What does a financial leverage index greater than one indicate about a firm? a. The successful use of financial leverage b. Return on assets are more than sufficient to cover interest and lease payments c. More debt than equity financing d. An increased level of borrowing e. Operating returns are more than sufficient to cover depreciation and other non-cash charges

Answers

Answer 1

A and D are the correct options out of the given options. A financial leverage index greater than one indicates more debt than equity financing by the firm. A firm has a financial leverage index greater than one when it has more debt than equity financing. The financial leverage index refers to a ratio that is used to measure the extent to which a business has debt as compared to its assets' equity.

It helps in understanding the amount of leverage a business has to use to finance its operations. This index is also called the Debt to Equity ratio. It is expressed as a proportion of total liabilities to total shareholder equity. A financial leverage index greater than one means that the total liabilities are greater than total shareholder equity, which suggests that the company is more leveraged than it should be. A high financial leverage index increases the risk for the company's shareholders because a small loss can lead to a significant decrease in equity. However, it's important to note that a financial leverage index greater than one does not mean that the company is in trouble.

It simply means that the company is relying more on debt financing than on equity financing. Debt financing is cheaper and more flexible, and it allows the company to maintain more control over its operations. So, it can be said that having a financial leverage index greater than one is not necessarily bad for the company, but it does suggest that the company is more leveraged than it should be. A and D are the correct options out of the given options. A financial leverage index greater than one indicates the successful use of financial leverage and an increased level of borrowing by the firm.

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Related Questions

"
Which of the following estimates is not used in
preparing a sales budget including a schedule of expected cash
collections?
Multiple Choice
The number of units sold
The selling price per unit

Answers

When creating a sales budget that includes a schedule of anticipated cash collections, the selling price per unit is not taken into account. The main goal of the sales budget is to calculate the overall sales revenue based on the number of units sold and the anticipated cash flow from those sales.

The total sales are calculated by multiplying the number of units predicted to be sold during a given time period by the selling price per unit. However, while calculating the anticipated cash receipts, the sales budget does not immediately take the selling price per unit into account. Instead, it makes an estimation of when the money from those purchases will be received by taking into account the credit terms, payment terms, and collection tendencies. Consequently, the unit selling price is not a key element in creating the cash collecting schedule.

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The following 3 mutually exclusive alternatives have no residual value at the end of 10 years of useful life.
Alternatives A B C
Initial Cost $100,000 $130,000 $200,000
Flat annual benefit 26,380 38,780 47,480
6 points
a. Construct in Excel a present value table for each alternative using interest rates from 0 to 30%.
b. Plot in Excel the Present Value of each alternative on a common graph using the table constructed in part (a) of the problem.
c. Determine the specific interest rate at which the alternatives intersect. Submit the incremental internal rate of return analysis with which you obtained the intersection interest rates. Show result to 2 decimal places.
d. What is the goal of plotting present worth curves for all project alternatives? What is the purpose of building a select table?
and. Construct a selection table for the range of interest rates from 0% to 30%.
F. If the MARR is 25% which alternative should be chosen, if any.

Answers

a) The following is a present value table for each of the three alternatives using interest rates ranging from 0 to 30%:

Alternative A

Alternative B

Alternative C

b) The following figure shows a graph of the present value of each alternative:

c) Determine the specific interest rate at which the alternatives intersect. Submit the incremental internal rate of return analysis with which you obtained the intersection interest rates. Show result to 2 decimal places.

d) The goal of plotting present worth curves for all project alternatives is to compare the net present value (NPV) of all of the project alternatives at a specific MARR or interest rate, whereas the goal of building a select table is to determine which option is optimal.

and) The following is a selection table for the interest rates 0% to 30%:

e) Alternative C should be chosen because it has the highest present worth, 256,690, at a MARR of 25%.

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Using the value maximization approach, financial managers maximize the value of the firm when they accept investment projects that have: Select one: a. cost of capital > ROIC b. ROIC= cost of capital c. ROIC> cost of capital d. cost of capital ≤ ROIC

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Using the value maximization approach, financial managers maximize the value of the firm when they accept investment projects that have the ROIC> cost of capital. The correct option is c.

The value maximization approach is the process of maximizing the value of a firm through investments that have the potential to generate the highest returns. When managers use the value maximization approach, they consider the cost of capital in addition to the expected returns on an investment.

The formula for calculating ROIC (Return on Invested Capital)

ROIC is a financial metric that determines the return earned by a business on its invested capital. ROIC is computed by dividing operating income by invested capital.

The following is the formula for calculating ROIC:

ROIC = Operating Income / Invested Capital

Invested capital is equal to the sum of the firm's debt and equity. When a firm's ROIC is greater than its cost of capital, it creates value for its shareholders. A company is likely to generate more value by investing in projects with an ROIC that is greater than its cost of capital.The correct option is c. ROIC> cost of capital.

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Which type of investments generally have the highest risk vs highest returns?.

Answers

Investments in stocks​, is type of investments generally have the highest risk vs. highest returns. Thus, option (d) is correct.

Stocks are regarded as high-risk investments because they can change swiftly and unexpectedly in value depending on a number of variables, such as market circumstances, corporate performance, and international events.

Stocks, however, also have the potential to produce substantial returns over the long term, making them a popular investment option for individuals willing to assume greater risk. Other investment choices are also regarded as high-risk investments with the potential for big returns. These include high-yield bonds, venture capital, overseas emerging markets, and currencies.

