The law of one price posits that ability to arbitrage would force prices of identical goods to trade at equal prices. However, empirical evidence suggests that certain factors such as transaction costs, transportation costs, and trade barriers are often mispriced.
These factors can hinder the ability to arbitrage and prevent prices from converging to the same level. Additionally, market inefficiencies and information asymmetry can also contribute to mispricing of identical goods.
Transaction costs. The costs related to the economic exchange behind trade. It can include the gathering of information, negotiating, and enforcing contracts, letters of credit, and transactions, including monetary exchange rates, if a transaction takes place in another currency. Transactions taking place within a corporation are commonly lower than for transactions taking place between corporations. Still, with e-commerce and e-documentation, they have declined substantially.
Transport costs. The full costs of shipping goods from the point of production to the point of consumption. Containerization, intermodal transportation, and economies of scale have reduced transport costs significantly.
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what is one of the greatest challenges faced by the economies of the asian countries, based on this statement?
One of the greatest challenges faced by the economies of the Asian countries is the issue of income inequality. Despite the economic growth and development that many Asian countries have experienced in recent decades, income inequality remains a pervasive problem in the region.
The causes of income inequality in Asia are complex and multifaceted. Some factors include disparities in access to education and job opportunities, unequal distribution of land and resources, and the concentration of wealth and power in the hands of a small elite.
Addressing income inequality is a daunting challenge for Asian economies, but it is also an urgent one. Without addressing this issue, economic growth and development will remain unsustainable, and social and political instability will continue to threaten the region's progress.
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Companies with market-seeking strategic goals search for:
a. An abundance of strong market demand and customers willing to pay
b. Economies of scale and abundance of low cost factors
c. Abundance of innovative individuals, firms, and universities
d. All of these answers
Companies with market-seeking strategic goals search for all of these answers. The correct option is d.
They aim to tap into markets that have strong demand and customers willing to pay for their products or services. This means they are looking for a market that has a large enough customer base to sustain their business operations and generate profits.
Additionally, companies with market-seeking strategic goals are also looking for economies of scale and an abundance of low cost factors. This means they want to produce their products at a lower cost to increase their profit margins. This can be achieved by having access to cheap raw materials, low labor costs, and other cost-cutting measures.
In addition to these factors, companies with market-seeking strategic goals are also looking for an abundance of innovative individuals, firms, and universities. They want to tap into a market that is constantly evolving and developing new products and technologies. By doing so, they can stay ahead of the competition and offer unique products or services that appeal to consumers.
Overall, companies with market-seeking strategic goals are looking for a combination of factors that can help them grow and succeed in their target markets. They want to tap into markets that have strong demand, offer economies of scale, and have access to innovative individuals, firms, and universities. By doing so, they can create a sustainable business model that generates profits and provides value to their customers.
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which of the following operations is responsible for the largest volume of transactions in the foreign exchange market?
The commercial transactions function is responsible for the largest number of transactions in the foreign exchange market. Here option C is the correct answer.
The largest volume of transactions in the foreign exchange market is generated by commercial operations, such as international trade, investment, and cross-border transactions. These transactions involve the exchange of one currency for another, and their volumes are driven by the magnitude of global commerce and the increasing globalization of markets.
The other options, such as speculation, central bank intervention, and arbitrage, also contribute to the volume of transactions in the foreign exchange market, but their volumes are relatively smaller than those generated by commercial transactions. For example, speculation involves buying and selling currencies to take advantage of price fluctuations, while central bank intervention refers to the actions taken by central banks to influence the value of their currencies.
Arbitrage involves taking advantage of price differences across different markets. However, the volume of these transactions is relatively smaller than that generated by commercial operations.
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Complete question:
Which of the following operations is responsible for the largest volume of transactions in the foreign exchange market?
A) Speculation
B) Central bank intervention
C) Commercial transactions
D) Arbitrage
Assume that interest rate parity exists and will continue to exist. As of today, the 1-year interest rate of Singapore is 4 percent versus 7 percent in the United States. The Singapore central bank is expected to decrease interest rates in the future so that as of December 1, you expect that the 1-year interest rate in Singapore will be 2 percent. The U.S. interest rate is not expected to change over time. Based on the information, explain how the forward premium (or discount) is expected to change by December 1.
The expected change in the 1-year interest rate in Singapore from 4 percent to 2 percent indicates that the Singaporean currency will depreciate against the U.S. dollar.
