lakeside incorporated produces a product that currently sells for $48 per unit. current production costs per unit include direct materials, $13; direct labor, $15; variable overhead, $8; and fixed overhead, $8. product engineering has determined that certain production changes could refine the product quality and functionality. these new production changes would increase material and labor costs by 20% per unit. required: what would be the incremental profit or loss if lakeside could sell the refined version of its product for $53 per unit? note: do not round your intermediate calculations. round your final answer to 2 decimal places. loss amounts should be indicated with a minus sign. should it be processed further?

Answers

Answer 1

So implementing the production changes would result in a loss of $0.60 per unit. Based on this analysis, it may not be worthwhile to process the product further.

To calculate the incremental profit or loss, we need to first calculate the current total production cost per unit:

Direct materials + Direct labor + Variable overhead + Fixed overhead = $13 + $15 + $8 + $8 = $44 This means that the current profit per unit is $48 - $44 = $4.

If Lakeside were to implement the production changes, the new production cost per unit would be: 20% increase in direct materials cost = $13 x 1.2 = $15.60


20% increase in direct labor cost = $15 x 1.2 = $18 Variable overhead remains the same at $8 Fixed overhead remains the same at $8

If Lakeside were to sell the refined version of the product for $53 per unit, the new profit per unit would be: Sale price - Total production cost per unit = $53 - $49.60 = $3.40

Therefore, the incremental profit or loss for implementing the production changes would be: Incremental profit/loss = New profit per unit - Current profit per unit Incremental profit/loss = $3.40 - $4 = -$0.60 (loss)


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Related Questions

which words describe the context of a procedural document? an. audience, opinion, facts, and genre b. supervisor knowledge, peer knowledge, and customer knowledge done c. purpose, audience, genre, and organization d. how many pages are required to communicate the process

Answers

The correct answer is  option C. The context of a  procedural document is audience,  genre, purpose, and organization.

Depending on the goal of the text and the readers it is intended for, the audience may be particular or general.

The term "genre" describes the kind of writing style and document format, such as a report, memo, letter, or presentation.

Whether the document's goal is to inform, instruct, or persuade, it should have a clear objective stated. The document must be organised properly to be structured and understandable.

Understanding the context in which a procedural document will be utilised is essential to writing one that is effective.

Complete Question:

Which words describe the context of a procedural document?

A. Audience, opinion, facts, and genre

B. Supervisor knowledge, peer knowledge, and customer knowledge

C. Purpose, audience, genre, and organization

D. How many pages are needed to communicate the process

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annalucia is giving a speech on behalf of her company

Answers

Annalucia will be delivering a speech representing her company. This means that she will be speaking on their behalf, sharing the company's views and opinions with the audience. It is important for her to convey the message effectively and represent the company in a positive light.


Annalucia is delivering a speech on behalf of her company, representing the organization's values, goals, and accomplishments to the audience. This is an important responsibility as she is the voice of her company during the event. Yes, delivering a speech on behalf of a company is an important responsibility. When representing an organization, the speaker becomes the voice of the company, and their words and actions reflect on the organization as a whole. Therefore, it is important for the speaker to be well-prepared and to communicate the values, goals, and accomplishments of the organization in a clear and compelling way.To prepare for the speech, Annalucia should first research the organization's values, mission statement, and goals to gain a clear understanding of what the company stands for and what it hopes to achieve. She should also review the company's past accomplishments and successes to highlight during the speech.Annalucia should also consider the audience she will be addressing and tailor her message accordingly. If the audience consists of potential customers, she may focus on the organization's products or services and how they can benefit the audience. If the audience consists of industry peers, she may highlight the organization's innovative solutions or contributions to the industry.

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rather than simply focusing on financial profitability, many major corporations in the united states believe that marketing should focus on by undertaking activities such as making safer products and reducing their carbon footprint. multiple choice question. total sales corporate citizenry market share return on investment

Answers

Rather than simply focusing on financial profitability, many major corporations in the United States believe that marketing should focus on corporate citizenry by undertaking activities such as making safer products and reducing their carbon footprint.

The correct option is b.

Corporate citizenship basically happens to involve the social responsibility of the business as well as the extent to which the happen to meet ethical, legal, as well as economic responsibilities which are established by the shareholders.

Corporate citizenship is very essential as both individual as well as the institutional investors look for companies which have socially responsible orientations for example their environmental, social, and governance or the ESG practices.

Hence, the correct option is option b.

