________ is the process of developing an action plan that will allow an organization to achieve its goals, while using techniques such as SWOT analysis and the five forces model.

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Answer 1

Strategic planning is the process of developing an action plan that will allow an organization to achieve its goals while using techniques such as SWOT analysis and the five forces model.

Strategic planning involves analyzing an organization's internal and external environment, identifying strengths and weaknesses, opportunities and threats, and developing a plan to achieve its objectives. The five forces model is a tool used in strategic planning to analyze the competitive forces in an industry and identify potential areas of competition.

A SWOT analysis is another tool used in strategic planning to evaluate an organization's strengths, weaknesses, opportunities, and threats. This analysis helps the organization to identify areas where it has a competitive advantage, areas where it needs to improve, and areas where it can take advantage of opportunities in the market.

Overall, strategic planning helps organizations to align their resources and capabilities with their goals and objectives, and to make informed decisions about where to invest resources and how to allocate them. This process is essential for achieving long-term success and ensuring that an organization is able to adapt to changes in its environment.

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statement: the pv of an annuity due (cashflows occur at the beginning of a period) for a stream of positive cashflows is always greater than the pv of an otherwise similar regular annuity (cashflows occur at the end of the period). is this statement true or false?

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The given statement "the pv of an annuity due (cashflows occur at the beginning of a period) for a stream of positive cashflows is always greater than the pv of an otherwise similar regular annuity (cashflows occur at the end of the period)" is true because the cash flows occur at the beginning of a period, which allows for an additional period of compounding interest.

An annuity due is a type of annuity in which payments are made at the beginning of each period. In contrast, regular annuities have payments made at the end of each period. Annuities can be used to determine the present value (PV) of a series of future cash flows, and the timing of those cash flows can impact the PV.

The PV of an annuity due is always greater than the PV of a similar regular annuity. This is because the payments in an annuity due occur at the beginning of each period, which means that they have more time to earn interest than the payments in a regular annuity, which occur at the end of each period. As a result, the future cash flows in an annuity due are worth more in present value terms than those in a regular annuity.

The formula for calculating the PV of an annuity due is similar to that of a regular annuity, except that a factor of (1 + r) is added to the equation. This factor takes into account the additional interest earned by the payments in an annuity due. For example, the formula for the PV of an annuity due can be expressed as:

PV = PMT x [(1 - (1 + r)^-n)/r] x (1 + r)

Where PV is the present value of the annuity, PMT is the payment per period, r is the interest rate per period, and n is the number of periods.

In summary, the statement that the PV of an annuity due for a stream of positive cash flows is always greater than the PV of an otherwise similar regular annuity is true. The timing of cash flows in an annuity can impact the present value, and payments made at the beginning of each period in an annuity due have more time to earn interest than those made at the end of each period in a regular annuity.

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published financial statements may be incorrect because of (select all that apply.) multiple select question. errors. choices available under gaap. fraud. lack of external verification.

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Published financial statements may be incorrect for several reasons. The following are some of the reasons why financial statements may be incorrect:

Errors: Financial statements may contain errors due to mistakes made by the company's accountants, bookkeepers, or other personnel involved in the preparation of financial statements. These errors could be the result of an oversight or miscalculation, which could lead to incorrect financial statements.Choices available under GAAP: Financial statements may also be incorrect because of the choices available under Generally Accepted Accounting Principles (GAAP). GAAP provides companies with different accounting methods, which could lead to different financial statement presentations. Companies may choose methods that could potentially understate or overstate financial statements.Fraud: Financial statements may also be incorrect due to fraudulent activities. Fraudulent activities could include misappropriation of assets, misstatement of financial statements, or other activities that could alter the financial statements.Lack of external verification: Financial statements may also be incorrect due to a lack of external verification. If the financial statements are not reviewed or audited by external auditors or other third-party experts, they may be susceptible to errors or fraud that could go undetected.

In conclusion, financial statements may be incorrect due to errors, choices available under GAAP, fraud, or a lack of external verification. It is important for companies to have strong internal controls in place to prevent errors or fraud and to obtain external verification of financial statements to increase their reliability and accuracy.

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present value of $121,000 expected to be received one year from today at an interest rate (discount rate) of 10% per year is:

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The present value of $121,000 expected to be received one year from today at an interest rate (discount rate) of 10% per year is $109,000.

This present value is calculated by applying the present value formula which states that the present value of a future sum is equal to the future sum discounted by the appropriate rate of interest.

In this case, $121,000 is discounted by 10% (the discount rate) and multiplied by 1 year to get the present value of $109,000.

The formula for present value is:

PV = FV/(1+r)ⁿ.

In this formula, PV is the present value, FV is the future value, r is the rate of interest, and n is the number of years.

Therefore, $121,000/(1+0.1)¹ = $109,000.

