Company value chain activities that are critical to its competitive advantage should generally not be outsourced
These activities are typically those that are valued highly by the company's customers and are not significant cost drivers.
Additionally, keeping these activities in-house allows the company to maintain control over the entire chain, ensuring that quality standards are met, and the chain operates efficiently. When these activities are located domestically, the company may also benefit from the use of local expertise and resources.Learn more about competitive advantage here: https://brainly.com/question/14486110
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IRAC: Two colleagues decide to incorporate their Internet social networking business. They want complete control of the business, yet they need additional capital to expand the business. The two colleagues enter negotiations with eight friends willing to provide capital to the corporation. The friends agree that they will not be allowed to elect directions, but they want to make sure that they will receive a return on their investments by receiving payments from the corporation quarterly or semiannually. What securities with what rights should the corporation create to achieve the objectives of the friends and colleagues? For each security you create, sketch the rights of the holders.
The corporation needs to create securities to achieve the objectives of the friends and colleagues.
Rule: The corporation can issue preferred stock and/or bonds to meet the objectives of the friends and colleague
To give the friends a return on their investment, the corporation can issue preferred stock that pays dividends quarterly or semiannually. The preferred stockholders would have priority over common stockholders when it comes to receiving dividends. The corporation can also issue bonds that pay interest quarterly or semiannually. Bondholders would have priority over both common and preferred stockholders when it comes to receiving payments.
To achieve the objectives of the friends and colleagues, the corporation can issue preferred stock and/or bonds. Preferred stockholders would have priority over common stockholders when it comes to receiving dividends, and bondholders would have priority over both common and preferred stockholders when it comes to receiving payments.
To address the objectives of both the colleagues and friends in the Internet social networking business, the corporation could create two types of securities: common stock and preferred stock.
Common Stock: This security will be issued to the two colleagues who want complete control of the business. The rights of the common stockholders will include:
- Voting rights, allowing them to elect directors and make major decisions.
- A claim on the company's profits, usually in the form of dividends.
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In the financial statements, dividends in arrears on cumulative preferred stock should be _____Select one: a classified as an offset to retained earnings b. classified as a liability either current or long term.C. disclosed in the footnotes. d. classified as an offset to net income
When a company issues cumulative preferred stock, it means that the holders of this type of stock are entitled to receive all the unpaid dividends before common stockholders can receive any dividends. However, if the company is unable to pay these dividends, they accumulate and are known as dividends in arrears. It is important to understand how to account for these dividends in the financial statements.
According to Generally Accepted Accounting Principles (GAAP), dividends in arrears on cumulative preferred stock should be classified as a liability either current or long term. This is because they represent an obligation that the company owes to its preferred stockholders. As a liability, dividends in arrears should be disclosed separately on the balance sheet and disclosed in the footnotes to the financial statements.
It is important to note that dividends in arrears should not be classified as an offset to retained earnings or net income. Retained earnings are the portion of a company's profits that are not distributed as dividends, and net income is the company's total earnings after all expenses have been deducted. Dividends in arrears do not impact either of these figures directly.
In summary, when a company has dividends in arrears on cumulative preferred stock, it should classify them as a liability either current or long term, and disclose them in the footnotes to the financial statements. This ensures that investors and other stakeholders have a clear understanding of the company's obligations to its preferred stockholders.
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Why is the Trim option in text-specific tools an important tool?Select an answer:a. It turns text in a column to more valuable abbreviations.b. It gets rid of blank spaces before or after text.c. It narrows the width of a column containing text.d. It gets rid of blank spaces between words or letters in text.
The correct answer is b. The Trim option in text-specific tools is an important tool because it gets rid of blank spaces before or after text.
Trim is an important option in text-specific tools since it removes unwanted leading or trailing spaces.
This is especially handy when working with data imported or copied from external sources, since excessive gaps can cause problems with sorting, filtering, or data processing operations.Using the Trim option to remove these spaces ensures that the data is clean, uniform, and ready for analysis.It can also improve the text's overall appearance and readability.To know more about trim:
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The NBER would later decide that our economic recovery from the bottom of the business cycle began _____ Hoover’s famous conference on unemployment. a. before b. during c. after
The NBER would later decide that our economic recovery from the bottom of the business cycle began during Hoover's famous conference on unemployment. Option b is answer.
