the 2013 income statement and other selected financial information for company a, as well as projected amounts for 2014, are shown below. there are no planned gains or losses on disposal of assets in 2014. assume a tax rate of 35 percent. what is the projected free cash flow (fcf) for 2014?

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Answer 1

The projected free cash flow (FCF) for 2014 can be calculated using the formula: FCF = Cash from Operations - Capital Expenditures.

The income statement and selected financial information for Company A for 2013 is as follows:

Sales revenue: $1,000,000
Cost of goods sold: $600,000
Gross profit: $400,000
Operating expenses: $200,000
Operating income: $200,000
Interest expense: $50,000
Earnings before taxes (EBT): $150,000
Income tax expense (35%): $52,500
Net income: $97,500

Assuming that there are no planned gains or losses on disposal of assets in 2014, we can use the projected amounts for 2014 to calculate the projected FCF for the year. Let's assume that the projected amounts for 2014 are as follows:

Sales revenue: $1,200,000
Cost of goods sold: $720,000
Gross profit: $480,000
Operating expenses: $240,000
Operating income: $240,000
Interest expense: $50,000
Earnings before taxes (EBT): $190,000
Income tax expense (35%): $66,500
Net income: $123,500

To calculate the FCF, we first need to determine the cash from operations. One way to do this is to use the indirect method by adjusting net income for non-cash items and changes in working capital. Let's assume that the changes in working capital for 2014 are as follows:

Accounts receivable: -$10,000
Inventory: $5,000
Accounts payable: $20,000

Using this information, we can calculate the cash from operations as follows:

Net income: $123,500
Add back non-cash items:
Depreciation: $50,000
Subtract changes in working capital:
Accounts receivable: -$10,000
Inventory: $5,000
Accounts payable: $20,000
Cash from operations: $188,500

Next, we need to determine the capital expenditures for 2014. Let's assume that the projected capital expenditures for the year are $80,000.

Finally, we can calculate the projected FCF for 2014 as follows:

FCF = Cash from Operations - Capital Expenditures
FCF = $188,500 - $80,000
FCF = $108,500

Therefore, the projected FCF for 2014 is $108,500.

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Related Questions

In addition to ________ the right markets for the corporate entrepreneurship efforts of the firm, the firm also needs to decide how it will ________ its corporate entrepreneurship efforts.Multiple Choicea. identifying; minimizeb. bribing; pay forc. bribing; arranged. identifying; organize for

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In addition to identifying the right markets for the corporate entrepreneurship efforts of the firm, the firm also needs to decide how it will organize for its corporate entrepreneurship efforts.

This involves setting up a structure and framework that can facilitate and support the entrepreneurial activities within the organization. The firm needs to create a culture that encourages and rewards innovation and risk-taking, and provides resources and support for employees to pursue entrepreneurial ideas. It may also involve establishing processes and systems for idea generation, evaluation, and implementation. Ultimately, the success of corporate entrepreneurship efforts depends on the firm's ability to effectively organize and manage the entrepreneurial activities within the organization.

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which of the following is defined as a rate of downward movement in the price level for an aggregate of goods and services?

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Deflation is a phrase that refers to a rate of decline in the price level for a grouping of products and services.

Deflation is the phrase you're searching for, and it's defined as the pace of decline in the level of prices for a group of products and services. When prices for goods and services fall across the entire economy, consumers' purchasing power increases.

The recession of 2007–2008 and the Great Depression in the United States of America (USA) are two well-known instances of deflation. Deflation occurs when prices for products and services decline, which has an influence on production and lowers revenues and profits for businesses.

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a minimum variance portfolio has the blank .multiple choice question.highest possible returnlowest possible transactions costslowest possible asset turnover ratelowest possible variance

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The correct option is D, A minimum variance portfolio has the Lowest possible variance.

Variance is a measure of how spread out a set of data is from its average value or mean. It is calculated as the average of the squared differences between each data point and the mean of the dataset. In other words, it provides a quantitative measure of how much the individual values in a dataset deviate from the average.