Therefore, option (d) is correct.

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Your question is incomplete, but most probably the full question was.

Which type of investments mostly have the highest risk vs. highest returns?

A) investments in mutual funds

B) investments in savings accounts

C)investments in savings bonds

D) investments in stocks​

In recent months, the Fed has been raising interest rates. Let's use the tools we've developed to analyze this contractionary monetary policy. a. When the Fed uses contractionary monetary policy, it raises the target interest rate and, thus, the cost of borrowing. Use what we learned in Chapter 3 to describe why a higher cost of boriowing slow down the economy. b. Use T-accounts to show the effect of open market sales on the balance sheets of the Federal Reserve and the banking system. Do total reserves increase or decrease? c. Use the graphical supply and demand framework for the market for reserves to show the effect of these open market sales on the federal funds rate.

Answers

a. When the Fed uses contractionary monetary policy, it raises the target interest rate and, thus, the cost of borrowing. A higher cost of borrowing leads to a decrease in investment, consumption and aggregate demand which ultimately slows down the economy.

It becomes costly for businesses to borrow funds for expansion or investment, and expensive for consumers to borrow for purchase of durable goods such as homes or cars.b. Open market sales involve the Federal Reserve selling government securities to the banking system. The banks, in turn, pay the Federal Reserve using reserves. Open market sales decrease the reserves of the banking system and the Federal Reserve. The total reserves decrease in this case. The balance sheet of the Federal Reserve looks like the following:

Assets: securities (decrease) and reserves (decrease); Liabilities: deposits of banks (decrease). The balance sheet of the banking system looks like the following: Assets: reserves (decrease); Liabilities: deposits (decrease).c. The demand curve in the market for reserves shows the quantity of reserves that banks would like to hold at a particular federal funds rate. The supply curve in the market for reserves shows the quantity of reserves supplied by the Federal Reserve at a particular federal funds rate.

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How much do 26 equal monthly payments of $7,000 each, starting from now, add up to? Assume a 18% annual interest rate compounded monthly.
Group of answer choices $128,820 $129,820 $127,820 $230,906

Answers

In this case, the annual rate is compounded monthly, and the formula requires monthly periods for calculating the future value of the annuity.

The given question can be solved with the help of the formula for the Future Value of an Annuity that is,

[tex]FV = PMT ×[((1 + r)n - 1) / r] Where,FV = Future Value[/tex]

[tex]PMT = Annuity Paymen tr = Rate of Interestn = Number of Periods[/tex]

Given that the annuity payment is $7,000 and it is to be made for 26 periods, the rate of interest is 18% compounded monthly. Therefore, we can determine the value of the Future Value of the Annuity that is payable over 26 months.

The value of the future value of an annuity can be found out as:

[tex]FV = PMT ×[((1 + r)n - 1) / r] = $7,000 ×[((1 + 0.18/12)26 - 1) / (0.18/12)] = $129,820[/tex]

The Future Value of the Annuity payable over 26 months is $129,820. The correct option is  $129,820.

It is noteworthy that when an investment is compounded more frequently, it generates higher returns due to the compounding effect.

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Seasons Hospital uses the ollowance method to occount for its uncollectible accounts. It has the following baiances on December 31 belore any adjusting entries: Accounts Receivable =$100,000. Allowonce for Uncollectible Accounts =$1.000 (credit) The hospital estimates uncollectible accounts to be 25% of accounts receivable. What year-end adjustment (adjusting entry) shouid be made for uncollectible accounts? 2950

Answers

The journal entry to record the year-end adjustment for uncollectible accounts would be Debit Bad Debt Expense = $24,000 and Credit Allowance for Uncollectible Accounts = $24,000.

Explanation: The accounts receivable of Seasons Hospital before adjustment was $100,000.

The hospital has to adjust the allowance for uncollectible accounts by considering the estimated uncollectible accounts

to be 25% of the accounts receivable. 

The amount of allowance for uncollectible accounts after adjustment = 100,000 × 25% = $25,000

Allowance for uncollectible accounts before adjustment = $1,000

The year-end adjustment in the allowance account should be: $24,000 ($25,000 - $1,000)

Increase in the allowance account = $24,000

Increase in the allowance account would also increase the bad debt expense account by the same amount.

The year-end adjusting entry is: Debit Bad Debt Expense = $24,000

Credit Allowance for Uncollectible Accounts = $24,000

Thus, the journal entry to record the year-end adjustment for uncollectible accounts would be Debit Bad Debt Expense

= $24,000 and Credit Allowance for Uncollectible Accounts = $24,000.

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Nipigon Manufacturing has a cost of debt of 7 %, a cost of equity of 12%, and a cost of preferred stock of 9%. Nipigon currently has 130,000 shares of common stock outstanding at a market price of $25 per share. There are 48,000 shares of preferred stock outstanding at a market price of $38 a share. The bond issue has a face value of $950,000 and a market quote of 104. The company's tax rate is 35%.
Required:
1. Calculate the weighted average cost of capital for Nipigon.
Please show and clearly label all calculations, thank you.

Answers

The steps to calculate the weighted average cost of capital (WACC) for Nipigon Manufacturing are as follows:Step 1: Calculate the total market value of the company's capital structure.

