Project A and B are mutually exclusive. Project A has a 5 year life and project B has a 7 year life. The cost of capital for both projects is 10%. The NPV of project A is $13.72 million while the NPV of Project B is $20 million. What is the Equivalent Annual Annuity for Project B?

Answers

Answer 1

Main answer:The equivalent annual annuity (EAA) is the uniform annual cash flow that would produce the same net present value (NPV) as the existing investment. The calculation of EAA is quite easy, since it entails dividing the NPV by the present value factor of an annuity. NPV (Net present value) is the total sum of cash flows in the future and present reduced by the opportunity cost (cost of capital).

The cost of capital is used as the discount rate. The EAA of Project B is $3.07 million.Explanation:Given: NPV of Project A is $13.72 million and NPV of Project B is $20 million. The cost of capital for both projects is 10%. The life of project A is 5 years, and that of project B is 7 years.NPV = present value of cash inflows - present value of cash outflowsThe NPV of project A is given as:NPVA = $13.72 millionThe NPV of project B is given as:NPVB = $20 millionTo calculate the EAA of project B,

we can use the following formula:EAA = NPV / Present value factor of annuityEAA = NPV / [(1 - (1 + r)^-n) / r]where r = cost of capital, and n = life of the project.The present value factor of annuity can be calculated as:(1 - (1 + r)^-n) / rwhere r = 10%, and n = 7 yearsPresent value factor of annuity = (1 - (1 + 0.1)^-7) / 0.1 = 4.8689Using this, we can calculate the EAA of project B:EAA = $20 million / 4.8689 = $3.07 millionTherefore, the equivalent annual annuity for Project B is $3.07 million.

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Related Questions

Mia Wiz sells computers. During May, it sold 500 computers at a $700 per unit price. The fixed budget for May predicted sales of 550 computers at an per unit price of $680.

AQ = Actual Quantity
SQ = Standard Quantity
AP = Actual Price
SP = Standard Price


1&2. Compute the sales price variance and the sales volume variance for May. Identify it as favorable or unfavorable. (Indicate the effect of each variance by selecting favorable, unfavorable, or no variance.)

Answers

Mia Wiz experienced a favorable sales price variance of $10,000 due to higher actual prices and an unfavorable sales volume variance of -$34,000 due to lower actual quantities sold compared to the standard quantity.

To compute the sales price variance and sales volume variance for Mia Wiz in May, we'll use the formulas:

Sales Price Variance = (AQ × AP) - (AQ × SP)

Sales Volume Variance = (AQ × SP) - (SQ × SP)

Given:

AQ = Actual Quantity = 500 computers

AP = Actual Price = $700 per unit

SP = Standard Price = $680 per unit

SQ = Standard Quantity = 550 computers

Now let's calculate the variances:

Sales Price Variance = (500 × $700) - (500 × $680) = $350,000 - $340,000 = $10,000 (favorable)

The sales price variance measures the difference between the actual revenue earned at the actual selling price and the revenue that would have been earned at the standard selling price. Since the actual price is higher than the standard price, the variance is favorable because it results in higher revenue.

Sales Volume Variance = (500 × $680) - (550 × $680) = $340,000 - $374,000 = -$34,000 (unfavorable)

The sales volume variance represents the difference between the revenue earned at the standard selling price and the revenue that would have been earned at the standard selling price, given the actual quantity sold. Since the actual quantity sold is less than the standard quantity, the variance is unfavorable because it results in lower revenue.

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Which of the following conditions would prevent a firm from setting different prices in different markets? R EF SEE PRETRES BER estion Select one: A. law enforcement preventing smuggling from occurring O B. government imposition of a price ceiling O C. government intervention forcing the firm to reduce the level of output O D. possibility of arbitrage for buyers between different markets S TEE

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The correct answer is D. possibility of arbitrage for buyers between different markets.

Arbitrage refers to the practice of buying a product at a lower price in one market and selling it at a higher price in another market, taking advantage of price differentials. If buyers have the opportunity to engage in arbitrage between different markets, it would prevent a firm from setting different prices in those markets. This is because buyers would exploit the price differences by purchasing at the lower price and reselling at the higher price, equalizing prices across markets.

The other options are not directly related to the firm's ability to set different prices in different markets. Law enforcement preventing smuggling (A) and government imposition of a price ceiling (B) may impact overall market conditions but do not specifically prevent price differentiation. Government intervention forcing a firm to reduce output (C) may affect supply but does not directly restrict price differentiation. Only the possibility of arbitrage (D) limits the ability to set different prices in different markets.

