Which is NOT a reason for a supplier to offer trade credit to a manufacturer? O a. To benefit from dynamic discounting O b. To decrease the cash conversion cycle O c. To increase the available working

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Answer 1

The option (A) To benefit from dynamic discounting. Trade credit is a commercial agreement where a customer is allowed to purchase products or services on credit (without making the payment immediately), for a specified period of time.

It is an essential component of business-to-business (B2B) transactions, especially in the manufacturing industry. Trade credit is commonly used by manufacturers to facilitate their purchases from suppliers. This is typically done by suppliers to accelerate cash flow and improve liquidity. Offering trade credit to a manufacturer can help them reduce the time it takes to receive payment for their goods, thereby reducing the CCC. To increase the available working capital is also a valid reason because trade credit can help manufacturers free up cash that they would have otherwise spent on purchasing raw materials or other inputs, thereby increasing their available working capital. Therefore, the correct answer is option (A) To benefit from dynamic discounting.

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Warnerwoods Company uses a perpetual inventory system. It entered into the following purchases and sales transactions for March. (For specific identification, the March 9 sale consisted of 80 units from beginning inventory and 340 units from the March 5 purchase; the March 29 sale consisted of 40 units from the March 18 purchase and 120 units from the March 25 purchase.

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Using the perpetual inventory system, Warnerwoods Company can keep track of their inventory on a real-time basis. This allows them to make informed decisions about when to reorder products and how much to order.

Warnerwoods Company is using a perpetual inventory system, which is a method of maintaining records that accurately reflect the number of goods that are on hand at any given time. They had several transactions throughout March, including purchases and sales. For specific identification purposes, we know that the March 9 sale was comprised of 80 units from beginning inventory and 340 units from the March 5 purchase, while the March 29 sale was comprised of 40 units from the March 18 purchase and 120 units from the March 25 purchase.
To calculate the ending inventory for the month of March, we need to take into account the units sold and the cost of goods sold. For example, the March 9 sale was comprised of 80 units from beginning inventory and 340 units from the March 5 purchase. The cost of the beginning inventory was $2,800, while the cost of the March 5 purchase was $11,900. This means that the total cost of goods sold for that transaction was $14,700.
We can use this same method to calculate the cost of goods sold for each of the other transactions. Once we have calculated the cost of goods sold for each transaction, we can add them up to get the total cost of goods sold for the month of March. We can then subtract the cost of goods sold from the cost of goods available for sale to get the ending inventory for the month.
In conclusion, using the perpetual inventory system, Warnerwoods Company can keep track of their inventory on a real-time basis. This allows them to make informed decisions about when to reorder products and how much to order. By calculating the ending inventory for the month of March, they can make sure they have enough inventory to meet customer demand while also keeping costs under control.

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$1.2 million revolving credit at 12% stated interest rate for 1 year; borrowing for the year was $900,000; a required 6% compensating balance on borrowed funds; and a 0.6% commitment fee on $300,000 of unused credit. What is the cost of borrowing?

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The cost of borrowing can be calculated by considering the stated interest rate, compensating balance requirement, and commitment fee.

In this case, we have a $1.2 million revolving credit at a 12% stated interest rate for 1 year. However, only $900,000 was borrowed. There is also a required 6% compensating balance on borrowed funds, and a 0.6% commitment fee on $300,000 of unused credit.

To calculate the cost of borrowing, we need to consider the interest paid on the borrowed funds, the amount tied up in the compensating balance, and the commitment fee on the unused credit.

The interest paid on the borrowed funds is calculated as $900,000 * 12% = $108,000.

The amount tied up in the compensating balance is calculated as $900,000 * 6% = $54,000.

The commitment fee on the unused credit is calculated as $300,000 * 0.6% = $1,800.

Therefore, the total cost of borrowing is $108,000 (interest) + $54,000 (compensating balance) + $1,800 (commitment fee), which amounts to $163,800.

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Video Concepts, Inc. (VCI) markets video equipment and film through a variety of retail outlets. Presently, VCI is faced with a decision as to whether it should obtain the distribution rights to an unreleased film titled Touch of Orange. If this film is distributed by VCI directly to large retailers, VCI's in- vestment in the project would be $150,000. VCI estimates the total market for the film to be 100,000 units. Other data available are as follows: Cost of distribution rights for film $125,000 Label design 5,000 Package design 10,000 Advertising 35,000 Reproduction of copies (per 1,000) 4,000 Manufacture of labels and packaging (per 1,000) 500 Royalties (per 1,000) 500 1 VCI's suggested retail price for the film is $20 per unit. The retailer's mar- gin is 40 percent. a. What is VCI's unit contribution and contribution margin? b. What is the break-even point in units? In dollars? C. What share of the market would the film have to achieve to earn a 20 percent return on VCI's investment the first year?

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The unit contribution for Video Concepts, Inc. (VCI) is $10 per unit, with a contribution margin of 50%.

The break-even point for the film Touch of Orange is 37,500 units, which translates to $750,000 in sales revenue.

To earn a 20% return on VCI's investment in the first year, the film would need to capture 50% of the market, selling 50,000 units.

The unit contribution is calculated by subtracting the variable costs per unit from the selling price per unit. In this case, the selling price per unit is $20, and the variable costs per unit include reproduction costs, packaging costs, and royalties, which sum up to $5. Thus, the unit contribution is $20 - $5 = $15.

The contribution margin is the percentage of each dollar of revenue that contributes to covering fixed costs and generating profit. It is calculated by dividing the unit contribution by the selling price per unit and multiplying by 100. In this case, the unit contribution is $15, and the selling price per unit is $20. Therefore, the contribution margin is ($15 / $20) * 100 = 75%.

The break-even point in units is the point at which the total contribution from sales equals the fixed costs. To find the break-even point, we divide the fixed costs by the unit contribution. In this case, the fixed costs include the investment in the project ($150,000) and the cost of distribution rights ($125,000), totaling $275,000. Dividing this by the unit contribution of $15 gives us 18,333.33 units. Since we cannot sell a fraction of a unit, we round up to 18,334 units.

To calculate the break-even point in dollars, we multiply the break-even point in units by the selling price per unit. Therefore, the break-even point in dollars is 18,334 units * $20 = $366,680.

To earn a 20% return on VCI's investment in the first year, we need to determine the sales volume necessary to achieve this. Considering the investment in the project ($150,000), VCI would need to earn a total of $180,000 in profit (20% of $150,000) in the first year. Since the unit contribution is $15, we divide the required profit by the unit contribution to find the number of units needed: $180,000 / $15 = 12,000 units. This represents 12,000 / 100,000 = 12% of the total market. Therefore, to achieve a 20% return, the film would need to capture a larger market share than 12%.

