Based on the given options, the demand curve shift shown in the figure was most likely caused by an increase in the price of a substitute of the good.
This is because a substitute is a similar product that can be used in place of the original product, and an increase in its price can make the original product relatively cheaper, thereby increasing its demand.
To elaborate further, when the price of a substitute increases, consumers may choose to switch to the original product, resulting in an increase in its demand. For example, if the price of coffee increases, some consumers may choose to switch to tea as a substitute, but if the price of tea also increases, they may return to buying coffee.
As a result, the demand for coffee would increase, leading to a rightward shift in its demand curve.
It is important to note that the other options provided could also impact demand, but they are less likely to have caused the observed shift in the demand curve. An increase in input costs may lead to a decrease in supply, but it would not necessarily affect demand.
A decrease in the number of firms selling the good or a decrease in the number of buyers in the market would result in a leftward shift in the demand curve, indicating a decrease in demand. Finally, expectations of future prices may impact current demand, but it would not result in a shift in the demand curve.
In conclusion, the demand curve shift shown in the figure was most likely caused by an increase in the price of a substitute of the good, which made the original product relatively cheaper and increased its demand.
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the reasons behind the accelerating pace of globalization include:select one:a.lower barriers to international tradeb.countries with previously planned economies are embracing market or mixed economiesc.transportation and information technology shrinks the importance of geographic distancesd.all of these
A. "Lower barriers to international trade", B. "countries with previously planned economies are embracing market or mixed economies", and C. "transportation and information technology shrinks the importance of geographic distances" are reasons behind the accelerating pace of globalization.
Lower barriers to international trade, the adoption of market or mixed economies by previously planned economies, and the development of transportation and information technology have all contributed to the increasing interconnectedness of economies and cultures around the world. These factors have made it easier for businesses to operate globally, for goods and services to be traded across borders, and for people to communicate and share ideas regardless of their physical location. As a result, the pace of globalization has accelerated in recent decades.
The correct answers are options B and C.
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when considering perfect competition the absence of entry barriers implies that part 2 a. no firm can enter the industry. b. firms can enter but cannot get out of the industry easily. c. all firms will earn economic profit. d. firms can enter and leave the industry without serious impediments.
In the context of perfect competition and considering the absence of entry barriers, the correct answer is option D: firms can enter and leave the industry without serious impediments.
Perfect competition is an economic model where numerous small firms produce homogeneous products, and no single firm has the power to influence the market price. Entry and exit barriers are factors that restrict the ability of firms to enter or exit an industry. When there are no entry barriers, new firms can easily join the market, and existing firms can leave the industry without facing major challenges. The absence of entry barriers promotes competition, as it encourages new firms to enter the market and compete with existing firms. This ultimately results in an efficient allocation of resources and a balance between supply and demand.
As a consequence, firms in perfect competition will not earn long-term economic profit, as any profits would attract new competitors, driving down prices and reducing profit margins. In summary, perfect competition without entry barriers allows firms to enter and exit the industry freely, fostering a competitive environment that benefits both consumers and businesses in terms of efficiency and resource allocation.
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suppose a stock had an initial price of $35 per share, paid a dividend of $1.00 per share during the year, and had an ending share price of $48. compute the percentage return.
A stock with an initial price of $35 per share, paid a dividend of $1.00 per share during the year the percentage return will be 40%.
To compute the percentage return for the stock, we need to calculate the total return, which includes both the price appreciation and the dividend received. The formula for total return is:
Total Return = (Ending Share Price - Beginning Share Price + Dividends) / Beginning Share Price
In this case, the beginning share price is $35, the ending share price is $48, and the dividend is $1.00 per share. Plugging these values into the formula, we get:
Total Return = ($48 - $35 + $1) / $35 = $14 / $35 = 0.4 or 40%
Therefore, the percentage return for the stock is 40%.
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today, effective supervisors treat the performance appraisal as a(n) , as well as a formal legal document.
Today, effective supervisors treat the performance appraisal as both a tool for providing feedback and guidance to their employees, as well as a formal legal document.
This can be used to document performance, set goals and expectations, and make decisions related to promotions, raises, and other employment-related matters.
Effective supervisors are individuals who possess the skills, qualities, and behaviors necessary to effectively manage and lead a team of employees or subordinates. They play a crucial role in ensuring that the team is productive, motivated, and engaged.
By approaching performance appraisals in this manner, effective supervisors are able to not only provide valuable feedback and support to their employees, but also to ensure that their organization is compliant with legal requirements and best practices related to performance management.
the act of estimating or judging the nature or value of something or someone. an estimate of value, as for sale, assessment, or taxation; valuation. an estimate or considered opinion of the nature, quality, importance, etc: the critics' appraisal of pop art; an incorrect appraisal of public opinion.
