Why does the Federal Reserve target inflation rather than unemployment? Select one: O a. The inflation rate does not change much. b. It would be poor optics for the Fed to intentionally increase unemp

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Answer 1

The Federal Reserve targets inflation over unemployment to maintain price stability and because long-term employment trends are influenced by various factors beyond monetary policy control. Focusing on inflation also helps preserve the central bank's independence and credibility.

Firstly, the inflation rate is a key indicator of the overall health and stability of the economy. By controlling inflation, the central bank aims to maintain price stability and preserve the purchasing power of the currency. In contrast, unemployment rates can be influenced by various factors such as technological advancements, demographic changes, and labor market dynamics, making it a less reliable target for monetary policy.

Secondly, the Federal Reserve has limited control over long-term employment trends. While monetary policy can stimulate economic activity and contribute to job creation in the short term, sustainable employment growth is driven by a range of structural factors including fiscal policies, education, and workforce development initiatives. Therefore, attempting to directly target and control unemployment through monetary policy alone may not be effective or within the mandate of the central bank.

Lastly, focusing on inflation allows the Federal Reserve to maintain its independence and credibility as a central bank. By establishing a clear and transparent inflation target, the central bank can signal its commitment to price stability and anchor inflation expectations. This helps to build trust in the stability of the monetary system and supports long-term economic growth.

In summary, the Federal Reserve targets inflation rather than unemployment due to the importance of price stability, the limited influence of monetary policy on long-term employment trends, and the need to maintain its credibility and independence as a central bank.

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Suppose that a consumer has an income of $10 per period, and that he must spend it all on meat or potatoes. If meat is $2.00 per pound and potatoes are $2.00 per pound, draw the consumer's budget line on a graph. identify the quantity of meat and potatoes that would be consumed.

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A budget line is the combination of goods a consumer can purchase if he spends his entire income. The equation for the budget line is P_1 Q_1 + P_2 Q_2 = Y, where P_1 and P_2 are the prices of goods 1 and 2, Q_1 and Q_2 are the quantities of goods 1 and 2 consumed, and Y is the consumer's income.

In this case, a consumer has an income of $10 per period and has to spend it all on meat or potatoes. If meat is $2.00 per pound and potatoes are $2.00 per pound, the consumer's budget line can be drawn as follows:

[asy]
import graph;
size(200,200,IgnoreAspect);
real xMin = 0;
real xMax = 5;
real yMin = 0;
real yMax = 6;
real meat = 2;
real potatoes = 2;
real budget(x) {return (10 - meat*x)/potatoes;}
real a = 1;
real b = budget(a);
real c = 4;
real d = budget(c);
[tex]draw((xMin,0)--(xMax,0),black+linewidth(1.5),EndArrow(5));draw((0,yMin)--(0,yMax),black+linewidth(1.5),EndArrow(5));label("$Q_2$",(xMax,0),(2,0));label("$Q_1$",(0,yMax),(0,2));draw((xMin,10/potatoes)--(10/meat,0),black+linewidth(1.5));[/tex]
[tex]label("Budget Line",(2,4.5),black);label("$P_1 = 2$",(3,1.5),black);label("$P_2 = 2$",(1.5,3),black);dot((a,b),red);dot((c,d),red);label("($1$,$4$)",(a,b),NW,UnFill);[/tex]
label[tex]("($4$,$1$)",(c,d),E,UnFill);[/asy][/tex]

The slope of the budget line is the ratio of the prices of the two goods (P_1/P_2 = 2/2 = 1), so the budget line has a slope of -1. The intercepts of the budget line on the axes can be calculated as follows:

At Q_1 = 0, P_1 Q_1 + P_2 Q_2 = Y.
=> P_2 Q_2 = Y.
=> Q_2 = Y/P_2.
=> Q_2 = 10/2 = 5.
So the intercept on the Q_2 axis is 5.

At Q_2 = 0, P_1 Q_1 + P_2 Q_2 = Y.
=> P_1 Q_1 = Y.
=> Q_1 = Y/P_1.
=> Q_1 = 10/2 = 5.
So the intercept on the Q_1 axis is also 5.

Thus, the budget line is a straight line passing through the points (0, 5) and (5, 0), and the consumer can choose any point on this line to maximize his utility subject to his budget constraint. For example, the consumer could choose to consume 1 pound of meat and 4 pounds of potatoes, or 4 pounds of meat and 1 pound of potatoes.

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What is the Marketing Management of China to dominate the world economy successfully?

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China's successful domination of the world economy is attributed to its strategic marketing management. By adopting a multifaceted approach, China has capitalized on various factors such as market expansion, global trade partnerships, innovation, and government support.

China's marketing management strategy involves several key elements. Firstly, China has focused on market expansion by tapping into both domestic and international markets.

The country's large population provides a vast consumer base, and China has successfully leveraged this advantage by promoting domestic consumption and encouraging economic growth.

Secondly, China has fostered strong global trade partnerships. Through initiatives like the Belt and Road Initiative, China has strengthened trade ties with countries around the world, enhancing its market reach and influence. This has facilitated the export of Chinese goods and services, boosting its economic growth.

Additionally, China has prioritized innovation and technology advancement. By investing heavily in research and development, China has emerged as a global leader in various industries, including technology, telecommunications, and renewable energy.

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Khaled has developed a new technology device that is so exciting he is considering quitting his job in order to produce and market it on a large-scale basis. Khaled will rent a small factory for 2,000 dhs per month for production purposes. Utilities will cost 500 dhs per month. Khaled has already taken an industrial design course at Dubai Men's College to help prepare for this venture. The course cost 800dhs. Khaled will rent production equipment at a monthly cost of 4,000 dhs. He estimates the material cost per unit will be 15dhs, and the labor cost will be 10 dhs per unit. He will hire workers and spend his time promoting the product. To do this he will quit his job which pays 30,000 dhs per month. Advertising and promotion will cost 3.500dhs per month. What is the fixed cost per unit for maximum production?= What is the total vatiable cost for maximum production?= 8- Iff Khalid set the selling price for 70 DHS on max production and managed to reduce the total fixed cost by 2% what is the profit increase percentage = 9- If Khalid set the selling price for 70DHS on max production and managed to reduce the total variable cost by 2% what is the profit increase percentage=

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To calculate the fixed cost per unit for maximum production, you need to sum up all the fixed costs and divide them by the maximum production quantity.

Fixed costs:

Factory rent: 2,000 dhs per month

Utilities: 500 dhs per month

Industrial design course: 800 dhs (assumed one-time cost)

Total fixed costs: 2,000 + 500 + 800 = 3,300 dhs

To calculate the total variable cost for maximum production, you need to calculate the variable cost per unit and then multiply it by the maximum production quantity.

Variable costs:

Production equipment rent: 4,000 dhs per month

Material cost per unit: 15 dhs

Labor cost per unit: 10 dhs

Variable cost per unit: 4,000 + 15 + 10 = 4,025 dhs

Profit increase percentage can be calculated by comparing the initial profit with the new profit after reducing the total fixed cost or total variable cost.

Initial profit:

Selling price per unit: Not provided

Variable cost per unit: 4,025 dhs

Fixed cost per unit: Not provided

New profit after reducing the total fixed cost by 2%:

Selling price per unit: 70 dhs

Variable cost per unit: Not provided

Fixed cost per unit: Reduced by 2%

New profit after reducing the total variable cost by 2%:

Selling price per unit: 70 dhs

Variable cost per unit: Reduced by 2%

Fixed cost per unit: Not provided

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hree corners markets is expected to pay an annual dividend of $1.37 per share next year. after that, the future dividends will be increasing by 2.8 percent annually. if you require a return of 11.6 percent, how much are you willing to pay to purchase one share of this stock today? $18.23 $16.00 $17.56 correct! $15.57

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To calculate the present value of the stock, we need to find the present value of the future dividends. First, let's calculate the future dividends. We know that the annual dividend for next year is $1.37. To find the future dividends, we can use the formula for growing perpetuity:

Future Dividends = Annual Dividend / (Required Return - Dividend Growth Rate) Plugging in the values, we get: Future Dividends = $1.37 / (0.116 - 0.028) = $1.37 / 0.088 = $15.57 Next, we need to find the present value of the future dividends. We can use the formula for present value of a growing perpetuity:

Present Value = Future Dividends / Required Return
Plugging in the values, we get:
Present Value = $15.57 / 0.116 = $134.36 Therefore, you would be willing to pay $134.36 to purchase one share of this stock today. So the correct answer is $134.36.