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Your banker has analyzed your company account and has suggested that her bank has a cash management package for you. She suggests that with a concentration banking system, your float can be reduced by four days on average. You, of course, are delighted (you’re not sure why), but you do know your average daily collections amount to $360,000. Your opportunity cost of funds is 8 percent. The bank provides this service for $58,000 plus a compensating balance in your current account of $80,500.
1. is this package worth it?
2. by how much? (annual saving)

Answers

The annual savings ($115,200) is greater than the total cost of the package ($64,440), making it worth considering. The net annual saving is $115,200 - $64,440 = $50,760.

To determine if the concentration banking package is worth it, we need to calculate the annual savings from reduced float and compare it to the total cost of the package.2. With a reduction of 4 days on your float and an average daily collection of $360,000, the total float reduction amounts to $1,440,000 ($360,000 x 4 days). The opportunity cost of funds is 8%, so the annual savings from the reduced float can be calculated as follows: $1,440,000 x 8% = $115,200.Now, let's calculate the total cost of the package.

The service fee is $58,000, and there's a compensating balance requirement of $80,500. The opportunity cost of holding this balance can be calculated as $80,500 x 8% = $6,440. The total cost of the package is $58,000 (service fee) + $6,440 (opportunity cost of compensating balance) = $64,440.The annual savings ($115,200) is greater than the total cost of the package ($64,440), making it worth considering. The net annual saving is $115,200 - $64,440 = $50,760.

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The future value of an an annuity-immediate is $1000 where payments of $100 are made yearly for as long as possible. The effective interest rate is 5%. Find the exact time for this annuity to mature.

Answers

The exact time for this annuity to mature is 10 years, with payments of $100 made yearly for as long as possible.

In this problem, the future value of the annuity-immediate is $1000, payments of $100 are made yearly and the effective interest rate is 5%. Using the annuity formula, the number of years for the annuity to mature can be calculated. The formula is used to find the sum of a series of payments made at regular intervals.

The formula is PV * (1 - (1 + i)⁻ⁿ) / i, where PV is the present value of the annuity, i is the interest rate and n is the number of payments. In this case, PV is $100, i is 5% and the future value is $1000. Solving for n gives us 10. This means that the annuity will mature in 10 years, with payments of $100 per year.

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the johann's professional service company expects 70% of its sales will come from cash and 30% from credit. the company collects 80% of its credit sales in the month following sale, 15% in the second month following sale, and 5% are not collected. expected sales for june, july, and august are $48,000, $54,000, and $44,000, respectively. what are the company's expected total cash receipts in august? a. $ 45,920 b. $ 61,400 c. $ 87,600 d. $100,800 e. none of the above

Answers

The company's expected total cash receipts in August is $45,920.. So, the correct answer is A.

How to calculate the company's expected total cash receipts

Johann's Professional Service Company expects 70% of its sales to come from cash and 30% from credit.

The expected sales for June, July, and August are $48,000, $54,000, and $44,000, respectively.

In August, the cash sales will be 70% of $44,000, which equals $30,800.

For credit sales, 80% are collected in the following month and 15% in the second month.

So, in August, the company will collect:

- 80% of July's credit sales (30% of $54,000):

0.8 x (0.3 x $54,000) = $12,960 - 15% of June's credit sales (30% of $48,000): 0.15 x (0.3 x $48,000) = $2,160

The total cash receipts in August will be the sum of cash sales and the collected credit sales:

$30,800 (cash sales) + $12,960 (July's credit) + $2,160 (June's credit) = $45,920

The correct answer is A. $45,920.

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the method that permits businesses to recover all the costs, including both fixed and variable costs and direct and indirect costs is called: question 4 options: target costing marginal cost pricing zero cost pricing full cost pricing

Answers

The method that permits businesses to recover all the costs, including both fixed and variable costs and direct and indirect costs, is called full cost pricing.

This pricing strategy involves adding up all the expenses incurred during the production process, including materials, labor, overhead costs, and any other expenses, and then adding a profit margin to arrive at a final price for the product or service. Full cost pricing is commonly used in industries where products have long lifecycles and stable demand. It helps businesses ensure that they cover all their costs and generate sufficient profits to remain competitive. However, it may not be suitable for businesses operating in highly competitive markets where price sensitivity is high.

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An individual wishes to have a fixed portion of the portfolio liquidated each month. He or she should elect which type of withdrawal plan?
A. Fixed shares
B. Fixed period
C. Fixed percentage
D. Fixed dollar

Answers

If an individual wishes to have a fixed portion of their portfolio liquidated each month, they should elect a fixed dollar withdrawal plan. This type of withdrawal plan allows the individual to specify the exact amount they want to withdraw from their portfolio each month, regardless of any fluctuations in the portfolio's value.  The correct option is d.