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Insuring While Away at College Kate's son, Hubert, is a college student ving in an off-campus apartment where he resides year round. He owns an expensive computer and wants to make sure the full value is insured. Which of the following statements regarding Hubert's Insurance needs are true? Check all that apply.a. Hubert should purchase an HC-2 broad form insurance polley because he is not covered under his parents' policy b. If he purchases an H0-4 polley, he can choose the value of the property he wishes to insure c. His computer is covered under his parents' policy Insuring a Condominium Kate's parents own a condominium that they fully insured for the replacement value of $120,000. Last year a portion of their roof collapsed due to the weight of snow after a severe storm. rendering the condo uninhabitable for the month that it took to complete repairs. Based on the coverago details of their condominium form ______ Insurance policy, the additional living expenses they incur as a result of the damage (such as the cost of staying in a hotel during the repairs)_____.
a. Hubert should purchase an policy because he is not covered under his parents' policy.
c. His computer may not be covered under his parents' policy, so he should consider purchasing additional coverage through an policy.
a stock is currently priced at $69 and has an annual standard deviation of 49 percent. the dividend yield of the stock is 2.6 percent and the risk-free rate is 4.6 percent. what is the value of a call option on the stock with a strike price of $66 and 73 days to expiration? (use 365 days in a year. do not round intermediate calculations. round your answer to 2 decimal places.)
To calculate the value of a call option on a stock, we need to use an options pricing model, such as the Black-Scholes model. the value of the call option on the stock with a strike price of $66 and 73 days to expiration is $13.61.
This model takes into account several variables, including the current stock price, strike price, time to expiration, risk-free rate, and volatility. In this case, we are given the current stock price of $69, a standard deviation of 49%, a dividend yield of 2.6%, a risk-free rate of 4.6%, and a strike price of $66 with 73 days to expiration.
Using the Black-Scholes model, we can calculate the value of the call option as follows:[tex]d1 = [ln(S/K) + (r + σ^2/2)t] / (σ√t)[/tex]
[tex]d2 = d1 - σ√t[/tex]
where S is the stock price, K is the strike price, r is the risk-free rate, σ is the standard deviation (annualized), t is the time to expiration (in years), ln is the natural logarithm, and √ is the square root.
First, we need to convert the time to expiration from days to years by dividing by 365: t = 73 / 365 = 0.2
Next, we can calculate d1 and d2:
d1 = [tex][ln(69/66) + (0.046 + 0.49^2/2) * 0.2] / (0.49 * √0.2)[/tex] = 0.6743
d2 = 0.6743 - 0.49 * √0.2 = 0.3634
Using these values, we can calculate the value of the call option as:
C = [tex]S * N(d1) - K * e^(-rt) * N(d2)[/tex]
where N is the cumulative distribution function of the standard normal distribution.
Plugging in the values, we get:
C = [tex]69 * N(0.6743) - 66 * e^(-0.046 * 0.2) * N(0.3634)[/tex]
= 13.61
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How do you think the capital is affected due to COVID-19, what
are the steps organizations need to take to mitigate the
organizational and strategical risks?
COVID-19 is the disease caused by a coronavirus called SARS-CoV-2. WHO first learned of this new virus on 31 December 2019, following a report of a cluster of cases of so-called viral pneumonia in Wuhan, People’s Republic of China.
How the covid-19 was effected?
The COVID-19 pandemic has had a significant impact on the global economy and the capital of organizations across various industries. To mitigate the organizational and strategic risks posed by this crisis, organizations must take several steps.
Firstly, they need to develop a comprehensive risk management plan that identifies the potential impacts of the pandemic on their business operations, workforce, and supply chain. This plan should also outline the measures that the organization can take to reduce or manage these risks, including contingency plans for workforce disruption and supply chain disruptions.
Secondly, organizations need to adopt a proactive approach to manage their financial risks by identifying their key financial indicators and monitoring them closely. This includes reviewing their cash flow, reducing their expenses, and re-evaluating their capital expenditure plans.
Thirdly, organizations need to prioritize their strategic objectives and re-evaluate their business models to adapt to the changing market conditions. This may involve exploring new business opportunities, diversifying their products and services, and investing in technology to support remote work and customer engagement.
In summary, to mitigate the organizational and strategic risks posed by the COVID-19 pandemic, organizations need to take a proactive approach by developing a comprehensive risk management plan, monitoring their financial indicators, and re-evaluating their business models to adapt to the changing market conditions.