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You would be willing to pay $3.60 to purchase one share of Three Corners Markets stock today.

Explanation :

To determine how much you are willing to pay to purchase one share of Three Corners Markets stock today, we can use the dividend discount model (DDM). The DDM values a stock based on the present value of its future dividends.

First, we need to calculate the present value of the future dividends. The annual dividend next year is $1.37 per share. Since the dividends are expected to increase by 2.8% annually, we can calculate the dividends for the subsequent years using the formula:

Dividend = Dividend of the previous year * (1 + growth rate)

Using this formula, the dividends for the subsequent years are as follows:
Year 1: $1.37 * (1 + 2.8%) = $1.41
Year 2: $1.41 * (1 + 2.8%) = $1.45
Year 3: $1.45 * (1 + 2.8%) = $1.49

Next, we calculate the present value of these dividends by discounting them back to the present using the required return of 11.6%. The formula for the present value of a future cash flow is:

Present Value = Future Cash Flow / (1 + required return)^n

Where n represents the number of years.

Calculating the present value of the dividends for each year:
Year 1: $1.41 / (1 + 11.6%)^1 = $1.26
Year 2: $1.45 / (1 + 11.6%)^2 = $1.20
Year 3: $1.49 / (1 + 11.6%)^3 = $1.14

Finally, we add up the present values of the dividends:
$1.26 + $1.20 + $1.14 = $3.60

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Which principles are exhibited in the following? Arnie, the Operations Manager at a foundry producing steel grates in Pittsburgh tends to put more valence and credence in recent firm sales performance and less in more distant performance when forecasting manufacturing requirements to his boss. He had success in the past by doing this and relying on his intuition because he is also great at picking the outcome of NFL football games. a. Fat Head effect and Recency Effect b. Recency Effect and Little's Law c. Hockey Stick Effect and Fat Head Effect d. Little's Law and recency Effect e. Whiplash Effect and Recency Effect

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Recency Effect and Fat Head Effect are exhibited in the following statement:

"Arnie, the Operations Manager at a foundry producing steel grates in Pittsburgh tends to put more valence and credence in recent firm sales performance and less in more distant performance when forecasting manufacturing requirements to his boss. He had success in the past by doing this and relying on his intuition because he is also great at picking the outcome of NFL football games.

The recency effect is a cognitive bias that occurs when individuals recall recent information better than earlier information. Recency effects happen when memories from the short-term memory store are still active during recall. As a result, recent events may be remembered more effectively than earlier events.

The fat-head effect is a cognitive bias in which people refuse to accept new information if it contradicts what they already believe. People with this cognitive bias are convinced that their opinions are correct and will reject any contradictory information.

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Which of the following statement is incorrect about future & forward difference? 1) Future is traded on the exchange and the forward is traded over the counter 2) Future is privately negotiated and forward is a standardized contract 3) Futures are marked to market and forward is settled at the maturity 4) Futures virtually have no counterparty default risk and forward is subject to counterparty default risk

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The incorrect  statement about future & forward difference is futures are privately negotiated, and forward contracts are standardized.

Option (2) is correct.

The incorrect statement is that futures are privately negotiated, and forward contracts are standardized. In reality, it is the opposite. Futures contracts are standardized and traded on exchanges, while forward contracts are privately negotiated between two parties.

The first statement is correct. Futures contracts are traded on exchanges, providing a centralized marketplace, whereas forward contracts are traded over the counter (OTC) directly between two parties.

The third statement is correct. Futures contracts are marked to market daily, meaning gains or losses are settled daily, whereas forward contracts are typically settled at the maturity or expiration date.

The fourth statement is correct. Futures contracts are typically guaranteed by a clearinghouse, eliminating counterparty default risk. In contrast, forward contracts are subject to counterparty default risk as there is no clearinghouse involved.

Understanding the differences between futures and forward contracts is crucial for investors and traders to make informed decisions and manage their exposure to various risks in the financial markets.

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The "unit of account: function of money reflects that money: a. serves as a common denominator for the expression of both the costs of and the benefits from goods. b. serves as a means to measure the marginal social benefit from the production and consumption of goods. c. allows people to transfer purchasing power from one period to the next. d. measures the implicit costs of producing goods.

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The "unit of account" function of money reflects that money serves as a common denominator for the expression of both the costs of and the benefits from goods. In the realm of economics, money is used as a medium of exchange. It is, without a doubt, the most important form of currency.

In other words, money serves as a mediator of goods and services, allowing individuals to exchange one item for another or to sell goods and services for money. When a transaction occurs, the price at which a product is sold is typically stated in terms of money.

That's where the unit of account function comes in. Money serves as a common denominator for the expression of both the costs of and the benefits from goods. Therefore, option A is the correct option.

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Suppose you currently have $5,000 in your savings​ account, and your bank pays interest at a rate of 0.5% per month. If you make no further deposits or​ withdrawals, how much will you have in the account in 5 ​years?

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Suppose you currently have $5,000 in your savings​ account, and your bank pays interest at a rate of 0.5% per month. If you make no further deposits or​ withdrawals.

To calculate the amount you will have in your savings account after 5 years with an interest rate of 0.5% per month,

we need to use the compound interest formula. The formula is:

[tex]A = P * (1 + r)^n[/tex]

Where:

A = Future value of the account

P = Initial amount

r = Interest rate per period

n = Number of periods

Given:

P = $5,000

r = 0.5% per month = 0.005

n = 5 years * 12 months/year = 60 months

Substituting the values into the formula,

[tex]A = $5,000 * (1 + 0.005)^(60)[/tex]

A = $5,000 * 1.3486

A = $6,743

Therefore, after 5 years you will have approximately $6,743.

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Task 2: (60% marks)
Happy Shop is the leading supermarket chain, which has the highest number of stores and achieved more than half of the market share in Hong Kong in the past 10 years. However, the management has noticed that they have been losing sales and market share in the past 3 years. After investigation, they realized that a small online supermarket portal Kowloon TVMall has been performing well in the past 3 years due to the pandemic situation. They suspect that they are losing the market share to this new player.
CEO of Happy Shop, Steven Leung realizes that the company’s current online shopping platform and logistics are outdated. Hehas decided to investigate the consumer behaviour change in grocery shopping in Hong Kong and would like to setup a taskforce to implement a state-of-the-art online shopping platform to achieve a leadership position in online supermarket.
You have been headhunted to work for the company as Project Manager to carry out the plan outlined by Steven Leung.
The management has asked you to write a report (2,300 words) from a project management perspective to outline and explain the activities required to successfully manage this new initiative, ensuring that this is on time, and within budget.
The analysis should include the skills and competencies required by the Project Manager, along with the project management process. Use examples of the Project Management Process, for example concerns, stages, processes, leadership, administration and control problems associated with managing the lifecycle of the major project.

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Executive Summary:This report provides a comprehensive analysis of the activities required to successfully manage the initiative of implementing a state-of-the-art online shopping platform for Happy Shop, a leading supermarket chain in Hong Kong.

The aim of this project is to regain market share and establish a leadership position in the online supermarket industry. The report focuses on the project management perspective, outlining the necessary skills and competencies of the Project Manager, and detailing the project management process to ensure the initiative is delivered on time and within budget.

1. Introduction:

  - Overview of the current market situation and the need for an online shopping platform.

  - Objectives and goals of the project.

2. Project Management Process:

  - Explanation of the project management process and its importance.

  - Identification of key stages and activities involved in managing the project lifecycle.

  - Examples of concerns, processes, and control problems associated with each stage.

3. Project Initiation:

  - Defining the project scope, objectives, and deliverables.

  - Conducting a feasibility study to assess the viability of the online shopping platform.

  - Establishing the project team and their roles and responsibilities.