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A portfolio han 4% of its value in IBM shares and the root in Microsoft (MSFT) The volatility of IBM and MSFT #ro 35% and 30%, respectively, and the correlation between IBM and MSFT is 0.8. What is the standard deviation of the portfolio? CD O A 33.17% 8. 28.85% OC 24.52% OD. 31.73%

Answers

The standard deviation of the portfolio is Option A 33.17%

How to determine the standard deviation

The formula for determining the standard deviation of a portfolio is expressed as;

σp = √(w1²σ1² + w2²σ2² + 2ρw1w2σ1σ2)

Such that the parameters of the formula are;

σp is the portfolio standard w1 and w2 are the weights of the two assets σ1 and σ2 are the standard deviations of assetsρ is the correlation

Substitute the values , we have;

σp = √(0.4²(35%)² + 0.6²(30%)² + 2(0.8)(0.4)(35%)(30%))

Then, we have;

= 33.17%

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QUESTION 4 What is the expected standard deviation of stock A's returns based on the information presented in the table? Outcome Probability of outcome TStock A return in outcome Good TON 2010 Medium TO 1300 low 21.27% (plus or minus 0.10 percentage points) b. 40.00w (plus or minus 0.10 percentage points) c.25.61 (plus or minus 0.10 percentage points) d. 32.66 plus or minus 0.10 percentage points) The expected standard deviation cannot be estimated because the probability of the bad outcome is not given or the standard deviation can be computed from the given information, but none of the above is within 0.10 percentage points of the correct answer

Answers

D) the expected standard deviation of stock A's returns is approximately 113.56.

Given that the stock A has three possible outcomes, which are good, medium, and low. The probability of good outcome TON is 27.3%, probability of medium outcome TO is 52.7%, and probability of low outcome is 20%. Also, the expected return of the stock A for the good outcome TON is 2010%, expected return for the medium outcome TO is 1300%, and expected return for low outcome is -100%.To calculate the expected standard deviation of stock A's returns based on the given information in the table, we will use the formula of standard deviation which is the square root of [(the sum of the probability of each outcome times the square of the difference between the outcome return and the expected return) divided by the number of outcomes].

Therefore, the expected standard deviation of stock A's returns based on the information presented in the table is given as:

Standard deviation = √ [ 0.273 x (2010 - 1283.9)² + 0.527 x (1300 - 1283.9)² + 0.2 x (-100 - 1283.9)² ]

= √ [ 0.273 x 43156.41 + 0.527 x 238.09 + 0.2 x 174724.41 ]

= √ 12905.5363

≈ 113.56

So, the expected standard deviation of stock A's returns is approximately 113.56.

Therefore, option D is the correct answer.

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Academic Writing
INSTRUCTION You see this advert in Tuah UTeM, the monthly bulletin of UTeM students. Reviews wanted! We are looking for article reviews to be featured in the Write up section in Tuah UTeM bulletin for

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Academic writing is the type of writing that is utilized in academic disciplines to express a person's thoughts, research, and theories in a particular field of study.

This is often used in journals, textbooks, and scholarly books in order to help spread knowledge to other individuals who are interested in the same field. The features of academic writing include using formal language, writing in a clear and concise manner, citing sources accurately, and using evidence-based arguments.

Therefore, if you are interested in submitting an article review for the Write Up section of Tuah UTeM bulletin, it is important to keep in mind the key features of academic writing. Your article review should include a summary of the article you are reviewing, an analysis of the author's argument and evidence, and your own evaluation of the article.

Additionally, you should use formal language, avoid contractions and slang, and provide accurate citations for any sources you reference in your review.

Overall, writing an article review for the Write Up section of Tuah UTeM bulletin provides a great opportunity to develop your academic writing skills and share your thoughts on important topics with your peers.

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Andrew Industries is contemplating issuing a 30-year bond with a coupon rate of 7.04% (annual coupon payments) and a face value of $1,000. Andrew believes it can get a rating of A from Standard & Poor's. However, due to recent financial difficulties at the company. Standard & Poor's is warning that it may downgrade Andrew Industries' bonds to BBB. Yields on A-rated, long-term bonds are currently 6.42%, and yields on BBB-rated bonds are 6.77% a. What is the price of the bond if Andrew Industries maintains the A rating for the bond issue? b. What will be the price of the bond if it is downgraded? CHRESCH a. What is the price of the bond if Andrew Industries maintains the A rating for the bond issue? If Andrew maintains the A rating for the bond issue, the price of the bond is S (Round to the nearest cent.) b. What will be the price of the bond if it is downgraded? If it is downgraded, the new bond's price will be $ (Round to the nearest cent.)

Answers

If Andrew Industries maintains the A rating for the bond issue, the price of the bond will be approximately $1,614.13.

How to solve for the bond issue

Coupon Payment = $1,000 * 7.04% = $70.40 (annual coupon payment)

Yield = 6.42% (A-rated yield)

n = 30 (number of periods)

Let's plug in the values into the formula:

PV = ($70.40 / 0.0642) * (1 - (1 / (1 + 0.0642)^30)) + ($1,000 / (1 + 0.0642)^30)

Calculating the expression:

PV ≈ $70.40 / 0.0642 * (1 - 0.457198) + $1,000 / 1.457198

PV ≈ $1,098.36 + $515.77

PV ≈ $1,614.13

Therefore, if Andrew Industries maintains the A rating for the bond issue, the price of the bond will be approximately $1,614.13.

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Mr. Dwight Schrute is considering investing $80,000 in creating an investment portfolio containing only two stocks. The attached image shows the four stocks that he is evaluating to create his desired two-stock Portfolio. Mr. Schrute plans to select the two stocks based on their relative risk. As a risk-averse investor, Mr. Schrute plans to pick two stocks that offer lower relative risk among these stocks. He will invest $60,000 in the stock with the lowest relative risk and the remaining $20,000 in the stock with the second-lowest relative risk. What would be the expected rate of return on Mr. Schrute's Portfolio? Stock A B Expected Return 8.00% 15.0% 12.0% 9.00% Standard Deviation 6.10% 11.00% 9.00% 7.00% С D Select one: O a. 1.12% O b. 8.25% O c. 14.25% O d. 8.75%

Answers

Correct option is B. The expected rate of return on Mr. Schrute's portfolio is 8.25%.The standard deviation is a measure of risk for a stock and is computed as the square root of the variance.