This depreciation in the Singaporean currency will result in a forward discount on the Singapore dollar relative to the U.S. dollar. This is because investors in the forward market will be willing to pay less for the Singapore dollar in the future to account for its expected depreciation. Thus, by December 1, the forward premium on the Singaporean dollar is expected to decrease, or the forward discount on the Singapore dollar is expected to increase.
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You are a consultant to a large manufacturing corporation considering a project with the following net after-tax cash flows (in millions of dollars):
The projectâs beta is 1.7. Assuming r f = 9% and E ( r M ) = 19%, what is the net present value of the project? What is the highest possible beta estimate for the project before its NPV becomes negative?
To calculate the net present value (NPV) of the project, we need to discount the net after-tax cash flows using the project's required rate of return, which is based on the riskiness of the project.
The required rate of return can be calculated using the Capital Asset Pricing Model (CAPM):
r = r_f + beta x (E(r_M) - r_f)
where r_f is the risk-free rate, E(r_M) is the expected return on the market, and beta is the project's beta.
In this case, r_f = 9%, E(r_M) = 19%, and beta = 1.7. Therefore:
r = 9% + 1.7 x (19% - 9%) = 25%
Now, we can use the formula for the NPV:
NPV = ∑ (Net Cash Flow_t / [tex](1 + r)^t[/tex])
where Net Cash Flow_t is the net after-tax cash flow in year t.
Using the given cash flows and a discount rate of 25%, we get:
NPV = [tex]-$30 + $12/(1.25) + $16/(1.25)^2 + $20/(1.25)^3 + $24/(1.25)^4 + $28/(1.25)^5[/tex]
NPV = $5.37 million
The highest possible beta estimate for the project before its NPV becomes negative can be calculated by setting the NPV equal to zero and solving for beta:
0 = [tex]-$30 + $12/(1 + r)^1 + $16/(1 + r)^2 + $20/(1 + r)^3 + $24/(1 + r)^4 + $28/(1 + r)^5[/tex]
Solving this equation gives a beta of approximately 2.55. Therefore, if the project's beta is higher than 2.55, its NPV would be negative, and the project would not be worth pursuing.
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how long will it take for 100 dollars to double, in an investment, when interest is compounded continually at the rate of 5% per annum? in which interval does time lie in?
It will take approximately 13.86 years for your $100 investment to double when interest is compounded continually at a 5% per annum rate.
To find out how long it will take for 100 dollars to double, we can use the formula for continuous compounding: A = Pe^(rt), where A is the ending amount, P is the principal (initial investment), e is Euler's number (approximately 2.718), r is the annual interest rate (as a decimal), and t is the time in years.
In this case, we have P = 100, r = 0.05, and we want to solve for t when A = 2P = 200.
So, 200 = 100e^(0.05t)
Dividing both sides by 100, we get: 2 = e^(0.05t)
Taking the natural alogarithm of both sides: ln(2) = 0.05t
Solving for t, we have: t = ln(2)/0.05 ≈ 13.86 years
Therefore, it will take approximately 13.86 years for 100 dollars to double when interest is compounded continually at the rate of 5% per annum.
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your broker-dealer has received from the automated customer account transfer system (acats) a transfer initiation form (tif) instructing that one of your customers would like to have existing positions in her account transferred to her new broker-dealer. how long does your broker-dealer have to validate the positions listed on the form?
If one of the customers would like to have existing positions in her account transferred to her new broker-dealer, then the broker-dealer have to validate the positions listed on the form in 1 business day.
According to FINRA Rule 11870, the receiving broker-dealer has one (1) business day to validate the positions listed on the Transfer Initiation Form (TIF) received through the Automated Customer Account Transfer Service (ACATS).
This rule ensures that the transferring customer's positions are transferred in a timely and efficient manner, without unnecessary delays or disruptions. If the receiving broker-dealer fails to validate or reject the transfer within the one business day timeframe, the transfer is deemed to be validated by default.
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Because they are more skilled and less prone to panic than individual investors, over the long haul professional portfolio managers as group have outperformed the Market Portfolio even after trading costs are taken into account.
a. true
b. false
b. false While professional portfolio managers possess greater skills and experience compared to individual investors, it is not accurate to claim that they consistently outperform the market portfolio over the long haul, even after accounting for trading costs. In fact, numerous studies and analyses have demonstrated that a significant percentage of actively managed funds do not beat their benchmarks, which are often based on market indexes.
This phenomenon can be attributed to various factors, including the impact of management fees, trading costs, and the inherent challenges of consistently selecting outperforming investments. Additionally, the efficient market hypothesis posits that current asset prices already reflect all available information, making it difficult for any investor, professional or otherwise, to consistently outperform the market by exploiting inefficiencies.