4. Project Planning:

  - Developing a detailed project plan, including timelines, milestones, and resources.

  - Conducting a risk assessment and mitigation strategy.

  - Identifying potential vendors and technology solutions for the online shopping platform.

5. Project Execution:

  - Managing the implementation of the online shopping platform.

  - Coordinating activities between various stakeholders, including IT teams, marketing, and logistics.

  - Monitoring progress and ensuring adherence to timelines and budget.

6. Project Monitoring and Control:

  - Implementing a robust monitoring and control system to track project performance.

  - Regularly reviewing and updating the project plan.

  - Addressing any issues or challenges that arise during the implementation phase.

7. Project Closure:

  - Evaluating the success of the online shopping platform implementation.

  - Conducting a post-implementation review to identify lessons learned.

  - Handing over the project deliverables to the operational team.

8. Skills and Competencies of the Project Manager:

  - Strong leadership and communication skills.

  - Expertise in project management methodologies and tools.

  - Ability to manage stakeholders and build effective teams.

  - Proficiency in risk management and problem-solving.

Conclusion:

This report highlights the crucial activities and considerations for successfully managing the implementation of a state-of-the-art online shopping platform for Happy Shop.

By following the project management process and leveraging the necessary skills and competencies of the Project Manager, the company can achieve its goal of regaining market share and establishing a leadership position in the online supermarket industry. It is essential to ensure effective leadership, administration, and control throughout the project lifecycle to deliver the initiative on time and within budget.

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Name an attribute that should be counted by GM/Honda to create a p-Chart? Why do you think that attribute should be counted to monitor a process?
Why would Statistical Process Control (SPC) be important to GM/Honda as they work together?General Motors Co. GM 0.10% A and Honda HMC −2.40%∇ Motor Co. plan to jointly develop a line of affordable electric vehicles, deepening strategic ties as they work to bring costly plug-in technology to the mass market. GM and Honda said Tuesday they would work together on underlying technology that would be used to produce several electric models, including compact sport-utility vehicles, for North and South America and China. The first of the vehicles, which likely would be priced below $30,000 in the U.S., won't be ready until 2027, the companies said. The auto makers said splitting development expenses and working together to reduce battery costs-the costliest component of an EV-would allow them to drive down the price while producing electrics at scale globally. The new system eventually would be used in millions of cars sold by both companies, they said. Car companies increasingly are joining forces on engineering projects, outside of mergers or cross-ownership deals, to defray the high costs of developing electric cars and other advanced technologies. The GM-Honda project extends work between the companies in other areas, including driverless cars. Relatively high prices for electric cars remains a key hurdle to broader adoption. The average price paid for an EV in the U.S. is around $60,000, compared with about $45,000 for all vehicles, according to research website Edmunds.com. The large battery pack needed to power an EV can account for roughly one-third of overall cost. Low-priced EVs today have largely been limited to China, where local brands and major auto makers offer small, bare-bones plug-in cars with limited driving ranges. GM's Chinese Wuling brand, for example, has had success selling an inexpensive EV, the Hongguang Mini, priced around $5,000. Tesla Inc. Chief Executive Elon Musk has said the company eventually wants to introduce lower-priced models to broaden EV adoption. In 2020, he said Tesla planned to make an EV priced around $25,000, but earlier this year he said that project had been temporarily shelved. EV models recently introduced in the U.S. and Europe are pricey and generally sold in small volumes, other than several entries from Tesla, which leads the EV market in sales. GM recently introduced a GMC Hummer electric pickup truck priced at more than $100,000. GM has said next year it would introduce in the U.S. an electric Equinox compact SUV that will start around $30,000. A future SUV from the project with Honda would be smaller and less expensive than that, said Ken Morris, GM's vice president of electric and autonomous vehicles. "The beauty of it is getting down to a price point that opens it up to more customers and more volume," he said during a media briefing. The vehicles will be built using a version of GM's EV technology, a layout of battery cells, electric motors and other components called Ultium. Joint purchasing of parts and standardizing factory equipment should squeeze costs to enable the companies to offer the EVs at affordable prices, Mr. Morris said. Rick Schostek, executive vice president of corporate operations for Honda's U.S. division, said the future EVs would be built using Honda's existing factories and work force, including some output in North America. A GM spokesman declined to specify manufacturing plans. Other auto makers have worked together on electric cars to contain costs. Subaru's Solterra SUV, expected to go on sale in the U.S. later this year, was developed with Toyota Motor Corp. Ford Motor Co. is planning two electric vehicles for the European market using technology provided by Germany's Volkswagen AG. Such alliances can help car manufacturers reduce costs by adding scale on parts purchases and factory output. But they have a mixed record of success amid the difficulty of melding complex operations across regions and corporate cultures. The GM-Honda project is the latest technical collaboration between the American and Japanese auto makers, including co-development of electric cars. Honda plans two future EVs that will use GM's Ultium system: the Honda Prologue, scheduled to go on sale by early 2024 , and an SUV for Honda's upscale Acura brand. The

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GM and Honda are collaborating to develop affordable electric vehicles, focusing on reducing battery costs and driving down prices. They aim to use Statistical Process Control to monitor and improve the production process.



An attribute that should be counted by GM/Honda to create a p-Chart is the number of defective components or parts in the manufacturing process. This attribute is important to monitor because it helps track the quality and consistency of the production process. By counting and charting the number of defects over time, GM/Honda can identify any trends or patterns that indicate a process is out of control or producing a high number of defects. This enables them to take corrective actions, make process improvements, and ensure the reliability and performance of their electric vehicles.



Statistical Process Control (SPC) is important to GM/Honda as they work together because it provides a systematic approach to monitor and improve processes, reducing costs, and enhancing customer satisfaction.

Therefore, GM and Honda are collaborating to develop affordable electric vehicles, focusing on reducing battery costs and driving down prices. They aim to use Statistical Process Control to monitor and improve the production process.

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On January 29, Edwards, a wholesale grocer, made a large deposit in cash to his account at Cattlemen’s Bank. In error, Edwards’ deposit was posted to the account of Edmunds, another depositor. On the following day, Nevins, a local producer-jobber, deposited a check to his account at Watermill Bank drawn on Cattlemen’s Bank to Nevins’s order by Edwards. When the check was presented for payment, Cattlemen’s Bank refused to honor it and stamped it "Insufficient Funds." Watermill Bank promptly returned the check to Nevins. If Edwards’s deposit on January 29 had been properly posted, his bank account balance would have been substantially greater than the amount of his check to Nevins. Edwards sued the Cattlemen’s Bank for damages. What should this recovery be? Why? Should Edwards recover?

Answers

Edwards should recover the amount of his check to Nevins from Cattlemen's Bank due to the bank's negligence in mishandling his deposit and causing the check to be dishonored.



Edwards should be able to recover the amount of his check to Nevins from Cattlemen's Bank. The bank made an error by posting Edwards' deposit to the account of another depositor, Edmunds. This error resulted in Edwards' check being dishonored due to insufficient funds. If the deposit had been correctly posted, Edwards' account balance would have been significantly higher, allowing his check to be honored.

Cattlemen's Bank is responsible for its negligence in mishandling the deposit and causing harm to Edwards. As a result, Edwards is entitled to recover the amount of his check, as it was the bank's mistake that prevented the check from being honored.

In summary, Edwards should recover the amount of his check to Nevins from Cattlemen's Bank due to the bank's negligence and the resulting damages caused by their error.

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what is the erotic marketplace?group of answer choicesthe abstract space in which sexual goods are commodifiedthe abstract space in which people are organized according to their perceived sexual desirabilitythe abstract space in which goods and services are assigned economic valuethe places in which people sell and buy erotic services and goods

Answers

The erotic marketplace represents the economic aspect of the industry where sexual goods and services are traded and valued.

The erotic marketplace refers to the abstract space in which sexual goods and services are commodified, bought, and sold.

It encompasses the places where people engage in the trade of erotic services and goods.

This marketplace involves the assignment of economic value to these products, as they are exchanged for money or other forms of compensation.

It is important to note that the erotic marketplace does not only involve the exchange of physical goods, but also encompasses the organization of individuals based on their perceived sexual desirability.

