The difference between a materials requirement planning (MRP) and master production schedule (MPS) are: Requirement Planning and Production Schedule
Materials Requirement Planning (MRP) is a computerized inventory planning and control system used to manage manufacturing processes. It takes into account the amount of raw materials and components needed to produce a given product, and calculates the required lead times, procurement and production schedules.
A Master Production Schedule (MPS) is a schedule which states how many of each product are to be produced in a given period of time. It takes into account the customer demand, the level of inventory, and the production capacity of the organization.
Examples of how MRP is applied in the supply chain:
1. Creating an accurate bill of materials that includes detailed information about all parts needed to create a product
2. Calculating the lead time to procure parts from suppliers
3. Creating accurate schedules for manufacturing operations
Examples of how MPS is applied in the supply chain:
1. Determining customer demand for products
2. Planning for the amount of inventory to keep on hand
3. Determining the production capacity needed to meet customer demand.
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complete question:
Explain the difference between a materials requirement planning (MRP) and Master Production Schedule. Provide examples how each are applied in the supply chain.
even though the amount people pay for insurance is higher than its expected value, they buy insurance because
People purchase insurance for a variety of reasons. The primary reason is to protect themselves financially in the event of an unexpected event or loss. Even though the amount people pay for insurance is higher than its expected value, they buy it to avoid the potentially high costs of an unexpected event. Insurance can help mitigate the financial burden of a potential loss, providing individuals and families with a layer of protection against large, unexpected expenses.
Insurance can also provide peace of mind. Knowing that you have protection in the event of an unexpected loss can be reassuring. Insurance policies vary in scope and coverage, so individuals can customize their protection according to their needs and budget. For example, one might purchase a car insurance policy to cover repairs and medical costs in the event of an accident.
In addition, insurance is often required by law. Many states require individuals to purchase car insurance if they own a vehicle. Homeowners are often required to purchase insurance to protect against losses from fire, theft, or natural disasters. In some cases, an employer may also require an employee to purchase insurance for medical care.
In summary, people purchase insurance for many reasons, primarily to protect themselves from unexpected losses. Insurance can provide individuals and families with peace of mind and financial protection, and in some cases, it is required by law.
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A steel manufacturing company is going through a financial crisis because of which it is unable to pay its employees and suppliers their dues. The management of the company sells some of the fixed assets of the company to cover these expenses. In the context of the statement of cash flows, the company gets the required capital by engaging in _____.
A) investing activities
B) financing activities
C) operating activities
D) budgeting activities
In the context of the statement of cash flows, the company gets the required capital by engaging in investing activities. (option a)
What are investing activities?Investing activities are a category of cash flow that describes a company's buying or selling of capital assets, investments, or securities. Fixed assets, such as property, plant, and equipment, are commonly referred to as capital assets.
These assets are frequently exchanged or sold to provide liquidity for the company or to obtain income for reinvestment purposes.
Purchases of fixed assets, such as land, buildings, machinery, and vehicles, are also classified as investing activities.The primary aim of investing activities is to utilize funds to generate a return on investment. It is done by acquiring or disposing of long-term assets such as property, plant, and equipment.
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explain why an increase in government spending will lead to more total spending than a decrease in taxes
An Expenditure is an item that requires, as payment, the exodus of plutocrat or property in general to another person. homes save part of the duty break.
An increase in government spending leads to advanced total spending than a duty cut of the same quantum because homes save part of the duty cut.
The duty rate is lower than the expenditure rate. Indeed, an increase in aggregate spending will increase real GDP and an increase in levies will drop real GDP.
Expenditure is defined as spending time, energy, or plutocrat on commodity. In economics, it means plutocrat spent on the purchase of goods or services.
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The marginal propensity to consume in the nation of Erd is 0.75 What is the value of the government spending multiplier and what is the value of the tax multiplier?
The government spending multiplier in the nation of Erd is 4, and the tax multiplier is -3.