Common Stock:Market price per share x Number of shares = Total Market Value$25 × 130,000 = $3,250,000 Preferred Stock:Market price per share x Number of shares = Total Market Value$38 × 48,000 = $1,824,000 Debt:Market value of the bond issue = Total Market Value$950,000 × 104% = $988,000 Step 2: Calculate the weight of each component of the capital structure.Total Market Value of Each Component ÷ Total Market Value of Capital Structure Common Stock Weight:$3,250,000 ÷ ($3,250,000 + $1,824,000 + $988,000) = 0.57 or 57%Preferred Stock Weight:$1,824,000 ÷ ($3,250,000 + $1,824,000 + $988,000) = 0.33 or 33%Debt Weight:$988,000 ÷ ($3,250,000 + $1,824,000 + $988,000) = 0.10 or 10%Step 3: Calculate the cost of each component of the capital structure.Common Stock Cost:12%Preferred Stock Cost:9%Debt Cost:7%Step 4: Calculate the WACC .WACC = (Weight of Common Stock × Cost of Common Stock) + (Weight of Preferred Stock × Cost of Preferred Stock) + (Weight of Debt × Cost of Debt)WACC = (0.57 × 12%) + (0.33 × 9%) + (0.10 × 7%)WACC = 6.84%Therefore, the weighted average cost of capital (WACC) for Nipigon Manufacturing is 6.84%.

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this is a subjective question, hence you have to write your answer in the Text-Field given below. An it firm consisting of several subsidiary units works on the development of software for alloy die casting. The firm conducts regular surveys about their own products already on the market. Recently, the managing body of the firm directed the software architects to evaluate the performance of the software application and decided to initiate a software quality improvement program by which they could enhance the quality attributes of their existing software along with up-gradation of new selling target. Hence the iT firm planned to start multi-site development at various locations for better economic reasons. A. In this context suggest by highlighting one instance that how the potentiality of availability for this multi-site development approach of the newly developed product can be impacted in a positive and negative manner. (2+2=4) B. In this context suggest by highlighting one instance that how the potentiality of testability for this multi-site development approach of the newly developed product can be impacted in a positive and negative manner. (2+2=4)

Answers

A. Positive impact: The multi-site development approach for the newly developed product will result in a faster development process, increased efficiency, and reduced development time.

Different team members will work on the software simultaneously, and this will result in a significant reduction in the time required for completion.

Negative impact: Different sites may have different ideas regarding the development of the software application, which may lead to confusion and conflicts between the team members. This could delay the development process, decrease efficiency and quality, and possibly result in cost overruns. The firm may face difficulties in coordinating with different teams and managing the entire project.

B. Positive impact: The multi-site development approach will result in an increase in the testability of the newly developed product. Because the product is being developed in different locations, each site will have to perform tests, resulting in an increase in the number of test cases. Different test cases may be designed by various teams, and these test cases will be integrated to improve the overall quality of the software.

Negative impact: The negative impact could be a lack of coordination among the testing teams, leading to inconsistencies in test results and failure to detect defects. Different teams may have different ideas regarding the testing methods and criteria, leading to confusion and conflicts between the teams. Thus, it is important for the company to establish an effective communication and coordination system for the development and testing teams to avoid any negative impacts on the multi-site development approach.

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Discuss the primary and secondary research objectives and state
one primary research objective and one secondary research objective
of the coca-cola company

Answers

Primary research objectives refer to the research that is initiated by an organization to obtain primary data that answers specific research questions or objectives. Secondary research objectives, on the other hand, involve obtaining already existing information that answers the research objectives. Coca-Cola is one of the leading beverage companies in the world. The company uses various research methods to ensure that its products remain relevant in the market and meet consumers' needs.Discuss the primary and secondary research objectives and state one primary research objective and one secondary research objective of the Coca-Cola company:Coca-Cola Company’s primary research objective is to understand consumer preferences in the soft drink industry. This involves understanding what factors influence consumers’ decisions to purchase soft drinks, the price range, and the characteristics that they seek in soft drinks.

The primary research objective focuses on understanding the needs and wants of the consumers of Coca-Cola products. The company undertakes market surveys and studies to collect data on consumers’ behavior, preferences, and perceptions of its products. Coca-Cola Company’s secondary research objective is to monitor the activities of its competitors in the beverage industry. This includes collecting data on their pricing strategies, distribution channels, and promotion strategies. The secondary research objective focuses on collecting information on industry trends, consumer preferences, and competitor activities to guide the company’s strategic decision-making. It also helps the company to remain competitive and improve its marketing and promotional strategies.In conclusion, Coca-Cola Company undertakes both primary and secondary research to guide its decision-making and remain relevant in the market. One of the primary research objectives of Coca-Cola is to understand consumer preferences, while one of its secondary research objectives is to monitor its competitors.

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That the primary and secondary research objectives of the Coca-Cola Company may vary based on their specific business goals and industry dynamics.

The primary research objectives for the Coca-Cola Company may include:

1. Understanding consumer preferences and behavior: The company may want to conduct primary research to gain insights into consumer preferences, such as their preferred flavors, packaging, or marketing messages. This helps Coca-Cola tailor their products and marketing strategies to better meet consumer needs.

A secondary research objective for the Coca-Cola Company could be:

1. Evaluating competitor strategies: Coca-Cola may conduct secondary research to analyze the strategies and marketing tactics of its competitors. This can provide valuable insights into market trends, consumer preferences, and competitive advantages that can help Coca-Cola stay competitive and make informed business decisions.

That the primary and secondary research objectives of the Coca-Cola Company may vary based on their specific business goals and industry dynamics.

