a. produce finished goods b. generate accounts receivable c create profits d. purchase products for resale to guests The Hubbart formula is a bottom-up method for calculating a targeted ADR because to do so managers must prepare a. a manager's daily from the bottom up b. a balance sheet from the bottom up c. an income statement from the bottom up d. a statement of cash flows from the bottom up

Answers

Another name for "ancillary revenue" in the hotel industry is "non-room revenue" (option d).

The first step in the hospitality business cycle, where a hospitality operation uses its cash or credit reserves, is to "purchase products for resale to guests" (option d).

The Hubbart formula is a bottom-up method for calculating a targeted Average Daily Rate (ADR) because to do so, managers must prepare "an income statement from the bottom up" (option c).

Ancillary revenue refers to additional revenue streams generated by a hotel apart from the room rates. It includes revenue from various sources like food and beverage sales, meeting room rentals, spa services, parking fees, etc. The term "non-room revenue" is commonly used as another name for ancillary revenue.

In the hospitality business cycle, the initial step involves utilizing the cash or credit reserves of a hospitality operation. This is typically done by purchasing products that will be resold to guests. These products can include food and beverages, toiletries, amenities, souvenirs, and other items provided to enhance the guest experience.

The Hubbart formula is a method used to determine a targeted Average Daily Rate (ADR) for a hotel. The formula considers various factors such as operating costs, desired profit margin, and anticipated occupancy rate. To calculate the ADR using the Hubbart formula, managers need to prepare an income statement from the bottom up, taking into account all relevant expenses and revenue streams.

In summary, another name for "ancillary revenue" in the hotel industry is "non-room revenue." The first step in the hospitality business cycle involves using cash or credit reserves to purchase products for resale to guests. The Hubbart formula is a bottom-up method used to calculate a targeted ADR, and managers need to prepare an income statement from the bottom up to utilize this formula effectively.

To know more about ancillary revenue, visit :

https://brainly.com/question/28098357

#SPJ11

Put yourself in the position of the vice-president of Genexis and structure the debate on how to approach the primary issue he is facing, namely, how they are going to get cooperation from all the supply chain participants.
2. Analyze the general supply chain management issue: do you think Genexis could manage to launch successful initiatives to perform in other market segments, such as the confectionery industry, which have a similar structure? What kind of problems do you foresee with the broadening of their services in this way?
3. What major competencies should Genexis maintain and develop to grow in its current market? What strategic alliances, if any, should Genexis create to establish its VAN or service supply network?

Answers

As the vice-president of Genexis, my primary issue is how to get cooperation from all the supply chain participants. The debate should be structured around identifying the key issues that are preventing cooperation and finding ways to address them.

One way to approach this issue is to establish better communication channels with all the participants. By doing this, we can identify the needs and concerns of all the parties involved and address them accordingly. We can also offer incentives to encourage participation in the supply chain network, such as discounts for suppliers who agree to provide their products through our VAN.Analyzing the general supply chain management issue, it is possible for Genexis to launch successful initiatives to perform in other market segments, such as the confectionery industry, which have a similar structure. However, there are several potential problems that we may face when broadening our services in this way, including increased competition, supply chain disruptions, and the need to develop new capabilities.Major competencies that Genexis should maintain and develop to grow in its current market include efficient supply chain management, effective communication with suppliers and customers, and strong data analytics capabilities. To establish our VAN or service supply network, we should consider forming strategic alliances with other companies in the industry that share our vision and values. These alliances could help us to expand our reach and develop new capabilities, while also enhancing our reputation and credibility in the market.

To know more about cooperation visit:

https://brainly.com/question/32223823

#SPJ11

ou have just made your first $4,500 contribution to your individual retirement account. assume you earn an annual return of 11.3 percent and make no additional contributions.

Answers

The future value of an individual retirement account with an annual return of 11.3% and $4,500 in contribution t is $23,201.22.

. A contribution of $4,500 with an 11.3 percent annual return would have a future value of $23,201.22, assuming no additional contributions.Step-by-step explanation:To begin the solution, we will apply the future value formula:Future value = Present value x (1 + rate of interest)ⁿThe given information in the question is the contribution amount $4,500. Thus, the present value of the investment is $4,500.Let us now look at the annual rate of return which is 11.3%. It is important to note that the rate of interest must be in decimal form to use in the formula. Thus, we convert 11.3% into a decimal by dividing it by 100.11.3/100 = 0.113Let us now look at the number of years for which the investment will grow. The question mentions no additional contributions.

Thus, we can assume that the contribution of $4,500 remains in the account for the long-term. The duration for this growth is not mentioned, and hence we can assume that the duration can be n years. Therefore, the future value of the investment will depend on the duration for which the investment remains in the account.Thus, the formula for future value of the investment is:Future value = Present value x (1 + rate of interest)ⁿFV = $4,500 x (1 + 0.113)ⁿWe can now calculate the future value of the investment. We have the present value of $4,500 and the rate of interest in decimal form which is 0.113. To calculate the duration for which the investment remains in the account, we can assume different time periods like 5 years, 10 years, 15 years, and so on. The duration is represented as ‘n’ years.Let us now calculate the future value of the investment for n = 10 years.FV = $4,500 x (1 + 0.113)¹⁰FV = $4,500 x (1.113)¹⁰FV = $23,201.22Therefore, the future value of the investment for n= 10 years is $23,201.22.

To know more about   individual retirement account  visit:

https://brainly.com/question/28505061

#SPJ11

An investment is be made with an initial capital of PHP 842693. It is expected that there will be an annual revenue for this investment of PHP 378213; while it also entitled to an annual operations nd maintenance cost of PHP 37315 and annual taxes of PHP 7289. Its salvage value at the end of its useful life (10 years) is PHP 13122. This investment has a MARR of 18% (same as interest rate). Determine the Annual Worth of the investment using Annual Worth Method. Given an interest rate of 4.3% compounded quarterly and the first payment of Php9697 was made at the end of the first quarter: Determine the present worth of the 12 quarterly payments wherein the succeeding quarterly payments increase by 7% of the first payment. (pls use complete decimal places within the solutions)

Answers

We can determine the annual worth of the investment. Annual Worth = PHP 378,213 - PHP 37,315 - PHP 7,289 + PHP 13,122 / (1 + 0.18)^10. Present Worth = PHP 9,697 × (1 - (1 + 0.043 / 4)^-12) / (0.043 / 4)

Annual Worth of the investment using Annual Worth Method:

To calculate the Annual Worth of the investment, we need to consider the annual revenue, annual operations and maintenance cost, annual taxes, salvage value, and the MARR (Minimum Acceptable Rate of Return) of 18%.

