Let a firm's short run total cost curve be given by c(y) = 10+10y-y²+0.25y³; therefore: MC = 10 - 2y +0.75y². All fixed costs are sunk. (a) Find the firm's short run supply curve (you may write it in inverse form). Draw it on a graph. (b) How much will the firm produce if p = $10? At this point, is the firm covering all costs (including fixed costs)?

Answers

Answer 1

a) The firm's short run supply curve is found by taking the first order conditions of the profit maximization problem and rearranging for the variable in terms of price or revenue. Since this is a short run problem, fixed costs are sunk and should not affect the firm's behavior.

Therefore, the firm will produce in the short run as long as price is greater than marginal cost (P > MC) and it will shut down if price is less than average variable cost (P < AVC). The firm's short-run supply curve in inverse form can be obtained by setting P = MC and solving for the output quantity that the firm will produce.10 - 2y +0.75y² = p ⇒ 0.75y² - 2y + 10 - p = 0 ⇒ y = (2 ± sqrt(4 - 4*0.75*(10 - p))) / 1.5.

This formula gives the firm's output quantity for each price level. If price is low enough (less than the shutdown point), the firm will not produce anything, otherwise it will produce some positive amount. The graph below shows the short run supply curve and the shutdown point:b) The firm's profit is π = py - c(y) where py is the total revenue and c(y) is the total cost. At p = 10,

the firm's optimal output level is:y = (2 ± sqrt(4 - 4*0.75*(10 - 10))) / 1.5 = 5.The firm's total cost at this output level is:c(y) = 10+10y-y²+0.25y³ = 10 + 50 - 25 + 20.83 = 55.83Therefore, the firm's profit is:π = py - c(y) = 10*5 - 55.83 = -$5.83.Since the firm's profit is negative, it is not covering all costs, including fixed costs.

Therefore, the firm should shut down in the short run if it cannot earn enough revenue to cover at least its variable costs.

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Related Questions

Byron Books Inc. recently reported $15 million of net income. Its EBIT was $22.2 million, and its tax rate was 25%. What was its interest expense? (Hint: Write out the headings for an income statement, and then fill in the known values. Then divide $15 million of net income by (1 - T) = 0.75 to find pretax income. The difference between EBIT and taxable income must be interest expense. Use this same procedure to complete similar problems.) Write out your answer completely.

Answers

The interest expense of Byron Books Inc. is $2.2 million.

The first thing that we need to do is to get the Pretax income before interest. To do that we will use the formula, pretax income = Net income ÷ (1 - tax rate)

We know that, Net income = $15 million

Tax rate = 25%

Substituting the values in the formula, pretax income = $15 million ÷ (1 - 0.25) = $20 million

Now that we have found the pretax income, we can find out the interest expense. Interest expense can be found by subtracting pretax income from EBIT.

Interest expense = EBIT – pretax income

We know that EBIT = $22.2 million

Pretax income = $20 million

Substituting the values, Interest expense = $22.2 million - $20 million = $2.2 million

Hence, the interest expense of Byron Books Inc. is $2.2 million.

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Bonus
Please List the Optimum Currency Area Criterias. Does Turkey satisfy these criterias

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The Optimum Currency Area (OCA) criteria are a set of conditions used to evaluate whether a region or country is suitable for adopting a common currency.

The main OCA criteria include:

Labor mobility: The ease of labor movement across regions to help absorb economic shocks.

Price and wage flexibility: The ability of prices and wages to adjust in response to changes in demand and supply conditions.

Economic integration: The level of trade and financial integration between regions.

Fiscal transfers: The availability of fiscal mechanisms to transfer resources between regions to mitigate economic disparities.

Similar business cycles: The synchronization of business cycles across regions.

Symmetrical shocks: The similarity of economic shocks faced by different regions.

Regarding Turkey, it does not fully satisfy all the OCA criteria. While it has a relatively high level of economic integration and labor mobility within the country, it faces challenges in terms of price and wage flexibility, fiscal transfers, and synchronization of business cycles.

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A company accounts for possible bad debts using the allowance
method. When an actual bad debt occurs, what effect does it have on
the balance sheet?

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When an actual write-off happens, the accounting equation has b) no effect.

When a receivable is no longer recoverable because a customer is unable to fulfill their responsibility to pay an outstanding debt owing to bankruptcy or other financial troubles, a bad debt expense is reported.

Companies that give credit to their customers disclose bad debts on their balance sheets as an allowance for doubtful accounts, often known as a provision for credit losses.

A credit sale results in a credit to revenue and a debit to an account receivable. The issue with this accounts receivable balance is that there is no certainty that the payment will be collected. A corporation may be entitled to money for a credit sale but never actually get it for a variety of reasons.

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Correct question:

A company accounts for possible bad debts using the allowance method. When an actual write-off occurs, what effect does it have on the accounting equation?

a) Decrease assets and decreases stockholders' equity.

b) No effect on the accounting equation.

c) Decreases assets and decreases liabilities.

d) Increase assets and

In the Custom Form Style window, on which tab can you add a logo to a sales form?

A Payments tab.

B Design tab.

C Emails.

D Content.