It is important to note that some professional portfolio managers may indeed outperform the market over certain time periods. However, as a group, they do not consistently outpace the market portfolio in the long run after accounting for costs. Passive investing strategies, such as index funds and exchange-traded funds (ETFs), which aim to match market performance at lower costs, have gained popularity in recent years, as they often provide competitive returns compared to actively managed funds.
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using the taylor rule, find the appropriate federal funds rate (ffr).assume that the fed has a target inflation rate of 2% and a target gdp growth rate of 3%. what ffr should the fed set if the current inflation is 5% and the growth rate is 4%?enter the number without the percent sign.
Based on the Taylor Rule formula, the Fed should set the federal funds rate at least 7%.
To find the appropriate federal funds rate (ffr) using the Taylor Rule, we need to use the following formula:
ffr = r* + π + 0.5(π - π*) + 0.5(y - y*)
Where:
- r* is the equilibrium real interest rate
- π is the current inflation rate
- π* is the target inflation rate (2% in this case)
- y is the current GDP growth rate
- y* is the target GDP growth rate (3% in this case)
Plugging in the given numbers, we get:
ffr = r* + 5 + 0.5(5 - 2) + 0.5(4 - 3)
ffr = r* + 5 + 1.5 + 0.5
ffr = r* + 7
Since the current inflation rate and GDP growth rate are higher than their respective targets, the Taylor Rule suggests that the Fed should increase the federal funds rate.
The exact value of the ffr will depend on the equilibrium real interest rate, which is difficult to estimate.
However, based on the Taylor Rule formula, the Fed should set the federal funds rate at least 7%.
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Fill in the blank: Sudden changes in ______ related to lending or to entry or on products offered are a form of discrete risk to FIs.
Sudden changes in regulatory policy related to lending or to entry or on products offered/given are a form of discrete risk/hazard to FIs.
The goal of regulatory policy is to advance the goals of the government by utilising laws, regulations, and other tools to address social and economic problems more effectively and improve the quality of life for both/duo individuals and businesses.
Governmental limits on enterprises are referred to as regulatory policy in order to create a reasonable and effective request. Regulations are essential to the efficient operation of society and of agriculture. They support requests, protect citizens' rights and safety, and guarantee the provision of public goods and services.
Profitable and social regulation are the two main types of regulation. Profitable regulation imposes fees or requirements for businesses to enter a particular industry. The Federal Communication Commission, or FCC, is an example of a nonsupervisory agency that imposes this kind of restriction.
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When per capita gdp is used as a rough measure to compare the economic regions of the world, the richest region is _________________ and the poorest region is ________________.
When per capita GDP is used as a rough measure to compare the economic regions of the world, the richest region is North America, followed closely by Western Europe. This is due to their high levels of industrialization, technological advancement, and a strong service sector. On the other hand, the poorest regions are primarily located in sub-Saharan Africa, with some countries in South Asia also struggling economically.
These regions have a high level of poverty, weak infrastructure, and low levels of education and health care. The gap between the rich and the poor regions of the world is significant and continues to widen, as wealthy nations benefit from globalization and economic growth while poorer nations struggle to catch up. It is important to remember that while per capita GDP is a useful measure of economic development, it does not provide a complete picture of a country's overall well-being and standard of living.
Hi there! When per capita GDP is used as a rough measure to compare the economic regions of the world, the richest region is North America, specifically the United States, and the poorest region is Sub-Saharan Africa.
North America, particularly the United States, has a high per capita GDP due to a well-developed economy, strong infrastructure, advanced technology, and an educated workforce. These factors contribute to high productivity and a high standard of living for the population.
On the other hand, Sub-Saharan Africa has the lowest per capita GDP primarily because of challenges such as political instability, poor infrastructure, and lack of access to education and healthcare. These factors limit the region's ability to develop and achieve higher levels of economic growth.
In summary, using per capita GDP as a measure for comparing economic regions of the world, the richest region is North America (United States) and the poorest region is Sub-Saharan Africa. It's important to note, however, that per capita GDP may not fully capture the nuances of wealth distribution and living standards within each region.
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please discuss the business benefits of using sap analytics cloud. if possible, write with real-world business examples.
SAP Analytics Cloud provides businesses with the tools and capabilities they need to make data-driven decisions and improve their operations.
SAP Analytics Cloud offers numerous benefits for businesses, including improved decision-making through real-time insights and visualizations, streamlined operations through integrated data sources, and increased productivity through automated processes. One example of a company benefiting from SAP Analytics Cloud is Aramex, a global logistics and transportation provider. By utilizing SAP Analytics Cloud, Aramex was able to gain real-time insights into its supply chain, improve its delivery process, and optimize its warehouse operations. This resulted in increased efficiency, improved customer satisfaction, and reduced costs. Overall, SAP Analytics Cloud provides businesses with the tools and capabilities they need to make data-driven decisions and improve their operations.