Annual Worth = Annual Revenue - Annual Operations and Maintenance Cost - Annual Taxes + Salvage Value (present worth)

Annual Revenue = PHP 378,213

Annual Operations and Maintenance Cost = PHP 37,315

Annual Taxes = PHP 7,289

Salvage Value (present worth) = PHP 13,122 / (1 + 0.18)^10 (to bring it to the present value)

Annual Worth = PHP 378,213 - PHP 37,315 - PHP 7,289 + PHP 13,122 / (1 + 0.18)^10

Present Worth of the 12 quarterly payments:

To calculate the present worth of the quarterly payments, we will use the formula for the present worth of an annuity:

Present Worth = Payment × (1 - (1 + interest rate / number of periods)^-number of periods) / (interest rate / number of periods)

First payment = PHP 9,697

Interest rate = 4.3% (converted to decimal: 0.043)

Number of periods = 12 (since there are 12 quarterly payments)

Present Worth = PHP 9,697 × (1 - (1 + 0.043 / 4)^-12) / (0.043 / 4)

Succeeding quarterly payments increasing by 7%:

To calculate the succeeding quarterly payments, we will increase each payment by 7% of the first payment.

First payment = PHP 9,697

Increase percentage = 7% (converted to decimal: 0.07)

Second payment = PHP 9,697 + PHP 9,697 × 0.07

Third payment = PHP 9,697 + PHP 9,697 × 0.07 × 2

Fourth payment = PHP 9,697 + PHP 9,697 × 0.07 × 3

And so on, until the twelfth payment.

By applying the Annual Worth Method, we can determine the annual worth of the investment. Additionally, by using the present worth formula, we can calculate the present worth of the 12 quarterly payments, considering the increasing pattern.

To know more about Investment visit:

https://brainly.com/question/29547577

#SPJ11

why did your blank have to contain po4 buffer and chloroplasts

Answers

The inclusion of PO4 buffer and chloroplasts in a particular experiment or process may be necessary to maintain a stable pH, provide essential nutrients, or study specific biological processes. The exact reasons for their inclusion will depend on the specific experimental design and goals.

The inclusion of PO4 buffer and chloroplasts in a particular experiment or process may be necessary for several reasons. PO4 buffer is commonly used in biological research as it helps to maintain a constant pH level in a solution. This is particularly important when working with biological molecules or cellular components, as changes in pH can lead to denaturation or degradation. Additionally, PO4 buffer provides a source of phosphate ions which are essential for many biological processes, such as DNA replication and energy production
Chloroplasts, on the other hand, are specialized organelles found in plant cells that are responsible for photosynthesis - the process by which plants convert light energy into chemical energy. Chloroplasts contain chlorophyll, which is essential for capturing light energy, and other pigments that help to absorb different wavelengths of light. Chloroplasts can be isolated from plant cells and used in experiments to study photosynthesis, or to investigate the effects of different environmental factors on plant growth and development.
In summary, the inclusion of PO4 buffer and chloroplasts in a particular experiment or process may be necessary to maintain a stable pH, provide essential nutrients, or study specific biological processes. The exact reasons for their inclusion will depend on the specific experimental design and goals.

learn more about inclusion

https://brainly.com/question/30436735

#SPJ11

Write a short note on functional teams. please use your own
words.

Answers

Functional teams are a type of work team that is composed of individuals with similar skills and expertise, such as a group of software developers, engineers, or marketing specialists. They are typically assembled to perform a specific function or project within an organization, and members collaborate to achieve a common goal.

Functional teams are different from cross-functional teams, in which individuals from different functional areas come together to solve problems or develop new products or services. In contrast, functional teams are organized around a specific function or skill set and are often responsible for tasks such as implementing new software or improving production processes. Functional teams are often created in organizations to optimize performance by leveraging the unique skills and expertise of team members. By working together, they can achieve objectives more effectively and efficiently than if they worked alone. Functional teams are often used in large organizations to achieve specific objectives, such as reducing costs, increasing efficiency, or improving quality.

To know more about Functional teams visit:

https://brainly.com/question/29741866

#SPJ11

A lumber company purchases and installs a wood chipper for $200,000. The chipper is classified as a MACRS 7-year property. Its useful life is 10 years. The estimated salvage value at the end of 10 years is $25,000. Using straight-line depreciation, the third year depreciation is: Enter your answer as: 12345 Round your answer. Do not use a dollar sign ("$"), any commas (", ") or a decimal point (".").

Answers

The third-year depreciation of the wood chipper, using straight-line depreciation, can be calculated by dividing the depreciable cost of the chipper by its useful life. The third-year depreciation of the wood chipper using straight-line depreciation is $52,500.

To determine the third-year depreciation using straight-line depreciation, we first need to calculate the depreciable cost of the wood chipper. The depreciable cost is the initial cost minus the estimated salvage value. In this case, it is $200,000 - $25,000 = $175,000.

Next, we divide the depreciable cost by the useful life of the chipper, which is 10 years, to find the annual depreciation expense. Therefore, the annual depreciation expense is $175,000 / 10 = $17,500.

Since we are calculating the third-year depreciation, we multiply the annual depreciation expense by the number of years elapsed, which is 3. Therefore, the third-year depreciation is $17,500 * 3 = $52,500.

Therefore, the answer is $52,500.

Learn more about depreciation here :

https://brainly.com/question/8194979

#SPJ11

-What online shopping companies (e-commerce) take into
consideration when looking at cultural/country differences?