In summary, the erotic marketplace represents the economic aspect of the industry where sexual goods and services are traded and valued.

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The following income statement was drawn from the records of Butler Company, a merchandising firm: Required a. Reconstruct the income statement using the contribution margin format. Required a. Reconstruct the income statement using the contribution margin format. Calculate the magnitude of operating leverage. (Round your answer to 2 decimal places.) c. Use the measure of operating leverage to determine the amount of net income Butler will earn if sales increase by 10 percent. (Round your intermediate calculations to 2 decimal places and final answer to the nearest whole dollar amount.)

Answers

To reconstruct the income statement using the contribution margin format, we need to subtract variable expenses from sales to calculate the contribution margin.

Then, we deduct fixed expenses to determine the operating income. The magnitude of operating leverage can be calculated by dividing the contribution margin by the operating income. Finally, we can use the measure of operating leverage to determine the amount of net income Butler will earn if sales increase by 10 percent.

Income Statement (Contribution Margin Format):

Sales: $XXX

(-) Variable Expenses: $XXX

= Contribution Margin: $XXX

(-) Fixed Expenses: $XXX

= Operating Income: $XXX

Operating Leverage: Contribution Margin / Operating Income

To calculate the magnitude of operating leverage, divide the contribution margin by the operating income.

To determine the amount of net income Butler will earn if sales increase by 10 percent, we need to multiply the percentage increase in sales by the magnitude of operating leverage. Then, we add this amount to the current net income.

Net Income Increase = Percentage Increase in Sales * Magnitude of Operating Leverage

Note: Specific numerical values were not provided in the question, so the calculations cannot be performed without the actual values.

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Given the following information from the calculations I have gathered please help me to answer the question below: MAC = 100 - 5E MC = 20 E = 16 Appliance Cost = 20$ After adopting new abatement technology the firms abatement function is now MAC = 60 - 3E = 20 E in that equation is rounded and equal to 13 Question: Will the firm buy or sell permits in the cap-and-trade market and how many? What will be the private compliance cost to the firm after trading?

Answers

The firm will sell 2.67 permits in the cap-and-trade market and the new private compliance cost to the firm after trading will be $66.70.

In a cap-and-trade market, firms are allowed to trade permits to pollute in order to meet regulatory requirements. This allows firms to choose the most cost-effective method of reducing their pollution. In order to determine whether the firm in question will buy or sell permits in the cap-and-trade market and how many, we need to calculate the marginal abatement cost (MAC) and marginal benefit of abatement (MBA).MAC is given by the formula: MAC = 100 - 5E, where E is the level of abatement.MC (Marginal Cost) is given by the formula: MC = 20From this, we can calculate the MAC curve as follows:100 - 5E = 20E = (100 - 20)/5 = 16So, when the level of abatement is 16, the MAC is equal to the marginal cost, which is $20.The firm is considering adopting new abatement technology, which changes the MAC to:MAC = 60 - 3EWhen rounded, this becomes:MAC = 20 ESo, the level of abatement when the MAC is equal to $20 is:20 = 60 - 3E3E = 40E = 13.33So, the firm will reduce its level of abatement from 16 to 13.33. This means that the firm will have excess permits to sell in the cap-and-trade market.To calculate the number of permits the firm will sell, we need to calculate the difference between the initial level of abatement and the new level of abatement:16 - 13.33 = 2.67 permitsTherefore, the firm will sell 2.67 permits in the cap-and-trade market.After trading, the new private compliance cost to the firm will be the sum of the permit cost and the new abatement cost. We know that the appliance cost is $20, and the new level of abatement is 13.33, so the new abatement cost is:MAC = 60 - 3E = 60 - 3(13.33) = $20The cost of permits is determined by the market, so we don't know the exact cost. However, we do know that the firm is selling 2.67 permits. If the market price of a permit is $10, for example, then the cost of permits would be $26.70.So, the new private compliance cost to the firm would be:20 + 20 + 26.70 = $66.70Therefore, the firm will sell 2.67 permits in the cap-and-trade market and the new private compliance cost to the firm after trading will be $66.70.

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Q3. A US corporation borrows Swiss francs for 1 year at 8%. For the next year, the Swiss franc is anticipated to fall by 6% against the dollar. What is the loan's effective interest rate?*
a. 1.00%
b. 1.52%
c. 2.00%
d. 2.50%
e. 3.11%
Q4. A US company borrows British pounds for one year at 6 percent. The US one-year interest rate is 8 percent. The one-year forward rate of the pound is $1.93. The spot rate of the pound at the beginning is $1.95. The pound's spot rate is $2.05 by the end of the year. Based on the information, compute the percentage change in pound and the effective interest rate of the loan.*
a. 5.1%, 10.0%
b. 6.1%, 11.4%
c. 5.1%, 11.4%
d. 7.0%, 12.0%
e. 8.0%, 12.5%
Q5. The one-year US interest rate is 10 percent, and the one-year Italian interest rate is 13 percent. If a US company invests its funds in Italy, by what percentage would the euro have to depreciate to make its effective interest rate the same as the US interest rate from the US company's perspective?*
a. -10.55%
b. - 6.50%
c. - 4.65%
d. - 2.65%
e. - 1.00%

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A US corporation borrows Swiss francs for 1 year at 8%. For the next year, the Swiss franc is anticipated to fall by 6% against the dollar. What is the loan's effective interest rate?Given that a US corporation borrows Swiss francs for 1 year at 8%.For the next year, the Swiss franc is anticipated to fall by 6% against the dollar.

To find the loan's effective interest rate, we use the following formula:Effective interest rate = ((1 + i) / (1 + h)) - 1Where, i = loan's stated interest rateh = expected depreciation of the Swiss franc against the US dollar= 6%So, we get,i = 8%, h = 6%Putting values in the formula, we get:Effective interest rate = ((1 + i) / (1 + h)) - 1= ((1 + 8%) / (1 + 6%)) - 1= 1.01152 - 1= 0.0152 or 1.52%Therefore, the loan's effective interest rate is 1.52%.

A US company borrows British pounds for one year at 6 percent. The US one-year interest rate is 8 percent. The one-year forward rate of the pound is $1.93. we use the following formula:% change in the euro = (i - h) / (1 + h)Where i = US one-year interest rate = 10%, h = Italian one-year interest rate = 13%So,% change in the euro = (i - h) / (1 + h)= (10% - 13%) / (1 + 13%)= -0.032 = -3.2%

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Oslo Company prepared the following contribution format income statement based on a sales volume of 1,000 units (the relevant range of production is 500 units to 1.500 units): Sales $20,000 12.000 Variable expenses Contribution margin Fred expenses Net operating income 8,000 6,000 $ 2,000 Required: (Answer each question independently and always refer to the original data unless instructed otherwise.) 1. What is the contribution margin per unit? 2. What is the contribution margin ratio? 3. What is the variable expense ratio? 4. If sales increase to 1,001 units, what would be the increase in net operating income? 5. If sales decline to 900 units, what would be the net operating income? 6. If the selling price increases by $2 per unit and the sales volume decreases by 100 units, what would be the net operating income? 7. If the variable cost per unit increases by $1. spending on advertising increases by $1,500, and unit sales increase by 250 units, what would be the net operating income? 8. What is the break-even point in unit sales? 9. What is the break-even point in dollar sales? 10. How many units must be sold to achieve a target profit of $5,000? 11. What is the margin of safety in dollars? What is the margin of safety percentage? 12. What is the degree of operating leverage? Oslo Company prepared the following contribution format income statement based on a sales volume of 1,000 units a (the relevant range of production is 500 units to 1.500 units): Sales $20,000 Variable expenses Contribution margin Fixed expenses Net operating income 12,000 8,000 6,000 $ 2,000 Required: (Answer cach question independently and always refer to the original data unless instructed otherwise.) 1. What is the contribution margin per unit? 2. What is the contribution margin ratio? 3. What is the variable expense ratio? 4. If sales increase to 1,001 units, what would be the increase in net operating income? 5. If sales decline to 900 units, what would be the net operating income? 6. If the selling price increases by $2 per unit and the sales volume decreases by 100 units, what would be the net operating income? 7. If the variable cost per unit increases by $1. spending on advertising increases by $1,500, and unit sales increase by 250 units, what would be the net operating income? 8. What is the break even point in unit sales? 9. What is the break-even point in dollar sales? 10. How many units must be sold to achieve a target profit of $5,000? 11. What is the margin of safety in dollars? What is the margin of safety percentage? 12. What is the degree of operating leverago?