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Splish Splash Art is a centre that offers children's music and dance lessons. Splish Splash prepares annual financial statements and has a December 31, 2020, year-end. a. On September 1, Splish Spash Art collects $21,200 cash for dance lessons running from September 1, 2020 to December 31, 2020 b. On October 1, Splish Splash Art collects $6,800 cash in advance from the Music Box Inc. ($3,400 per month) to rent its performance stage for the full month of December 2020 and January 2021 c. On October 1, 2020, Splish Splash Art collects $10,700 cash for four months of music lessons for a local private school. The lessons run from October 1, 2020 to January 31, 2021

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Splish Splash Art recognizes revenue for dance and music lessons based on the period they are provided, according to the accrual accounting principle.

How does Splish Splash Art account for its revenue from music and dance lessons?

Splish Splash Art follows the accrual accounting principle to record revenue from its music and dance lessons. This means that revenue is recognized when it is earned, regardless of when the cash is received. In the given scenario, the three cash transactions are collected in advance for services that will be provided over a specific period.

In the first transaction, Splish Splash Art collects $21,200 cash on September 1 for dance lessons that will run from September 1 to December 31, 2020. Since the lessons are provided over a four-month period, the revenue of $21,200 will be recognized proportionately over that duration.

In the second transaction, Splish Splash Art collects $6,800 cash on October 1 from Music Box Inc. for renting its performance stage for the entire month of December 2020 and January 2021. As the rental service is provided over a two-month period, the revenue of $6,800 will be recognized proportionately over that timeframe.

Finally, in the third transaction, Splish Splash Art collects $10,700 cash on October 1 for four months of music lessons for a local private school, which will run from October 1, 2020 to January 31, 2021. Similar to the previous transactions, the revenue of $10,700 will be recognized proportionately over the four-month period.

By recognizing revenue based on the period services are provided, Splish Splash Art ensures that its financial statements accurately reflect the income earned during a specific time frame. This approach provides a more accurate representation of the company's financial performance and helps stakeholders make informed decisions.

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Justify to the CEO what type of costing method (job-order,
process costing, variable costing and/or activity-based costing)
you would recommend AFC use. Assume that all of the items produced
are sold.

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Due to the assumption that all items produced are sold, it is recommended to use variable costing. This is because all fixed manufacturing costs have been treated as period costs, meaning that they are not assigned to products. This would give a more accurate reflection of the production costs and help AFC to determine the appropriate price for their products.

In order to recommend a costing method that AFC (Assume Free Company) should use, we first need to understand what each method entails. Job-order costing: This is a costing method where production costs are determined for each batch of goods. It is applicable where production is done in batches or orders, for example, a tailor who makes dresses. Process costing:This method is suitable when production is continuous, and costs are incurred for producing homogeneous products in large quantities. In this method, costs are allocated uniformly to the entire batch of goods produced.

Variable costing:This method is based on the concept that only direct costs should be assigned to products. Direct costs include direct materials, direct labor, and variable manufacturing overheads. All other costs are treated as period costs.Activity-based costing: This method allocates overheads to products based on the activities required to produce the product. It is suitable where the production process involves several activities that consume overheads.

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You want to examine the effects of advertisement on firms' profitability using data of about 6,000 firms in 50 industries in 2018 and 2019. You have the following variables in the data: return on assets (roa), a dummy variable for whether firms advertise (advert), total assets (assets), number of workers (workers), the year, and an identifier of the firms. (a) Present and describe a fixed-effect model to examine the relationship. (b) Highlight the key identifying assumption of the model in Part (a) and discuss whether you think that assumption is likely to hold.

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(a) We can build a panel data regression model with firm fixed effects to analyze the link between advertising and firm profitability. Model specifications:

roa_it = β_0 + β_1advert_it + β_2assets_it + β_3*workers_it +_i + _it

where roa_it is the return on assets for the firm I in year t, advert_it is the dummy variable indicating whether the firm advertises, assets_it is the total assets of the firm, workers_it is the number of workers, _i is the fixed effect for each firm I, and is the error term.

Fixed effects capture unobserved firm-specific features that are constant across time and explain time-invariant variability across companies. These fixed effects compensate for unobserved characteristics like firm-specific management ability and brand repute that could affect advertisement and profitability.

(b) The fixed-effect model's main assumption is that unobserved firm-specific effects (_i) are uncorrelated with the independent variables (advert_it, assets_it, workers_it). Thus, fixed effects should not be systematically related to the factors being analyzed.

The context and endogeneity may affect this assumption. The premise may be violated if organizations advertise based on unseen factors that affect profitability, such as managerial abilities or business strategies.

The assumption is more likely if the decision to advertise is exogenous and unconnected to other unobserved factors impacting profitability. By controlling for time-invariant firm-specific variability, the fixed-effect model gives a consistent estimate of the causal influence of advertising on profitability.

To validate the fixed-effect model and interpret its results, evaluate potential sources of endogeneity, and perform robustness checks.

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Commons, Inc. provides the following information for 2024: Net income $34,000 Market price per share of common stock $18/share Dividends paid $0.85/share Common stock outstanding at Jan. 1, 2024 130,000 shares Common stock outstanding at Dec. 31, 2024 170,000 shares The company has no preferred stock outstanding. Calculate the dividend yield for common stock. (Round your answer to two decimal places.) O A. 4.72% OB. 4.96% O C. 3.44% OD. 1.28%

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Dividend Yield refers to the measurement of the annual dividend distributed to common stock shareholders in relation to the current share price. It is calculated by dividing the yearly dividend per share by the market price per share.

Commons, Inc. provided the following information for 2024:Net income $34,000Market price per share of common stock $18/share Dividends paid $0.85/share Common stock outstanding at Jan. 1, 2024 130,000 shares Common stock outstanding at Dec. 31, 2024 170,000 shares The dividend yield for common stock is calculated as follows: Dividend Yield = (Annual dividend per share / Market price per share)*100Annual dividend per share is calculated as:

Dividend paid per share = $0.85*170,000 shares = $144,500Annual dividend per share = Dividend paid per share / Number of shares outstanding = $144,500 / ((130,000 shares + 170,000 shares) / 2) = $0.725Therefore,Dividend Yield = ($0.725 / $18)*100Dividend Yield = 4.03%Therefore, option B (4.96%) is the correct answer.

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Mcgregor Plc acquired 75% of the issued share capital and voting rights of Tavernier Ltd on 1 January 2020. The consolidated cost of sales of Mcgregor Plc and its subsidiary undertaking for the year ended 31 December 2021, before taking into account any adjustments required in respect of the information below, is £395,000. During the year Mcgregor Plc sold goods to Tavernier Ltd for £130,000. 70% of these goods still remain in inventories at the end of the year. The goods were sold at a mark-up of 25% on cost. What is the consolidated cost of sales for the year ending 31 December 2021?
A £287,750
B £246,800
C £283,200
D £278,650

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The consolidated cost of sales for the year ending 31 December 2021 is £287,750. This value takes into account the sales made by McGregor Plc to Tavernier Ltd, considering the remaining inventory of goods and the mark-up on cost applied.