What is the government spending multiplier?The government spending multiplier is the value by which government spending increases or decreases total spending in the economy. The formula for the government spending multiplier is as follows:Government spending multiplier = 1 / (1 - marginal propensity to consume)The marginal propensity to consume in the nation of Erd is given as 0.75. So, we can substitute this value in the formula and calculate the government spending multiplier:Government spending multiplier = 1 / (1 - 0.75) = 4.
What is the tax multiplier?The tax multiplier is the value by which taxes change total spending in the economy. The formula for the tax multiplier is as follows:Tax multiplier = - (marginal propensity to consume) / (1 - marginal propensity to consume)Again, the marginal propensity to consume in the nation of Erd is 0.75. So, we can substitute this value in the formula and calculate the tax multiplier:Tax multiplier = - (0.75) / (1 - 0.75) = -3Therefore, the government spending multiplier in the nation of Erd is 4, and the tax multiplier is -3.
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The government spending multiplier and tax multiplier can be determined by knowing the marginal propensity to consume (MPC).
The value of the government spending multiplier can be calculated by using the formula: Multiplier = 1/(1-MPC).
Using the given value of the MPC of 0.75, we can substitute it in the formula:Multiplier = 1/(1-0.75) = 1/0.25 = 4Hence, the government spending multiplier in the nation of Erd is 4.
This means that for every $1 increase in government spending, the GDP will increase by $4.The value of the tax multiplier can be calculated by using the formula: Multiplier = -MPC/(1-MPC)Using the given value of the MPC of 0.75, we can substitute it in the formula:Multiplier = -0.75/(1-0.75) = -0.75/0.25 = -3Hence, the tax multiplier in the nation of Erd is -3. This means that for every $1 decrease in taxes, the GDP will increase by $3
MPC or the marginal propensity to consume is the increase in consumer spending that results from an increase in income or production. It is expressed as a fraction or decimal and ranges between 0 and 1.The government spending multiplier and tax multiplier measure the impact of changes in government spending and taxes on the GDP.
The multiplier effect occurs when a change in one of these components of aggregate demand leads to a more significant change in the overall output.
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given the current trends toward empowerment and employing fewer levels of management, how important do you believe management development will be in the next ten years?
The current trend of empowering employees and reducing levels of management suggests that management development will become increasingly important in the next ten years.
With fewer levels of management, the managers that are employed will have to have a higher level of competency, and be able to take on larger roles and more responsibilities.
Management development programsManagement development programs can provide the necessary skills and knowledge to equip managers with the ability to take on these responsibilities and achieve their goals.
Furthermore, with changes in the global economy, managers will have to be able to adapt quickly to new strategies and processes. Management development programs can help prepare managers to effectively lead their teams through challenging times, and provide the support needed to ensure that the organization meets its objectives.
Finally, it is essential that managers remain up-to-date with the latest developments in their field, and management development programs can help managers to stay abreast of these changes.
In conclusion, the current trend toward empowerment and fewer levels of management means that management development will be an important factor in the next ten years.
With fewer managers to fill larger roles, it is essential that they have the right skills and knowledge to lead their teams effectively. Management development programs can equip managers with the necessary tools to lead in the changing global economy.
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Willow Corporation (a calendar-year C corporation) reported taxable income before the net operating loss deduction (NOL) in the amount of $100,000 in 2021. Willow had an NOL carryover of $90,000 to 2021. How much tax will Willow Corporation pay for 2021 and what is its NOL carryover to 2022 under the following assumptions? (Leave no answer blank. Enter zero if applicable.)
$40,000 of the NOL was generated in 2016 and $50,000 was generated in 2020.
Willow Corporation will pay $2,100 in taxes for 2021, and its NOL carryover to 2022 is zero.
To calculate the tax that Willow Corporation will pay for 2021 and its NOL carryover to 2022, we need to follow these steps:
Step 1: Apply the NOL carryover to taxable income.
Willow Corporation has a taxable income of $100,000 in 2021 and an NOL carryover of $90,000 ($40,000 from 2016 and $50,000 from 2020).
Step 2: Determine the remaining taxable income after applying the NOL.
The NOL carryover is applied against the taxable income, so we subtract the NOL from the taxable income:
$100,000 - $90,000 = $10,000 remaining taxable income.
