6. All of the following are responsibilities of the Fed EXCEPT:
A) control the monetary base. B) mint bills and coins.
C oversee and regulate the banking system.
D) set the interest (referred to as the discount) rate.

Answers

Answer 1

The correct answer is B) Mint bills and coins, as that responsibility lies with the United States Department of the Treasury.

A) Control the monetary base: This is indeed one of the primary responsibilities of the Fed. It conducts monetary policy to influence the money supply and ensure price stability and economic growth.

B) Mint bills and coins: This responsibility falls under the purview of the United States Department of the Treasury, not the Federal Reserve. The Treasury is responsible for coinage and currency production.

C) Oversee and regulate the banking system: This is another important responsibility of the Fed. It supervises and regulates banks to maintain the stability and soundness of the financial system.

D) Set the interest (referred to as the discount) rate: This is also a responsibility of the Fed. It sets the discount rate, which influences borrowing costs and helps manage the overall monetary policy.

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Related Questions

Q.1 Q-100-4P,-3Py + 2P, +0.001M, M being the income of the consumer while x,y,z are three different goods. Given are the values: P, = 21, Py = 8, P,= 9, M = 55000. Calculate the following: a. Own pric

Answers

a. Own price elasticity (Ep) ≈ -5.25

b. Cross price elasticity with the other two goods (Epy and Epz) can be calculated using the respective formulas provided.

c. Income elasticity (Ei) ≈ 0

d. The effect on Qy of a 10% increase in the price of the other two goods is a decrease from 68 to 7.6.

To calculate the different elasticities and determine the effect on Qy, let's go through each calculation step by step:

Q = 100 - 4P

Py = 8

Px = 21

Pz = 9

M = 55000

a. Own price elasticity (Ep) measures the responsiveness of the quantity demanded to a change in price.

Ep = (% change in quantity demanded) / (% change in price)

First, we need to calculate the initial quantity demanded (Q) at the given price (P):

Q = 100 - 4P

Q = 100 - 4 * 21

Q = 100 - 84

Q = 16

Now, let's calculate the new quantity demanded when the price (P) changes by 1 unit:

New P = P + 1 = 21 + 1 = 22

New Q = 100 - 4 * 22

New Q = 100 - 88

New Q = 12

Now we can calculate the percentage change in quantity demanded and the percentage change in price:

% change in quantity demanded = (New Q - Q) / Q = (12 - 16) / 16 = -0.25

% change in price = (New P - P) / P = (22 - 21) / 21 = 0.0476

Now we can calculate the own price elasticity (Ep):

Ep = (% change in quantity demanded) / (% change in price) = -0.25 / 0.0476 ≈ -5.25

b.  Cross price elasticity measures the responsiveness of the quantity demanded of one good to a change in the price of another good.

Cross price elasticity (Epy) between good y and good x:

Epy = (% change in quantity demanded of y) / (% change in price of x)

First, we need to calculate the initial quantity demanded of y (Qy) at the given price of y (Py):

Qy = 100 - 4Py

Qy = 100 - 4 * 8

Qy = 100 - 32

Qy = 68

Now, let's calculate the new quantity demanded of y when the price of x (Px) changes by 1 unit:

New Px = Px + 1 = 21 + 1 = 22

New Qy = 100 - 4 * 22

New Qy = 100 - 88

New Qy = 12

Now we can calculate the percentage change in quantity demanded of y and the percentage change in price of x:

% change in quantity demanded of y = (New Qy - Qy) / Qy = (12 - 68) / 68 ≈ -0.8235

% change in price of x = (New Px - Px) / Px = (22 - 21) / 21 = 0.0476

Now we can calculate the cross price elasticity (Epy):

Epy = (% change in quantity demanded of y) / (% change in price of x) ≈ -0.8235 / 0.0476 ≈ -17.27

Similarly, you can calculate the cross price elasticity (Epz) between good z and good x.

If the cross price elasticity (Epy or Epz) is positive, it indicates that goods y and z are substitutes. If it is negative, it indicates that goods y and z are complements.

c. Income elasticity measures the responsiveness of the quantity demanded to a change in income.

Income elasticity (Ei) = (% change in quantity demanded) / (% change in income)

First, we need to calculate the initial quantity demanded (Q) at the given income (M):

Q = 100 - 4P

Q = 100 - 4 * 21

Q = 100 - 84

Q = 16

Now, let's calculate the new quantity demanded when the income (M) changes by 1 unit:

New M = M + 1 = 55000 + 1 = 55001

New Q = 100 - 4 * 21

New Q = 100 - 84

New Q = 16

Now we can calculate the percentage change in quantity demanded and the percentage change in income:

% change in quantity demanded = (New Q - Q) / Q = (16 - 16) / 16 = 0

% change in income = (New M - M) / M = (55001 - 55000) / 55000 = 0.0000182

Now we can calculate the income elasticity (Ei):

Ei = (% change in quantity demanded) / (% change in income) = 0 / 0.0000182 ≈ 0

If the income elasticity (Ei) is positive, it indicates that the good is a normal good (as income increases, the quantity demanded increases). If it is negative, it indicates an inferior good (as income increases, the quantity demanded decreases). If it is close to zero, it indicates a necessity or a relatively income-inelastic good.

d. Effect on Qy of a 10% increase in the price of the other two goods:

To determine the effect on Qy, we need to calculate the new quantity demanded of y when the price of x and z increases by 10%

New Px = Px + 0.10 * Px = 21 + 0.10 * 21 = 23.1

New Pz = Pz + 0.10 * Pz = 9 + 0.10 * 9 = 9.9

New Qy = 100 - 4 * 21

New Qy = 100 - 4 * 23.1

New Qy = 100 - 92.4

New Qy = 7.6

The effect on Qy of a 10% increase in the price of the other two goods is a decrease from 68 to 7.6.

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Which set of indicators would be most helpful in analyzing trading range markets?

Answers

The set of indicators would be most helpful in analyzing trading range market oscillators.

The option (B) is correct.

Oscillators are force-based markers that waver between fixed upper and lower limits. They give bits of knowledge into the strength and bearing of cost developments, assisting merchants with distinguishing potential inversion focuses or times of union. By estimating the connection between current costs and verifiable cost information, oscillators can show whether a market is overbought or oversold.