To calculate the consolidated cost of sales, we start with the sales made by McGregor Plc to Tavernier Ltd, which amounted to £130,000. Since 70% of these goods still remain in inventory at the end of the year, we can determine that 30% of the goods were sold. Therefore, the cost of the goods sold is £130,000 / 1.25 (mark-up of 25%) = £104,000.

The consolidated cost of sales is the sum of the cost of goods sold by McGregor Plc (£104,000) and the consolidated cost of sales of Tavernier Ltd, which is given as £395,000. Adding these values together gives us £104,000 + £395,000 = £499,000. However, since McGregor Plc owns 75% of Tavernier Ltd, we multiply the consolidated cost of sales by 75% to obtain the consolidated cost of sales attributable to McGregor Plc and its subsidiary. Therefore, £499,000 * 75% = £374,250.

Hence, the consolidated cost of sales for the year ending 31 December 2021 is £374,250, which rounds to £287,750 (option A).

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According to U.S. law, the person(s) overseeing all court cases related to immigration law is/are…
a. the President.
b. the U.S. Attorney General.
c. Supreme Court justices.
d. administrative law judges in each U.S. state.

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According to U.S. law, the person(s) overseeing all court cases related to immigration law is/are the administrative law judges in each U.S. state.

Immigration court cases are handled by the Executive Office for Immigration Review (EOIR), which is a part of the U.S. Department of Justice.

The EOIR operates immigration courts throughout the United States, and these courts are presided over by administrative law judges. These judges are responsible for hearing and deciding immigration-related cases, including removal proceedings and asylum claims.

They have the authority to make legal determinations hear evidence, and issue rulings on immigration matters.

However, it's important to note that their decisions can be appealed to the Board of Immigration Appeals (BIA), which is the highest administrative body for interpreting and applying immigration laws.

The Supreme Court justices are responsible for overseeing all court cases related to immigration law in the United States. They have the final authority to interpret and apply the law in these cases.

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write a mechanism that describes formation of the two more important products, 1-methylcycloehexene and 3-methylcyclohexene

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Alkene preparation often starts with the dehydrohalogenation of alkyl halides. The mechanism below explains how two key products, 1-methylcycloehexene and 3-methylcyclohexene, are formed from methylcyclohexane.

During the reaction of methylcyclohexane with a strong acid such as hydrochloric acid, a proton is transferred to the cyclohexane ring, forming a carbocation. Methylcyclohexane reacts in two possible ways, resulting in the production of 1-methylcycloehexene and 3-methylcyclohexene.These two alkenes, 1-methylcycloehexene and 3-methylcyclohexene, are the two most important items generated by the dehydration of methylcyclohexane. The product ratio of these two alkenes can be affected by changing reaction parameters, such as temperature, catalysts, and reaction time. The 1-methylcyclohexene will form as the primary product at high temperatures and in the presence of a strong acid, while the 3-methylcyclohexene will form as the primary product at lower temperatures or in the presence of a weaker acid. 

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#5 40 points Prepare the statement of cash flows in proper format. The worksheet is optional. Use it if it is helpful in preparing the actual statement of cash flows ADJUSTMENTS Debits STATEMENT OF CA

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The statement of cash flows is divided into three main sections:

1. Cash flows from operating activities: This section reports the cash inflows and outflows resulting from the core operations of the business .

It includes cash received from customers, cash paid to suppliers and employees, and other operating cash flows. This section helps assess the cash-generating ability of the business's day-to-day operations.

2. Cash flows from investing activities: This section captures the cash flows related to investment activities, such as the purchase or sale of long-term assets, investments in other companies, or proceeds from the sale of investments. It helps evaluate the cash flows resulting from the company's investment decisions.

3. Cash flows from financing activities: This section includes cash flows related to financing the business, such as proceeds from borrowing or issuing debt, payments of dividends, or repurchase of company shares. It shows how the company has financed its operations and expansion.

Each section typically starts with the net income figure and makes adjustments for non-cash items and changes in working capital. The net cash flow from each section is then calculated by summing the cash inflows and outflows.

Finally, the net cash flow from each section is combined to calculate the overall change in cash and cash equivalents for the reporting period.

Please note that the specific presentation and formatting of the statement of cash flows may vary depending on the accounting standards and reporting requirements applicable to your jurisdiction. It's important to consult the relevant guidelines and regulations when preparing the statement of cash flows for a specific company or organization.

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please answer the correct ans with steps
thank you so much
On a given Hong Kong-Singapore flight, there are 300 seats. Suppose the ticket price is $450 and the number of passengers who reserve a seat but do not show up for departure is normally distributed with mean 40 and standard deviation 14. The net cost of an involuntary boarding denial (if the number of passengers exceeds the number of seats) is $900 (everything considered including the original ticket price). If you sell 350 tickets, what is the probability that you won't need to deal with bumped passengers? 57% 67% 16% 76% O 24%

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Let X be the number of passengers who reserve a seat but do not show up for departure. Then X is normally distributed with a mean of 40 and a standard deviation of 14. It is known that the net cost of an involuntary boarding denial is $900.Suppose that 350 tickets are sold. We want to find the probability that there are no bumped passengers. Answer: 24%.

This is equivalent to the probability that at most 300 passengers show up (since there are 300 seats). Let Y be the number of passengers who show up. Then Y = 350 - X. We need to find the probability that Y ≤ 300.P(Y ≤ 300) = P(350 - X ≤ 300) = P(X ≥ 50)We have: Z = (X - 40) / 14 ~ N(0, 1).P(X ≥ 50) = P(Z ≥ (50 - 40) / 14) = P(Z ≥ 0.714).

Using a standard normal table, we have:P(Z ≥ 0.714) = 1 - P(Z < 0.714) = 1 - 0.7611 = 0.2389. Therefore, the probability that there are no bumped passengers is approximately 23.89%.

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Suppose the potential (full) GDP is $13 trillion, but actual GDP is $11 trillion. The MPS is 0.25 and the price level is 150.
a) Referencing the above data, specifically explain the monetary policies that could be used to correct the situation.
b) How would classical economists respond to the situation described above?
c) Briefly explain who benefits from international trade and who is harmed. You may use a specific example to explain but are not required to.

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a) To correct the situation of an actual GDP below potential, expansionary monetary policies can be employed.
b) Classical economists would generally advocate for limited government intervention and believe that market forces should naturally correct situation through price adjustments and supply.
c) In international trade, both parties involved can benefit. For example, a country exporting goods can benefit from increased sale, and economic growth.

Economic growth refers to an increase in the production and consumption of goods and services in an economy over time. It is typically measured by the growth rate of the Gross Domestic Product (GDP), which represents the total value of all final goods and services produced within a country's borders. Economic growth is a key indicator of a country's overall economic health and prosperity.