Step 3: Calculate the tax liability.
Assuming a 21% corporate tax rate, Willow Corporation's tax liability for 2021 would be:
$10,000 * 21% = $2,100.
Step 4: Determine the remaining NOL carryover to 2022.
Since the entire NOL carryover of $90,000 was used in 2021, there will be no NOL carryover to 2022.
In summary, Willow Corporation will pay $2,100 in taxes for 2021, and its NOL carryover to 2022 is zero.
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question 5 what are some key benefits of using external data? select all that apply. 1 point external data has broad reach. external data is always reliable. external data can provide industry-level perspectives. external data is free to use.
Some key benefits of using external data are:External data can provide industry-level perspectives and insights that may not be available otherwise.
This data can help organizations to better understand market trends and customer behaviors and preferences, which can inform business decisions and strategies.External data can expand the reach of an organization's knowledge and insights, allowing for a more comprehensive and well-informed view of the market and its dynamics. This can help to identify new opportunities and areas for growth.External data can also help to reduce costs and improve efficiency, by enabling organizations to access information and insights that would be too costly or time-consuming to gather in-house. This can lead to faster decision-making and more agile responses to changing market conditions.
External data can be more reliable than internal data, as it is often collected and analyzed by independent third-party organizations. This can help to reduce bias and increase objectivity, leading to more accurate and trustworthy insights.External data is not always free to use, but it can be more cost-effective than collecting data in-house. By outsourcing data collection and analysis to specialized firms, organizations can save on staffing and equipment costs while still accessing high-quality insights and analytics.
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when jason bought a car and went to register it with the state department of motor vehicles, he needed to show proof of insurance. what kind of insurance did jason need to have?
When Jason bought a car and went to register it with the state department of motor vehicles, he needed to show proof of insurance. The kind of insurance that Jason needed to have is liability insurance.
What is liability insurance?Liability insurance is a type of insurance policy that provides protection to a business or individual against the risk of being sued or held legally responsible for damage or injury caused to others. It is a type of insurance coverage that protects against claims arising from bodily injury, property damage, or other types of damages.
The liability insurance covers the cost of legal defense and any settlement or judgment that the court may award to the victim or claimant. The liability insurance is usually required by law in most states before an individual can legally operate a motor vehicle.
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your investor client julia wants to buy a three-bedroom, one-bath, income-producing property for $125,000. it rents for $820. comparable three-bedroom, two-bath homes in the area rent for around $1,000 and are valued an average of $20,000 more. the area's gross rent multiplier is 147. calculate the loss in income due to depreciation based on functional obsolescence using the capitalized value method.
The loss in income due to depreciation based on functional obsolescence using the capitalized value method is approximately $180.
Depreciation refers to the decrease in the value of an asset over time due to wear and tear, obsolescence, or other factors. It is a method used in accounting to allocate the cost of an asset over its useful life.
The purpose of depreciation is to match the cost of the asset with the revenue it helps generate over its useful life. Depreciation is recorded as an expense on the income statement, reducing the reported profit or net income of the business.
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business innovation involves the products companies produces or the unique ways companies fill unmet consumer needs. group of answer choices true false
True: Business innovation involves the products companies produce or the unique ways companies fill unmet consumer needs.
Business innovation is the process of developing original ideas, products, or processes to address organizational challenges or opportunities. Business innovation may occur in any of an organization's functions, including management, marketing, sales, service, and operations. Innovation can provide a competitive advantage to businesses in a variety of ways. It enables businesses to develop new or enhanced products, increase productivity and efficiency, and lower costs.
Business innovation can also enhance a company's relationship with customers, expand its market reach, develop its reputation for quality and reliability and meet consumer needs.
Therefore, business innovation is a critical driver of economic growth and productivity.
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the project manager finished the first of four projects for lilac inc. how should the lessons learned report be shared to other teams?
The lessons learned report for Lilac Inc. should be shared with other teams in a concise and organized way. First, the project manager should provide a brief overview of the project, including any successes and challenges.
Then, the project manager should summarize the key lessons learned from the project, and how they can be applied to future projects. Finally, they should include a step-by-step explanation of how the report can be used by other teams.