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Applied Nanotech is thinking about introducing a new surface cleaning machine. The marketing department has come up with the estimate that Applied Nanotech can sell 15 units per year at $303,000 net cash flow per unit for the next five years. The engineering department has come up with the estimate that developing the machine will take a $14.9 million initial investment. The finance department has estimated that a discount rate of 16 percent should be used. a. What is the base-case NPV? (A negative answer should be indicated by a minus sign. Enter your answer in dollars, not millions of dollars, e.g., 1,234,567. Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) Base-case NPV $ b. If unsuccessful, after the first year the project can be dismantled and will have an aftertax salvage value of $10.8 million. Also, after the first year, expected cash flows will be revised up to 20 units per year or to 0 units, with equal probability. What is the revised NPV? (Enter your answer in dollars, not millions of dollars, e.g., 1,234,567. Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) Revised NPV
a. The base-case NPV is $4,640,000.95. b. The revised NPV is -$2,548,439.12.
a. To calculate the base-case NPV, we need to find the present value of the cash flows generated by the project, using the given discount rate of 16%.
The net cash flow per unit is $303,000, and the project is expected to sell 15 units per year for 5 years. Therefore, the total net cash flow for the project is:
$303,000 x 15 x 5 = $22,725,000
To find the present value of this cash flow stream, we can use the formula:
PV = CF / (1 + r)ⁿ
where PV is the present value, CF is the cash flow, r is the discount rate, and n is the number of years.
Plugging in the values, we get:
PV = $22,725,000 / (1 + 0.16)¹ + $22,725,000 / (1 + 0.16)² + $22,725,000 / (1 + 0.16)³ + $22,725,000 / (1 + 0.16)⁴+ $22,725,000 / (1 + 0.16)⁵
PV = $22,725,000 / 1.16 + $22,725,000 / 1.3456 + $22,725,000 / 1.5625 + $22,725,000 / 1.8145 + $22,725,000 / 2.1073
PV = $19,540,000.95
The initial investment is $14.9 million, so the base-case NPV is:
Base-case NPV = $19,540,000.95 - $14,900,000 = $4,640,000.95
b. To calculate the revised NPV, we need to calculate the expected cash flows for the project after the first year, taking into account the salvage value and the possibility of selling 20 units or 0 units.
If the project is dismantled after the first year, the cash flow will be the salvage value of $10.8 million, discounted back to year zero using the discount rate of 16%. Therefore, the salvage value in year zero is:
Salvage value = $10,800,000 / (1 + 0.16) = $9,310,344.83
If the expected cash flows are revised up to 20 units per year, the total net cash flow will be:
$303,000 x 20 x 4 = $24,240,000
If the expected cash flows are revised down to 0 units per year, the total net cash flow will be $0.
To calculate the revised NPV, we need to calculate the expected value of the cash flows after the first year:
Expected cash flows = (0.5 x $9,310,344.83) + (0.25 x $24,240,000) + (0.25 x $0) = $10,650,172.42
The expected cash flows are then discounted back to year zero using the discount rate of 16%:
Revised NPV = -$14,900,000 + $10,650,172.42 / (1 + 0.16) = -$2,548,439.12
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You have a bond with a coupon rate of 8% and a market rate ofreturn of 10%, is the bond selling at a discount, premium, orpar?
The coupon rate (8%) is less than the market rate (10%), so the bond is selling at a discount.
Is the bond selling at a discount, premium, orpar?You have a bond with a coupon rate of 8% and a market rate of return of 10%. To determine if the bond is selling at a discount, premium, or par, we'll compare the coupon rate and the market rate.
Compare the coupon rate and market rate
- Coupon rate: 8%
- Market rate: 10%
Determine the bond's selling status
- If the coupon rate is less than the market rate, the bond sells at a discount.
- If the coupon rate is equal to the market rate, the bond sells at par.
- If the coupon rate is greater than the market rate, the bond sells at a premium.
In this case, the coupon rate (8%) is less than the market rate (10%), so the bond is selling at a discount.
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the fact that a bank's assets tend to be long-term while its liabilities are short-term creates multiple choice interest-rate risk. credit risk. decreased risk for the bank. trading risk.
The fact that a bank's assets tend to be long-term while its liabilities are short-term creates interest-rate risk.
Interest-rate risk is the risk that changes in interest rates will affect the value of a bank's assets and liabilities differently, leading to a decline in the bank's net worth or earnings. In this case, if interest rates rise, the value of the bank's long-term assets will decrease more than the value of its short-term liabilities, resulting in a decline in the bank's net worth. Conversely, if interest rates fall, the value of the bank's long-term assets will increase more than the value of its short-term liabilities, resulting in an increase in the bank's net worth.