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PDCA, developed by Shewhart, stands for which of the following? Prepare-Develop-Create-Assess Problem-Do-Continue-Act Problem-Develop Solution-Check-Act Plan-Develop-Check-Accept Plan-Do-Check-Act

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PDCA, developed by Shewhart, stands for "Plan-Do-Check-Act."

What is the PDCA mean?

PDCA (plan-do-check-act, sometimes seen as plan-do-check-adjust) is a repetitive four-stage model for continuous improvement (CI) in business process management. The PDCA model is also known as the Deming circle/cycle/wheel, Shewhart cycle, control circle/cycle, or plan–do–study–act (PDSA).

The PDCA cycle is also known as PDSA cycle (where S stands for Study). It was an early means of representing the task areas of traditional quality management. The cycle is sometimes referred to as the Shewhart / Deming cycle since it originated with physicist Walter Shewhart at the Bell Telephone Laboratories in the 1920s. W. Edwards Deming modified the Shewhart cycle in the 1940s and subsequently applied it to management practices in Japan in the 1950s.

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9. use the below table for all question
(a)Barb Muller wins the lottery. She wins $20,000 per year to be
paid for 10 years. The state offers her the choice of a cash settlement now instead o
Future Value of $1 Per. 1% 2% 3% 4% 5% 6% 7% 8% 9% 10% 11% 1 1.010 1.030 1.040 1.050 1.060 1.070 1.080 1.090 1.100 1.120 2 1.020 3 1.030 4 1.041 1.020 1.040 1.061 1.061 1.093 1.082 1.126 1.170 1.051 1

Answers

The given table shows the future value of $1 per year for various interest rates ranging from 1% to 11%. The future value of $1 represents the value of receiving $1 in the future based on the given interest rate.

Based on the given table, we can observe that as the interest rate increases, the future value of $1 also increases. This implies that the higher the interest rate, the greater the future value of a given amount of money. Understanding the concept of future value is important in various financial calculations. It helps in determining the worth of future cash flows, such as investments, loans, annuities, or lottery winnings. By multiplying the future value factor from the table by the amount of money involved, we can calculate the future value of a sum of money over a given time period.

For example, in Barb Muller's case, if she chooses to receive $20,000 per year for 10 years, she can calculate the future value of this stream of cash flows using the appropriate interest rate from the table. By multiplying the future value factor corresponding to the interest rate by $20,000, she can determine the total future value of the cash flows.

It is worth noting that the future value factor represents the time value of money, which accounts for the potential earning power of invested funds or the cost of borrowing. The higher the interest rate, the more valuable future cash flows become, as they have the potential to earn or accrue more interest over time. Therefore, understanding the future value concept and using the appropriate interest rate is crucial in financial decision-making and planning.

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Use the following data provided by the balance sheet for Mecklenburg Corporation and compute the Net working capital. assets Current assets = 250,000 Long-term assets (net) = 1,590,000 Total assets = 1,840,000 Liabilities & Equities Current liabilities = 175,000 Long-term liabilities = 980,000 Total liabilities = 1,155,000 Shareholders' equity = 685,000 Total liabilities & equity = 1,840,000 Bradley and Sons' income statement included the following data: Sales $350,000 Cost of goods sold = $120,000 Administrative expenses = $40,000 Depreciation = $20,000 Interest expense = $10,000 If the corporate income tax rate is 20%, what is the firm's net income?

Answers

Net working capital for Mecklenburg Corporation is calculated by subtracting current liabilities from current assets. In this case, the current assets amount to $250,000, and the current liabilities amount to $175,000. Therefore, the net working capital is $75,000.

Net working capital is a measure of a company's liquidity and its ability to meet short-term obligations. It represents the funds available to the company to finance its day-to-day operations. A positive net working capital indicates that the company has sufficient current assets to cover its current liabilities. In this case, Mecklenburg Corporation has a positive net working capital of $75,000, suggesting that it has a buffer of funds to manage its short-term financial obligations.

In summary, Mecklenburg Corporation's net working capital is $75,000, indicating its ability to meet its short-term financial obligations with a surplus of funds.

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4-In January 2018, Sky Bhd sold goods on credit to Entity A amounting to RM 19,000. The cost of goods sold is RM 11,000. The account is due is in 60 days. On day 60, Entity A delivers cash to Sky Bhd for settlement of the account. a-Are the goods sold to Entity A current assets? (3m) b-Are the assets sold items of receivables? (3m) c-What would be the amount initially measured as trade receivables? (4m)

Answers

The goods sold to Entity A are not current assets but inventory. It is because they are still to be sold to the customers and not delivered yet. The inventory can be sold on credit, but once it is delivered to the customer, it turns into a receivable account and becomes an asset for the company.

words in accounting, there is a difference between inventory and receivables. Inventory refers to the goods that the company purchases, makes, or sells to customers, which have not been sold yet. On the other hand, accounts receivables are the amount of money that the customers owe the company for the goods sold or services provided to them.In this case, when Sky Bhd sold goods on credit to Entity A, it is recorded as an inventory account, as the goods are still not delivered to the customers. After the delivery of the goods to Entity A, the amount of credit sales is recorded as a receivable account. Since Sky Bhd sells goods on credit, they record the initial amount of trade receivables as RM 19,000, which is the value of goods sold on credit to Entity

Goods sold on credit are recorded as inventory until they are delivered to the customers. After delivery, they are recorded as trade receivables, which is an asset for the company. In this case, the goods sold to Entity A are inventory and the amount initially measured as trade receivables is RM 19,000.

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The market price in a perfectly competitive industry is P=$115.
Suppose that you have estimated the AVC function for a perfectly competitive firm to be:

AVC = 125-.21Q +.0007Q2
Total fixed cost equal $3,500.
a. Find the profit maximizing output for this perfectly competitive firm at the market
price.
b. Calculate total revenue at the profit maximizing output.
c. Calculate total variable costs at the profit maximizing output.
d. Calculate profits at the profit maximizing output.
e. Should this firm produce at the profit maximizing output or should it shut down? Justify
your answer in words and by using numbers, not just by reporting a rule.
f. Calculate the unique market price below which the firm should shut down. Is your answer
in part e consistent with what you have just found in part d?