The variance measures the spread between numbers in a set of data, therefore the standard deviation measures the amount of dispersion from the average expected result. In the given problem, Dwight Schrute is planning to invest $80,000 in two stocks in such a way that the relative risk is low. He will invest $60,000 in the stock with the lowest relative risk and the remaining $20,000 in the stock with the second-lowest relative risk. Therefore, as per the given information, the expected return and standard deviation for the stocks are as follows:

Stock A: Expected Return - 8.00% ; Standard Deviation - 6.10%

Stock B: Expected Return - 15.0% ; Standard Deviation - 11.00%

Stock C: Expected Return - 12.0% ; Standard Deviation - 9.00%

Stock D: Expected Return - 9.00% ; Standard Deviation - 7.00%

Mr. Schrute is going to invest in stocks A and D. So, the expected return on this portfolio will be:

Expected Return = [($60,000/$80,000) × 8.00%] + [($20,000/$80,000) × 9.00%]

Expected Return = (3/4 × 8.00%) + (1/4 × 9.00%)

Expected Return = 6.00% + 2.25%

Expected Return = 8.25%

Hence, the expected rate of return on Mr. Schrute's Portfolio is 8.25%.Option B is the correct.

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Moving to another question will save this response Question 19 of 20 Question 19 5 points Save A Portfolio A is a well-diversified portfolio that is equally-weighted among 12.000 different and diverse

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A Portfolio A is a well-diversified portfolio that is equally-weighted among 12,000 different and diverse securities. This means that the portfolio is designed to reduce risk by investing in a wide range of different types of securities.

The term "diversification" refers to the practice of spreading your investments across different asset classes, sectors, and regions. This is done in order to reduce risk by ensuring that you are not overly exposed to any one particular area of the market. A portfolio that is well-diversified will have a mix of different types of investments, such as stocks, bonds, and real estate, as well as investments in different sectors of the economy, such as technology, healthcare, and energy.In addition, a well-diversified portfolio will also be equally-weighted, meaning that each security in the portfolio will have the same weight.

This ensures that the portfolio is not overly dependent on any one particular security, and that it is not overly exposed to any one particular area of the market.In general, a well-diversified portfolio is a good way to reduce risk and maximize returns over the long-term. By spreading your investments across different asset classes, sectors, and regions, you can ensure that your portfolio is well-positioned to weather market downturns and take advantage of opportunities when they arise.

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TRUE / FALSE. 13. Education Expenses. (Obj. 3) For each situation described in Parts a. through d., determine whether the taxpayer meets the criteria for the education expense deduction (True or F a. A self-employed accountant pays $525 for accounting courses to meet the state continuing professional (CPE) b. A CPA pays $3.500 for tuition and books for courses he is enrolled in law school. The courses count in meeting the state's CPE requirements. c. A high school teacher pays tuition of $2,700. The teacher is enrolled in graduate school and is taking classes in order to meet the state law requirements that will allow her renew her teaching certificate. d. A company executive pays $8,000 for tuition, books, and transportation to attend a executive MBA program to improve his business management and employee rela skills.

Answers

Where the above scenarios to tuition payment are given, the respective verdicts  are

a. True

b. False

c. True

d. False

How is this so?

a. True. The self-employed accountant's payment for accounting courses to meet CPE requirements qualifies for the education expense deduction.

b. False. The CPA's payment for law school tuition and books is not eligible for the deduction as it is unrelated to the current profession.

c. True. The high school teacher's tuition payment for graduate school to meet state law requirements is deductible.

d. False. The executive's payment for an executive MBA program does not qualify for the deduction.

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Net working capital is a measure of a company's: Multiple Choice goodwill. short-term liabilities. estimated cash reservoir. shareholders' equity. 1 01:13:34 Net working capital is a measure of a company's: Multiple Choice goodwill. short-term liabilities. estimated cash reservoir. shareholders' equity.

Answers

The main answer to the question is short-term liabilities. Net working capital is the difference between current assets and current liabilities. The calculation of net working capital is used to determine the liquidity position of a company. Shareholder equity, also known as stockholders' equity or shareholders' equity, refers to the residual interest in the assets of a company after deducting its liabilities. It represents the portion of a company's total assets that belongs to its shareholders or owners.

Explanation:Net working capital is the measure of a company's liquidity position and is calculated as the difference between current assets and current liabilities of a company. Current assets are those assets that can be easily converted into cash within one year or operating cycle, whichever is greater. Such assets include inventory, accounts receivables, prepaid expenses, and cash and cash equivalents.

Current liabilities are those obligations that are due within one year or the operating cycle of a company. These obligations include accounts payable, short-term notes payable, taxes payable, and accrued expenses.Net working capital measures a company's ability to meet its short-term obligations as they become due. It is an important financial measure that is closely watched by investors and creditors because it indicates the company's ability to operate and grow its business in the short run. If the net working capital is positive, it shows that the company has sufficient funds to meet its short-term obligations. However, if the net working capital is negative, it indicates that the company may not have enough liquidity to meet its short-term obligations.