Answers

Online shopping companies (e-commerce) take into consideration several cultural/country differences when expanding their business internationally. Some of these considerations include language, payment methods, shipping options, product selection, and local regulations.

Language is one of the most important considerations as e-commerce companies must ensure that their website content is translated into the local language. Payment methods can vary across different countries, so e-commerce companies need to provide multiple options to cater to local preferences. Shipping options must also be tailored to meet the specific needs of each country, such as offering faster delivery times or providing tracking information. The product selection must also be customized to meet the local demand, as different cultures have different tastes and preferences. Lastly, e-commerce companies need to comply with local regulations related to consumer protection, data privacy, and online transactions.

In summary, online shopping companies (e-commerce) must take into account various cultural/country differences to successfully expand their business internationally. They need to adapt to the local language, payment methods, shipping options, product selection, and regulations to ensure they provide a seamless shopping experience to their customers.

To know more about e-commerce visit:
https://brainly.com/question/31680922
#SPJ11

CORPORATE GOVERNANCE DEFINED The arguments for each of these alternatives are tenable but the nature and culture of the resultant board would be very different in each case, varying from a closely-knit team devoted to sound corporate governance (both performance and conformance) to a sort of adversarial parliament. Which is desirable is a philosophical issue hinging on what we expect companies to be and to do. 1 A classic case study Case study 2 The Sunbeam Corporation In 1996, Sunbeam, a US appliance manufacturer, was in serious financial trouble. Al Dunlap, known as Chainsaw Al' for his approach to cutting staff, was appointed to save the company. Over the next two years, the business reported dramatically improved results. Investors chased after the shares as the price rocketed. There was talk of a bid, which would make the investors, and particularly Dunlap and his colleagues, a lot of money. But no bid came. By 1998, some outside directors were uneasy and launched an inquiry. They did not like what they found and Mr Dunlap was fired. The SEC subsequently charged him, other senior executives, and the audit partner at Arthur Andersen, who had approved the accounts, with fraud. The SEC alleged that, d massive previous losses, which he wrote off, giving him a 'cookie on his arrival, Mr Dunlap identi jar' to dip into to inflate subsequent results. Then he shipped out more goods through his distribution channels than they could possibly sell, taking credit for the revenues, but pushing forward the problem to the next financial year. Returned goods were overlooked. Other efforts were made to boost sales artificially record numbers of outdoor barbecues were reported sold during the winter months. In 2001, Andersen agreed to pay US$110 million to the Sunbeam shareholders in settlement of a lawsuit alleging that the auditors had failed to identify the problem. Discussion questions 1. Directors have a fiduciary duty to protect the interests of shareholders. In this case, they apparently failed. Why? 2. When good results were posted and there was talk of a bid, the share price rocketed. But some of the independent outside directors were uneasy and launched an inquiry, which discovered a disastrous situation. How could this have been avoided? 3. Can directors rely on the report of the independent outside auditors? References and further reading Clarke, T. (2004 Theories of Corporate Governance Colley John L. et al (2005) What is Corporate Governance? McGraw Hill, New York Routledge London and New York. Colley Inhne al 2003) Corporate Governance? Davies, Adrian (1999) A Strategic Approach to Corporate Governance Gower, London. himy York. 51

Answers

Sunbeam's case has demonstrated that directors cannot rely solely on outside auditors. The board should take an active role in overseeing the accounting function and ensuring that appropriate controls and procedures are in place. The board should have taken the necessary steps to investigate the allegations made against Mr. Dunlap, who had a reputation for aggressive accounting practices.

Corporate Governance Defined Corporate Governance is a framework of rules, policies, systems, and procedures by which a company is directed and controlled. It deals with the power relations among management, board of directors, and external stakeholders. This framework provides a means for attaining a company's objectives, confirming that the company's structure is consistent with its objectives, developing means of managing risks, and evaluating performance.The Sunbeam CorporationIn 1996, Sunbeam, a US appliance manufacturer, was in serious financial trouble. Al Dunlap, known as Chainsaw Al' for his approach to cutting staff, was appointed to save the company. Over the next two years, the business reported dramatically improved results. Investors chased after the shares as the price rocketed. There was talk of a bid, which would make the investors, and particularly Dunlap and his colleagues, a lot of money. But no bid came.By 1998, some outside directors were uneasy and launched an inquiry. They did not like what they found, and Mr. Dunlap was fired. The SEC subsequently charged him, other senior executives, and the audit partner at Arthur Andersen, who had approved the accounts, with fraud. The SEC alleged that, after massive previous losses, which he wrote off, giving him a 'cookie jar' to dip into to inflate subsequent results, Mr. Dunlap identified returned goods that he had overlooked, made other efforts to artificially boost sales, and reported record numbers of outdoor barbecues sold during the winter months. In 2001, Andersen agreed to pay US$110 million to the Sunbeam shareholders in settlement of a lawsuit alleging that the auditors had failed to identify the problem.Discussion questions1. Directors have a fiduciary duty to protect the interests of shareholders. In this case, they apparently failed. Why?Ans: The board failed in the Sunbeam case. The board of Sunbeam comprised Al Dunlap, the CEO, his colleagues, and two outside directors who worked at investment banks. These two directors had no industry experience and were unlikely to provide any balanced perspective. The Sunbeam board did not have the necessary committees to fulfill its functions, did not have a lead director, and did not have a clear CEO/Chairman distinction.2. When good results were posted, and there was talk of a bid, the share price rocketed. But some of the independent outside directors were uneasy and launched an inquiry, which discovered a disastrous situation. How could this have been avoided?Ans: An effective board could have avoided the situation. The board should have had an active audit committee, compensation committee, and nominating and governance committee, which could have conducted background checks on directors and regularly reviewed the company's performance, provided the board with industry-specific advice, and provided a means of receiving feedback from shareholders.3. Can directors rely on the report of the independent outside auditors.

