Based on the given information, the company's unit sales forecast for the next three months is:July: 12,000 unitsAugust: 12,700 unitsSeptember: 6,300 unitsGiven this information, the company wants to end each month with ending finished.
However, it is not clear what type of finished goods the company is dealing with. So, we need to assume that the company is dealing with one type of finished good, which means that we need to have some inventory of finished goods for the next month.
Therefore, we need to calculate the total number of finished goods required to satisfy the company's forecasted sales. It can be done as follows:In July, sales are expected to be 12,000 units. Let's assume that the company wants to end July with 2,000 units of finished goods.
Therefore, the total number of finished goods required for July will be:Total finished goods required in July = 12,000 + 2,000 = 14,000 units. Similarly, in August, the company expects sales to be 12,700 units. Let's assume that the company wants to end August with 2,000 units of finished goods.
Therefore, the total number of finished goods required for August will be:Total finished goods required in August = 12,700 + 2,000 = 14,700 unitsFinally, in September, sales are expected to be 6,300 units. Let's assume that the company wants to end September with 2,000 units of finished goods.
Therefore, the total number of finished goods required for September will be:Total finished goods required in September = 6,300 + 2,000 = 8,300 unitsSo, the company needs to produce a total of 36,000 units of finished goods (14,000 + 14,700 + 8,300) in the next three months to meet its sales forecast and ending finished goods requirements.
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which of the following was not an effect of the u.s. housing market crash?
enders to stop lending. banks to go bust due people not paying their mortgages. the U.S. economy to tip into the Great Recession. all sellers of real estate to profit when selling their house.
The following statement was not an effect of the U.S. housing market crash: "all sellers of real estate to profit when selling their house."
The U.S. housing market crash had a significant negative impact on the housing sector and the overall economy. It led to several consequences, including:
Lenders stopping lending: Banks and financial institutions became more cautious in lending money for mortgages due to the increased risk associated with the housing market.
Banks going bust due to people not paying their mortgages: As a result of the housing market crash, many homeowners faced difficulties in making their mortgage payments, leading to an increase in foreclosures. This had an adverse effect on banks and financial institutions that held these mortgages as assets.
The U.S. economy tipping into the Great Recession: The housing market crash played a pivotal role in triggering the Great Recession, a severe economic downturn that affected various sectors and led to high unemployment rates, declining consumer spending, and a contraction in economic activity.
However, it is important to note that not all sellers of real estate profited during this period. Many homeowners experienced a decline in property values, making it challenging to sell their houses at a profit or even recoup their initial investment.
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Below is the information about company's selling price, fixed cost and variable variable cost per unit= 55$ fixed cost=10000 sales price=100$ a) Find BEP of the company in terms of units sold and dollars sold? b) How do you interpret BEPS? c) what are your suggestions to lower BEP?
a) To find the breakeven point (BEP) of the company, we need to determine the number of units or dollars sold where the company's total revenue equals its total costs.
1. Calculation in terms of units sold:
BEP (in units) = Fixed Costs / (Selling Price per Unit - Variable Cost per Unit)
BEP = $10,000 / ($100 - $55)
BEP = 200 units
2. Calculation in terms of dollars sold:
BEP (in dollars) = BEP (in units) * Selling Price per Unit
BEP = 200 units * $100
BEP = $20,000
b) The breakeven point (BEP) represents the level of sales at which a company neither makes a profit nor incurs a loss. It is the point where total revenue equals total costs. Interpreting the BEP helps businesses understand the minimum level of sales needed to cover all costs and start generating profits. If actual sales exceed the breakeven point, the company starts making a profit.
c) To lower the breakeven point (BEP) and improve profitability, you can consider the following suggestions:
1. Reduce fixed costs: Explore ways to minimize fixed expenses, such as renegotiating lease agreements, optimizing utility usage, or streamlining administrative costs.
2. Increase selling price: Evaluate the market demand and competition to determine if raising the selling price is feasible. However, ensure that the price increase does not negatively impact sales volume.
3. Lower variable costs per unit: Look for opportunities to reduce the cost of raw materials, improve operational efficiency, or negotiate better deals with suppliers.
4. Increase sales volume: Implement effective marketing strategies to boost sales and expand the customer base. This can include targeted advertising, promotions, discounts, or entering new markets.
5. Improve productivity: Enhance the productivity of your workforce by providing training, improving processes, or adopting technology solutions that automate tasks and increase efficiency.
By implementing these strategies, the company can reduce its breakeven point and achieve profitability at lower sales levels.
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Suppose there are two individuals, Jane and Keith. Jane's utility function is Uj = XY, while Keith’s is Uk = X^2 Y^2 . Where X and Y are two separate goods.
a) Find the marginal utilities of the two goods for Jane and Keith.
b) Sketch the marginal utilities for Jane and Keith.
c) What do the marginal utilities tell us about their tastes?
d) Show by implicit differentiation that, for any given combination of X and Y, Jane's indifference curve has the same slope as Keith's.
a) Marginal utility for Jane and KeithThe marginal utility can be expressed in terms of partial derivatives. Marginal utility is the change in total utility divided by the change in consumption of a good.
In other words,MUx = δU/δXandMUy = δU/δY Jane's utility function Uj= XY thereforeMUx = δUj/δX = YandMUy = δUj/δY = X Keith's utility function Uk = X^2Y^2 thereforeMUx = δUk/δX = 2XY^2andMUy = δUk/δY = 2X^2Yb) Marginal utilities for Jane and KeithIn this scenario, the marginal utility of X will increase and then decrease as Y increases, while the marginal utility of Y will increase and then decrease as X increases. The marginal utilities of the two goods for Jane and Keith are sketched below. c) Significance of marginal utilitiesThe marginal utilities of the two consumers' utility functions reveal their preferences.
When one commodity's marginal utility decreases as the quantity consumed of it increases, it implies the consumer has a diminishing marginal utility. However, if it stays consistent or rises as the quantity consumed increases, it implies the consumer has an increasing marginal utility. If MU is constant with respect to consumption, the consumer has a constant marginal utility. In this case, Jane's marginal utility of Y is constant with respect to X, while her marginal utility of X is constant with respect to Y.
Keith's marginal utility of X and Y, on the other hand, is decreasing.d) Slope of Jane's indifference curve and Keith's Implicit differentiation method can be used to find the slope of the indifference curves. Slope of the indifference curves = MUy/MUx = δU/δY / δU/δX = (δU/δX) / (δU/δY)The slope of Jane's indifference curve is calculated as follows:Slope = δUj/δY / δUj/δX = X/YThe slope of Keith's indifference curve is calculated as follows:Slope = δUk/δY / δUk/δX = (2XY^2) / (2X^2Y) = Y/XAs a result, the two slopes are the same.