The business benefits of using SAP Analytics Cloud include improved decision-making, streamlined operations, and enhanced collaboration. By leveraging real-time data analysis, businesses can make more informed decisions, leading to better performance. For example, a retail company can use SAP Analytics Cloud to analyze customer purchasing patterns, enabling them to optimize inventory and pricing strategies. Additionally, integrating data from various sources allows organizations to streamline operations and reduce costs. A manufacturing firm might use SAP Analytics Cloud to monitor production data, identify inefficiencies and improve overall output. Lastly, the platform's collaborative features enable team members to work together more effectively, sharing insights and driving innovation.
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if the farmer sells wheat for $1 a bushel to the baker and the baker can make $3 worth of bread with one bushel, the value added by the baker is:
The value added by the baker is $2 per bushel of wheat. This is because the baker is able to use one bushel of wheat that they bought for $1 and turn it into $3 worth of bread, thus adding $2 of value to the wheat.
The baker's skill and labor in turning the raw material into a finished product is what creates this additional value. This is an important concept in economics known as value added, which refers to the increase in value that occurs at each stage of production as inputs are transformed into finished goods.
To calculate the value added by the baker, follow these steps:
1. Determine the cost of the wheat per bushel: In this case, the farmer sells wheat for $1 a bushel.
2. Determine the revenue generated by the baker: The baker can make $3 worth of bread with one bushel of wheat.
3. Calculate the value added: Subtract the cost of the wheat from the revenue generated by the baker.
Value added by the baker = Revenue generated by the baker - Cost of the wheat
Value added by the baker = $3 - $1
Value added by the baker = $2
So, the value added by the baker is $2.
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T/F: corporate culture makes it harder for employees to understand what is expected of them.
True, corporate culture can make it harder for employees to understand what is expected of them.
This is because corporate culture encompasses the values, beliefs, and practices of a company, and these can be complex and varied. Additionally, corporate culture can be difficult to define and understand, making it harder for employees to navigate and adapt to. However, a well-defined and communicated corporate culture can actually make it easier for employees to understand what is expected of them, as it provides a clear framework for decision-making and behavior. Ultimately, it depends on the clarity and consistency of the corporate culture.
True, corporate culture can make it harder for employees to understand what is expected of them. Corporate culture refers to the shared values, beliefs, and practices within an organization. It shapes employee behavior and can impact their understanding of expectations. When the corporate culture is complex or not clearly communicated, employees may find it difficult to grasp the desired norms and behaviors. To alleviate this issue, organizations should strive to establish a clear and cohesive corporate culture, communicate it effectively to all employees, and provide regular feedback on performance to ensure everyone understands their role and expectations.
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fitbit provides consumers with information about their actions in real time to give them a chance to change those actions and push for improvement. which type of decision-making self-regulation does fitbit use? group of answer choices counteractive construal feedback loop executive control center morning morality effect
Fitbit uses the decision-making self-regulation known as a feedback loop.
This type of self-regulation involves providing individuals with real-time information about their actions, allowing them to make necessary adjustments and push for improvement.
Real-time information in other words also means the accurate present information which is needed at present for the efficient functioning of the company.
Single-entity physical activity is recorded.
Fitbit accomplishes this by constantly monitoring an individual's physical activity and providing feedback through its app or device.
This feedback loop can help individuals stay motivated and on track toward achieving their fitness goals.
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based on the visualization, why does filing a tax return with an earned income tax credit and a schedule c with under $25,000 of total gross receipts increase the likelihood of an examination?
Based on the visualization, filing a tax return with an earned income tax credit and a schedule C with under $25,000 of total gross receipts increases the likelihood of an examination because these are red flags for the IRS.
The earned income tax credit is a refundable tax credit for low-income individuals, which the IRS closely monitors for potential fraud. Additionally, schedule C is used to report self-employment income, which is often subject to underreporting or inaccuracies. Therefore, the combination of these two factors raises the likelihood of an examination as the IRS seeks to ensure compliance and accuracy in tax reporting.
Based on the visualization, filing a tax return with an Earned Income Tax Credit (EITC) and a Schedule C with under $25,000 of total gross receipts increases the likelihood of an examination . In summary, the combination of claiming an EITC and having a Schedule C with under $25,000 of total gross receipts increases the likelihood of an examination due to the potential for fraud, errors, and underreporting of income associated with these tax components.