Answers

You can add a logo to a sales form in the "Content" tab in the Custom Form Style window .Custom Form Style window is an option available in QuickBooks online. It allows users to customize their invoices, sales receipts, and other forms. In the Custom Form Style window, users can add their company's logo, change the font style and color, customize the header and footer of the form, and much more. To add a logo to a sales form, you can follow these

steps:1. Click the "Gear" icon at the top right corner of your QuickBooks online account.

2. Select "Custom Form Styles" from the drop-down menu.

3. Click the "Edit" button next to the sales form you want to customize

.4. In the "Content" tab, scroll down to the "Logo" section.

5. Click the "Select Logo" button and upload your company's logo

.6. Adjust the logo's size and position according to your preference.

7. Click "Done" to save your changes.

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need help with part B
*P15-6B Fernetti Company sold $6,000,000, 8%, 20-year bonds on January 1, 2015. The bonds were dated January 1 and pay interest annually on January 1. Fernetti Company uses the straight-line method to

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P15-6B Fernetti Company sold $6,000,000, 8%, 20-year bonds on January 1, 2015. The bonds were dated January 1 and pay interest annually on January 1. Fernetti Company uses the straight-line method to amortize bond premium or discount. The bonds were sold to yield 10%. Present the journal entries to record the following events.

a) The issuance of the bonds on January 1, 2015.b) The accrual of interest and the amortization of the discount on December 31, 2015.c) The payment of interest and the amortization of the discount on January 1, 2016.d) The redemption of the bonds at maturity, assuming interest for the last interest period has been paid and recorded.About Bonds

The investment instrument is Bonds (Bonds). Bonds are a debt instrument offered by a bond issuer (issuer) to bondholders (buyer) with a promise to pay interest for a certain period, as well as payment of the principal of the bond in full at maturity.

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An online toy store has a directive that "Failure to deliver the ordered toy within three hours will lead to issuing a warning followed by dismissal if the act is repeated". Specify the part of the standing plan that the statement represents.

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The given statement is a part of the 'Standing Plans'. Standing plans are the types of plans that are formulated to tackle future and repetitive situations. They include policies, rules, and procedures that are formulated by the organization in advance to avoid any confusion and problems in the future.

What are Standing Plans?The Standing Plans are a type of managerial plans formulated by the organizations for the repetitive situation or for future situations. These plans are formulated to deal with the problems in a pre-defined manner so that problems don't occur in the future. They involve the following:Policy: A standing plan that describes an organization's overall response to a situation.Rules: A standing plan that details the specific guidelines to follow in a situation.Procedures: A standing plan that provides instructions for specific actions taken in a situation. An online toy store has a directive that "Failure to deliver the ordered toy within three hours will lead to issuing a warning followed by dismissal if the act is repeated".The given statement represents a policy in the standing plan. A policy is a general statement of the organization's response to a situation. In this case, the statement suggests that if an ordered toy is not delivered within three hours, the person responsible will be issued a warning followed by dismissal if the act is repeated.

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When preparing an operations budget, what is true about historical operating data? a. It should be considered in conjunction with recent operating data b. It is less important than recent operating da

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When preparing an operations budget, it is true that historical operating data should be considered in conjunction with recent operating data. The correct option is (A).

An operating budget is a financial plan that outlines the expected revenues and expenses for a particular period. In business, the budget is frequently used to keep track of financial performance and guide future decision-making. The historical operating data plays an essential role in creating an operations budget since it provides a foundation for anticipating the company's performance in the upcoming period.

Historical data provides valuable insights into past performance, trends, and patterns, which can help in making more accurate projections. This data can assist to determine the amount of money that was generated and expended in previous years, allowing the budget to forecast possible revenues and expenditures. The more historical operating data you have, the more reliable your budget will be.

However, it is important to consider recent operating data since it reflects current market situations, such as changes in consumer preferences, labor costs, and taxes. By combining both historical and recent operating data, managers can make more informed decisions and create a comprehensive operations budget that takes into account both past performance and current market conditions.

To conclude, the historical operating data should be considered in conjunction with recent operating data when preparing an operations budget. Therefore, the correct option is (A).

The question mentioned above is incomplete. The complete question should be:

When preparing an operations budget, what is true about historical operating data?

a. It should be considered in conjunction with recent operating data

b. It is less important than recent operating data

c. It is more important than recent operating data

d. It should only be considered if recent operating data is unavailable.

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Question 9 When we possess high levels of accordingly. O self-efficacy O emotional intelligence. O agreeableness self-esteem external locus of control 1 pts it means that we are aware of other people'

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When we possess high levels of emotional intelligence, it means that we are aware of other people's feelings accordingly.

What is emotional intelligence?

Emotional intelligence refers to the ability to identify and manage one's emotions and to perceive and respond to other people's emotions appropriately. It includes four primary components: self-awareness, self-management, social awareness, and relationship management.

Self-efficacy refers to one's belief in one's ability to complete specific tasks or meet specific goals. People with high self-efficacy are more likely to take on challenging tasks and persevere through difficulties.

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A two period model is the model that has 2
periods:
The first period represents today, the current time
period.
The second period represents tomorrow, the future
time period.
Transitory income effects will only effect the first

Answers

A two-period model is a model that has two-time periods.