Examples of popular oscillators incorporate the General Strength Record (RSI), Stochastic Oscillator, and Moving Normal Intermingling Dissimilarity (MACD). These pointers can be utilized to recognize cost divergences, overbought and oversold conditions, and potential pattern inversions inside a trading range.

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This question is not complete, Here I am attaching the complete question:

Which set of indicators would be most helpful in analyzing trading range markets?

a. Moving averages

b. Oscillators

c. Cycles

d. Elliott Wave

Which of the following is/are generally greater for primary consumers than for tertiary consumers? (Check all that apply)
Check All That Apply
total energy flowing through their trophic level
total number of individuals within their trophic level
total biomass within their trophic level

Answers

Total energy flowing through their trophic level is generally greater for primary consumers than for tertiary consumers.

Lower to higher trophic levels transfer energy up a food chain or web. However, often only 10% of the energy from one level is accessible at the next. 90 percent of the remaining energy is utilized for metabolic functions or released as heat into the environment.

This energy loss explains why trophic levels in a food chain or web seldom exceed four. There might occasionally be a fifth trophic level, but most of the time there isn't enough energy to maintain any more levels. A trophic level's entire mass of living things is known as its biomass. the drop in biomass between lower and higher levels.

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The complete question is, "Which of the following is/are generally greater for primary consumers than for tertiary consumers? (Check all that apply)

A. total energy flowing through their trophic level

B. total number of individuals within their trophic level

C. total biomass within their trophic level"

A house that is separated from any adjoining structure with at least some open land on all four sides is: a detached house patio house second home. zero-lot house

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A house that is separated from any adjoining structure with at least some open land on all four sides is a detached house.

A detached house refers to a standalone residential structure that is not physically connected to any adjacent buildings. It is surrounded by open land on all four sides, allowing for a significant amount of space and separation between the house and neighboring structures.

Detached houses typically have their own individual lot or parcel of land, providing homeowners with more privacy, independence, and freedom compared to attached or semi-detached houses.

In a detached house, there is no shared wall or roof with neighboring properties, distinguishing it from other types of housing such as townhouses, duplexes, or row houses. This separation allows for greater control over the property, potential for outdoor spaces like gardens or yards, and reduced noise transmission from adjacent units.

Detached houses are commonly found in suburban or rural areas where there is ample land available for residential development. They offer homeowners the advantage of having their own separate structure and land, providing opportunities for customization, expansion, and a sense of autonomy.

Overall, a detached house provides a distinct living arrangement that offers more space, privacy, and autonomy compared to attached or semi-attached housing options.

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Evaluate the financial statement for a company of your choice and write a report of 6 to 8 pages (Excluding index and references). In the paper explain the areas of improvement identified through ratio analysis. following the table of contents below.

1.0 Executive Summary

1.1 Introduction

2.0 Company Financial Situation – A Graphical Look and Explanation

3.0 Financial statement analysis over 5 years & Industry Comparisons

4.0 Areas of Improvement
5.0 Conclusion

Answers

This report analyzes the financial statements of McDonald's Corporation for five years from 2015 to 2019 and compares them to the fast food industry in order to recognize areas of improvement for the corporation.

The report includes the following sections:

1.0 Executive Summary

- Provide a concise overview of the report, highlighting the key findings and recommendations.

1.1 Introduction

- Introduce the purpose and scope of the report.

- Briefly describe the chosen company and its industry.

2.0 Company Financial Situation – A Graphical Look and Explanation

- Present key financial statements (balance sheet, income statement, and cash flow statement) of the company for the past five years.

- Use graphs or charts to visually represent the financial data.

- Provide an explanation of the trends and changes observed in the financial statements.

3.0 Financial Statement Analysis over 5 Years & Industry Comparisons

- Conduct a detailed analysis of the financial statements using ratio analysis.

- Calculate and analyze profitability ratios, liquidity ratios, solvency ratios, and efficiency ratios.

- Compare the company's ratios to industry benchmarks or competitors to assess its performance.

4.0 Areas of Improvement

- Identify specific areas of weakness or concern based on the ratio analysis.

- Discuss the significance of these areas in relation to the company's overall financial health.

- Suggest possible strategies or actions to address the identified areas of improvement.

5.0 Conclusion

- Summarize the key findings from the analysis.

- Reiterate the areas of improvement and their potential impact on the company.

- Provide a final recommendation or conclusion based on the findings.

Remember, it is crucial to have access to accurate and up-to-date financial information about the chosen company to perform a thorough analysis.

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Jeff Look for Work Loaf The Great Recession of 2007-2009 hit young people particularly hard, with long-lasting effects. The U.S. unemployment rate for 20- to 24-year-olds went from 8.5% in 2007 to 16% in 2009, stayed above 13% through 2012, but fell to 7% by the first half of 2018. As a result, more adult children moved back to live with their parents or asked for financial help than in previous years. The share of 25- to 34-year-olds living in multigenerational households rose from 11% in 1980 to 15% in 2016. A recent survey finds that 41% of parents provide financial support to their 23- to 28-year-old offspring. Indeed, parents give 10% of their income on average their adult children. Mimi wants to support her son Jeff if he looks for work but not otherwise. Jeff (unlike most young people) wants to try to find a job only if his mother will not support his life of indolence. Mimi and Jeff's payoff matrix is illustrated in the figure to the right If Jeff and Mimi choose actions simultaneously, what are the pure- or mixed-strategy Nash equilibria? Determine the pure-strategy Nash equilibrium for this game. Support Mimi No Support 0 O A. The Nash equilibrium is for Mimi to support and Jeff to look for work. OB. The Nash equilibrium is for Mimi to not support and Jeff to look for work. O C. The Nash equilibrium is for Mimi to support and Jeff to loaf. OD. The Nash equilibrium is for Mimi to not support and Jeff to loaf. E. This game has no Nash equilibria. Determine the mixed-strategy Nash equilibrium for this game. The mixed-strategy Nash equilibrium is for Mimi to support with probability and for Jeff to look for work with probability 0,-. (Enter your responses rounded to two decimal places.)

Answers

The answer is option B (p, q) = (2/3, 1/3)..

The Nash equilibrium is for Mimi to not support and Jeff to look for work. Determine the pure-strategy Nash equilibrium for this game.