The project manager should provide a brief overview of the project, including any successes and challenges.The project manager should summarize the key lessons learned from the project, and how they can be applied to.
The project manager should include a step-by-step explanation of how the report can be used by other teams. This should include how the report can be accessed, who should have access, how it can be reviewed, and how the lessons learned should be integrated into the project planning and execution process.
By providing a clear overview, summarizing key lessons, and giving a step-by-step explanation of how the report can be used, other teams can quickly and easily utilize the information in the report to their benefit.
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if consumers think about their previous experiences with a product or a brand when shopping for products, this is referred to as
If consumers think about their previous experiences with a product or a brand when shopping for products, this is referred to as brand loyalty. Brand loyalty occurs when consumers favor one brand or product over another, based on their past experiences with it.
This type of loyalty is formed by a variety of factors, such as price, quality, customer service, product features, or even personal preference.
Brand loyalty is formed by a combination of the customer's emotional connection to the brand, the perceived quality of the product, and the customer's past experiences with it.
The customer's past experiences are especially important, as they influence the customer's perception of the brand and create an emotional connection to it.
For example, if a customer has a positive experience with a brand, they are likely to return to it in the future and be more likely to recommend it to others. Similarly, a negative experience can lead to dissatisfaction and a lack of brand loyalty.
A company can take several steps to encourage brand loyalty. They can provide high-quality products and services, strive to exceed customer expectations, provide a positive customer service experience, and make the customer feel appreciated.
Additionally, they can provide incentives, such as loyalty programs and discounts, to reward returning customers and encourage them to continue using the brand.
In conclusion, brand loyalty is a phenomenon where customers favor one brand or product over another, based on their past experiences with it. Companies can encourage brand loyalty by providing high-quality products and services, striving to exceed customer expectations, providing incentives, and using marketing tactics to create an emotional connection with customers.
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which of the following statements are correct? multiple select question. once established, the accounting procedures manual should not be changed. procedures manuals are generally ineffective in today's fast-paced environment. periodic reviews should be conducted to ensure that employees are following the procedures outlined in the manual. appropriate accounting procedures should be documented in a procedures manual.
The following statements are correct
1. Once established, the accounting procedures manual should not be changed.
2. Periodic reviews should be conducted to ensure that employees are following the procedures outlined in the manual.
3. Appropriate accounting procedures should be documented in a procedures manual.
A procedures manual is a document that outlines the specific procedures that should be followed in an accounting system. It should be established when the accounting system is first set up and should not be changed unless absolutely necessary.
Periodic reviews should be conducted to ensure that all employees are following the procedures outlined in the manual.
It is important to document the appropriate accounting procedures in a procedures manual, as this will help to ensure that processes are consistent, accurate, and up-to-date. In today's fast-paced environment, having a procedures manual is a key component of any successful accounting system.
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if the interest rate increases to 13 percent at the end of year 2, how much is the payment plus negative amortization in year 2 and year 5 if the payment remains at $800
The payment plus negative amortization in year 2 is $698.74 and in year 5 is $162.79 if the payment remains at $800.
Calculate the payment plus negative amortizationGiven:
Payment: $800
Interest rate after 2 years: 13%
Now, Calculation of Principal amount:
Principal = Payment * [1 - (1 + interest rate)-time period / interest rate]
Principal = $800 * [1 - (1 + 0.13)-30 / 0.13]
Principal = $800 * [1 - 0.026388]
Principal = $800 * 0.97361
Principal = $778.89
Calculation of Negative Amortization:
At year 2: Interest = Principal * Interest rate = $778.89 * 0.13 = $101.26
Negative amortization = Payment - Interest = $800 - $101.26 = $698.74
At year 5:
Principal = Payment / Interest rate * [1 - (1 + interest rate)-time period]
Principal = $800 / 0.13 * [1 - (1 + 0.13)-60]
Principal = $800 / 0.13 * 0.63712
Principal = $4,901.54
Interest = Principal * Interest rate = $4,901.54 * 0.13 = $637.21
Negative amortization = Payment - Interest = $800 - $637.21 = $162.79
Therefore, the payment plus negative amortization in year 2 is $698.74 and in year 5 is $162.79 if the payment remains at $800.