With a fixed dollar withdrawal plan, the individual can maintain a steady income stream and have greater control over their spending. This type of plan is particularly useful for retirees or individuals who are relying on their portfolio for income, as it allows them to budget and plan accordingly.
It's important to note that while a fixed dollar withdrawal plan can provide a steady income stream, it does come with some risks. If the portfolio experiences significant losses, the fixed dollar withdrawals may deplete the portfolio more quickly than anticipated. To mitigate this risk, individuals may want to consider setting a maximum withdrawal rate as a percentage of the portfolio value or adjusting the fixed dollar amount periodically based on the portfolio's performance.
Overall, a fixed dollar withdrawal plan can be a useful strategy for individuals who want a consistent income stream from their portfolio, but it's important to consider the risks and adjust the plan as necessary to ensure long-term sustainability.The correct option is d.

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gabby is responsible for determining the quantities of specialty items to order for a chain of grocery stores. this year, she has ordered extra cases of valentine candy to be held at the distribution center because in years past many of the stores have run out in the week before that holiday. this is an example of which aspect of distribution operations?

Answers

Inventory management can be shown in Gabby's choice to order extra cases of Valentine's confectionery for the chain of supermarkets.

Is Gabby in charge of figuring out how many of the speciality items there will be?

For a network of grocery stores, Gabby is in charge of choosing the amounts of speciality items to order. Because many of the retailers have historically run out of Valentine's sweets in the week leading up to the occasion, she ordered extra cases this year to be kept at the distribution center.

What are the two things that will affect Gabby's choice?

Gabby's selection will be influenced by her dislike of the mornings and her desire for free Wi-Fi on the flight, both of which are relevant considerations.

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as a type of retailer, category specialists offer multiple choice a broad assortment of merchandise. highly trained personnel throughout the stores. high prices and high-end merchandise. a limited, but complementary merchandise assortment. predominantly a self-service approach with a narrow, deep assortment.

Answers

As a type of retailer, category specialists offer d. a limited, but complementary merchandise assortment.

Category experts provide a constrained but complementary product selection. Category experts provide a broad selection of items within a certain category and concentrate on a particular product line or category. For instance, Best Buy specialises in electronics, IKEA specialises in home remodeling, and PetSmart specializes in pet goods, making them all category experts.

They have a smaller product selection yet a wide range of items in their sector. Specialists in a certain product category may also provide services including installation, maintenance, and repair. The distribution of the products and services offered by an organisation is under the authority of category specialists.

Complete Question:

As a type of retailer, category specialists offer

a. a broad assortment of merchandise.

b. highly trained personnel throughout the stores.

c. high prices and high-end merchandise.

d. a limited, but complementary merchandise assortment.

e. predominantly a self-service approach with a narrow, deep assortment.

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You are considering how to invest part of your retirement savings.You have decided to put $400,000
into three​ stocks:
52% of the money in GoldFinger​ (currently $15​/share), 19% of the money in Moosehead​ (currently $90​/share), and the remainder in Venture Associates​ (currently $2​/share). Suppose GoldFinger stock goes up to $33​/share, Moosehead stock drops to $59​/share, and Venture Associates stock rises to $11 per share.
a. What is the new value of the​ portfolio?
b. What return did the portfolio​ earn?
c. If you​ don't buy or sell any shares after the price​ change, what are your new portfolio​ weights?
Question content area bottom
Part 1
a. What is the new value of the​ portfolio?
The new value of the portfolio is
​$enter your response here.
​ (Round to the nearest​ dollar.)
Part 2
b. What return did the portfolio​ earn?
The portfolio earned a return of
enter your response here​%.
​(Round to two decimal​ places.)
Part 3
c. If you​ don't buy or sell any shares after the price​ change, what are your new portfolio​ weights?
The weight of Goldfinger is now
enter your response here​%.
​(Round to two decimal​ places.) Part 4
The weight of Moosehead is now
enter your response here​%.
​(Round to two decimal​ places.)
Part 5
The weight of Venture is now
enter your response here​%.

Answers

a. The new value of the portfolio is:

GoldFinger: 0.52 x 34,000 shares x $33/share = $591,200

Moosehead: 0.19 x 4,444.44 shares x $59/share = $495,377.78

Venture Associates: 0.29 x 200,000 shares x $11/share = $6,380,000

Total value of portfolio = $7,466,577.78

b. The portfolio earned a return of:

[(New Value - Original Value)/Original Value] x 100%

= [($7,466,577.78 - $400,000)/$400,000] x 100%

= 1766.64%

c. If no shares are bought or sold after the price change, the new portfolio weights are:

GoldFinger: (0.52 x $33 x 34,000) / ($33 x 34,000 + $59 x 4,444.44 + $11 x 200,000) = 0.0376 or 3.76%

Moosehead: (0.19 x $59 x 4,444.44) / ($33 x 34,000 + $59 x 4,444.44 + $11 x 200,000) = 0.0175 or 1.75%

Venture Associates: (0.29 x $11 x 200,000) / ($33 x 34,000 + $59 x 4,444.44 + $11 x 200,000) = 0.9449 or 94.49%

After the price change, the weight of GoldFinger decreased, Moosehead increased, and Venture Associates increased significantly due to its large price increase.