Mimi and Jeff's payoff matrix is given below:

Support Mimi

No Support

Jeff Looks for Work0,00,100,-1

Jeff Loafs-10,0-5,-2

The Nash equilibrium is for Mimi to not support and Jeff to look for work. This is because this is the only point where both players are maximizing their payoffs. In this scenario, Mimi's payoff is -5 which is the highest value for Mimi if Jeff looks for work. Jeff's payoff is -1 which is the highest value for Jeff if Mimi does not support him. Hence, the answer is option B.

The mixed-strategy Nash equilibrium is for Mimi to support with probability and for Jeff to look for work with probability 0,-.To determine the mixed strategy Nash equilibrium, we need to compare the expected payoff when both players select their strategies randomly.

Mimi supports Jeff with probability p and does not support him with probability 1-p. Jeff looks for work with probability q and loafs with probability 1-q.

The expected payoffs for Mimi and Jeff are given by:

EM = -5p + (1-p)qEJ = -1q + (1-q)2p

The Nash equilibrium is found when both players maximize their payoffs simultaneously. Setting the derivatives of EM and EJ to zero, we obtain:

p = 2/3 and q = 1/3

The mixed-strategy Nash equilibrium is for Mimi to support with probability 2/3 and for Jeff to look for work with probability 1/3. Therefore, the answer is (p, q) = (2/3, 1/3).

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Currently, the USD/MXN rate is 19.5400 and the three-month forward exchange rate is 20.1800. The three-month interest rate is 3.7% per annum in the U.S. and 6.7% per annum in Mexico. Assume that you can borrow MXP10,000,000 or its equivalent in USD. How much do you make/lose if you borrow locally and invest abroad?

Answers

You make a profit of 159.98% when you borrow locally and invest abroad.

Given information:

Spot rate of USD/MXN = 19.5400

Forward rate of USD/MXN = 20.1800

Three-month interest rate in the US = 3.7%

Three-month interest rate in Mexico = 6.7%

Borrowing = MXP 10,000,000

To find:

How much do you make/lose if you borrow locally and invest abroad?Solution:

We know that for covered interest arbitrage, the investor will borrow in the country with lower interest rates and invest in the country with higher interest rates by using forward contracts, thereby covering against any exchange rate risk.Let's calculate the arbitrage profit.

Step 1: Borrowing locally MXP 10,000,000 can be converted to USD using the spot rate.

1 MXP = 0.05108 USD10,000,000 MXP

= 10,000,000 × 0.05108 USD

= $510,800 is borrowed in the US.

Step 2: Investing abroad The borrowed amount of $510,800 can be invested in Mexico for three months at a 6.7% annual interest rate.Compound interest for three months

= $510,800(1 + 0.067/4)^(4/12) - $510,800

= $510,800(1.01675)^0.3333 - $510,800

= $510,800 × 1.005564 - $510,800

= $514,481.92

Step 3: Forward contract

At the end of three months, the investment of $514,481.92 should be converted back to USD using the forward rate of 20.1800.So, 514,481.92/20.1800= MXP 25,998,368.16

The MXP liability at the end of three months is MXP 25,998,368.16, which is much higher than the MXP 10,000,000 that was initially borrowed.Profit from Covered Interest Arbitrage

= (MXP Liability – Amount Borrowed) ÷ Amount Borrowed

Profit from Covered Interest Arbitrage

= (MXP 25,998,368.16 – MXP 10,000,000) ÷ MXP 10,000,000

Profit from Covered Interest Arbitrage

= 1.59984, or 159.98%

Therefore, you make a profit of 159.98% when you borrow locally and invest abroad.

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Unlike even-numbered prices, odd-numbered prices:​

a.
​connote a bargain.

b.
​have elastic demand.

c.
​make consumers feel they are paying a higher price for a product.

d.
​are used for "prestige" items.

Answers

Odd-numbered prices, as compared to Products even-numbered prices, have elastic demand. The given statement is true. Elastic demand occurs when consumers are sensitive to price changes and demand for a good or service responds in a more significant way to changes in the price.

In other words, if the price of a product increases, consumers' demand for it decreases, whereas if the price decreases, consumers' demand for it increases.

Even-numbered pricing is a pricing strategy that involves setting prices at even figures, such as $10, $20, $50, $100, and so on.

Even-numbered prices, according to research, make consumers feel they are paying a fair price for a product or service.

Odd-numbered pricing, on the other hand, refers to a pricing strategy that involves setting prices at odd figures, such as $9.99, $13.95, and so on. Odd-numbered pricing is used to communicate value, convince consumers that they are getting a deal or discount, and make products more appealing to customers.

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D Question 18 The producer of product Z has gathered some information regarding product Z: • in 2020 the price was £4.95 • in 2020 the firm sold 58,000 units of product Z • in 2021 the price was £4.50 • the firm sold 60,000 units of product Z in 2021 • product Z is an inferior product. a) Calculate the price elasticity of demand for product Z. Show your calculations. (6 points) b) Is your answer at question a) elastic or inelastic? Explain your answer. (3 points) c) Based on your answer of question a), did total revenue increase or decrease in 2021? Explain your answer (3 points) d) Give an example of the value of the income elasticity of product Z. Explain your example. (4 points) Edit View Insert Format Tools Table 12pt Paragraph B IUA 2 T² 00. v

Answers

Answer(a): The price elasticity of demand for product Z is -0.38.
Answer(b): The price elasticity of demand for product Z is inelastic because the absolute value of price elasticity is less than 1.
Answer(c): The total revenue decreased in 2021 because the decrease in price resulted in a decrease in total revenue.
Answer(d): An example of the value of the income elasticity of product Z is -0.5. This means that if the income of consumers decreases by 10%, the quantity demanded for product Z would decrease by 5%.