To know more about Sunbeam's case visit:

https://brainly.com/question/28640315

#SPJ11

Assume you have decided to buy a new house in Malibu that costs $922,000 (a bargain for that community). You want to get a conforming mortgage. Assuming no points, how much cash do you need to bring to the closing. Also, assume there are no other fees. The next 7 questions will work with this situation. How much is the mortgage for? [from the prior: Assume you have decided to buy a new house in Malibu that costs $922.000 (a bargain for that community). You want to get a conforming mortgage.] Staying with that same mortgage situation, your mortgage broker has offered you a couple of differing mortgage products. For now, let's work with mortgage A: a 30-year fixed-rate mortgage with a 6% rate and no points. What is the monthly payment? For this fixed-rate mortgage with no points (Mortgage A), what is the effective yield expressed in %? [From Prior Problem: For now, let's work with mortgage A: a 30-year fixed-rate mortgage with a 6% rate and no points.] Now, let's think about Mortgage B, a 30-year adjustable-rate mortgage with no points. Like the prior mortgage, it is a conforming mortgage. The interest rate offered is 5% and it resets after year 2 at 100 basis points over the 3-year Treasury. The annual rate increase is capped at 150 bps. What is the initial monthly payment? [From earlier: Assume you have decided to buy a new house in Malibu that costs $922,000 (a bargain for that community). You want to get a conforming mortgage.] How much do you owe on this mortgage on the two-year anniversary? On the second anniversary, the 3-year Treasury is trading at 5%. What is your new mortgage interest rate in %? Don't forget to include the impact of the cap if it is relevant. [From earlier: resets after year 2 at 100 basis points over the 3-year Treasury. The annual rate increase is capped at 150 bps.] Lastly, what is your new payment after the interest rate resets?

Answers

To calculate the mortgage amount, we need to subtract the down payment from the total cost of the house.

Given that the house costs $922,000 and assuming no other fees or points, the mortgage amount would be the remaining balance after the down payment is deducted.

If we assume that the down payment is made in cash, the mortgage amount would be:

Mortgage Amount = Total Cost of House - Down Payment

Since the question does not provide information about the down payment, we cannot calculate the exact mortgage amount. Please provide the down payment amount, and I can help you determine the mortgage amount.

Monthly Payment for Mortgage A:

For a 30-year fixed-rate mortgage with a 6% rate and no points (Mortgage A), the monthly payment can be calculated using the loan amount, interest rate, and loan term.

To calculate the monthly payment, we can use the following formula:

Monthly Payment = (Loan Amount * Monthly Interest Rate) / (1 - (1 + Monthly Interest Rate)^(-Number of Payments))

Using the provided details, we can substitute the values into the formula and calculate the monthly payment.

Please provide the loan amount (mortgage amount) for Mortgage A, and I can help you calculate the monthly payment.

Effective Yield of Mortgage A:

The effective yield of a mortgage is the annualized return that the lender receives from the mortgage investment. It takes into account the interest rate, loan term, and payment schedule.

To calculate the effective yield, we need to consider the monthly payment, loan amount, and loan term.

Please provide the loan amount (mortgage amount) for Mortgage A, and I can help you calculate the effective yield expressed as a percentage.

Initial Monthly Payment for Mortgage B:

For a 30-year adjustable-rate mortgage (Mortgage B) with no points, the initial monthly payment can be calculated based on the loan amount, initial interest rate, and loan term.

Please provide the loan amount (mortgage amount) for Mortgage B, and I can help you calculate the initial monthly payment.

Outstanding Mortgage Balance on the Two-Year Anniversary:

To determine the outstanding mortgage balance on the two-year anniversary, we need to know the payment history and the loan term. Without this information, we cannot calculate the exact outstanding balance. Please provide additional details to proceed with the calculation.

New Mortgage Interest Rate on the Second Anniversary:

The new mortgage interest rate on the second anniversary of Mortgage B depends on the movement of the 3-year Treasury rate and the cap on the rate increase.

Please provide the 3-year Treasury rate on the second anniversary, and I can help you calculate the new mortgage interest rate, considering the cap if applicable.

New Payment After Interest Rate Reset:

To determine the new payment after the interest rate reset, we need to know the outstanding mortgage balance, the new interest rate, and the remaining loan term. Without this information, we cannot calculate the exact new payment amount. Please provide additional details to proceed with the calculation.

Learn more about Mortgage amount here:

https://brainly.com/question/31781029

#SPJ11

A capitalized cost was computed to be $600,000. The structure includes some additional expenses of
$35,000 at the BEGINNING of each year for the next 15 years, a renewal cost of $100,000 would occur
in which the expected life of the structure is 5 years to begin at the end of 10 years. Another cost to
consider starting at the end of the 10 th year for 20 years, is expected amounting to $5,000. If interest
rate is 8% per year, determine the perpetual maintenance of the structure.

Answers

The perpetual maintenance cost of the structure can be determined using the given information. The expected cost of $5,000 per year for 20 years starting from the end of the 10th year needs to be discounted.

 

To calculate the perpetual maintenance cost of the structure, we need to consider the additional expenses and the expected life of the structure. The capitalized cost of $600,000 represents the initial investment in the structure. The additional expenses of $35,000 at the beginning of each year for the next 15 years should be accounted for by discounting them to their present value using the interest rate of 8%.  

Next, we consider the renewal cost of $100,000 that occurs at the end of 10 years. Since the expected life of the structure is 5 years starting from the end of 10 years, we can discount this cost as well. Finally, the expected cost of $5,000 per year for 20 years starting from the end of the 10th year needs to be discounted.

By calculating the present value of all these costs and adding them up, we can determine the total maintenance cost of the structure. This total cost represents the perpetual maintenance cost, taking into account the initial investment and all future expenses adjusted for the interest rate.

