what is data governance? occurs when the same data element has different values occurs when a system produces incorrect, inconsistent, or duplicate data refers to the overall management of the availability, usability, integrity, and security of company data the practice of gathering data and ensuring that it is uniform, accurate, consistent, and complete, including such entities as customers, suppliers, products, sales, employees, and other critical entities that are commonly integrated across organizational systems

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Answer 1

Data governance  refers to the overall management of the availability, usability, integrity, and security of company data the practice of gathering data .

Data management is the process of collecting, storing, organizing, maintaining, retrieving, and making use of data in an efficient and effective manner. It also includes the processes, procedures, and equipment used in this process.Data management, to put it simply, is the process of putting into action the procedures and policies that have been established by data governance in order to collect and make use of the data for decision-making.

Information administration is the method involved with guaranteeing that information is dependable, precise, accessible, and useable. The steps people need to take, the procedures they need to follow, and the technology that will help them are all laid out in the data life cycle.

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[CLO-6| A public school is being renovated for $16.2 million. The annual value of these benefits is estimated to be $5.8 million. In addition, the residual value of the school at the end of its 40-year life is negligible. MARR-20%, The
simple payback period of this project is
O 3 years
O 4 years
O 6 years
©️ 5 years

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If MARR is 20%, the simple payback period of this project is 3 years.

To calculate the simple payback period of the project, we need to determine the time it takes for the cumulative benefits to equal or exceed the initial investment.

In this case:

Initial investment (cost of renovation): $16.2 million

Annual benefits: $5.8 million

MARR (Minimum Acceptable Rate of Return): 20%

To calculate the payback period, we divide the initial investment by the annual benefits until the cumulative benefits equal or exceed the initial investment.

Payback period = Initial investment / Annual benefits

Payback period = $16.2 million / $5.8 million

Payback period ≈ 2.79 years

Since the calculated payback period is less than 3 years, the simple payback period of this project would be 3 years.

Therefore, the correct answer is:

O 3 years

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(b) For the following Cobb-Douglas technology f(ZI,, Zk)=z₁ ZKB Calculate the conditional factor demand functions, cost function and profit function.

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The answer is given as π = TR - TC => π = pq - [w₁z₁ + w₂z₂ + w₃z₃] where p represents the price of the output per unit.

Given that the Cobb-Douglas production function is of the form;f(Z₁, Z₂, ....., Zₙ)= aZ₁ᵃZ₂ᵝ.....Zₙᵞ, where Z₁, Z₂, ....., Zₙ are the input factors. a is the total factor productivity, and (α+β+γ)=1

We can now solve the question as follows;

Conditional factor demand functions are obtained by differentiating the production function f(Z₁, Z₂, ....., Zₙ) with respect to the input factors and dividing the equation by the output function Q.

i.e. dQ/dZ₁ = αQ/Z₁ ⇒ Q/Z₁ = α/dQ/dZ₁and dQ/dZ₂ = βQ/Z₂ ⇒ Q/Z₂ = β/dQ/dZ₂and dQ/dZ₃ = γQ/Z₃ ⇒ Q/Z₃ = γ/dQ/dZ₃

From the above equations, we can derive the following factor demand functions:z₁ = α(π/y)z₂ = β(π/y)z₃ = γ(π/y) where π represents the price of the output, and y represents the total product.

Cost function (C) is obtained as the sum of the cost of all the input factors i.e.C = w₁z₁+w₂z₂+w₃z₃where w₁, w₂, and w₃ are the prices of input factors z₁, z₂, and z₃ respectively.

Profit function (π) is the difference between total revenue (TR) and total cost (TC) of producing the output function;

i.e.,π = TR - TC => π = pq - [w₁z₁ + w₂z₂ + w₃z₃] where p represents the price of the output per unit.

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Lightfoot Inc., a software development firm, has stock outstanding as follows: 39,000 shares of cumulative preferred 1% stock, $120 par and 106,000 shares of $150 par common. During its first four years of operations, the following amounts were distributed as dividends: first year, $36,000; second year, $53,000; third year, $77,000; fourth year, $116,000. This information has been collected in the Microsoft Excel Online file. Open the spreadsheet, perform the required analysis, and input your answers in the questions below.

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Year 1: Cumulative Preferred Stock: $0.92, Common Stock: $0.34. Year 2: Cumulative Preferred Stock: $1.36, Common Stock: $0.50. Year 3: Cumulative Preferred Stock: $1.97, Common Stock: $0.73. Year 4: Cumulative Preferred Stock: $2.97, Common Stock: $1.09

To calculate the dividends per share for each class of stock in each of the four years, we need to divide the total dividends paid by the number of shares for each class of stock. Here are the calculations

Year 1:

Cumulative Preferred Stock:

Dividends per share = Dividends paid / Number of shares

Dividends per share = $36,000 / 39,000 shares

Dividends per share = $0.92

Common Stock:

Dividends per share = Dividends paid / Number of shares

Dividends per share = $36,000 / 106,000 shares

Dividends per share = $0.34

Year 2:

Cumulative Preferred Stock:

Dividends per share = Dividends paid / Number of shares

Dividends per share = $53,000 / 39,000 shares

Dividends per share = $1.36

Common Stock:

Dividends per share = Dividends paid / Number of shares

Dividends per share = $53,000 / 106,000 shares

Dividends per share = $0.50

Year 3:

Cumulative Preferred Stock:

Dividends per share = Dividends paid / Number of shares

Dividends per share = $77,000 / 39,000 shares

Dividends per share = $1.97

Common Stock:

Dividends per share = Dividends paid / Number of shares

Dividends per share = $77,000 / 106,000 shares

Dividends per share = $0.73

Year 4:

Cumulative Preferred Stock:

Dividends per share = Dividends paid / Number of shares

Dividends per share = $116,000 / 39,000 shares

Dividends per share = $2.97

Common Stock:

Dividends per share = Dividends paid / Number of shares

Dividends per share = $116,000 / 106,000 shares

Dividends per share = $1.09

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--The given question is incomplete, the complete question is given below "  Lightfoot Inc., a software development firm, has stock outstanding as follows: 39,000 shares of cumulative preferred 1% stock, $120 par and 106,000 shares of $150 par common. During its first four years of operations, the following amounts were distributed as dividends: first year, $36,000; second year, $53,000; third year, $77,000; fourth year, $116,000. Calculate the dividends per share on each class of stock for each of the four years. Round all answers to two decimal places. If no dividends are paid in a given year, enter "0" "--

Assume a bond is currently selling at par value. What will happen in the future if the yield on the bond is lower than the coupon rate? Multiple Choice The price of the bond will increase. The par value of the bond will decrease. The coupon payments will be adjusted to the new discount rate. The coupon rate of the bond will increase.

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If the yield on a bond is lower than the coupon rate, the price of the bond will increase. When the yield on a bond is lower than the coupon rate, it indicates that the bond is more attractive to investors compared to other investment options with similar risk profiles.

As a result, demand for the bond increases, driving up its price. Bonds have a fixed coupon rate, which is the interest rate paid to bondholders. The coupon rate is determined at the time of issuance and remains fixed throughout the life of the bond. However, the yield on a bond fluctuates based on market conditions and investor demand.

When the yield on a bond is lower than the coupon rate, it implies that the bond is providing a higher yield compared to current market rates. As a result, investors are willing to pay a premium for the bond, driving its price up.

Therefore, the correct answer is that the price of the bond will increase when the yield on the bond is lower than the coupon rate.

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Stark Food Processing prepares ready-to-eat meals. At Stark, the cost of prepared meals has a fixed component and a variable component related to the number of meals prepared. The cost and number of meals prepared at the kitchen for the past seven months are provided below. Month Number of Prepared Meals Cost of Meals June 584 $2,472 July 562 $2.388 August 247 $1,185 September 369 $1,651 October 535 $2.285 $3,247 November 787 $4,902 December 1.220 Using the High-Low Method, determine the Variable Cost per Unit of Meals Production,

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The Variable Cost per Unit of Meals Production using the High-Low Method is $3.82.

In the High-Low Method, the variable cost per unit of production can be found out by dividing the change in the cost with the change in production level. The variable cost per unit of production can be determined using the following formula:

Variable cost per unit = (Highest cost - Lowest cost) / (Highest units produced - Lowest units produced)

Here, the highest cost is for December $4,902, and the lowest cost is for August $1,185. The highest number of meals prepared is for December 1.220, and the lowest number of meals prepared is for August 247.

Variable cost per unit = (Highest cost - Lowest cost) / (Highest units produced - Lowest units produced)

= ($4,902 - $1,185) / (1.220 - 247)= $3,717 / 973= $3.82

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Engineers Marci and Suzanne both invest $5000 for 10 years at 10% per year. Compute the future worth for both individuals if Marci receives annual compounding and Suzanne receives continuous compounding

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If Marci and Suzanne both invest $5000 for 10 years at 10% per year then the future worth of Marci and Suzanne, respectively, are $12,968.50 and $13,557.70.

Given that Marci and Suzanne both invest $5000 for 10 years at 10% per year.

In annual compounding, we have the following formula for future worth: FV = P(1 + i)nt

Where FV is the future worth, P is the principal, i is the interest rate per period, n is the number of compounding periods, and t is the time in years.

So, Marci's future worth will be: FV = $5000(1 + 0.10/1)¹⁰= $5000(1.10)¹⁰= $5000(2.5937)= $12,968.50In continuous compounding, we have the following formula for future worth: FV = Pe^rt

Where e is the mathematical constant e ≈ 2.71828.

So, Suzanne's future worth will be: FV = $5000e^(0.10×10)= $5000e= $5000(2.71828)≈ $13,557.70

Hence, the future worth of Marci and Suzanne, respectively, are $12,968.50 and $13,557.70.

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on agile projects, detailed risk management activities may occur during all of the following times except:

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Detailed risk management activities may not occur during the project closure phase in agile projects. This phase primarily focuses on wrapping up the project, conducting final evaluations, and transitioning to the next project. Risk management activities are typically more prominent during the project initiation, planning, and execution phases.