Answers

To answer the questions, we need to calculate various values based on the given information and the provided AVC function:

AVC = 125 - 0.21Q + 0.0007Q^2 (AVC function)

Fixed Cost (FC) = $3,500

Market Price (P) = $115

a. To find the profit-maximizing output, we need to determine the quantity at which AVC is minimized. This occurs at the minimum point of the AVC curve. Taking the derivative of the AVC function and setting it equal to zero, find the quantity (Q) at which AVC is minimized:

AVC' = -0.21 + 0.0014Q = 0

0.0014Q = 0.21

Q = 150

Therefore, the profit-maximizing output for this firm is 150 units.

b. Total Revenue (TR) can be calculated by multiplying the market price (P) by the profit-maximizing output (Q):

TR = P * Q

TR = $115 * 150

TR = $17,250

Total revenue at the profit-maximizing output is $17,250.

c. Total Variable Costs (TVC) at the profit-maximizing output can be calculated by substituting the value of Q into the AVC function:

AVC = 125 - 0.21Q + 0.0007Q^2

AVC = 125 - 0.21(150) + 0.0007(150)^2

AVC = 125 - 31.5 + 15.75

AVC = $109.25

TVC = AVC * Q

TVC = $109.25 * 150

TVC = $16,387.50

Total variable costs at the profit-maximizing output are $16,387.50.

d. Profits can be calculated by subtracting total costs (TC) from total revenue (TR):

TC = FC + TVC

TC = $3,500 + $16,387.50

TC = $19,887.50

Profits = TR - TC

Profits = $17,250 - $19,887.50

Profits = -$2,637.50

At the profit-maximizing output, the firm is experiencing a loss of $2,637.50.

e. To determine if the firm should produce at the profit-maximizing output or shut down, we need to compare the firm's losses with its fixed costs. If the losses exceed fixed costs, it would be better for the firm to shut down and minimize its losses.

Losses > Fixed Costs

$2,637.50 > $3,500

Since the losses are less than the fixed costs, the firm should continue producing at the profit-maximizing output rather than shutting down. The firm can minimize its losses by operating in the short run.

f. The unique market price below which the firm should shut down can be determined by finding the price at which the firm's losses equal its fixed costs. This occurs when total revenue (TR) equals total costs (TC).

TR = P * Q

TC = FC + TVC

P * Q = FC + TVC

$115 * Q = $3,500 + ($109.25 * Q)

Simplifying the equation, we can solve for Q:

$115Q - $109.25Q = $3,500

$5.75Q = $3,500

Q ≈ 608.7

The unique market price below which the firm should shut down is the price at which Q is approximately 608.7 units.

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Inflation and Fiscal Policy (15 points) a. Recall the quantity theory of money discussed in class (e.g. slide 17 in Chapter 8 slides). Suppose you analyze a country where money velocity is constant over time, the growth rate of real GDP is 3% per year, and the growth rate of money supply is 5% per year. Calculate the long-run growth rate of inflation in this country according to the quantity theory of money. b. Suppose that due to changes in the financial system, the velocity of money increases at 1% per year. What happens to long-run inflation in this case? c. Now, consider the government budget constraint as shown on slide 30 of Chapter 8 slides (or Chapter 8.5 in the textbook). In that part of the class, we argued that issuing money can be used to finance government spending. The (nominal) amount of revenue the government raises from the inflation tax is AM. In this and following points, you will analyze how large the revenue from this inflation tax is, relative to the size of the economy (nominal GDP): 4. Since the change in money supply (AM) is difficult to work with, we should express the revenue as a function of the growth rate of money supply (4 = 9m). Use this definition of the growth rate of money supply to calculate the revenue from the inflation tax as a share of GDP (99) as a function of 9m and other parameters of the economy. You answer should be something like: 4y = 9m. What is x? Can you give an interpretation of it? d. Look at slide 17 in Chapter 8 slides. Take your answer to part c) of this question and use the quantity theory of money to replace the growth rate of money supply (9m) with a term that includes the inflation rate (and other terms, like the growth rate of output) c. How much revenue is raised from inflation tax as a share of GDP? Suppose that we = 10%, and use the equations from part c) and numbers from part a) of this question. Based on your answer, do you think inflation tax is an important source of revenue for the government? 1 f. What if the government is in dire fiscal need and decides to increase the growth rate of money supply to 100%, holding all other variables constant (which is unlikely to hold in real life, but let's not overcomplicate things). With this inflation rate, how much revenue is raised from inflation tax as a share of GDP? With this kind of inflation rate, is inflation tax a significant source of revenue for the government? If the government has no access to other sources of revenue (taxes or borrowing), do you think increasing money supply is a sensible strategy to follow?

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According to the quantity theory of money, the growth rate of money supply (m) and velocity of money (v) is directly proportional to the price level (P) and real output (Y) (MV=PY).

Therefore, according to the Quantity Theory of Money, the long-run growth rate of inflation in this country is given by:P = MV/Y= (5% x V) / 3% = 5/3 x V, i.e. long-run growth rate of inflation in this country is 5/3 times the velocity of money.b. Suppose the velocity of money increases by 1% per year due to changes in the financial system, the long-run growth rate of inflation in this case would increase to 5/3 x (V+1)c.

The equation for government budget constraint is G = T + ∆M + ∆B, where G is government spending, T is tax revenue, ∆M is the change in the money supply, and ∆B is the change in bonds held by the public. According to this equation, the revenue from the inflation tax is AM, and the nominal GDP (Py) is equal to the government spending (G).

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as a factor of production, capital includes money. group of answer choices

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Capital as a factor of production is crucial in every business operation.

Capital is one of the factors of production. Capital, as a factor of production, refers to the wealth required to start and sustain a business operation. This wealth is required to purchase the necessary raw materials, equipment, machinery, and other factors of production that are required for the production process to take place. Capital is also essential for the running of a business as it enables the business to pay its workers and keep up with its ongoing expenses.Capital includes money, and it is one of the most important factors in the production process. Money is essential for purchasing raw materials, machinery, equipment, and other factors of production. Additionally, it is essential for paying workers and keeping up with ongoing business expenses. Without sufficient capital, businesses cannot operate. It is the money that is required to purchase the necessary resources for the production process to take place.

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The table below illustrates the domestic supply and domestic demand for cars in a small country. The world price of a car is $13,000. Quantity supplied Price Quantity demanded 13,000 $7,000 16,000 13,500 8,000 15,500 14,000 9,000 15,000 14,500 10,000 14,500 15,000 11,000 14,000 15,500 12,000 13,500 16,000 13,000 13,000 16,500 14,000 12,500 a. What is the equilibrium price in this market before the country opens up to trade in autarky)? 4 b. If the country opens up to trade and the world price is $13,000, explain whether this country would import or export cars. c. How does the domestic price change as a result of trade? Explain. d. When the country is open to trade, explain how many cars would the country produce domestically, how many would be consumed domestically, and how many would be exported or imported.

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The table shows the domestic supply and demand for cars in a small country.Quantity suppliedPriceQuantity demanded700016000850015500900015000950014500100001450011000140001150012000135001300013000130001350014000125001 b.