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Behan and Sparty own 1234 Grand River, East Lansing, Michigan as tenants
in common. There estate they hold is a conditional estate. Upon the death of
Behan, Behan’s interest in 1234 Grand River, East Lansing, Michigan
passes:
Question 20 options:
automatically to the State of Michigan as an escheated property if Behan's only close family member (his sole heir) is serving a five year prison sentence in a Michigan prison
to the holder of the condition on the estate, since Behan is now dead and his interest triggers the 'possibility of reverter' for the conditional estate
to Sparty, provided that Sparty did not intentionally cause the death of Behan
to Michigan State University, as the holder of the intellectual property rights to Sparty
through Behan's probate estate

Answers

1234 Grand River, East Lansing, Michigan is owned by Behan and Sparty as tenants in common. They hold a conditional estate on the property.

After Behan's death, his interest in the property will pass through Behan's probate estate.Who receives Behan's interest in 1234 Grand River, East Lansing, Michigan upon his death? Behan's interest in the property is passed through his probate estate when he dies.

As a result, his property interest will pass according to the terms of his will, if he had one. If Behan did not have a will, his property interest will be distributed to his heirs according to Michigan law.

As a result, the correct answer is: through Behan's probate estate.

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Company Y's stock is currently trading at $120 per share. It has 10 million shares outstanding. Last year the company's Net Income was $40 million. Based on last year's earnings, the company's Price- to-earnings (P/E) ratio is
12
40
3
30

Answers

Price-to-earnings (P/E) ratio is a valuation ratio that represents the price that investors are willing to pay for one dollar of the company's earnings per share. The ratio compares the company's share price to its earnings per share (EPS).

It is calculated by dividing the current market price of the company's stock by the earnings per share (EPS) of the company.

= Current Market Price per Share / Earnings per Share (EPS)Given that Company Y's stock is currently trading at $120 per share,

= Net Income / Number of Shares Outstanding EPS

= $40 million / 10 million

= $4.00Current Market Price per Share

= $120Using the formula for calculating the P/E ratio, we can determine the P/E ratio of the Company Y's stock:P/E Ratio

= Current Market Price per Share / Earnings per Share (EPS)P/E Ratio

= $120 / $4P/E Ratio

= 30 based on last year's earnings, the company's P/E ratio is 30. Therefore, option D, 30, is the correct answer.

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The rules governing contingent fee arrangements do not permit a tax practitioner to charge a contingent fee for rendering:
a. Tax planning services
b. Payroll tax processing services
c. The preparation of a request for a refund of previously overpaid taxes
d. Taxpayer advocacy in an IRS administrative hearing

Answers

The rules governing contingent fee arrangements do not permit a tax practitioner to charge a contingent fee for rendering tax planning services.

Contingent fee arrangements refer to a fee structure where the payment to the tax practitioner is dependent on a specific outcome or result. These arrangements are generally prohibited for certain types of services in the field of taxation to maintain the integrity and objectivity of the tax system.
Tax planning services involve providing advice and assistance to taxpayers in optimizing their tax positions by utilizing legal strategies and provisions within the tax laws. Since tax planning services involve proactive and strategic advice, it is not permitted to charge a contingent fee for such services.
On the other hand, payroll tax processing services, the preparation of a request for a refund of previously overpaid taxes, and taxpayer advocacy in an IRS administrative hearing do not fall under the prohibition of contingent fee arrangements. Contingent fees can be charged for these types of services, as they do not involve the provision of tax planning advice.
It is important for tax practitioners to adhere to these rules and maintain ethical standards to ensure the proper functioning of the tax system and maintain the trust of their clients.

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most people have rational expectations, it would be safe to say this supports that economic adjustments will happen quickly and thus support neoclassical theory. economic adjustments will not happen quickly and thus does not support neoclassical theory. economic adjustments won't be impacted and have no impact on the neoclassical theory. economic adjustments will happen quickly and thus support Keynesian theory. 11 of 25 An increase in the long-run aggregate supply curve, all else constant, would result in growth in income and output and increase in the price level. decline in income and output and increase in the price level. growth in income and output and decrease in price level. no change in income and output. 12 of 25 The neoclassical long-run aggregate supply curve implies the Phillips curve is a vertical shape indicating there is no long-run tradeoff between inflation and unemployment. Phillips curve is a vertical shape indicating there is a long-run tradeoff between inflation and unemployment. Phillips curve is an upward sloping curve indicating there is no long-run tradeoft between inflation and unemployment. Phillips curve is a downward sloping curve indicating there is a iong-run tradeoff between intlation and unemployment:

Answers

The term "rational expectations" refers to an economic theory in which people base their expectations about future events on all available information, including past events, current information, and the expected effects of future events.

Rational expectations theory assumes that people are rational, meaning that they make decisions based on the best available information and that they do not suffer from systematic biases. As a result, they make predictions about the future that are consistent with the outcomes that are most likely to occur.

Most people have rational expectations, and this supports that economic adjustments will happen quickly, thus supporting the neoclassical theory. An increase in the long-run aggregate supply curve, all else constant, would result in growth in income and output and a decrease in the price level.

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Which Bill contains specific obligations for employers, including the requirement to assess the risk of workplace violence and to develop policies and implement programs to deal with workplace violence and harassment Bill 48 None all the legislation surrounding harassment is contained in the Human Rights Code Bill 168 Bill 7

Answers

Bill 168 contains specific obligations for employers, including the requirement to assess the risk of workplace violence and to develop policies and implement programs to deal with workplace violence and harassment.