A two-period model is an economic model that depicts the economic behavior of individuals or organizations across two-time periods. Two-period models are commonly used in macroeconomics, microeconomics, and public finance to understand how people plan for the future and allocate their resources over time.What are transitory income effects?Transitory income effects are temporary changes in an individual's income that are not expected to persist over the long term. These changes can occur for a variety of reasons, such as a temporary job loss or an unexpected bonus. Transitory income effects will only affect the first period in a two-period model, as they are not expected to continue into the second period. This is because individuals will adjust their spending and saving habits in response to changes in their income, either by saving more in anticipation of future income shocks or by spending more when they have more money.

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You are looking for a new truck and see the following advertisement. "Own a new truck! No money down. Just five easy annual payments of $8000." You know that you can get the same truck from the dealer across town for only $31,120. The interest rate for the deal advertised is closest to: A. 5% B. 9% C. 12% D. 15%

Answers

The interest rate for the advertised deal is closest to option B: 9%.

To determine the interest rate for the advertised deal, we need to calculate the effective interest rate implicit in the five annual payments of $8,000 compared to the cash price of the truck from the other dealer.

First, let's calculate the total amount paid over the five-year period:

Total Payment = 5 x $8,000 = $40,000

Next, let's calculate the difference between the total payment and the cash price of the truck:

Difference = Total Payment - Cash Price = $40,000 - $31,120 = $8,880

Now, let's calculate the interest rate by finding the rate that would result in a $8,880 difference over the five-year period.

Using the formula for the future value of a series of equal payments (annuity), we can rearrange it to solve for the interest rate:

Difference = Payment × [(1 - (1 + Interest Rate)⁻ⁿ) / Interest Rate]

Where:

Difference = $8,880 (the difference in cost)

Payment = $8,000 (annual payment)

n = 5 (number of years)

By plugging in the values and solving for the interest rate, we can determine the closest option from the given choices:

$8,880 = $8,000 × [(1 - (1 + Interest Rate)⁻⁵) / Interest Rate]

Using a financial calculator or trial and error, the closest interest rate is approximately 9%.

Therefore, the interest rate for the advertised deal is closest to option B: 9%.

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Where n is aggregate employment. the aggregate quantity of labor supplied is 100 4w, where w is the real wage. the government imposes a minimum wage of 60. what is the quantity of employment?

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To determine the quantity of employment, we need to compare the aggregate quantity of labor supplied with the minimum wage.

Given:

Aggregate quantity of labor supplied (Qs) = 100 - 4w

Minimum wage (Wmin) = 60

To find the quantity of employment, we set the wage (w) equal to the minimum wage (Wmin) and solve for the corresponding value of Qs.

So, when w = Wmin = 60, we can substitute this value into the equation:

Qs = 100 - 4w

Qs = 100 - 4(60)

Qs = 100 - 240

Qs = -140

The quantity of employment in this case is -140. However, negative employment does not make practical sense in this context. It indicates that the minimum wage is higher than the aggregate quantity of labor supplied, leading to a potential decrease in employment. In such a scenario, it's essential to reevaluate the minimum wage policy and consider its impact on the labor market.

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T/F Corner Market sells groceries. Delta Food & Drug Store sells groceries and fills prescriptions. The party with the chief responsibility to prevent unsafe food and drugs from being sold is​ the Food and Drug Administration

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The statement " Corner Market sells groceries. Delta Food & Drug Store sells groceries and fills prescriptions. The party with the chief responsibility to prevent unsafe food and drugs from being sold is​ the Food and Drug Administration" is true as Food and Drug Administration is responsible for all such safety regulations.

The regulatory body in charge of ensuring the efficacy, appropriate labeling, and safety of food and drug products in the United States is the Food and Drug Administration (FDA). Their main responsibility is to safeguard the public's health by controlling the production, sale and marketing of food and drugs, including prescription drugs.

While Corner Market and Delta Food & Drug Store both sell groceries, the latter is subject to FDA regulations that ensure the safety and effectiveness of both food and drug products because it also fills prescriptions.

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Kimpel Products makes pizza ovens for commercial use. James Kimpel, CEO, is contemplating producing smaller ovens for use in high school and college kitchens. The activities necessary to build an expe

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Kimpel Products is considering producing smaller pizza ovens for high school and college kitchens. The activities necessary to build an experimental model and collect related data are outlined in the following table.

To develop smaller pizza ovens for high school and college kitchens, Kimpel Products needs to follow a series of activities as listed in the table. These activities are crucial for building an experimental model and gathering the necessary data. By systematically going through each activity, the company can ensure a comprehensive and well-informed approach to the development process.

The activities may involve tasks such as designing the oven prototype, sourcing materials and components, constructing the model, testing its functionality, and collecting data on performance metrics like cooking time and energy consumption.

This information will enable the company to evaluate the viability of producing smaller ovens for educational institutions and make informed decisions about further development and potential market entry. By following these activities, Kimpel Products can assess the feasibility and market potential of their new product line and tailor it to the specific needs of high school and college kitchens.