Answers

Contribution margin per unit: $8

Contribution margin ratio: 40%

Variable expense ratio: 60%

What is the increase in net operating income?

Increase in net operating income if sales increase to 1,001 units: $8

Net operating income if sales decline to 900 units: $0

Net operating income if selling price increases by $2 and sales volume decreases by 100 units: $1,400

Net operating income if variable cost per unit increases by $1, spending on advertising increases by $1,500, and unit sales increase by 250 units: $2,500

Break-even point in unit sales: 1,667 units

Break-even point in dollar sales: $20,000

Number of units to be sold to achieve a target profit of $5,000: 1,250 units

Margin of safety in dollars: $4,000

Margin of safety percentage: 20%

Degree of operating leverage: 5

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Final answer:

The question pertains to interpreting a contribution format income statement for Oslo Company, calculating various financial metrics and understanding their implication on the company's net operating income. The contribution margin per unit is $8, and contribution margin ratio is 40%. These calculations are critical to financial analysis in business.

Explanation:

The subject of the question involves understanding and interpreting a contribution format income statement for the Oslo Company. This statement involves calculating various financial ratios and metrics, including contribution margin per unit, contribution margin ratio, variable expense ratio, and net operating income with different sales scenarios and cost variations. These calculations are all part of managerial accounting and financial analysis in business and variations in these, such as changes in sales volume and cost per unit, can significantly impact the company's net operating income.

To answer these questions, let's start with the contribution margin per unit. The contribution margin is the difference between total sales and total variable expenses. In this case, the total sales is $20,000 and total variable expenses is $12,000 which gives us a total contribution margin of $8,000. Given the sales volume of 1,000 units, the contribution margin per unit would be $8 ($8,000 / 1,000 units = $8 per unit).

Next is the contribution margin ratio, which is the contribution margin divided by total sales. In this case, the contribution margin ratio would be 0.4 ($8,000 / $20,000 = 0.4, or 40%)

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A study was conducted to determine if consumers are more likely to choose a vice product (e.g., a candy bar) when their arm is flexed (as when carrying a shopping basket) than when their arm is extended (as when pushing a shopping cart). The study measured choice scores (on a scale of 0 to 100, where higher scores indicate a greater preference for vice options) for consumer shopping under each of the two conditions. The average choice score for consumers with a flexed arm was 58, while the average for consumers with an extended arm was 45. For both conditions, assume that the standard deviation of the choice scores is 7. Also assume that both distributions are approximately normally distributed. Complete parts a. and b. a. In the flexed arm condition, what is the probability that a consumer has a choice score of 58 or greater? The probability that a consumer in the flexed arm condition has a choice score of 58 or greater is 0.5. (Round to three decimal places as needed.) b. In the extended arm condition, what is the probability that a consumer has a choice score of58 or greater? The probability that a consumer in the extended arm condition has a choice score of58 or greater is (Round to three decimal places as needed.)

Answers

a. The probability that a consumer in the flexed arm condition has a choice score of 58 or greater is;

P ( X > 58 )  0.500

b. The probability that a consumer in the extended arm condition has a choice score of 58 or greater is; P ( X > 58 ) = 0.034

a. Given that in the flexed arm condition, the mean of choice score μ = 58 and the standard deviation of choice scores σ = 7. The probability that a consumer in the flexed arm condition has a choice score of 58 or greater is as follows;

P ( X > 58 ) = 1 - P ( X < 58 )

Using the standard normal distribution table, the value of z for P ( X < 58 ) can be obtained as follows;

z = ( X - μ ) / σz = ( 58 - 58 ) / 7z = 0Then, P ( X < 58 ) = P ( z < 0 ) = 0.500

Therefore, the probability that a consumer in the flexed arm condition has a choice score of 58 or greater is;

P ( X > 58 ) = 1 - P ( X < 58 )= 1 - 0.500= 0.500

b. Given that in the extended arm condition, the mean of choice score μ = 45 and the standard deviation of choice scores σ = 7. The probability that a consumer in the extended arm condition has a choice score of 58 or greater is as follows;

P ( X > 58 ) = 1 - P ( X < 58 )

Using the standard normal distribution table, the value of z for P ( X < 58 ) can be obtained as follows;

z = ( X - μ ) / σz = ( 58 - 45 ) / 7z = 1.857

Then, P ( X < 58 ) = P ( z < 1.857 ) = 0.966

Therefore, the probability that a consumer in the extended arm condition has a choice score of 58 or greater is; P ( X > 58 ) = 1 - P ( X < 58 )= 1 - 0.966= 0.034

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Question 6 Which of the following will cause an increase in the quantity of action adventure movies supplied? O A change in the cost of producing films. O An increase in the price of the movies. O a decrease in the number of movie production companies O A decrease in the income of movie goers. Question 7 1 pts Which of the following is not an assumption made when using the demand and supply model? O the market contains many buyers and sellers. O products produced by various sellers are nearly perfect substitutes for one another. O the market uses extensive firm specific advertising. O there are no barriers to entry into this market. Question 8
Which of the following will cause an increase in the supply curve for ice cream at local grocery stores? Select all that apply. O The cost of cream, an input to the production of ice cream, rises. O Prairie Farms, a major producer of ice cream, invents a new cost-saving process for freezing ice cream. O The price of fuel used to deliver the ice cream to grocery stores falls. O The price of frozen custard, a substitute for ice cream in the minds of many consumers, falls. O The price of ice cream rises. Question 9 1 pts Which of the following will cause an increase in the quantity supplied of ice cream at local grocery stores? O The cost of cream, an input to the production of ice cream, rises. O Prairie Farms, a major producer of ice cream, invents a new cost-saving process for freezing ice cream. O The price of ice cream falls. O The price of frozen custard, a substitute for ice cream in the minds of many consumers, falls. O The price of ice cream rises.

Answers

Question 6:An increase in the price of the movies will cause an increase in the quantity of action-adventure movies supplied. So the right answer is: An increase in the price of the movies.

Question 7: The assumption made when using the demand and supply model that is not correct is: The market uses extensive firm-specific advertising.

Question 8: The following options will cause an increase in the supply curve for ice cream at local grocery stores:

Prairie Farms, a major producer of ice cream, invents a new cost-saving process for freezing ice cream, and The price of fuel used to deliver the ice cream to grocery stores falls.

So the right option is: The price of fuel used to deliver the ice cream to grocery stores falls.

Question 9: An increase in the quantity supplied of ice cream at local grocery stores will be caused by a decrease in the cost of cream, an input to the production of ice cream, and Prairie Farms, a major producer of ice cream, invents a new cost-saving process for freezing ice cream.

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If the assets of a business increased $9,000 during a period of time and its liabilities increased $5,000 during the same period, equity in the business must have How would the accounting equation of Lenore Turner's consulting business be affected by the billing of a client for $2.000 for consulting work completed?

Answers

If the assets of a business increased $9,000 during a period of time and its liabilities increased $5,000 during the same period, equity in the business must have increased by $4,000 during the same period. Therefore, Equity = Assets - Liabilities.

Let's calculate the increase in Equity:

Increase in Equity = Increase in Assets - Increase in Liabilities = $9,000 - $5,000 = $4,000.

The accounting equation for Lenore Turner's consulting business is Assets = Liabilities + Equity.

When a client is billed for $2,000 for consulting work completed, the accounting equation of Lenore Turner's consulting business would be affected in the following ways:

Assets: Cash (an asset) would increase by $2,000, thus increasing the total assets of the business by $2,000.

Liabilities: There would be no change in the liabilities of the business.

Equity: Retained earnings (an equity account) would increase by $2,000, thus increasing the total equity of the business by $2,000.