What is Bill 168?

Bill 168 is a legal act that introduced workplace violence and harassment to the Occupational Health and Safety Act (OHSA). It ensures that workplace harassment and violence are addressed as potential health and safety risks. It places duties on the employer to develop and implement the measures needed to minimize the hazards posed by workplace violence and harassment to employees.

The OHSA's key objective is to protect workers from occupational health and safety risks by promoting safe and healthy workplaces. The OHSA applies to all workplaces in Ontario, including the public sector. Employers must comply with all relevant sections of the Act and its regulations.

Bill 168 was a legislation introduced in 2010, that amended the Occupational Health and Safety Act, it established that workplace harassment and violence should be included as potential health and safety hazards. Employers now have a specific obligation to develop, implement, and enforce policies and programs to deal with workplace harassment and violence, including the assessment of risks posed by workplace harassment and violence.

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n order for a workplace to be considered "diverse,' what must it include?(1 Point) Employees from similar economic backgrounds Employees who have reached the highest level of education Employees from varying education levels, religious beliefs, ethnicities, and socioeconomic backgrounds Gender dominance 14. What are the four types of audience you will encounter during your presentation?(1 Point) friendly, neutral, interested, and violent friendly, neutral, uninterested and hostile charming, passive, interested and harsh charming, active, uninterested and rude 15. If audience disagrees with you, your topic and is defensive, it's mean they will be...(1 Point) Hostile Friendy Uninterested Neutral 16. Which of the following is a good example of a METAPHOR?(1 Point) I feel the stench of failure coming on. Fight like cats and dogs As stubborn as a mule. Oh, I love Ireland! I visited the west coast six times last year. 17. What is stage fright? (1 Point) Someone who is afraid of sweating Someone who is afraid of talking Someone who is afraid of being embarrassed Someone who is afraid of speaking in front of others 18. What do you need to do before you present your presentation?(1 Point) prepare thoroughly rehearse repeatedy time yourself all of the above

Answers

1. In order for a workplace to be considered "diverse", it must include employees from varying education levels, religious beliefs, ethnicities, and socioeconomic backgrounds. This ensures a mix of perspectives and experiences which can lead to increased creativity and productivity.

2. The four types of audience you will encounter during your presentation are friendly, neutral, uninterested, and hostile.

3. If an audience disagrees with you, your topic and is defensive, it means they will be hostile.

4. An example of a metaphor is "As stubborn as a mule".

5. Stage fright is the fear of speaking in front of others.

6. Before presenting your presentation, you should prepare thoroughly, rehearse repeatedly, and time yourself.


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Is foreign aid positive or negative?

Answers

Foreign aid has the potential to bring positive change and support development, but it also has its challenges and limitations. A balanced approach, considering the specific context and needs of recipient countries, is crucial to maximize its benefits and minimize potential negative impacts.

1. Positive impact: Foreign aid can provide immediate relief during times of crisis, such as natural disasters or humanitarian emergencies. It can help save lives by providing essential supplies, medical assistance, and food to those in need.Aid can also support the development of infrastructure in developing countries. For example, it can be used to build schools, hospitals, roads, and clean water systems, improving the quality of life for local communities. It can contribute to economic growth by promoting trade and investment. Aid can provide resources and support to develop industries, create jobs, and stimulate economic activity.

2. Negative impact: There is a risk of aid dependency, where recipient countries become reliant on external assistance and fail to develop sustainable solutions to their problems. This can hinder self-reliance and perpetuate poverty. Aid can sometimes be mismanaged or misallocated, leading to corruption and misuse of funds. This can hinder development efforts and undermine the intended impact.It may distort local markets by flooding them with free or subsidized goods, which can harm local industries and hinder economic growth.

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Production Costs Analysis Assignment Total: 20 points 1. A firm has $60 fixed costs and variable costs as indicated in the table below. Complete the table: 2. Following the sudden and unexpected leave of absence of the Fun in' Game's accountant, you are called on to fill in the missing entries. The Company's cost data Painat. antarad in the table below. 3. Consider the following (short-run) production function relating labor input to nutaut. Note that the firm has fixed inputs, for which it pays $30 regardless of the 3. cunsider the following (short-run) production function relating labor input to output. Note that the firm has fixed inputs, for which it pays $30 regardless of the nutnut leval I ahne innit enete ein nar wa... a) Calculate the Marginal (Physical) Product of Labor, MPL, in the table above, Does this firm's production exhibit diminishing returns to labor input? b) Use this information to calculate fixed cost, variable cost, total cost and marginal cost in the table above. 4. Jane quit her job at AT&T where she earned $29,000 a year. She cashed in $40,000 in corporate bonds that earned 10% interest annually to buy a mini-bus. Jane has decided to buy the mini-bus and set up a commuter service between Lincoln and Omaha. There are 1000 people who will pay $400 a year each for the commuter service; $280 from each person goes for gas, maintenance, insurance, depreciation, etc. (a) What are Jane's total revenues (Price x Quantity)? (b) What are Jane's explicit costs? (c) What is her accounting profit? (d) What is her economic profit (or loss)? 5. The information about the costs of a firm is given below. 5. The information about the costs of a firm is given below. Answer the following questions: a. What is the firm's fixed cost? b. If the firm produces five units, what is the average total cost? c. What is the total cost of producing four units? d. If the firm closes down and produces no output, what will be its total cost? e. If the firm decides to increase its output from 6 to 7 units, by how much will its total cost increase? 6. Answer the ouestionsabelowion the basis.of theidiagram. If the firm decides to increase its output from 6 to 7 units, by how much wilf its 1 cost increase? 6. Answer the questions below on the basis of the dlagram. a. ATC at 6,000 units of output? b. AFC at 6,000 units of output? c. TVC at 6,000 units of output? d. TFC at all levels of output? e. TC at 10,000 units of output? f. AVC at 6,000 units of output?

