When establishing a Community Emergency Response Team (CERT), the CERT sponsor should coordinate with local, regional, and state emergency managers to integrate with emergency management. Here option C is the correct answer.
CERTs are community-based organizations designed to help communities respond to and recover from disasters or emergencies. The coordination between CERTs and emergency management agencies is essential to ensure that the CERTs are operating in a coordinated and integrated manner with the emergency management system.
Local, regional, and state emergency managers are responsible for coordinating the overall response to disasters and emergencies in their respective areas. They have the experience, expertise, and resources to effectively manage the response to an emergency.
By coordinating with these emergency managers, the CERT sponsor can ensure that their team is integrated into the emergency management system and is operating in a manner that is consistent with the overall response plan. This coordination will also help the CERT to access resources and support from emergency management agencies if needed during a response.
To learn more about Community Emergency Response Team
https://brainly.com/question/14456657
#SPJ4
two sisters dresses has net working capital of $43,800, net fixed assets of $232,400, net income of $43,900, and current liabilities of $51,300. the tax rate is 21 percent and the profit margin is 9.3 percent. how many dollars of sales are generated from every $1 in total assets?
For every $1 in total assets, Two Sisters Dresses generates $0.159 in sales
We can use the DuPont equation to calculate the return on assets (ROA), which will tell us how many dollars of sales are generated from every $1 in total assets:
ROA = Net income / Total assets
Total assets = Net working capital + Net fixed assets
First, we can calculate the net income:
Net income = Profit margin x Sales
Sales = Net income / Profit margin = $43,900 / 0.093 = $471,505.38
Next, we can calculate the total assets:
Total assets = Net working capital + Net fixed assets = $43,800 + $232,400 = $276,200
Finally, we can calculate the ROA:
ROA = Net income / Total assets = $43,900 / $276,200 = 0.159
Therefore, for every $1 in total assets, Two Sisters Dresses generates $0.159 in sales
Learn more about “ total assets “ visit here;
https://brainly.com/question/28202066
#SPJ4
studies on a machine that molds plastic water pipes indicate that when it is injecting 1-inch diameter pipes, its standard deviation is 0.02 inches. the one-inch pipe has a specification of 1-inch plus or minus 0.05 inch. what is the process capability index, cp?
The process capability index for the machine that molds plastic water pipes is 0.83 when it is injecting 1-inch diameter pipes.
Diameter of pipes = 1-inch
Standard deviation = 0.02 inches
Specification = +1 inch or -0.05 inch
The process capability index is a measurement of how well a method can satisfy the specifications of the effect being created. It is computed as the percentage of the patient width to the cycle variability.
The process capability index is calculated by using the formula:
cp = (USL - LSL) / (6 x standard deviation)
cp = (1.05 - 0.95) / (6 x 0.02)
cp = 0.10 / 0.12
cp = 0.83
Therefore, we can conclude that the process capability index for the machine that molds plastic water pipes is 0.83 when it is injecting 1-inch diameter pipes.
To learn more about the capability index
https://brainly.com/question/24322347
#SPJ4
the chip makers union would like digital, inc. to require union membership of its job applicants as a condition to obtaining employment. this is group of answer choices illegal only in states that have right-to-work laws. illegal in all states. legal only in states that have right-to-work laws. legal in all states.
The chip makers union would like digital, inc. to require union membership of its job applicants. This is illegal only in states that have right-to-work laws. So, correct option is A.
The legality of requiring union membership as a condition of employment depends on the specific state and federal laws that apply to the situation.
In general, the National Labor Relations Act (NLRA) protects the right of employees to join or not join a union, and it is illegal for employers to discriminate against employees based on their union membership or activities.
However, the NLRA does allow for "union security clauses" in collective bargaining agreements, which can require employees to join the union or pay union fees as a condition of employment.
Some states have passed "right-to-work" laws that prohibit union security clauses and make it illegal for employers to require union membership as a condition of employment.
However, not all states have these laws, and in states without right-to-work laws, it may be legal for unions to request that employers require union membership as a condition of employment. Ultimately, the legality of the union's request in this scenario would depend on the specific laws in the state where Digital, Inc. operates.
Therefore, correct option is A.
To learn more about employment click on,
https://brainly.com/question/29551656
#SPJ4
when first exploring the time-cost trade-off of a project, costs should be considered first along with direct resource costs. a. penalty b. overhead/indirect c. discounting d. bonus
When first exploring the time-cost trade-off of a project, costs should be considered first along with direct resource costs is overhead/indirect. So, the correct option is (b).