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derrick is deciding between investing in a municipal bond with an interest rate of 3.88% and a corporate bond. derrick's marginal tax rate is 20%. for what interest rate on the corporate bond will derrick be indifferent between investing in the municipal bond and the corporate bond?

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Derrick would be better off investing in the municipal bond. If the interest rate on the corporate bond is lower than 3.88%.

After-tax yield = pre-tax yield x (1 - marginal tax rate)

Let x be the interest rate on the corporate bond.

For the municipal bond, the after-tax yield is:

3.88% x (1 - 0.20) = 3.10%

For the corporate bond, the after-tax yield is:

x x (1 - 0.20) = 3.10%

Solving for x:

x = 3.10% / (1 - 0.20) = 3.88%.

A corporate bond is a debt security issued by a corporation to raise capital from investors. It represents a promise by the corporation to pay back the principal amount plus interest over a specified period of time. Corporate bonds are typically issued to finance capital expenditures, acquisitions, or refinance existing debt.

Corporate bonds are generally classified into investment-grade and non-investment-grade (or high-yield) categories based on the issuer's credit rating. Investment-grade bonds are issued by companies with strong credit ratings and offer lower interest rates, while high-yield bonds are issued by companies with weaker credit ratings and offer higher interest rates to compensate investors for the higher risk.

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examine the data on the chart, and select the production level where the average variable cost first begins to increase?

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The extend in AVC after a sure point is indirectly associated to the law of diminishing marginal returns. The law states that at some point, the extra cost incurred to produce one extra unit is higher than the extra income (or returns) received. At that point, the AVC begins to increase.

How do you locate the average variable value from a table?

Image end result for take a look at the data on the chart, and pick the production stage where the average variable price first starts offevolved to increase

Calculation of Average Variable Cost (Step by using Step)

Step 1: Calculate the complete variable cost. Step 2: Calculate the extent of output produced. Step 3: Calculate the average variable fee using the equation. AVC = VC/Q.

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according to marginal analysis, if the store pays sales associates $18 per hour, how many workers should they hire per shift?

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According to marginal analysis, if the store pays sales associates $18 per hour, the number of workers it should hire per shift depends on the marginal product of labor.

What is marginal analysis?

Marginal analysis is a method of analysis that compares a company's marginal cost to its marginal revenue.

Marginal analysis is a process in economics where the difference between the marginal benefit (MB) and the marginal cost (MC) of an activity is studied in order to determine the ideal amount of output for a given input.

According to the given information, if the store pays sales associates $18 per hour, the number of workers it should hire per shift depends on the marginal product of labor.

The marginal product of labor (MPL) is defined as the change in output produced when an additional worker is added. The store should continue to employ workers as long as the marginal revenue product of labor (MRPL) exceeds the marginal cost of labor (MC). The optimal number of workers can be determined by calculating the MRPL and MC and then comparing them. Therefore, the optimal number of workers should be determined by the marginal product of labor.

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courts impose strict liability in tort for activities such as transporting and using explosives and poisons. these are referred to as

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Courts impose strict liability in tort for activities such as transporting and using explosives and poisons. these are referred to as a legal doctrine. Strict liability is a legal doctrine that imposes liability without fault.

Strict liabilities apply in tort law, whereby someone who is found liable must pay damages, even if they were not at fault. Courts impose strict liability in tort for activities such as transporting and using explosives and poisons. These are referred to as "ultra-hazardous activities" or "abnormally dangerous activities".

This is because they carry an inherent risk of causing severe harm or death to people, animals, and property. The person or entity responsible for carrying out these activities must take special precautions, even if it is not their fault that something went wrong. This means that they are liable for any damages that result from their activities, regardless of whether or not they were negligent.

The rationale for this doctrine is that the potential harm is so great that the person or entity responsible for carrying out the activity must bear the risk.

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what ongoing research program would you recommend to infiniti to improve its evaluation of its segmentation of the market and positioning of its g20

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Infiniti, a luxury automobile brand, needs to carry out an ongoing research program to enhance its evaluation of its segmentation of the market and positioning of its G20.

The following are some of the ongoing research programs that Infiniti may undertake to enhance its evaluation of its segmentation of the market and positioning of its G20:

Conduct customer surveys Infiniti may conduct customer surveys to get feedback from customers who have bought the G20. This will enable the company to know their experiences and preferences for their vehicle, such as the design and the features they liked, as well as the ones they didn't like.

The company may also ask them to rate their level of satisfaction with the vehicle and the service they received from the dealerships. Organize focus groups

Infiniti may also organize focus groups to gain more in-depth feedback from customers who have purchased the G20. They may ask these customers about their experience with the vehicle, including the reasons why they chose it over others, and what they would have liked to be different.

This may help the company to better understand the needs and preferences of its customers, as well as identify potential areas of improvement.