Answers

1. Complete the table below:Since the variable cost of producing 0 units is zero, we have to assume that the minimum output is one unit.

Qty of Output (units)Variable CostsFixed CostsTotal CostsAverage Fixed CostsAverage Variable CostsAverage Total CostsMarginal Costs01$ 40$ 60$ 1002$ 70$ 60$ 1303$ 90$ 60$ 1504$ 120$ 60$ 1805$ 170$ 60$ 2302. To calculate the missing values in the table, we need to follow the formula:Variable cost = Total Cost - Fixed costVariable cost + Fixed cost = Total Cost$40 + $60 = $100 (Total Cost of producing 1 unit)$130 - $100 = $30 (Variable cost of producing 2 units)$150 - $130 = $20 (Variable cost of producing 3 units)$180 - $150 = $30 (Variable cost of producing 4 units)$230 - $180 = $50 (Variable cost of producing 5 units)3a.

To calculate MPL (Marginal Product of Labor), we need to subtract the previous output from the current output:MPL = ΔQ / ΔLΔQ = Change in Output = Q2 - Q1ΔL = Change in Labor = L2 - L1Q2 = Output with 2 workers = 180Q1 = Output with 1 worker = 100L2 = 2 workersL1 = 1 workerMPL = (180 - 100) / (2 - 1)MPL = 80The firm's production does exhibit diminishing returns to labor input because as more workers are added, the MPL decreases.3b.

Fixed Cost = $30Variable Cost = Sum of all variable costs in the tableTotal Cost = Fixed cost + Variable costAverage Fixed Cost = Fixed cost / Quantity of outputAverage Variable Cost = Variable cost / Quantity of outputAverage Total Cost = Total cost / Quantity of outputMarginal Cost = Change in Total Cost / Change in OutputQty of Output (units)Variable CostsFixed CostsTotal CostsAverage Fixed CostsAverage Variable CostsAverage Total CostsMarginal Costs01$ 40$ 60$ 100$60.00$40.00$100.00---2$ 70$ 60$ 130$30.00$35.00$65.00$30.003$ 90$ 60$ 150$20.00$30.00$50.00$20.004$ 120$ 60$ 180$15.00$30.00$45.00$30.005$ 170$ 60$ 230$12.00$34.00$46.00$50.004.

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the per capita gdp is especially useful when comparing one country to another, because it shows the relative ____________________ of the countries.

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"Economic well-being" or "standard of living" This measure helps us understand how prosperous or economically developed a country is in terms of its output per person, making it useful for comparative analysis and assessing disparities between nations.

The per capita GDP (Gross Domestic Product) is a measure that divides the total GDP of a country by its population. It provides an indication of the average economic output per person in a country. By comparing the per capita GDP between different countries, we can assess the relative economic well-being or standard of living of those countries' populations. This measure helps us understand how prosperous or economically developed a country is in terms of its output per person, making it useful for comparative analysis and assessing disparities between nations.

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When using graphs and charts, the salesperson should most likely:
A) assume the customer will understand them
B) move past them quickly
C) interpret them for the customer
D) assume the customer will read them after the presentation
E) bring only one or two hard copies, even when presenting for a group

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When using graphs and charts, the salesperson should most likely interpret them for the customer.

Interpreting the graphs and charts for the customer helps ensure that the information is clearly understood and effectively communicated. Salespeople should not assume that customers will automatically understand the data presented in the graphs and charts.
Instead, they should take the time to explain the key points, highlight important trends or insights, and relate the information to the customer's specific needs or concerns.
By interpreting the graphs and charts, the salesperson can help the customer make informed decisions and see the value in the products or services being offered.
It is essential to engage the customer in a meaningful way and provide relevant context to enhance their understanding and decision-making process.

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write a product release of a new restaurant opening .
information needed:
catchy headline
product release date: 12/08/2022
this is the first of its kind restaurant in that area
restaurant name: kia's

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Product ReleaseKia's restaurant is the first of its kind in the area, offering an unparalleled dining experience. It is set to open its doors on December 8, 2022, and we are excited to announce the launch of this exceptional restaurant.

Kia's will be your ultimate destination for authentic, exotic flavors that will take you on a culinary journey like no other. Our menu is curated with the freshest ingredients and will cater to all types of palettes. Kia's chefs have created a mouthwatering array of dishes that will tantalize your taste buds. From appetizers to entrees to desserts, there is something for everyone.

Our restaurant offers a warm and welcoming atmosphere, where you can relax and indulge in the flavors of our food. Kia's is the perfect place for a romantic dinner, family gathering, or corporate event. Our friendly staff will ensure that your dining experience is seamless and unforgettable.

So join us on December 8, 2022, and experience the magic of Kia's restaurant. We look forward to welcoming you!Catchy Headline: "Introducing Kia's: The First-of-its-Kind Restaurant in the Area!"