When exploring the time-cost trade-off of a project, it is important to consider both direct resource costs and indirect costs, which are commonly referred to as overhead costs. These costs include items such as rent, utilities, and administrative expenses that cannot be attributed to a specific project task.
By considering both direct and indirect costs, project managers can make informed decisions about how to allocate resources and adjust project timelines to optimize the project's cost and schedule performance. So, the correct answer is B).
To know more about resource costs:
https://brainly.com/question/28603328
#SPJ4
if the cpi was 110 this year and 100 last year, then question 7 options: the cost of the cpi basket of goods and services increased by 10 percent this year. the price level increased by 110 percent this year. the inflation rate for this year was 10 percent higher than the inflation rate for last year. all of the above are correct.
The price of the cpi basket of products and services rose by 10% this year if the cpi was 110 this year compared to 100 last year. Here option A is the correct answer.
The Consumer Price Index (CPI) measures the average change over time in the prices paid by urban consumers for a market basket of consumer goods and services. If the CPI was 100 last year and 110 this year, it means that the cost of the basket of goods and services has increased by 10 percent from last year to this year. This increase is also known as the inflation rate for this year.
Option B is incorrect because it suggests that the price level increased by 110 percent this year, which is not true. The price level increased by 10 percent, not 110 percent.
Option C is also incorrect because it suggests that the inflation rate for this year was 10 percent higher than the inflation rate for last year. The statement is comparing two different inflation rates, but we only have information about one inflation rate (this year’s).
To learn more about cpi basket
https://brainly.com/question/8166337
#SPJ4
Complete question:
If the cpi was 110 this year and 100 last year, then question 7 options:
A - the cost of the cpi basket of goods and services increased by 10 percent this year.
B - the price level increased by 110 percent this year.
C - the inflation rate for this year was 10 percent higher than the inflation rate for last year.
D - all of the above are correct.
which of the following statements regarding an immediate annuity is not correct? a)an immediate annuity is funded with a single payment. b)an immediate annuity has a long accumulation period. c)an immediate annuity must make its first payment within 12 months from the purchase date. d)a single premium immediate annuity is designed to make its first benefit payment to the annuitant at the first payment after a delay of 1 payment interval from the date of purchase.
The statements regarding an immediate annuity is not correct is option (b) an immediate annuity has a long accumulation period.
The statement that is not correct regarding an immediate annuity is b) an immediate annuity has a long accumulation period. An immediate annuity does not have an accumulation period as it is funded with a single payment, and the payments begin immediately, typically within 12 months of purchase.
An immediate annuity is designed to provide regular income payments to the annuitant for a specified period or for the rest of their life. The statement that a single premium immediate annuity is designed to make its first benefit payment to the annuitant at the first payment after a delay of 1 payment interval from the date of purchase (d) is correct.
Therefore, the correct option is (b) an immediate annuity has a long accumulation period.
Learn more about immediate annuity here
brainly.com/question/10503694
#SPJ4
the amount reported for fixed manufacturing overhead on the static budget is the same as the amount reported for fixed manufacturing overhead on the static budget is the same as allocated fixed overhead costs. actual fixed costs. total variable costs. flexible-budget fixed costs.
The amount reported for fixed manufacturing overhead on the static budget is the same as the amount reported for flexible-budget fixed costs.
A static budget is a projection of expected costs and revenues based on a single, predetermined level of activity. It is typically created at the beginning of a period and does not change as the actual level of activity changes.
Fixed manufacturing overhead costs are those that do not vary with changes in the level of activity, such as rent and property taxes. These costs are included in the static budget and do not change as the level of activity changes.
A flexible budget, on the other hand, adjusts for changes in the level of activity. The flexible-budget fixed costs include the fixed manufacturing overhead costs that are expected to be incurred at the actual level of activity.
Therefore, the amount reported for fixed manufacturing overhead on the static budget is the same as the amount reported for flexible-budget fixed costs, but it is not the same as the actual fixed costs or the total variable costs.
Learn more about Static Budget :
https://brainly.com/question/27426308
#SPJ4
the main disadvantage of using a franchising strategy to pursue opportunities in foreign markets is multiple choice maintaining quality control. diverting company resources from the daily business. paying taxes and tariffs in order to be able to enter. bearing costs and risks of foreign establishments. giving up autonomy and profit.