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Kevin lives in Dallas and runs a business that sells boats. In an average year, he receives $704,000 from selling boats. Of this sales revenue, he must pay the manufacturer a wholesale cost of $404,000; he also pays wages and utility bills totaling $286,000. He owns his showroom; if he chooses to rent it out, he will receive $3,000 in rent per year. Assume that the value of this showroom does not depreciate over the year. Also, if Kevin does not operate this boat business, he can work as an accountant, receive an annual salary of $20,000 with no additional monetary costs, and rent out his showroom at the $3,000 per year rate. No other costs are incurred in running this boat business.
Identify each of Kevin’s costs in the following table as either an implicit cost or an explicit cost of selling boats.
Implicit Cost
Explicit Cost
The wholesale cost for the boats that Kevin pays the manufacturer The rental income Kevin could receive if he chose to rent out his showroom The wages and utility bills that Kevin pays The salary Kevin could earn if he worked as an accountant Complete the following table by determining Kevin’s accounting and economic profit of his boat business.
Profit
(Dollars)
Accounting Profit Economic Profit
Therefore, Kevin's accounting profit is $14,000 and his economic profit is -$9,000. This means that although Kevin's boat business is making a profit on paper, it is actually incurring an economic loss once the implicit costs are taken into account.
The wholesale cost for the boats that Kevin pays the manufacturer is an explicit cost, as it is a direct cost that is incurred in the process of selling boats. The wages and utility bills that Kevin pays are also explicit costs, as they are directly related to the operation of the boat business. The rental income Kevin could receive if he chose to rent out his showroom is an implicit cost, as it is the opportunity cost of not renting out the showroom.
To calculate Kevin's accounting profit, we subtract the explicit costs from the total revenue:
$704,000 (sales revenue) - $404,000 (wholesale cost) - $286,000 (wages and utility bills) = $14,000 (accounting profit)
To calculate Kevin's economic profit, we need to take into account the implicit costs as well. The implicit costs include the rental income Kevin could receive if he chose to rent out his showroom and the salary Kevin could earn if he worked as an accountant.
The total implicit costs are $20,000 (salary as an accountant) + $3,000 (rental income from showroom) = $23,000
To calculate the economic profit, we subtract the total implicit and explicit costs from the total revenue: $704,000 (sales revenue) - $404,000 (wholesale cost) - $286,000 (wages and utility bills) - $23,000 (implicit costs) = -$9,000 (economic loss).
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susan wilson is looking to invest in a three-year bond that makes semi-annual coupon payments at a rate of 5.875 percent. if these bonds have a market price of $987.65, what yield to maturity can she expect to earn
Susan Wilson can expect to earn a yield to maturity of approximately 6.05 percent on the three-year bond that makes semi-annual coupon payments at a rate of 5.875 percent, given that the market price of the bond is $987.65.
To calculate the yield to maturity, we can use the formula:
YTM = [C + ((FV - P) / n)] / [(FV + P) / 2]
where:
C = coupon payment
FV = face value
P = market price
n = number of periods
In this case, C = 0.05875 x FV / 2 = 29.375
FV = $1000 (assuming a face value of $1000)
P = $987.65
n = 3 x 2 = 6 (since the bond makes semi-annual payments over a three-year period)
Substituting these values into the formula, we get:
YTM = [29.375 + ((1000 - 987.65) / 6)] / [(1000 + 987.65) / 2]
= 0.03083333 / 0.9948125
≈ 0.030998
≈ 0.031
≈ 3.1% (per semi-annual period)
Since there are two semi-annual periods in a year, the annual yield to maturity would be approximately 2 x 3.1% = 6.2%.
Therefore, Susan Wilson can expect to earn a yield to maturity of approximately 6.05 percent (rounded to two decimal places) on the three-year bond that makes semi-annual coupon payments at a rate of 5.875 percent, given that the market price of the bond is $987.65.
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what is the purpose of superflex's bankrupt banks series? group of answer choices it promotes social causes with large format posters. it produces title sequences with memorable fonts and a central theme. it uses interactive design and to attract and persuade viewers. it examines how logos communicate information without typography. next
The main purpose of Superflex's bankrupt banks series is to examine and critique the global financial system through interactive design and to attract and persuade viewers to consider social and economic issues.
The series uses large format posters and memorable fonts with a central theme to communicate its message effectively. Through its design, the series provides an explanation of how logos communicate information without typography and raises awareness about the impact of the financial system on individuals and society as a whole.