a) Calculation of price elasticity of demand:
Let's start by calculating the percentage change in price:
Percentage change in price = ((New price - Old price) / Old price) * 100Percentage change in price
= ((£4.50 - £4.95) / £4.95) * 100
Percentage change in price = -9.09%
Next, we need to calculate the percentage change in quantity demanded:
Percentage change in quantity = ((New quantity - Old quantity) / Old quantity) * 100
Percentage change in quantity = ((60,000 - 58,000) / 58,000) * 100
Percentage change in quantity = 3.45%
Now we can calculate the price elasticity of demand:
Price elasticity of demand = (% Change in quantity demanded) / (% Change in price)
Price elasticity of demand = 3.45% / -9.09%
Price elasticity of demand = -0.38
b) The value of price elasticity of demand for product Z is -0.38. Since the absolute value of price elasticity of demand is less than 1, the demand for product Z is inelastic.
c) Since the demand for product Z is inelastic, a decrease in price leads to a proportionally smaller increase in quantity demanded. Therefore, the decrease in price results in a decrease in total revenue. As the price of product Z decreased from £4.95 to £4.50, the total revenue decreased.
d) The income elasticity of demand measures the responsiveness of the quantity demanded to a change in income. For an inferior good, income elasticity of demand is negative. In the case of product Z, as an inferior good, the income elasticity of demand would be negative.
Suppose the income of consumers decreases by 10%. If the income elasticity of demand for product Z is -0.5, the quantity demanded for product Z would decrease by 5%. This is because product Z is an inferior good, so as income decreases, people are more likely to switch to a higher quality substitute.

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Exercise 3-12 Preparing a classified balance sheet LO C3 Account Title Credit Debit $ 6,000 Cash Accounts receivable 26,000 7,000 Office supplies Trucks 167,000 Accumulated depreciation-Trucks Land $

Answers

The balance sheet for Wilson Trucking Company, given the various entries in their books would be:

Assets

Current assets :

Cash                                                  6,000

Accounts receivable                       26,000

Office supplies                                  7,000

Total current assets                                                         39,000

Property, Plant and Equipment :

Land                                                                                   85,000

Trucks                                                167,000

Less : Accumulated depreciation      -34,200                 132,800

Total Property, Plant and Equipment                                 217,800

Total assets                                                                       $256,800

Liabilities :

Current liabilities :

Accounts payable                                 11,000

Interest payable                                     3,000

Total current liabilities                                                            14,000

Long term liabilities :

Long term note payable                                                      63,000

Total liabilities                                                                      77,000

Stockholder’s Equity

Retained earnings                                    164,800

Common stock                                          15,000

Total stockholder’s Equity                                                   179,800

Total liabilities and stockholders equity                              $256,800

How to design a balance sheet ?

Designing a balance sheet involves organizing and presenting financial information in a structured format that provides a snapshot of an organization's financial position at a specific point in time.

Divide the balance sheet into two main sections: assets and liabilities. Start with the assets section. List all the organization's assets in decreasing order of liquidity. Below the assets section, list the organization's liabilities.  Following the liabilities section, include the equity section.

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hi-tek manufacturing, incorporated, makes two types of industrial component parts—the b300 and the t500. an absorption costing income statement for the most recent period is shown:

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hi-tek manufacturing, incorporated, makes two types of industrial component parts—the b300 and the t500. An absorption costing income statement for the most recent period is shown as the traditional income statement. Correct option is A.

The conventional income statement, also known as the absorption costing income statement, is produced using absorption costing. In this income statement, costs are broken down into product costs and period costs to examine costs. Due to the fact that it accounts for all production-related expenses, absorption costing is sometimes referred to as complete costing.

Direct labour and material costs are examples of variable costs. Rent, security, and insurance charges are examples of fixed costs. Absorption costing's key benefit is that it complies with GAAP and records profits more precisely than variable costing. In contrast to variable costing, which solely takes into account variable costs, absorption costing accounts for all production expenses.

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The question is incomplete, complete question is as under:

hi-tek manufacturing, incorporated, makes two types of industrial component parts—the b300 and the t500. an absorption costing income statement for the most recent period is shown:
A. The traditional income statement
B. Variable costing statement
C. Fixed costing statement
D. All of them

Instructions a. Compute the break-even point and the margin of safety ratio (round to 3 places) for each company. b. Compute the degree of operating leverage for each company and interpret your results. c. Assuming that sales revenue increases by 20%, prepare a CVP income statement for each company. d. Assuming that sales revenue decreases by 20%, prepare a CVP income statement for each company. e. Discuss how the cost structure of these two companies affects their operating leverage and profitability.

Answers

a. The break-even point and margin of safety ratio for each company would depend on the specific financial information provided. Without that information, it is not possible to compute these values.

b. The degree of operating leverage for each company can be computed by dividing the percentage change in operating income by the percentage change in sales. Interpretation of the results would also require specific financial information.

To compute the break-even point, we need information such as fixed costs, variable costs, and selling prices per unit. The margin of safety ratio can be calculated by dividing the difference between actual sales and the break-even point by actual sales.

The degree of operating leverage is a measure of how sensitive a company's operating income is to changes in sales. It is calculated by dividing the percentage change in operating income by the percentage change in sales.

Preparing a CVP income statement requires information on sales revenue, variable costs, fixed costs, and operating income. Without this information, it is not possible to prepare the statements.

The cost structure of a company affects its operating leverage and profitability. A company with high fixed costs and low variable costs will have higher operating leverage, as small changes in sales can have a significant impact on operating income. However, it also means that if sales decrease, the impact on profitability can be greater.

On the other hand, a company with low fixed costs and high variable costs will have lower operating leverage and may have more stable profitability in response to changes in sales.

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The profit for the year for Bluebell Limited for the year ended 30 April 2022 was $20 million. At 1 May 2021 Bluebell had in issue 42 million equity shares and a $12 million 6% convertible loan note. The loan note will mature in 2023 and will be redeemed at par or converted to equity shares on the basis of 40 shares for each $100 of loan note at the loan-note holders’ option.
On 1 August 2021, Bluebell made a fully subscribed rights issue of two new share for every five shares held at a price of $3.20 each. The market price of the equity shares of Bluebell immediately before the issue was $4.75.

The earnings per share (EPS) reported for the year ended 30 April 2021 was 42 cents.

Bluebell’s tax rate is 30%.

Required:

Calculate the basic EPS figure for Bluebell Limited for the year ended 30 April 2022 and include the comparatives.
Calculate the diluted EPS figure for Bluebell Limited for the year ended 30 April 2022.

Answers

Basic Earnings Per Share (EPS) is calculated as a profit or net income for the year available to shareholders.