The main disadvantage of using a franchising strategy to pursue opportunities in foreign markets is giving up autonomy and profit.
When a company uses a franchising strategy, it gives up control over certain aspects of its operations to the franchisee, including the ability to make decisions about how products and services are marketed and sold. This can lead to a loss of brand identity and a decrease in overall profitability. Additionally, the franchisor may need to provide significant training and support to the franchisee in order to maintain quality control, which can be costly and divert resources from the company's daily operations. While paying taxes and tariffs and bearing the costs and risks of foreign establishments are also potential disadvantages of pursuing opportunities in foreign markets, they are not specific to the franchising strategy.To know more about franchising
https://brainly.com/question/28535645
#SPJ4
which of the following statements is true in the context of the bcg growth-share matrix? stars often need heavy investment to finance their rapid growth in a market. the positions of sbus in the growth-share matrix rarely change over time. the income from one sbu cannot be used to support other business units. dogs promise to be large sources of cash. cash cows typically turn into stars.
In the context of the BCG growth-share matrix, the following statement is true: Stars often need heavy investment to finance their rapid growth in a market.
What is the BCG growth-share matrix? The BCG Growth-Share Matrix is a portfolio planning model that assists a company to identify its products or strategic business units on the basis of its potential growth rate and relative market share. This matrix allows a firm to develop its product or service offerings and take advantage of market growth opportunities.
The four quadrants of the BCG matrix are Cash Cow, Star, Dog, and Question mark. Each quadrant represents a different strategic business unit (SBU) type, and each type is defined by its growth rate and market share. Stars often need heavy investment to finance their rapid growth in a market. This is true in the context of the BCG growth-share matrix.
The positions of SBUs in the growth-share matrix can change over time based on factors such as market conditions and changes in relative market share. Income from one SBU can be used to support other business units. Dogs do not promise to be large sources of cash. Cash cows are known for generating a high level of cash, not for turning into stars.
To know more about BCG growth-share matrix refer here:
https://brainly.com/question/28477229#
#SPJ11
which of the following loans will likely be available to pay for college expenses for the children of parents with an adverse credit history and high debt-to-income ratio? 1. parent plus loan. 2. heloc. 3. life insurance cash value loan. 4. 401(k) loan. a)1 and 2. b)1 and 3. c)3 and 4. d)1, 2, 3, and 4.
The loan likely to be available to pay for college expenses for the children of parents with an adverse credit history is a)1 and 2. Parent plus and Heloc.
A loan occurs when one party pledges to repay another party's money with interest. Regardless of their credit background, parents of dependent college students may qualify for Parent PLUS loans, which are government loans. Parents may borrow up to the full cost of attendance, less any other financial assistance obtained, with a set interest rate on these loans.
The house equity lines of credit, or HELOCs, are a form of loan where the borrower's house wealth is used as security. They can be applied to many different costs, including education costs. Some people might have access to life insurance cash value loans and 401(k) loans, but they might not be the greatest option for covering education costs.
Read more about loan on:
https://brainly.com/question/20688650
#SPJ4
a local krispy kreme doughnut shop reduced its prices by 10 percent, and as a result, the quantity of doughnuts sold increased by 25 percent. over this range, the absolute value of the price elasticity of demand was group of answer choices 2.5, making the good elastic 2.5, making the good inelastic 0.4, making the good elastic 0.4, making the good inelastic
The absolute value of the price elasticity of demand is greater than 1, the good is considered elastic, which means that the percentage change in quantity demanded is greater than the percentage change in price. Therefore, option A is the correct answer: making the good elastic 2.5.
A local Krispy Kreme doughnut shop reduced its prices by 10 percent and as a result, the quantity of doughnuts sold increased by 25 percent. Over this range, the absolute value of the price elasticity of demand was 2.5, making the good elastic.The formula for calculating price elasticity of demand is:Price elasticity of demand = (percentage change in quantity demanded) / (percentage change in price)
In this scenario, the percentage change in price is 10%, and the percentage change in quantity demanded is 25%.So, the price elasticity of demand is: Price elasticity of demand = 25% / 10% = 2.5Since the absolute value of the price elasticity of demand is greater than 1, the good is considered elastic, which means that the percentage change in quantity demanded is greater than the percentage change in price. Therefore, option A is the correct answer: making the good elastic 2.5.