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orlando company paid $620 cash to purchase raw materials. how would this transaction affect orlando's financial statements?
By decreasing the cash account and increasing the Raw Materials Inventory account on the balance sheet.
This transaction would affect Orlando Company's financial statements by decreasing the Cash account and increasing the Raw Materials Inventory account on the balance sheet. On the income statement, the Cost of Goods Sold would increase.
The journal entry for this transaction would be:
Debit: Cash: $620
Credit: Raw Materials Inventory: $620
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evan purchases a wall calendar for $9, and his consumer surplus is $1. how much is evan willing to pay for the wall calendar?
Evan is willing to pay $10 for the wall calendar.
Consumer surplus is the difference between what a consumer is willing to pay for a good and the price they actually pay. In this case, Evan was willing to pay $10 for the wall calendar but only paid $9, resulting in a consumer surplus of $1.
To explain further, when consumers purchase goods, they must decide whether the benefit they will receive from the good is greater than the cost of the good. This difference is called the consumer surplus. In this case, the cost of the wall calendar was $9 and Evan's consumer surplus was $1. This means t
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which situation would be included in reporting for joint commission mandatory national client safety goals?
The Joint Commission's Mandatory National Client Safety Goals require the reporting of any situation that may cause harm to a patient, such as medication errors, wrong-site surgery, and patient falls.
How to report for Joint Commission mandatory National Patient Safety Goals?
A hospital or healthcare organization reports its compliance with the Joint Commission’s National Patient Safety Goals by submitting evidence of its adherence to the standards. The Joint Commission conducts an on-site review of the organization to verify compliance with the NPSGs.
The on-site review includes a survey of the facility, interviews with staff members and patients, and an assessment of the organization’s policies and procedures. The situation that would be included in reporting for Joint Commission mandatory National Patient Safety Goals is the identification of patients correctly.
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7. assuming the cost of debt of your company is 8%, and debt ratio is 40%, tax rate is 25%, what is the cost of the capital?
The cost of capital for a company with a debt ratio of 40%, cost of debt of 8%, and tax rate of 25% is 11.2%.
Calculation: The cost of capital is determined by the weighted average cost of capital (WACC), which is calculated by multiplying the cost of debt by the debt ratio and subtracting the tax shield, and then adding the cost of equity.
The cost of debt is 8%. The debt ratio is 40%, meaning 40% of the company's capital is debt and 60% is equity. The tax shield is calculated by multiplying the cost of debt by the tax rate (25%) and multiplying it by the debt ratio (40%). Therefore, the tax shield is 8% x 25% x 40% = 1%.
The cost of equity is the required rate of return for shareholders and is determined by the risk profile of the company.
To calculate the WACC, we add the cost of debt and the cost of equity, subtract the tax shield, and multiply it by the debt ratio. Therefore, the WACC is 8% + cost of equity - 1% x 40% = 11.2%.
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with no inflation, a bank would be willing to lend a business firm $10 million at an annual interest rate of 8 percent. but, if the inflation rate was anticipated to be 6 percent, the bank would charge the firm an annual interest rate of:
If the bank assumed a 6% inflation rate, it would impose a 14% annual interest rate on the company.
When there is no inflation, the nominal and real interest rates are equal, correct?If there is no inflation, the nominal interest rate and the real interest rate are the same. This is accurate since the nominal interest rate, sometimes referred to as the reported or quoted interest rate, is equal to the sum of the actual interest rate and the inflation rate.
If the inflation rate is anticipated to be 6 percent,
The real interest rate that the bank wants to earn is 8%,
but with an expected inflation rate of 6%,
There will be a nominal interest rate of:
Real interest rate plus anticipated inflation equals nominal interest rate.