A high variance indicates that the data is spread out widely, while a low variance indicates that the data is more tightly clustered around the mean. It is an important statistical tool used in many fields, including finance, engineering, and physics. Variance has several uses in statistical analysis, including the calculation of standard deviation, which is the square root of the variance

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Complete Question:

A minimum variance portfolio will be characterized by its ____.

A). highest possible return

B). lowest possible transactions costs

C). lowest possible asset turnover rate

D). lowest possible variance

how does the continuum of ethical financial reporting model of needles describe the difference between ethical and unethical accounting choice?

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The continuum of ethical financial reporting model of Needles provides a framework to distinguish between ethical and unethical accounting choices. The model divides the continuum into four stages: legal but unethical, ethical but illegal, legal and ethical, and finally, illegal and unethical.

An ethical accounting choice is one that follows the principles of integrity, objectivity, confidentiality, and professional competence. It also complies with accounting standards and regulations, and does not compromise on the quality of financial reporting. A legal and ethical accounting choice is one that meets all legal requirements and follows ethical principles. On the other hand, an unethical accounting choice is one that goes against ethical principles and standards. Such choices may involve manipulation of financial statements, fraudulent practices, and unethical behavior that benefits the company or individual at the expense of stakeholders. A legal but unethical accounting choice may comply with legal regulations, but it violates ethical principles, and it may result in negative consequences for stakeholders. In summary, the continuum of ethical financial reporting model of Needles helps to distinguish between ethical and unethical accounting choices by highlighting the importance of complying with both legal requirements and ethical principles. Ethical accounting choices promote transparency, accountability, and trust, while unethical accounting choices can have negative consequences on stakeholders and damage a company's reputation.

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following are several actions managers commonly take when confronted with turnover. which of these actions are supported by evidence? check all that apply.

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The correct option is A, Build organizational ties to the network via energetic volunteer software.

In business, the term "turnover" refers to the amount of revenue generated by a company in a specific period, usually annually. Turnover can also refer to the total number of employees who leave a company and are replaced over a given period.

When referring to revenue, turnover is calculated by multiplying the total number of goods or services sold by the price at which they were sold. This figure can be useful in evaluating a company's financial health, as it indicates how much money is flowing into the company. A high turnover can suggest that a company is successful in generating revenue, while a low turnover may indicate that the company is struggling.

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Complete Question:

Following are several movements managers typically take while confronted with turnover. Which of those movements are supported by means of proof? check all that follow.

A). Build organizational ties to the network via energetic volunteer software.

B). Rent folks who believe within the employer’s goals and are imaginative and prescient.

C). Design work in teams.

D). Make it a policy to lease employee referrals every time possible.

during a(n) , the borrower gives up any valuable property in order to pay off his or her lenders.

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Foreclosure is a legal process in which a lender takes possession of a property that was used as collateral for a loan, and then sells it to recover the amount owed by the borrower.

The borrower is typically given a period of time to pay off the debt before the foreclosure process begins, but if they are unable to do so, the lender can seize the property and sell it to recoup their losses. This explanation should give you a better understanding of the foreclosure process and why a borrower may have to give up their valuable property in order to pay off their lenders.

A foreclosure is a legal process in which a lender attempts to recover the balance of a loan from a borrower who has stopped making payments by forcing the sale of the valuable property used as collateral for the loan. This process allows the lender to sell the property and use the proceeds to pay off the outstanding debt, effectively transferring the ownership of the property from the borrower to the lender or a new owner.

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Between 2007 and 2011, the monetary basewas approximately constantincreased approximately 10%increased approximately 20%increased approximately 30%approximately trip

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Between 2007 and 2011, the monetary base went through some changes. If the monetary base was "approximately constant" during this time period, that would mean that there was little to no change in the total amount of money in circulation.

This could be due to a number of factors, including stable economic conditions and the central bank's efforts to maintain a steady supply of money in the economy. If the monetary base "increased approximately 10%" during this time period, that would mean that there was a modest increase in the amount of money in circulation.