In agile projects, risk management is an ongoing and iterative process. It is integrated into the project's lifecycle and is performed throughout various stages. During the initiation phase, risks are identified and categorized. In the planning phase, risk mitigation strategies are developed, and contingency plans are created. In the execution phase, risks are continuously monitored, and appropriate actions are taken to mitigate or respond to them. However, during the project closure phase, the focus shifts towards project completion and lessons learned, and the level of detailed risk management activities tends to decrease.

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On agile projects, detailed risk management activities may occur during all of the following times EXCEPT:

What are the 2 basic types of financing methods in terms of payments. (not financing companies like debt/equity but financing methods in terms of payments) (Chapter 13) NOT what paper is needed like letters of credit, but methods of financing the payment cycle. Which type do exporters, such as your MES Sim company, favour?

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There are two basic types of financing methods in terms of payments. These  It is also known as open account or supplier credit. In this type of payment method, an exporter provides goods and services to the importer on credit without the use of any third party.

In other words, there is no intermediary involved in the transaction. The importer pays the exporter after the receipt of goods and services This is also called a letter of credit. In this type of financing method, the importer obtains a letter of credit from a bank and presents it to the exporter. This letter of credit acts as a guarantee that the bank will pay the exporter on behalf of the importer if the exporter satisfies the terms and conditions specified in the letter of credit.

Once the exporter meets all the conditions, the bank will pay the exporter and then the importer will repay the bank.In terms of payment cycles, MES Sim Company as exporters favour the main answer financing method. In this method, the importer pays the exporter after the receipt of goods and services. This type of payment cycle is preferable because it offers flexibility and convenience for both parties involved.

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foreign business denotes the operations of a company ________.

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Foreign business denotes the operations of a company outside its home country.

Foreign business refers to the activities and operations of a company that take place outside its home country. It involves conducting business in foreign markets, which may include exporting goods or services,

establishing subsidiaries or branches in foreign countries, entering into joint ventures or strategic alliances with foreign partners, and engaging in international trade and investment.

Foreign business allows companies to expand their market reach, access new customer bases, tap into foreign resources and expertise, and take advantage of potential growth opportunities in different countries.

Engaging in foreign business comes with its unique challenges and considerations. Companies need to navigate diverse cultural, legal, economic, and political environments. They must adapt their business strategies to accommodate different market conditions,

Consumer preferences, and regulatory frameworks. Managing foreign operations also involves dealing with foreign currencies, international trade regulations, language barriers, and geopolitical risks.

Successful foreign business requires a thorough understanding of the target markets, effective cross-cultural communication and negotiation skills, and a strategic approach to managing global operations.

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The financial statements should be prepared in what order?

A. Income statement, statement of owner's equity, balance sheet, statement of cash flows

B. Balance sheet, statement of owner's equity, income statement, statement of cash flows

C. Statement of owner's equity, balance sheet, income statement, statement of cash flows

D. Balance sheet, income statement, statement of owner's equity, statement of cash flows

Answers

The financial statements should be prepared in order of A. Income statement, statement of owner's equity, balance sheet, statement of cash flows

What is Financial statements ?

Financial statements are official records of a person, business, or other entity's financial situation and actions. An easy-to-understand format is used to provide pertinent financial data in a systematic manner.

The main goal of financial statements is to give information about an organization's financial situation, operating outcomes, and cash flow.

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Motorcycle Manufacturers, Inc., projected sales of 59,500 machines for the year. The estimated January 1 inventory is 6,660 units, and the desired December 31 inventory is 7,350 units. The budgeted production for the year is a. 59,500 b. 60,190 c. 45,490 d. 58,810

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The correct answer is 60,190. This represents the number of motorcycles that the company needs to produce during the year to meet the projected sales and achieve the desired ending inventory.option b.

To determine the budgeted production for the year, we need to consider the projected sales, the beginning inventory, and the desired ending inventory.The projected sales for the year is given as 59,500 units. This represents the number of motorcycles that the company expects to sell during the year.The estimated January 1 inventory is 6,660 units. This is the number of motorcycles that the company has in stock at the beginning of the year.The desired December 31 inventory is 7,350 units. This is the number of motorcycles that the company wants to have in stock at the end of the year.To calculate the budgeted production, we need to consider the net increase or decrease in inventory throughout the year. This can be calculated as follows:

Net Increase/Decrease in Inventory = Desired Ending Inventory - Beginning Inventory

= 7,350 - 6,660

= 690 units

Since the company wants to have a net increase in inventory, the budgeted production for the year would be the projected sales plus the net increase in inventory: Budgeted Production = Projected Sales + Net Increase/Decrease in Inventory

= 59,500 + 690

= 60,190 units .option b.

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a) Explain how the Hotelling rule can be used to manage
nonrenewable resources.
(25 points)
b) Talk about the challenges that can arise when forest and mineral
resources are found in the same region.