The statement suggests that the National Bureau of Economic Research (NBER) determined that the economic recovery from the bottom of the business cycle began during Hoover's conference on unemployment. However, this statement is factually incorrect. The Great Depression began in 1929 and it was not until 1933 that the NBER determined that the business cycle had reached its trough and the economy had begun to recover.
Therefore, the NBER would not have determined that the economic recovery began during Hoover's conference on unemployment, but rather several years later.
Option b is answer.
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Requirements 1 1. Compute the price of the following 8% bonds of City Telecom. a. $400,000 issued at 77.25 b. $400,000 issued at 105.25 c. $400,000 issued at 96.25 d. $400,000 issued at 102.25
Therefore, the prices of the four bonds are:
a. $61,259.83
b. $679,176.94
c. $970,031.34
d. $1,576,875.36
Here Price = [tex](C / r) . (1 - 1 / (1 + r)^{n} ) + M / (1 + r)^{n}[/tex]
Using the provided data, the prices of the bonds can be calculated as follows:
a. $400,000 issued at 77.25:
Coupon payment = 8% x $400,000 = $32,000 per year
Market interest rate = (100 - 77.25) / 77.25 = 0.2996 or 29.96% per year
Years to maturity = 20 years
Price = [tex]($32,000 / 0.2996) x (1 - 1 / (1 + 0.2996)^{20} ) + $400,000 / (1 + 0.2996)^{20}[/tex]
Price = $56,268.44 + $4,991.39
Price = $61,259.83
b. $400,000 issued at 105.25:
Coupon payment = 8% x $400,000 = $32,000 per year
Market interest rate = (105.25 - 100) / 100 = 0.0525 or 5.25% per year
Years to maturity = 20 years
Price = [tex]($32,000 / 0.0525) x (1 - 1 / (1 + 0.0525)^{20} ) + $400,000 / (1 + 0.0525)^{20}[/tex]
Price = $529,857.14 + $149,319.80
Price = $679,176.94
c. $400,000 issued at 96.25:
Coupon payment = 8% x $400,000 = $32,000 per year
Market interest rate = (100 - 96.25) / 96.25 = 0.039 or 3.9% per year
Years to maturity = 20 years
Price = [tex]($32,000 / 0.039) x (1 - 1 / (1 + 0.039)^{20} ) + $400,000 / (1 + 0.039)^{20}[/tex]
Price = $820,711.54 + $149,319.80
Price = $970,031.34
d. $400,000 issued at 102.25:
Coupon payment = 8% x $400,000 = $32,000 per year
Market interest rate = (102.25 - 100) / 100 = 0.0225 or 2.25% per year
Years to maturity = 20 years
Price = [tex]($32,000 / 0.0225) x (1 - 1 / (1 + 0.0225)^{20} ) + $400,000 / (1 + 0.0225)^{20}[/tex]
Price = $1,427,555.56 + $149,319.80
Price = $1,576,875.36
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In terms of the concept of integrated marketing communications, the brand consists of the following except
identity
image
price
promise
In terms of the concept of integrated marketing communications, the brand consists of the following (identify, image and promise) ,except price.
What is Integrated marketing communications (IMC)?Integrated marketing communications (IMC) is a strategic approach that combines various communication channels and tools to deliver a consistent, unified message about a brand.
In the context of IMC, a brand consists of several elements, but not all are directly related to the concept.
These elements include:
1. Identity: The unique visual and verbal representation of a brand, such as its logo, colors, and tagline.
2. Image: The overall perception and mental picture that consumers have about a brand based on their experiences and associations.
3. Promise: The commitment a brand makes to its customers regarding the quality, performance, and value of its products or services.
However, "price" is not an integral component of IMC, as it focuses on the cost of a product or service rather than the communication strategies employed to promote the brand.
While pricing can influence a brand's image, it is not directly related to the concept of integrated marketing communications.
So the answer for this question is price.
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Social efficiency is defined as an allocation of resources that … a. maximizes consumer surplus. b. maximizes producer surplus. c. maximizes social well-being.
Social efficiency is defined as an allocation of resources that c. maximizes social well-being.