This increase could be due to factors such as increased economic activity, a growing population, or the central bank's efforts to stimulate the economy. If the monetary base "increased approximately 20%" during this time period, that would indicate a more significant increase in the amount of money in circulation.

This increase could be due to a variety of factors, including economic growth, increased government spending, or the central bank's efforts to combat a recession. Finally, if the monetary base "increased approximately 30%" during this time period, that would mean that there was a substantial increase in the amount of money in circulation.

This could be due to a variety of factors, including high levels of government spending, inflationary pressures, or the central bank's efforts to address a severe economic crisis. So, to summarize: depending on whether the monetary base was constant or increased by various percentages between 2007 and 2011, we can infer a lot about the economic conditions and policies that were in place during that time period.

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we can be certain that in the short-run a monopoly will produce the level of output that minimizes the cost on per unit basis (i.e. the average total cost is at its minimum). question 5 options: true false

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The given statement "we can be certain that in the short-run a monopoly will produce the level of output that minimizes the cost on per unit basis" is False because it may not produce output that minimizes the cost.

In the short-run, a monopolist may not produce the level of output that minimizes the cost on a per unit basis. Unlike perfectly competitive firms, monopolies have market power and can choose to produce less output than the level that minimizes average total cost to maximize their profits.

In fact, a monopoly may choose to produce at a level where the marginal revenue (MR) equals the marginal cost (MC), rather than at the minimum point of the average total cost curve.

At this output level, the price charged to consumers is higher than the marginal cost of production, leading to a markup of price over marginal cost. As a result, the average total cost is higher than the minimum point.

Therefore, in the short-run, a monopoly's output level depends on its profit-maximizing strategy, which is determined by the market demand, cost structure, and other market conditions. It may or may not correspond to the level of output that minimizes the cost on a per unit basis.

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the pure rate of interest is 1.5 percent and investors require a 2 percent inflation premium. cumnock corporation (cc) has a beta of 1.5. what is the required rate of return on cc stock if the market risk premium is 5 percent?

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If market risk premium is 5 percent then, the required rate of return on CC stock is 11%.

The Capital Asset Pricing Model (CAPM) is a widely used financial model that helps investors and analysts calculate the expected return on an investment. The model takes into account the risk-free rate of return, the expected market risk premium, and the beta of the investment to determine the required rate of return.

The required rate of return on CC stock can be calculated using the Capital Asset Pricing Model (CAPM) as follows:

Required rate of return = Risk-free rate + Beta x Market risk premium + Inflation premium

Pure rate of interest = 1.5%

Inflation premium = 2%

CC beta = 1.5

Market risk premium = 5%

Substituting the values into the formula:

Required rate of return = 1.5% + 1.5 x 5% + 2% = 1.5% + 7.5% + 2% = 11%.

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What word did meghan markle file an application to trademark for her new podcast?.

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Meghan Markle filed an application to trademark the word "Archetypes" for her new podcast.

The word that Meghan Markle filed an application to trademark for her new podcast is "Archewell Audio". This name is believed to be inspired by the name of her and Prince Harry's charitable foundation, Archewell. It's worth noting that trademark applications can take several months to process, so it may be a while before we see if Meghan's application is approved. I hope that helps! Let me know if you have any other questions.

Meghan Markle filed an application to trademark the word "Archewell Audio" for her new podcast, not "huminites". Archewell Audio is named after the Duke and Duchess of Sussex's nonprofit organization, Archewell.

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banks are known to act as financial intermediaries. between whom do banks serve this function? between savers and other savers between savers and borrowers between borrowers and other borrowers between the federal government and savers

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Banks are indeed known to act as financial intermediaries, and they serve this function primarily between savers and borrowers. This means that banks collect deposits from savers, which they then use to provide loans and other credit facilities to borrowers. Banks are able to generate revenue from this process by charging interest on loans that are higher than the interest paid to savers for their deposits.