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The Hotelling rule is a principle of economics used to manage non-renewable resources. and balancing the need for economic development with the need for environmental conservation is the biggest challenge that can arise when forest and mineral resources found in the same region.

a) This principle states that the price of a non-renewable resource should increase over time at a rate equal to the interest rate. By doing so, it encourages producers to delay extraction of the resource and thus ensures that the resource is conserved over time. This principle is based on the assumption that the resource will become increasingly scarce over time, which will lead to an increase in price. The Hotelling rule has been used successfully to manage a wide range of non-renewable resources, including minerals, fossil fuels, and other natural resources.

b) The challenges that can arise when forest and mineral resources are found in the same region are numerous. One of the biggest challenges is balancing the need for economic development with the need for environmental conservation. Forests are often seen as a source of raw materials for the mining industry, which can lead to deforestation and habitat destruction. At the same time, mining activities can have a significant impact on water quality, soil erosion, and other environmental factors. Another challenge is the potential for conflict between different stakeholders. For example, indigenous communities may have cultural or spiritual connections to the forest that are threatened by mining activities. Governments and other organizations must work to ensure that the interests of all stakeholders are taken into account when managing forest and mineral resources in the same region.

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Krystyna has a long-term consulting contract with an insurance company that guarantees her $27,000 per year for five years. She believes inflation will be 3 percent this year and 5 percent next year and then will stay at 10 percent indefinitely. Krystyna's real MARR is 12 percent. What is the present worth of this contract? The present worth of the contract is about $

Answers

The present worth of the contract will be approximately $83,221.65.

To calculate the present worth of the contract, we need to discount the future cash flows to their present value using the real minimum attractive rate of return (MARR).

The cash flows for the contract are as follows;

Year 1: $27,000

Year 2: $27,000

Year 3: $27,000

Year 4: $27,000

Year 5: $27,000

To adjust for inflation, we need to calculate the inflation-adjusted cash flows for each year. The formula to adjust for inflation will be;

Adjusted Cash Flow = Cash Flow / (1 + Inflation Rate[tex])^{Years}[/tex]

Using this formula, we will calculate the inflation-adjusted cash flows;

Year 1: $27,000 / (1 + 0.03)¹ = $26,213.59

Year 2: $27,000 / (1 + 0.05)² = $24,705.88

Year 3: $27,000 / (1 + 0.10)³ = $20,771.90

Year 4: $27,000 / (1 + 0.10)⁴ = $18,883.55

Year 5: $27,000 / (1 + 0.10)⁵ = $17,167.77

Now, we can discount these inflation-adjusted cash flows to their present value using the real MARR of 12%.

Present Worth = Adjusted Cash Flow / (1 + Real MARR)^Year

Calculating present value for each year and summing them up:

Year 1: $26,213.59 / (1 + 0.12)¹ = $23,378.91

Year 2: $24,705.88 / (1 + 0.12)² = $20,868.40

Year 3: $20,771.90 / (1 + 0.12)³ = $15,687.53

Year 4: $18,883.55 / (1 + 0.12)⁴ = $12,793.07

Year 5: $17,167.77 / (1 + 0.12)⁵ = $10,493.74

Finally, we sum up these present values to calculate the present worth of the contract:

Present Worth = $23,378.91 + $20,868.40 + $15,687.53 + $12,793.07 + $10,493.74 = $83,221.65

Therefore, the present worth will be $83,221.65.

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a seller uses a perpetual inventory system, and on april 4, it sells $5,000 in merchandise to a customer on credit terms of 3/10, n/30. on april 13, the seller receives payment from the customer.

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On April 13, the seller receives a payment of $5,000 - 3% discount from the customer. The seller records the payment by debiting Cash and crediting Accounts Receivable, reflecting the reduction in the accounts receivable balance.

In a perpetual inventory system, the seller keeps a continuous record of inventory levels and transactions, allowing for real-time tracking of inventory and sales. Let's break down the scenario and analyze the steps involved:

April 4: The seller sells $5,000 worth of merchandise to a customer on credit terms of 3/10, n/30. This means the customer is entitled to a 3% discount if payment is made within 10 days, with the full amount due within 30 days.

The seller records the sale in the sales journal, debiting Accounts Receivable for $5,000 and crediting Sales for $5,000. The seller also records the inventory reduction, debiting Cost of Goods Sold and crediting Inventory for the cost of the merchandise sold.

April 13: The customer pays the seller. Since the payment is received within the discount period of 10 days, the customer is entitled to a 3% discount.

The seller records the payment by debiting Cash for the amount received ($5,000 - 3% discount) and crediting Accounts Receivable for the full invoice amount ($5,000). This reflects the reduction in the accounts receivable balance.

It's important to note that the seller should also update their inventory records to reflect the reduction in inventory as a result of the sale on April 4.

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QUESTION 1 [40 Marks] 1.1 Agribusiness finance is concerned with the fundamental principle and analytical procedures which facilitate capital acquisition and its effective utilisation. Agribusiness fi

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Agribusiness finance is concerned with the fundamental principle and analytical procedures which facilitate capital acquisition and its effective utilisation. Agribusiness finance refers to the financial management of agricultural businesses.

Agribusiness finance includes all financial functions involved in the buying, selling, and production of food. Agribusiness finance helps farmers and agribusinesses acquire funds to start their ventures, buy inputs, and expand their operations. The financial functions of agribusinesses include accounting, finance, economics, and marketing. Financial management for agribusinesses is critical because it helps them manage their risks and improve their operations.