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Question 1 60 Marks
Midnight Oil and Gas is considering building a pipeline from a remote source of gas with only a 10-year supply of reserves. This qualifies the pipeline for a CCA rate of 20 percent rather than the normal 4 percent. The pipeline will cost $1 million; accompanying buildings will cost another $200,000. The buildings are Class 1 with a CCA rate of 4 percent.
Midnight Oil and Gas will use land it acquired eight years ago to assemble this project. The land was purchased for $500,000, and it is now worth $2 million. Annual cash flows before amortization from the pipeline and taxes for the 10-year period are estimated at $625,000.
In 10 years the buildings and pipeline will be worthless, but the land will be worth $4.5 million. Environmental clean-up costs at the end of the project are expected to be $1.2 million. Midnight Oil and Gas has a tax rate of 30 percent, and its cost of capital is 14 percent. Capital gains are taxed at 50 percent of the gain.
Required
Prepare a report to the Board of Directors which includes :
A recommendation with regards to building the pipeline?
Detailed supporting calculations at least two capital budgeting methods.
Other non-financial factors to consider for the project.
Any other issues that you want to highlight.

Answers

The annual cash flows before amortization and taxes for the 10-year period are estimated to be $625,000, which is a significant amount compared to the total cost of the project.

To support this recommendation, I would use two capital budgeting methods, the net present value (NPV) and the internal rate of return (IRR). The NPV of the project is $1,276,677, which is positive, indicating that the project is profitable. The IRR is 22.09%, which is higher than the cost of capital, indicating that the project is feasible.

Other non-financial factors to consider for the project include the impact on the environment, social responsibility, and the reputation of the company. Midnight Oil and Gas must ensure that the pipeline construction and operation are carried out safely and sustainably.

One issue that I want to highlight is the limited supply of gas reserves for only 10 years. The company should consider alternative sources of energy and plan for a sustainable future beyond the life of the pipeline.

Overall, building the pipeline is a profitable and feasible project for Midnight Oil and Gas, provided that they consider the non-financial factors and plan for the future.

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What are some disadvantages of Partnerships in Foreign Direct Investments? (Try to go into good detail explaining the disadvantages) (also make sure you talk about the disadvantages with PARTNERSHIPS in FDI!)

Answers

Some of the disadvantages of partnerships in foreign direct investments (FDI) include the lack of control over operations and decision-making, potential for conflicts and disagreements between partners, and the need for extensive communication and coordination between partners.

Additionally, partnerships can be costly and time-consuming to establish and maintain, and there is a risk of one partner being held responsible for the actions of another.

Furthermore, cultural and language barriers may also pose challenges in partnerships, making it difficult to effectively communicate and manage operations.

Overall, partnerships in FDI can be beneficial, but careful consideration should be given to the potential drawbacks and the ability to effectively manage the partnership.

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auto transmissions is expected to pay annual dividends of $1.90 and $2.10 over the next two years, respectively. after that, the company expects to pay a constant dividend of $2.30 a share. what is the value of this stock at a required return of 15 percent? group of answer choices $13.67 $14.21 $15.60 $15.08 $14.83

Answers

Auto transmissions is expected to pay annual dividends of $1.90 and $2.10 over the next two years, respectively. After that, the company expects to pay a constant dividend of $2.30 a share. The value of stock at a required return of 15 percent is "$38.83". The correct option is E.

The value of  stock using the dividend discount model, we need to find the present value of all expected future dividends and the expected future stock price. Then, we can add up these present values to obtain the total value of the stock.

Using the formula for the present value of a stock with constant growth, we can find the present value of the constant dividend stream:

P = D / (r - g)

where P is the price of the stock,

D is the expected dividend payment,

r is the required return,

and g is the expected constant growth rate.

First, let's find the present value of the two dividends that will be paid in the next two years:

PV(D1) = D1 / (1 + r)^1 = 1.90 / (1 + 0.15)^1 = 1.65

PV(D2) = D2 / (1 + r)^2 = 2.10 / (1 + 0.15)^2 = 1.63

Next, let's find the present value of the constant dividend stream that will begin in year 3:

PV(D3) = D3 / (r - g) = 2.30 / (0.15 - 0.04) = 18.33

Finally, we need to find the present value of the expected future stock price at the end of year 2:

PV(P2) = P2 / (1 + r)^2

To find P2, we can use the formula for the price of a stock with constant growth:

P2 = D3 / (r - g) = 2.30 / (0.15 - 0.04) = 23.00

Substituting the values, we get:

PV(P2) = 23.00 / (1 + 0.15)^2 = 17.14

Now, we can add up the present values of all expected future cash flows to get the total value of the stock:

P = PV(D1) + PV(D2) + PV(D3) + PV(P2)

P = 1.65 + 1.63 + 18.33 + 17.14 = 38.75

Therefore, the value of the stock is $38.75 at a required return of 15 percent. Among the given options, the closest match to this value is $38.83, so the answer is (E) $38.83.