Therefore, the new accounting equation of Lenore Turner's consulting business after billing a client for $2,000 for consulting work completed would be:

Assets = Total Assets + $2,000 (increase in cash)

Liabilities = Total Liabilities

Equity = Total Equity + $2,000 (increase in retained earnings)

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Q3. Identify and explain any five stake holders of University of Technology and Applied Sciences – Ibri.

Answers

1) Students: Students are the most important stakeholders of the university. They are the ones who are directly affected by the quality of education and the overall experience at the university.

Students have a vested interest in ensuring that the university is meeting their needs and providing them with the skills and knowledge they need to succeed in their careers.

2. Faculty: Faculty are another important stakeholder group. They are responsible for providing students with the education they need, and they also play a role in shaping the culture and environment of the university.

Faculty have a vested interest in ensuring that the university is providing them with the resources they need to be successful, and that the university is creating an environment where they can thrive.

3. Staff: Staff are the backbone of the university. They provide essential support services to students, faculty, and the university as a whole. Staff have a vested interest in ensuring that the university is a positive and productive work environment, and that they are being treated fairly and with respect.

4. Government: The government is a key stakeholder of the university. The government provides funding for the university, and it also sets the policies and regulations that govern the university.

The government has a vested interest in ensuring that the university is providing high-quality education, and that it is meeting the needs of the economy.

5. Community: The community is also a stakeholder of the university. The university is a major employer in the community, and it also contributes to the cultural and economic life of the community.

The community has a vested interest in ensuring that the university is a positive force in the community, and that it is contributing to the well-being of the community.

Stakeholders are individuals or groups who have an interest in the success or failure of an organization. They can be internal or external to the organization, and they can have a direct or indirect impact on the organization's operations.

The five stakeholders of the University of Technology and Applied Sciences – Ibri that I have identified are all important to the success of the university.

They have different roles to play, but they all have a vested interest in ensuring that the university is meeting their needs and providing them with the resources they need to be successful.

The university needs to be responsive to the needs of its stakeholders in order to be successful. It needs to listen to their concerns and take their feedback into account when making decisions.

The university also needs to be transparent about its operations and its plans for the future. By being responsive and transparent, the university can build trust with its stakeholders and ensure that they are supportive of its mission.

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Traditional aspects of Corporate Governance involve maximizing
share holder value. Group of answer choices
True
False

Answers

The correct option for traditional aspects of Corporate Governance involves maximizing shareholder value is "True."

Corporate governance refers to the system of principles, laws, and policies that regulate corporations' actions. It aids in the management of a company's relationships with all of its stakeholders. It is concerned with resolving conflicts among stakeholders in a way that promotes long-term value creation. It includes everything from laws and regulations to company culture and best practices.

It can include different aspects such as:

Maximizing shareholder value;

Protecting the rights of shareholders;

Reducing conflicts of interest between stakeholders;

Ensuring that management and the board are accountable to shareholders;

Ensuring ethical behavior and transparency. The principal objective of traditional corporate governance is to maximize shareholder value. Many people believe that corporations should only be concerned with their shareholders and not with society at large. As a result, a business should only engage in activities that will benefit its shareholders. That is to say, in order to succeed, corporations must prioritize their shareholders over all other stakeholders. The primary goal of corporate governance is to ensure that companies operate effectively and efficiently while minimizing risk and producing long-term value for shareholders. It is critical to be aware that corporations are a legal creation.

As a result, the notion of corporate governance is founded on legal principles.

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Indicate whether each of the following accounts would be reported on the balance sheet or income statement of Home Repair Company. Further, if the account is reported on the balance sheet, indicate whether it would be classified with current assets, noncurrent assets, current liabilities, noncurrent liabilities, or stockholders' equity. If the account is reported on the income statement, indicate whether it would be classified as revenue or expense. Finally, for each account, indicate whether the company's accounting records would normally show a debit or credit balance.


Accounts: Financial Statement Classification Normal Debit or Credit


Interest Expense

Prepaid Rent

Amortization Expense

Unearned Revenue

Retained Earnings

Accumulated Depreciation

Answers

The accounts provided will be categorized and classified based on whether they are reported on the balance sheet or income statement of Home Repair Company.

Additionally, the classification within the balance sheet as current assets, noncurrent assets, current liabilities, noncurrent liabilities, or stockholders' equity will be indicated. Finally, the normal debit or credit balance for each account will be determined.

1. Interest Expense: This account is reported on the income statement as an expense. It will have a normal debit balance.

2. Prepaid Rent: This account is reported on the balance sheet as a current asset since it represents a payment made in advance for future rent. It will have a normal debit balance.

3. Amortization Expense: This account is reported on the income statement as an expense. It will have a normal debit balance.

4. Unearned Revenue: This account is reported on the balance sheet as a current liability since it represents revenue received in advance. It will have a normal credit balance.

5. Retained Earnings: This account is reported on the balance sheet as part of stockholders' equity. It represents the accumulated profits of the company and will have a normal credit balance.

6. Accumulated Depreciation: This account is reported on the balance sheet as a contra-asset account, specifically under noncurrent assets. It represents the accumulated depreciation of the company's fixed assets and will have a normal credit balance.

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How does the equation use the double entry system to stay in
balance?

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The double-entry system is a method of bookkeeping in which each financial transaction is recorded in two separate accounts - one account is debited while the other is credited. The equation used in the double entry system is Assets = Liabilities + Equity.

In order to maintain balance, the double entry system relies on a fundamental equation: Assets = Liabilities + Equity. The equation helps to ensure that the accounting records are accurate and up-to-date, as each transaction must be recorded in two separate accounts, with one account being debited and the other being credited. The double entry system provides a way to keep track of all transactions that occur within a business, ensuring that everything is accounted for and that there are no discrepancies in the books.

To use the double entry system, accountants and bookkeepers must be well-versed in basic accounting principles, including the principles of debits and credits. They must also be able to accurately identify and record each transaction in the appropriate accounts, ensuring that everything is properly classified and organized.

Overall, the double entry system is an essential tool for any business that wishes to maintain accurate and reliable accounting records. By using this system, businesses can ensure that their financial statements are always up-to-date, and that they have a clear understanding of their financial position at any given time.

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China can be described in terms of Hofstede's cultural values as which of the following? The assigned article on doing business in China applies to this question. high power distance, low individualism, high masculinity, high long-term orientation high power distance, low individualism, low masculinity, high long-term orientation high power distance, high individualism, high masculinity, low long-term orientation low power distance, low individualism, low masculinity, high long-term orientation low power distance, high individualism, high masculinity, low long-term orientation

Answers

China can be described in terms of Hofstede's cultural values as follows: high power distance, low individualism, high masculinity, and high long-term orientation.

Hofstede's cultural dimensions provide a framework for understanding and comparing cultural values across different countries. In the case of China, it is characterized by a high power distance, which means that there is a significant gap between individuals in terms of power and authority. Chinese society generally respects and follows hierarchical structures, and individuals may accept and expect unequal distribution of power. In terms of individualism, China is characterized by low individualism. Chinese culture emphasizes collective identity and group harmony over individual interests. Family and community ties are strong, and individuals are expected to prioritize the needs of the group over their own desires.

China also exhibits high masculinity, which refers to a society that values assertiveness, competition, and achievement. Traditional gender roles are often emphasized, with males expected to be ambitious and dominant, while females are expected to be nurturing and supportive. Lastly, China has a high long-term orientation, reflecting a focus on long-term goals, persistence, and perseverance. Chinese culture values traditions, history, and future planning. People are willing to invest time and effort in building relationships and achieving long-term success.

Understanding these cultural values is crucial for businesses and individuals engaging in cross-cultural interactions with China. It helps to navigate communication styles, decision-making processes, and relationship-building strategies in a way that respects and aligns with the local culture.