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A home improvement store has an assembled kids playset on display. There
are no signs waming parents not to let their kids play on it. When a child
climbs on the playset, it collapses and the child breaks her wrist. The playset
was not assembled properly for use because it was only for display. Is the
home improvement store negligent?
A. Yes. The store has a duty of care to provide a safe environment
and not assembling the playset correctly or putting up warning
signs is a breach of duty. The breach caused the playset to
collapse and resulted in harm to the child.
O B. Yes. Home improvement stores are held to a higher standard of
care than other stores because they sell some dangerous items.
Even though a reasonable person wouldn't climb the playset, the
store is still negligent.
O C. No. Home improvement stores do not have a duty to ensure the
safety of their customers because they sell some dangerous
items. Without duty to the customer, the store cannot be negligent.
OD. No. The store is not in violation of a breach of duty because
customers should know never to climb on or use anything on
display in a store. Without breach of duty, the store is not
negligent

Answers

Answer:

a. yes. the store has a duty of care to provide a safe environment and not assembling the playset correctly or putting up a sign is a breach of duty. and it resulted in harm.

Explanation:

a p e x

25 words Os 2-3 marks Det FR Ap Oct Dec 2000 2001 Organic Market, a grocery store, porchased supplies for $12.000 cash on July 1, 2020. As of December 31, 2020, $7,000 had Page 19 been med and $5,000

Answers

The journal entries for the purchases of the supplies and the use of same supplies would be:

Date                         Account title                               Debits              Credits

July 1, 2020             Purchases                                 12, 000

                                 Cash                                                                   12, 000

Date                         Account title                               Debits              Credits

Dec. 31, 2020          Supplies expense                     7, 000

                                 Supplies                                                            7, 000

How to record the supplies ?

When the purchases were made, they would be reported to the purchases account which is debited for increases. The Cash account is credited to show a decrease.

The supplies expense at the end of the year is debited for the supplies used, from the supplies account.

The supplies left unused are:

= 12, 000 - 7, 000

= $ 5, 000

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Beluga Inc. issued 10-year bonds with a face value of $100,000 and a stated rate of 3% when the market rate was 4%. Interest was paid annually. The bonds were sold at 87.5. What was the sales price of the bonds? Were they issued at a discount, a premium, or at par?

Answers

Beluga Inc. issued 10-year bonds with a face value of $100,000 and a stated rate of 3% when the market rate was 4%. Interest was paid annually. The bonds were sold at 87.5, which means that the sales price was $87,500. The bonds were issued at a discount of $12,500.

The sales price of the bonds is calculated by multiplying the face value of the bonds by the subscription price. In this case, the face value of the bonds is $100,000 and the subscription price is 87.5, so the sales price is $87,500.

The bonds were issued at a discount because the subscription price was less than the face value of the bonds. This occurs when the market rate of interest is higher than the stated rate of interest on the bonds. Investors are willing to pay less for the bonds because they can earn a higher interest rate by investing in other bonds with a higher stated rate of interest.

The discount on the bonds will be amortized over the life of the bonds. This means that each year, a portion of the discount will be recognized as interest expense. The interest expense will reduce the company's net income and increase its taxable income.

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Responded to the question "Explain the concept of natural rights and social contract and whether or not you believe that exists in today's society. Your response should include 3-5 sentences explaining your concept of natural rights and social contract and its existence or non-existence in today’s society; and 3-5 sentences on whether or not you believe the Constitution and the Bill of Rights protect the life, liberty, and property of all Americans.
Responded to a minimum of two classmates. Responses to classmates must include a minimum of 3 sentences.
Any responses with less than the minimum requirement will receive ½ points

Answers

The concept of natural rights and social contract pertains to the basic human rights that every individual possesses and the agreement that individuals make to establish a society governed by laws that protect these rights.

Natural rights are inherent and inalienable, such as the right to life, liberty, and property, and exist independent of society. Social contract, on the other hand, is the agreement that individuals make to establish a society and surrender some of their natural rights to a government in exchange for the protection of their remaining rights.

In today's society, natural rights and social contract exist to some extent, but not all individuals are treated equally, and some individuals' natural rights are violated. Although the Constitution and the Bill of Rights were created to protect the life, liberty, and property of all Americans, not all individuals are guaranteed these rights due to systemic inequalities and discrimination. It is necessary to work towards creating a society where all individuals are treated equally and their natural rights are protected.

In response to my classmates, I agree with their points regarding the importance of natural rights and social contract in today's society. I also agree that the Constitution and the Bill of Rights are crucial in protecting the life, liberty, and property of all Americans. However, I believe that there is still a long way to go in terms of ensuring that all individuals are guaranteed these rights, and we must work towards creating a more just and equal society.

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The following list of items appear on the balance sheet of Crunched Auto Body Repair Shop, which has a 12-month operating cycle. Select the proper classification of each item as follows: C if it is a current liability, L if it is a non-current liability, or N if it is not a liability. Classification Item a. Wages payable. | b. Notes payable in 60 days. C. Mortgage payable (payments due in the next 12 months). d. Notes receivable in 90 days. e. Note payable (matures in 5 years). f. Mortgage payable (payments due after the next 12 months). g. Notes payable due in 18 months. Income taxes payable. Estimated warranty liability. j. Allowance for doubtful accounts.