This involves achieving a balance between consumer surplus and producer surplus to ensure optimal resource distribution and overall societal benefits. This means that not only consumer and producer surplus are considered, but also other factors such as externalities, public goods, and equity. Therefore, social efficiency takes into account the welfare of all members of society, not just consumers or producers. Effeciency maximizes consumer surplus means that consumers are able to obtain a good or service at a price lower than what they are willing to pay for it. Maximizing producer surplus means that producers are able to sell a good or service at a price higher than what it costs them to produce it. Both of these concepts focus on the gains of one group of stakeholders without considering the costs or benefits to other stakeholders.
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Social efficiency is defined as an allocation of resources that c. maximizes social well-being.
Social efficiency refers to the optimal allocation of resources in a way that maximizes overall social welfare or well-being. This includes not only the economic efficiency of production and distribution, but also considerations of equity and fairness in the distribution of benefits and costs across different groups in society. Achieving social efficiency requires taking into account both the benefits and costs of different economic activities, as well as their impacts on broader social and environmental goals, such as sustainability and social justice. In contrast, maximizing consumer surplus or producer surplus may lead to economic efficiency in the short term, but may not necessarily be socially efficient if it results in negative externalities or inequitable distribution of benefits and costs.
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direct marketing communication conducted by green ocean cruises that is designed to prompt immediate feedback by customers is also called
Direct marketing communication conducted by Green Ocean Cruises that is designed to prompt immediate feedback by customers is also called direct response marketing.
This type of marketing is designed to elicit an immediate response or action from the customer, such as making a purchase or providing feedback. It can take many forms, including direct mail, email, telemarketing, and online advertising. The goal of direct response marketing is to generate leads, build customer loyalty, and increase sales by targeting a specific audience with a compelling message and a clear call to action.
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effectively written search ads have (1) relevant keywords, (2) , and (3) .
Effectively written search ads have (1) relevant keywords, (2) a clear and compelling message, and (3) a strong call to action.
Relevant keywords: The ad should include keywords that match the user's search query, so that it appears in the search results when someone types in those keywords.
Clear and compelling message: The ad should have a clear and compelling message that highlights the benefits or unique selling proposition of the product or service being advertised. It should capture the user's attention and encourage them to click on the ad to learn more.
Strong call to action: The ad should have a strong call to action that prompts the user to take action, such as "buy now," "sign up today," or "get a free quote." This encourages the user to engage with the ad and take the next step in the sales process.
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Gina, a salesperson for ABC Corp., spends a lot of time "interviewing" her prospects so she can learn their names, interests, and job responsibilities. Gina should probably spend more time:
O obtaining precall information on the prospect.O qualify leads for future follow-upO determining other purchase decision influencersO It can waste a lot of the salesperson's time
Gina, the salesperson for ABC Corp., is doing a good job by spending time "interviewing" her prospects to learn their names, interests, and job responsibilities.
However, to maximize her time and increase her chances of success, she should also spend more time obtaining pre-call information on the prospect, qualifying leads for future follow-up, and determining other purchase decision influencers. This will help her understand the prospect's needs, wants, and decision-making process better, which can save time and increase her chances of closing a sale. It is essential to strike a balance between learning about the prospect and efficiently moving through the sales process.
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a manager should never hire another worker if the new person causes diminishing returns." is this statement correct? if so, why? if not, explain why not.
"A manager should never hire another worker if the new person causes diminishing returns" is not entirely correct.
While it's true that diminishing returns occur when adding an additional worker leads to a decrease in the marginal product of labour, this does not necessarily mean a manager should never hire that worker.
Here's why:
1. Short-term vs. long-term: Diminishing returns might be a short-term phenomenon due to factors such as training or workspace limitations. Over time, the new worker may contribute positively to the company, making the initial investment worthwhile.
2. Specialization: Although adding a new worker may lead to diminishing returns initially, it can also result in greater specialization of tasks. This may increase overall productivity and efficiency in the long run.
3. Costs vs. benefits: The decision to hire a new worker should consider the costs and benefits associated with the decision. Even if the new worker causes diminishing returns, their addition might still be beneficial if they bring unique skills, experience, or insights to the company.
In conclusion, diminishing returns should be taken into account, but they should not be the sole factor in determining whether to hire a new worker. Managers should consider the long-term impact, potential for increased specialization, and overall costs and benefits before making their decision.
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The budget that summarizes future plans for the acquisition offixed assets is the:
a. direct materials purchases budget
b. production budget
c. sales budget
d. capital expenditures budget
The budget that summarizes future plans for the acquisition of fixed assets is the capital expenditures budget that is option d.