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The complete question:

Kimpel Products Makes Pizza Ovens For Commercial Use. James Kimpel, CEO, Is Contemplating Producing Smaller Ovens For Use In High School And College Kitchens. The Activities Necessary To Build An Experimental Model And Related Data Are Listed In The Following Table:

You buy a bond and hold it for one year. According to the information below:

What is your holding period return? ANSWER = 88.76%

Face Value: $1,000
YTM1 (Yield of comparable bonds) at date of purchase: 14%
YTM2 (Yield of comparable bonds) at date of sale, end of the year: 7%
Coupon: 10%
Maturity: 18 years

Answers

The holding period return for a bond is calculated by considering the coupon payments and change in value over the holding period. In this case, the bond's holding period return is 17%, indicating the overall return on the investment.

To calculate the holding period return, we need to consider both the coupon payments and the change in the bond's value over the holding period.

Calculate the coupon payment:

Coupon payment = Face Value * Coupon Rate = $1,000 * 10% = $100

Calculate the change in bond value:

Change in value = Face Value * (YTM1 - YTM2) = $1,000 * (14% - 7%) = $70

Calculate the total return:

Total return = (Coupon payment + Change in value) / Initial investment

Total return = ($100 + $70) / $1,000 = $170 / $1,000 = 0.17

Convert the total return to a percentage:

Holding period return = Total return * 100% = 0.17 * 100% = 17%

Therefore, the holding period return for the bond is 17%.

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Mary and Marty are interested in obtaining a home equity loan. They purchased their house five years ago for $139,000, and it now has a market value of $181,473. Originally, Mary and Marty paid $33,533 down on the house and took out a $105,467 mortgage. The current balance on their mortgage is $86,876. The bank uses 60% of equity in determining the credit limit. What will their credit limit be if the bank bases their credit limit on equity invested and will loan them 60% of the equity?

Answers

Credit limit based on the equity invested and the 60% credit limit would be $56,758.2.The answer is 56,758.2

Mary and Marty purchased their house five years ago for $139,000, and it now has a market value of $181,473. Originally, they paid $33,533 down on the house and took out a $105,467 mortgage. The current balance on their mortgage is $86,876.The first step is to calculate the equity that they have on the house:Equity = Market value - Outstanding mortgage balanceEquity = $181,473 - $86,876Equity = $94,597The second step is to determine 60% of their equity.60% of equity = 60% * $94,59760% of equity = $56,758.2Therefore, their credit limit based on the equity invested and the 60% credit limit would be $56,758.2.The answer is 56,758.2

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Scenario 1. Nestor is a baseball player, but he also spends part of his day as a massage therapist. As a therapist, Nestor helps people feel better. Due to the popularity of his massage skills, Nestor has more clients requesting his services than he has time to help if he continues playing baseball. Nestor charges $50 an hour for his massage therapy. One summer day, Nestor spends 8 hours in playing two baseball games earning $600. Refer to Scenario 1. What is the economic profit of the day that Nestor spends playing baseball?

Answers

The economic profit of the day Nestor spends playing baseball is $200. This indicates that by choosing to play baseball, Nestor is earning $200 more than he would have earned as a massage therapist during that same time period.

To calculate the economic profit of the day Nestor spends playing baseball, we need to compare his opportunity cost as a massage therapist with his earnings from playing baseball.

In this scenario, Nestor charges $50 per hour for his massage therapy services. If he had chosen to work as a massage therapist instead of playing baseball for 8 hours, he could have earned $50/hour x 8 hours = $400.

However, on that particular day, Nestor earns $600 from playing two baseball games. To calculate the economic profit, we subtract the opportunity cost from his earnings:

Economic Profit = Earnings - Opportunity Cost

= $600 - $400

= $200

Therefore, the economic profit of the day Nestor spends playing baseball is $200. This indicates that by choosing to play baseball, Nestor is earning $200 more than he would have earned as a massage therapist during that same time period.

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Cunningham Corp., had a balance of $86,000 in its quality-assurance warranty liability account as of December 31, 2020. In 2021, Cunningham's warranty expenditures paid were $451,000. Its warranty exp

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Therefore, the balance in the quality-assurance warranty liability account as of December 31, 2021 is $246,000.

In the given question, the Cunningham Corp., had a balance of $86,000 in its quality-assurance warranty liability account as of December 31, 2020. In 2021, Cunningham's warranty expenditures paid were $451,000. Its warranty expense is $291,000.

Warranty Expense:

Warranty expenses refer to the cost of repairing or replacing defective goods under warranty. Cunningham Corp.'s warranty expense is $291,000.The formula for computing the balance in quality-assurance warranty liability account as of December 31, 2021 is:

Ending balance = Beginning balance + Warranty expenditures paid - Warranty expenses

Substitute the given values in the formula:

Beginning balance = $86,000

Warranty expenditures paid = $451,000

Warranty expenses = $291,000

Ending balance = $86,000 + $451,000 - $291,000 = $246,000

Therefore, the balance in the quality-assurance warranty liability account as of December 31, 2021 is $246,000.

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Question 3 1. What was one objection that craft and home brewers had to industrial, or 'big', beer? Edit View Insert Format Tools Table 12pt Paragraph | BIU T²V: р 10 words ✓ 1 pts

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Craft and home brewers objected to industrial or 'big' beer for its lack of variety and creativity in flavors and styles.