Answers

It is not a liability but rather an adjustment to the asset accounts receivable.

Here's the classification of each item as requested:

Wages payable: C (Current liability) - Wages payable represents the amount owed by Crunched Auto Body Repair Shop to its employees for the work they have performed but haven't been paid yet. Since it is expected to be settled within the operating cycle of 12 months, it is classified as a current liability.

Notes payable in 60 days: C (Current liability) - Notes payable in 60 days refers to the amount Crunched Auto Body Repair Shop owes to creditors that is due within the next 60 days. Since it falls within the operating cycle of 12 months, it is considered a current liability.

Mortgage payable (payments due in the next 12 months): C (Current liability) - Mortgage payable refers to the portion of the mortgage debt that needs to be paid within the next 12 months. Since it is due within the operating cycle, it is classified as a current liability.

Notes receivable in 90 days: N (Not a liability) - Notes receivable represents the amount Crunched Auto Body Repair Shop expects to receive from other parties within 90 days. It is an asset, not a liability.

Note payable (matures in 5 years): L (Non-current liability) - Note payable that matures in 5 years represents a long-term obligation of Crunched Auto Body Repair Shop. As it extends beyond the operating cycle, it is classified as a non-current liability.

Mortgage payable (payments due after the next 12 months): L (Non-current liability) - Mortgage payable refers to the portion of the mortgage debt that is due after the next 12 months. Since it extends beyond the operating cycle, it is considered a non-current liability.

Notes payable due in 18 months: L (Non-current liability) - Notes payable due in 18 months represents a long-term obligation of Crunched Auto Body Repair Shop. As it extends beyond the operating cycle, it is classified as a non-current liability.

Income taxes payable: C (Current liability) - Income taxes payable represents the amount Crunched Auto Body Repair Shop owes to the tax authorities for income taxes incurred but not yet paid. It is expected to be settled within the operating cycle, making it a current liability.

Estimated warranty liability: C (Current liability) - Estimated warranty liability refers to the amount that Crunched Auto Body Repair Shop expects to incur in fulfilling warranty obligations for its products. Since it is expected to be settled within the operating cycle, it is classified as a current liability.

Allowance for doubtful accounts: N (Not a liability) - Allowance for doubtful accounts is a contra-asset account that is used to estimate the portion of accounts receivable that may not be collectible.

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in areas where entities provide both water and sewage services, having a separate meter for irrigation water will result in an overall lower bill.

Answers

Having a separate meter for irrigation water in areas where entities provide both water and sewage services can potentially result in an overall lower bill.

It is because the cost of sewage treatment is often based on the volume of water consumed. By using a separate meter for irrigation water, which is typically not treated as sewage, customers can avoid paying sewage charges on that portion of their water usage. Irrigation water is usually used for outdoor purposes such as watering lawns, gardens, or agricultural fields.

Since this water does not enter the sewage system, it doesn't require treatment, and separating it from the regular water supply can lead to cost savings. The metering system allows for a more accurate measurement of the water used specifically for irrigation, enabling customers to be billed accordingly. By having a separate meter for irrigation water, customers can track and control their usage more effectively, potentially leading to water conservation efforts.

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A change from Point B to Point C represents a(n): B E Price D Quantity O decrease in supply. O increase in quantity supplied. O increase in supply. O decrease in quantity supplied. 52 50

Answers

A change from Point B to Point C represents an increase in supply.

An increase in supply occurs when the quantity of goods and services that producers are willing to offer at a given price point increases. As a result, the supply curve shifts to the right in the diagram, indicating an increase in supply. This happens as a result of factors that influence the cost of production, including technological advances, lower input prices, and higher profit margins.An increase in supply results in lower prices and higher quantities. When supply rises, the equilibrium point shifts down and to the right, indicating a new, lower price and a greater quantity demanded. This new price and quantity level provide a new equilibrium point, indicating the point at which the market can effectively clear the supply and demand of the item.

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1. Pre-Course Diagnostic: Pronoun Case and Reference The following questions will test your knowledge of pronouns. Answer the questions to review what you have just learned. Identify the correct nominative pronoun for the antecedent Microsoft Corporation. Them It They Identify the correct objective pronoun for the antecedent work groups. Its They Them Identify the correct objective pronoun for the antecedent the director of marketing and the development director. Them Their They Choose the best option to complete each of the following sentences. The last day for applicants to submit forms is Monday of next week. Without increasing employee out-of-pocket expenses, the firm was able to offer extended dental coverage. pleased the employees. Did Nathan indicate that he and had completed the proposal? The advisory board released recommendations regarding the expansion plan.

Answers

The advisory board's recommendations are the culmination of a rigorous assessment process and provide valuable guidance for the organization's expansion.

The advisory board, consisting of experienced professionals in relevant fields, diligently worked on analyzing various aspects of the expansion plan and formulating recommendations to guide the organization's future steps.

These recommendations were the result of comprehensive discussions and careful consideration of the potential implications and benefits associated with the proposed expansion.

Through thorough research and analysis, the advisory board examined market trends, customer needs, and the organization's internal capabilities.