This budget outlines the expected purchases of long-term assets such as property, equipment, and vehicles, and is an important tool for businesses to plan for future investments and manage their assets effectively. The very budget that summarizes future plans for the acquisition of fixed assets is the capital expenditures budget because this budget outlines the company's planned investments in fixed assets, such as machinery, equipment, and property. It helps businesses plan for future growth and asset replacement.
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AES Corporation Think about one of the three positions outlined below. Your writeup should discuss which of these three positions you would take at the end of the case. The position you argue for will need to be from the perspective of you as a director on the Board of Directors trying to convince the other directors that your position should prevail. 1) Status quo - You should argue for the founders to be left in place and any changes made will be left up to the founders. No changes will be dictated by the Board, 2) Keep founders, but changes need to be made - You should argue for the founders to be left in place but you should also argue that changes need to be made. It is not necessary for you to redesign the company here unless it is for the purpose of making your point about change; just present the reasons why additional changes are necessary. 3) Fire the founders, and changes need to be made - You should argue for the founders to be fired by the Board and be replaced by a new Chairman and a new CEO. You should also argue that changes need to be made. It is not necessary for you to redesign the company here unless it is for the purpose of making your point about change: just present the reasons why additional changes are necessary. Your argument should draw on the facts presented in the case study, along with the concepts you have learned in this course, In addition to the above, write about the following two questions.1. From strictly a management position, what have been the key policies and procedures that allowed AES to be successful for 25 years? 2. Prior to the current crisis, what have been the key strengths, weaknesses, opportunities and threats that AES has faced?
As a director on the Board of Directors of AES Corporation, my position would be to argue for the second option - keep the founders but changes need to be made. I believe that the founders, Dennis Bakke and Roger Sant, have a wealth of knowledge and experience that is valuable to the company, but changes need to be made in order to address the current crisis and ensure long-term success.
From a management position, the key policies and procedures that have allowed AES to be successful for 25 years include a focus on decentralized decision-making, a commitment to social responsibility and sustainability, and a culture of innovation and risk-taking. The company's decentralized structure has allowed for nimble decision-making and empowered employees at all levels to take ownership of their work. AES has also been a leader in corporate social responsibility, investing in renewable energy and community development projects in the countries where it operates. Finally, AES has fostered a culture of innovation and risk-taking, encouraging employees to think outside the box and pursue new ideas.Prior to the current crisis, AES's key strengths included its global reach, diverse portfolio of energy assets, and commitment to sustainability. However, weaknesses included a heavy debt load and a lack of transparency and communication with investors. Opportunities for growth included expanding into new markets and investing in renewable energy, while threats included increasing competition and regulatory uncertainty.In light of the current crisis, it is clear that changes need to be made to address these weaknesses and ensure long-term success. As a director on the Board, I would advocate for improved communication and transparency with investors, a focus on debt reduction, and a strategic shift towards renewable energy and emerging markets. These changes would build on AES's strengths and opportunities, while mitigating potential threats and setting the company on a path towards sustainable growth.
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As a director on the Board of Directors of AES Corporation, my position would be to argue for the second option - keep the founders but changes need to be made. I believe that the founders, Dennis Bakke and Roger Sant, have a wealth of knowledge and experience that is valuable to the company, but changes need to be made in order to address the current crisis and ensure long-term success.
From a management position, the key policies and procedures that have allowed AES to be successful for 25 years include a focus on decentralized decision-making, a commitment to social responsibility and sustainability, and a culture of innovation and risk-taking. The company's decentralized structure has allowed for nimble decision-making and empowered employees at all levels to take ownership of their work. AES has also been a leader in corporate social responsibility, investing in renewable energy and community development projects in the countries where it operates. Finally, AES has fostered a culture of innovation and risk-taking, encouraging employees to think outside the box and pursue new ideas.Prior to the current crisis, AES's key strengths included its global reach, diverse portfolio of energy assets, and commitment to sustainability. However, weaknesses included a heavy debt load and a lack of transparency and communication with investors. Opportunities for growth included expanding into new markets and investing in renewable energy, while threats included increasing competition and regulatory uncertainty.In light of the current crisis, it is clear that changes need to be made to address these weaknesses and ensure long-term success. As a director on the Board, I would advocate for improved communication and transparency with investors, a focus on debt reduction, and a strategic shift towards renewable energy and emerging markets. These changes would build on AES's strengths and opportunities, while mitigating potential threats and setting the company on a path towards sustainable growth.