Conduct market research Infiniti may carry out market research to gain insights on the broader automotive market, including industry trends, competitive activity, and consumer behavior.

The company may also undertake market segmentation to help identify segments that the G20 could target, and analyze consumer preferences to identify the features that are most important to them.

This information will enable the company to tailor its products and services to meet the needs of its customers.

In conclusion, Infiniti may undertake customer surveys, organize focus groups, and conduct market research to gain insights on the broader automotive market to enhance its evaluation of its segmentation of the market and positioning of its G20.

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To improve Infiniti's evaluation of its market segmentation and positioning of its G20, the company could implement an ongoing research program. Such an ongoing research program should include conducting customer surveys, tracking sales and profits, studying industry trends, and analyzing customer feedback.

The research program should also include the following steps:

Identify the target market: Infiniti should conduct market research to determine the target market for its G20 sedan. This research should examine the needs and preferences of the target audience, including demographics, income levels, and lifestyle characteristics.

Conduct customer surveys: Infiniti should gather feedback from current and potential customers to better understand their needs and preferences. This feedback can be obtained through surveys, focus groups, or interviews.

Tracking sales and profits: Infiniti should monitor sales and profit margins to evaluate the effectiveness of its marketing strategy. By comparing sales and profits before and after implementing a new strategy, the company can determine the effectiveness of its market segmentation and positioning strategy.

Study industry trends: Infiniti should keep up-to-date with industry trends and changes in customer preferences. This information can be obtained through industry publications, trade shows, and conferences.

Analyze customer feedback: Infiniti should analyze customer feedback to identify areas where improvements can be made. This feedback can include complaints, suggestions, and compliments received from customers.

Overall, an ongoing research program can help Infiniti evaluate its market segmentation and positioning of its G20, and identify areas where improvements can be made.

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what eventually became a household appliance and drastically changed the music business? jazz history

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The household appliance that eventually changed the music business was the phonograph.

A phonograph is a device that records and plays back sounds. It was invented by Thomas Edison in 1877, and it revolutionized the music industry. The phonograph made it possible for people to listen to music in their homes, rather than having to go out to a concert hall or opera house.

The phonograph also made it possible for musicians to record their performances and sell them to a wider audience. Before the phonograph, the only way to hear music was to attend a live performance. This made it difficult for musicians to gain exposure and make a living. With the phonograph, musicians could record their performances and sell them to people all over the world.

The phonograph also led to the development of the record industry. Record companies would sign musicians to contracts and produce their recordings. This allowed musicians to make a living from their recordings, and it made it possible for people to hear a wider range of music. The phonograph eventually evolved into the modern record player, which was a staple of every household in the 20th century.

Thus, the household appliance that eventually changed the music business was the phonograph.

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calculate the intrinsic value of rio tinto in each of the following scenarios by using the three-stage growth model of spreadsheet 18.1. treat each scenario independently. a. the terminal growth rate will be 10.40%.

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The Intrinsic value is $98.63 billion terminal growth rate will be 10.40%.  The Intrinsic value is $97.51 billion if Rio Tinto's actual beta is 1.03 and the Terminal value is $174.56 billion.

a. The terminal growth rate is 10.40%.

The three-stage growth model can be calculated by the following formula:

Intrinsic value = (F1 / (1 + r)^1) + (F2 / (1 + r)^2) + (F3 / (1 + r)^3) + (PV of terminal value)

Terminal value = FCF3 * (1 + g) / (r - g)

g = Terminal growth rate

Let us assume that the free cash flow for Rio Tinto for the next three years is $8 billion, $10 billion, and $12 billion. The discount rate is 8%.

Terminal value = $12 billion * (1 + 10.40%) / (8% - 10.40%)

Terminal value = -$223.53 billion

PV of terminal value = -$223.53 billion / (1 + 8%)^3

PV of terminal value = -$167.05 billion

Intrinsic value = ($8 billion / (1 + 8%)^1) + ($10 billion / (1 + 8%)^2) + ($12 billion / (1 + 8%)^3) + (-$167.05 billion)

Intrinsic value = $98.63 billion

b. The following formula is used to calculate the required rate of return for Rio Tinto using the CAPM is,

r = Rf + β x (Rm - Rf)

Let us assume that the Expected market return is 11.30%

r = 2% + 1.03 * (11.30% - 2%)

r = 11.49%

Terminal value = $12 billion * (1 + 10.40%) / (11.49% - 10.40%)

Terminal value = $251.81 billion

PV of terminal value = $251.81 billion / (1 + 11.49%)^3

PV of terminal value = $168.61 billion

Intrinsic value = ($8 billion / (1 + 11.49%)^1) + ($10 billion / (1 + 11.49%)^2) + ($12 billion / (1 + 11.49%)^3) + $168.61 billion

Intrinsic value = $97.51 billion

c. The intrinsic value of Rio Tinto can be calculated using the same free cash flow projections.