For more such question on price visit:
https://brainly.com/question/28479908
#SPJ11
a(n) helps new recruits integrate, assimilate, and transition to new jobs by making them familiar with corporate policies, procedures, culture, and politics and by clarifying work-role expectations and responsibilities.
An orientation programs helps new recruits integrate, assimilate, and transition to new jobs by making them familiar with corporate policies, procedures, culture, and politics and by clarifying work-role expectations and responsibilities.
About orientation programThis program is usually conducted by human resource departments, and may include a combination of informational sessions, training sessions, and social activities designed to help new employees feel more comfortable in their new role.
The program familiarizes the employees and students with the duties and benefits that spars from the foreseeable engagement. The newbies receive an overview regarding the institution — its history, products and services, organizational structure, and important rules, policies, and procedures that they need to know about.
Learn more about orientation programs at
https://brainly.com/question/14097370
#SPJ11
which of the following statements is true? economists believe that marginal tax rates have a greater influence on behavior than average tax rates. economists believe that neither marginal nor average tax rates have any influence on behavior. economists believe that average tax rates have a greater influence on behavior than marginal tax rates. economists believe that marginal and average tax rates influence behavior to the same extent.
The statement that is true is "economists believe that marginal tax rates have a greater influence on behavior than average tax rates." So, correct option is A.
Marginal tax rates refer to the tax rate applied to an additional dollar of income, while average tax rates refer to the total tax paid as a percentage of total income. Economists generally agree that marginal tax rates have a more significant impact on behavior than average tax rates.
This is because individuals make decisions based on the additional benefit or cost of their choices, known as marginal benefits and marginal costs.
When marginal tax rates are high, individuals may be less motivated to work additional hours or seek higher-paying jobs, as the additional income will be taxed at a higher rate, reducing the marginal benefit of working more.
Conversely, lower marginal tax rates can incentivize individuals to work more, increasing their income and overall economic output.
On the other hand, average tax rates are less influential in individual behavior because they reflect the total tax paid over a range of income levels, rather than the additional tax paid on each additional dollar of income.
Overall, economists generally agree that marginal tax rates have a more significant influence on behavior than average tax rates.
So, correct option is A.
To learn more about economists click on,
https://brainly.com/question/28900469
#SPJ4
during a swot analysis, sweet treats identifies a growing number of local businesses now offering bakery items to customers. this finding would be characterized as a(n)
During a SWOT analysis, the finding that there is a growing number of local businesses offering bakery items to customers would be characterized as a threat to Sweet Treats' business.
An increasing number of local companies providing bakery items to customers would be identified as a danger to Sweet Treats' company during a SWOT analysis. This means that greater market rivalry may result in a loss of market share or a decrease in income for Sweet Treats.
To attract and keep customers, the company may need to explore methods to differentiate itself from rivals or offer unique goods or services. Sweet Treats could also consider collaborating with other companies to gain a competitive edge or expanding into new markets to increase its client base.
Learn more about SWOT analysis:
https://brainly.com/question/25066799
#SPJ4
under what conditions are both capacity planning using overall factors (cpof) and capacity bills likely to return the same same capacity requirement results? question 5 options: when planning a single product when planning a single work center when planning for a single product that is product in a single work center the two methods will never return the same results
Both capacity planning using overall factors (CPOF) and capacity bills are likely to return the same capacity requirement results "when planning a single product that is produced in a single work center" (Option A).
Capacity planning is the procedure of determining the production capacity required by an organization to fulfill the demands of its customers. It entails analyzing and evaluating the organization's present and future business demands and operational capacity. Capacity planning enables the organization to make informed choices about whether to expand or shrink its capacity, such as investing in new technology, acquiring new equipment, or hiring additional staff.
Thus, option A is the correct answer.
You can learn more about capacity planning at
https://brainly.com/question/13484626
#SPJ11
what do we all the board members who are part of a company senior management team appointed by shareholdrs to provid management team
All members who are part of a company senior management team appointed by shareholders are responsible for providing management and leadership to the organization.
Senior management team members, who are appointed by shareholders, are responsible for overseeing and directing the overall strategy, operations, and performance of the organization. They are responsible for setting goals and objectives for the company, as well as implementing policies and procedures to achieve those goals.
They are also responsible for ensuring that the company is complying with all relevant laws and regulations, and for managing risk and ensuring the long-term sustainability of the organization.