Credit risk (option B) is the risk that a borrower will default on their obligations, leading to losses for the bank. Decreased risk for the bank (option C) is not an accurate description of the situation, as interest-rate risk can lead to losses for the bank if interest rates move against them. Trading risk (option D) is a type of risk that arises from a bank's trading activities and is not related to the maturity mismatch between assets and liabilities.
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a company trades its old computer, which cost $5,000 and has accumulated depreciation at the transaction date of $3,000, for a new computer that costs $7,000. the trade-in allowance on the old computer is $1,200. what is the gain or loss, if any, on the trade-in of the old computer?
The company has a loss of $800 on the trade-in of the old computer. Therefore, the correct answer is option B. Loss of $2,800.
Calculating gain/loss on the trade-in of the old computer:
Calculate the book value of the old computer at the transaction date:
Book value of old computer = Cost of old computer - Accumulated depreciation
= $5,000 - $3,000
= $2,000
Calculate the gain or loss on the trade-in of the old computer:
Gain/Loss on trade-in = Trade-in allowance - Book value of old computer
= $1,200 - $2,000
= -$800
Therefore, the company has a loss of $800 on the trade-in of the old computer.
Complete Question:
A company trades its old computer, which cost $5,000 and has accumulated depreciation at the transaction date of $3,000, for a new computer that costs $7,000. The trade-in allowance on the old computer is $1,200. What is the gain or loss, if any, on the trade-in of the old computer?
A. Gain of $2,800
B. Loss of $2,800
C. Gain of $800
D. Loss of $800
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the amount of money that a dollar will grow to at some point in the future is known as the multiple choice question. present value. market value. future value.
The amount of money that a dollar will grow to at some point in the future is known as the future value.
The concept of future valueThis concept is important in finance and helps determine the potential growth of an investment over time.
The future value takes into account factors such as interest rates and the time period involved.
By calculating the future value, individuals and businesses can make informed decisions about investments and savings.
In contrast, the present value represents the current worth of a future cash flow, and market value refers to the price at which an asset can be bought or sold in the marketplace.
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a company's product sells at $12.22 per unit and has a $5.33 per unit variable cost. the company's total fixed costs are $96,900. the break-even point in units is:
The break-even point is the point at which a company's total revenue equals its total costs, resulting in neither a profit nor a loss.
To calculate the break-even point in units, we can use the following formula:
Break-even point (in units) = Total Fixed Costs / (Selling Price per Unit - Variable Cost per Unit)
Given the information provided:
Selling Price per Unit = $12.22
Variable Cost per Unit = $5.33
Total Fixed Costs = $96,900
Plugging these values into the formula:
Break-even point (in units) = $96,900 / ($12.22 - $5.33)
Break-even point (in units) = $96,900 / $6.89
Break-even point (in units) ≈ 14,063.86
So, the break-even point in units for the company is approximately 14,063.86 units. This means that the company needs to sell at least 14,063.86 units in order to cover its total fixed costs and avoid incurring a loss.
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Explain interest rates. What are they? Why are there so many interest rates quoted in the financial world? What are the reasons for an investor to understand the direction of interest rates (forward rates)?
Interest rates are an essential factor in the financial world, and understanding their direction, including forward rates, can significantly impact an investor's decision-making process and overall financial success.
Interest rates are the cost of borrowing money or the return earned on an investment. They are expressed as a percentage of the principal amount, usually on an annual basis.
Investors need to understand the direction of interest rates, including forward rates, for several reasons:
1. Investment decisions: Knowing the direction of interest rates can help investors decide whether to invest in fixed-income securities (such as bonds) or equities, as well as whether to invest in short-term or long-term instruments.
2. Borrowing decisions: Understanding interest rate trends can help borrowers make informed decisions about when to take out a loan, as well as whether to choose a fixed or variable interest rate for their loans.
3. Portfolio management: Monitoring interest rates allows investors to manage their investment portfolios effectively, as changes in interest rates can impact the value of existing investments, particularly fixed-income securities.
4. Risk management: Understanding the direction of interest rates helps investors assess the potential risks associated with their investments and make appropriate adjustments to mitigate those risks.
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Eric Inc.'s noncallable, 10-year, 10% semiannual coupon bonds currently sell for $1,135.90. They have a par value of $1,000. What is their yield to maturity? (Multiple Choice) a. 4.00% b. 3.38% c. 8.56% d. 8.00% e. 7.97% Assume that interest rates on 20-year Treasury and corporate bonds are as follows: T-bond = 2.89%, Corporate Bond = 4.73%. The difference in these rates was probably caused primarily by: (Multiple Choice) = a. Default and liquidity risk differences. b. Inflation differences. Tax effects. c. Maturity risk differences. d. Real risk-free rate differences.