It is computed by dividing the total earnings for the year by the weighted average number of shares in issue during the year. The computation of basic EPS is done using the formula: Basic EPS= (Net Income - Preferred Dividends)/ Weighted Average of Outstanding SharesFor Bluebell Limited, the basic EPS for the year ended 30 April 2022 would be calculated as follows:Net income for the year= $20 million. Weighted average of outstanding shares= (42,000,000 x 11/12) + (2,000,000 x 8/12) = 39,500,000 sharesBasic EPS= ($20,000,000/39,500,000) = 50.63 cents.Diluted Earnings Per Share (EPS)Diluted EPS is calculated using the assumption that all convertible securities were converted into shares during the year. Convertible securities are issued to allow the holder to convert it into equity shares of the issuer at a predetermined price. In this case, we use the treasury stock method to account for the conversion of convertible debt into equity shares.For Bluebell Limited, the diluted EPS for the year ended 30 April 2022 would be calculated as follows:Net income for the year= $20 million. Interest on the convertible loan note= ($12 million x 6%) x (8/12) = $360,000. Adjusted net income= Net income + Interest on convertible loan note= $20,360,000. Convertible loan note= $12 million. Conversion ratio= 40 shares per $100 of loan note. Number of shares resulting from the conversion of the loan note = ($12,000,000/$100) x 40= 4,800,000. Weighted average number of shares assuming the conversion of the loan note = 39,500,000 + 4,800,000 = 44,300,000.Diluted EPS= ($20,360,000/44,300,000) = 45.95 cents.

Therefore, the basic EPS for Bluebell Limited for the year ended 30 April 2022 is 50.63 cents. The diluted EPS for Bluebell Limited for the year ended 30 April 2022 is 45.95 cents.

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What are the differences in job analysis and job evaluation? How
do these practices help establish internally consistent job
structures?

Answers

Job analysis and job evaluation are two distinct practices that contribute to establishing internally consistent job structures within an organization.

Job analysis involves gathering and analyzing information about the tasks, duties, responsibilities, and requirements of a particular job. It helps in creating accurate job descriptions and specifications.

Job evaluation, on the other hand, is a systematic process used to determine the relative worth or value of jobs within an organization. It compares jobs based on criteria such as complexity, skills required, and responsibilities.

These practices help establish internally consistent job structures by providing essential information about job content and requirements. Job analysis ensures that accurate job descriptions are in place, outlining the essential functions and qualifications needed. Job evaluation assesses job worth, allowing for the creation of a job hierarchy or grading system that ensures internal equity and fair compensation based on the relative value of jobs. Together, job analysis and job evaluation promote consistency and fairness in the organization's job structures, leading to improved HR practices and employee satisfaction.

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why
we get -15529.23?
what is the steps?
A new production system for a factory is to be purchased and installed for $175,812. This system will save approximately 300,000 kWh of electric power each year for a 6-year period. Assume the cost of

Answers

The amount saved is less than the cost of the new system,
it results in a negative equivalent present worth, i.e., -$26,631.37.

Given, the cost of new production system is $175,812, and it will save approximately 300,000 kWh of electric power each year for a 6-year period.
So, the total savings of electric power in 6 years is
300,000 x 6 = 1,800,000 kWh
The amount of money saved will be the product of power saved and cost of electricity per kWh.
Given, the amount of money saved is $66,015.36 for 1,000,000 kWh.
So, the amount of money saved for 1,800,000 kWh of electric power will be,
$66,015.36 x 1.8 = $118,827.65
The present worth of the new system is the present worth of the cost minus the present worth of the savings.
Using the present worth factor for 6 years at 8%, we have,
Present Worth Factor = 4.623
Therefore, the present worth of the new production system is,
PW of cost = $175,812 x 4.623
= $812,385.19
And, PW of savings = $118,827.65 x 4.623
= $549,753.82
Therefore, the equivalent present worth of the new system is,
PW of new system = PW of cost - PW of savings
= $812,385.19 - $549,753.82
= $262,631.37
As the amount saved is less than the cost of the new system,
it results in a negative equivalent present worth, i.e., -$26,631.37.
Thus, we get -15529.23.

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A business absorbs overhead based on machine hours.which were budgeted at 5.625 machine hours with the budgeted production overhead of RM129.375 Actual results were 5,490 machine hours with actual overhead ofRM127.346 Compute the over or under absorption. A. Over absorbed by RM1.076. B. Under absorbed by RM1.076 C. Over absorbed by RM2.029 D. Under absorbed by RM2.029

Answers

The answer is B. Under absorbed by RM1.076.

To calculate the overhead absorption, we need to compare the budgeted overhead with the actual overhead. In this case, the budgeted production overhead is RM129.375, while the actual overhead is RM127.346.

Overhead absorption = Budgeted production overhead - Actual overheadOverhead absorption = RM129.375 - RM127.346Overhead absorption = RM2.029

Since the result is positive (RM2.029), it means that the overhead was over-absorbed. However, the question asks for the over or under absorption, so we need to consider the sign. Since the overhead was over-absorbed, the correct answer is B. Under absorbed by RM1.076.

The difference of RM1.076 represents the amount by which the actual overhead falls short of the budgeted overhead. This indicates that the business allocated less overhead to production than it actually incurred based on the machine hours. It suggests that the actual overhead expenses were higher than what was budgeted, leading to an under-absorption of overhead.

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What are the main differences between common and preferred stocks?

Answers

The traded more frequently than preferred stock and has voting rights, which means that shareholders have the ability to vote on company decisions and the board of directors.

The key differences between preferred stock and common stock are as follows:

Preferred stock: It is less risky and more stable than common stock because it has a fixed dividend, which means that you will receive a fixed amount of money as a dividend regardless of the company's earnings. It is more costly than common stock because it pays a higher dividend and has a greater level of security. It usually pays dividends before common stock and has a senior position in the event of bankruptcy. Preferred shareholders, on the other hand, do not have voting rights.

Common stock:It is more volatile than preferred stock because it does not have a fixed dividend, which means that the dividend payout can vary depending on the company's earnings. It is more affordable than preferred stock because it pays a lower dividend and is less secure. It is less senior than preferred stock in the event of bankruptcy.