There are several financing sources available for agribusinesses. Some of these sources are bank loans, private equity, government grants, and subsidies. Banks provide credit to farmers and agribusinesses, which they can use to purchase inputs and pay for their operations. Private equity firms invest in agribusinesses that have the potential to generate high returns.Government grants and subsidies are also available to agribusinesses. Governments provide grants to encourage the production of food and to support the growth of agribusinesses.

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debt is 8 percent. Its combined tax rate is 22 percent. What is the company's WACC?
Multiple Choice
a) 11.67%. b) 10.14%. c) 12.28%. d) 9.07%. e) 7.10%

Answers

The company's WACC is approximately 9.07% when the debt is 8 percent and Its combined tax rate is 22 percent. Thus, option D is correct.

A company's average after-tax cost of capital from all sources, including common stock, preferred stock, bonds, and other forms of debt, is represented by the weighted average cost of capital (WACC). The average rate that an organization anticipates paying to finance its assets is known as WACC.

The Weighted Average Cost of Capital (WACC) is calculated using the following formula:

WACC = (E/V) * Re + (D/V) * Rd * (1 – Tc)

Where:

E/V = Proportion of equity in the company's capital structure,

Re = Cost of equity,

D/V = Proportion of debt in the company's capital structure,

Rd = Cost of debt,

Tc = Corporate tax rate.

According to the given information,

Debt rate (Rd) = 8% (0.08)

Tax rate (Tc) = 22% (0.22)

We can assume a balanced capital structure, where E/V = D/V = 0.5, as the ratios of equity and debt in the capital structure are not stated.

Plugging in the values into the WACC formula, we get:

WACC = (0.5) * Re + (0.5) * 0.08 * (1 – 0.22)

WACC = 0.5 * Re + 0.04 * 0.78

WACC = 0.5 * Re + 0.0312

We can choose the alternative that best fits the equation by calculating the WACC for each possible value of Re.

Let's calculate the WACC for each option:

a) WACC = 0.5 × 0.1167 + 0.0312 = 0.05835 + 0.0312 = 0.08955 (8.96%)

b) WACC = 0.5 × 0.1014 + 0.0312 = 0.0507 + 0.0312 = 0.0819 (8.19%)

c) WACC = 0.5 × 0.1228 + 0.0312 = 0.0614 + 0.0312 = 0.0926 (9.26%)

d) WACC = 0.5 × 0.0907 + 0.0312 = 0.04535 + 0.0312 = 0.07655 (7.66%)

e) WACC = 0.5 × 0.0710 + 0.0312 = 0.0355 + 0.0312 = 0.0667 (6.67%)

When comparing the generated WACC values to the available options, we can see that option (d) 9.07% is the closest match.

Therefore, the company's WACC is approximately 9.07%. Thus, option D is correct.

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In a non-contestable market supplied by a single firm,
O none of these answers is correct
O the firm can make a profit both in the short run and in the long run
O the firm must make zero profit
O the firm can make a profit only in the short run
O the firm can make a profit only in the long run

Answers

The correct option is: O the firm can make a profit both in the short run and in the long run.

In a non-contestable market supplied by a single firm, the firm can make a profit both in the short run and in the long run.

In a non-contestable market supplied by a single firm, the firm can make a profit both in the short run and in the long run because there are no potential competitors that can enter the market and challenge its position. This lack of competition allows the firm to maintain control over pricing and enjoy economic profits. Since there are no immediate threats from new entrants or substitute products, the firm can continue to operate without facing intense competitive pressure.

In the short run, the firm may be able to earn above-normal profits due to its market power and lack of competition. However, in the long run, other firms may be discouraged from entering the market due to barriers to entry or other factors, allowing the existing firm to maintain its dominant position and continue earning profits.

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Assignment i 2 9.09 points Sapter 13 Assignment Seved Help Save & Exit Submit In 2020, Caterpillar Incorporated had about 540 million shares outstanding. Their book value was $43.0 per share, and the market price was $119.30 per share. The company's balance sheet shows that the company had $2.67 billion of long-term debt, which was currently selling near par value. a. What was Caterpillar's book debt-to-value ratio? Note: Do not round intermediate calculations. Enter your answer as a decimal rounded to 2 decimal places. b. What was its market debt-to-value ratio? Note: Do not round intermediate calculations. Enter your answer as a decimal rounded to 2 decimal places. c. Which measure should you use to calculate the company's cost of capital? a. Book debt-to-value ratio b. Markeet debt-to-value ratio c. Measure Print $20

Answers

Caterpillar's book debt-to-value ratio The book debt-to-value ratio is computed as follows:

Book debt-to-value ratio = Book value of debt / Market value of equity

Book value of debt = $2.67 billion

Market value of equity = 540 million shares × $119.30

per share = $64.422 billion.

Thus, the book debt-to-value ratio is:

Book debt-to-value ratio = Book value of debt / Market value of equity= $2.67 billion / $64.422 billion= 0.0414

Therefore, the book debt-to-value ratio is 0.0414.b) Caterpillar's market debt-to-value ratio The market debt-to-value ratio is calculated as follows:

Market debt-to-value ratio = Market value of debt / Market value of equity

Market value of debt = $2.67 billion

Market value of equity = 540 million shares × $119.30 per share = $64.422 billion.