The primary function of banks as financial intermediaries is to facilitate the flow of funds between these two groups of people. Savers deposit their money with the bank, which then lends it out to borrowers who need it. This process allows savers to earn interest on their deposits while also providing borrowers with access to much-needed funds.
Banks also play an important role in managing risk in the financial system. By spreading their lending across many different borrowers, banks are able to reduce the risk of any one borrower defaulting on their loan. Additionally, banks are subject to strict regulations that require them to maintain sufficient capital reserves to cover any losses that may occur. In summary, banks act as financial intermediaries primarily between savers and borrowers. By collecting deposits and providing loans, banks facilitate the flow of funds between these two groups while also managing risk in the financial system.

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After outsourcing to global suppliers, __________ is not simple.

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After outsourcing to global suppliers, managing the supply chain is not simple. Supply chain management becomes complex as it involves coordinating with suppliers and partners across different countries, time zones, languages, and cultural backgrounds.

The challenges of managing a global supply chain can include communication barriers, quality control issues, transportation and logistics challenges, political and regulatory risks, and the need for greater transparency and visibility across the entire supply chain. Companies that outsource globally need to have a strategic plan for managing their supply chain and the flexibility to adapt to changing market conditions and supply chain disruptions.

What is flexibility?

Flexibility is the ability to adapt and change to different circumstances or situations. In a business context, flexibility refers to the ability of an organization to adapt to changing market conditions, customer needs, and technological advances.

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an increase in the bargaining power of suppliers a. increases the attractiveness and decreases the profitability of the target market. b. decreases both the attractiveness and the profitability of the target market. c. increases both the attractiveness and the profitability of the target market. d. decreases the attractiveness and increases the profitability of the target market.

Answers

An increase in the bargaining power of suppliers decreases both the attractiveness and the profitability of the target market. Thus, option B is correct.

When the bargaining power of suppliers increases, they are able to demand higher prices for their goods or services. This can lead to increased costs for the businesses in the target market, which can decrease their profitability. Additionally, higher prices may make the target market less attractive to customers, leading to a decrease in demand and further reducing profitability.

When suppliers have more bargaining power, they can charge higher prices and/or demand more favorable terms. This reduces the profitability of the target market, as businesses need to pay more for their inputs. Additionally, the increased cost makes the market less attractive for potential new entrants.

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Which of the following is the reason why accountability is often hard to assume in highly lisigious societiesA Constructive change and learming is not possible in organizations when accountability is the norm B. When individuals a C In highly litigious societies, individuals have complete control over their outcomesD. There is a lot of societal downside to being responsible and not much upside are accountable, they do not understand and accept the consequences of their actions for the areas in which they assume responsibility

Answers

There is a lot of societal downside to being responsible and not much upside.

Option d is correct.

In highly litigious societies, individuals may avoid assuming accountability or responsibility for their actions because they may face negative consequences, such as legal action, lawsuits, or damage to their reputation or career.

This can create a culture of blame-shifting and avoidance of responsibility, which can hinder constructive change and learning in organizations. Individuals may also avoid assuming accountability if they do not fully understand or accept the consequences of their actions, or if they feel they do not have control over their outcomes. However, it is primarily the societal downside and lack of upside that makes accountability hard to assume in highly litigious societies.

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in spite of less-than-optimal currency area criteria at present in the eurozone, some believe that the existence of a working currency union will result in:

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Some people believe the existence of a working currency union in the eurozone will result in increased economic stability and integration among member countries.

While the current criteria for a successful currency area may not be fully met in the eurozone, proponents of the euro argue that the benefits of a single currency - such as reduced transaction costs and increased trade - outweigh the challenges.

A working currency union can lead to better alignment of economic policies, thereby reducing disparities in income levels and economic growth among member countries. Financial stability: A well-functioning currency union can reduce the likelihood of currency crises and promote financial stability by facilitating more effective monetary policies.

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Multiple Choice
The cost of precisely duplicating the original structure, using the same materials and construction techniques as the original is known as _____.
physical deterioration
replacement cost
depreciated cost of improvements
reproduction cost

Answers

Option (d) is correct. The cost of precisely duplicating the original structure, using the same materials and construction techniques as the original is known as reproduction cost.