The yield to maturity of Eric Inc.'s noncallable, 10-year, 10% semiannual coupon bonds is 8.00%. (D)
The difference in interest rates between the 20-year Treasury and corporate bonds is primarily caused by default and liquidity risk differences (Option a).
To calculate the yield to maturity (YTM), you need to use the bond pricing formula:
Bond Price = C * [(1 - (1 + YTM/2)⁻²ⁿ) / (YTM/2)] + Par Value * (1 + YTM/2)⁻²ⁿ
Where C is the semiannual coupon payment, n is the number of years until maturity, and YTM is the yield to maturity. In this case, C = $1,000 * 10% / 2 = $50.
By plugging the given values into the formula and solving for YTM, you'll find that YTM = 8.00%.
The difference in interest rates between the 20-year Treasury and corporate bonds is due to the varying levels of default and liquidity risk. T
reasury bonds are considered risk-free, while corporate bonds carry default risk, meaning there is a chance the issuing company could fail to make interest payments or repay the principal.
Additionally, corporate bonds often have less liquidity compared to Treasury bonds, making them less attractive to investors, and therefore requiring a higher yield to compensate for these risks.(D)
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I need help asap pls
Based on the Income Statement, December 31, 2012: The foloowing data on income statement was gotten
What was the company's net sales?Net Sales = Sales - Sales returns and allowances = $9,450.00 - $673.41 = $8,776.59
Therefore, the company's net sales were $8,776.59.
What was the company's gross margin?Gross Margin = Net Sales - Cost of Goods sold = $8,776.59 - $4,395.00 = $4,381.59
Therefore, the company's gross margin was $4,381.59.
What was the company's net income after taxes?Net Income after taxes = Net Income before taxes - Federal Income Tax = $1,760.59 - $528.18 = $1,232.41
Therefore, the company's net income after taxes was $1,232.41.
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which of the following defines a foreign-based entity that uses a functional currency different from the local currency? i. a u.s. subsidiary in britain maintains its accounting records in pounds sterling, with the majority of its transactions denominated in pounds sterling. ii. a u.s. subsidiary in peru conducts virtually all of its business in latin america, and uses the u.s. dollar as its major currency. group of answer choices i only. ii only. both i and ii. neither i nor ii.
The first statement i.e. a U.S. subsidiary in Britain maintaining its accounting records in pounds sterling with the majority of its transactions denominated in pounds sterling defines a foreign-based entity that uses a functional currency different from the local currency.
The functional currency is the primary currency that a company uses for accounting purposes to report financial results.
In this case, the U.S. subsidiary in Britain is using the British pound sterling as its functional currency instead of the U.S. dollar.
This is because the majority of its transactions are denominated in pounds sterling, making it more practical to use the local currency for accounting purposes.
On the other hand, the second statement i.e. a U.S. subsidiary in Peru conducting virtually all of its business in Latin America and using the U.S. dollar as its major currency does not define a foreign-based entity that uses a functional currency different from the local currency.
In this case, the U.S. subsidiary is using the U.S. dollar as its functional currency, which is also the major currency it conducts its business in.
It's important to note that a company's choice of functional currency can have significant impacts on its financial statements and performance.
For example, fluctuations in exchange rates between the functional currency and other currencies can impact the company's reported revenues, expenses, and profits.
Therefore, companies must carefully consider their choice of functional currency based on the nature of their operations, local regulations, and accounting standards.
The correct answer is: i only.
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If someone asks you a question in the workplace, but you don't know what to answer, what is something you should not say
When you're stumped for an answer in workplace to a question, use this tried-and-true "fail-safe" solution.
What to say in an interview when you're unable to respond to a question?Think about responding with something like, "That's a good question; can I think about it for a bit and get back to you later?" or "Great query! I can respond to some of it, but I'd like to consider it further and get back to you.
What should you say when you don't have the answer to a question?Try saying something like, "That's an interesting question, could I take some time to think it over and get back to you?" or "I can give you a partial answer to that enormous question.
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Question:-
How do you respond when you don't know the answer at work?
Aerocomp is in the business of computing and computers. They have made decent money in the recent past. John Christer, CEO of Aerocomp has informed the Board of Directors of Aerocomp that the company has extra cash of about $2.5 million. John has suggested that it is time for the company to diversify its growth potential into multiple areas beyond computing. Mark Zuber, the executive assistant to the CEO of Aerocomp, has proposed three alternative investments which are described as under:
Investment 1: A number of windmills are to be constructed on the southern frontier to generate electricity. They will cost a total of $400,000 and will last 10 years, at which time they will have an estimated salvage value of $25,000. However, a capital upgrade of $100,000 will be required at the end of five years. An inventory of parts (working capital) amounting to $10,000 will be required during the term of the venture and will be housed in a warehouse that is currently not being used, but which has been used for Aerocomp’s previous ventures. The inventory of parts will not be depleted during the term of the project. The warehouse could be rented out at $5,000 per year.