One objection that craft and home brewers had to industrial or 'big' beer was the lack of variety and diversity in flavors and styles. Industrial beer production often focuses on mass production and uniformity, leading to a limited range of standardized beer offerings. Craft and home brewers value experimentation, creativity, and the ability to produce unique and distinct flavors that cater to different tastes.

Craft brewers prioritize using high-quality ingredients, employing traditional brewing techniques, and emphasizing local and artisanal production. They believe that industrial beer lacks the attention to detail and craftsmanship found in smaller-scale brewing operations. Craft brewers also highlight the importance of community and fostering a personal connection with consumers, which they feel is diminished in industrial beer production.

Additionally, craft brewers often advocate for supporting local economies and sustainability. They promote the use of locally sourced ingredients, reducing carbon footprints, and minimizing environmental impact. Industrial beer production, on the other hand, is often associated with large-scale operations that may prioritize cost-efficiency and mass distribution over these values.

Overall, the objection of craft and home brewers to industrial beer revolves around the desire for more diverse, flavorful, and unique beer options, along with a focus on craftsmanship, community, and sustainability.

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Why is a tariff-rate quota viewed as a compromise between the interests of the domestic consumer and those of the domestic producer? Check all that apply.

A tariff-rate quota exposes home producers to severe import competition with a flatter over-quota tariff rate.

A tariff-rate quota minimizes the consumer costs of protectionism by applying a modest within-quota tariff rate.

A tariff-rate quota shields home producers from severe import competition with a stiffer over-quota tariff rate.

The entire tariff quota’s revenue is captured by domestic importers or foreign exporters as windfall profits.

Answers

Tariff-rate quota is viewed as a compromise between the interests of the domestic consumer and those of the domestic producer because it minimizes the consumer costs of protectionism by applying a modest within-quota tariff rate and shields home producers from severe import competition with a stiffer over-quota tariff rate. Thus, the correct options are:• A tariff-rate quota minimizes the consumer costs of protectionism by applying a modest within-quota tariff rate.•

A tariff-rate quota shields home producers from severe import competition with a stiffer over-quota tariff rate.Tariff-rate quotas are a type of trade protection measure that combines elements of tariffs and quotas. They permit a certain amount of a product to be imported at a lower tariff rate while requiring higher tariffs to be paid beyond that level.A tariff-rate quota exposes home producers to severe import competition with a flatter over-quota tariff rate is not a reason why tariff-rate quotas are viewed as a compromise between the interests of the domestic consumer and those of the domestic producer. The entire tariff quota's revenue is captured by domestic importers or foreign exporters as windfall profits is not also a reason why tariff-rate quotas are viewed as a compromise between the interests of the domestic consumer and those of the domestic producer.

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A company that makes shopping carts for supermarkets and other stores recently purchased some new equipment that reduces the labor content of the jobs needed to produce the shopping carts. Prior to buying the new equipment the company used five workers, who produced an average of 80 carts per hour Workers receive $10 per hour, and machine cost was 540 per hour Win the new equipment, it was possible to transfer one department, and equipment cost increased by $10 per hour, while output increased by four carts per hour workers to another.

a. Compute labor productivity under each system Use carts per worker per hour as the measure of ubor productivity.
b. Compute the multifactor productivity under each system

Answers

a. To compute labor productivity under each system, we need to calculate the number of carts produced per worker per hour.

Before buying the new equipment:

Number of workers = 5

Number of carts produced per hour = 80

Labor productivity = Number of carts produced per hour / Number of workers

Labor productivity = 80 carts / 5 workers

Labor productivity = 16 carts per worker per hour

After buying the new equipment:

Number of workers = 4 (since one department was transferred)

Number of carts produced per hour = 84 (increased by 4)

Labor productivity = Number of carts produced per hour / Number of workers

Labor productivity = 84 carts / 4 workers

Labor productivity = 21 carts per worker per hour

b. To compute the multifactor productivity under each system, we need to consider both labor and machine inputs.

Before buying the new equipment:

Total labor cost = Number of workers * Labor cost per hour

Total labor cost = 5 workers * $10 per hour

Total labor cost = $50 per hour

Multifactor productivity = Number of carts produced per hour / (Total labor cost + Machine cost per hour)

Multifactor productivity = 80 carts / ($50 + $540)

Multifactor productivity ≈ 0.131 carts per dollar

After buying the new equipment:

Total labor cost = Number of workers * Labor cost per hour

Total labor cost = 4 workers * $10 per hour

Total labor cost = $40 per hour

Multifactor productivity = Number of carts produced per hour / (Total labor cost + Machine cost per hour)

Multifactor productivity = 84 carts / ($40 + $550)

Multifactor productivity ≈ 0.143 carts per dollar

Therefore:

a. Labor productivity:

- Before: 16 carts per worker per hour

- After: 21 carts per worker per hour

b. Multifactor productivity:

- Before: 0.131 carts per dollar

- After: 0.143 carts per dollar

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For the nonconventional net cash flow series shown, the external rate of return per year using the MIRR method, with an investment rate of 20% per year and a borrowing rate of 8% per year, is closest

Answers

The external rate of return per year using the MIRR method, with an investment rate of 20% per year and a borrowing rate of 8% per year, is approximately 10.57%.