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In a defined-benefit plan, the process of funding refers toa. determining the projected benefit obligation.b. determining the accumulated benefit obligation.c. making the periodic contributions to a funding agency to ensure that funds are available to meet retirees' claims.d. determining the amount that might be reported for pension expense.
In a defined-benefit plan, the process of funding refers to making the periodic contributions to a funding agency to ensure that funds are available to meet retirees' claims. The right option answer is C
This is necessary because the plan promises a specific benefit amount to retirees, which must be funded by the employer or plan sponsor. The contributions made by the employer are based on actuarial calculations that take into account factors such as the number of participants, their ages and service years, and the expected rate of return on plan assets. The goal of funding is to ensure that the plan has sufficient assets to pay the promised benefits when they become due, and to minimize the risk of underfunding or unfunded liabilities.
Hence, the answer with right option is C.
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Consider a closed economy. If aggregate desired saving is greater than aggregate desired investment, then: a. The economy is not in equilibrium b. The economy is in equilibrium if the interest rate is above 0% c. The interest rate has to increase in order for the economy to attain equilibrium d. The investment curve has to shift to the left and then the economy will reach an equilibrium even if the interest rate does not change
It is not necessary for the interest rate to be above 0% for the economy to reach equilibrium. The key is to match the level of desired saving and desired investment in order to achieve equilibrium.
If aggregate desired saving is greater than aggregate desired investment in a closed economy, then the economy is not in equilibrium. To reach equilibrium, either the interest rate has to increase or the investment curve has to shift to the left. However, it is not necessary for the interest rate to be above 0% for the economy to reach equilibrium. The key is to match the level of desired saving and desired investment in order to achieve equilibrium.
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What is true about the monopoly's marginal revenue? Assume no price discrimination please (just one price can be used) Marginal revenue is equal to price None of the other answers is correct O Marginal revenue is higher than price Marginal revenue is lower than the price (except for the first unit), because selling more requires the monopoly to discount the former units as well
In a monopoly with no price discrimination (just one price can be used), marginal revenue is lower than the price (except for the first unit), because selling more requires the monopoly to discount the former units as well.
If we assume that there is no price discrimination, meaning the monopoly is charging the same price for all units sold, then the true statement about the monopoly's marginal revenue is that it is lower than the price (except for the first unit). This is because in order to sell more units, the monopoly would have to lower the price for all units sold, resulting in a lower marginal revenue. So, marginal revenue is lower than the price (except for the first unit), because selling more requires the monopoly to discount the former units as well.
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true or false: theoretically, the mean, median, and the mode are all equal for a normal distribution.
The given statement " theoretically, the mean, median, and the mode are all equal for a normal distribution." is true because for a normal distribution, the mean, median, and mode are all equal.
This is because the normal distribution is symmetric around the mean, with the majority of the data clustered close to the mean. Since the median is the value that divides the data into two equal halves, it will also be the same as the mean for a symmetric distribution. Additionally, the mode, which represents the most frequently occurring value in the distribution, is also equal to the mean and median in a normal distribution since the distribution is unimodal (having only one mode) and symmetric.
Therefore, for a normal distribution, the mean, median, and mode are all equal.
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contracts generally do not require bargaining that leads to an exchange between the parties. a. true b. false
The given statement is false because contracts are formed based on the principle of mutual exchange, where each party offers something of value to the other party in exchange for something else. The correct option is B.
Bargaining is often necessary to determine the terms of the exchange and ensure that both parties receive something of value. In the bargaining process, the parties negotiate on price, quantity, quality, delivery, payment terms, and other relevant terms of the agreement. The bargaining process may be done orally, in writing, or through intermediaries.
Thus, bargaining is a crucial part of the contract formation process, and it is essential that both parties reach an agreement that is mutually beneficial.
Therefore, the correct option is B.
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If inventory turnover is too slow, a company may be unable to sell goods or it may be understating merchandise inventory. O True O False
The statement if inventory turnover is too slow, a company may be unable to sell goods or it may be understating merchandise inventory is true because a low inventory turnover ratio could indicate sluggish sales or overstocking. It may be a sign of poor marketing or an issue with a retail chain's merchandising plan.