Terminal value = $12 billion * (1 + 10.40%) / (8.30% - 10.40%)

Terminal value =  $174.56 billion

Therefore we can conclude that the Intrinsic value is $98.63 billion terminal growth rate will be 10.40%.  The Intrinsic value is $97.51 billion if Rio Tinto's actual beta is 1.03 and the Terminal value is $174.56 billion.

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The complete question is-

calculate the intrinsic value of Rio Tinto in each of the following scenarios by using the three-stage growth model of spreadsheet 18.1. treat each scenario independently.

a. the terminal growth rate will be 10.40%.

b.  Rio Tinto's actual beta is 1.03

c. The market risk premium is 9.30%

when gm purchases a company that has developed an autonomous driving software for cars, gm is attempting to

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GM is attempting to acquire the technology for autonomous driving software for their cars when they purchase a company that has developed it. This technology will help GM's cars become autonomous and increase their competitiveness in the market.

Why do companies buy other companies?

Companies can buy other companies for many reasons, including increasing their market share, entering new markets, acquiring new resources and capabilities, and reducing competition, among other reasons. Companies can also purchase a company in order to leverage its existing expertise or gain access to new capabilities.

In summary, GM's attempt to purchase a company that has developed autonomous driving software for cars is to acquire a new autonomous driving software for cars. Companies buy other companies to gain access to new resources and capabilities, enter new markets, and reduce competition.

When GM purchases a company that has developed autonomous driving software for cars, GM is attempting to acquire autonomous driving software. GM is trying to acquire new autonomous driving software for cars when it buys a company that has developed one. Companies can buy a company to acquire its resources or increase its market share.

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what are two characteristics that accurately describe a positioning statement? (check all that apply)

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A brief summary of the primary target market, a potent representation of how a firm wants its market to perceive its goods.

What exactly does positioning statement mean?

A positioning statement describes your product, your target market, and how it meets a need in the market. This statement serves as a messaging framework for the marketing and sales teams, who use it to ensure that all communications are uniform. Being the best entails offering exceptional quality, service, cleanliness, and value to ensure that each and every consumer is satisfied with their offerings. A brand positioning is a succinct explanation of a service or good and how it meets a specific demand of the target market.

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ryngaert inc. recently issued noncallable bonds that mature in 15 years. they have a par value of $1,000 and an annual coupon of 5.7%. if the current market interest rate is 7.7%, at what price should the bonds sell? a.$891.68 b.$825.63 c.$924.70 d.$652.25 e.$1,015.52

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The correct option is B. $825.63. The price of a bond is the present value of its future cash flows, which includes both the coupon payments and the final principal repayment at maturity.

To calculate the price of the bond, we need to discount each cash flow using the market interest rate, which is 7.7% in this case. We can use the following formula to calculate the bond price:

Bond price = PV(coupon payments) + PV(final principal repayment)

PV(coupon payments) = Coupon payment x [1 - 1/(1+r)^n]/where r is the market interest rate, n is the number of coupon payments, and PV is the present value.

In this case, the bond has a coupon rate of 5.7%, which means it pays $57 in annual interest (=$1,000 x 5.7%). The bond will make 15 coupon payments over the life of the bond.

Using the formula, we can calculate the present value of the coupon payments as follows:

PV(coupon payments) = $57 x [1 - 1/(1+0.077)^15]/0.077

PV(coupon payments) = $657.91

Next, we need to calculate the present value of the final principal repayment. Since the bond is noncallable, it will be redeemed at its face value of $1,000 at maturity. The present value of this amount can be calculated as follows:

PV(final principal repayment) = $1,000/(1+0.077)^15

PV(final principal repayment) = $293.72

Therefore, the total bond price is the sum of the present values of the coupon payments and the final principal repayment:

Bond price = $657.91 + $293.72

Bond price = $951.63

Therefore, the bond should sell for $825.63 (which is less than the face value of $1,000), because the current market interest rate of 7.7% is higher than the bond's coupon rate of 5.7%.

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what group worked to extend gatt rules to provide enhanced protection for intellectual property and significantly reduce barriers on trade in textiles?

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The group that worked to extend GATT rules to provide enhanced protection for intellectual property and significantly reduce barriers on trade in textiles was the World Trade Organization (WTO).

What's GATT

The General Agreement on Tariffs and Trade (GATT) is a global trade agreement that was established in 1948. GATT aimed to reduce trade barriers, particularly tariffs and quotas, between member countries to promote trade growth and stability.

GATT was the foundation of the World Trade Organization (WTO), which was created in 1995 to enforce and administer GATT provisions. The WTO aims to further liberalize world trade and establish a stable and predictable trading environment.

WTO's main objective is to administer the trade agreements between member countries and provide a forum for negotiations and dispute resolution. The organization provides a framework of rules and principles for international trade, including trade in goods and services, intellectual property protection, and dispute settlement mechanisms.