The Bankrupt Banks series features large format posters that display the logos of banks that went bankrupt during the financial crisis. By showcasing these logos, Superflex aims to raise awareness about the consequences of the financial crisis and stimulate discussion on social and economic issues related to the banking system.
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Alton Inc. Is working at full production capacity producing 20,000 units of a unique product. Manufacturing costs per unit for the product are:
Direct materials = $9
Direct labor = $8
Manufacturing overhead = $10
--------------------------------------------------
Total manufacturing cost per unit $27
The unit manufacturing overhead cost is based on a $4 variable cost per unit and $120,000 fixed costs. The nonmanufacturing costs, all variable, are $8 per unit, and the sales price is $45 per unit.
Sports Headquarters Company (SHC) has asked Alton to produce 5,000 units of a modification of the new product. This modification would require the same manufacturing processes. SHC has offered to share the nonmanufacturing costs equally with Alton. Alton would sell the modified product to SHC for $35 per unit. Required Set up an Excel spreadsheet to answer the following questions.
1. Should Alton produce the special order for SHC? Why or why not?
2. Suppose that Alton Inc. Had been working at less than full capacity to produce 16,000 units of the product when SHC made the offer. What is the minimum price that Alton should accept for the modified product under these conditions? Explain.
3. Use Goal Seek to determine the minimum price that Alton should accept for the special sales order
Alton should be accept the special sales order if SHC offers a price of $30.50 or higher.
To calculate the relevant costs and compare them to the revenue generated by the special sales order.
To determine if Alton should produce the special order for SHC, we need to calculate the incremental cost of producing the additional 5,000 units.
Direct materials = $9 x 5,000 = $45,000
Direct labor = $8 x 5,000 = $40,000
Manufacturing overhead = ($4 + $120,000/20,000) x 5,000 = $65,000
Total incremental manufacturing cost = $150,000
Nonmanufacturing costs shared by SHC = $8 x 5,000 / 2 = $20,000
Total incremental cost = $170,000
Revenue generated = $35 x 5,000 = $175,000
Since the revenue generated by the special order exceeds the incremental cost, Alton should produce the special order for SHC.
If Alton had been working at less than full capacity to produce 16,000 units of the product when SHC made the offer, the minimum price that Alton should accept for the modified product is the variable cost per unit plus the nonmanufacturing cost per unit, which is $4 + $8 = $12. This is because Alton would not incur any additional fixed manufacturing overhead costs and could use the idle capacity to produce the special order.
To use Goal Seek in Excel to determine the minimum price that Alton should accept for the special sales order, we can set up the following calculation:
Incremental cost = Direct materials + Direct labor + Manufacturing overhead + Nonmanufacturing costs shared by SHC
Incremental cost = $9 x 5,000 + $8 x 5,000 + ($4 + $120,000/20,000) x 5,000 + $8 x 5,000 / 2
Incremental cost = $150,000
Revenue generated = Price per unit x Number of units
Revenue generated = Price per unit x 5,000
We want to find the minimum price per unit that would make the revenue generated equal to the incremental cost. To do this, we can use Goal Seek as follows:
Click on the Data tab in the Excel ribbon.
Click on What-If Analysis in the Data Tools group.
Click on Goal Seek.
Set the Set cell to the revenue generated cell.
Set the To value to the incremental cost.
Set the By changing cell to the price per unit cell.
Click OK.
Excel will then find the minimum price per unit that would make the revenue generated equal to the incremental cost, which in this case is $30.50. Therefore, Alton should accept the special sales order if SHC offers a price of $30.50 or higher.
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who is most directly responsible for the sales mix achieved in a food service operation?select one:a.serversb.customersc.managersd.owners
The most direct responsibility for the sales mix achieved in a food service operation lies with the managers.
The managers are responsible for deciding on the menu offerings, pricing, promotions, and marketing strategies that influence customer choices. They also ensure that the food quality, presentation, and service meet the customer's expectations. Therefore, they must continually analyze and evaluate sales data to determine which menu items are popular and which ones are not. They must then make necessary adjustments to improve the sales mix and profitability of the operation. While servers and customers play a role in influencing the sales mix, ultimately, it is the responsibility of the managers to make strategic decisions that maximize sales and ensure customer satisfaction. Owners may also have some influence, but their involvement is usually more strategic and less direct.
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product releases are typically published in the section of a publication. question 2 options: a) news b) business c) product d) editorial e) business and product
The answer is A) News. Product releases are typically published in the news section of a publication. The news section of a publication is dedicated to reporting recent events, developments, and announcements that are of public interest.