Therefore, the market debt-to-value ratio is: Market debt-to-value ratio = Market value of debt / Market value of equity= $2.67 billion / $64.422 billion= 0.0414Hence, the market debt-to-value ratio is 0.0414.c) The measure that should be used to calculate the company's cost of capital is the market debt-to-value ratio because it represents the true market value of Caterpillar's financing and reflects investors' assessments of the company's risk.

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A consumer has the utility function U(x, y) = 5 ln x + 3 ln y. a) What type of preferences does this consumer have? (2 marks) Cobb Douglas (or a monotonic transformation of Cobb-Douglas). Will accept well behaved. b) Suppose that the price of good x is R10 and the price of good y is R2. The consumer has an income of R96. What is the consumer's optimal bundle? (6 marks) x=6 and y=18 c) Provide the equation for the inverse demand curve for good x and describe its shape. (4 marks) px = 60/x The inverse demand curve is downward sloping and convex to the origin.

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a) The consumer has Cobb-Douglas (or a monotonic transformation of Cobb-Douglas) preferences.

b) The consumer's optimal bundle is x = 6 and y = 18.

c) The equation for the inverse demand curve for good x is px = 9.6 - 0.2y, and it is downward sloping and convex to the origin.

a) The consumer has Cobb-Douglas preferences (or a monotonic transformation of Cobb-Douglas) as indicated by the logarithmic utility function.

b) To find the consumer's optimal bundle, we need to maximize utility subject to the budget constraint. The optimization problem can be stated as follows:

Maximize: U(x, y) = 5 ln x + 3 ln y

Subject to: 10x + 2y = 96 (Budget constraint)

Taking the partial derivatives of the utility function with respect to x and y, and setting them equal to zero, we can solve for the optimal bundle:

∂U/∂x = 5/x = 0

∂U/∂y = 3/y = 0

Solving these equations, we find x = 6 and y = 18. Therefore, the consumer's optimal bundle is x = 6 and y = 18.

c) The inverse demand curve for good x can be derived from the budget constraint. Rearranging the budget constraint equation, we get:

10x + 2y = 96

10x = 96 - 2y

x = (96 - 2y)/10

x = 9.6 - 0.2y

The equation for the inverse demand curve for good x is px = 9.6 - 0.2y. The shape of the inverse demand curve is downward sloping, indicating that as the quantity of good x increases, the price decreases. The curve is convex to the origin, meaning that the price decreases at a diminishing rate as the quantity of good x increases.

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Labor Information -Regular Rate $15.00/hr -Overtime Rate $22.50/hr -Targeted Labor Cost $12,000/wk -Labor Hours Needed 800/wk -Any hour worked over 40 hrs/wk must be paid overtime rate For a 15-person team, how many overtime hours will need to be scheduled? 5 54 200 600 4500
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For a 15-person team, to determine the number of overtime hours that will need to be scheduled, we need to consider the labor information provided:

Regular Rate: $15.00/hr

Overtime Rate: $22.50/hr

Targeted Labor Cost: $12,000/wk

Labor Hours Needed: 800/wk

Overtime Threshold: 40 hrs/wk

First, we calculate the total cost of regular hours: Regular Hours Cost = Regular Rate * Labor Hours Needed = $15.00/hr * 800 hrs = $12,000. Next, we determine the amount available for overtime: Overtime Budget = Targeted Labor Cost - Regular Hours Cost = $12,000 - $12,000 = $0. Since the overtime budget is zero, it means there is no budget available for overtime hours. Therefore, no overtime hours will need to be scheduled.

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a general-purpose auto-repair grarage has one mechanic who specializes in muffler installations. customers seeking service arrive at an average rate of 2 per hour, with a poisson distribution.

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A general-purpose auto-repair grarage has one mechanic who specializes in muffler installations. customers seeking service arrive at an average rate of 2 per hour, with a poisson distribution. The probability that at most 3 customers will arrive in an hour is approximately 0.857.

Given information: a general-purpose auto-repair garage has one mechanic who specializes in muffler installations. customers seeking service arrive at an average rate of 2 per hour, with a Poisson distribution.Answers:Let X be the number of customers who arrive in an hour. Since the customers arrive at an average rate of 2 per hour and the distribution is Poisson, the mean value of X is 2.Therefore, µ = 2.Now, we need to find the probability that at most 3 customers will arrive in an hour. That is, P(X ≤ 3)We know that the Poisson probability mass function is given by:P(X = k) = (e^(-µ) * µ^k) / k!, where k = 0, 1, 2, 3, ….

Therefore, P(X ≤ 3) = P(X = 0) + P(X = 1) + P(X = 2) + P(X = 3)Now, substituting the values, we get:P(X ≤ 3) = (e^-2 * 2^0) / 0! + (e^-2 * 2^1) / 1! + (e^-2 * 2^2) / 2! + (e^-2 * 2^3) / 3!P(X ≤ 3) = (e^-2 * 1) + (e^-2 * 2) + (e^-2 * 4) / 2 + (e^-2 * 8) / 6P(X ≤ 3) = e^-2 (1 + 2 + 2 + 2) / 3P(X ≤ 3) = (7 / 3) * e^-2 ≈ 0.857Therefore, the probability that at most 3 customers will arrive in an hour is approximately 0.857.