-------The given question is incomplete, the complete question is:
"What do all members who are part of a company senior management team appointed by shareholders to provide?"--------
To know more about management , click here.
https://brainly.com/question/29023210
#SPJ4
which alternative should be selected using incremental rate of return analysis, if marr = 10.0%? do-nothing a b c d first cost 0 $6,000 $3,500 $9,500 $3,000 annual benefit 0 1,040 711 1,821 447 life 10 yrs ror 11.5% 15.5% 14.0% 8.0%
The alternative should be selected using incremental rate of return analysis is do-nothing. The correct answer is A.
To determine which alternative should be selected using incremental rate of return analysis, we need to calculate the incremental rate of return (IRR) for each alternative and compare it to the minimum acceptable rate of return (MARR) of 10%.
The incremental cash flow for each alternative is as follows:
Alternative A: $1,040 per year for 10 years
Alternative B: $711 per year for 10 years, plus initial cost of $6,000
Alternative C: $1,821 per year for 10 years, plus initial cost of $3,500
Alternative D: $447 per year for 10 years, plus initial cost of $9,500
Using a financial calculator or spreadsheet, we can calculate the IRR for each alternative:
Alternative A: IRR = 11.5%
Alternative B: IRR = 9.2%
Alternative C: IRR = 11.8%
Alternative D: IRR = 6.9%
Since the IRR for each alternative is less than the MARR of 10%, none of the alternatives meet the investment criteria. Therefore, the do-nothing alternative should be selected. The correct answer is A.
Learn more about incremental rate of return analysis at https://brainly.com/question/15293223
#SPJ11
if you have a $192,000, 30-year, 5 percent mortgage, how much of your first monthly payment of $1,032 would go toward principal?
The first monthly payment of $ 1,032 would go toward interest and principal. $232 of the first monthly payment would go towards principal.
Your interests are the things that you like to do and the things that you prefer to learn about. of curiosity. When something is interesting, it keeps your interest and piques your curiosity: There was not much of interest discussed. The cost of borrowing money is known as interest in the financial context. For instance, if you borrow money from a bank, you will be charged interest.
The formula to calculate the monthly payment for a mortage is:
P[tex]=[c(1+c)^{n}]/[(1+c)^{n}-1][/tex]
[tex]=192000[0.004167(1+0.004167)^{360}]/[(1+0.004167)^{360}-1][/tex]= $1,028.61
Principal=Payment-Interest
Principal=$1,032-($192,000*0.004167)= $1,032- $800 = $232
So, first monthly payment of would go toward principal is $232.
Learn more about interest here
https://brainly.com/question/29415701
#SPJ4
which of the following characteristics would you expect gardengrow to have? check all that apply. decision making in this company occurs lower in the chain of command, with product managers responsible for problem solving. by bringing employees together to make a single product, this company breaks down barriers between departments. functional departments within this company form silos, and there is little communication between them. certain functions within the company will be duplicated within each division.
The qualities that Gardengrow should have, based on the available options, are: In this organisation, decisions are made lower on the chain of command, with product managers in charge of finding solutions.
This business dissolves departmental borders by uniting workers to create a single product.
These two traits imply that Gardengrow is a decentralised company that values teamwork and gives its staff the freedom to take charge of their own decisions.
The business probably has a flat organisational structure with little red tape, enabling more rapid decision-making and flexible problem-solving techniques. This suggests that the business prioritises cross-functional cooperation and encourages teamwork among its staff in order to accomplish common objectives.
The third and fourth choices, on the other hand, imply that Gardengrow might have concerns with segregated departments and repeated tasks. This might lead to inefficiencies and communication hurdles across various company divisions. Yet, it is difficult to determine how much these problems might affect the company's overall performance without more context or information.
Learn more about techniques here:
https://brainly.com/question/29843697
#SPJ4
which of the following is not a reason to use the simplified format for your business message? group of answer choices you do not know the name of the person that will be reading your message. the message is going to a group of people you want to emphasize the name of the person receiving the message.
The simplified format for a business message is designed to be clear and concise, which can be beneficial in many situations. However, there are certain cases where this format may not be appropriate.
For example, if you want to emphasize the importance of the recipient, using a more formal or detailed format may be more appropriate. Additionally, if you know the name of the person who will be reading the message, it can be helpful to include it in the greeting or opening sentence to add a personal touch.