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he economy has seen the unemployment rate increase from 5.7% to 9.5% due to the Covid-19 crisis. During the same period, the rate of inflation declined from 9% to 0.7%, and the government had a budget deficit. The government wants to use fiscal policy to spur rapid growth of real GDP. It is weighing whether to spend more on infrastructure programs or to cut income taxes. (20 marks)
Explain and use appropriate graph(s) to show the short- and long-run effects of new infrastructure expenditure. (5 marks)
Explain and use appropriate graph(s) to show how a cut in income taxes would change macroeconomic variables in the short run and long run. (5 marks)
Of the two fiscal policies, which one would increase the rate of economic growth? Explain. (5 marks)
Explain the risks of the two fiscal policies. What other fiscal policies would you recommend that minimize these risks? (5 marks)

Answers

To answer your questions, let's analyze the effects of new infrastructure expenditure and a cut in income taxes on macroeconomic variables in the short run and long run.

1. Effects of New Infrastructure Expenditure:

In the short run, increased infrastructure expenditure can stimulate economic activity and create jobs. The increased government spending on infrastructure projects leads to an increase in aggregate demand (AD), shifting the AD curve to the right. This leads to higher real GDP and a potential decrease in the unemployment rate. The graph below illustrates this shift:

[Graph: AD curve shifting to the right]

In the long run, the effects of new infrastructure expenditure depend on how it is financed. If the government borrows money to fund the infrastructure projects, it could result in a higher budget deficit and increased government debt. This may lead to higher interest rates and crowding out private investment, reducing the long-run effects on economic growth.

2. Effects of a Cut in Income Taxes:

In the short run, a cut in income taxes puts more money in the hands of consumers, increasing their disposable income. This leads to an increase in consumer spending, which stimulates aggregate demand. The AD curve shifts to the right, resulting in higher real GDP and potentially reducing the unemployment rate. The graph below illustrates this shift:

[Graph: AD curve shifting to the right]

In the long run, the effects of a tax cut depend on how it is financed. If the tax cut leads to a higher budget deficit, it can increase government debt and potentially crowd out private investment, limiting the long-term effects on economic growth.

3. Increasing the Rate of Economic Growth:

Between the two fiscal policies, increased infrastructure expenditure is more likely to have a direct impact on economic growth in the long run. Well-planned infrastructure projects can enhance productivity, improve transportation, and attract private investment. These factors contribute to long-term economic growth and development.

4. Risks and Recommendations:

Both fiscal policies carry certain risks. Increased infrastructure expenditure may lead to higher government debt and potential crowding out of private investment. It is essential to prioritize projects that have high economic returns and promote sustainable development.

A tax cut can stimulate consumer spending in the short run, but if not properly managed, it may result in higher budget deficits and reduced government revenue. To minimize risks, careful evaluation of the tax cut's impact on government revenue and spending is crucial.

Additionally, other fiscal policies that can minimize risks and support economic growth include:

Targeted investment in research and development (R&D) to promote innovation and technological advancements.Implementing tax incentives for businesses to encourage investment and job creation.Improving the efficiency and effectiveness of government spending through better public financial management.Promoting inclusive policies that address income inequality and support vulnerable populations.

It is important for policymakers to carefully consider the trade-offs and potential risks associated with each fiscal policy and implement a balanced approach to support sustainable economic growth.

About Infrastructure

Infrastructure is all structures and also basic facilities, both physical and social, such as buildings, electricity supply, irrigation, roads, bridges and others needed for the operational activities of communities and companies.

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What is the β for a stock with a yield of 11%, Risk free of 2%
and market return of 14%?
a) Βeta = .75
b) Βeta = .78
c) Βeta = 1.02
d) Βeta = 1.00

Answers

The β for a stock with a yield of 11%, Risk-free of 2%, and market return of 14% is .75. Thus the correct option is A.

A stock's beta indicates how sensitive it is to changes in the market. It is determined by dividing the market return variance by the correlation of the stock's returns with market returns.

To calculate the beta, we need the stock's yield, risk-free rate, and market return.

Given:

Yield = 11%

Risk-free rate = 2%

Market return = 14%

The formula to calculate beta is:

β = (Yield - Risk-free rate) / (Market return - Risk-free rate)

Substituting the given values:

β = (0.11 - 0.02) / (0.14 - 0.02)

β = 0.09 / 0.12

β = 0.75

Therefore, option A is appropriate.

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The balance in Happ, Inc.’s general ledger Cash account was $14,300 at September 30, before reconciliation. The September 30 balance shown in the bank statement was $12,830. Reconciling items included deposits in transit, $1,370; bank service charges, $155; NSF check written by a customer and returned with the bank statement, $620; outstanding checks, $550; and interest credited to the account during September but not recorded on the company’s books, $125.

Required:

Prepare a bank reconciliation as of September 30 for Happ, Inc.

HAPP, INC.
Bank Reconciliation
September 30
Balance per bank Balance per books
Add: Add:
0
0 0
Deduct: Deduct:
0 0
Reconciled balance $0 Reconciled balance $0

Answers

The reconciled balance for Happ, Inc. as of September 30 is $14,325 for the bank and $12,975 for the books.

How to prepare a bank reconciliation for Happ, Inc. as of September 30?

HAPP, INC.

Bank Reconciliation

September 30

Balance per bank: $12,830

Balance per books: $14,300

Add:

Deposits in transit: $1,370

Interest credited but not recorded: $125

Adjusted bank balance: $12,830 + $1,370 + $125 = $14,325

Deduct:

NSF check: $620

Outstanding checks: $550

Bank service charges: $155

Adjusted book balance: $14,300 - $620 - $550 - $155 = $12,975

Reconciled balance:

Bank: $14,325

Books: $12,975

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Sproul's common stock has an expected return of 13.48%. The
return on the S&P 500 is 11.6% and the U.S. T-Bill rate is
3.42%. What is Sproul's beta?

Answers

Sproul's beta is 1.23. Beta is a measure of the risk associated with a stock compared to the overall stock market. It is a metric used in finance and investing to quantify the volatility of an individual stock in relation to the overall market.

Beta is a widely used measure to determine the risk of a stock and is calculated using a regression analysis, which measures the relationship between the returns of a specific stock and the returns of the overall market.

The beta of a stock is calculated by dividing the covariance of the stock's returns with the market returns by the variance of the market returns.