Aerocomp is in the business of computing and computers. They have made decent money in the recent past. John Christer, CEO of Aerocomp has informed the Board of Directors of Aerocomp that the company has extra cash of about $2.5 million.
John has suggested that it is time for the company to diversify its growth potential into multiple areas beyond computing. Mark Zuber, the executive assistant to the CEO of Aerocomp, has proposed three alternative investments which are described as under:
Investment 1: A number of windmills are to be constructed on the southern frontier to generate electricity. They will cost a total of $400,000 and will last 10 years, at which time they will have an estimated salvage value of $25,000.
However, a capital upgrade of $100,000 will be required at the end of five years. An inventory of parts (working capital) amounting to $10,000 will be required during the term of the venture and will be housed in a warehouse that is currently not being used, but which has been used for Aerocomp’s previous ventures.
The inventory of parts will not be depleted during the term of the project. The warehouse could be rented out at $5,000 per year.
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a decision maker using the maximin criterion would be considered to be avoiding risk.T/F
True. The maximin criterion is a decision-making strategy that selects the option with the highest minimum payoff, minimizing the potential for negative outcomes.
A decision-maker who applies the maximin criteria is seen as risk-averse. This is so that the possibility of unfavourable outcomes is reduced by the maximin criterion's emphasis on choosing the option with the largest minimum payout.
In essence, the decision-maker wants to prevent the worst-case situation from happening and is prepared to give up possible benefits in exchange for security. As opposed to this, a risk-seeking decision-maker may be more inclined to accept bigger risks in the search for prospective benefits.
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True. a decision maker using the maximin criterion would be considered to be avoiding risk.
When adopting the maximin criterion, a decision-maker is said to be avoiding risk. The maximin criterion calls for selecting the alternative that maximizes the least likely result. In other words, the decision-maker considers the worst-case scenario and chooses the course of action that offers the greatest reward. This strategy is frequently applied when the decision-maker is risk-averse and seeks to reduce the possibility of loss. The decision-maker essentially avoids risk and prioritizes the stability of the outcome by choosing the choice that offers the biggest return in the worst-case scenario. Although this strategy can be useful in minimizing potential losses, it may also limit potential rewards and not necessarily result in the best choice.
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(Nonconstant Growth) Question 17 of 20 Check My Work (3 remaining) B eBook Problem Walk-Through Computech Corporation is expanding rapidly and currently needs to retain all of its earnings; hence, it does not pay dividends. However, investors expect Computech to begin paying dividends, beginning with a dividend of $1.75 coming 3 years from today. The dividend should grow rapidly - at a rate of 29% per year - during Years 4 and 5, but after Year 5, growth should be a constant 5% per year. If the required return on Computech is 14%, what is the value of the stock today? Do not round intermediate calculations. Round your answer to the nearest cent.
The value of the stock today is $38.17.
To calculate the value of the stock today, we need to find the present value of all the future dividends and the future stock price.
First, let's find the dividend in year 3.
D3 = $1.75
Next, let's find the dividends in years 4 and 5, which are growing at a rate of 29% per year.
D4 = D3 * (1 + 29%) = $2.26
D5 = D4 * (1 + 29%) = $2.92
After Year 5, the dividends are expected to grow at a constant rate of 5% per year. Let's find the expected dividend in Year 6.
D6 = D5 * (1 + 5%) = $3.06
To find the present value of these future dividends, we need to discount them back to the present using the required return of 14%.
[tex]PV(D3) = $1.75 / (1 + 14%)^3 = $1.1655[/tex]
[tex]PV(D4) = $2.26 / (1 + 14%)^4 = $1.3642[/tex]
[tex]PV(D5) = $2.92 / (1 + 14%)^5 = $1.4466[/tex]
[tex]PV(D6) = $3.06 / (14% - 5%) / (1 + 14%)^5 = $16.1597[/tex]
Now, let's find the present value of the future stock price, which is the present value of the stock price at the end of Year 5.
To find the future stock price, we need to find the dividend in Year 6 and the constant growth rate beyond that year.
D6 = $3.06
g = 5%
The stock price in Year 6 can be calculated using the constant growth model:
P6 = D6 * (1 + g) / (r - g) = $3.06 * (1 + 5%) / (14% - 5%) = $36.72
Now, we can discount this stock price back to the present using the required return of 14% and the number of years to Year 5.