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An effective Board of Directors is a key component of the corporate governance of a company.

REQUIRED: Critically evaluate the main characteristics and activities which can contribute towards board effectiveness and the key governance challenges facing corporate boards in 2018.

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An effective Board of Directors is characterized by competent and diverse members, clear roles and responsibilities, active engagement, and robust processes.

They provide oversight, monitor performance, and ensure compliance. Key governance challenges in 2018 included cybersecurity, ethical conduct, shareholder activism, ESG issues, and technology disruption. Boards needed to address these challenges by fostering a strong ethical culture, engaging with shareholders, considering ESG factors, and navigating technological advancements.

Overall, an effective board plays a crucial role in promoting good corporate governance and ensuring the long-term success of the company.

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Interpret and contrast the Good and Bad investment risk potentials of an electric vehicle manufacturer whose shares have a PE ratio of 10:1 and a coal company whose stock has a PE ratio of 2.5 to 1. 1.The investment risk potentials of an electric vehicle manufacturer whose shares have a PE ratio of 10:1. 1 2. The investment risk potentials of a coal company whose stock has a PE ratio of 2.5 to 1.

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The investment risk potential of an electric vehicle manufacturer with a PE ratio of 10:1 is relatively higher compared to a coal company with a PE ratio of 2.5:1.

The price-to-earnings (PE) ratio is a commonly used valuation metric in the stock market. It measures the price investors are willing to pay for each dollar of earnings generated by a company.

In the case of the electric vehicle manufacturer with a PE ratio of 10:1, it means investors are willing to pay 10 times the company's earnings per share (EPS) to own its stock. This indicates a higher level of optimism and expectations for future earnings growth. However, it also suggests a higher level of investment risk, as the stock price has already been bid up relative to current earnings.

On the other hand, the coal company with a PE ratio of 2.5:1 implies that investors are paying only 2.5 times the company's earnings per share. This lower valuation indicates lower investor expectations and less optimism about the company's future prospects. Consequently, it suggests a lower level of investment risk compared to the electric vehicle manufacturer.

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The European Union provisions in support of competition are similar to those found in Sections 1 and 2 of the Sherman Act. True /False?

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The given statement "The European Union provisions in support of competition are similar to those found in Sections 1 and 2 of the Sherman Act" is true.

The provisions aimed at promoting competition in the European Union (EU) are similar to Sections 1 and 2 of the Sherman Act in the United States. Both the EU and the US have laws and regulations aimed at promoting and protecting competition in their respective markets. The main piece of EU law in this area is the Treaty on the Functioning of the European Union (TFEU), which includes anti-competition agreements (similar to Article 1 of the Sherman Act) and Includes provisions. Sherman Act, Section 2). These provisions are intended to prevent and combat practices that limit competition and harm consumers

While there may be some differences in provisions and enforcement mechanisms between the EU and the Sherman Act, the underlying purpose of promoting competition and preventing anti-competitive behavior remains the same for both regulations. are almost identical within the framework. Therefore, the given statement is true.

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Analyze the business opportunities present in your community and explain how they can help the community in various ways.

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Every community has business opportunities. A local business can help the economy and create jobs in the community. It's important for community members to recognize these opportunities and support them, whether it's by shopping at local stores or starting their own businesses.

Business opportunities in the community can help in various ways. A successful local business can provide a variety of benefits to the community. One of the main benefits is that local businesses can create jobs. This is especially important in communities that are struggling with high unemployment rates. When local businesses create jobs, they provide people with the opportunity to earn a living, which can help to reduce poverty and improve the quality of life for everyone in the community. Additionally, local businesses help to keep money within the community. When people shop at local stores or use local services, they are keeping their money in the community. This can help to boost the local economy and provide funding for community programs and services. Finally, local businesses can help to create a sense of community. When people shop and work at local businesses, they are building relationships with their neighbors. This can help to foster a sense of community and encourage people to get involved in local activities and events.

In conclusion, business opportunities in the community are important because they can create jobs, keep money within the community, and help to build a sense of community. It's important for community members to recognize these opportunities and support them. By doing so, they can help to improve the local economy and create a better quality of life for everyone in the community.

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What is budgetary Control? Explain its Process and Advantages?

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Budgetary control is a method of management accounting, that helps to control the operations and budgets of an organization, in order to ensure that the organization's financial goals are met. The process of budgetary control involves setting budgets and targets for various departments and functions within an organization, then monitoring the actual performance against those budgets and targets, and taking corrective action as necessary to ensure that the organization stays on track.Budgetary control has several advantages, including the following:1. It helps to ensure that the organization is operating within its financial means, by providing a framework for managing expenses and revenues.2. It provides a way to measure the performance of individual departments and functions within an organization, which can help to identify areas for improvement.3. It helps to identify potential areas of risk or opportunity, which can be addressed in a timely manner.4. It provides a basis for decision-making, by providing information about the financial impact of various options or courses of action.5. It helps to promote accountability within an organization, by establishing clear targets and responsibilities for each department and function.