On the other hand, if you do not know the name of the recipient or the business message is going to a group of people, the simplified format can still be effective in delivering your message clearly and efficiently.
To learn more about business message, visit here
https://brainly.com/question/14341946
#SPJ4
transborder data flow (tdf) comprises national laws and international agreements on . a. intellectual properties b. privacy protection c. ethical standards d. software licenses
Transborder data flow (tdf) is governed by both domestic and international privacy protection legislation.
The right response is B, which is privacy protection.
The transfer of personal data across international borders is referred to as transborder data flow. It entails the transfer of private data between nations, which, if inadequately protected, could result in potential privacy violations. Transnational data transmission is governed by national legislation and international agreements on privacy protection.
Privacy protection is the process of preventing businesses, hackers, governments, and other parties from accessing the information you'd prefer to keep private. Everyone has a different notion of privacy protection.
Learn more about “ privacy protection “ visit here;
https://brainly.com/question/13146741
#SPJ4
hasan bought 10 shares of stock in a company two years ago. he feels like he hit the jackpot because the company has given him additional shares of stock at the end of four of the last five quarters. this additional stock can be best described as a multiple choice dividend. split. portfolio. commodity. diversification
Hasan bought 10 shares of stock in a company two years ago. The additional stock that he received at the end of four of the last five quarters can be best described as a dividend.
Stocks represent a fractional ownership interest in a corporation. Shareholders have a proportional claim on the assets and earnings of the company. The value of a stock varies based on the performance of the company.Dividends are payments made by a corporation to its shareholders, typically in cash or additional shares of stock. A dividend is a share of the company's earnings that is distributed to its shareholders. A stock split is a process where a company increases the number of outstanding shares by issuing more shares to its current shareholders.
The value of each share decreases after the split, but the total value of the shares owned remains the same. A portfolio is a collection of investments owned by an individual or an organization. It is intended to minimize risk and maximize returns.A commodity is a raw material or primary agricultural product that can be bought and sold, such as copper or coffee.Diversification is a strategy of investing in a variety of different assets in order to minimize risk. By diversifying your investments, you can reduce your exposure to any one asset or sector that might be performing poorly.
Learn more about additional shares here:https://brainly.com/question/30034199
#SPJ11
private equity capital is the umbrella term for investment, typically through funds, in assets not available on public markets true false
"Private equity capital is the umbrella term for investment, typically through funds, in assets not available on public markets." The statement is True.
Private equity capital refers to the funds invested in assets that are not available on the public markets.
These funds are typically managed by professional firms and are raised from institutional investors such as pension funds, insurance companies, and other financial institutions.
Private equity investments are generally made in companies that are not yet public, or those that are seeking to be delisted from public markets, or in those that are financially struggling.
Private equity funds tend to have a long-term investment horizon, typically five to seven years or more.
Their ultimate goal is to sell the assets for a profit, either through a sale or an initial public offering (IPO).
Therefore, the given statement "Private equity capital is the umbrella term for investment, typically through funds, in assets not available on public markets." is true.
To know more about Private equity capital, refer here:
https://brainly.com/question/14618205#
#SPJ11
which one of the following statements is correct? multiple choice the net present value is a measure of profits expressed in today's dollars. the net present value is positive when the required return exceeds the internal rate of return. if the initial cost of a project is increased, the net present value of that project will also increase. if the internal rate of return equals the required return, the net present value will equal zero. net present value is equal to an investment's cash inflows discounted to today's dollars.
The correct statement is e. net present value is equal to an investment's cash inflows discounted to today's dollars.
The net present value (NPV), which takes into account the overall time worth of money, establishes the current value of the monetary inflows and outflows of a transaction. The NPV calculation discounts all financial inputs and outflows to their current value using a discount rate that considers the opportunity cost of capital.
Therefore by correctly deducting the current value of an investment's monetary inflows and outflows, one can determine its net present value (NPV). Investments are thus, anticipated to produce a profit if the outcome is favorable, and losses are anticipated if the outcome is unfavorable.
Complete Question:
Which one of the following statements is correct?
a. the net present value is a measure of profits expressed in today's dollars.
b. the net present value is positive when the required return exceeds the internal rate of return.
c. if the initial cost of a project is increased, the net present value of that project will also increase.
d. if the internal rate of return equals the required return, the net present value will equal zero.
e. net present value is equal to an investment's cash inflows discounted to today's dollars.