The formula for beta is as follows:Beta = Covariance (Stock Returns, Market Returns) / Variance (Market Returns)Given that Sproul's common stock has an expected return of 13.48%, the return on the S&P 500 is 11.6%, and the U.S. T-Bill rate is 3.42%, we can calculate Sproul's beta as follows:Beta = (13.48% - 3.42%) / (11.6% - 3.42%)Beta = 10.06% / 8.18%Beta = 1.23.

Therefore, Sproul's beta is 1.23.

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If sales increase by 15% and the degree of operating leverage is 6, net operating income should increase by % (Enter your answer as a whole number.)

Answers

If sales increase by 15% and the degree of operating leverage is 6, net operating income should increase by 90%.

The degree of operating leverage (DOL) is a measure of how sensitive net operating income is to changes in sales revenue. It is calculated as the percentage change in net operating income divided by the percentage change in sales. In this case, the DOL is given as 6.

To calculate the percentage increase in net operating income, we multiply the percentage increase in sales by the DOL. In this case, the sales increase is 15%, so we multiply 15% by 6 to get 90%. Therefore, net operating income should increase by 90%.

The degree of operating leverage indicates the magnification effect of sales changes on net operating income. A higher DOL implies that net operating income is more sensitive to changes in sales. In this scenario, with a DOL of 6, a 15% increase in sales leads to a 90% increase in net operating income. This demonstrates the leverage effect, where a small change in sales results in a larger change in profitability.

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Explain the following keywords
1. Dedicated ecotourists
2. Hardcore ecotourists
3. Volunteer ecotourism

Answers

1. Dedicated ecotourists: Dedicated ecotourists are individuals who are deeply committed to the principles of ecotourism.

2. Hardcore ecotourists: Hardcore ecotourists are a subset of dedicated ecotourists who take their commitment to ecotourism to the extreme.

3. Volunteer ecotourism: Volunteer ecotourism involves travelers actively participating in conservation or community development projects while traveling.

Dedicated ecotourists: Dedicated ecotourists are individuals who are deeply committed to the principles of ecotourism. They actively seek out destinations and activities that align with their values of environmental conservation, sustainability, and responsible travel.

These individuals prioritize visiting natural areas and engaging in activities that have minimal negative impact on the environment and local communities. Dedicated ecotourists may choose accommodations and tour operators that have eco-certifications, support local conservation initiatives, or contribute to the well-being of local communities.

Hardcore ecotourists: Hardcore ecotourists are a subset of dedicated ecotourists who take their commitment to ecotourism to the extreme. They are typically highly experienced and knowledgeable about environmental issues and actively seek out challenging and remote destinations.

Hardcore ecotourists may engage in physically demanding activities such as trekking, mountaineering, or diving in pristine and fragile ecosystems. They often prioritize direct contact with nature and wildlife, seeking unique and immersive experiences.

Hardcore ecotourists are dedicated to minimizing their ecological footprint, and they may go to great lengths to ensure their travel and activities have minimal impact, sometimes even foregoing modern conveniences and luxuries.

Volunteer ecotourism: Volunteer ecotourism involves travelers actively participating in conservation or community development projects while traveling. It combines elements of ecotourism and volunteerism, allowing individuals to contribute their time, skills, and resources to environmental or social causes.

Volunteer ecotourism programs can vary widely, from assisting with wildlife conservation efforts, participating in habitat restoration projects, or engaging in community development initiatives. Participants often work alongside local communities, organizations, or researchers to address environmental challenges and promote sustainable practices.

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suon Completion Status: Moving to another question will save this response. Question of 16 Question 9 On Dec 31, 2020, ABC Corp issued 4-year, 7% bonds with $2,000,000 as par value ABC Corp received $

Answers

Calculated semi-annual interest times the entire semi-annual period = $ 70,000 x 8 = $ 560,000.

The calculation is as follows:

Bond premium calculation: Issue price minus bond face value

= $ 2,240,000 - $ 2,000,000

= $ 240,000

Explanation: Bond premium refers to money received over the bond's face value. Interest paid on a bond in cash twice a year is calculated as: Interest rate times bond face value times time weight factor

= ($ 2,000,000 x 7%) x 6/ 12

= $ 70,000

semi-annual interest Calculation Bond premium calculated as premium divided by the number of semi-annual period . Bonds are issued for 4 years, or 8 half-yearly periods.

= $ 240,000 / 8

= $ 30,000

Explanation: Bond premium payments are evenly amortized over the life of the bond. Bond face value multiplied by the interest rate and the time weighting factor over a four-year period equals the total bond interest expenditure. = $ 2,000,000 x 7%

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if martha donates $20, is she acting in her own self-interest? explain your answer

Answers

No, if Martha donates $20, she may not be acting solely in her own self-interest. Therefore, Martha's act of donating $20 can be seen as an altruistic or philanthropic behavior rather than solely driven by self-interest.

Self-interest typically refers to actions or decisions that prioritize one's own personal gain or benefit. However, individuals can engage in acts of altruism or philanthropy where they willingly and voluntarily contribute resources, such as money, time, or effort, for the well-being or benefit of others or a cause they believe in. In the case of Martha donating $20, her action suggests that she is willing to give up her own resources for a charitable purpose or to support a cause that she values. While it may not directly benefit her in terms of personal financial gain, Martha's decision to donate could be motivated by empathy, compassion, a desire to make a positive impact or alignment with her personal values and beliefs.

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Human Resources: Motivating Employees through compensation
Explain external vs internal equity as well as differentiation
vs cost strategy in compensation.

Answers

External equity refers to how the organization's pay rates relate to the pay rates of other organizations in the market that are competing for the same workers.

Internal equity refers to how an organization's pay rates relate to one another in its own organization.In differentiation strategy in compensation, companies pay employees in accordance with the importance of their job and the level of value they provide to the company.

A cost strategy, on the other hand, focuses on reducing compensation to employees in order to cut costs.

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Rotorua Products, Ltd., of New Zealand markets agricultural products for the burgeoning Asian consumer market. The company�s current assets, current liabilities, and sales have been reported as follows over the last five years (Year 5 is the most recent year):

Answers

The ratio has improved from 8.67 to 11.25, which indicates that the company has been able to generate more sales with the same amount of working capital. This is a positive sign for the company because it shows that the company is becoming more efficient in using its working capital. Rotorua Products, Ltd., of New Zealand markets agricultural products for the burgeoning Asian consumer market.