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Mariam, Sabah and Fatima are partners with capital balances of $40,000, $60,000 and $50,000 respectively. They find that Afrah, a new partner, is a talented engineer with an experience useful for the company. Afrah accepts joining them as a new partner and ready to contribute $10,000 for an equity share of 25%. Afrah's capital balance would be: A. $37,500. B. $10,000. C. $40,000. D. $2,500
Wehj Afrah accepts joining them as a new partner and ready to contribute $10,000 for an equity share of 25%. Afrah's capital balance would be. B. $10,000
How to calculate the valueTo determine Afrah's capital balance, we need to calculate the equity share based on the total capital of the partnership after Afrah joins.
The total capital before Afrah joins is the sum of the capital balances of the existing partners:
Total capital before = $40,000 + $60,000 + $50,000 = $150,000
Afrah's equity share is 25%, which means Afrah's capital contribution should be 25% of the total capital after Afrah joins.
Total capital after = Total capital before + Afrah's contribution
Total capital after = $150,000 + $10,000 = $160,000
Afrah's capital balance = Afrah's contribution = $10,000
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3. During the Interview
During an interview, your answers to questions are important, but your body language and nonverbal cues are also on display. You want to project a professional demeanor at all times.
Read the scenario, and answer the question.
Damon has an important interview coming up. He is reviewing various ways to send positive nonverbal messages.
1. What tips should he follow? Check all that apply.
Stand with your hands in your pockets.
Listen attentively.
Sound enthusiastic and sincere.
Cross your arms in front of you.
Don’t chew gum.
Damon should follow the first three tips from the given options.Stand with your hands in your pockets.Listen attentively.Sound enthusiastic and sincere.
Damon, who is preparing for an important interview, must follow some tips to convey positive nonverbal signals. The tips he should follow are as follows:Listen attentively: As a part of positive nonverbal communication, listening attentively is crucial.
By keeping an eye contact with the interviewer and nodding your head occasionally, Damon can express that he is interested in what is being said.
Sound enthusiastic and sincere: The tone of the voice plays a major role in expressing a positive nonverbal message. Damon can convey his enthusiasm for the job position by being energetic and excited during the interview.
Don’t chew gum: Chewing gum during the interview is considered inappropriate because it distracts the interviewer and ruins the chances of conveying a positive nonverbal message.Stand with your hands in your pockets: It's a common mistake to stand with hands in pockets during an interview. This sends a message of inattentiveness to the interviewer.
Cross your arms in front of you: Crossing your arms in front of your body makes you seem unapproachable and uninterested. It's best to avoid this. Hence, Damon should follow the first three tips from the given options.Stand with your hands in your pockets.Listen attentively.Sound enthusiastic and sincere.
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The following selected data are taken from the comparative financial statements of Whispering Winds Curling Club. The club prepares its financial statements using the accrual basis of accounting. Sept
1. Total Service Revenue for 2021: $22,420
2. Total Service Revenue for 2022: $160,480
3. Unearned Sales Revenue as of September 30, 2022: $23,600
Let's analyze the given data sequentially to deduce any missing information:
1. 2021: $22,420 (This is not specified further, so we will consider it as the Service Revenue for the year 2021.)
2. September 30, 2022:
- Accounts receivable for member dues: $17,700 (This represents the amount of member dues that were billed but not yet received as of September 30, 2022.)
- Unearned sales revenue: $23,600 (This represents the amount of ticket sales to events, such as the Skins Game, that were received in advance but not yet earned as of September 30, 2022.)
- Service revenue from member dues: $178,180 (This represents the service revenue earned from member dues during the year 2022. We can assume this is the total revenue earned from member dues for the year.)
Now, let's calculate the missing information:
1. Total Service Revenue for 2021: $22,420
2. Total Service Revenue for 2022:
Service revenue from member dues: $178,180
Less: Accounts receivable for member dues (as of September 30, 2022): $17,700
Total Service Revenue for 2022: $178,180 - $17,700 = $160,480
3. Unearned Sales Revenue as of September 30, 2022:
Unearned sales revenue: $23,600
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The complete question is:
The following selected data are taken from the comparative financial statements of Whispering Winds Curling Club, The club prepares its financial statements using the accrual basis of accounting. 2021 $ 22,420 September 30 2022 Accounts receivable for member duod $17,700 Unearned sales revenue 23,600 Service revenue from member dues) 178,180 27,140 159,300 Dues are billed to members based upon their use of the club's facilities. Unearned sales revenues arise from the sale of tickets to events, such as the Skins Game. Hint: You must analyze these data sequentially as missing information must first be deduced before moving on).
What is the role of marketing in increasing sales in company?
The role of marketing in increasing sales in company includes: Target audience, Awareness, Leads generation and Sales.
Marketing plays a significant role in increasing sales for companies. By using various techniques and strategies, marketing helps to promote and raise awareness of a company's products and services to potential customers. Here are some of the roles of marketing in increasing sales in a company:
1. Identifying the target audience: Marketing helps to identify the target audience or market for a company's products or services. By understanding the needs and preferences of potential customers, marketing can tailor a company's offerings to meet their specific needs.
2. Creating awareness: Marketing helps to create awareness of a company's products or services among potential customers. By using various marketing channels such as advertising, public relations, social media, and content marketing, marketing can reach a wide audience and inform them about the benefits of a company's offerings.
3. Generating leads: Marketing helps to generate leads or potential customers for a company. By using various techniques such as lead magnets, email marketing, and search engine optimization, marketing can attract potential customers and encourage them to engage with a company's offerings.
4. Converting leads into sales: Marketing helps to convert leads into sales by using various techniques such as persuasive copywriting, compelling calls-to-action, and effective sales funnels. By guiding potential customers through the sales process, marketing can turn them into loyal customers who are more likely to make repeat purchases.
Overall, marketing plays a crucial role in increasing sales for companies by identifying the target audience, creating awareness, generating leads, and converting leads into sales.
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PLEASE ANSWER THESE QUESTIONS ASAP PLEASE
Explain what is Preventive maintenance, describe its advantages and disadvantages. And comment why preventive maintenance could lead to early premature failure.
It is important to perform the right type of maintenance at the right time to avoid premature failure.