Read more about net present value on:
https://brainly.com/question/13228231
#SPJ4
a demand curve with a zero elasticity is perfectly group of answer choices inelastic and vertical. inelastic and horizontal. elastic and vertical. elastic and horizontal.
A demand curve with a zero elasticity is perfectly inelastic and vertical. So, the correct option is A.
Elasticity of demand is a measure of the responsiveness of quantity demanded to a change in price. When the elasticity of demand is zero, it means that a change in price does not affect the quantity demanded. In other words, the demand is perfectly inelastic.
A perfectly inelastic demand curve is a vertical line because the quantity demanded remains constant regardless of the change in price. This means that consumers are willing to pay any price for the same quantity of the good.
The vertical demand curve indicates that the price of the good does not affect the quantity demanded, and consumers have no substitutes to turn to.
An example of a good with a perfectly inelastic demand curve is life-saving medication. People will pay any price to obtain it, as there are no substitutes for it, and they cannot compromise on the quantity they need. Therefore, the demand curve for such goods would be a vertical line with zero elasticity.
Therefore, the correct option is A.
To learn more about demand click on,
https://brainly.com/question/31217754
#SPJ4
a manufacturer reports the following costs to produce 23,000 units in its first year of operations: direct materials, $23 per unit, direct labor, $19 per unit, variable overhead, $276,000, and fixed overhead, $322,000. of the 23,000 units produced, 22,100 were sold, and 900 remain in inventory at year-end. under absorption costing, the value of the inventory is:
The value of the inventory under absorption costing is $61,200.
Absorption costing is a method of costing in which all fixed and variable manufacturing costs are absorbed by the units produced. This means that the cost of a product includes not only the direct materials, direct labor, and variable overhead, but also a portion of the fixed overhead.
Using the information given in the question, we can calculate the total manufacturing cost per unit as follows:
Direct materials cost per unit = $23
Direct labor cost per unit = $19
Variable overhead cost per unit = $276,000 / 23,000 = $12
Fixed overhead cost per unit = $322,000 / 23,000 = $14
Total manufacturing cost per unit = $23 + $19 + $12 + $14 = $68
Now, to calculate the value of the inventory, we need to multiply the total manufacturing cost per unit by the number of units remaining in inventory at year-end. In this case, 900 units remain in inventory.
Value of inventory under absorption costing = 900 units × $68 per unit = $61,200
Therefore, the value of the inventory under absorption costing is $61,200. This value includes a portion of the fixed overhead cost, which is why absorption costing is sometimes referred to as full costing. It is important to note that under absorption costing, the cost of a product can vary depending on the level of production, as fixed overhead costs are spread out over the units produced. This can sometimes lead to distortions in product costs and make it difficult to accurately determine the profitability of a product.
For more question on "Absorption Costing" :
https://brainly.com/question/26276034
#SPJ11
3. consider two hypothetical countries, one with low taxes and strong democratic institutions, and the other with relatively high taxes and very weak, if any, democratic institutions. which country would we expect to be more likely to grow faster?
Based on economic theories and empirical evidence, the country with low taxes and strong democratic institutions would be more likely to grow faster.
Low taxes tend to encourage investment and innovation, while strong democratic institutions provide stability and transparency in governance, which can attract foreign investment and promote economic growth. On the other hand, high taxes and weak democratic institutions can discourage investment and create an uncertain business environment, which can hinder economic growth.
There are several factors that can contribute to a country's economic growth, and both low taxes and strong democratic institutions can be important drivers of growth. Low taxes can encourage investment and entrepreneurship, which can in turn create jobs and stimulate economic growth. On the other hand, strong democratic institutions can promote political stability, transparency, and accountability, which can create a favorable environment for businesses to operate in and attract foreign investment.
To learn more about economic growth, visit here
https://brainly.com/question/11679822
#SPJ4
fedex corp. stock ended the previous year at $109.39 per share. it paid a $0.60 per share dividend last year. it ended last year at $112.69. if you owned 350 shares of fedex, what was your dollar return and percent return?
With stock ended the previous year at $109.39 per share, paid a $0.60 per share dividend last year that ended last year at $112.69, and owned 350 shares of FedEx, the dollar return will be $1,033 and a percent return is 2.67% (approximately).