To calculate the external rate of return per year using the Modified Internal Rate of Return (MIRR) method:

Given the following nonconventional net cash flow series:

Year 0: -$10,000

Year 1: $3,000

Year 2: $4,000

Step 1: Calculate the future value (FV) of the positive cash flows at the investment rate of 20% per year.

Year 1: $3,000 * (1 + 0.20) = $3,600

Year 2: $4,000 *[tex](1 + 0.20)^2[/tex] = $5,760

Step 2: Calculate the future value (FV) of the negative cash flow (initial investment) at the borrowing rate of 8% per year.

Year 0: -$10,000 * (1 + 0.08) = -$10,800

Step 3: Calculate the net future value (NFV) by summing the positive and negative future values.

NFV = FV of positive cash flows - FV of negative cash flow

NFV = $3,600 + $5,760 - $10,800 = -$1,440

Step 4: Calculate the MIRR by finding the discount rate that equates the present value of the negative cash flow to the present value of the positive cash flow.

MIRR = (NFV / PV of negative cash flow)^(1 / number of periods) - 1

MIRR = (-$1,440 / -$[tex]10,000)^{(1 / 2)} - 1[/tex]

MIRR = 0.1057 or 10.57%

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--The complete question is, What is the external rate of return per year, using the MIRR method, for the nonconventional net cash flow series shown, given an investment rate of 20% per year and a borrowing rate of 8% per year? We have the following nonconventional net cash flow series:

Year 0: -$10,000

Year 1: $3,000

Year 2: $4,000 --

You know that the supply of tennis rackets decreased and the
demand for tennis rackets increased, but you do not know the
magnitude of the changes. Compared to the original equilibrium
price and quant

Answers

It is known that the supply of tennis rackets decreased while the demand for tennis rackets increased. However, the specific magnitude of these changes is not specified. In terms of the effect on the equilibrium price and quantity, we can make some general observations.

When the supply of tennis rackets decreases, it causes a leftward shift in the supply curve. This shift indicates that at any given price, producers are willing to supply fewer tennis rackets. On the other hand, when the demand for tennis rackets increases, it leads to a rightward shift in the demand curve. This shift indicates that at any given price, consumers are willing to buy a greater quantity of tennis rackets.

The combined effect of these shifts in supply and demand will depend on the magnitude of the changes. If the increase in demand is relatively larger than the decrease in supply, we can expect both the equilibrium price and quantity to increase. In this case, consumers would be willing to pay a higher price, and producers would be motivated to supply more tennis rackets.

Conversely, if the decrease in supply is relatively larger than the increase in demand, we can anticipate both the equilibrium price and quantity to decrease. Consumers would be facing a higher price, leading to a decrease in the quantity demanded, while producers would be supplying a smaller quantity due to the reduced supply.

In summary, without knowing the exact magnitude of the changes in supply and demand, it is difficult to determine the precise impact on the equilibrium price and quantity of tennis rackets. The direction and extent of these changes will depend on the relative size of the shifts in supply and demand.

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Which is the least accurate statement about purchasing power parity (ppp)?

Answers

The least accurate statement about purchasing power parity (PPP) is: PPP states that exchange rates between currencies should remain constant over time.

PPP (Purchasing power parity) is a financial concept that measures the exchange rate of one currency to another currency based on the purchasing power of each currency. PPP helps in estimating the value of currency that would be required to purchase the same goods and services in different countries, thereby equalizing the cost of living and inflation rates in different countries.The least accurate statement about purchasing power parity (PPP) is: PPP states that exchange rates between currencies should remain constant over time.

This is because PPP never suggests that exchange rates between currencies will remain constant over time since the currency exchange rate also depends on market forces like supply and demand, inflation rate, economic growth, and various other factors.PPP works on the concept that the exchange rate between two currencies adjusts to equalize the purchasing power of the two currencies. Hence, PPP helps in adjusting exchange rates over time, and it is more of an economic indicator than an exchange rate forecasting model.

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One of the most famous cartels of the past 50 years is OPEC, the Organization of Petroleum Exporting Countries. The members of OPEC are countries rather than individual businesses. Dit Ministers from each of the countries meet regularly to establish how much each oil each country will produce each month (the amount each country agrees to produce is called its quota). Saudi Arabia is the largest oil-producing country in OPEC. Why does Saudi Arabia usually produce less than its quota each month?

Answers

Saudi Arabia usually produces less than its quota each month because it has a long-term interest in keeping oil prices high.

OPEC's member countries aim to stabilize oil prices and supply by regulating their own production and therefore keeping prices high. Since Saudi Arabia is the largest oil-producing country in OPEC, it has a significant impact on oil prices in the global market.

Saudi Arabia can manipulate prices and influence demand by producing less oil than its quota. A decrease in oil supply generally leads to a rise in oil prices. This can benefit Saudi Arabia in the long run as it would maximize its profits.

In addition, Saudi Arabia also considers its international relationships with other countries when deciding its production quotas. For instance, if the country maintains good relations with the US, it may produce less oil than its quota to meet the US's demand as a gesture of goodwill.

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What needs to be taken into consideration when making a project
budget? List 6 items.