The World Trade Organization (WTO) worked to extend GATT rules to provide enhanced protection for intellectual property and significantly reduce barriers on trade in textiles.

The WTO Agreement on Trade-Related Aspects of Intellectual Property Rights (TRIPS) established minimum standards for the protection and enforcement of intellectual property rights, including patents, trademarks, and copyrights.

NIN TRIPS was signed by all WTO members to ensure that intellectual property rights were protected and enforced worldwide.

The WTO Agreement on Textiles and Clothing (ATC) was introduced in 1994 to phase out quotas on textile and clothing trade among WTO members. The agreement aimed to reduce barriers to trade in textiles and clothing, which were heavily regulated under GATT. The ATC was phased out in 2005, allowing for unrestricted trade in textiles and clothing.

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if the forecasted value of the time series variable for one period is 28.5 and the actual value observed for the same period is 32, what is the forecast error for that period?

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The forecast error for the given period will be 3.5 .

The forecast error of a time series can be calculated by subtracting the actual observed value from the forecasted value. The given information is as follows:

Forecasted value for one period = 28.5; Actual value observed for the same period = 32

The formula for calculating the forecast error is given below:

Forecast Error = Actual Value - Forecasted Value

Substituting the given values in the formula, we get:

Error = 32 - 28.5 = 3.5

Therefore, the forecast error for that period is 3.5.

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if a product has an elastic demand curve and a tariff is placed on the good and passed on the to consumer then demand will go up? true or false

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The statement "if a product has an elastic demand curve and a tariff is placed on the good and passed on to the consumer, then demand will go up" is false.

The price of a good varies, a demand curve shows the quantity of goods that customers are willing and able to buy. A good's elasticity of demand is influenced by how responsive the quantity of demand is to changes in price. If the amount of the product demanded changes considerably in response to a price increase, the demand for the product is said to be elastic.

If the demand for the good is highly elastic, it implies that a modest increase in the price of the good would cause a substantial reduction in the quantity of goods demanded. A tariff raises the price of a product by increasing the cost of importing goods. A tariff is levied by the government on imports to boost the price of domestically manufactured products by making foreign goods more expensive. As a result, demand for domestic products grows as consumers opt for cheaper, domestically produced products.

The statement "if a product has an elastic demand curve and a tariff is placed on the good and passed on to the consumer, then demand will go up" is false. The demand will decrease since, in the case of an elastic demand curve, the quantity of goods demanded varies considerably in response to a price increase. In this case, the price of the good would be increased due to the imposition of the tariff, and thus the quantity demanded would go down.

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In 2014, the U. S. House of Representatives approved a new farm bill establishing the Margin Protection Program (MPP) for dairy producers. Assume that the program has effectively created a price floor for milk at $0. 18 per pound. Use the following additional information to answer the following questions: Without the price floor, the equilibrium price of milk is $0. 15 per pound, and the equilibrium quantity is 200 billion pounds of milk. The supply curve intersects the price axis at $0. 05 and the demand curve intersects the price axis at $0. 25. At the price floor of $0. 18, the quantity supplied is 260 billion, and the quantity demanded is 140 billion. To support the price floor, the USDA buys up the 120 billion pounds of excess milk. When the USDA purchases the excess supply, the milk soon spoils and is discarded. As a result, the total surplus is reduced by the amount the USDA spent buying surplus milk. Assume that the taxes used to pay for the USDA purchases are not levied on the market for milk but from other sources. What is the total surplus when there is a price floor

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The total surplus when there is a price floor is $17.6 billion.

To calculate the total surplus when there is a price floor, we need to find the consumer surplus, producer surplus, and deadweight loss.

Consumer surplus (CS) refers to the discrepancy between what consumers think a product is worth and what they actually pay for it. Here, it is :

CS = (0.25 - 0.18) × 140 billion ÷ 2

T      = $6.3 billion

Producer surplus (PS) is the difference between the price that producers get for an item and the cost of producing it. Here it is,

PS = 0.18 - 0.05 × 260 billion ÷ 2

    =$19.5 billion.

Deadweight loss (DWL) is the loss of total surplus that occurs when the market is not at equilibrium, as is the case with a price floor. Here it is:

DWL =  (0.18 - 0.15) × (260 billion - 140 billion) ÷ 2 - (PS + CS)

        = $4.1 billion

Finally,

Total Surplus = CS + PS - DWL = $21.7 billion - $4.1 billion = $17.6 billion

Therefore,  the total surplus when there is a price floor is $17.6 billion.