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a) Bank Town Limited (BTL) is a small but growing financial institution. Bank Town Ltd is a relatively new company and they are seeking funds to expand their range of financial products to be offered to customers nationally. They have approached venture capital company Clayton Capital Ventures for funding. Clayton Capital Ventures (CCV) is considering investing into Bank Town Ltd and is assessing their potential investment. CCV have collected the following information: • Amount of investment: $10 million; • Bank Town Ltd should become profitable in four years, so term of the investment is four years; • The expected profit at the end of four years is $4 million; • Bank Town Ltd currently has 1 million ordinary shares on issue and outstanding, all shares are owned by founders; • For a three-year investment like this, Clayton Capital requires a return of 33 percent per annum, compounding annually; • There is a similar company to Bank Town Ltd, Lendcombe Ltd (LND). LND generated a profit of $3.2 million last year. LND's market value of equity is $54 million. • Neither Bank Town Ltd or Lendcombe Ltd have any debt outstanding. Required: i. Use the VC method to determine the value of Bank Town Ltd at the end of three years. ii. Calculate: 1. The present value of Bank Town Ltd 2. The pre-money value of Bank Town Ltd 3. The post-money value of Bank Town Ltd iii. The percentage of Bank Town Ltd that Clayton Capital Ventures will own for the $10 million investment. b) Discuss the following forms of share buy-backs permitted in Australia. Include a short description of the characteristics of each form and any legal conditions that are imposed: i. Equal access buy-backs ii. Selective buy-backs iii. On market buy-backs iv. Employee share scheme buy-backs v. Minimum holding (odd lot) buy-backs

Answers

i. The value of Bank Town Ltd at the end of three years, determined using the VC method, is $4.11 million.

ii. 1. The present value of Bank Town Ltd is $3.11 million.

2. The pre-money value of Bank Town Ltd is $0.11 million.

The post-money value of Bank Town Ltd is $10.11 million.

iii. Clayton Capital Ventures will own 99.01% of Bank Town Ltd for the $10 million investment.

i. The VC method calculates the value of a company based on the expected future profit and the required rate of return. Using this method, the value of Bank Town Ltd at the end of three years is determined to be $4.11 million.

ii. 1. The present value of Bank Town Ltd is the value at the beginning of the investment period, which is $3.11 million.

2. The pre-money value of Bank Town Ltd is the value before the investment, which is $0.11 million.

The post-money value of Bank Town Ltd is the value after the investment, which is $10.11 million.

iii. For the $10 million investment, Clayton Capital Ventures will own 99.01% of Bank Town Ltd.

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Jackie’s computer at work was not working properly, so without permission, Jackie used her coworker’s computer to complete some administrative tasks. While she was logged into the coworker’s computer, Jackie noticed that her coworker was using the computer for personal use to get emails, download files, and visit social media sites. Jackie wants to warn her coworker about the strict rule in the department that employees cannot use company computers for personal use, but she is hesitant to say something. Explain how this situation is an ethical dilemma for Jackie

Answers

The situation is an ethical dilemma for Jackie for several reasons. Firstly, she violated the company policy by using her coworker's computer without permission. Secondly, she found out that her coworker was violating company policy by using company computers for personal use.

She has to decide whether to report her coworker or not. Although Jackie wants to warn her coworker about the strict rule in the department, she is hesitant to say something. She has to weigh the benefits and the consequences of reporting the incident.

There are a few ethical considerations that Jackie needs to make before making her decision. Firstly, she has to consider the company's policy. The company has a policy that prohibits employees from using company computers for personal use. Therefore, her coworker's actions are unethical.

Secondly, Jackie has to consider the impact of her actions on her coworker. If she reports the incident, her coworker may face disciplinary action, which could affect her job. Additionally, her coworker may feel betrayed by her actions.

Thirdly, Jackie has to consider the impact of her actions on herself. If she reports the incident, she may be seen as a snitch by her coworkers, which could damage her reputation. On the other hand, if she does not report the incident, she could be seen as complicit in her coworker's actions.

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What is the natural rate of unemployment? What is the relationship between the natural rate of unemployment and full employment? Would it be better to define full employment as being zero unemployment? Why/why not? Explain. (5 pts) Natural unemployment is the minimum unemployment rate resulting from real economic forces. The relationship that they share is that the economy is at full employment when the actual employment is the natural rate. However, it would not be better to define them this way because there needs to be different kinds of unemployment. Economists say that some are unavoidable important for a functioning labor market. 2. If Congress eliminated the unemployment insurances system, what would likely be the effect on the level of frictional unemployment? Would this necessarily be good for the economy? Explain. ( 5pts ) 3. I have downloaded the unemployment level, size of the labor force, working age population, and natural rate of unemployment for the United States from 1990Q1-2020Q3 from FRED. This data is contained in the "fredgraph" spreadsheet on Canvas. Using these data, please answer/complete the following questions. Note, for full credit, you only need to report the averages and graphs specified in the problems. a. Compute the unemployment rate for every quarter of available data and find the average unemployment rate. What are the 5 highest and lowest unemployment quarters? What were the unemployment rates? ( 5 pts) b. Graph your unemployment rate over time. Add a horizontal reference line at the average unemployment rate. Please make all graphs presentable (label your axies, title your graph, etc.). (5 pts) a. Compute the labor force participation rate for every quarter of available data and find the average labor force participation rate. Note, the civilian labor force size is in thousands and the working age population is not. Make a line graph of the labor force participation rate from 1990Q1 to 2020Q3. Add a horizontal reference line at the average labor force participation rate. Please make all graphs presentable (label your axies, title your graph, etc.).

Answers

The natural rate of unemployment refers to the minimum unemployment rate resulting from real economic forces. It is the level of unemployment that remains even when the economy is considered to be at full employment.

Defining full employment as zero unemployment would not be practical or desirable. It would imply a complete absence of job search, turnover, and economic restructuring. Some level of unemployment is necessary for a dynamic labor market, as it allows for job matching, mobility, and the allocation of resources to more productive uses. Moreover, aiming for zero unemployment could lead to other economic issues, such as inflationary pressures and labor market rigidities.

The natural rate of unemployment represents the minimum level of unemployment resulting from real economic factors. Full employment is achieved when the actual unemployment rate matches the natural rate. However, defining full employment as zero unemployment is not recommended, as some types of unemployment are considered necessary for a well-functioning labor market.

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Consider the following cash flow table and assume the study period is three years and the MARR = 15% per year. Capital investment $11,000
Annual revenues $4,000 Annual costs $250 Market value at EOY 3 $5,000 then the project is Select one: a. acceptable and PW>$735.1 b. acceptable and PW>-$735.1 c. Not acceptable and PW<-$735.1 d. None of them e. Not acceptable and PW<$735.1 A bond with a face value of $6,000 pays an interest of 8% per year. This bond will be redeemed at par value at the end of its 20-year life, and the first interest payment is due one year from now. How much should be paid now for this bond in order to receive a yield of 10% per year on the investment? Select one:
a. $6,205.13
b. None of them c. $4,148.44 d. $4,978.38 e. $3,125.26

Answers

Putting the values in the formula, we get: PVIF(i%,n) = 1 / (1+i%)^n = 1 / (1+10%)^20 = 0.1486PVIFA(i%,n) = (1 - 1 / (1+i%)^n) / i% = (1 - 1 / (1+10%)^20) / 10% = 8.5136Coupon payment = Face value x Interest rate = $6,000 x 8% = $480Present Value of bond = $480 x 8.5136 + $6,000 x 0.1486 = $6,205.13Answer: a. $6,205.13Therefore, the Present Value of bond that should be paid now for this bond in order to receive a yield of 10% per year on the investment is $6,205.13.

Answer: a. acceptable and PW>$735.

1. Explanation: Given, Capital investment = $11,000Annual revenues = $4,000Annual costs = $250Market value at EOY 3 = $5,000Study period = 3 years MARR = 15% per year

We can find out Present worth of the project using the following formula:

PW = -Capital investment + (Annual revenues - Annual costs)/P(i%,n) + Market value at the end of the study period/P(i%,n). Where, P(i%,n) = (1+i%)^n - 1 / i% Here, P(i%,n) = (1+15%)^3 - 1 / 15% = 3.9271. Putting the values in the formula, we get: PW = -$11,000 + ($4,000-$250)/3.9271 + $5,000/3.9271PW = $735.13Since PW > 0, the project is acceptable.

Given, Face value of bond = $6,000Interest rate = 8% per year Yield = 10% per year Time period = 20 years.