The cost associated with precisely duplicating an asset or property using the same materials and specifications as an insured property, based on current costs, is referred to as the reproduction cost. To determine the expenses associated with the risk of replacing an insured asset with an identical one at the same location, insurers utilise reproduction cost as a technique of claims calculation.

For insurance reasons, reproduction costs are an estimate of what it would cost to replicate a damaged or lost item or piece of property exactly and according to specifications. Replacement cost, which is the price of replacing an item or piece of property rather than reproducing it, is not the same idea as reproduction cost. To estimate reproduction costs, the four primary techniques of square footage, unit-in-place, quantity survey, and index approach are frequently utilised.

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Which is not an economic factor that contributed to urbanization in texas?.

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The term that does not represent an economic factor that contributed to urbanization in Texas is "geographical location."

Urbanization in Texas was primarily driven by factors such as industrialization, job opportunities, and population growth. The geographical location of Texas, while having an impact on the overall development of the state, did not directly contribute to urbanization as an economic factor. Industrialization played a significant role in the urbanization of Texas, as it led to the growth of industries and businesses, which in turn created job opportunities for people. This attracted more people to migrate to urban areas in search of better job prospects and a higher standard of living.
Job opportunities and population growth also contributed to the urbanization process in Texas. As more people moved to urban areas in search of better employment options, the demand for housing, goods, and services increased, leading to the growth of cities.  geographical location is not an economic factor that contributed to urbanization in Texas. The main factors responsible for the urbanization process in the state are industrialization, job opportunities, and population growth.

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monopolistically competitive firms have some market power because of: select an answer and submit. for keyboard navigation, use the up/down arrow keys to select an answer. a economies of scale. b barriers to entry. c product differentiation. d industry domination.

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Monopolistically competitive firms have some market power because of product differentiation.

This means that firms in a monopolistically competitive market produce products that are slightly different from their competitors, making them unique. These unique products give firms some control over the price they charge, as consumers may be willing to pay more for the specific features of their product. This market power, however, is limited because there are still many other competitors in the market offering similar products.

Additionally, firms in a monopolistically competitive market cannot achieve economies of scale, which means that they cannot significantly reduce their costs per unit of output as they grow larger. This limits their ability to dominate the industry and maintain a monopoly position.

Therefore, although monopolistically competitive firms have some market power, it is not as strong as firms in a pure monopoly or oligopoly

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When performing compression only cpr the rate of compressions per minute should be.

Answers

Answer:

100 to 120 compressions per minute

Explanation:

Place the heel of your hand on the center of the person's chest, then place the palm of your other hand on top and press down by 5 to 6cm (2 to 2.5 inches) at a steady rate of 100 to 120 compressions a minute

question 125 pts commercial banks create money when they group of answer choices accept cash deposits from the public. create checkable deposits for their customers in exchange for ious (loans). raise their interest rates. purchase government securities from the central banks.

Answers

Commercial banks create money when they accept cash deposits from the public and create checkable deposits for their customers in exchange for IOUs (loans). This is known as the fractional reserve banking system.

Banks are only required to hold a fraction of the deposits as reserves and can lend out the remaining amount. This creates new money in the economy.

When a customer deposits cash into their bank account, the bank is able to use that money to make loans to other customers. The bank only needs to keep a portion of the deposit on reserve and can lend out the rest. This process is called credit creation and it allows banks to expand the money supply in the economy.

For example, if a customer deposits $1,000 into their checking account, the bank may keep $100 as required reserves and lend out the remaining $900 to another customer. The borrower now has $900 in their account that they can spend, which increases the money supply. At the same time, the original depositor still has $1,000 in their account that they can access at any time.

In contrast, raising interest rates or purchasing government securities from the central bank does not directly create new money in the economy. These actions may influence the amount of money that banks are willing to lend, but they do not create new money out of thin air like the fractional reserve system does.

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rue or false: inventory that is expected to be returned in the future is included on the balance sheet of the company expecting the return. true false question. true false

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The given statement "inventory that is expected to be returned in the future is included on the balance sheet of the company expecting the return" is true because  the accounting equation, which states that assets are equal to liabilities plus equity.