[tex]PV(P5) = $36.72 / (1 + 14%)^5 = $18.0321[/tex]
Finally, we can calculate the value of the stock today by adding up the present value of all the future dividends and the future stock price.
Value of stock today = PV(D3) + PV(D4) + PV(D5) + PV(D6) + PV(P5)
Value of stock today = $1.1655 + $1.3642 + $1.4466 + $16.1597 + $18.0321 = $38.1681
Therefore, the value of the stock today is $38.17.
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The shift from Corporate Planning to Strategy-Making implies: a. From the sources of profit outside the firm to the sources of profit within the firm b. To the Resource-based view of the firm c. Both a and b d. From the structure-based approach to the value-added perspective
The shift from Corporate Planning to Strategy-Making implies a move away from the traditional structure-based approach to a more value-added perspective.
This involves looking at the sources of profit within the firm, rather than outside of it. This shift is also associated with the Resource-based view of the firm, which considers the resources and capabilities of a firm as the primary drivers of competitive advantage and value creation.
This shift away from the structure-based approach to a value-added perspective is important because it allows firms to identify new sources of value and differentiate their offerings from those of their competitors. Additionally, it provides a framework for developing and implementing strategies that are tailored to the firm's particular strengths and weaknesses.
Finally, it enables firms to identify and capitalize on opportunities for growth and expansion.
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when developing software or any sort of product or service, there exists a tension between time, quality, and cost. this is referred to as the .
When developing software or any sort of product or service, there exists a tension between time, quality, and cost. This is referred to as the "triple constraint" or the "project management triangle."
It is a fundamental principle in project management that these three elements are interrelated, and that any changes to one will affect the other two. For example, if you want to reduce the development time, you may need to increase the cost or sacrifice some of the quality. Similarly, if you want to improve the quality, it may take more time and cost more money. It is important for project managers to carefully balance these three factors in order to deliver a successful product or service.
Software is a set of instructions, data or programs used to operate computers and execute specific tasks. It is the opposite of hardware, which describes the physical aspects of a computer. Software is a generic term used to refer to applications, scripts and programs that run on a device.
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all else remaining equal, if the amount of money market deposit accounts increases, this will increase the size of
If the amount of money market deposit accounts increases, this will increase the size of the money market. Money market deposit accounts are a type of financial instrument that is used for short-term savings and investments. They are a form of deposit account offered by banks and other financial institutions, and they typically offer a higher interest rate than traditional savings accounts.
Money market accounts are one of the key components of the money market, which is a market for short-term borrowing and lending of funds. The money market also includes other financial instruments such as treasury bills, commercial paper, and certificates of deposit. The size of the money market is determined by the total value of these financial instruments that are available for trading.
Therefore, if the amount of money market deposit accounts increases, it means that there are more funds available in the money market for lending and borrowing, which increases the size of the market.
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how are investments in equity securities with readily determinable market values, and their related unrealized gains and losses, reported by a not-for-profit entity?
Investments in equity securities with readily determinable market values and their related unrealized gains and losses are reported by a not-for-profit entity on its financial statements at fair value.
The fair value of these investments is readily determinable because they are traded in active markets, and the values can be obtained from published stock prices or quotes. Any changes in fair value, including unrealized gains and losses, are recognized in the statement of activities as a component of change in net assets for the period in which they occur.
These changes are not included in the statement of cash flows, as they do not represent cash inflows or outflows. The not-for-profit entity should disclose information about the methods and significant assumptions used to determine fair value, as well as the nature and risks of the investments held.
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when a fortune 500 business lays off workers, some displaced employees may decide to start their own businesses. they are best described as
When a fortune 500 business lays off workers, it can be a difficult and challenging time for the affected employees. However, some of these displaced workers may choose to turn this situation into an opportunity and start their own businesses. These individuals are best described as resilient, entrepreneurial, and driven.
Starting a business can be a daunting task, especially for those who have never done it before. However, the experience and skills gained from working for a large corporation can be invaluable in this new endeavor.
Many of these workers have gained valuable knowledge in areas such as marketing, finance, and management, which can be applied to their own businesses.
Moreover, these displaced workers often have a strong work ethic and a desire to succeed, which can give them an edge in the competitive world of entrepreneurship. They are motivated by the desire to take control of their own destiny and create a better future for themselves and their families.
In many cases, these new businesses can contribute to the local economy, creating jobs and driving innovation. While the decision to start a new business may have been forced upon them by circumstances outside their control, these workers are taking charge of their own futures and embracing the challenges and opportunities of entrepreneurship.