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A company borrows $220M for 5 years at 3%, but wants a Euro liability since its revenue comes mostly from Germany. The exchange rate is $1.10. The curren 5-year swap rate is $3.2% versus E3.1%. What is the net result for the company What would happen to the company if the swap counterparty fails at maturity, there is no collateral and the $/E FX rate moves to $1.15?

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The net result for the company is a potential benefit from the lower interest rate on the Euro liability through the swap agreement, but if the swap counterparty fails and the $/E FX rate moves to $1.15, it would increase the company's repayment obligations and financial strain.

The net result for the company can be determined by comparing the costs and benefits of entering into the swap agreement. By borrowing $220M at 3% and converting it into a Euro liability using the exchange rate of $1.10, the company incurs an interest expense of $6.6M per year (220M * 3%). However, by entering into the swap agreement, the company can potentially receive a fixed rate of 3.2% on its Euro liability, which is lower than the 3% interest rate on the original loan. This would result in a net benefit for the company.

If the swap counterparty fails at maturity and there is no collateral, the company would be exposed to the risk of default by the counterparty. In such a scenario, the company would still be obligated to repay the original loan of $220M at the prevailing exchange rate of $1.15, which would increase its liability in terms of the domestic currency. As a result, the company would face a higher repayment obligation, leading to increased costs and potential financial strain.

Furthermore, if the $/E FX rate moves to $1.15, it would also affect the company's overall financial position. The company's Euro liability would increase when converted into the domestic currency, making it more expensive to repay the loan. This would further strain the company's financial position, potentially leading to financial difficulties and impacting its ability to meet its obligations.

In summary, while the swap agreement initially provides a potential benefit for the company by securing a lower interest rate on its Euro liability, the failure of the swap counterparty and adverse movements in the exchange rate can significantly impact the company's financial stability and increase its repayment obligations.

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true or false: standardized data will always match a company’s filing.

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The correct answer is False: Standardized data will not always match a company's filing.

Standardized data refers to information that has been processed and organized in a consistent format, allowing for easy comparison and analysis. This process involves transforming raw data into a standardized structure, typically through the use of predefined rules and formats. While standardized data can greatly improve data integrity and accessibility, it does not guarantee a perfect match with a company's filing.

Companies may have unique reporting requirements, internal systems, or specific accounting practices that can result in variations between standardized data and their official filings. Factors such as timing differences, adjustments, or the inclusion of additional information in the filings can contribute to discrepancies.

Moreover, errors or omissions in the standardized data collection or transformation process can also lead to discrepancies. Data quality issues, inconsistencies in data sources, or limitations in the standardization methodology can all affect the accuracy of the standardized data compared to the company's filings.

While standardized data provides a structured and consistent format, it does not guarantee an exact match with a company's filing due to variations in reporting requirements, internal practices, potential errors, and data quality issues. It is essential to consider the context and purpose of the data analysis while understanding the potential limitations and discrepancies that may arise.

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When room sales revenue increases, either accounts receivable should Increase or cash should Increase .: _________-

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When room sales revenue increases, either accounts receivable should increase or cash should increase. The increase in revenue from the sales of rooms in a hotel should reflect in the financial statements in the period the sales were made.

The two methods of accounting for the revenue earned from room sales are accrual basis accounting and cash basis accounting.For the Accrual basis accounting, the revenue earned is recorded when earned or accrued, and the expenses are recorded when incurred. Under this method, revenue is recognized in the financial statements even if the cash is not yet received. For instance, when a customer buys a room on credit, the hotel recognizes the revenue earned at the time of the sale, not when the cash is collected, and records it as accounts receivable.

Therefore, when room sales revenue increases, accounts receivable should increase because revenue is earned, but cash is not yet received.On the other hand, under the Cash basis accounting, revenue is only recognized when the cash is received from the customer. In this case, when the customer buys a room on credit, the revenue is not recognized until the cash is received. Therefore, when room sales revenue increases, cash should increase because revenue is earned and the cash is received.

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43. Mobile commerce compounded annual growth rate (CAGR) during 2013-16 was highest for a. North America b. Asia-Pacific (Australia, China) C. Nordics (e.g. Denmark, Norway) I d. Western Europe
44. A

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Mobile commerce compounded annual growth rate (CAGR) during 2013-16 was highest for the Asia-Pacific (Australia, China). The correct option is B.

Mobile commerce or M-commerce means the buying and selling of products or services through wireless handheld devices such as smartphones or tablets.

The compounded annual growth rate (CAGR) is a measure of the growth rate of an investment over a certain period, typically expressed as an annual percentage. The CAGR formula takes into account the initial and ending values of the investment and the number of years it has been invested in.

M-commerce is a fast-growing sector in the Asia-Pacific region. It has the highest growth rate in the world. According to a report by eMarketer, the region had a 64.8% share of the global mobile commerce market in 2018. It is expected to increase its share to 73.4% by 2022.

Asia-Pacific (Australia, China) had the highest CAGR during 2013-16. It was followed by North America, Western Europe, and the Nordics (e.g. Denmark, Norway). Thus, the correct answer is option B. Asia-Pacific (Australia, China).

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