Learn more about cost here:

https://brainly.com/question/31517591

#SPJ11

BE eBook Chapter 2 Financial Planning Exercise 7 Funding a retirement goal Austin Miller wishes to have $200,000 in a retirement fund 30 years from now. He can create the retirement fund by making a single lump-sum deposit today. Use next table to solve the following problems. a. If upon retirement in 30 years, Austin plans to invest $200,000 in a fund that earns 8%, what is the maximum annual withdrawal he can make over the following 20 years? Round the answer to the nearest cent. Round PVA-factor to three decimal places. Calculate your answer based on the PVA-factor. $ Calculate your answer based on the financial calculator. $ b. How much would Austin need to have on deposit at retirement in order to withdraw $40,000 annually over the 20 years if the retirement fund earns 8%? Round the answer to the nearest cent. Round PVA-factor to three decimal places. Calculate your answer based on the PVA-factor. $ Calculate your answer based on the financial calculator. $ c. To achieve his annual withdrawal goal of $40,000 calculated in part b, how much more than the amount calculated in part a must Austin deposit today in an investment earning 8% annual interest? Round PVA-factor to three decimal places. Round your answer to the nearest cent. If an amount is zero, enter "0". $

Answers

The maximum annual withdrawal Austin can make over the following 20 years is $14,486.91, the amount he needs to have on deposit at retirement in order to withdraw $40,000 annually over the 20 years is $386,968.71, and the amount that Austin must deposit today is $372,482.31.

a. The present value of annuity (PVA) is $14.486.

Using a financial calculator, the maximum annual withdrawal Austin can make is $14,486.91. $14,486 is calculated based on the following formula:

PVA = Annual Withdrawal * PVA-factor

Maximum Annual Withdrawal = PVA / PVA-factor

Thus, maximum annual withdrawal that Austin can make over the following 20 years is $14,486.91.

b. The present value of annuity (PVA) is $386,968.

Using a financial calculator, the amount Austin needs to have on deposit at retirement in order to withdraw $40,000 annually over the 20 years is $386,968.71.

$386,968 is calculated based on the following formula:

PVA-factor = (1 - (1 + i)-n) / iPVA

= Annual Withdrawal * PVA-factor

Thus, the amount that Austin needs to have on deposit is $386,968.71.

c. The difference between the amount calculated in part b and part a must Austin deposit today in an investment earning 8% annual interest to achieve his annual withdrawal goal of $40,000.

The present value of annuity (PVA) is $386,968 - $14,486 = $372,482.

Using a financial calculator, the amount Austin must deposit today is $372,482.31. $372,482 is calculated based on the following formula:PVA-factor = (1 - (1 + i)-n) / iAmount to be deposited = PVA / (1 + i)n

Thus, the amount that Austin must deposit today is $372,482.31.

In the given problem, Austin Miller wishes to have $200,000 in a retirement fund 30 years from now. He can create the retirement fund by making a single lump-sum deposit today.

To know more about amount visit:

https://brainly.com/question/32453941

#SPJ11

Which of the following statements best define joint​ products?
Question content area bottom
Part 1
A. When a joint production process yields two or more products with high total sales values relative to the total sales values of other​ products, those products are called joint products.
B. Product of a joint production process that have the same sales value compared with the total sales value of the byproducts is called a joint product.
C. When one product has a high total sales value compared with the total sales value of other products of the​ process, that product is called a joint product.
D. When one product has a low total sales value compared with the total sales value of other products of the​ process, that product is called a joint product.

Answers

Joint products are products that are obtained from a single production process where two or more products are simultaneously produced. These products have a significant combined value compared to other products produced in the same process. The correct answer is option A. When a joint production process yields two or more products with high total sales values relative to the total sales values of other​ products, those products are called joint products.

Joint products are difficult to distinguish from each other as they are the result of the same production process. They are also known as "by-products.

" For instance, gasoline and diesel fuel are joint products as their production yields both products.

Similarly, milk and cream are joint products, with cream being obtained as a result of producing milk. T

he distinguishing characteristic of joint products is that they arise from a common production process and have substantial value relative to other products produced in that process.

Therefore, the  correct answer is option A. When a joint production process yields two or more products with high total sales values relative to the total sales values of other​ products, those products are called joint products.

Read more about Joint products

https://brainly.com/question/31953335

#SPJ11

"Transfer of training is influenced by which of the following
factors:
A.Organixational culture
B. Manager support
C.Diversity management policies
D. Employee selection programs"

Answers

The transfer of training is affected by several factors. Of these factors, diversity management policies and employee selection programs have an influence. As a result, the correct option is C and D.

Transfer of training is the application of the learned material in the actual job context. Transfer of training is a significant component of training and development because it ensures that learning has a genuine and quantifiable impact on work performance and behavior.

Transfer of Training Factors:

Organizational Culture: It is an important aspect of learning transfer. An organization's culture may either facilitate or impede transfer.Managerial Support: The employees must be provided with sufficient managerial support to ensure the transfer of training.Diversity Management Policies: Diversity management policies are critical in facilitating the transfer of training.Employee Selection Programs: Employee selection programs are used to identify candidates who are best suited for the training and development program's goals and objectives.

You can learn more about the transfer of training at: https://brainly.com/question/31719794

#SPJ11

anwer only
If the Federal Reserve wanted to expand the supply of money to head off a recession, it should: O decrease the reserve requirements. O lower taxes. O sell U.S. securities in the open market. O increas

Answers

If the Federal Reserve wanted to expand the supply of money to head off a recession, it should decrease the reserve requirements option A is correct answer.

The Federal Reserve is the central banking system of the United States. Its main objectives are to promote stable prices, maximize employment, and ensure the stability of the financial system. The Federal Reserve has the authority to conduct monetary policy, regulate and supervise banks, provide financial services, and maintain the stability of the payment systems. It plays a crucial role in influencing interest rates, controlling the money supply, and managing the overall stability of the economy.

To know more about Federal Reserve visit:

https://brainly.com/question/14700070

#SPJ11

The following unadjusted trial balance is for Wilson Construction Company at its June 30 current fiscal year-end. The credit balance of the Retained Earnings account was $98,000 on June 30 of the prio

Answers

The unadjusted trial balance for Wilson Construction Company shows a credit balance of $98,000 in the Retained Earnings account as of June 30 of the prior year-end.