They sought to identify opportunities for growth and competitive advantage while also assessing potential risks and challenges. By drawing on their collective expertise, the board members provided valuable insights and strategic guidance to help the organization make informed decisions.

The recommendations offered by the advisory board are intended to serve as a roadmap for the organization's expansion efforts. They highlight key areas of focus, outline suggested action plans, and provide clear objectives to strive for.

The board's aim is to ensure that the expansion plan aligns with the organization's overall mission, vision, and values, while also considering the interests of various stakeholders.

The advisory board's release of these recommendations marks an important milestone in the expansion planning process. It signifies the completion of a comprehensive evaluation and serves as a foundation for future decision-making and implementation.

The organization's leadership and stakeholders will now carefully review and consider the recommendations, weighing their merits and potential impact on the organization's short-term and long-term goals.

In conclusion, the advisory board's recommendations are the culmination of a rigorous assessment process and provide valuable guidance for the organization's expansion.

The released recommendations will inform strategic decision-making and help shape the organization's future trajectory as it strives to achieve sustainable growth and success.

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Which of the following statements is True about the capital allocation process? OA OB. Promotes productivity. OC. Encourages innovation. O.D. Provides timely, relevant information and encourages innovation.

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The correct answer among the following statements that are true about the capital allocation process is that it provides timely, relevant information and encourages innovation.

The capital allocation process refers to the way companies determine how to invest their available capital in various projects, divisions, or assets. The capital allocation process of a company should be optimized so that the maximum value for the shareholders can be delivered by balancing the expected returns of the different investment opportunities that are available to the company.

The capital allocation process provides timely, relevant information and encourages innovation. By investing resources and capital in a variety of initiatives and projects, companies can promote productivity, provide greater job opportunities, and encourage innovation.

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stephen and joy own a duplex in newport beach, ca. they live in one unit and rent the other to another couple. their rental income for the year was $24,000. they incurred the following expenses for the entire duplex: insurance $ 8,000 maintenance 800 utilities 1,800 depreciation 4,000 what amount of net income from the duplex should stephen and joy report for the current year? multiple choice $7,300 $24,000 $16,700 $9,400

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Stephen and Joy own a duplex in Newport Beach, California. They live in one unit and rent the other to another couple. Their rental income for the year was $24,000.

They incurred the following expenses for the entire duplex: insurance $8,000, maintenance $800, utilities $1,800, and depreciation $4,000. What amount of net income from the duplex should Stephen and Joy report for the current year?The income from rent that Stephen and Joy have earned is $24,000.

The expenses are as follows:Insurance $8,000Maintenance $800Utilities $1,800Depreciation $4,000Total expenses: $8,000 + $800 + $1,800 + $4,000 = $14,600The net income for Stephen and Joy from the duplex for the current year is the income earned minus expenses incurred. Therefore,Net income = $24,000 - $14,600Net income = $9,400Thus, the net income that Stephen and Joy should report for the current year is $9,400. Answer: $9,400

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PLZZZZZ HEELLPP FASST

Why is the stock market not always a good indicator of economic health?

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One of the main reasons that stocks do not reflect the health of the economy most of us experience is the rise of stock buybacks. Companies often push stocks higher, partly and arguably, to raise the value of the stock options of their management by buying them on the open market.

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On January 4, Year 1, Ferguson Company purchased 72,000 shares of Silva Company directly from one of the founders for a price of $55 per share. Silva has 200,000 shares outstanding, including the Daniels shares. On July 2, Year 1, Silva paid $176,000 in total dividends to its shareholders.

Required:
Provide the Ferguson Company journal entries for the transactions involving its investment in Silva Company during Year 1.

Answers

Jan. 4, Year 1: Credit Cash $3,960,000; Debit Investment in Silva Company $3,960,000; July 2, Year 1: Debit Dividend Receivable $140,000; Credit Investment in Silva Company $3,960,000.

What are the journal entries during the first year of the Ferguson Company's investment in Silva Company?

At a cost of $55 per share on January 4, Year 1, Ferguson Company paid one of the founders personally for 72,000 shares of Silva Company. Calculating the cost of the investment as 72,000 shares times $55 yields $3,960,000 as the total cost of the investment. The acquisition of the shares is noted in the journal entry, which credits the Cash account and debits the Investment in Silva Company account.

Year 1 Silva Company distributed a total of $176,000 in dividends to its shareholders on July 2. to document the Ferguson Company.

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A company that uses job order costing incurred a monthly factory payroll of $200,500. Of this amount. $60,000 is indirect labor and $140,500 is direct labor Prepare journal entries to record the (a) use of direct labor and (b) use of indirect labor.

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(a) Journal entry to record the use of direct labor:

Date: [Date of Entry]

Direct Labor Expense $140,500

Payroll Payable $140,500

This journal entry recognizes the use of direct labor in the production process. Direct labor is an essential component of job order costing, as it directly contributes to the creation of specific products or jobs. The Direct Labor Expense account is debited to reflect the increase in labor costs, and the Payroll Payable account is credited to show the liability to pay the employees.

(b) Journal entry to record the use of indirect labor:

Date: [Date of Entry]

Indirect Labor Expense $60,000

Payroll Payable $60,000

This journal entry records the use of indirect labor in the production process. Indirect labor includes the wages of employees who are not directly involved in the manufacturing of specific products but still contribute to the overall operations of the company. The Indirect Labor Expense account is debited to recognize the increase in indirect labor costs, and the Payroll Payable account is credited to indicate the liability for payment.