On the other hand, a high inventory turnover ratio denotes robust sales. A fall in inventory turnover indicates that stock is moving more slowly, fewer products are being sold, or the markup rate has had to be reduced for whatever reason. It will reduce your profit margin. Investors are curious in how quickly you can convert your company's goods into cash and how liquid it is.
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2 Aggregate production strategies are part of your _______________ planning.
a. Long range
b. Short range
c. Intermediate range
Aggregate production strategies are part of your long-range planning.
Long-range planning involves making strategic decisions regarding production, resource allocation, and overall organizational goals over an extended period, typically several years.
This includes determining the aggregate production strategies to meet the anticipated demand for your products or services.
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what makes a market competitive? what determines whether small firms, medium-sized firms, or large firms will dominate in a competitive market?
A market is considered competitive when there are many firms operating within the same industry, providing similar products or services.
This means that there is a high level of rivalry among these firms, and each one must strive to differentiate themselves in order to gain an advantage over their competitors. Factors that contribute to a market being competitive include low barriers to entry, high levels of customer demand, and a high level of innovation and technological advancement.
In terms of which type of firm will dominate in a competitive market, it largely depends on the specific industry and the competitive landscape. Small firms may have an advantage if they are able to provide unique and innovative products or services that appeal to a niche market.
Medium-sized firms may have an advantage in terms of economies of scale and the ability to compete on price. Large firms may have an advantage due to their extensive resources and established brand recognition.
Ultimately, it is difficult to determine which type of firm will dominate in a competitive market, as it largely depends on a variety of factors such as market conditions, consumer preferences, and the ability of each firm to effectively compete.
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Malley Company sells 100,000 units for $13 a unit. Fixed costs are $350,000 and net income is $250,000. What should be reported as a variable expenses in the CVP income statement? $1, 050,000. $700,000 $600,000. $950,000.
In the CVP income statement, the variable expenses of $700,000 would be reported. Therefore, the correct option is option 2.
To find the variable expenses in the CVP income statement for Malley Company, we'll use the following formula:
Variable expenses = Total sales - Fixed costs - Net income
First, let's calculate the total sales:
Total sales = Units sold * Price per unit = 100,000 units * $13
Total sales = $1,300,000
Now, plug in the values into the formula:
Variable expenses = $1,300,000 - $350,000 - $250,000
Variable expenses = $700,000
So, the variable expenses to be reported in the CVP income statement for Malley Company are $700,000 which corresponds to option 2.
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In the CVP income statement, the variable expenses of $700,000 would be reported. Therefore, the correct option is option 2.
To find the variable expenses in the CVP income statement for Malley Company, we'll use the following formula:
Variable expenses = Total sales - Fixed costs - Net income
First, let's calculate the total sales:
Total sales = Units sold * Price per unit = 100,000 units * $13
Total sales = $1,300,000
Now, plug in the values into the formula:
Variable expenses = $1,300,000 - $350,000 - $250,000
Variable expenses = $700,000
So, the variable expenses to be reported in the CVP income statement for Malley Company are $700,000 which corresponds to option 2.
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Determine the preferred dynamic rebalancing strategy if the market is expected to be highly volatilein the months but more or less flat. a) buy and hold b) constant mix co) constant proportion portfolio insurance
If the market is expected to be highly volatile in the coming months but more or less flat, the preferred dynamic rebalancing strategy would be constant proportion portfolio insurance. Option (D) is the correct answer.
This strategy allows for automatic rebalancing of the portfolio as market conditions change, ensuring that the portfolio remains properly diversified and in line with the investor's risk tolerance. With constant mix or buy and hold strategies, the portfolio would be more susceptible to market fluctuations, potentially leading to larger losses in a highly volatile market. Constant proportion portfolio insurance offers a more proactive approach to managing risk, making it the preferred strategy in this scenario.
CPPI is a strategy that involves dynamically rebalancing a portfolio between a risky asset (such as stocks) and a less risky asset (such as bonds) based on the market conditions. It is designed to protect against large losses during periods of high volatility while still allowing for some potential gains in a flat market. Therefore option (D) is the correct answer.
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What is an economy?
Answer: LOOK
Explanation:LOOK
You have $7,000 and will invest the money at an interest rate of .25 percent per month until the account is worth $12,400. How many years do you have to wait until you reach your target account value?
It will take approximately 10.22 years to reach a target account value of $12,400 at an interest rate of 0.25% per month starting with an initial investment of $7,000.