The unadjusted trial balance is a statement that lists all the accounts and their balances before any adjustments are made. In this case, the trial balance for Wilson Construction Company at its June 30 current fiscal year-end shows that the Retained Earnings account has a credit balance of $98,000. The credit balance in the Retained Earnings account indicates that the company has accumulated net income over previous fiscal periods. Retained Earnings represents the cumulative profits or losses of the company that have been retained and reinvested in the business rather than distributed to shareholders as dividends.The information provided about the credit balance of $98,000 on June 30 of the prior year-end is important for financial analysis and decision-making. It allows stakeholders to assess the profitability and financial health of the company, as well as understand the amount of earnings that have been retained for future growth or distribution as dividends.

learn more about unadjusted here :

https://brainly.com/question/27752873

#SPJ11

The company depreciates motor vehicles on a straight-line basis.
Their expected useful life is six years.Each motor vehicle has a residual value of $5000.
For tax purposes, the motor vehicles depreciate at 20% per annum on a straight-line basis.
Accounting profit before tax (PBT) for the years 2015 to 2020 is $60000 per annum.
The tax rate is 12.5%.
Required
a. Calculations of current and deferred tax (5 marks)
b. Related figures to be included in the financial statements for the years 2015 to 2020 (5 marks)

Answers

a) Deferred tax liability = (Tax depreciation charge - Annual depreciation charge) x Tax rate = ($6,000 - $4,166.67) x 12.5% = $229.17

b) Balance sheet:

Deferred tax liability = $229.17 (to be carried forward from the previous year)

a. Calculation of current and deferred tax:

Year 2015:

Depreciation calculation:

Cost of motor vehicle = $30,000

Residual value = $5,000

Depreciable amount = Cost - Residual Value = $25,000

Annual depreciation charge = Depreciable amount / Useful life = $4,166.67

Tax depreciation rate = 20%

Tax depreciation charge = Cost x Tax depreciation rate = $30,000 x 20% = $6,000

Accounting profit before tax = $60,000

Taxable profit = Accounting profit before tax - Tax depreciation charge = $60,000 - $6,000 = $54,000

Current tax liability = Taxable profit x Tax rate = $54,000 x 12.5% = $6,750

Deferred tax liability = (Tax depreciation charge - Annual depreciation charge) x Tax rate = ($6,000 - $4,166.67) x 12.5% = $229.17

Year 2016 to 2020:

The same calculations can be applied to each year as follows:

Accounting profit before tax = $60,000

Taxable profit = Accounting profit before tax - Tax depreciation charge = $60,000 - $6,000 = $54,000

Current tax liability = Taxable profit x Tax rate = $54,000 x 12.5% = $6,750

Deferred tax liability = (Tax depreciation charge - Annual depreciation charge) x Tax rate = ($6,000 - $4,166.67) x 12.5% = $229.17

b. Related figures to be included in the financial statements for the years 2015 to 2020:

Year 2015:

Income statement:

Profit before tax = $60,000

Tax expense:

Current tax = $6,750

Deferred tax = $229.17 Net profit after tax = $52,020.83

Balance sheet:

Deferred tax liability = $229.17

Year 2016 to 2020:

Income statement:

Profit before tax = $60,000

Tax expense:

Current tax = $6,750

Deferred tax = $229.17 Net profit after tax = $52,020.83

Balance sheet:

Deferred tax liability = $229.17 (to be carried forward from the previous year)

Learn more about Balance sheet here:

https://brainly.com/question/28446946

#SPJ11

Please try to answer using less then 500 words. Briefly describe the aim of a competitive strategy.Outline the differences between a red ocean strategy and a blue ocean strategy and explain the limitations of the latter. Reflect about the challenges for a firm switching to a hybrid strategy in general and under the condition of a high bargaining adopting such a competitive strategy.

Answers

The aim of a competitive strategy is to establish a sustainable advantage over competitors within a particular market or industry. It involves making strategic choices regarding the allocation of resources, differentiation from competitors, and the overall positioning of the business.

A red ocean strategy refers to a competitive approach where firms operate within existing market spaces, competing fiercely for market share. In this strategy, the focus is on outperforming rivals by capturing a larger portion of the existing demand. On the other hand, a blue ocean strategy involves creating new market spaces or industries, where competition is limited or non-existent. The aim is to make competition irrelevant by offering innovative products or services that attract new customers.

While a blue ocean strategy can be appealing due to the potential for high growth and reduced competition, it does have limitations. First, identifying and successfully entering a new market space can be challenging. Second, the creation of a blue ocean requires substantial innovation and creativity, which may be difficult for some firms to achieve. Lastly, even if a blue ocean is successfully created, it may not remain uncontested for long, as competitors may imitate or adapt to the new market space.

Switching to a hybrid strategy, combining elements of both red and blue ocean strategies, can present challenges for firms. Firstly, it requires a clear understanding of the market dynamics and the ability to identify opportunities for differentiation and innovation. Secondly, implementing a hybrid strategy may require significant changes in organizational structure, processes, and culture, which can be disruptive and met with resistance. Additionally, firms pursuing a hybrid strategy may face challenges in effectively managing the trade-offs between cost leadership and differentiation.

Under conditions of high bargaining power, adopting a hybrid strategy can be particularly challenging. Firms with high bargaining power can exert influence over suppliers, customers, or other stakeholders in the value chain. However, pursuing a hybrid strategy may require collaboration and cooperation with these stakeholders, which can be difficult to achieve when there is a significant power asymmetry. Balancing the demands and interests of various stakeholders while maintaining a competitive position can be a complex task for firms adopting a hybrid strategy in a high bargaining environment.