Product releases, such as new product launches, upgrades, or enhancements, are considered news because they inform the public about the latest offerings from a company. In the news section, product releases are typically presented in a straightforward manner, without the added commentary or opinion that might be found in the editorial section. By publishing product releases in the news section, companies can reach a wider audience and generate buzz and interest around their products.
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scope creep can impact the allocation of which of the following resources? (1 point) time only capital only time and capital the number of staff only
The correct option is C, Scope creep can impact the allocation of both time and capital resources.
Allocation is the act of assigning or distributing resources, assets, or responsibilities to individuals or groups for a specific purpose or goal. It is a critical process in many areas, including finance, project management, and resource planning. In finance, allocation refers to the distribution of funds among various investment options, such as stocks, bonds, and cash, based on an investor's goals, risk tolerance, and investment horizon.
Effective allocation can help investors achieve diversification and balance risk and returns. In project management, allocation involves assigning tasks and responsibilities to team members based on their skills, availability, and capacity. Proper allocation of resources, including time, budget, and personnel, can help ensure that a project is completed on time, within budget, and to the expected quality.
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Complete Question:
scope creep can impact the allocation of which of the following resources? (1 point)
A). time only
B). capital only
C). time and capital
D). the number of staff only
The _______________ step of the perishable pricing process is to calculate the total dollar markup.
Answer:
the second step.... is the ans
The total dollar markup calculation is a crucial step in the perishable pricing process, which involves setting the price of goods that have a limited shelf life, such as fresh produce, meat, and dairy products.
The total dollar markup calculation is a crucial step in the perishable pricing process, which involves setting the price of goods that have a limited shelf life, such as fresh produce, meat, and dairy products. The markup represents the difference between the cost of acquiring or producing the product and the price at which it is sold to the customer, and it is the primary source of profit for the retailer. To calculate the total dollar markup, the retailer needs to consider various factors, including the cost of the product, the desired profit margin, and the estimated demand for the product. The markup percentage is calculated by dividing the desired profit margin by the cost of the product, expressed as a decimal. The markup percentage is then multiplied by the cost of the product to obtain the total dollar markup. For example, if a retailer wants to achieve a 30% profit margin on a product that costs $5, the markup percentage would be 0.3 / 1 = 0.3. The total dollar markup would be $5 x 0.3 = $1.50. Therefore, the retailer would sell the product for $6.50 ($5 + $1.50) to achieve the desired profit margin. By calculating the total dollar markup accurately, the retailer can ensure that they are pricing their perishable products competitively while still maintaining a healthy profit margin.
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State farm insurance company prints an ad in a national newspaper’s apartment rental section with a picture of a girl sitting on the edge of a tub full of water, blowdrying her hair while a plugged in toaster sits on the edge. The caption at the top of the ad reads, "renting without state farm is like. " which need does this marketing ad emphasize for potential customers?.
The marketing ad by State Farm Insurance Company in the national newspaper's apartment rental section, featuring a girl sitting on the edge of a tub full of water with a blow-dryer and a plugged-in toaster, emphasizes the need for safety and protection for potential customers.
The caption, "Renting without State Farm is like," implies that renting a property without insurance from State Farm is similar to engaging in a dangerous and risky situation, like the one depicted in the image.
By using this visual and caption, the ad highlights the importance of having an insurance policy that can safeguard renters against potential damages, accidents, or other unforeseen incidents that may occur in their homes. The advertisement effectively communicates to potential customers that State Farm can provide the necessary protection and peace of mind when renting a property, allowing them to avoid the metaphorical risks illustrated in the ad. This marketing strategy taps into the target audience's desire for security, stability, and a safe living environment while renting their homes.
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customers have a defined blank when it comes to waiting in line at a retail checkout counter. the amount of time consumers are willing to wait varies with the type of store.multiple choicevoice-of-customer quotientquality gapempowerment standardtangibles gapzone of tolerance
Simply expressed, the zone of tolerance is the difference between the level of service a consumer considers acceptable and the level of service they seek. Zone of Tolerance is the right response.
This zone contains a range of possibilities for service performance that a customer finds suitable.When a customer lines up at a retail location, we can see this Zone of Tolerance in action. The length of the queue would also depend on the type of establishment, with customers being more ready to wait longer if they felt the good or service was vital or required to them.Simply expressed, the difference between the level of service received and what the customer expects from the provider.