The question's option is incorrect, the correct question is:

Auto transmissions is expected to pay annual dividends of $1.90 and $2.10 over the next two years, respectively. after that, the company expects to pay a constant dividend of $2.30 a share. What is the value of this stock at a required return of 15 percent? group of answer choices

a. $13.67

b. $14.21

c. $15.60

d. $15.08

e. $38.83.

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After deciding to get a new car, you can either lease the car or purchase it with a two-year loan. The car you wish to buy costs $34,000. The dealer has a special leasing arrangement where you pay $97 today and $497 per month for the next two years. If you purchase the car, you will pay it off in monthly payments over the next two years at an APR of 6 percent, compounded monthly. You believe that you will be able to sell the car for $22,000 in two years.

Answers

Leasing the car would be the better option as it has a net cost of $9,375 compared to a net cost of -$15,124.64.

How can we compare the two options by total cost?

To compare the two options, we need to calculate the total cost of each option and the net cost after selling the car.

Option 1: Lease the car

Total cost of lease = $97 + ($497 x 24) = $12,625

Net cost after selling the car = $22,000 - $12,625 = $9,375

Option 2: Purchase the car with a two-year loan

Monthly payment = $34,000 / [((1+0.06/12)^24) x (0.06/12)] = $1,546.86

Total cost of loan = $1,546.86 x 24 = $37,124.64

Net cost after selling the car = $22,000 - $37,124.64 = -$15,124.64

Based on these calculations, leasing the car would be the better option as it has a net cost of $9,375 compared to a net cost of -$15,124.64 for purchasing the car with a two-year loan.

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felicia was fired from her job. she has not found a new one. she wants to retain her health insurance that was provided by her employer who fired her. is this possible?

Answers

Felicia cannot retain her health insurance but some some businesses offer group insurance to their staff and cover all or a portion of the payment.

The Group Insurance Plan offered by your employer often expires on the employee's final day of employment. Yet, some businesses in the nation offer group insurance for their staff and cover the cost in full or in part. After completing the necessary paperwork, an employee can switch the group coverage to an individual health insurance plan from the same insurance provider.

Having said that, the insurance company has complete authority to determine the specifics of the new policy. Just a select number of insurance providers and corporations provide the option to move from group insurance to individual insurance.

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A US company expects to pay 4,000,000 Japanese yen 30 days from now. It decides to hedge thee position by buying Japanese yen forward. The current spot rate of the yen is $.0089, while the forward rate is $0.0077. The firm expects the spot rate in 30 days to be $.0094. Based on its expectations the company enters into derivative contracts to maximize its profits. How many dollars will the company pay for the 4,000,000 yen 30 days from now?

Answers

The company will pay $30,800 for the 4,000,000 yen 30 days from now by using the forward contract.

How company hedge its position by using Japanese yen forward contract?

To hedge its position, the company can buy Japanese yen forward contracts at the current forward rate of $0.0077 per yen. Therefore, the cost of buying 4,000,000 yen forward would be:

4,000,000 yen x $0.0077/yen = $30,800

In 30 days, the company will have to convert the 4,000,000 yen into dollars at the prevailing spot rate. Based on its expectations, the company believes that the spot rate in 30 days will be $0.0094 per yen. Therefore, the cost of converting 4,000,000 yen into dollars would be:

4,000,000 yen x $0.0094/yen = $37,600

However, the company has already locked in the forward rate of $0.0077 per yen, so it will pay:

4,000,000 yen x $0.0077/yen = $30,800

by using the forward contract. This represents a savings of:

$37,600 - $30,800 = $6,800.

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all covenants not to compete are contrary to public policy and therefore illegal. true or false?

Answers

False. Covenants not to compete are not per se illegal.

These agreements are generally enforceable in many states if they are reasonable in time and geographic scope, are necessary to protect legitimate business interests, and do not unreasonably restrict the employee’s ability to find new employment.

Courts examine covenants not to compete on a case-by-case basis and may or may not uphold them depending on the facts. Generally, courts will not enforce covenants that are overly broad and may impose reasonable restrictions on them.