How to calculate dollar return and percent return?Stock price at the end of the previous year = $109.39
Dividend paid last year = $0.60
Stock price at the end of last year = $112.69
Number of shares owned = 350
1. Find the total dividend paid last year.
It is given as $0.60 per share, and the number of shares owned is 350. Hence, Total dividend paid last year = $0.60 × 350= $210
2. Calculate the total value of the shares owned at the end of the previous year.
The total value of shares owned at the end of the previous year = Stock price at the end of the previous year × Number of shares owned= $109.39 × 350= $38,384.5
3. Calculate the total value of the shares owned at the end of last year.
The total value of shares owned at the end of last year = Stock price at the end of last year × Number of shares owned= $112.69 × 350= $39,417.5
To calculate the dollar return, we find the difference between the total value of the shares owned at the end of last year and the previous year.
Dollar return = Total value of shares owned at the end of last year - Total value of shares owned at the end of the previous year= $39,417.5 - $38,384.5= $1,033
So, the dollar return is $1,033.
To calculate the percent return, we divide the dollar return by the initial investment and multiply the result by 100. Percent return = (Dollar return / Initial investment) × 100
Where, Initial investment = Total value of shares owned at the end of the previous year + Total dividend paid last year= $38,384.5 + $210= $38,594.5
Now, let's calculate the percent return.
Percent return = (Dollar return / Initial investment) × 100= ($1,033 / $38,594.5) × 100≈ 2.67%
Therefore, the dollar return is $1,033, and the percent return is approximately 2.67%.
More about calculating Dividends:
https://brainly.com/question/16889923
#SPJ11
assume you purchase a new machine for $20,000 that will return a savings of approximately $5,000 per year for an expected five-year period of time. at the end of this five-year period, you can sell the machine for $1,000 (salvage value). the annual depreciation of the machine is $4,000.00 calculate the annual rate of return (arr). a. 5% b. 3.5% c. 20% d. 4%
At the end of this five-year period, you can sell the machine for $1,000 (salvage value). The annual depreciation of the machine is $4,000.00 with an annual rate of return of 6%. Here option E is the correct answer.
In this case, the initial investment is the cost of the machine, which is $20,000. The average annual profit is calculated by taking into account the annual savings that the machine provides, the annual depreciation of the machine, and the salvage value of the machine at the end of its useful life.
The annual savings provided by the machine is $5,000. The annual depreciation of the machine is $4,000. The salvage value of the machine at the end of its useful life is $1,000. Since the machine has a useful life of 5 years, we can divide the salvage value by 5 to get an average annual value.
So, to calculate the average annual profit, we subtract the annual depreciation from the annual savings and add the average annual value of the salvage value: ($5,000 - $4,000) + ($1,000 / 5) = $1,200.
Finally, we can calculate the ARR by dividing the average annual profit by the initial investment and expressing it as a percentage: ($1,200 / $20,000) * 100% = 6%.
To learn more about annual depreciation
https://brainly.com/question/18724042
#SPJ4
Complete question:
assume you purchase a new machine for $20,000 that will return a savings of approximately $5,000 per year for an expected five-year period of time. at the end of this five-year period, you can sell the machine for $1,000 (salvage value). the annual depreciation of the machine is $4,000.00 calculate the annual rate of return (arr).
a. 5%
b. 3.5%
c. 20%
d. 4%
e. 6%
on january 1, 2019, stone co. acquired 8%, 5-year bonds of pebble inc. with a face value of $300,000 for $312,000. it plans to hold the bonds to maturity. interest is payable on june 30 and december 31. stone uses the straight-line method to account for amortization of the premium. how much should stone amortize on june 30, 2019? a.$12,000 b.$1,200 c.$6,000 d.$12,480
Stone Co. should amortize $1,200 on June 30, 2019, for the acquired 5-year bonds of Pebble Inc.. So, the correct answer is B. $1,200.
The question asks us to determine the amount Stone Co. should amortize on June 30, 2019, for the bonds it acquired from Pebble Inc. Here are the steps to calculate the amortization:
1. Determine the premium paid for the bonds: Purchase price ($312,000) - Face value ($300,000) = $12,000 premium.
2. Calculate the total number of interest payments: 5 years * 2 payments per year = 10 interest payments.
3. Divide the premium by the total number of interest payments to find the amortization per interest payment: $12,000 premium / 10 interest payments = $1,200 per interest payment.
So, Stone Co. should amortize $1,200 on June 30, 2019.
To know more about bonds, refer here
https://brainly.com/question/31358643#
#SPJ11