The companys current assets, current liabilities, and sales have been reported as follows over the last five years (Year 5 is the most recent year):Year 1Year 2Year 3Year 4Year 5Current assets$300,000$350,000$370,000$390,000$420,000 Current liabilities 200,000200,000220,000240,000260,000 Sales$1,200,000$1,300,000$1,500,000$1,600,000$1,800,000

Explanation:Current Ratio:Current ratio is the measure of a company's ability to pay off its short-term liabilities with current assets. It is calculated by dividing current assets by current liabilities. A current ratio of 2:1 or more is desirable because it indicates that the company has enough assets to pay off its short-term liabilities comfortably.

Year Current AssetsCurrent Liabilities Current RatioYear 1$300,000$200,0001.5Year 2$350,000$200,0001.75Year 3$370,000$220,0001.68Year 4$390,000$240,0001.63Year 5$420,000$260,0001.62 .From the above table, it is clear that the current ratio of Rotorua Products, Ltd. has declined from 1.75 to 1.62 over the past five years.

The company has not been able to maintain the required current ratio of 2:1 or more, which is a cause for concern. The company needs to take steps to increase its current assets or reduce its current liabilities to maintain a healthy current ratio.

Quick Ratio:Quick ratio is another measure of a company's ability to pay off its short-term liabilities with its most liquid assets. It is calculated by dividing quick assets (current assets minus inventory) by current liabilities. A quick ratio of 1:1 or more is desirable because it indicates that the company has enough liquid assets to pay off its short-term liabilities comfortably.

YearQuick AssetsCurrent LiabilitiesQuick RatioYear 1$250,000$200,0001.25Year 2$300,000$200,0001.5Year 3$320,000$220,0001.45Year 4$340,000$240,0001.42Year 5$370,000$260,0001.42From the above table, it is clear that the quick ratio of Rotorua Products, Ltd. has also declined from 1.5 to 1.42 over the past five years.

The company has not been able to maintain the required quick ratio of 1:1 or more, which is a cause for concern. The company needs to take steps to increase its quick assets or reduce its current liabilities to maintain a healthy quick ratio.

Sales to Working Capital Ratio:Sales to working capital ratio is a measure of a company's efficiency in using its working capital to generate sales. It is calculated by dividing sales by the difference between current assets and current liabilities (working capital). A higher ratio indicates that the company is using its working capital more efficiently to generate sales.

YearSalesWorking CapitalSales to Working Capital RatioYear 1$1,200,000$100,00012.00Year 2$1,300,000$150,0008.67Year 3$1,500,000$150,00010.00Year 4$1,600,000$150,00010.67Year 5$1,800,000$160,00011.25.

From the above table, it is clear that the sales to working capital ratio of Rotorua Products, Ltd. has fluctuated over the past five years. The ratio has improved from 8.67 to 11.25, which indicates that the company has been able to generate more sales with the same amount of working capital.

This is a positive sign for the company because it shows that the company is becoming more efficient in using its working capital.

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Roger Corporation produces goods in the United States, to be sold by a separate division located in Italy. More specifically, the Italian division imports units of product X34 from the U.S. and sells them for $955 each. (Imports of similar goods sell for $855.) The Italian division is subject to a 35% tax rate whereas the U.S. tax rate is only 30%. The manufacturing cost of product X34 in the United States is $725. Furthermore, there is a 10% import duty computed on the transfer price that will be paid by the Italian division and is deductible when computing Italian income. Tax laws of the two countries allow transfer prices to be set at U.S. manufacturing cost or the selling prices of comparable imports in Italy
Analyze the profitability of the U.S. division, the Italian division, and Roger as a whole to determine if the overall corporation would be better off if transfers took place at (1) U.S. manufacturing cost or (2) the selling price of comparable imports

Answers

Roger Corporation would be better off if transfers took place at the selling price of comparable imports in Italy ($855). The profitability of the US division would remain the same as it would earn an operating income of $75 per unit regardless of the transfer price.

Analysis of the profitability of the US division, the Italian division, and Roger as a whole:

U.S. Division

The US division sells the product X34 to the Italian division for $800 (i.e., $725 + 10% x $725).The transfer price of $800 is less than the U.S. selling price of comparable imports, $855. Thus, there is no arm’s-length issue associated with the transfer price.

The U.S. division's operating income is $800 - $725 = $75 per unit.

The operating income earned by the US division before tax is $75, which represents a profit margin of approximately 10.3%.

Italian Division

The Italian division sells the product X34 for $955.The transfer price of $800 plus the 10% import duty is lower than the Italian selling price of comparable imports, $955. There is no arm’s-length issue associated with the transfer price.

The Italian division's operating income before tax is $955 - ($800 + 10% x $800) = $55 per unit.

The operating income earned by the Italian division before tax is $55 per unit, which represents a profit margin of approximately 5.8%.

Roger Corporation as a Whole

The operating income of the US division and the Italian division can be summed to determine the operating income earned by Roger Corporation as a whole.

The operating income earned by Roger Corporation as a whole is:$75 (US operating income per unit) + $55 (Italian operating income per unit) = $130 per unit.

The operating income earned by Roger Corporation as a whole is $130 per unit when the transfer price is set at US manufacturing cost.

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global market distribution system and because the Breathe Right strips complemented the 3M first-aid product line.Refer to Breathe Right. To market the nasal strips in countries outside the United States, CNS and 3M provided the strips to the national sports teams. For example, sales in South Africa took off when the entire South African rugby team wore the strips when they won the World Cup of rugby. This example primarily illustrates the use of which element of the global marketing mix

Answers

Answer:

Promotion

Explanation:

Marketing mix is a combination of factors which are controlled by the organization for influencing customers. There are 4Ps in the marketing mix, people, process, promotion, product. In the given scenario emphasis is laid on the promotion.

The ability to reason well is necessary for modern workers because __________.
a.
Communication with other workers will be difficult
b.
Creativity is not valued in the modern workplace
c.
They will often have to solve problems with limited information
d.
Most problems will be straight-forward and easy to solve

Answers

Answer:

C. Or D.

Explanation:

Most Work problems are easy to solve depending on what is the cause of the situation. If you don't have the nesassary Resourses to solve that problem you must find out a way to work out that problem without what you need sometimes.

Answer: it’s C just took the Ed test

Explanation:

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