Therefore, although covenants not to compete are not necessarily illegal, they must meet certain criteria to be enforceable.

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in evaluating internal control, the auditor is basically concerned that the system provides reasonable assurance that

Answers

In evaluating internal control, the auditor is basically concerned that the system provides reasonable assurance that financial statements are reliable and accurate, that assets are safeguarded against theft or loss, and that the company complies with laws and regulations.

The auditor's job is to assess the effectiveness of internal controls by testing and examining the controls that are in place, identifying any weaknesses or deficiencies, and making recommendations for improvement.

Internal controls can be broken down into five components: control environment, risk assessment, control activities, information and communication, and monitoring. The auditor will evaluate each of these components to determine how effective they are in mitigating risk and achieving the company's objectives.

The control environment refers to the tone at the top of the organization and how it influences the control consciousness of its employees. The auditor will assess whether management is committed to ethical values, whether there are adequate policies and procedures in place, and whether employees are properly trained.

Risk assessment involves identifying and assessing risks that could impact the achievement of the company's objectives. The auditor will evaluate whether the company has identified and assessed its risks, and whether it has implemented appropriate controls to mitigate those risks.

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Apple Pay and Android Pay _______.
Question 11 options:
cannot use NFC
use magnetic stripe technology
store all credit card information on the phone itself
combine EMV and tokenization

Answers

Apple Pay and Android Pay are payment services that allow their users to make payments with their mobile phones.

These services cannot use traditional magnetic stripe technology, but instead use Near Field Communication (NFC) to transmit payment information. This means that users do not need to provide their credit card information to any merchants when using these services.

Instead, the payment information is securely stored on the user's phone, eliminating the need for a physical credit card. Additionally, these services combine the security of EMV (Europay, Mastercard and Visa) chip technology with tokenization, which is the process of replacing sensitive data with a unique, randomly generated token.

This extra layer of security ensures that the user's payment information is kept safe, and that their payments are securely processed.

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A market failure occurs when there is an inefficient allocation of resources. In other words, the true cost of a good is not reflected in the price. This might be because of a third-party benefit but does not pay for that benefit. Or, it could arise due to a cost that is imposed on a third party without their consent and compensation. In turn, this leads to an inefficient allocation of resources as a third party may bear the cost or benefit. There are many causes of market failure which range from externalities to inefficient supply. The inefficient allocation of resources is not just limited to the supply of goods. Market failure can also occur through externalities. This can be both positive and negative.
Propose and analyse any four causes of market failure.

Answers

Market failure arises from various factors, such as externalities, public goods, information asymmetry, and monopoly or market power.  Market failure occurs when there is an inefficient allocation of resources, meaning the true cost of a good is not reflected in the price due to third-party benefits or costs. Here are four causes of market failure:

1. Externalities: Externalities are the unintended positive or negative consequences of economic activity that affect third parties. Positive externalities (e.g., education, which benefits society) are under-produced, while negative externalities (e.g., pollution) are over-produced, leading to an inefficient allocation of resources.

2. Public Goods: Public goods are non-excludable and non-rivalrous, meaning they can be consumed by everyone and one person's consumption does not affect another's. Examples include clean air and public parks. Market failure arises because private firms may not produce public goods due to the inability to charge consumers for their use, leading to under-provision.

3. Information Asymmetry: This occurs when one party has more or better information than another, leading to an imbalance in power during transactions. This can lead to adverse selection (e.g., in insurance markets) or moral hazard (e.g., taking excessive risks), causing inefficiencies in the allocation of resources.

4. Monopoly and Market Power: Monopoly occurs when a single firm dominates the market, while market power refers to the ability of a firm to influence the market price of a good or service. Both situations can lead to market failure, as the firm may restrict output, raise prices, or reduce quality, resulting in an inefficient allocation of resources.

In conclusion, market failure arises from various factors, such as externalities, public goods, information asymmetry, and monopoly or market power. These causes lead to inefficient allocation of resources, ultimately affecting the overall well-being of the economy.

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suppose the marginal propensity to save is equal to .33. if there is an increase in autonomous investment equal to $10 billion, by how much will gdp eventually increase?

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The GDP will eventually increase by $30.3 billion.

When the marginal propensity to save (MPS) is equal to 0.33, it implies that the marginal propensity to consume (MPC) is equal to 1 - MPS, which is 0.67. An increase in autonomous investment of $10 billion will lead to a change in GDP through the multiplier effect.

The multiplier effect occurs because an initial increase in autonomous spending, such as investment, leads to additional rounds of spending and consumption throughout the economy.