Nominal interest rate = 8% + 6% = 14%
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on january 1, 2015, bogart acres company issued 10,000 shares of 10%, $20 par value cumulative preferred stock. in 2015 and 2016, no dividends were declared on preferred stock. in 2017, bogart had a profitable year and decided to pay dividends to stockholders of both preferred and common stock. if they have $200,000 available for dividends in 2017, how much could it pay to the common stockholders? on january 1, 2015, bogart acres company issued 10,000 shares of 10%, $20 par value cumulative preferred stock. in 2015 and 2016, no dividends were declared on preferred stock. in 2017, bogart had a profitable year and decided to pay dividends to stockholders of both preferred and common stock. if they have $200,000 available for dividends in 2017, how much could it pay to the common stockholders? $200,000 $160,000 $140,000 $180,000
Bogart Acres could pay $160,000 to common stockholders in 2017.
The amount that Bogart Acres could pay to common stockholders in 2017 with $200,000 available for dividends is $140,000.
How to calculate dividends on preferred stock?
Dividends on preferred stock are cumulative, which means they accrue every year and must be paid before the common stockholders. In 2015 and 2016, no dividends were declared on preferred stock, but they still accumulated and must be paid before common stockholders can get dividends.
The dividends on preferred stock are calculated using the following formula:
Dividends on Preferred Stock = Par Value * Rate * Number of Shares
In this case,
Par Value = $20
Rate = 10%
Number of Shares = 10,000
So, Dividends on Preferred Stock = $20 * 10% * 10,000 = $20,000 (for each year 2015 and 2016)
Total Preferred Stock Dividends for 2015 and 2016 = $20,000 + $20,000 = $40,000
Now, the remaining amount of the $200,000 that Bogart Acres has available for dividends can be distributed to common stockholders. As preferred stockholders receive their $40,000 in accumulated dividends, the rest of the dividend payment ($200,000 - $40,000 = $160,000) will go to common stockholders.
So, Bogart Acres could pay $160,000 to common stockholders in 2017.
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lew was the perfect hire for the floor manager position, which is why you were shocked when he left after six months to return to his former job. what could you have done to prevent lew from leaving?
To prevent Lew from leaving after six months on the job. we could have taken several actions.
Firstly providing comprehensive training and development opportunities would assist him to grow within his role. This would ensure he had a good understanding of the job requirements, expectations, and potential career paths within the organization. Secondly, we could offer a competitive compensation and benefits package, which would incentives him to stay and reward his performance.
Thirdly, conducting regular check-ins and performance evaluations would ensure he was satisfied with the job along with addressing any concerns or issues he may have had. Finally creating a transparent culture of open communication and feedback would provide an opportunity to address any issues and support him to excel in his role.
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b. find the actual price of the bond assuming that its yield to maturity immediately increases from 6.6% to 7.6% (with maturity still 10 years). assume a par value of 100.
The actual price of the bond when the yield to maturity immediately increases from 6.6% to 7.6% is $405.96.
The actual price of the bond can be calculated by using the bond price formula. The formula to calculate the bond price is:
P = C / r * [1 - 1 / (1 + r) ^ n] + F / (1 + r) ^ n
Where P = Bond Price, C = Annual Coupon Payment, r = Yield to maturity, n = Number of years to maturity, and F = Face Value (Par Value). The given bond has a maturity of 10 years and pays a 6.6% coupon rate (with coupon payments coming once annually).The face value of the bond is $100 as it is selling at par value.
Calculate the annual coupon payment:
Annual coupon payment = Coupon rate * Face value
Annual coupon payment = 6.6% * $100 = $6.6
Using the formula, calculate the price of the bond when the yield to maturity is 6.6%:
P = $6.6 / 0.066 * [1 - 1 / (1 + 0.066) ^ 10] + $100 / (1 + 0.066) ^ 10P = $66.33 * 6.033 + $39.67P = $400.00
The actual price of the bond when the yield to maturity immediately increases from 6.6% to 7.6% (with maturity still 10 years) can be calculated using the above formula by using 7.6% as the yield to maturity:
P = $6.6 / 0.076 * [1 - 1 / (1 + 0.076) ^ 10] + $100 / (1 + 0.076) ^ 10P = $61.83 * 6.865 + $36.15P = $405.96
Therefore, the actual price of the bond when the yield to maturity immediately increases from 6.6% to 7.6% is $405.96.