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Which of the following considerations might guide your decision regarding whether to copy Starbucks or sell coffee in a completely different way
a. Regardless of whether you try to replicate Starbucks' style, it is necessary to differentiate with respect to quality and location. b. Copying Starbucks means that your product is undifferentiated with respect to style and quality, so market power would be impossible to obtain, regardless of location. c. Differentiation with respect to quality is necessary to gain market power, but the additional cost of doing so in the premium coffee market will exceed the additional profits gained. d. It is possible to copy Starbucks and still have some market power, but it would require a careful selection of location. e. Differentiation with respect to style and quality is impossible in a market this saturated-consumers will not be able to discern a significant difference between your coffee and your competitors' coffee

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Regardless of whether you try to replicate Starbucks' style, it is necessary to differentiate with respect to quality and location, might guide your decision regarding whether to copy Starbucks or sell coffee in a completely different way. Option A is the correct answer.

Two crucial factors that may be utilized to distinguish an entity's product, particularly in a crowded market, are the quality and location of the product. A quality is always specific to the people concerned. While some aspects of quality can be imitated, quality itself cannot be entirely imitated. A company's physical location guarantees the success of its differentiating strategy. Option A is the correct answer.

Positioning and differentiation are closely connected. Differentiation is a strategy used by businesses to make their goods and services stand out from those of their rivals and offer their customers something special. Differentiation refers to a set of qualities and advantages that help a product stand out and be better for a target market.

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How a mixed method of research could help with wedding planning industry to create a marketing program?

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By combining qualitative and quantitative research methods, a mixed method approach could help the wedding planning industry create a more targeted and effective marketing program.

A mixed method of research, combining qualitative and quantitative approaches, can be highly valuable for the wedding planning industry when creating a marketing program.

Qualitative research methods, such as interviews or focus groups, can provide in-depth insights into the needs, preferences, and expectations of couples planning their weddings. This qualitative data can uncover underlying motivations, emotions, and specific pain points that couples experience during the wedding planning process.

On the other hand, quantitative research methods, such as surveys or data analysis, can provide numerical data and statistical insights into broader trends, market segments, and customer preferences. This quantitative data can help identify key demographics, market sizes, spending patterns, and preferences related to wedding planning.

By combining both qualitative and quantitative research methods, wedding planning businesses can gain a comprehensive understanding of their target market.

Qualitative research can generate rich, nuanced insights into couples' experiences, desires, and pain points, allowing for the development of tailored marketing strategies that resonate with their emotions and needs.

Quantitative research, on the other hand, can provide data-driven insights into the broader market landscape, allowing for effective segmentation and targeting of specific market segments.

The mixed method approach enables businesses in the wedding planning industry to create a more well-rounded marketing program. It allows them to make informed decisions, develop targeted messages, and allocate resources effectively.

By leveraging qualitative and quantitative research together, businesses can optimize their marketing efforts, increase customer satisfaction, and ultimately attract and retain more clients in the highly competitive wedding planning industry.

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Which of the following best describes the role of central clearing parties
a. CCPs help market participants to value derivative transactions
b. CCPs perform a similar function to exchange clearing houses
c. CCPs are used to manage price risk of futures transactions
d. CCPs services are used in all OTC derivative transactions

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The best description of the role of central clearing parties (CCPs) is CCPs perform a similar function to exchange clearing houses. The correct option is b.

Similar to exchange clearing houses, CCPs serve as intermediaries in the financial markets. Particularly in over-the-counter (OTC) derivative transactions, they make clearing and settlement of trades easier. By acting as a buyer to every seller and a seller to every buyer, CCPs effectively take on the role of the central counterparty for all trades and reduce counterparty risk.

They guarantee accurate matching, verification, and settlement of all transactions, lowering the risk of default and enhancing market stability. By enforcing risk management protocols and collateral requirements. CCPs additionally play a significant part in preserving the reliability and effectiveness of the financial markets. The correct option is b.

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The 2020 annual report of Sage Hill Inc. contains the following information (in thousands):
Dec. 31, 2020 Dec. 31, 2019
Total assets $1,091,348 $807,167
Total liabilities 629,378 410.044
Consolidated sales 3,774,463 2,447,492
Net income 84.234 55,062
(a) Calculate the following ratios for Sage Hill Inc. for 2020: (Round answers to 2 decimal places, e.g. 52.75.)
1. Asset turnover ratio _____ times
2. Rate of return on assets _____ %
3. Profit margin on sales ______%

Answers

The 2020 annual report of Sage Hill Inc. contains the following information (in thousands):

Dec. 31, 2020 Dec. 31, 2019

Total assets $1,091,348 $807,167

Total liabilities 629,378 410.044

Consolidated sales 3,774,463 2,447,492

Net income 84.234 55,062

To calculate the requested ratios for Sage Hill Inc. for 2020.

we will use the given information:

Total assets (Dec. 31, 2020): $1,091,348,000

Consolidated sales: $3,774,463,000

Net income: $84,234,000

Asset Turnover Ratio:

Asset Turnover Ratio = Consolidated Sales / Total Asset

Asset Turnover Ratio = $3,774,463,000 / $1,091,348,000

Asset Turnover Ratio = 3.46 times

Rate of Return on Assets:

Rate of Return on Assets = (Net Income / Total Assets) * 100

Rate of Return on Assets = ($84,234,000 / $1,091,348,000) * 100

Rate of Return on Assets = 7.71%

Profit Margin on Sales:

Profit Margin on Sales = (Net Income / Consolidated Sales) * 100

Profit Margin on Sales = ($84,234,000 / $3,774,463,000) * 100

Profit Margin on Sales = 2.23%

Therefore, asset turnover ratio is 3.46 times, rate of return on assets are 7.71% and profit margin on sales are 2.23%

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hour, 54 minutes, 47 seconds. Completion Status Moving to another question will save this response stion 16 5 points Astock had returns of 25%, 12% and 48% in each of the past three years. Over the past four years, the arithmetic average annual return for the stock was 23.00. What was the geometric return for the stock over the past four years? Note that individual stock returns are only given for each of the past three years, but that the question asks about the geometric return over the past four years 35% (plus or minus 002 percentage points) O2085% por minus 002 percentage points) 30.00% plus or minus 0.02 percentage points) 175% or minus 500 percentage point None of the above is within 60 percentage ports of the Question 16 of 20 Question 16 of 20

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The arithmetic average of annual returns for the stock is given by:$$\frac{25+12+48+x}{4} = 23$$Where x is the unknown geometric average return for the stock over the past four years.Rearranging the equation, we have:$x=22.48$

Thus, the geometric return for the stock over the past four years is 22.48%. The geometric return for the stock over the past four years is 22.48%. The geometric mean return (also known as the compound annual growth rate or CAGR) is the average return for a period of time, taking into account the effect of compounding. The formula for calculating the geometric mean return is as follows:GM = [(1+r1) * (1+r2) * (1+r3) * ... * (1+rn)]^(1/n) - 1Where r1, r2, r3, ..., rn are the returns for each period and n is the number of periods.

For this question, we are given the returns for the past three years (25%, 12%, and 48%), but we are asked to find the geometric mean return for the past four years. To do this, we can use the arithmetic mean return and the formula for finding the fourth return that would give the same arithmetic mean as the three given returns. The arithmetic mean return is the sum of the returns divided by the number of returns:AR = (25% + 12% + 48%) / 3 = 28.33%To find the fourth return that would give an arithmetic mean of 28.33% over four years, we use the following formula:x = (AR * 4) - (r1 + r2 + r3)where x is the fourth return and r1, r2, and r3 are the returns for the past three years:$$x=(28.33 * 4) - (25 + 12 + 48)$$Simplifying:$x=113.32 - 85 = 28.32$Now we have all four returns: 25%, 12%, 48%, and 28.32%. We can use the formula for the geometric mean return to find the average return over the four years:$$GM=[(1+0.25)(1+0.12)(1+0.48)(1+0.2832)]^(1/4) - 1$$Simplifying:$$GM=[1.6175]^(1/4) - 1 = 0.0565 = 5.65\%$$Therefore, the geometric return for the stock over the past four years is 5.65%. However, this answer is not one of the options provided, so we must round to the nearest answer. The closest answer is 22.48%, which is within 60 percentage points of our calculated value.

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the following information pertains to eagle co.'s current year sales: cash sales gross $80,000 returns and allowance 4,000 credit sales gross $120,000 discounts 6,000on january 1 of the current year customers owed eagle $40,000. on december 31, customers owed eagle $30,000. eagle uses the direct write-off method for bad debts. no bad debts were recorded in the year. under the cash basis of accounting, what amount of net revenue should eagle report for the current year?

Answers

Net revenue is determined using the cash basis of accounting, which subtracts returns and allowances from gross cash sales. Under the cash basis, credit sales and discounts are not accounted for when calculating net revenue.

What is Net Revenue?

Given the information provided:

Cash sales gross: $80,000

Returns and allowance: $4,000

Subtract the returns and allowances from the total cash sales to determine the net revenue for the current year:

Net revenue = Gross cash sales - Returns and allowance

Net revenue = $80,000 - $4,000

Net revenue = $76,000

Therefore, Eagle Co. should report a net revenue of $76,000 for the current year under the cash basis of accounting.

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if we plot capital on the vertical axix and labour on
the horizontal axis, the slope of a straight line isocost drawn on
such graph is

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The slope of a straight line isocost represents the relative cost of capital and labor.

The slope of a straight line isocost drawn on a graph with capital on the vertical axis and labor on the horizontal axis represents the relative cost of capital and labor. The formula to calculate the slope of an isocost line is:

Slope = - (Cost of Capital / Cost of Labor)

The negative sign is used because the slope is downward sloping from left to right on the graph.

The slope of the isocost line indicates the rate at which the firm can substitute capital for labor while keeping the total cost constant. A steeper slope indicates a higher relative cost of capital compared to labor, meaning the firm would prefer to use more labor than capital to minimize costs. A flatter slope indicates a higher relative cost of labor compared to capital, implying the firm would prefer to use more capital than labor.

In summary, the slope of a straight line isocost represents the relative cost of capital and labor and determines the optimal combination of inputs for a firm to produce a given level of output.

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