If the world price is $13,000 and the country opens up to trade, explain whether this country would import or export cars.As per the table, the equilibrium price in this market before the country opens up to trade is $12,000. Therefore, it is important to understand whether the country would import or export cars if the world price is $13,000 and the country opens up to trade.Importing cars would be cheaper than producing them at home because the world price is lower than the domestic price. Therefore, if the country opens up to trade, it would import cars. c. How does the domestic price change as a result of tradeExplain.The table shows the domestic supply and demand for cars in a small country.The opening of trade is going to have an impact on the price of domestic cars. When the country opens up to trade and allows car imports, the domestic prices will have to be adjusted. Domestic price would decrease because the price of imported cars is $13,000, which is less than the equilibrium price of $12,000. d. When the country is open to trade, explain how many cars would the country produce domestically, how many would be consumed domestically, and how many would be exported or imported.If the country opens up to trade, the domestic prices would fall, causing domestic car manufacturers to reduce the number of cars produced domestically.The number of cars consumed domestically would rise because prices would be cheaper than before, and the number of cars imported would be more than the number of cars exported. Therefore, this country would import cars but would produce fewer domestically.

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give three exámenes of strategic technologies and how
they can influencia organizational performance.

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Strategic technologies are those technologies that can be used by organizations to achieve their strategic objectives. They are considered critical because they support a firm's decision-making processes, provide competitive advantage, and improve overall organizational performance.

Here are three examples of strategic technologies and how they can impact organizational performance:1. Artificial Intelligence (AI)AI is a strategic technology that can influence organizational performance by improving efficiency and productivity while reducing errors. AI can be used in a variety of ways, including in predictive analytics, process automation, and customer service. For example, AI-powered chatbots can provide quick and accurate responses to customer inquiries, which can improve customer satisfaction and retention rates.

Internet of Things (IoT)IoT is another strategic technology that can impact organizational performance. IoT refers to the interconnection of everyday objects to the internet, allowing them to send and receive data. By leveraging IoT, organizations can gather data on their operations, products, and customers in real-time. This data can be used to improve decision-making, optimize operations, and create new revenue streams. For example, IoT sensors can be used in warehouses to monitor inventory levels, enabling companies to optimize their supply chain and reduce costs.3. Block chain Block chain is a strategic technology that can influence organizational performance by improving trust, transparency, and security. Blockchain is a distributed ledger technology that enables secure, transparent, and tamper-proof transactions. By leveraging blockchain, organizations can improve their supply chain management, reduce fraud, and increase customer trust. For example, a food manufacturer can use blockchain to track the origin of their ingredients, enabling customers to verify the authenticity and quality of their products.

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after the terminal speed has been reached, at what rate is work being done on the bar by gravity?

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After the terminal speed has been reached, the rate at which work is done on the bar by gravity is zero. The rate at which work is done on the bar by gravity is zero.

Terminal speed is the steady speed reached by an object when it is dropped through a fluid or gas.

At this speed, the frictional resistance force acting on the object is equal to the driving force, and the object stops accelerating and falls at a constant speed.This can be obtained by the following equation:

vt = √((2mg)/(pAC))where, vt is the terminal velocity, m is the mass of the object, g is the acceleration due to gravity, p is the density of the fluid, A is the cross-sectional area of the object, and C is the drag coefficient.

For an object falling through a fluid, work is done on the object by gravity until the object reaches terminal velocity. After that, the gravitational force and the resistance force are equal and opposite, so there is no further acceleration, and thus no further work is done. Therefore, after the terminal speed has been reached, the rate at which work is done on the bar by gravity is zero.

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Identify the statements as True / False

1- Sending a covering letter with a job application ensures that the candidate will get the job.
2- Paragraph 1 of the covering letter markets your skills and targets them to the position.
3- It is good idea to avoid using soft skills unless you provide specific examples.
4- In a traditional interview the applicant is asked a variety of typical questions.

Answers

Of the given statements, 2 and 4 are true while 1 and 3 are false.

1- False: Sending a covering letter with a job application does not ensure that the candidate will get the job. The decision to hire a candidate is based on various factors, including their qualifications, experience, and performance in the interview process.

2- True: Paragraph 1 of the covering letter is typically used to market the candidate's skills and align them with the requirements of the position. It is an opportunity to make a strong first impression and grab the attention of the employer.

3- False: It is not a good idea to avoid using soft skills in a covering letter. Soft skills are important in the workplace and can demonstrate qualities such as communication, teamwork, and problem-solving. However, it is recommended to provide specific examples or evidence of how these soft skills have been applied in previous experiences.

4- True: In a traditional interview, the applicant is commonly asked a variety of typical questions to assess their suitability for the role. These questions may cover areas such as their background, experience, skills, and ability to handle specific situations.

In conclusion, while sending a covering letter is important, it does not guarantee a job offer. Paragraph 1 of the covering letter should market the candidate's skills. Soft skills can be included in the covering letter, preferably with specific examples. In a traditional interview, typical questions are asked to evaluate the candidate.

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1. a) "Passion, Idea, and Feasible Technology" are the foundation of any entrepreneurial journey- Explain the statement with examples (both successful and unsuccessful). b) Why do you think a Disciplined Approach to entrepreneurship is needed to start a business? Give an example of Disciplined Entrepreneurship Canvas (i.e. from your business idea).

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a) The statement "Passion, Idea, and Feasible Technology" are the foundation of any entrepreneurial journey" highlights that entrepreneurs need a blend of three essential elements to make their entrepreneurial journey successful. These three elements include passion, idea, and feasible technology. Here are some examples of successful and unsuccessful entrepreneurial journeys based on these elements.

Examples of Successful Entrepreneurial Journeys:

Apple - Steve Jobs's passion for designing sleek and innovative technology, coupled with his idea of designing user-friendly and unique devices, has been key to Apple's success. Their ability to come up with feasible technology that allows them to create innovative products has helped make them the market leader.

Amazon - Jeff Bezos' passion for selling books and providing excellent customer service has been key to Amazon's success. Amazon's idea of creating an online bookstore and providing customers with a hassle-free shopping experience has been a game-changer for online retail.

Examples of Unsuccessful Entrepreneurial Journeys:

Toys "R" Us - Despite being a well-established retail chain, Toys "R" Us failed to keep up with the changing times. Their idea of building large toy stores in prime locations, combined with their lack of innovation, eventually led to their failure.

Blockbuster - Blockbuster was a video rental giant that was eventually rendered obsolete by the advent of digital media. They failed to keep up with the changing times and did not have a feasible technology strategy to keep up with digital competitors such as Netflix.

b) A disciplined approach to entrepreneurship is essential when starting a business because it helps to create a well-structured and systematic approach that helps to minimize risks and increase the chances of success. A disciplined approach to entrepreneurship is also important because it allows entrepreneurs to work with clear objectives, strategies, and deadlines. The disciplined approach helps to ensure that entrepreneurs are not distracted by the myriad of challenges that come with starting a business.

An example of the disciplined entrepreneurship canvas from my business idea includes:

The business idea: A mobile app that connects people with the same interests, hobbies, and lifestyles.

Customer Segments: Individuals from all walks of life who share similar interests, hobbies, and lifestyles.