Note: The question is incomplete. The complete question probably is: A newly issued bond has a maturity of 10 years and pays a 6.6% coupon rate (with coupon payments coming once annually). The bond sells at par value. Find the actual price of the bond assuming that its yield to maturity immediately increases from 6.6% to 7.6% (with maturity still 10 years). Assume a par value of 100. (Round your answer to 2 decimal places.)
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when many buyers and sellers freely enter and exit a market having similar, yet differentiated products, it is called . multiple choice question. perfect competition oligopoly monopolistic competition monopoly
Perfect competition is a market structure where many buyers and sellers freely enter and exit the market, each with similar, yet differentiated products. The correct answer is: perfect competition.
In the perfect competition are no barriers to entry or exit, prices are set by the market, and the market share of each seller is small. Each seller has no influence over price and must accept the market-determined price. In addition, perfect competition implies that buyers and sellers have access to perfect information about the market.
As a result, no single seller can make decisions that affect the market as a whole. In short, perfect competition is a market structure with a large number of buyers and sellers, differentiated products, no barriers to entry or exit, and perfect information about the market.
In conclusion, the correct answer is perfect competition.
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What is "fair use"?
A. An exception to copyright
B. An exception to fraud
C. An exception to invasion of privacy
D. An exception to trespass
E.An exception to trade secrets
The correct option is A, an exception to copyright. Fair use is an exception to copyright that allows people to use a copyrighted work without permission from the copyright owner for certain purposes, such as commentary, criticism, reporting, research, teaching, and scholarship.
Fair use is a legal doctrine that allows limited use of copyrighted material without the need for permission from the copyright holder. It is based on the belief that the public should have access to certain material for educational and informational purposes without the permission of the copyright holder. Fair use allows the use of copyrighted material for certain purposes, such as criticism, commentary, reporting, teaching, scholarship, and research. In general, the use must be for non-profit educational purposes. Thus option A is correct.
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The December 31, 2018, balance sheet of Justin’s Golf Shop, Inc. , showed current assets of $1,155 and current liabilities of $940. The December 31, 2019, balance sheet showed current assets of $1,370 and current liabilities of $1,045.
What was the company's 2019 change in net working capital, or NWC?
The company's 2019 change in Net working capital will be $150.
The difference between current assets and current liabilities on a company's balance sheet is known as net working capital, or NWC. It serves as a gauge of a company's liquidity and capacity to pay short-term debts and fund ongoing operations.
The computation of change in net working capital is shown below:
Change in net working capital
= (Current assets in the year 2019 - current assets in the year 2018) - (Current liabilities in the year 2019 - current liabilities in the year 2019)
= ($1,370 - $1,155) - ($1,045 - $940)
= $255 - $105
= $150
We simply take the difference between current assets and current liabilities and then subtract it from each other.
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Which of the following statements correctly characterizes changes in farming and agriculture land during the period between 1870 and 1900? a. The number of farms, as well as the number of acres under cultivation rose b. The number of farms, as well as the number of eres under cultivation fell. c. The number of farms rose, but the number of atres under cultivation fell d. The number of farms fel but the number of ander cultivation rose
The statement that correctly characterizes the changes in farming and agriculture land during the period between 1870 and 1900 is: The number of farms rose, but the number of acres under cultivation fell. option (A)
What is agriculture?Agriculture is the process of cultivating food, feed, and fiber crops and the rearing of animals to provide food, wool, and other goods. The farming system in the United States underwent significant changes between 1870 and 1900. The number of farms rose while the number of acres under cultivation fell. This was the period when new technologies and techniques were invented, which led to the growth of agriculture.
What happened during the period of 1870 and 1900?During the period between 1870 and 1900, agriculture land in the United States underwent significant changes. Several inventions, such as seed drills, threshing machines, and reapers, revolutionized agriculture. These inventions decreased the number of hours and labor required for farming, making it more efficient and cost-effective.These changes led to an increase in productivity, which led to the creation of large-scale farming. As a result, the number of farms rose, but the number of acres under cultivation fell. The trend continued, and by the end of the 19th century, there was a shift from subsistence farming to commercial farming.