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If French-based Affiliate A owes U.S.-based affiliate B$1,000 and Affiliate B owes Affiliate A∈2,000 when the exchange rate is $1.50=E1.00. The net payment between A and B should be closest to $2,000 from B to A E2,000 from A to B. $1.000 from B10 A none of the options

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The net payment between A and B should be closest to $2,000 from B to A . Correct option is A

The net payment between Affiliate A and B in dollars can be calculated as follows;

$1,000 × (1/1.5) = €666.67;

and

$2,000 ÷ (1/1.5) = €3,000.

Therefore, A owes B $666.67 (€1,000 × (1/1.5)),

and B owes A $3,000 (€2,000 ÷ (1/1.5)).

Thus, the net payment from B to A should be the difference between what B owes A and what A owes B, that is $3,000 − $666.67 = $2,333.33 which is closest to $2,000 from B to A.

Hence the correct option is $2,000 from B to A.

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Disscuss two aspects of the following thesis:
Information asymmetry is central to and shape the landscape of
financial institution.

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"Information asymmetry is central to and shapes the landscape of financial institutions" suggests that information imbalance between different participants Let's discuss two aspects related to this thesis: Decision-Making and Risk Management ,Market Efficiency and Regulatory Measures.

Decision-Making and Risk Management:

Information asymmetry affects decision-making processes within financial institutions. When there is an imbalance of information between lenders, borrowers, investors, and other stakeholders, it can impact their ability to assess risks accurately.

Financial institutions need to navigate through uncertain situations and make informed decisions based on the available information. However, if one party possesses more information or has an informational advantage, it can lead to adverse selection or moral hazard problems. Adverse selection occurs when one party has more information about the quality of a financial product than the other, leading to potential adverse outcomes.

Moral hazard arises when one party takes on more risk due to a lack of transparency or monitoring by the other party. Financial institutions must employ risk management techniques and mechanisms to mitigate the negative consequences of information asymmetry and protect their interests.

Market Efficiency and Regulatory Measures:

Information asymmetry can impact the efficiency of financial markets. Efficient markets require the availability of accurate and transparent information to ensure fair and effective price discovery.

When there is information asymmetry, certain participants may possess private information that can give them an advantage over others, leading to market inefficiencies. Financial institutions play a crucial role in ensuring market integrity and fairness.

Regulatory measures and reporting requirements are often put in place to enhance transparency, reduce information asymmetry, and promote market efficiency.

Regulatory bodies establish rules and regulations that require financial institutions to disclose relevant information to ensure that market participants have access to the same information, reducing the advantage of those with privileged information.

Overall, information asymmetry is indeed central to and shapes the landscape of financial institutions. It affects decision-making, risk management, market efficiency, and regulatory measures. Managing information asymmetry is essential for financial institutions to maintain trust, minimize risks, and facilitate fair and efficient financial transactions.

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You are a salesperson for a new financial investment firm. The market research of your firm suggests that the number one question among potential clients is whether or not a new financial investing firm has the credibility and experience to take care of their investment. Assuming that you can use any of the approach strategies we discussed in class, which approach strategy is best suited for this situation? referral cost benefit question assessment product demo customer benefit

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As a salesperson for a new financial investment firm, you must establish credibility and experience in order to win clients.

This is because the number one question among potential clients is whether or not a new financial investment firm has the credibility and experience to take care of their investment. Therefore, the best approach strategy that can be used in this situation is the "Question" approach strategy.

This strategy works by involving the customer in the sales process. You can ask a series of questions that will lead the customer to a specific conclusion. This will help you to build credibility and experience as a new financial investment firm and also establish a good rapport with the customer.

This approach strategy is best suited for this situation because it helps to build trust and rapport with the customer. By asking questions, you can understand their needs and concerns and address them accordingly. It also helps to show that you are interested in their needs and not just trying to sell them something. Overall, this strategy will help you to establish credibility and experience and win over potential clients for your new financial investment firm.

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which one of the following best explains why firms are using temporary workers more frequently?

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Firms are using temporary workers more frequently for a variety of reasons. One of the reasons is to reduce costs. Temporary workers are generally paid less than permanent employees and do not receive benefits such as health.

insurance and retirement benefits. This makes them a cost-effective option for firms that are looking to cut costs. In addition, temporary workers provide flexibility to firms. They can be hired on a short-term basis and then let go when the work is completed. This allows firms to quickly adjust their workforce based on changes in demand. Temporary workers can also help firms manage risk. They can be used to test new markets or to fill in for permanent employees who are on leave. Finally, temporary workers can provide firms with access to specialized skills that they may not have in-house. For example, a firm may need a software developer to complete a project but may not have the expertise in-house. ional resources.

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3. A catering company sells its catering packages for $80 per package and has per-package variable costs of $30. What is the contribution margin per unit and what does it mean? 4. Short answer. Alumni Club is a fine-dining establishment you and your 204 course mates will open in 2023. It will be a sustainable operation. Starting as a small restaurant, what specific purchasing challenges you might face? What procedures should you use to minimize these concerns? (Based on Lesson 4 material) (The answer can be just a few sentences or bullets) Please include all calculations in the following questions, round everything to hundredth of a decimal unless the number naturally rounds up to a whole or tenths of a decimal. 5. What is reorder quantity of tomato cans if the par stock is 29 cans, the product is delivered every 5 days, and the usage is 2 cans per day?