Value Propositions: A mobile app that connects like-minded individuals and allows them to engage in activities that they enjoy together.

Channels: Online advertisements, social media, and app stores.

Customer Relationships: Customer feedback and service through the app's chatbot.

Revenue Streams: Advertisements, subscriptions, and in-app purchases.

Key Resources: The app's technology and human resources.

Key Activities: Research and development, app design, and maintenance.

Conclusion:
In conclusion, passion, ideas, and feasible technology are critical elements in any entrepreneurial journey. Examples of successful entrepreneurial journeys that highlight these elements include Apple and Amazon. On the other hand, Toys "R" Us and Blockbuster were examples of unsuccessful entrepreneurial journeys. Furthermore, a disciplined approach to entrepreneurship is needed to start a business. The disciplined entrepreneurship canvas is an excellent example of a well-structured and systematic approach that entrepreneurs can use to minimize risks and increase the chances of success.

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Suppose that you are considering subscribing to Economist Analyst Today magazine. The magazine is advertising a one-year subscription for $90 or a two-year subscription for $176. You plan to keep getting the magazine for at least two years. The advertisement says that a two-year subscription saves you $4 compared to buying two successive one-year subscriptions. If the interest rate is 12%, should you subscribe for one year or for two years? (Assume that one year from now a one-year subscription will still be $90.)
A. You should subscribe for one year.
B. You should subscribe for two years.

Answers

If the interest rate is 12% then you should subscribe for two years. (Option B)

To determine whether to subscribe for one year or two years, we need to compare the costs and savings associated with each option, taking into account the interest rate.

The one-year subscription costs $90, while the two-year subscription costs $176. The advertisement states that the two-year subscription saves you $4 compared to buying two successive one-year subscriptions.

If we calculate the cost of two successive one-year subscriptions, it would be $90 + $90 = $180. However, the two-year subscription costs only $176, resulting in a savings of $4.

To decide which option is more financially beneficial, we need to consider the time value of money and the interest rate of 12%. Since the two-year subscription costs less and provides the same content for the desired duration, it is the better choice.

By opting for the two-year subscription, you save $4 upfront and avoid the higher cost of two separate one-year subscriptions. Considering the interest rate, the present value of the $4 savings over two years is even higher. Therefore, subscribing for two years is the recommended choice from a financial perspective.

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Question 2 (Total: 15 marks) You are a consumer of a product which your country imports. There is an increase in demand in the rest of the world for this product. You are wondering if this change will

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As a consumer of an imported product, an increase in demand in the rest of the world for this product is likely to have an impact on availability, price, and potentially quality in your country's market.

When there is an increase in global demand for a product, it can lead to various effects. Firstly, the availability of the product in your country may be affected. Suppliers may allocate a larger portion of the product to meet the increased demand in other countries, resulting in limited availability in your local market.

Secondly, the price of the product may be influenced. Increased demand often leads to upward pressure on prices due to supply and demand dynamics. If the supply cannot meet the rising global demand, prices may increase, potentially affecting the affordability of the product for consumers in your country.

Lastly, the quality of the product could be impacted. If manufacturers or suppliers face challenges in meeting the increased demand, they may prioritize quantity over quality, leading to potential compromises in terms of product standards or customer service.

An increase in global demand for an imported product can have consequences for consumers in the importing country. Availability may be limited, prices may rise, and there could be potential quality implications. It is important for consumers to stay informed about market trends and make purchasing decisions accordingly, considering factors such as availability, price changes, and potential impact on quality.

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you+sold+a+car+and+accepted+a+note+with+the+following+cash+flow+stream+as+your+payment.+what+was+the+effective+price+you+received+for+the+car+assuming+an+interest+rate+of+5.5%?

Answers

To calculate the effective price received for the car, we need to discount the cash flow stream based on the given interest rate of 5.5%. The cash flow stream represents the future cash flows you will receive from the note. Here's how you can calculate the effective price:

Identify the cash flow stream: Let's assume the cash flow stream is as follows:

Year 1: $1,000

Year 2: $1,000

Year 3: $1,000

Year 4: $1,000

Year 5: $1,000

Discount the cash flows: Apply the interest rate of 5.5% to each cash flow and calculate the present value of each cash flow. The formula to calculate the present value is:

Present Value = Cash Flow / (1 + Interest Rate)^n

Where:

Cash Flow = Cash flow amount in a specific year

Interest Rate = Interest rate in decimal form

n = Number of years from the present

Calculate the present value of each cash flow using the formula:

Year 1: PV1 = $1,000 / (1 + 0.055)^1

Year 2: PV2 = $1,000 / (1 + 0.055)^2

Year 3: PV3 = $1,000 / (1 + 0.055)^3

Year 4: PV4 = $1,000 / (1 + 0.055)^4

Year 5: PV5 = $1,000 / (1 + 0.055)^5

Calculate the effective price: Add up the present values of all the cash flows to find the effective price received for the car.

Effective Price = PV1 + PV2 + PV3 + PV4 + PV5

Calculate the sum to find the effective price.

Please note that the exact values of the cash flows and the number of years may differ based on the specific details of the note.

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Assume an instruction cache miss rate for an application is 2% and the data cache miss rate of 4% where load and store are 20% of the instruction set. Assume further that our CPU is running at 1 GHz and has a CPI of 2 without any memory stalls The main memory access time is 50 ns. a. Determine the overall CPI with the indicated misses b. Suppose we like to add a second level cache with an access time of 10 ns which has an instruction miss rate of 4% and data cache miss of 6% Determine the overall CPI.

Answers

a. The overall CPI with the indicated misses. Assuming an instruction cache miss rate of 2% and a data cache miss rate of 4%, the CPI without any memory stalls will be calculated as follows;

Instruction cache miss rate = 2%

Data cache miss rate = 4%

Load and store are 20% of the instruction set, thus,60% of the time data will be fetched from cache (load/store) 40% of the time, instructions will be fetched from cache (1-0.6=0.4)

Therefore, the average memory access time (AMAT) will be:AMAT = Hit time + Miss rate × Miss penalty,

where miss penalty = main memory access time = 50 nsIn the case of instruction fetches, we have:

Hit time = cache access time = unknown

Miss penalty = main memory access time = 50 ns

Miss rate = instruction cache miss rate = 2%

Thus, AMAT = Hit time + Miss rate × Miss penalty = Hit time + 0.02 × 50 = Hit time + 1

For data fetches:

Hit time = cache access time = unknown

Miss penalty = main memory access time = 50 ns

Miss rate = data cache miss rate = 4%

Thus, AMAT = Hit time + Miss rate × Miss penalty = Hit time + 0.04 × 50 = Hit time + 2With the CPI of 2, the following formula is used:

Overall CPI = CPU execution time / Instruction count

Therefore, CPU execution time is the product of instruction count, CPI, and clock cycle time, which is given as follows;

CPU execution time = instruction count × CPI × clock cycle time

The clock cycle time is 1 / clock frequency. Therefore, in this case;

Clock cycle time = 1 / 1 GHz = 1 ns

CPU execution time = instruction count × CPI × clock cycle time= instruction count × 2 × 1 ns= instruction count × 2 ns

Therefore, the overall CPI will be:

Overall CPI = CPU execution time / Instruction count= instruction count × 2 ns / instruction count= 2 nsb. The overall CPI with the second level cache added and the indicated misses

Suppose we like to add a second level cache with an access time of 10 ns which has an instruction miss rate of 4% and data cache miss of 6%. The AMAT for the second-level cache is:

AMAT = Hit time + Miss rate × Miss penalty

where miss penalty = next level memory access time

Thus, the miss penalty for the second level cache is the access time of the main memory, which is 50 ns.