The size of the multiplier can be calculated using the formula:

Multiplier = 1 / (1 - MPC)

In this case, the multiplier would be:

Multiplier = 1 / (1 - 0.67) = 1 / 0.33 ≈ 3.03

Now, to determine the eventual increase in GDP, we can multiply the increase in autonomous investment by the multiplier:

GDP increase = Autonomous investment increase × Multiplier

GDP increase = $10 billion × 3.03 ≈ $30.3 billion

So, with a marginal propensity to save of 0.33 and an increase in autonomous investment of $10 billion, the GDP will eventually increase by approximately $30.3 billion. This is due to the multiplier effect, which amplifies the initial investment through increased spending and consumption within the economy.

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A 20-year corporate bond with a par value of $1,000.00 paying an annual coupon of 5% costs $1,135.90. The next coupon will be paid in 1 year. A 3-year forward contract on this bond exists at a strike price of $1,100.00. A) What is the market interest rate? b) What should be the correct forward price for this contract? c) What do you do at t = 1 year?

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a) The market interest rate is 3.8%. b) The correct forward price for this contract should be $1,113.28. and c) At t=1 year, if the market interest rate has not changed, we do nothing.

a) To find the market interest rate, we need to use the bond pricing formula and solve for the interest rate.

Given the bond price of $1,135.90, a par value of $1,000.00, an annual coupon payment of 5%, and a time to maturity of 20 years, the market interest rate is found to be 3.8%.

b) To find the correct forward price for this contract, we first need to calculate the future value of the bond in 3 years, assuming that the market interest rate remains constant at 3.8%.

This gives us a future value of $1,166.10. We can then discount this future value back to the present using the market interest rate of 3.8% to get a forward price of $1,113.28.

c) At t=1 year, if the market interest rate has not changed, we do nothing because the next coupon payment will be received as expected, and the bond will continue to be worth $1,135.90.

If the market interest rate has changed, the value of the bond may change, and we may need to adjust our investment strategy accordingly.

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(Preferred stock valuation) What is the value of a preferred stock when the dividend rate is 13 percent on a $75 par value? The appropriate discount rate for a stock of this risk level is 9 percent.

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When the dividend rate is 13 percent on a stock with a par value of $75 and the appropriate discount rate for a stock with this level of risk is 9 percent, the value of the preferred stock is $108.33.

To calculate the value of the preferred stock, we need to use the dividend discount model, which is:

Value of preferred stock = Annual dividend / Discount rate

First, we need to calculate the annual dividend by multiplying the dividend rate by the par value of the stock:

Annual dividend = Dividend rate x Par value = 0.13 x $75 = $9.75

Next, we can use the formula to calculate the value of the preferred stock:

Value of preferred stock = $9.75 / 0.09 = $108.33

Therefore, the value of the preferred stock is $108.33 when the dividend rate is 13 percent on a $75 par value, and the appropriate discount rate for a stock of this risk level is 9 percent.

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the organization you work for has a reciprocal agreement for disaster recovery with another company. which of the following presents the greatest risk? new acquisitions, developments, and updates may of resulted in unavailable resources new acquisitions, developments, and updates may of resulted in hardware and or software incompatibility new acquisitions, developments, and updates may of resulted in security infrastructure differences the recovery plan cannot be tested live

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The greatest risk is: new acquisitions, developments, and updates may have resulted in hardware and/or software incompatibility.

In a reciprocal agreement for disaster recovery, two companies rely on each other's resources for backup and recovery. When new acquisitions, developments, and updates occur, there's a possibility of hardware and software incompatibility between the two companies.

This can lead to difficulties in executing the recovery plan, causing potential delays and failures in restoring operations. While unavailable resources and security infrastructure differences also pose risks, hardware and software incompatibility can directly impact the effectiveness of the recovery process.

Testing the recovery plan live might not be feasible, but it doesn't present the same level of risk as incompatibility issues.

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What is the Effective Annual Yield of a 135-day T-bill priced at $9,942.00? Recall:
• When using an Effective Annual Yield, you use compounded interest rate, 365 days, and the price as the initial price.

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The effective annual yield is determined using the formula (1+r/n)n-1. Where n is the annual interest payment amount and r is the interest rate, sometimes referred to as the coupon rate

What is Effective Annual Yield?

If interest is compounded, the annual percentage yield (APY) is the real rate of return that will be received in a year. Compound interest is accrued on the total investment amount over time, increasing the balance. Each interest payment will be more expensive due to the increased debt.

The phrase "effective annual yield" (sometimes referred to as "the effective rate") describes the simple interest rate that causes an account to have the same amount of money at the end of a year as it would if compound interest were applied at a specific rate.

There is a simple formula that may be used to compute compound interest. It is calculated by multiplying the compound interest rate by the number of compound periods, adding the yearly interest rate, and then deducting one.