When a company expects inventory to be returned in the future, it depends on the terms and conditions of the sale agreement. If the company has legal ownership of the inventory, then it would be included on the balance sheet as an asset. However, if the ownership of the inventory has not yet transferred to the company, then it would not be included on the balance sheet.

Inventory is considered an asset, and it increases the total assets of a company. When inventory is expected to be returned, it is still considered as an asset, but the company may also have a corresponding liability if they have already paid for the inventory or if they owe the supplier.

This liability would reduce the company's equity, which is the residual interest in the assets after deducting liabilities.

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with a purchase price of $450,000, a small warehouse provides for an initial before-tax cash flow of $25,000, which grows by 4 percent per year. if the before-tax equity reversion after four years equals $80,000, and an initial equity investment of $95,000 is required, what is the irr on the projec

Answers

The IRR (Internal Rate of Return) on this project can be calculated using the cash flows over the investment period.

The before-tax cash flow in year 0 is $25,000, and it grows by 4 percent per year. So, in year 1, the before-tax cash flow will be $26,000, in year 2, it will be $27,040, in year 3, it will be $28,124.80, and in year 4, it will be $29,254.91.

The before-tax equity reversion after four years is $80,000, which means that the property is expected to be sold for $530,000 ($450,000 purchase price + $80,000 equity reversion). The initial equity investment required is $95,000.

To calculate the IRR, we need to find the discount rate that makes the present value of all the cash flows equal to the initial investment. Using a financial calculator or an Excel spreadsheet, we can try different discount rates until we find the one that results in a present value equal to the initial investment. The IRR on this project is approximately 14.3%.

In other words, the project is expected to generate an average annual return of 14.3% over the investment period, assuming the cash flows and equity reversion are realized as projected. This IRR is higher than the cost of capital, which suggests that the project is a good investment opportunity. However, it is important to consider other factors such as market trends, competition, and potential risks before making a final investment decision.

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osha issues fines against companies which have safety violation in order to . a. convince them osha is out to get them b. confuse them into paying for unnecessary improvements c. castigate them for trying to hurt employees d. compel them to make safety improvements please select the best answer from the choices provided a b c d

Answers

Osha issues fines against companies that have safety violations in order to (D) compel them to make safety improvements

OSHA issues fines against companies that have safety violations in order to compel them to make safety improvements.

This is because OSHA's main goal is to ensure that employees have a safe and healthy working environment.

Fines are issued to encourage companies to comply with safety regulations and make necessary improvements to prevent future incidents.

While fines may also serve as a punishment or deterrent, their primary purpose is to promote workplace safety.

Therefore, the correct answer is d, compel them to make safety improvements.

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a report that shows the future capacity requirements based on released and planned orders for each time period of the plan is called: question 40 options: load report. capacity report. order report. dispatch list. none of the above

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The report that shows the future capacity requirements based on released and planned orders for each time period of the plan is called a capacity report. This report provides valuable information about the production capacity required to meet the demand for a product or service.

It helps businesses plan their resources and optimize their operations to meet the demand efficiently. The capacity report is a long detailed answer that takes into account the lead time required to fulfil each order, the available resources, and the production schedule. It also factors in any constraints that may affect the production process, such as machine downtime, maintenance requirements, or material shortages.

A capacity report is an essential tool for businesses to ensure they are operating at optimal capacity, reducing the risk of overproduction, underproduction, or missed delivery dates. By analyzing the report, businesses can adjust their production plans, allocate resources more effectively, and make informed decisions to maximize their profits. In summary, a capacity report is a comprehensive report that provides insights into the future capacity requirements of a business based on released and planned orders for each time period of the plan. It is a crucial tool for businesses to optimize their operations and meet demand efficiently.

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______ fairness is the perceived fairness of the process with which a firm handles customer complaints

Answers

Procedural justice. Procedural fairness in relation to complaints refers to the perceived fairness of the procedure used to settle them.

The term "perceptions of fairness" refers to any aspect of the environment that people or groups see as equitable in light of earlier norms or standards. The perceived fairness of the procedure used to resolve complaints is referred to as procedural fairness.