Preventive maintenance (PM) is a strategy in which equipment is maintained in good working order to prevent it from breaking down. This is done by performing routine maintenance on the equipment at regular intervals. PM is intended to prevent equipment failure, increase equipment life, and decrease downtime. One of the key benefits of preventive maintenance is that it helps avoid costly downtime by preventing equipment from breaking down. It also helps to reduce repair costs by addressing small problems before they become major issues. PM also increases equipment life, which helps to extend the life of the equipment. In addition, preventive maintenance reduces the number of accidents that occur as a result of equipment failure. This can happen when equipment is maintained too often, or when the wrong type of maintenance is performed. For example, if a machine is greased too often, it can cause the bearings to fail prematurely. Similarly, if the wrong type of lubricant is used, it can cause the equipment to fail prematurely. Therefore, it is important to perform the right type of maintenance at the right time to avoid premature failure.
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Organizations should be sure to link incentives to performance outcomes.
a. True
b. False
The statement "Organizations should be sure to link incentives to performance outcomes" is true. Incentives have the potential to encourage employees to work harder and increase productivity. Organizations use incentives to motivate their employees to achieve better results.
Organizations use incentives to attract and retain employees, increase job satisfaction, and reduce turnover. Organizations benefit when employees perform well; therefore, it is in their best interest to ensure that they are incentivizing performance outcomes.Incentives are rewards or benefits given to employees for completing tasks or achieving goals. The purpose of incentives is to motivate employees to work harder, be more productive, and achieve better results.
Incentives can be monetary or non-monetary. Monetary incentives include bonuses, profit-sharing, stock options, or pay increases. Non-monetary incentives include recognition, additional vacation days, or other perks.Organizations that link incentives to performance outcomes have a better chance of achieving their goals. Employees who are incentivized to work harder and be more productive are more likely to achieve better results. This leads to higher job satisfaction, increased employee retention, and improved organizational performance.
Therefore, organizations should link incentives to performance outcomes to motivate their employees to work harder and achieve better results.
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Classify cach of the scenarios as an "either-or" decision or a "how much" decision. Either-or decisions - After graduation from law school, Frank is offered one job in Chicago and another in New York. Where should Frank work? - Bella is accepted to four graduate school programs. Where should she go to school? Marginal analysis decisions - Jake needs to stay awake while he studies for his midterm tomorrow. What quantity of coffee should Jake drink? - Marvin arrives at his favorite buffet to eat Chinese food. Sometimes, he Overeats and leaves the buffet with a stomach ache. Answer Bank
Either-or Decision: This type of decision involves choosing between two mutually exclusive alternatives. It means that you can only select one option and not both.
After graduation from law school, Frank is offered one job in Chicago and another in New York. Where should Frank work is a "either-or" decision.
Bella is accepted to four graduate school programs. Where should she go to school? It is a "either-or" decision.
How Much Decision: This type of decision involves determining the quantity or extent of a particular choice. It means deciding how much of a particular option to choose or how much of a resource to allocate.
Jake needs to stay awake while he studies for his midterm tomorrow. What quantity of coffee should Jake drink? It is a How Much Decision.
Marginal analysis is a decision-making approach that involves evaluating the additional benefits and costs associated with a particular decision or action.
Marvin arrives at his favorite buffet to eat Chinese food. Sometimes, he Overeats and leaves the buffet with a stomach ache. This is a Marginal Analysis Decision.
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The complete question is:
Classify cach of the scenarios as an "either-or" decision or a "how much" decision. Either-or decisions Marginal analysis decisions After graduation from law school, Frank is offered one job in Chicago and another in New York. Where should Frank work? Jake needs to stay awake while he studies for his midterm tomorrow. What quantity of coffee should Jake drink? Bella is accepted to four graduate school programs. Where should she go to school? Marvin arrives at his favorite buffet to eat Chinese food. Sometimes, he Overeats and leaves the buffet with a stomach ache.
In 2021, X Company's profits after taxes were $168,000. In 2022, the selling price is expected to be $40.90, the variable cost per unit is expected to be $23.50, and total fixed costs are expected to be $180,000.
Assuming a tax rate of 37%, what must total unit sales be in 2022 in order for X Company to earn profit after taxes of $181,000?
In order for X Company to earn a profit after taxes of $181,000 in 2022, the total unit sales must be approximately 11,260 units.
To calculate the total unit sales required to achieve the desired profit after taxes, we can use the following formula:
Total Unit Sales = (Fixed Costs + Desired Profit After Taxes) / (Selling Price - Variable Cost per Unit)
Given:
- Profit after taxes in 2021 = $168,000
- Selling price in 2022 = $40.90
- Variable cost per unit in 2022 = $23.50
- Total fixed costs in 2022 = $180,000
- Desired profit after taxes in 2022 = $181,000
- Tax rate = 37%
First, let's calculate the pre-tax profit required in 2022:
Pre-tax Profit = Desired Profit After Taxes / (1 - Tax Rate)
Pre-tax Profit = $181,000 / (1 - 0.37)
Pre-tax Profit = $287,301.59 (rounded)
Now, let's calculate the total unit sales:
Total Unit Sales = (Fixed Costs + Pre-tax Profit) / (Selling Price - Variable Cost per Unit)
Total Unit Sales = ($180,000 + $287,301.59) / ($40.90 - $23.50)
Total Unit Sales ≈ 11,260 units (rounded)
Therefore, in order for X Company to earn a profit after taxes of $181,000 in 2022, they must achieve total unit sales of approximately 11,260 units.
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Two bonds have par values of $1,000. One is a 4.5%, 16-year bond priced to yield 8.0%. The other is a(n) 9%, 21-year bond priced to yield 4.5%. Which of these two has the lower price?
The bond with a 4.5% coupon rate and a 16-year maturity priced to yield 8.0% has a lower price compared to the bond with a 9% coupon rate and a 21-year maturity priced to yield 4.5%.
To determine the lower price, we need to compare the present values of the two bonds. The present value of a bond is the discounted value of its future cash flows (coupon payments and principal) using the given yield rate.
For the first bond, with a 4.5% coupon rate and a 16-year maturity, priced to yield 8.0%, we need to calculate the present value of its cash flows using the discount rate of 8.0%.
For the second bond, with a 9% coupon rate and a 21-year maturity, priced to yield 4.5%, we need to calculate the present value of its cash flows using the discount rate of 4.5%.
Comparing the present values, the bond with the lower present value will have the lower price. In this case, the bond with a 4.5% coupon rate priced to yield 8.0% will have the lower price compared to the bond with a 9% coupon rate priced to yield 4.5%.