Learn more about competitive strategies here : brainly.com/question/28199911

#SPJ11

(Comprehensive problem) You would like to have $79,000 in 13 years. To accumulate this amount, you plan to deposit an equal sum in the bank each year that will earn 6 percent interest compounded annually. Your first payment will be made at the end of the year. a. How much must you deposit annually to accumulate this amount? b. If you decide to make a large lump-sum deposit today instead of the annual deposits, how large should the lump-sum deposit be? (Assume you can earn 6 percent on this deposit.) c. At the end of year 5, you will receive $20,000 and deposit it in the bank in an effort to reach your goal of $79,000 at the end of year 13. In addition to the lump-sum deposit, how much must you invest in 13 equal annual deposits to reach your goal? (Again, assume you can earn 6 percent on this deposit.) a. How much must you deposit annually to accumulate this amount? $(Round to the nearest cent.) b. If you decide to make a large lump-sum deposit today instead of the annual deposits, how large should the lump-sum deposit be? $ (Round to the nearest cent.) c. If you deposit $20,000 received at the end of year 5 in the bank, how much will it grow to in the account at the end of year 13? $(Round to the nearest cent.) In addition to the lump-sum deposit, how much must you invest in 13

Answers

You must deposit approximately $3,604.98 annually to accumulate $79,000 in 13 years.

a. to calculate the amount you must deposit annually to accumulate $79,000 in 13 years, we can use the future value of an ordinary annuity formula:

ft = p * [(1 + r)ⁿ - 1] / r

where:

ft = future value ($79,000)

p = annual deposit

r = interest rate per period (6% or 0.06)

n = number of periods (13 years)

$79,000 = p * [(1 + 0.06)¹³ - 1] / 0.06

now, we can solve this equation for p:

p = $79,000 * 0.06 / [(1 + 0.06)¹³ - 1]

calculating this value in a calculator, we get:

p ≈ $3,604.98 b. if you decide to make a large lump-sum deposit today instead of the annual deposits, the lump-sum deposit should be equal to the future value of the annuity of $3,604.98 annually for 13 years. we can use the formula for the future value of an ordinary annuity to calculate this:

ft = p * [(1 + r)ⁿ - 1] / r

where:

ft = future value

p = annual deposit ($3,604.98)

r = interest rate per period (6% or 0.06)

n = number of periods (13 years)

lump-sum deposit = $3,604.98 * [(1 + 0.06)¹³ - 1] / 0.06

calculating this value in a calculator, we get:

lump-sum deposit ≈ $33,619.08

Learn more about interest here:

https://brainly.com/question/30393144

#SPJ11

You hold a government bond with a duration of 12. Its yield is 6 percent. You expect yields to move down by 20 basis points in the next few minutes. Calculate a rough estimate of expected return.

Answers

The approximate formula for estimating the percentage change in bond price due to a change in yield is:

Percentage change in bond price ≈ - Duration * Change in yield

In this case, the duration of the government bond is given as 12 and the change in yield is -0.002 (20 basis points is equal to 0.2%, and since yields are expected to move down, the change is negative).

Plugging in these values into the formula:

Percentage change in bond price ≈ -12 * (-0.002)

Percentage change in bond price ≈ 0.024

This means that for a 0.2% decrease in yield, we can approximate the expected increase in bond price to be approximately 0.024 or 2.4%.

To calculate the rough estimate of the expected return, we need to consider the bond's yield and the change in bond price. The expected return can be calculated as the sum of the current yield and the percentage change in bond price.

Expected return = Current yield + Percentage change in bond price

Expected return = 0.06 + 0.024

Expected return = 0.084 or 8.4%

Therefore, the rough estimate of the expected return for the government bond, given a 20 basis point decrease in yield, is approximately 8.4%.