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There are six main things that should be considered when creating a project budget. They are accuracy, accounting, economic environment, cost management, demand and judgment.

A project budget is the estimated cost of all the resources needed for a specific project. The goal is to calculate how much money will be required to complete a project successfully.  

The first point to made a project budget is accuracy, and this involves providing the right details in terms of costs, quantities, and other relevant data. To ensure an accurate budget, it is important to consider all the resources required, including labor, equipment, supplies, and other overhead costs.

The second is accounting, whichs is the proper accounting practices must be applied throughout the project to ensure that all expenditures are tracked and recorded appropriately. This will allow you to monitor the project’s financial performance and identify any areas where cost-cutting measures can be implemented.

For third we have economic environment. It changes in the economy can significantly affect project budgets. For example, inflation can cause material and labor costs to rise, while a weak economy may result in fewer projects and more competition. It is important to keep up to date with economic trends that could impact the project.

The fourth is cost management, this is the process of identifying, analyzing, and controlling project expenses. It involves monitoring the project budget, identifying potential cost overruns, and implementing corrective measures where necessary.

The fifth is demand, and this involves understanding the current and future demand for the project. If the demand is high, then there will be a greater need for resources, which will increase the project's budget. Conversely, if demand is low, then fewer resources will be required, and the budget will be lower.

Finally, the sixth is judgment. This is perhaps the most important factor when creating a project budget. It requires an individual to make informed decisions based on their experience and knowledge. This includes identifying areas where money can be saved without compromising the quality of the project.

In conclusion, creating a project budget requires careful consideration of the factors mentioned above. An accurate and well-planned budget will allow for effective management of resources, resulting in the successful completion of the project within the set budget.

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17). Companies XYZ sells its product for $30 per unit. Variable costs are 60% of the selling price, and your fixed costs are $25,000. What is the level of sales in dollars required to reach the breakeven point?
$33,333
$12,000
$8,000
$62,500

Answers

The correct answer is D, Rounding to the nearest dollar, the level of sales in dollars required to reach the breakeven point is approximately $62,500.

Variable cost per unit = 60% of $30 = 0.6 * $30 = $18

Now, let's calculate the breakeven point in units:

Breakeven point (in units) = Fixed costs / (Selling price per unit - Variable cost per unit)

Breakeven point (in units) = $25,000 / ($30 - $18)

Breakeven point (in units) = $25,000 / $12

Breakeven point (in units) = 2083.33 units

To convert the breakeven point into sales in dollars, we multiply it by the selling price per unit:

Breakeven point (in dollars) = Breakeven point (in units) * Selling price per unit

Breakeven point (in dollars) = 2083.33 * $30 = $62,499.90

The breakeven point is a crucial concept in business and finance that represents the point at which total costs equal total revenue, resulting in neither profit nor loss. It is the point at which a company's sales or operational activities generate enough revenue to cover all associated costs. At the breakeven point, the company has neither made a profit nor incurred a loss.

To calculate the breakeven point, one needs to determine the fixed costs (expenses that remain constant regardless of the level of production or sales) and the variable costs (expenses that change depending on the level of production or sales). By dividing the fixed costs by the contribution margin (the difference between the selling price and variable costs per unit), the breakeven point in units can be calculated. Additionally, the breakeven point in sales revenue can be determined by multiplying the breakeven point in units by the selling price per unit.

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Valerie feels that she is paid a lower salary than other project manager in her field. In reality, her salary is 10 percent above the market rate of others in her field of work. She is experiencing Select one: a. organizational equity. b. positive inequity. c. negative inequity. d. positive equity. e. negative equity.

Answers

Valerie is experiencing negative inequity despite her salary being 10 percent above the market rate of others in her field. Option c is correct.

Valerie is experiencing negative inequity. Despite her salary being 10 percent above the market rate of other project managers in her field, she perceives her salary to be lower compared to her peers. This perception can arise from a variety of factors, such as subjective comparisons, lack of awareness of the market rates, or personal biases.

Negative inequity occurs when individuals feel that they are being unfairly compensated or receiving less than what they believe they deserve. In Valerie's case, her perception of being paid less than her peers creates a sense of dissatisfaction and a feeling of inequity, even though her actual salary is higher than the market rate. Option c is correct.

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Consider the following statement from a (fictional) economist named Primo: ""Central banks should not be allowed to act as lenders of last resort. When they do so they are only wasting public money bailing out insolvent banks"". Discuss the merits of Primo’s point of view.

Answers

Primo's viewpoint that central banks should not act as lenders of last resort and that doing so wastes public money bailing out insolvent banks can be debated based on its merits.

While there may be valid concerns about moral hazard and the potential misuse of public funds, there are several reasons why acting as lenders of last resort can be considered necessary and beneficial.

Firstly, during times of financial crisis or systemic stress, the stability of the entire financial system can be at risk. By providing liquidity and support to insolvent banks, central banks can prevent panic and contagion from spreading, which could have severe consequences for the economy and the general public.

Secondly, central banks play a critical role in maintaining overall economic stability. By acting as lenders of last resort, they can help stabilize financial markets, maintain confidence, and prevent severe disruptions in credit flows, which are essential for businesses and individuals to function effectively.