Here, to determine how long it will take to reach a target account value of $12,400, we need to calculate the total interest earned and add it to the initial investment of $7,000.
First, we need to find the monthly interest rate by dividing the annual interest rate of 0.25% by 12 (months in a year), which equals 0.02083%.
We can use the formula for compound interest:
A = P(1 + r/n)^(nt)
Plugging in the numbers, we get:
12,400 = 7,000(1 + 0.0002083/12)^(12t)
Simplifying:
1.7714 = (1.0000173611)^(12t)
Taking the natural logarithm of both sides:
ln(1.7714) = ln(1.0000173611)^(12t)
ln(1.7714) = 12t ln(1.0000173611)
t = ln(1.7714) / (12 ln(1.0000173611))
t ≈ 10.22 years
where:
A = the future value of the investment
P = the initial principal ($7,000)
r = the annual interest rate (0.25% per month, so we need to convert this to annual rate: 0.25% * 12 = 3% or 0.03 as a decimal)
n = the number of times interest is compounded per year (monthly, so n = 12)
t = the number of years.
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discuss the difficulty government may experience direct support for r&d and explain a complimentary approach that is used as an alternative
Answer:
Governments may have difficulty providing direct support for R&D due to budget constraints, fund allocation challenges, and the risk of supporting projects that may not yield desired results. They must balance competing priorities and assess the possible benefits and drawbacks of each project before allocating funds. There is always a risk of failure, which can undermine public trust in government-funded efforts.Governments can use tax alternatives or incentives to encourage private sector investment in R&D activities. This approach provides tax breaks or credits to businesses, promoting innovation and growth within the private sector without requiring direct government funding.Explanation:
● Governments may experience difficulties in providing direct support for R&D (research and development) due to a variety of factors, such as budget constraints, fund allocation challenges, and the risk of supporting projects that may not yield desired results.
1. Budget Constraints: While allocating funds for diverse initiatives, the government must balance competing priorities because it has limited resources. As a result, even though some projects have the potential to deliver considerable benefits, they may be underfunded or not funded at all.
2. Fund allocation challenges: Deciding how to allocate funds can be difficult because different projects may compete for the same pool of funds. Before considering how much funds to provide to each project, the government must carefully assess its possible benefits and drawbacks.
3. Risk of supporting projects that may not yield desired results: Despite large funding, there is always the possibility that a project will not produce the expected results. This might be due to a variety of circumstances, such as unforeseen technological issues, market shifts, or changes in government legislation. If the project fails to produce the anticipated results, it may be viewed as a waste of government resources, undermining public trust in government-funded efforts.
● A complimentary alternative approach that can be used by governments is the implementation of tax alternatives or incentives.
This approach involves providing tax breaks or credits to businesses that invest in R&D activities. This encourages private sector investment in research and development without requiring the government to allocate funds directly to specific projects. This method allows for more efficient fund allocation, as the government can focus on other priorities while still promoting innovation and growth within the private sector.
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The annual worth of a perpetual project is called its capitalized worth. True or False?
The given statement the annual worth of a perpetual project is called its capitalized worth is true because the project's cash flows extend indefinitely into the future.
Capitalized worth is a method of evaluating the present value of a perpetual project or investment, which calculates the present value of all future cash flows and assumes they will continue indefinitely at a constant rate.
The annual worth of a perpetual project is essentially the amount that would be required to invest now to generate the same amount of annual cash flow indefinitely, assuming a given discount rate.
To compare such projects with finite lives, the annual cash flows from a perpetual project are capitalized into a single value using a capitalization rate. The capitalized value represents the present value of an infinite series of future cash flows, hence the term "capitalized worth." The capitalized worth is a useful metric for comparing perpetual projects with finite-life projects and making investment decisions.
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140. The concept of human capital is meant to be a reflection of a person's talents, skills, and knowledge. True False
True. The concept of human capital refers to the collective skills, knowledge, and talents possessed by individuals, which can be seen as an investment in their future potential.
It encompasses an individual's education, training, work experience, and other intangible qualities that contribute to their ability to participate in the workforce and generate economic value. Human capital is often regarded as a valuable resource that can be developed and utilized to enhance productivity and economic growth. It recognizes that individuals' skills and knowledge are essential assets that can contribute to their success in a knowledge-based economy. Therefore, human capital is a reflection of a person's talents, skills, and knowledge, and how they can contribute to their economic and social well-being.