We can find out the Present Value of bond using the following formula: Present Value of bond = Coupon payment x PVIFA(i%,n) + Face value x PVIF(i%,n)Where, PVIFA(i%,n) = (1 - 1 / (1+i%)^n) / i% PVIF(i%,n) = 1 / (1+i%)^n. Putting the values in the formula, we get: PVIF(i%,n) = 1 / (1+i%)^n = 1 / (1+10%)^20 = 0.1486PVIFA(i%,n) = (1 - 1 / (1+i%)^n) / i% = (1 - 1 / (1+10%)^20) / 10% = 8.5136. Coupon payment = Face value x Interest rate = $6,000 x 8% = $480. Present Value of bond = $480 x 8.5136 + $6,000 x 0.1486 = $6,205.13. Answer: a. $6,205.13. Therefore, the Present Value of bond that should be paid now for this bond in order to receive a yield of 10% per year on the investment is $6,205.13.

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Gabbins Company uses the perpetual inventory system and has the following inventory purchase and sales information for the month of March. Use this information to answer Weighted Average and FIFO method questions. March 1 Beginning inventory 100 units at $50 each March 3, Purchase 60 units for $60 each March 4, Sales 70 units for $100 each March 10, Purchase 200 for $70 each March 16 , Sales 80 units for $110 each March 18, Sales 90 units for $115 each March 30, Purchase 40 units for $75 each Assume that Gabbins Company uses Weighted Average Method for inventory costing What is the cost of ending inventory on Mar 10 ? (Number Format: Only provide numbers, no comma or unit or $ required, round to nearest whole number. Example: If your answer is 1,055.70, write 1056) Answer: Assume that Gabbins Company uses Weighted Average Method for inventory costing. What is the cost of ending inventory on Mar 30 ? (Number Format: Only provide numbers, no comma or unit or $ required, round to nearest whole number. Example: If your answer is 1,055.50, write 1056) Answer: Assume that Gabbins Company uses Weighted Average Method for inventory costing. What is the cost of goods sold for March? (Number Format: Only provide numbers, no comma or unit or $ required, round to nearest whole numbeF. Example: If your answer is 1,055.70, write 1056) Answer: Assume that Gabbins Company uses Weighted Average Method for inventory costing. What is the average unit cost of 80 quantity sold on Mar 16 ? Round to 2 decimal places. Example: If your answer is 1,055.745, write 1055.75) Flag question Answer: Assume that Gabbins Company uses Weighted Average Method for inventory costing. What is the average unit cost on Mar 30 ? (Number Format: Only provide numbers, no comma or unit or $ required, round to 2 decimal places. Example: If your answer is 1,055.745, write 1055.75) Answer: Assume that Gabbins Company uses FIFO Method for inventory costing. What is the cost of ending inventory on Mar 10? (Number Format: Only provide numbers, no comma or unit or $ required, round to nearest whole number. Example: If your answer is 1,055.70, write 1056) Answer: Assume that Gabbins Company uses FIFO Method for inventory costing. What is the cost of ending inventory on Mar 30? (Number Format: Only provide numbers, no comma or unit or $ required, round to nearest whole number. Example: If your answer is 1,055.70, write 1056) Answer: Assume that Gabbins Company uses FIFO Method for inventory costing. What is the cost of goods sold for March? (Number Format: Only provide numbers, no comma or unit or $ required, round to nearest whole number. Example: If your answer is 1,055.70, write 1056) Answer:

Answers

Using the Weighted Average Method, the cost of ending inventory on Mar 10 is $6,100, and on Mar 30 is $2,900. The cost of goods sold for March is $19,700.

To calculate the required values using the Weighted Average and FIFO methods, let's analyze the inventory purchase and sales information step by step:

1. Weighted Average Method:

a) Cost of Ending Inventory on Mar 10:

Total Cost of Beginning Inventory + Total Cost of Purchases - Cost of Goods Sold

= (100 units * $50) + (60 units * $60) - (70 units * $50)

= $5,000 + $3,600 - $3,500

= $6,100

b) Cost of Ending Inventory on Mar 30:

Total Cost of Beginning Inventory + Total Cost of Purchases - Cost of Goods Sold

= (100 units * $50) + (60 units * $60) + (200 units * $70) - (70 units * $50) - (80 units * $60) - (90 units * $60) - (80 units * $75)

= $5,000 + $3,600 + $14,000 - $3,500 - $4,800 - $5,400 - $6,000

= $2,900

c) Cost of Goods Sold for March:

Total Cost of Beginning Inventory + Total Cost of Purchases - Cost of Ending Inventory

= (100 units * $50) + (60 units * $60) + (200 units * $70) - $2,900

= $5,000 + $3,600 + $14,000 - $2,900

= $19,700

d) Average Unit Cost of 80 Quantity Sold on Mar 16:

Total Cost of Goods Sold / Total Quantity Sold

= $19,700 / 80 units

= $246.25

e) Average Unit Cost on Mar 30:

Cost of Ending Inventory on Mar 30 / Quantity in Ending Inventory on Mar 30

= $2,900 / 40 units

= $72.50

2. FIFO Method:

a) Cost of Ending Inventory on Mar 10:

Cost of the Oldest Inventory

= 70 units * $50

= $3,500

b) Cost of Ending Inventory on Mar 30:

Cost of the Oldest Inventory

= 40 units * $50

= $2,000

c) Cost of Goods Sold for March:

Total Cost of Beginning Inventory + Total Cost of Purchases - Cost of Ending Inventory

= (100 units * $50) + (60 units * $60) + (200 units * $70) - $2,000

= $5,000 + $3,600 + $14,000 - $2,000

= $20,600

Therefore, using the Weighted Average Method:

- Cost of Ending Inventory on Mar 10: $6,100

- Cost of Ending Inventory on Mar 30: $2,900

- Cost of Goods Sold for March: $19,700

- Average Unit Cost of 80 Quantity Sold on Mar 16: $246.25

- Average Unit Cost on Mar 30: $72.50

And using the FIFO Method:

- Cost of Ending Inventory on Mar 10: $3,500

- Cost of Ending Inventory on Mar 30: $2,000

- Cost of Goods Sold for March: $20,600

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Suppose you invest $1,050 in an account paying 7% interest per year.
a. What is the balance in the account after 3 ​years? How much of this balance corresponds to​ "interest on​ interest"?
b. What is the balance in the account after 28 ​years? How much of this balance corresponds to​ "interest on​ interest"?

Answers

a.Approximately $175.04 of the balance corresponds to "interest on interest."

b.Approximately $3,051.49 of the balance corresponds to "interest on interest."

a. To calculate the balance in the account after 3 years, we can use the formula for compound interest:

[tex]A = P(1 + r/n)^{nt}[/tex]

Where:

A = Final balance

P = Principal amount (initial investment)

r = Annual interest rate (in decimal form)

n = Number of times interest is compounded per year

t = Number of years

In this case:

P = $1,050

r = 7% = 0.07

n = 1 (compounded annually)

t = 3 years

Plugging in the values, we get:

A = $1,050(1 + 0.07/1)³

A = $1,050(1.07)³

A ≈ $1,225.04

The balance in the account after 3 years is approximately $1,225.04.

To calculate the amount of this balance that corresponds to "interest on interest," we can subtract the initial principal amount from the final balance:

Interest on interest = Final balance - Principal amount

Interest on interest = $1,225.04 - $1,050

Interest on interest ≈ $175.04

Approximately $175.04 of the balance corresponds to "interest on interest."

b. Using the same formula for compound interest, we can calculate the balance in the account after 28 years:

P = $1,050

r = 7% = 0.07

n = 1 (compounded annually)

t = 28 years

A = $1,050(1 + 0.07/1)²⁸

A ≈ $4,101.49

The balance in the account after 28 years is approximately $4,101.49.

To calculate the amount of this balance that corresponds to "interest on interest," we subtract the initial principal amount:

Interest on interest = Final balance - Principal amount

Interest on interest = $4,101.49 - $1,050

Interest on interest ≈ $3,051.49

Approximately $3,051.49 of the balance corresponds to "interest on interest."

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