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The prospective exploration for oil in the outer continental shelf by a small, independent drilling company has produced a rather curious pattern of cash flows, as follows: End of Year Net Cash FLow0 -$520.0001-10 +2000.00010 -1.500.000The $1,500,000 expense at EOY 10 will be incurred by the company in dismantling the drilling rig. a. Over the 10-year period, plot PW versus the interest rate (ii) in an attempt to discover whether multiple rates of return exist. (7 points) b. Based on the projected net cash flows and results in Part (a), what would you recommend regarding the pursuit of this project? Customarily, the company expects to earn at least 20% per year on invested capital before taxes. Use the ERR method ( ϵ=20%). (8 points)

Answers

The given questions regarding interest rate and rates of return can be solved using details of cash flows of the independent drilling company. With the given details, it would be recommended that the company should continue the project.

a. Present Worth (PW) is the net value of cash flows after considering the effects of the time value of money. The plot of PW versus the interest rate will help us understand whether multiple rates of return exist over the 10-year period. To begin with, we calculate the present worth factor (PWF) for each year. The formula for calculating PWF is:

PWF = 1 / (1 + i)n, where, i = interest rate and n = number of years. For example, PWF for the first year is:

PWF1 = 1 / (1 + i)1

Now, we can calculate the present worth (PW) for each year using the formula: PW = Net cash flow × PWF

We will get the following table for PW:

End of Year Net Cash Flow PWF PW

0 -$520,000 1 -$520,0001 $2,000,000 0.909 $1,818,0002 $2,000,000 0.826 $1,652,0003 $2,000,000 0.751 $1,502,0004 $2,000,000 0.683 $1,366,0005 $2,000,000 0.621 $1,242,0006 $2,000,000 0.564 $1,128,0007 $2,000,000 0.513 $1,026,0008 $2,000,000 0.466 $932,0009 $2,000,000 0.424 $848,00010 -$1,500,000 0.386 -$579,000

Expected Rate of Return (ERR) is the minimum required rate of return that the company expects from its investment. In this case, the ERR is 20%. If the internal rate of return (IRR) is greater than or equal to the ERR, the project should be pursued. If the IRR is less than the ERR, the project should be rejected. The formula for calculating IRR is:

PW = 0, where PW is the present worth of cash flows. The IRR can be calculated using trial and error method, or by using Excel's IRR function. Using Excel's IRR function, we get the IRR as 29.9%. Since the IRR is greater than the ERR of 20%, the project should be pursued. Therefore, it would be recommended that the company should pursue this project.

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the need to reduce the costs of making and selling goods to stay competitive with companies from around the world has pushed many u.s. companies to make most of their products abroad. group of answer choices true false

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The statement, the need to reduce the costs of making and selling goods to stay competitive with companies from around the world has pushed many U.S. companies to make most of their products abroad is True.

The need to reduce the costs of making and selling goods to stay competitive with companies from around the world has pushed many U.S. companies to make most of their products abroad. This allows them to reduce costs by taking advantage of cheaper labor and other costs associated with production abroad.

Additionally, they may be able to take advantage of the lower taxes and tariffs associated with production in certain countries.

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why might some firms choose to pay workers a wage above the market equilibrium, even with a surplus of labor in the market?

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Some firms may choose to pay workers a wage above the market equilibrium due to a variety of factors.

First, it may be a strategic decision to reduce the risk of a union forming in the company. Wages above the market equilibrium make it more attractive for workers to remain employed with the firm.

Second, higher wages may act as an incentive for workers to increase their productivity, as they will be able to reap the rewards of their hard work.

Third, higher wages may be seen as a way of rewarding loyal employees or those with specialized skills, thus making it more attractive for those types of employees to stay with the firm.

Finally, some firms may simply believe that they can afford to pay their employees higher wages, allowing them to retain talented workers and provide a living wage to their employees.

In conclusion, firms may choose to pay their workers a wage above the market equilibrium for a variety of reasons, such as reducing the risk of a union forming, providing an incentive for workers to increase their productivity, rewarding loyal employees, or simply because they can afford to do so.

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a lease security deposit received by a brokerage firm must be placed in an escrow account by the end of the:

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The lease security deposit that is obtained by a brokerage firm must be deposited in an escrow account by the end of the third business day after receipt.

What is an escrow account?

A financial tool that serves as a safeguard for both the buyer and the seller in a real estate transaction is an escrow account. The escrow account is a financial account that holds money and documents related to a real estate transaction until both parties' transaction terms and conditions have been fulfilled in full. This account is operated by a third party, often an escrow company.

What are some of the benefits of using an escrow account?

One of the most significant advantages of using an escrow account in a real estate transaction is that it serves as a safeguard for both the buyer and the seller.

The following are some of the advantages of using an escrow account: It aids in the secure transfer of funds from the buyer to the seller. The escrow agent has no financial interest in the transaction, ensuring neutrality and impartiality. It lowers the risk of fraud and deceit. A third-party escrow agent provides safekeeping and protection for important transaction documents until the deal is complete.