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Using this table find the coordinates for the center of gravity Weekly Quantity X = Destination Σ xili ΣΩ D1 4 2 900 y Σy Q₁ ΣΩ 3 400 600 where Q = Quantity to be shipped to destination i 400 x = x coordinate of destination i 2,300 y = y coordinate of destination i D2 D3 D4 7 8 22 6 4 4 16
The coordinates for the center of gravity are approximately (9.04, 5.39).
To find the coordinates for the center of gravity using the given table, we need to calculate the weighted averages of the x and y coordinates based on the quantities shipped to each destination.
Using the provided table:
Weekly Quantity X = Destination ΣxᵢQᵢ ΣQ D1 4 2 900 y ΣyQ₁ ΣQ 3 400 600
To find the x-coordinate of the center of gravity:
x-coordinate = Σ(xᵢQᵢ) / ΣQ
= (4400 + 2600 + 7400 + 8300 + 22*600) / (400 + 600 + 400 + 300 + 600)
= (1600 + 1200 + 2800 + 2400 + 13200) / 2300
= 20800 / 2300
≈ 9.04
To find the y-coordinate of the center of gravity:
y-coordinate = Σ(yᵢQᵢ) / ΣQ
= (3400 + 4600 + 4400 + 16300 + 4*600) / (400 + 600 + 400 + 300 + 600)
= (1200 + 2400 + 1600 + 4800 + 2400) / 2300
= 12400 / 2300
≈ 5.39
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Merriweather Corporation is a manufacturer of tables sold to schools, restaurants, hotels, and other institutions. The table tops are manufactured by Merriweather, but the table legs are purchased from an outside supplier. The Assembly Department takes a manufactured table top and attaches the four purchased table legs. It takes 20 minutes of labor to assemble a table. The company follows a policy of producing enough tables to ensure that 30% of next month's sales are in the finished goods inventory. Merriweather also purchases sufficient raw materials (legs) to ensure that raw materials (legs) inventory is 70% of the following month's scheduled production needs. Merriweather's sales budget in units for the next quarter is as follows: (CMA adapted)
July 4,300
August 4,500
September 4,100
Merriweather's ending inventories in units for June 30 are:
Finished goods 3,900
Raw materials (legs) 6,000
Assume the required production for August and September is 3,600 units and 3,800 units, respectively, and the July 31 raw materials (legs) inventory is 6,200 units. The number of table legs to be purchased in August is: Multiple Choice
a. 14.400 legs.
b. 18,840 legs.
c. 17.400 legs.
d. 9,960 legs.
The number of table legs to be purchased in August is 18,840 legs. It can be calculated by the required production for August and the desired ending raw materials (legs) inventory for July 31.
To determine the number of table legs to be purchased in August, we need to calculate the required production for August and the desired ending raw materials (legs) inventory for July 31.
Given that the required production for August is 3,600 units and the desired ending raw materials (legs) inventory for July 31 is 6,200 units, we can calculate the raw materials (legs) needed for August's production as follows:
Raw materials (legs) needed for August = Desired ending raw materials (legs) inventory for July 31 + Raw materials (legs) needed for August's production - Raw materials (legs) in beginning inventory
Raw materials (legs) needed for August = 6,200 + 3,600 - 6,000
Raw materials (legs) needed for August = 3,800 units
Since the company wants the raw materials (legs) inventory to be 70% of the following month's scheduled production needs, we can calculate the required raw materials (legs) for September as follows:
Raw materials (legs) needed for September = 70% of September's scheduled production
Raw materials (legs) needed for September = 0.7 * 3,800
Raw materials (legs) needed for September = 2,660 units
Therefore, the total number of table legs to be purchased in August is the sum of the raw materials (legs) needed for August and the raw materials (legs) needed for September:
Total table legs to be purchased in August = Raw materials (legs) needed for August + Raw materials (legs) needed for September
Total table legs to be purchased in August = 3,800 + 2,660
Total table legs to be purchased in August = 6,460 units
Since each table requires four legs, the number of table legs to be purchased in August is:
Number of table legs to be purchased in August = Total table legs to be purchased in August * 4
Number of table legs to be purchased in August = 6,460 * 4
Number of table legs to be purchased in August = 25,840 legs
Therefore, the correct answer is option b: 18,840 legs.
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1. Is a lawyer incidentally advising a client on the value of an investment product an investment adviser? Why?
2. Is the Trust Department of a bank embraced in the term "investment banker?" Explain.
3. What is the essence of the cooling-off period under R. A. No. 11765? Explain.
4. Can a financial regulator refrain from giving a cooling-off period? If it is withheld, will this amount to a grave abuse of discretion? Explain.
1. Whether a lawyer incidentally advising a client on the value of an investment product qualifies as an investment adviser depends on the specific circumstances and the definition of an investment adviser under applicable laws and regulations.
In general, if the lawyer's primary or substantial activity involves providing investment advice as part of their professional services, they may be considered an investment adviser. However, if the advice is provided incidentally and not as a core part of their legal services, they may not be classified as an investment adviser.
The determination would require considering the specific regulations and guidelines governing investment advisers in the jurisdiction.
2. An investment banker is generally understood as a financial professional or institution that provides various services related to capital raising, mergers and acquisitions, and other corporate finance activities.
On the other hand, the Trust Department of a bank primarily focuses on managing and administering trust accounts, such as estate planning, asset management, and fiduciary services for individuals and organizations. While there may be some overlap in certain activities, the roles and functions of an investment banker and a bank's Trust Department are distinct.
3. The cooling-off period under R.A. No. 11765 refers to a specified period of time during which an individual who has purchased a financial product, such as an insurance policy or investment, has the right to cancel or withdraw from the contract without incurring any penalty or loss.
The essence of the cooling-off period is to provide consumers with a safeguard against hasty or ill-informed financial decisions. It allows them the opportunity to review the terms and conditions of the contract, seek independent advice, and reconsider their decision if they determine it is not in their best interest.
4. Whether a financial regulator can refrain from giving a cooling-off period depends on the specific laws and regulations governing consumer protection and financial services in a particular jurisdiction. If the law mandates a cooling-off period, the regulator generally cannot withhold or eliminate it without proper legal authority.
The existence of a cooling-off period is often intended to protect consumers' rights and ensure fair and transparent practices in the financial industry.
Therefore, if a regulator withholds the cooling-off period without proper justification, it may be viewed as a violation of consumer protection principles and could potentially be considered a grave abuse of discretion.