Complete question:
customers have a defined blank when it comes to waiting in line at a retail checkout counter. the amount of time consumers are willing to wait varies with the type of store.multiple choice
a. voice-of-customer
b. quotientquality
c. gapempowerment standardtangibles
d. zone of tolerance
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assume that the forward rate is used to forecast the spot rate. the forward rate of the canadian dollar contains a 6 percent discount. today's spot rate of the canadian dollar is $.80. the spot rate forecasted for one year ahead is:
If the forward rate is used to forecast the spot rate, we can use the formula:
Forward rate = Spot rate x (1 + r)^t
Where r is the interest rate differential between the two currencies and t is the time to maturity of the forward contract.
In this case, the forward rate of the Canadian dollar contains a 6 percent discount, which means that r = -6%. The time to maturity is one year, so t = 1.
Using the formula above, we can solve for the spot rate forecasted for one year ahead:
Forward rate = Spot rate x (1 + r)^t
0.80 = Spot rate x (1 - 0.06)^1
Simplifying:
0.80 = Spot rate x 0.94
Spot rate = 0.80 / 0.94
Spot rate = 0.851
Therefore, the spot rate forecasted for one year ahead is $0.851.
To summarize, if the forward rate is used to forecast the spot rate and the forward rate of the Canadian dollar contains a 6 percent discount, then the spot rate forecasted for one year ahead would be $0.851.
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Suppose that banks decide to hold excess reserves. In order for the Federal Reserve to change the money supply by the same amounts as in parts 1 and 2 it would need to make Choose one: On a smaller open market purchase but a larger open market sale. O B. a larger open market purchase but a smaller open market sale. c. a smaller open market purchase and a smaller open market sale. OD a larger open market purchase and a larger open market sale
Let's say banks opt to keep extra reserves. The Federal Reserve would need to make a smaller open market buy but a bigger open market sell in order to alter the money supply by the same amounts as in parts 1 and 2. Option B is Correct.
The amount left over for lending is referred to as the surplus reserves, whereas the percentage of deposits retained by banks is known as the necessary reserves. Therefore, the bank's ability to lend money to the economy decreases when it wants to hold more excess reserves.
The amount of money supply in the economy decreases as a result. surplus Reserves = Legal Reserves - Required Reserves is the equation for surplus reserves. A bank's demand deposits can be multiplied to determine the necessary reserves. Option B is Correct.
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which one of the following is a true statement? multiple choice the earnings distribution for full-time workers is less skewed than the one for all workers. when fringe benefits are included, the earnings distribution narrows. the distribution of income is no different from the distribution of earnings. the lorenz curve shows the extent of personal mobility within the distribution of earnings.
The correct statement from the given options is "when fringe benefits are included, the earnings distribution narrows." Fringe benefits, such as health insurance, paid leave, and retirement benefits, are additional forms of compensation that employees receive from their employers. Including these benefits in the calculation of earnings can provide a more accurate representation of an individual's total compensation.
When fringe benefits are included, the gap between the highest and lowest earners narrows. This is because fringe benefits tend to be more evenly distributed across employees compared to cash earnings, which can be heavily influenced by factors such as education, experience, and industry. In other words, including fringe benefits in the earnings distribution can result in a less skewed distribution. On the other hand, the other options are incorrect. The first option, "the earnings distribution for full-time workers is less skewed than the one for all workers," is not necessarily true. Full-time workers may still have varying levels of compensation, which can result in a skewed earnings distribution. The third option, "the distribution of income is no different from the distribution of earnings," is also incorrect. The distribution of income takes into account not only earnings but also other sources of income, such as investments and government transfers. Lastly, the fourth option, "the Lorenz curve shows the extent of personal mobility within the distribution of earnings," is not a true statement. The Lorenz curve is a graphical representation of income inequality, showing the cumulative share of income received by different segments of the population. It does not measure personal mobility within the distribution of earnings.
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what is the meaning of the surplus variable value of 22.5 in the 1st dual constraint with respect to the primal problem?
A surplus variable is introduced in a dual constraint when the corresponding primal variable is constrained to be non-negative.
In this case, the surplus variable represents the amount by which the constraint is exceeded or the excess capacity of the primal variable.
In the 1st dual constraint, the surplus variable value of 22.5 means that the primal variable (which is associated with this constraint) has a slack of 22.5 units.
This slack indicates that the primal variable is operating at less than full capacity and can be increased by up to 22.5 units without violating any constraints.
The value of the surplus variable in the dual problem provides information about the slack in the corresponding primal variable.
This information is useful in identifying potential areas for improvement in the primal problem, as increasing the value of the slack could lead to a better solution.
In summary, the surplus variable value of 22.5 in the 1st dual constraint indicates the amount of excess capacity or slack in the primal variable associated with this constraint.
This information can be used to identify potential areas for improvement in the primal problem.
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