Fairness generally entails using personal data in ways that individuals would fairly anticipate and refraining from using it in ways that would have an unjustifiable negative impact on them. You should pause and consider both if you should utilise personal data as well as how you can.

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_________ the is a projective technique in which respondents' inner thoughts and feelings are believed to be revealed by analysis of their responses to a set of unstructured inkblots.

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The Rorschach test is a projective technique in which respondents' inner thoughts and feelings are believed to be revealed by analysis of their responses to a set of unstructured inkblots.

It involves showing a set of inkblots to respondents and asking them to describe what they see in the images. The interpretation of the responses is believed to reveal the individual's personality traits, emotional functioning, and thought processes. Developed by Swiss psychologist Hermann Rorschach in the early 20th century, the test is still widely used today, although its validity and reliability have been subject to debate.

This technique has been studied extensively and is an important tool in psychological assessments.

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Multiple Choice
A loss in value that is caused by negative influences that are outside of the site is _____.
external depreciation
physical depreciation
functional depreciation

Answers

A loss in value that is caused by negative influences that are outside of the site is external depreciation.

External depreciation refers to a decrease in value caused by negative factors outside of the property itself. Examples of external depreciation include changes in the neighborhood, such as increased traffic or the opening of a nearby landfill, that negatively impact the property's value. Economic factors such as rising interest rates, inflation, or a decrease in population can also contribute to external depreciation.

Unlike physical depreciation, which refers to a decrease in value caused by wear and tear on the property itself, external depreciation is beyond the control of the property owner.

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mc qu. 61 based on qualitative assessments... based on qualitative assessments, which potential investment project is the most risky?

Answers

Based on qualitative assessments, the riskiest potential investment project would be the one with the highest level of uncertainty and unpredictability.

Qualitative assessments are subjective evaluations of potential investment projects that take into account factors such as market trends, competition, and the overall business environment. When assessing the risk of an investment project, qualitative assessments focus on factors that may impact its success or failure.

The riskiest potential investment project would be the one with the highest level of uncertainty and unpredictability. This could be due to a variety of factors such as a lack of information about the market or competition, a complex business model, or a high level of regulatory or legal risk.

In order to determine which potential investment project is the most risky, it is important to conduct a thorough analysis of each project's strengths, weaknesses, opportunities, and threats (SWOT analysis). This analysis should take into account both qualitative and quantitative factors, such as financial projections, market research, and competitive analysis.

Ultimately, the decision to invest in a particular project will depend on a variety of factors, including the investor's risk tolerance, investment goals, and overall investment strategy. It is important to carefully weigh the potential risks and rewards of each investment opportunity before making a decision.

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In a closed economy, if households expect future income to be lower than expected, then the real interest rate __________ and equilibrium saving __________.a. falls; fallsb. falls; risesc. rises; fallsd. rises; risese. none of the other options

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In a closed economy, if households expect future income to be lower than expected, then the real interest rate falls and equilibrium saving rises.

This is because when households expect lower future income, they tend to save more in the present in order to maintain their standard of living in the future. This increase in saving leads to an increase in the supply of loanable funds in the economy, which puts downward pressure on the real interest rate.

At the same time, the increase in saving also reduces consumption and investment demand, leading to a decrease in equilibrium output and a corresponding decrease in equilibrium interest rate. Therefore, the correct answer is option b: falls; rises.

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How much oil does the us have in strategic reserves?.

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The United States maintains strategic petroleum reserves (SPR) to protect against disruptions in oil supplies. The SPR is an emergency fuel stockpile that can be tapped into in the event of a severe supply interruption or price shock.


As of September 2021, the SPR had a total capacity of 713.5 million barrels of crude oil, with an inventory of approximately 621.4 million barrels. This represents about 83% of the SPR's total capacity. The SPR's inventory is divided between three types of crude oil: light sweet, heavy sour, and medium sour.

The SPR was established in 1975 in response to the oil embargo imposed by several Arab countries in the wake of the Yom Kippur War. The initial capacity of the SPR was 250 million barrels, but it was expanded several times over the years.

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