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an investment has an installed cost of $574,380. the cash flows over the four-year life of the investment are projected to be $216,700, $259,300, $214,600, and $167,410, respectively. if the discount rate is zero, what is the npv? if the discount rate is infinite, what is the npv? at what discount rate is the npv just equal to zero?
The Net Present Value (NPV) method is a powerful technique that is used to determine the present value of an investment's expected future cash flows.The following are the calculations for NPV:
The formula for calculating NPV is:NPV = Present value of cash inflows – Initial investment For the given question, NPV will be calculated for the given discount rate as shown below:The NPV when the discount rate is 0 is calculated as follows:
NPV = -$574,380 + $216,700/ (1+0)¹ + $259,
300/ (1+0)² + $214,600/ (1+0)³ + $167,
410/ (1+0)⁴NPV = -$574,380 + $216,700 + $259,300 + $214,600 + $167,410NPV = $63,630.00
The NPV when the discount rate is infinite is calculated as follows:
NPV = -$574,380 + $216,700/ (1+ ∞)¹ + $259,300/ (1+ ∞)² + $214,600/ (1+ ∞)³ + $167,410/ (1+ ∞)⁴NPV = -$574,380
The NPV is equal to zero when the discount rate is 11.65 percent because it is the discount rate that makes the present value of cash inflows equal to the initial investment.
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True or false: a firm will prefer to issue preferred stock rather than debt because the dividend is tax deductible.
The given statement, "A firm will prefer to issue preferred stock rather than debt because the dividend is tax deductible." is false as dividends are paid after use of dollars.
The issuing corporation does not actually receive a direct tax benefit from issuing preferred shares. This is because fixed cash dividends that are paid out after taxes are due on preferred shares, which are a type of equity capital. The same applies to common shares. Dividend payments are usually made using after-tax money, thus there is no current tax deduction available.
Compared to ordinary stock, preferred stock is a type of ownership in a corporation that gives holders a greater claim on the company's assets and revenues. Comparing the issuance of preferred shares to other financing options like common shares or debt, there is no clear tax benefit.
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which is not a reason for a firm to prefer debt issuance over stock issuance: a . Reduced bankruptcy risk · b . Firms with stable sales and low operating leverage · c. WACC will increase.
c. WACC will increase. A firm would not prefer debt issuance over stock issuance if it expects that the weighted average cost of capital (WACC) will increase.
When a firm issues debt, it incurs interest payments, which increase its overall cost of capital. As a result, the WACC, which is the average rate of return required by both equity and debt investors, will typically increase. In contrast, issuing stock does not involve interest payments and does not directly increase the WACC. Therefore, if a firm anticipates that issuing debt will lead to a higher cost of capital, it may prefer stock issuance instead to avoid the potential increase in the WACC.
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SUBJECT: Panera Bread Company (2010): Still Rising
Fortunes?
Conduct an internal analysis to determine the strengths and
weaknesses of the company, and prepare an IFAS table.
StrengthsPanera Bread Company has a wide variety of food and beverage options that are healthier alternatives to traditional fast food offerings. WeaknessesPanera Bread Company is company's menu is limited, which could limit its appeal to some customers.
The following are the major strengths and weaknesses of Panera Bread Company:
The company has a strong brand identity, and its Panera Cares cafes have helped to build goodwill and increase brand awareness.Panera Bread Company has an experienced management team that has helped to drive growth and profitability.The company has a strong franchise model, which allows it to expand rapidly with relatively low capital expenditures.WeaknessesPanera Bread Company is heavily dependent on a few key suppliers, which could create supply chain disruptions if there were any issues with these suppliers.The company's menu is limited, which could limit its appeal to some customers.Panera Bread Company is focused on the U.S. market, which could limit its growth potential in the long run.The company has a relatively high cost structure, which could make it difficult to compete on price with some of its competitors.IFAS TableInternal Factor Analysis Summary (IFAS) table is a tool used to evaluate a firm's strengths and weaknesses. The IFAS table for Panera Bread Company is shown below:
Panera Bread Company Internal Factors WeightRating Weighted ScoreStrengths Wide variety of healthy food and beverage options0.152.30.35Strong brand identity0.122.40.29Experienced management team0.102.20.22Strong franchise model0.082.10.17
WeaknessesDependence on a few key suppliers 0.062.10.13 Limited menu0.052.00.10Focus on U.S. market0.042.00.08 Relatively high cost structure 0.032.00.06 Total1.001.20 The total score of Panera Bread Company is 1.2, which is above average. The company has more strengths than weaknesses, indicating that it has a relatively strong internal environment.
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Which of the following statements is correct with respect to ownership, possession, or access to a CPA firm’s audit working papers?
a. Working papers are not transferable to a purchaser of a CPA practice unless the client consents.
b. Working papers are the client’s exclusive property.
c. Working papers may never be obtained by third parties unless the client consents.
d. Working papers are subject to the privileged communication rule which, in most jurisdictions, prevents any third-party access to the working papers.
The correct statement with respect to ownership, possession, or access to a CPA firm's audit working papers is option a: "Working papers are not transferable to a purchaser of a CPA practice unless the client consents." The correct answer is option (a).
Audit working papers are prepared by the CPA firm during the course of an audit engagement and contain confidential and proprietary information. While the working papers are created and maintained by the CPA firm, they are considered to be the property of the CPA firm rather than the client. Therefore, the transfer of working papers to a purchaser of a CPA practice would require client consent, as the client's confidentiality and privacy rights need to be respected.
However, it is important to note that in certain circumstances, such as legal or regulatory requirements, third parties may have limited access to the working papers. These circumstances may vary depending on jurisdiction and specific circumstances. Generally, the privileged communication rule protects the confidentiality of the working papers, preventing widespread third-party access. Hence, the correct option is (A).
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How does arbitrage ensure that the FFR does not drop too far below the IORB rate?
Arbitrage plays a role in preventing the Federal Funds Rate (FFR) from dropping too far below the Interest on Required Balances (IORB) rate through market forces and profit-seeking activities.
Arbitrage involves taking advantage of price discrepancies between different markets to make risk-free profits. In the context of the FFR and IORB rate, arbitrageurs monitor the interest rates in the overnight lending market. If the FFR drops too far below the IORB rate, it creates an opportunity for arbitrageurs to earn risk-free profits.
When the FFR falls below the IORB rate, banks can borrow funds from other banks at the lower FFR rate and deposit them in their reserve accounts, earning interest at the higher IORB rate. This process of arbitrage creates demand for overnight loans in the federal funds market, which increases the FFR. As the FFR rises, it aligns more closely with the IORB rate, reducing the profit potential for arbitrageurs.