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The investments of Charger Inc. Include an investment of trading securities of Raiders Inc. purchased on February 24, 2017 for $491,720. The fair value of the securities on December 31, 2077, is $569,360. Required: a. Journalize the entries for the February 24 purchase and the adjustment to fair value on December 31, 2017 Refer to the chart of accounts for the exact wording of the account titles. CNOW journals do not use lines for journal explanations. Every Nine on a journal page is used for debitor credit entries. CNOW journals will automatically indent a credit entry when a credit amount is entered b. How is a unrealized gain or loss for trading investments reported on the financial statements ? c. If the Raiders Inc securities had been classified as available-for-sale securities, how would the investment be reported on the financial statements?
The journal entries for the February 24 purchase and the adjustment to fair value on December 31, 2017 are starting from February 24, 2017 where Investments in Trading Securities (Raiders Inc) - Debit $491,720.
a. To journalize the entries for the February 24 purchase and the adjustment to fair value on December 31, 2017 we must:
1. Record the purchase of trading securities on February 24, 2017:
Journal Entry (February 24, 2017):
Debit: Trading Securities - Raiders Inc. $491,720
Credit: Cash $491,720
2. Record the adjustment to fair value on December 31, 2017:
Journal Entry (December 31, 2017):
Debit: Unrealized Gain on Trading Securities $77,640 ($569,360 - $491,720)
Credit: Trading Securities - Raiders Inc. $77,640
b. An unrealized gain or loss for trading investments is reported on the income statement as part of the net income.
c. If the Raiders Inc. securities had been classified as available-for-sale securities, the unrealized gain or loss would be reported as part of the other comprehensive income in the equity section of the balance sheet.
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Compute the accounts receivable turnover for 2020, assuming the expected bad debt information provided in (c). (Round answer to 2 decimal places, e.g. 25.25.) Accounts receivable turnover ratio times Click if you would like to Show Work for this question: Open Show Work Problem 8-01A a-d (Part Level Submission) (Video) At December 31, 2019, Tamarisk, Inc. reported the following information on its balance sheet. Accounts receivable Less: Allowance for doubtful accounts $967,000 75,000 During 2020, the company had the following transactions related to receivables. 1. Sales on account 2. Sales returns and allowances 3. Collections of accounts receivable 4. Write-offs of accounts receivable deemed uncollectible 5. Recovery of bad debts previously written off as uncollectible 28,000 $3,951,880 55,000 2,820,000 95,000
The adjusted accounts receivable turnover ratio for Tamarisk, Inc. in 2020 is 1.41.
The accounts receivable turnover ratio is a measure of how efficiently a company is collecting its accounts receivable during a period. It is calculated by dividing the net credit sales by the average accounts receivable for the period. Here's how to calculate the accounts receivable turnover ratio for Tamarisk, Inc. in 2020:
Net credit sales = Sales on account - Sales returns and allowances
Net credit sales = $3,951,880 - $28,000
Net credit sales = $3,923,880
Average accounts receivable = (Beginning accounts receivable + Ending accounts receivable) / 2
Beginning accounts receivable = Accounts receivable + Allowance for doubtful accounts = $967,000 + $75,000 = $1,042,000
Ending accounts receivable = Accounts receivable + Allowance for doubtful accounts = $2,820,000 + $95,000 = $2,915,000
Average accounts receivable = ($1,042,000 + $2,915,000) / 2 = $1,978,500
Accounts receivable turnover ratio = Net credit sales / Average accounts receivable
Accounts receivable turnover ratio = $3,923,880 / $1,978,500
Accounts receivable turnover ratio = 1.98
However, we need to adjust this ratio for the expected bad debt provided in (c), which is $55,000. We can do this by dividing the net credit sales by the accounts receivable balance net of the allowance for doubtful accounts (i.e., the amount we expect to collect).
Accounts receivable, net = Accounts receivable + Expected bad debt - Allowance for doubtful accounts
Accounts receivable, net = $2,820,000 + $55,000 - $95,000
Accounts receivable, net = $2,780,000
Adjusted accounts receivable turnover ratio = Net credit sales / Accounts receivable, net
Adjusted accounts receivable turnover ratio = $3,923,880 / $2,780,000
Adjusted accounts receivable turnover ratio = 1.41 (rounded to two decimal places)
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