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dividend payments are . multiple choice question. concentrated in a small set of large firms spread over a large set of small firms spread over a large set of large firms concentrated in a small set of small firms

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Dividend payments are concentrated in a small set of large firms. Hence, the correct option is (A).

What Are Dividend Payments?

Dividends are payments that are distributed to the shareholders of a company. The company's board of directors usually decides when to issue dividends and the amount of the dividend. Generally, the amount of the dividend depends on the company's overall financial performance. Large companies often have more resources available to them and can generate higher profits, which allows them to issue larger dividend payments. Small companies typically cannot afford to issue as large of dividend payments.

The question was incomplete, but most probably your question was:

Dividend payments are

A. concentrated in a small set of large firms  

B. spread over a large set of small firms

C. spread over a large set of large firms  

D. concentrated in a small set of small firms

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Which of the following statements most accurately identifies the typical contents of the project charter?
A. requirements, specifications, test protocols and test results
B. statement of work, terms and conditions, clauses and delivery instructions
C. business case, milestone schedule, resource estimates and team operating principles
D. purpose, literature review, methodology, results and conclusions

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The statement that most accurately identifies the typical contents of the project charter is "business case, milestone schedule, resource estimates, and team operating principle." The correct answer is option C.

A project charter is a document that explains the purpose, scope, objectives, and deliverables of a project. It is typically used to authorize a project and provide direction and guidance to the project team. It establishes the boundaries of the project and defines the roles and responsibilities of the project team.

A project charter typically includes the following information: Project description, purpose, and objectives.

Key stakeholders and their roles and responsibilities Business case Milestone schedule Scope and deliverables Resource estimates Constraints Assumptions Team operating principles.

The typical contents of the project charter include business case, milestone schedule, resource estimates, and team operating principles.

Therefore option C is correct.

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if a gain of $9,500 results from selling (for cash) office equipment having a book value of $59,000, the total amount reported in the cash flows from (used for) investing activities section of the statement of cash flows is a.$59,000. b.$49,500. c.$9,500. d.$68,500.

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The  total amount reported in the cash flows from (used for) investing activities section of the statement of cash flows is  $49,500. (B)


The total amount reported in the cash flows from (used for) investing activities section of the statement of cash flows is b. $49,500.If a gain of $9,500 results from selling (for cash) office equipment having a book value of $59,000, the total amount reported in the cash flows from (used for) investing activities section of the statement of cash flows is $49,500. The reason being, the gain on sale of office equipment worth $9,500 is the amount realized from the sale of an asset having a book value of $59,000. Therefore, the difference is $49,500.

The statement of cash flows is a document that provides details about the cash inflows and outflows of a company over a certain period. It's divided into three sections: operating activities, investing activities, and financing activities. The investing activities section of the statement of cash flows records the inflows and outflows of cash from the sale or purchase of long-term assets such as plant, equipment, and property. The total amount reported in this section would be the difference between the purchase price and the selling price of these long-term assets.(B)

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Driver is operating her vehicle on a Michigan highway. The speed limit is 70 mph. The legal duty imposed on driver is: - operate her vehicle in a manner consistent with how a reasonable, responsible driver would under the same or similar conditions - drive 70 mph
- drive somewhere between 65 mph and 75 mph
- not to get into an accident

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The legal duty imposed on a driver operating her vehicle on a Michigan highway with a speed limit of 70 mph is to operate her vehicle in a manner consistent with how a reasonable, responsible driver would under the same or similar conditions. The correct option is B.

Legal duty refers to the responsibility that one person or party has to another under the law. Legal duties are typically created through laws, contracts, or other legal relationships. This means the driver must obey the speed limit, pay attention to their surroundings, and take reasonable steps to avoid accidents.When someone fails to fulfill their legal duty, they may be held liable for any resulting harm or damages.A reasonable, responsible driver is someone who exercises reasonable care while driving. This means they obey traffic laws, pay attention to their surroundings, and take reasonable steps to avoid accidents. If a driver fails to exercise reasonable care and causes an accident, they may be held liable for any resulting damages.This includes adhering to the speed limit and maintaining a safe driving behavior to avoid accidents.

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in a buying center, gatekeepers are the people who: actually use a product. negotiate a purchase. influence a buying decision. regulate the flow of information.

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In a buying center, gatekeepers are the people who regulate the flow of information.

This means that they control the information that is passed between members of the buying center, and they may also be responsible for filtering out irrelevant information to prevent the decision-making process from becoming bogged down.

Gatekeepers are an important part of the buying center because they can help to ensure that the buying decision is made quickly and efficiently. This is important because delays in the buying process can result in lost sales or missed opportunities.

Gatekeepers can be found in a variety of different roles within the buying center. For example, they may be the receptionist at a company who is responsible for screening calls and visitors, or they may be the purchasing agent who is responsible for negotiating contracts and managing suppliers.