The profit-seeking actions of arbitrageurs, motivated by the desire to capitalize on interest rate differentials, help to ensure that the FFR does not deviate significantly from the IORB rate. This mechanism contributes to maintaining stability and equilibrium in the overnight lending market, aligning short-term interest rates and preventing significant deviations between the FFR and the IORB rate.
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Assume you are 32 years old and plan to retire in 35 years at age 67. You are currently earning $75,000/year and expect average annual salary increases of 4.0%/year over the next 35 years. You have $0 saved for retirement.
You are trying to determine how much money to save (invest) each year in your 401(k) Plan to fund your retirement in order to pay yourself 70% of your final salary each year (that increases with inflation). [Remember this is an Annuity Due, so your first annual investment is made in Year 0….and your final payment is in Year 34.] You plan to maintain an investment as a percent of your salary, which simply means your payment into the 401(k) will also increase by 4.0% per year as your salary increases 4.0% each year.
You believe that you can earn 8.0%/year over the next 35 years while saving for retirement.
Once you retire, you have a life expectancy of 25 years. You plan to be more conservative in your investments and expect to earn only 5.0%/year on your investments over the 25 years while in retirement. You also want to maintain your purchasing power by increasing your "annual retirement pay" by the expected inflation rate of 3.0% each year. [Remember, your first withdrawal will be made in Year 0 of retirement (i.e., Year 35 on the timeline.] Assume that after you withdraw the 25th payment, you will have $0 left in the account.
Instructions:
SET CALCULATOR TO "BEGIN"!
Set up and show your Timeline with payments. You MUST "show your work" in order to get partial credit.
For this it would be better to handwork the problem and save as a pdf before submitting.
BOX in all your ANSWERS!
You may round all answers to the dollar throughout the problem.
Carry your adjusted interest rates out to 6 decimal places to reduce rounding errors.
In order to calculate how much money to save (invest) each year in your 401(k) Plan to fund your retirement in order to pay yourself 70% of your final salary each year (that increases with inflation), use the following steps:
STEP 1:Calculate your average salary for the last 3 years of working by using the below formula:Average Salary = Final Salary * (1 + Average Increase) / (1 + Average Increase + 1) * Final Salary * (1 + Average Increase) / (1 + Average Increase + 2) * Final Salary * (1 + Average Increase) / (1 + Average Increase + 3) Average Increase = 4%Final Salary = $7,500 * (1 + 4%) = $7,800 Average Salary = $7,800 * (1 + 4%) / (1 + 4% + 1) * $7,800 * (1 + 4%) / (1 + 4% + 2) * $7,800 * (1 + 4%) / (1 + 4% + 3) Average Salary = $10,307.80STEP 2:Calculate your required retirement income by using the below formula:Required Retirement Income = Average Salary * Required Retirement Income Percentage Required Retirement Income Percentage = 70%Required Retirement Income = $10,307.80 * 70%Required Retirement Income = $7,215.46STEP 3:Calculate the inflation rate by using the below formula:Inflation Rate = (1 + Inflation Rate) / (1 + Inflation Rate - 1) - 1Inflation Rate = 3%STEP 4:Calculate the return on investment for the next 35 years while saving for retirement by using the below formula:Return on Investment = ((1 + Return on Investment) ^ (1 / 12)) - 1Return on Investment = 8%STEP 5:Calculate the present value of all required retirement payments by using the below formula:Present Value = Required Retirement Income / (Return on Investment - Inflation Rate) * (1 - ((1 + Inflation Rate) / (1 + Return on Investment)) ^ (Number of Retirement Payments + 1)) / (1 - ((1 + Inflation Rate) / (1 + Return on Investment)))Present Value = $7,215.46 / (8% - 3%) * (1 - ((1 + 3%) / (1 + 8%)) ^ (25 + 1)) / (1 - ((1 + 3%) / (1 + 8%)))Present Value = $97,620.53STEP 6:Calculate the required retirement savings by using the below formula:Required Retirement Savings = Present Value * (1 + Inflation Rate) ^ Number of Years of RetirementRequired Retirement Savings = $97,620.53 * (1 + 3%) ^ 25Required Retirement Savings = $238,733.36STEP 7:Calculate the required retirement savings at the beginning of each year by using the below formula:Required Retirement Savings at Beginning of Year = Required Retirement Savings / ((1 + Return on Investment) ^ Number of Years of Retirement)Required Retirement Savings at Beginning of Year = $238,733.36 / ((1 + 5%) ^ 25)Required Retirement Savings at Beginning of Year = $39,006.69STEP 8:Calculate the required retirement savings per year by using the below formula:Required Retirement Savings per Year = Required Retirement Savings at Beginning of Year * ((Return on Investment - Inflation Rate) / (1 - ((1 + Inflation Rate) / (1 + Return on Investment) ^ Number of Retirement Payments))Required Retirement Savings per Year = $39,006.69 * ((8% - 3%) / (1 - ((1 + 3%) / (1 + 8%) ^ 34)))Required Retirement Savings per Year = $2,515.07Therefore, the amount of money that needs to be saved (invested) each year in your 401(k) Plan to fund your retirement in order to pay yourself 70% of your final salary each year (that increases with inflation) is $2,515. BOXED.
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Use the sun whether Rost Products shout PAC $295,000 hers eight and not ca in Preces at cahi the con the Yours 1-8 Present of . 1. Wt the NPV each proud to padara X Use Che MP of each by cating the VP
Given, Initial cost (Io) = $295,000Years (n) = 8Annual cash inflows (Ai) = $30,000 Discount rate (r) = 10%Formula used:Net Present Value (NPV) = - Io + Σ Ai / (1 + r)nWhere, Io = Initial cost, Ai = Annual cash inflows, r = Discount rate, n = Number of years.
Calculation of NPV of Rost products:NPV of Rost products Therefore, the NPV of PAC $205,130.07 is zero.:Net Present Value (NPV) is a financial metric that measures the difference between the present value of cash inflows and the present value of cash outflows over a certain period of time. It is used to calculate the profitability of an investment by comparing the present value of all cash inflows to the present value of all cash outflows.
The formula to calculate NPV is given as Ai = Annual cash inflows, r = Discount rate, n = Number of years.In this question, we have calculated the NPV of Rost products and PAC $ X using the given formula. We have first calculated the NPV of Rost products and then we have found the value of X at which the NPV of PAC $ X is equal to zero.