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what happens if a company doesnt have a repruchase plan for unvested options that i already early exercised
If a company does not have a repurchase plan for unvested options that have already been early exercised, then the individual who early exercised their options will not have the right to repurchase those same options at a later date.
This is because the early exercise is a form of surrendering the option agreement, meaning the individual no longer has the right to repurchase the options at a later date.
In this situation, the individual would need to rely on the secondary market to sell their unvested options. However, since the options are unvested, there may not be a secondary market for them, meaning that the individual may be unable to sell the options for their true value. Furthermore, since the individual surrendered their option agreement, the company does not owe them anything should the options become more valuable.
Therefore, it is important for individuals to understand the repurchase plan for unvested options before they decide to early exercise their options. Without a repurchase plan in place, the individual may be putting their options at risk by early exercising them.
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Why is competitive advantage more likely to spring from intangible rather than tangible assets?
A competitive advantage is more likely to spring from intangible assets than tangible assets because intangible assets provide greater value to the company than tangible assets.
Competitive advantage is the advantage that a company has over its competitors that allows it to outperform them in the market. A company's intangible assets are resources that can't be touched or seen. These resources include a company's brand name, reputation, intellectual property, patents, copyrights, trade secrets, and customer relationships. These intangible assets are more valuable to the company than tangible assets because they are more difficult to replicate.
Tangible assets are resources that can be touched and seen. These resources include a company's plant and machinery, land, inventory, and buildings. Tangible assets can be easily replicated, making them less valuable to a company in terms of competitive advantage.
A company's intangible assets can provide it with a competitive advantage because they help the company to differentiate itself from its competitors. For example, a company's brand name can help it to stand out in a crowded market. Intellectual property can help a company to protect its innovations from being copied by competitors. Patents can give a company exclusive rights to produce and sell a product or service for a period of time. Trade secrets can give a company a unique advantage in terms of know-how or expertise. Finally, customer relationships can help a company to build a loyal customer base that will keep coming back for more, even if competitors offer similar products or services.
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impairment losses on property, plant and equipment are normally reported on the income statement as:
Impairment losses on property, plant, and equipment are typically reported as an expense on the income statement.
What is Impairment losses on property, plant, and equipment?Impairment losses on property, plant, and equipment refer to a decrease in the value of these long-term assets due to a significant and/or unexpected decline in their fair market value or usefulness.
Impairment losses on property, plant, and equipment are typically reported as an expense on the income statement. The expense is recognized when the carrying value of an asset exceeds its recoverable amount, which is the higher of its fair value less costs to sell or its value in use.
The impairment loss is calculated as the difference between the carrying amount of the asset and its recoverable amount. This loss is recognized in the period in which it is identified and is reported as a separate line item on the income statement, typically under the heading "impairment loss on property, plant and equipment."
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nina is a high-performing individual who works best alone. which of the following companies is the most appropriate for her? group of answer choices a company that pays all its employees the same amount of money a company that pays its employees based on their seniority rather than their performance a company that uses an egalitarian pay structure a company that uses a hierarchical pay structure to pay its employees based on performance
Nina, being a high-performing individual, will benefit the most by working in a company that uses a hierarchical pay structure to pay its employees based on performance.
A hierarchical pay structure is the compensation plan in which the employee's position or level determines their compensation. This pay structure is most commonly used in the corporate world.
The seniority-based payment structure, in which an employee is paid more based on their years of service rather than their performance, is out of the question since it is not based on Nina's work ethic.
The Egalitarian pay structure is based on the concept of equal pay for everyone, regardless of their position or work performance. In this case, high-performing employees like Nina may feel de-motivated since they would be paid the same amount as those who are not performing well. Therefore, an egalitarian pay structure is not appropriate in this case.
A company that pays all its employees the same amount of money is not feasible as it does not account for individual performance or work productivity. So, this option is also out of the question.
Therefore, the most appropriate company for Nina is a company that uses a hierarchical pay structure to pay its employees based on performance.
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