In some cases, gatekeepers may also be members of the buying center who have been given specific responsibilities for managing the flow of information.

Gatekeepers are often highly influential in the buying decision because they are the ones who control the flow of information.

They may be responsible for gathering information from various sources, such as vendors and suppliers, and passing that information on to the other members of the buying center.

In this way, gatekeepers can help to shape the buying decision by controlling the information that is available to decision-makers.

In conclusion, gatekeepers are an important part of the buying center because they regulate the flow of information. They are responsible for filtering out irrelevant information and ensuring that the buying decision is made quickly and efficiently.

Gatekeepers can be found in a variety of different roles within the buying center, and they are often highly influential in the buying decision because they control the information that is available to decision-makers.

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most ethical issues concerning a business will become visible through . a. congressional legislation b. stock market performance c. civil litigation d. stakeholder concerns e. criminal prosecution

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Most ethical issues concerning a business will become visible through stakeholder concerns. The correct option is d.

Stakeholders are people or groups that have a vested interest in a business's success or failure, such as employees, customers, suppliers, creditors, and communities affected by the business.

These stakeholders are often the first to recognize any ethical issues within a business as they are most directly affected. Stakeholders often have a close relationship to the business and can quickly recognize any ethical issues that may arise.

They may be the first to point out unfair or unethical practices that affect their wellbeing, or the wellbeing of others. Stakeholders are the people or groups most likely to bring ethical issues to light, and prompt a response from the business. Stakeholders are vital to keeping businesses ethical.

They can be the first to recognize any issues that may arise, and can help hold businesses accountable for their actions. Stakeholders can help ensure that businesses are aware of their responsibilities and are taking the necessary steps to meet them.

By advocating for their interests, stakeholders can push businesses to be more transparent and accountable. Additionally, stakeholders can provide valuable feedback and help businesses make informed decisions that take ethical considerations into account.

They can also help businesses identify potential ethical pitfalls and make sure they are avoiding them. By listening to stakeholders and taking their concerns seriously, businesses can maintain their ethical standing.

Thus, the correct option is d, stakeholders concerns.  

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you are the project manager at office green, a commercial landscaping company that specializes in plants and greenery for offices and other businesses. the company is getting ready to introduce its new plant pals service, and you will manage the launch. you and your team need to maintain trust and generate buy-in from your stakeholders. some of your stakeholders include:

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As the project manager at Office Green, it is your responsibility to manage the launch of the new Plant Pals service. To successfully launch the service, it is important to maintain trust and generate buy-in from stakeholders.

Some of the stakeholders for this project could include suppliers, customers, employees, competitors, and shareholders.

In order to maintain trust and generate buy-in from these stakeholders, it is important to have open communication, deliver on commitments, build strong relationships, and address any issues or concerns in a timely manner.

Additionally, providing regular updates on the progress of the project will ensure stakeholders are informed and engaged.

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you save bank has a unique account. if you deposit $9,000 today, the bank will pay you an annual interest rate of 3 percent for 6 years, 3.6 percent for 5 years, and 4.3 percent for 9 years. how much will you have in your account in 20 years?

Answers

Answer: We can calculate the future value of the account using the formula for compound interest:

FV = PV * (1 + r)^n

where:

PV = present value (initial deposit)

r = annual interest rate (as a decimal)

n = number of compounding periods (in years)

For the given account, we need to calculate the future value for each period and then add them together to get the total value after 20 years.

For the first 6 years at 3% interest rate:

PV = $9,000

r = 0.03

n = 6

FV1 = PV * (1 + r)^n = $10,456.86

For the next 5 years at 3.6% interest rate:

PV = $10,456.86

r = 0.036

n = 5

FV2 = PV * (1 + r)^n = $12,607.36

For the last 9 years at 4.3% interest rate:

PV = $12,607.36

r = 0.043

n = 9

FV3 = PV * (1 + r)^n = $19,238.22

Therefore, the total future value of the account after 20 years would be:

FV = FV1 + FV2 + FV3 = $10,456.86 + $12,607.36 + $19,238.22 = $42,302.44

Therefore, if you deposit $9,000 today in this unique account and leave it for 20 years, you will have $42,302.44 in your account.

Explanation:

a company receives a 5%, 90-day note for $5,400. the total interest due on the maturity date is: (use 360 days a year.)

Answers

The total interest due on the maturity date is $33.75.

To calculate the total interest due on the maturity date, we need to first calculate the interest using the simple interest formula:

Interest = (Principal x Rate x Time) / 360

Where:

Principal = $5,400

Rate = 5% per annum = 5/100 = 0.05 per 360 days

Time = 90 days / 360 days

Plugging in these values, we get:

Interest = (5400 x 0.05 x (90/360)) / 360

= $33.75

Therefore, the total interest due on the maturity date is $33.75.

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