Learn more about bond from

https://brainly.com/question/25965295

#SPJ11

Other Questions
D Question 14 2 pts Amafor ple's common stock is selling for 44 per share. It is expected to pay dividends of 2.50 next year, and dividends are expected to grow at a 10% annual rate. What is the cost of Amafor's common stock? O 14.65% O 15.68% 15.86% O 16.58% 14.56% 2 pts Let f(x)=e5x2Then state where f(x) has a relative maximum, a relative minimum, and inflection points. Ravine Corporation purchased 40 percent ownership of Valley Industries for $119,200 on January 1, 20X6 when Valley had capital stock of $252,000 and retained earnings of $46,000. The following data were reported by the companies for the years 20X6 through 20X9 Dividends Declared Operating Income Net Income Valley Year Ravine Corporation Valley Industries Ravine 20X6 20X7 20X8 20X9 $143,000 93,000 233,000 163,000 $44,000 64,000 10,000 54,000 $ 72,000 $34,000 72,000 54,000 40,000 102,000 34,000 92,000 Required a. What net income would Ravine Corporation have reported for each of the years, assuming Ravine accounts for the intercorporate investment using the cost method and the equity method? Net Income Year Cost Method Equity Method 20X6 20X7 20X8 20X9 For each of the following, explain in one or twosentences, what you understand by the term and give an example1. Tacit knowledge2 Core competence3. Trade-off4. Competitive advantage If sec() = 17 /8 where /2< < and tan() = 21/20 where < < 3/2 , find the exact values of the following.a. csc(-)b. sec(+)c. cot (+) supervisors should seek to improve auditors moods and flow with what job conditions? To gain an understanding of constructive and destructive interference.Consider two sinusoidal waves (1 and 2) of identical wavelength ?, period T, and maximum amplitude A. A snapshot of one of these waves taken at a certain time is displayed in the figure below. (Figure 1) Let y1(x,t) and y2(x,t) represent the displacement of each wave at position x at time t. If these waves were to be in the same location (x) at the same time, they would interfere with one another. This would result in a single wave with a displacement y(x,t) given byy(x,t)=y1(x,t)+y2(x,t).This equation states that at time t the displacement y(x,t) of the resulting wave at position x is the algebraic sum of the displacements of the waves 1 and 2 at position x at time t. When the maximum displacement of the resulting wave is less than the amplitude of the original waves, that is, when ymaxA, the waves are said to interfere constructively because the resulting wave is larger than either of the individual waves. Notice that 0?ymax?2A. (20 pts) (a) (5 pts) Find a symmetric chain partition for the power set P([5]) of [5] := {1, 2, 3, 4, 5} under the partial order of set inclusion. Consider n different eigenfunctions of a linear operator A.Show that these n eigenfunctions are linearly independent of each other.Do not assume that A is Hermitian. (Hint: Use the induction method.)I can't read cursive. So write correctly par a) At the end of its financial year 2021, an analyst made the following forecast for Burberry plo for financial years 2022-2025 (in millions of pounds) Cash In-flows from Operations Cash Out-flowS Investment 2022 1280 600 2023 1710 750 2024 1750 1200 2025 1800 1000 Burberry plc reported 2250 million in total debt at the end of 2021. Required: 1. Use a required rate of return of 10% to calculate both the enterprise value and equity value for Burberry plo at the end of 2021 under the following two scenarios for the long-run position of the company's cash flows: L. Free cash flow will remain at 2025 levels after 2025. il. Free cash flow will grow at 4% per year after 2025 (15 marks) II. Assuming Burberry pic had 400 million shares outstanding at the end of 2021, calculate the value per share under both scenarios. Based on your valuation, recommend a trading strategy if the quoted price on the stock exchange is currently at 19 per share. (10 marks) a) At the end of its financial year 2021, an analyst made the following forecast for Burberry pic for financial years 2022-2025 (in millions of pounds): Cash In-flows from Operations Cash Out-flows hvestment 2022 1280 600 2023 1710 750 2024 1750 1200 2025 1800 1000 * Burberry pic reported 2250 million in total debt at the end of 2021. Required: L. Use a required rate of return of 10% to calculate both the enterprise value and equity value for Burberry pic at the end of 2021 under the following two scenarios for the long-run position of the company's cash flows: 2024 1750 1200 2025 1800 1000 Burberry pic reported 2250 million in total debt at the end of 2021. Required: 1. Use a required rate of return of 10% to calculate both the enterprise value and equity value for Burberry pic at the end of 2021 under the following two scenarios for the long-run position of the company's cash flows: i. Free cash flow will remain at 2025 levels after 2025. il. Free cash flow will grow at 4% per year after 2025 (15 marks) II. Assuming Burberry plc had 400 million shares outstanding at the end of 2021, calculate the value per share under both scenarios. Based on your valuation, recommend a trading strategy if the quoted price on the stock exchange is currently at 19 per share. (10 marka b) In conducting valuation analysis, critically discuss activities which determine the value of a firm, providing examples to support your arguments. TRUE / FALSE. PLEASE ANSWER ALL THE QUESTIONS. THANK YOU SO MUCH.1. Shapes such as the Coca-Cola bottle are patentable as well as trademarkable.2. Copyright is among the most easily obtained intellectual property protections. A patent is among the most difficult to obtain intellectual property protections3. With formal intellectual property rights protections comes "constructive notice".4. One does not have to acquire permission to use a copyrighted work if the work is to be performed in a persons home and not for hire.5. Companies must make efforts to keep their trademarked product name from becoming part of our everyday language. If they do not, they could lose the exclusive right to their name.6. Common law is from traditions whereas statutory law is "made-up" law.7. The Constitution of the United States is an "anti-government" document that provides citizens protection against the government. It does not apply to protections against non-government individuals.8. Willy influenced our criminal system. Al influenced our civil system of law.9. The vesting in an administration entity such as the EPA of the authority to make laws, to enforce those laws, and adjudicate those laws is ostensibly unconstitutional for lack of separation of powers. An object of m-2 kg is suspended on the other end of the spring, which is suspended from one end to the ceiling and is in balance. The object is pulled X2=6 cm and released at t=0 at the zero initial velocity. Find the position, velocity, and acceleration of the object at any given t time. k=98N/m Use technology to obtain approximate solutions graphically. All solutions should be accurate to one decimal place. (Zoom in for improved accuracy.) 0.2x + 4.7y = 1 1.6x + 1.3y = 2 (x, y) = Let ai, be the entry in row i column j of A. Write the 3 x 3 matrix A whose entries are maximum of i and j. i column ; of A. Write the 3 x 3 matrix A whose entries are aij Letaijbe the entry in row i column j of A. Write the 3 x 3 matrix A whose entries areEdit View Insert Format Tools Table12pt vParagraphBIUA 22: i column j of A. Write the 3 x 3 matrix A whose entries are ajEdit View Insert Format Tools TableV12pt ParagraphBIUA 2 T2=maximum of i and j. A geologist is conducting a study on 3 types of rocks to measure their weight and comparing the similarity between the means, she collected a sample of 92 rocks from all types Variation SS df MS F Between (SST) 231 ??Within (SSE) 37Total sum square (TSS) Calculate the FF Test Statistic" value? (answer to 3 decimal places) stockholders who may receive dividends but cannot vote are called Use the algebraic tests to check for symmetry with respect to both axes and the origin. y = 1/x^2 +3a.x-axis symmetry b.y-axis symmetry c.origin symmetry d.no symmetry Which of the following statements is true?o A. Economics is a science since the study of economics uses models and theories that are subject to empical testing o B. Economics is not a science since the models developed ate a simplification of the real world o C. Economics is not a science since only biology, physics, and chemistry can be called sciences o D. In order for a discipline to be considered a science, it must be possible to set up laboratory experiments The ceteris paribus assumption means o A. other things equal o B. more is better. o C. people respond to incentives. o D. all people are rational. The Ecology Group wishes to purchase a piece of equipment for recycling of various metals. Machine I costs $150,000, has a life of 10 years, an annual cost of S6000, and requires one operator at a cost of $24 per hour. It can process 10 tons per hour. Machine 2 costs $80,000, has a life of 6 years, an annual cost of $3000, and requires two operators at a cost of $24 per hour each to process 6 tons per hour. Assume i -10% per year and 2080 hours per work year. Determine the annual breakeven tonnage of scrap metal at i = 7% per year and select the better machine for a processing level of 1500 tons per year. Assume the following: i. The public holds no currency. ii. The ratio of reserves to deposits is 0.1. iii. The demand for money is given by Md = $Y(0.8 - 4i) Initially, the monetary base is $100 billion, and nominal income is $5 trillion. a. What is the demand for central bank money? b. What is the overall supply of money? Find the equilibrium interest rate.