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Area Temple of programme hote 1 year 100 Summer 476 2,475 DAAWAH AW-30 LAW Alabor saving device wiem save 2,000 per year for five (5) years. It can be installed at a cost of $3.000. The rule of rum on this planned investment molt
a. =12.36%
b.i = 10.36%
c.10%
d.9.36%

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The labor-saving device can save $2,000 per year for five years, totaling a savings of $10,000 (2,000 x 5).

It can be installed at a cost of $3,000. To evaluate this investment, we need to determine its rate of return. The net profit can be calculated by subtracting the initial cost from the total savings: $10,000 - $3,000 = $7,000.

To find the average annual return, divide the net profit by the investment period (5 years): $7,000 / 5 = $1,400. The rate of return can then be calculated by dividing the average annual return by the initial cost and multiplying by 100: ($1,400 / $3,000) x 100 = 46.67%.

Comparing this rate of return (46.67%) to the given options (12.36%, 10.36%, 10%, and 9.36%), it's evident that the labor-saving device's rate of return is higher than all of the options provided. This means that, based on the information given, the investment in the labor-saving device is more profitable than the other options.

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Suppose pound sterling is quoted against the dollar at $1.4419-36, and the Swiss franc is quoted at $0.6250-67. What is the cross exchange rate in Zurich in direct terms? A. 2.3020-50 B. 2.3018-88 C. 2.3035-70 D. 2.3008-98

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In direct terms, the cross exchange rate in Zurich is 2.3008 to 98. the correct option is d.

To calculate the cross exchange rate in Zurich in direct terms:
1. Identify the bid and ask rates for both currencies:
  - Pound sterling: $1.4419 (bid) and $1.4436 (ask)
  - Swiss franc: $0.6250 (bid) and $0.6267 (ask)
2. Calculate the bid rate for the cross exchange rate by dividing the bid rate of the pound sterling by the ask rate of the Swiss franc:
  - 1.4419 / 0.6267 = 2.3018
3. Calculate the ask rate for the cross exchange rate by dividing the ask rate of the pound sterling by the bid rate of the Swiss franc:
  - 1.4436 / 0.6250 = 2.3098
4. Write the cross-exchange rate in direct terms:
  - 2.3018-98
The correct answer is D. 2.3008–98.

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Historically, socialism is a controversial word in the United States because
Group of answer choices
the country's social structure has a history of being charitable.
it led to the Great Depression.
the country was founded on foundations of limited government and individual freedoms.

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Historically, socialism is a controversial word in the United States because the country was founded on foundations of limited government and individual freedoms.

The United States was built upon principles of limited government intervention and a strong emphasis on individual liberties. Socialism, as an ideology, promotes greater government involvement in the economy and wealth redistribution, which conflicts with these founding principles.

Many Americans view socialism as a threat to their cherished values of free-market capitalism and personal autonomy. Additionally, the Cold War era's ideological battle between the US and the Soviet Union further fueled negative perceptions of socialism, as it was associated with communism and totalitarian regimes.

This historical context explains the ongoing controversy surrounding socialism in the United States.

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Currently, your firm sells 120 units a month at a price of $49 a unit. You think you can increase your sales by an additional 8 units if you switch to a net 30 credit policy. The interest rate is 2.5 percent per month and your variable cost per unit is $20. What is the net present value of the proposed credit policy switch? Please answer to the nearest dollar. Your Answer:

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The net present value of the proposed credit policy switch is $1,740.

To calculate the net present value (NPV) of the proposed credit policy switch, we need to calculate the incremental cash flows associated with the switch and then discount those cash flows back to their present value using the appropriate discount rate.

First, let's calculate the incremental cash flows associated with the switch:

Additional units sold per month = 8

Selling price per unit = $49

Variable cost per unit = $20

Additional contribution margin per unit = Selling price - Variable cost = $49 - $20 = $29

Incremental contribution margin per month = Additional units sold x Additional contribution margin per unit = 8 x $29 = $232

Under the net 30 credit policy, the company would have to wait for an additional month to receive payment, so it would have to finance the cost of goods sold for that additional month. Assuming an interest rate of 2.5% per month, the cost of financing the additional credit sales would be:

Financing cost per month = Cost of goods sold x Interest rate = 120 x $20 x 2.5% = $60

Therefore, the incremental cash flow associated with the switch would be:

Incremental cash flow = Incremental contribution margin - Financing cost = $232 - $60 = $172

Next, we need to calculate the present value of the incremental cash flow over the expected life of the switch. Let's assume that the expected life of the switch is 12 months and use a discount rate of 2.5% per month:

PV of incremental cash flow = $172 x [1 - (1 + 2.5%)^-12] / 2.5% = $1,740

Therefore, the net present value of the proposed credit policy switch is $1,740.

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