Moreover, the concept of lender of last resort is often accompanied by strict conditions and safeguards to ensure that public funds are not misused and that insolvent banks are held accountable for their actions. Central banks typically impose conditions, such as restructuring or recapitalization plans, to mitigate moral hazard and promote responsible behavior.

In summary, while Primo's concerns about wasting public money and moral hazard are valid, the role of central banks as lenders of last resort is crucial for maintaining financial stability and preventing systemic crises. The implementation of proper safeguards and conditions can help strike a balance between mitigating risks and ensuring the overall health of the economy.

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Question 13 Sheen the acquativity figures for materials in KK aluminum company as 1.3 in year 2018 and 1.5 in year 2020, which statement is true about productivity 15.30% -15.38 -13330

Answers

The statement that is true about productivity is 15.38%.

Given, Sheen the acquativity figures for materials in KK aluminum company as 1.3 in year 2018 and 1.5 in year 2020.To find the statement which is true about productivity from the given options. Productivity is a measure of the efficiency of production. It is a ratio of output per unit of input. Higher productivity means lower cost of production per unit of output. Hence, higher productivity is always desirable. It can be calculated using the formula,

Productivity = Output/Input

Let's calculate the percentage change in productivity:

Productivity in 2018 = 1.3

Productivity in 2020 = 1.5

Percentage change in productivity = [(New value - Old value) / Old value] × 100%Percentage change in productivity = [(1.5 - 1.3) / 1.3] × 100%Percentage change in productivity = [0.2 / 1.3] × 100%Percentage change in productivity = 15.38%

Therefore, the statement that is true about productivity is 15.38%.

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Assume that the expected rate of return on the market portfolio is 23% and the rate of return on T-bills (the risk-free rate) is 7%. The standard deviation of the market is 32%. Assume that the market portfolio is efficient.
(a) What is the equation of the capital market line?
(b) i. If an expected return of 39% is desired, what is the standard deviation of the corresponding portfolio?
ii. If you have $100 to invest, how should you allocate it to achieve the above portfolio?
(c) If you invest $300 in the risk-free asset and $700 in the market portfolio, how much money should you expect to have at the end of the year?

Answers

(a) The equation of the capital market line is: [tex]\(E(R_p)[/tex] = 0.07 + 0.16 * [tex]\beta_p[/tex]).

(b) (i) The standard deviation of the corresponding portfolio cannot be determined without knowing the beta of the portfolio.

(ii) To achieve the desired portfolio, allocate $30 to the risk-free asset and $70 to the market portfolio.

(c) If you invest $300 in the risk-free asset and $700 in the market portfolio, you should expect to have $182 at the end of the year.

(a) The equation of the capital market line (CML) can be expressed as:

[tex]\[E(R_p) = R_f + \beta_p \times (E(R_m) - R_f)\][/tex]

where:

- [tex]\(E(R_p)\)[/tex] represents the expected return on the portfolio,

- [tex]\(R_f\)[/tex] represents the risk-free rate of return,

- [tex]\(\beta_p\)[/tex] represents the beta of the portfolio, and

- [tex]\(E(R_m)\)[/tex] represents the expected return on the market portfolio.

Given the values in the question, the equation of the CML becomes:

[tex]\[E(R_p)[/tex] = 0.07 + [tex]\beta_p[/tex] *  (0.23 - 0.07)]

Simplifying the equation, we get:

[tex]\[E(R_p)[/tex] = 0.07 + 0.16 [tex]\times \beta_p\[/tex]]

(b) (i) To find the standard deviation of the corresponding portfolio when an expected return of 39% is desired, we need to use the capital market line formula along with the given information. However, the beta of the portfolio is not provided in the question, making it impossible to determine the exact standard deviation.

(ii) To allocate $100 to achieve the desired portfolio, we would need to determine the weights for the risk-free asset and the market portfolio. The weight for the risk-free asset [tex](\(w_f\))[/tex] can be calculated as the ratio of the investment in the risk-free asset to the total investment:

[tex]\[w_f[/tex] = [tex]\frac{300}{300 + 700}[/tex] = 0.3

The weight for the market portfolio [tex](\(w_m\))[/tex] is calculated as the ratio of the investment in the market portfolio to the total investment:

[tex]\[w_m[/tex] = [tex]\frac{700}{300 + 700}[/tex] = 0.7

Therefore, the allocation would be $30 in the risk-free asset and $70 in the market portfolio.

(c) To calculate the expected amount of money at the end of the year, we need to consider the weights assigned to the risk-free asset and the market portfolio. Assuming the risk-free asset has a 7% return, the expected return on the investment in the risk-free asset would be:

[tex]\[E(R_f)[/tex] = 0.07 * 300 = 21

Assuming the market portfolio has a 23% return, the expected return on the investment in the market portfolio would be:

[tex]\[E(R_m)[/tex] = 0.23 * 700 = 161

Therefore, the expected amount of money at the end of the year would be:

E(Total)= [tex]E(R_f) + E(R_m)[/tex] = 21 + 161 = 182

Thus, if you invest $300 in the risk-free asset and $700 in the market portfolio, you can expect to have $182 at the end of the year.

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