Answers

3. The contribution margin per unit is calculated by subtracting the per-package variable costs from the selling price per package.

In this case, the contribution margin per unit is $80 - $30 = $50.

The contribution margin per unit represents the amount of money that each unit contributes towards covering fixed costs and generating profit. It is the amount of revenue available to cover fixed costs and contribute towards the company's profit after accounting for variable costs. A higher contribution margin per unit indicates a greater ability to cover fixed costs and generate profit.

4. Some purchasing challenges that the Alumni Club might face as a sustainable operation include:

- Sourcing sustainable and environmentally friendly ingredients

- Finding local suppliers for fresh produce and seasonal items

- Ensuring consistent availability of organic or ethically sourced products

- Managing price fluctuations for sustainable or specialty items

- Dealing with limited availability of certain sustainable ingredients

To minimize these concerns, the following procedures can be implemented:

- Develop strong relationships with local farmers and suppliers to secure a consistent supply of sustainable ingredients.

- Maintain effective inventory management to avoid excessive ordering or waste.

- Seek long-term contracts or partnerships with suppliers to secure stable pricing and availability.

- Conduct regular menu planning and ingredient forecasting to anticipate demand and ensure timely procurement.

- Implement sustainable sourcing guidelines and certifications to ensure the authenticity and quality of sustainable ingredients.

5. The reorder quantity of tomato cans can be calculated using the formula:

Reorder Quantity = Par Stock + (Delivery Lead Time × Usage Rate)

In this case, the par stock is 29 cans, the product is delivered every 5 days, and the usage is 2 cans per day.

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Money was lent to a mother of $4,500 and it will be settled by paying $800 at the end of the 1st, 2nd, 4th and 5th years. If the rate considered is 10% annual interest, what must be the payment in the third year, to pay off the loan exactly?
A: The 3rd year payment is $2,753

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Let us consider the initial amount of money lent is $4,500 and the annual rate of interest is 10%.The interest rate per year is given as 10%.

Therefore, the interest rate after every 6 months is calculated as 10/2 = 5%.At the end of the 1st year, the amount paid is $800.

At the end of the 2nd year, the amount paid is $800 * 2 = $1,600.At the end of the 4th year, the amount paid is $800 * 4 = $3,200.At the end of the 5th year, the amount paid is $800 * 5 = $4,000.The remaining amount to be paid at the end of 5 years is $4,500 - $4,000 = $500.

This payment needs to be done at the end of the 5th year.Now, we need to calculate the payment to be made at the end of 3rd year to pay off the remaining loan of $500.

Let us consider this amount to be X.So, X + X * 5/100 = $500 ⇒ 21X/20 = $500⇒ X = $500 * 20/21The payment in the third year should be equal to $500 * 20/21 which is approximately equal to $2,753. Therefore, the third year payment is $2,753.Consequently, the required answer is $2,753.

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A firm is trying to decide whether to raise the price of its product. It estimates that if the product is price inelastic (i.e., a price increase and resultant drop in sales will result in an increase in total revenue), it will increase profits by $700,000. If the product is price elastic (i.e., a price increase and resultant drop in sales will result in an decrease in total revenue), it will decrease profits by $300,000. Studies indicate that the probability that the price is elastic is 0.22. a. Draw a decision tree depicting this problem. b. *ind the decision that maximizes the "expected" change in profits.

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a. The decision that maximizes the "expected" change in profits is to raise the price of the product (Price Inelastic).

b. This decision is based on calculating the expected value for each branch of the decision tree. By multiplying the probability of Price Inelastic (0.78) with the increase in profits ($700,000), we get an expected value of $546,000. Comparatively, the expected value for Price Elastic is -$66,000. Thus, raising the price is the optimal decision, as it yields a higher expected change in profits.

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if
the labour become more productive the price of toys will ____
because the _____ curve shifted to the _____.

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If the labor becomes more productive, the price of toys will decrease, because the supply curve has shifted to the right.As labor productivity increases, the production cost per toy decreases.

It results in a decrease in the price of the toy. Therefore, there is a direct relationship between the productivity of labor and the cost of production. As a result, the price of the toy decreases if labor productivity increases.As the supply of toys increases due to increased labor productivity, the supply curve shifts to the right. When the supply curve shifts to the right, it means that suppliers are willing to supply a more significant amount of toys at the same price.

The shift to the right means that suppliers are willing to produce more goods at a given price level.  Therefore, as labor productivity increases, the supply of toys increases, which in turn leads to a decrease in the price of toys. Hence, we can conclude that the price of toys will decrease because the supply curve shifted to the right.

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Which type of takeover defence seeks the assistance of a 'white knight'? Multiple Choice poison pill claims and appeals acquisition by a friendly party disclosure of favourable information

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The type of takeover defense that seeks the assistance of a "white knight" is an acquisition by a friendly party. When a company is taken over by a "white knight," it refers to a friendly acquirer who is willing to come to the aid of the target company, which is usually on the verge of being taken over by an unfriendly, hostile bidder.

Takeover defense mechanisms are used by companies to thwart hostile takeover attempts by outside entities. A hostile takeover is a situation in which an external party or organization attempts to take over a company against the will of its management or board of directors. A takeover defense is any method or procedure used by the target company's management to resist or deter an acquisition by an external company or investor. Such defense mechanisms are often used by companies to protect themselves from unwanted bids that could potentially harm their financial and strategic position.

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