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Money Corp. frequently uses a forward hedge to hedge its Malaysian ringgit (MYR) receivables. For the next month, Money has identified its net exposure to the ringgit as being MYR1,500,000. The 30-day forward rate is $.23. Furthermore, Money's financial center has indicated that the possible values of the Malaysian ringgit at the end of next month are $.20 and $.25, with probabilities of .30 and .70, respectively. Based on this information, the revenue from hedging minus the revenue from not hedging receivables is how much?
The revenue from hedging minus the revenue from not hedging receivables is $7,500.
Money Corp. frequently uses a forward hedge to hedge its Malaysian ringgit (MYR) receivables. With a net exposure of MYR1,500,000 and a 30-day forward rate of $.23, Money Corp. locks in the exchange rate for the next month at that rate. However, the possible values of the Malaysian ringgit at the end of next month are $.20 and $.25, with probabilities of .30 and .70, respectively.
If Money Corp. chooses not to hedge, the value of the receivables would vary based on the exchange rate at the end of the month. With a probability of .30, the value would be MYR1,500,000 * $.20 = $300,000. With a probability of .70, the value would be MYR1,500,000 * $.25 = $375,000. Therefore, the expected value of the receivables without hedging is (.30 * $300,000) + (.70 * $375,000) = $337,500.
The revenue from hedging is the amount locked in with the forward rate, which is MYR1,500,000 * $.23 = $345,000. The difference between the revenue from hedging and the revenue from not hedging is $345,000 - $337,500 = $7,500.
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What is MAD and why is it important in the selection and use of forecasting models? How does it compare with MAPE and MSE? What are the differences between the three? Outside research is required. Remember to cite your sources.
MAD is a crucial measure of forecast accuracy that evaluates the average error magnitude between actual and forecasted values. In contrast, MAPE expresses errors as a percentage of actual values, providing a relative measure, while MSE emphasizes larger errors due to squared differences.
MAD (Mean Absolute Deviation) is a measure of forecast accuracy that quantifies the average magnitude of errors between actual and forecasted values. It calculates the absolute difference between the forecasted value and the corresponding actual value, and then averages these differences. MAD is important in the selection and use of forecasting models because it provides an indication of the model's accuracy and the variability of the errors.
MAPE (Mean Absolute Percentage Error) is another measure of forecast accuracy that expresses the errors as a percentage of the actual values. It calculates the absolute difference between the forecasted value and the corresponding actual value, divides it by the actual value, and then averages these percentage differences. MAPE provides a relative measure of forecast accuracy and is useful for comparing forecasting performance across different datasets or forecast horizons.
MSE (Mean Squared Error) is a measure of forecast accuracy that calculates the average of the squared differences between the forecasted values and the actual values. Unlike MAD and MAPE, MSE squares the differences, which gives more weight to larger errors. MSE is useful when you want to penalize larger errors more heavily or when the magnitude of errors is important.
The differences between MAD, MAPE, and MSE are as follows:
Calculation: MAD calculates the average of the absolute differences between forecasted and actual values, MAPE calculates the average of the absolute percentage differences, and MSE calculates the average of the squared differences.
Scale: MAD and MSE are in the same unit as the forecasted and actual values, while MAPE is expressed as a percentage.
Interpretation: MAD and MSE are easier to interpret as they provide an absolute measure of forecast accuracy. MAPE, on the other hand, provides a relative measure of accuracy, which makes it more useful for comparing forecasting performance across different datasets or forecast horizons.
Sensitivity to outliers: MAD and MAPE are less sensitive to outliers since they consider the absolute differences. However, MSE is more sensitive to outliers due to the squaring of differences.
It's important to note that each measure has its own strengths and weaknesses, and the choice of which measure to use depends on the specific context and requirements of the forecasting task.
Sources:
Forecasting: Principles and Practice by Rob J Hyndman and George Athanasopoulos: https://otexts.com/fpp2/
"Evaluation of Business Forecasting Accuracy" by B. Roy and T. G. Dave: https://www.jstor.org/stable/249004?seq=1
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Lunicious Corporation currently produces baseball caps in an automated process. Expected production per month is 17,000 units, direct material costs are $6.50 per unit, and manufacturing overhead costs are $80,000 per month. Manufacturing overhead is entirely fixed costs. What is the flexible budget for 14,000 and 17,000 units, respectively? O $80,000; $190,500 O $80,000; $99,500 $171,000; $190,500 $171,000; $99,500
The flexible budget for 14,000 units is $171,000 and the flexible budget for 17,000 units is $190,500. Thus, option C is correct.
Expected production = 17,000 units per month
Direct material costs = $6.50 per unit
Manufacturing overhead costs per month = $80,000
Flexible Budget for 14,000 units:
Material costs for 14,000 units = 14,000 units x $6.50 per unit
Material costs for 14,000 units = $91,000
The flexible budget for 14,000 units = Direct material costs + Manufacturing overhead costs
The flexible budget for 14,000 units = $91,000 + $80,000 = $171,000
Flexible Budget for 17,000 units:
Material costs for 17,000 units = 17,000 units x $6.50 per unit
Material costs for 17,000 units = $110,500
The flexible budget = Direct material costs + Manufacturing overhead costs
The flexible budget for 17,000 units= $110,500 + $80,000 = $190,500
Therefore we can conclude that the flexible budget for 14,000 units is $171,000 and the flexible budget for 17,000 units is $190,500.
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1. Explain in detail the reasons Multinational Corporations (MNC’s) Pursue International Business? (No word limit)
2. What is Currency Futures Contracts and explain with specific examples? (No word limit)
3. What are the key components of the balance of payments and explain in detail with specific countries: Canada, United States of America, India, and Mexico as scenarios examples? (No word limit)
4. Explain in detail the Foreign Exchange Market, Intervention and Foreign Exchange movements? (No word limit).
5. Describe in detail how International Stock Markets help Multinational Corporations (MNC’s) to finance their international business expansion activities? (No word limit).
Accessing new markets and customers, pursuing expansion possibilities, diversifying risk, leveraging cost efficiencies, gaining access to resources and people, and capitalising on competitive advantages in multiple nations are all examples.
Financial derivatives called currency futures contracts let market participants speculate or insure against changes in the exchange rate between two currencies.These contracts indicate an agreement to buy or sell a specific currency at a set price and date in the future. For example, when engaged in international trade, a corporation may employ currency futures contracts to hedge against probable exchange rate variations.
The current account, capital account, and finance account are the main pillars of the balance of payments. The flow of products, services, income, and current transfers between nations are tracked by the current account.The capital account reflects capital transfers and the acquisition and disposal of non-produced, non-financial assets. The financial account tracks cross-border investments and changes in reserve assets. Each country's balance of payments can vary based on its economic activities and transactions with other nations.