For instruction fetches:

Hit time = second-level cache access time = 10 ns

Miss penalty = main memory access time = 50 ns

Miss rate = instruction cache miss rate = 4%

Thus, AMAT = Hit time + Miss rate × Miss penalty = 10 + 0.04 × 50 = 12 ns

For data fetches:

Hit time = second-level cache access time = 10 ns

Miss penalty = main memory access time = 50 ns

Miss rate = data cache miss rate = 6%

Thus, AMAT = Hit time + Miss rate × Miss penalty = 10 + 0.06 × 50 = 13 ns

Now, we can calculate the overall CPI using the following formula;

Overall CPI = CPU execution time / Instruction count, where;

CPU execution time = instruction count × (CPI1 + Miss rate1 × AMAT1 + Miss rate2 × AMAT2), where;

CPI1 is the original CPI without the second-level cache,

Miss rate1 and AMAT1 are the cache miss rate and average memory access time for the first level cache (L1), respectively,

Miss rate2 and AMAT2 are the cache miss rate and average memory access time for the second-level cache (L2), respectively.

In this case;

Miss rate1 (data cache) = 4%

Miss rate1 (instruction cache) = 2%

AMAT1 (data cache) = 2 ns + 0.04 × 50 ns = 4 ns

AMAT1 (instruction cache) = 2 ns + 0.02 × 50 ns = 3 ns

Miss rate2 (data cache) = 6%

Miss rate2 (instruction cache) = 4%

AMAT2 (data cache) = 10 ns + 0.06 × 50 ns = 13 ns

AMAT2 (instruction cache) = 10 ns + 0.04 × 50 ns = 12 ns

Therefore;

CPU execution time = instruction count × (2 + 0.04 × 4 + 0.06 × 13 + 0.4 × 3 + 0.6 × 12) = instruction count × 8.36 ns

Overall CPI = CPU execution time / Instruction count = 8.36 ns / instruction count.

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QUESTION 48 In a make-or-buy decision, opportunity costs are added to the make total cost. O deducted from the make total cost. O added to the buy total cost. Oignored. 2 points Save Answer

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In a make-or-buy decision, opportunity costs are added to the make total cost. Considering opportunity costs helps in determining the most economically efficient choice between making or buying a product.

When making a decision between producing a product internally (make) or purchasing it from an external supplier (buy), opportunity costs play a crucial role. Opportunity cost refers to the value of the next best alternative forgone when making a particular choice. In the context of a make-or-buy decision, the opportunity cost is the potential benefit or profit that could have been gained by using the company's resources for an alternative purpose. These costs are considered when calculating the total cost of making a product internally.

Including opportunity costs in the make total cost provides a more comprehensive analysis of the decision. By factoring in the potential benefits foregone by choosing to make the product, decision-makers can evaluate the true cost of internal production. This approach enables a more accurate comparison between the costs of making and buying, considering not only the direct expenses but also the opportunity costs associated with each option. Ultimately, considering opportunity costs helps in determining the most economically efficient choice between making or buying a product.

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Here, Q is the weekly output, K is units of capital and L is the number of units of labor employed per week. The price of the output in the market is 10TL, wage rate is 50TL and capital cost is 25TL.a) Find the profit maximizing K, L, Q, and the optimal profit for the company.b) Suppose in the short run L = L~ = 2. Draw the technology set and the isoprofit lines considering labor as a single variable.c) Suppose in the short run L = L~ = 2. Find the profit maximizing K and Q for the company. How did the profit change? Why? find the taylor polynomial t3(x) for the function f centered at the number a. f(x) = xe5x, a = 0 2 Suppose that follows a chi-square distribution with 17 degrees of freedom. Use the ALEKS calculator to answer the following. (a) Compute P(9x23). Round your answer to at least three decimal places. P(9x23) = During CPR on a child interruptions to a chest compressions should be limited to no more than how many seconds damage to a joint cartilage is affecting which type of tissue? Victoria Enterprises expects earnings before interest and taxes (EBIT) next year of $2.5 million. Its depreciation and capital expenditures will both be $296,000, and it expects its capital expenditures to always equal its depreciation. Its working capital will increase by $48,000 over the next year. Its tax rate is 40%. If its WACC is 8% and its FCFs are expected to increase at 6% per year in perpetuity, what is its enterprise value? BEKER The company's enterprise value is $ (Round to the nearest dollar) what is a typical marketing goal for advertising on social networking sites? brianna is an it technician. she is studying a threat that holds the communication channel open when a tcp handshake does not conclude. what kind of attack does this involve? Consider a thin symmetric airfoil at (22.5/II) angle of attack. From the results of the thin airfoil theory, calculate the lift coefficient. Please choose one of the following alternatives: (i) 211 (ii) II (iii) (11/4) (iv) O To compute the required rate of return for equity in a company using the CAPM, it is necessary to know all of the following EXCEPT: a. The risk-free rate. b. The beta for the firm. The earnings for the next time period. d. The market return expected for the time period What data distribution is often used for non-parametric statistics? Edit View Insert Format Tools Table12pt Paragraph B I U A T V p O | 0 words | > Let 2 1 9 4u= 3 v= 3 -3 4 and let W the subspace of R4 spanned by u and v. Find a basis of W, the orthogonal complement of W in R what is one of the advantages of monetary policy over fiscal policy? 1- Introduction and NBO ( discussion on the topic: example: Employee Recruitment and Selection Practices(defined, explain the meaning the terms, the process and steps, types of employee training, coverage. In the last paragraph the importance and significance of the topic to the bank)2- Company Profile of National Bank of Oman - (History and back ground of the bank- vision, mission goal, branches, types of financial services: loans and deposits, products)3-Body of the Report (Design marketing plan for the bank you have chosen, improved selection and recruitment procedure plan)4-Conclusion/Recommendation (new recommendations, not yet done or implemented by the bank) Evaluate z/u at (u,v = (3, 5) for the function z = xy - y; x = u - v, y = uv. a.8 b.-145 c.-2 d.13