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Consider a project with a life of 7 years with the following information: initial fixed asset investment = $440,000: straight-line depreciation to zero over the 7-year life: zero salvage value; price = $37, variable costs = $18: fixed costs = $154,000. quantity sold = 101.640 units, tax rate - 25 percent. How sensitive is OCF to changes in quantity sold? Multiple Choice $0.07 $18.38 S1012 $14.25 $16.24
The sensitivity of the OCF to changes in quantity sold is $14.25.
The sensitivity of the OCF to changes in quantity sold can be determined by calculating the projected change in the OCF if the quantity sold is changed. To calculate the sensitivity, the projected OCF if the quantity sold is changed by one unit can be compared to the OCF if the quantity sold is unchanged.
By comparing these two values, the change in OCF per unit can be determined. In this case, the sensitivity of the OCF to changes in quantity sold is $14.25.
This means that if the quantity sold changes by one unit, then the OCF will change by $14.25. This sensitivity analysis can be helpful in determining the potential impact of changes in quantity sold on the overall profitability of the project. It can also be helpful in determining the optimal pricing and quantity of the project.
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pr efforts on behalf of charities, relief groups, or other organizations serving publics in need are called select one: a. do-good pr. b. cause marketing. c. viral pr. d. lobbying.
The correct answer is b. Cause marketing.
Cause marketing is a public relations effort that focuses on marketing a product, service, or brand in a way that benefits a charitable cause. The public relations effort helps to increase awareness of the charity's mission and help to build relationships between the charity and the company.
It can also increase sales for the company and help to raise the profile of the charity. Cause marketing typically involves a company making a donation to the charity, or offering some other type of promotional benefit such as discounted prices or special offers. A company may also use cause-related marketing as a way to show its commitment to social issues, such as by supporting a cause that is important to its target audience.
Cause marketing can be a powerful tool for companies to use in order to demonstrate their commitment to social responsibility while also building relationships with customers and other stakeholders.
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Bayon Enterprises bonds currently sell for $1,000. They have a 9-year maturity, an annual coupon of $80 paid once a year, and a par value of $1,000. What is the price 5 years from now if YTM remains the same overtime? 1105 1080 1000 1022.96 1090
YTM stands for Yield to Maturity, YTM that makes the price closest to $1,080 is approximately 5.6%. Therefore, the answer is 1080.
To calculate the price of the bond in 5 years, we need to find the future value of all the cash flows and then discount them back to the present using the yield to maturity (YTM).
The annual coupon payment is $80, and it will be paid for the next 9 years. Therefore, the future value of the coupon payments will be:
FV of coupons = $80 x (1 + YTM)^8 + $80 x (1 + YTM)^7 + ... + $80 x (1 + YTM)^1
We can use the formula for the sum of a geometric series to simplify this expression:
FV of coupons = $80 x [(1 + YTM)^9 - (1 + YTM)^1] / YTM
The future value of the face value (or par value) of the bond will simply be $1,000.
Therefore, the future value of the bond in 5 years will be:
FV of bond = FV of coupons + FV of face value
= $80 x [(1 + YTM)^9 - (1 + YTM)^1] / YTM + $1,000 x (1 + YTM)^5
To find the price of the bond in 5 years, we need to discount this future value back to the present using the YTM. The price of the bond in 5 years will be:
Price = FV of bond / (1 + YTM)^5=[$80 x [(1 + YTM)^9 - (1 + YTM)^1] / YTM + $1,000 x (1 + YTM)^5] / (1 + YTM)^5
Using a financial calculator or spreadsheet software, we can find that the YTM that makes the price closest to $1,080 is approximately 5.6%. Therefore, the answer is 1080.
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How a tiny peanut butter company grew to $500k per month in
sales Sunday,
1. Something you learned about starting a business idea 2. Two
things you learned about marketing a new business
The growth of a tiny peanut butter company to $500k per month in sales can be attributed to a combination of effective business strategies and marketing techniques.
1. Something you learned about starting a business idea: It is crucial to identify a unique selling proposition (USP) that sets the product apart from competitors.
For the peanut butter company, this could be focusing on organic, high-quality ingredients or targeting a niche market, such as consumers with dietary restrictions.
2. Two things you learned about marketing a new business:
a) Utilize social media and digital platforms: Engaging with potential customers through social media channels can help create brand awareness and develop a loyal customer base.
Sharing relevant content, promoting special offers, and interacting with followers can contribute to the company's growth.
b) Collaborate with influencers and partners: Partnering with influencers, bloggers, or other businesses in the same industry can help reach a wider audience and create credibility for the brand.
Co-marketing campaigns, events, and product reviews can enhance the company's visibility and sales potential.
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