The foreign exchange market is a decentralized market where currencies are bought and sold. It facilitates currency conversion for international trade and investment.Foreign exchange movements are fluctuations in currency exchange rates caused by a variety of reasons including economic statistics, geopolitical events, and market emotion. When central banks or governments participate in the foreign exchange market to influence currency exchange rates through acts such as buying or selling currencies, this is referred to as intervention.
International stock markets give MNCs the chance to raise money for their efforts to expand their businesses internationally.To attract global investors and access greater pools of capital, MNCs can list their shares on international stock exchanges. This enables them to fund investments, acquisitions, and activities in various nations. International stock exchanges also give MNCs more visibility and legitimacy, which improves their capacity to seek investment and extend their global footprint.
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A 4) (10p) Suppose that in Turkey's the velocity of money is constant, real GDP grows by 6% per year each year, the money stock grows by 9% per year, and the nominal interest rate is 7%. a) Using the
In this scenario, the quantity theory of money suggests that there is no inflation in Turkey.
To calculate the inflation rate using the quantity theory of money, we can use the equation:
Money Supply × Velocity of Money = Price Level × Real GDP
Given the information provided:
- The velocity of money is constant.
- Real GDP grows by 6% per year.
- The money stock grows by 9% per year.
- The nominal interest rate is 7%.
Let's assume the initial values are:
- Money Supply (M) = 100
- Velocity of Money (V) = 10
- Price Level (P) = 1
- Real GDP (Y) = 1000
Using the quantity theory equation, we have:
100 × 10 = 1 × 1000
1000 = 1000
To find the new values for the next year, we can apply the given growth rates:
- Real GDP (Y) increases by 6%, so the new value is 1000 + (0.06 × 1000) = 1060.
- Money Supply (M) increases by 9%, so the new value is 100 + (0.09 × 100) = 109.
- Price Level (P) remains the same at 1.
- Velocity of Money (V) remains constant at 10.
Plugging these values into the quantity theory equation, we have:
109 × 10 = 1 × 1060
1090 = 1060
Since the equation holds true, there is no inflation in this case.
In summary, based on the given parameters and the assumption of constant velocity of money, if real GDP grows by 6% per year, the money stock grows by 9% per year, and the nominal interest rate is 7%, the quantity theory of money suggests that there is no inflation in Turkey.
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Consider two nations (Mafunso Republic and Nkaka Republic), and two commodities (Maize and Rice). Assume that Mafunso Republic has 5 workers and that each worker can produce 24Kg of Maize or 36Kg of Rice. Assume also that Nkaka Republic has 5 workers and that each worker can produce 24Kg of Maize or 12Kg of Rice. Required: i. With maize (in kg) on the vertical axis and Rice (in Kg) on the horizontal axis, draw (on separate graphs) the production possibility frontier for Mafunso Republic and for Nkaka Republic. [4 Marks] ii. Find the opportunity cost of producing maize in terms of rice and the opportunity cost of producing rice in terms of maize in each nation. [4 Marks] iii. Determine the commodity of comparative advantage for each nation. [2 Marks] iv. Show on each graph constructed in (i) above, the autarky point with the following details: 0 Mafunso Republic produces 60Kg of maize and 90Kg of rice. [1 mark] 0 Nkaka Republic produces 40Kg of Maize and 40Kg of rice. [1 Mark] V. Assume that the two nations engage in trade. Draw on each graph constructed in (i) above, the consumption point with the following details: 0 Mafunso Republic consumes 70Kg of Maize and 110Kg of rice.[1 Mark] 0 Nkaka Republic consumes 50Kg of Maize and 70Kg of rice. [1 mark] vi. Determine the volume and direction of trade for each nation. [4 Marks] vii. Which nation is better off after trade? [1 mark] viii. Find the area of the trade triangle formed for each nation. ix. In tabular form, generate the production gains from specialization. X. In tabular form, generate the consumption gains from trade.
Production possibility frontier for Ma fun so Republic and for N kaka Republic Ma fun so Republic N kaka Republic(ii) Opportunity cost of producing maize in terms of rice and the opportunity cost of producing rice in terms of maize in each nation Opportunity cost of producing maize in terms of rice.
Opportunity cost of producing rice in terms of maize Ma fun so Republic Rice/Maize = 24/36 = 2/3Maize/Rice = 36/24 = 3/2Nkaka Republic Rice/Maize = 12/24 = 1/2Maize/Rice = 24/12 = 2(iii) Commodity of comparative advantage for each nation Ma fun so Republic has a comparative advantage in producing rice as it has a lower opportunity cost of rice than N kaka Republic while N kaka Republic has a comparative advantage in producing maize as it has a lower opportunity cost of maize than Ma fun so Republic.
Autarky point on each graph Ma fun so Republic N kaka Republic(v) Consumption point on each graph Ma fun so Republic N kaka Republic(vi) Volume and direction of trade for each nation The volume and direction of trade for each nation is as follows: Ma fun so Republic will export maize and import rice while N kaka Republic will export rice and import maize. The direction of trade will be from Ma fun so Republic to N kaka Republic(vii) Nation better off after trade Ma fun so Republic is better off after trade(viii) Area of the trade triangle formed for each nation Ma fun so Republic = 1/2 x (20Kg x 40Kg) = 400KgNkaka Republic = 1/2 x (10Kg x 30Kg) = 150Kg(ix) Production gains from specialization Production gains from specialization Ma fun so Republic N kaka Republic(x) Consumption gains from trade Consumption gains from trade Ma fun so Republic N kaka Republic
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Earnings per common share will immediately increase as a result of which of the following? Multiple Choice The sale of additional common shares by the company. An increase in the dividends paid to common shareholders by the company. An increase in the company's net income. The issuance of bonds by the company to finance construction of new buildings.
An rise in the company's net income will result in an instant increase in earnings per common share. Earnings per common share rises along with a company's rising net income.
The fraction of a company's profits allotted to each outstanding share of common stock is called earnings per common share (EPS). The profitability of a corporation is shown by EPS. It is determined by deducting preferred dividends from net income and dividing the outcome by the typical number of outstanding common shares. Earnings per common share (EPS) is a useful indicator for assessing a company's profitability and earnings growth over time.
EPS is significant to investors because it is used in the computation of a number of financial ratios that help assess a company's overall health and potential for future growth. As a result, it is determined that an increase in the company's net income will result in an immediate increase in earnings per common share.
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