North American Dyson Vacuum has had a tremendous growth for the past 4 years in their Cordless Vacuum sales and opened two other branches in 2018. Year Operations Sales (S Amal Number of Employees required 202052.850 120 2021 53,250 125 212253650 202354,150 202454,730 151 2025 $5,000 202685,610 167 202756,050 172 Scenario planning: Build a scenario on future organization state for North America Dyson Vacuum based on the data provided and forecasted; predicting the amount of sales on Cordless Vacuum for the next 10 years (2022 to 2032), example: will the level of sales increase or decrease based on changes to the actual cordless vacuums, their technology, make...? With your team, write down all the factors that you can think of that might influence the move toward increasing or decreasing the manufacturing of the Dyson Cordless Vacuums. Write each factor on a separate sticky note. Think of how political, economic, environmental, social, technological, demographic, and legal/regulatory issues could influence the move toward or away from sales over the next ten years. Write each factor down as you think of it, and do not critically examine the factors yet. Generate list of factors that influence the outcome in questions. Factor Clutres Funding Economic factors Environmental Social: Teechnological!! Demographic Legal regulatory Look at your factors, and move the sticky notes into groups of factors that form natural clusters. Give each cluster a title. Select the two clusters that you think have the potential to have the most impact on the decision to increase the sales and that are also unpredictable. (Example: Changes; from its normal weight to lighter or to more compact and second factor, the power generated by different types and size of cordless vacuums) Now stretch these two clusters out. Place the two extremes of the first cluster at either end of the horizontal axis, and the two extremes of the second cluster at each end of the vertical axis. This will leave you with four quadrants: the top right quadrant will represent a world in which both clusters are at the extreme positive end of their scales. The bottom right quadrant will represent a world in which the horizontally placed cluster is at the top end of its scale, but the vertically placed cluster is at the negative end of its scale, and so on. Look at the world that is represented by each quadrant and describe what each world would be like. How does technology of cordless vacuums fit into this world? Give each a world its own representative name. Describe the types of strategies, resources, and activities that would be necessary for your product to be successful in each of these worlds. (Include all of these to each quadrant.) Look at the strategies, resources, and activities that are common to all four worlds. Any attributes that are common to all four worlds are likely to lead to success in any outcome that is close to what your scenario planning model presents. Therefore, these are the attributes that North American Dyson Vacuum should be focusing on today so that they can be successful in developing the best cordless vacuum to consumers in the near future. Follow the general process of scenario planning in chapter 5 and use figure 5.7 as a sample. Be creative but realistic.

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Answer 1

Scenario planning is a strategic planning method that is used to make flexible long-term plans by creating different scenarios. In this scenario planning exercise, we will build a scenario on the future organizational state for North America Dyson Vacuum based on the data provided and forecasted.

We will predict the amount of sales on Cordless Vacuum for the next 10 years (2022 to 2032). We will think of all the factors that might influence the move toward increasing or decreasing the manufacturing of the Dyson Cordless Vacuums. We will write each factor on a separate sticky note, including political, economic, environmental, social, technological, demographic, and legal/regulatory issues.

Factors that influence the outcome in question:
Funding Cluster
Increasing costs of raw materials
• Shortage of skilled labor
• Inflation
• Governmental regulations for funding

Economic factors Cluster
• Changing income levels
• Fluctuating currency rates
• Changes in the cost of production
• Economic policies and government regulations

Environmental Cluster
• Sustainable business practices
• Ecological concerns
• Waste management and disposal practices
Availability of resources

Social Cluster
• Consumer preferences and behavior
• Demographic shifts
• Social and cultural values
• Health and safety concerns

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Related Questions

Historical data indicates that Chikhura Pty Ltd is very efficient in collecting cash from its sales. In preparing its cash budgets, the entity estimates that 50% of all credit sales will be collected in the month of sale. This suggests that Chikhura Pty Ltd's credit terms are: 30 days 15 days 60 days 45 days The entity's credit terms can't be determined from this information.

Answers

The average collection period (ACP) for Chikhura Pty Ltd is 15 days. Therefore, the credit terms for Chikhura Pty Ltd are 15 days.

Historical data indicates that Chikhura Pty Ltd is very efficient in collecting cash from its sales. In preparing its cash budgets, the entity estimates that 50% of all credit sales will be collected in the month of sale. This suggests that Chikhura Pty Ltd's credit terms are 15 days.

The reason for this is that the average collection period (ACP) for the company is less than the stated credit period. Credit terms refer to the terms under which a seller extends credit to a customer.

It includes the credit period, credit limit, and cash discount. In this case, we are to determine the credit terms of Chikhura Pty Ltd, given that 50% of all credit sales are collected in the month of the sale.

To solve this problem, we will calculate the average collection period (ACP) for Chikhura Pty Ltd as shown below:

ACP = Accounts Receivable / Average Daily Credit Sales

Where;Accounts Receivable = (50/100) x Total Credit Sales

Average Daily Credit Sales = Total Credit Sales / 30 days

Assuming that Total Credit Sales = $100,000

ACP = Accounts Receivable / Average Daily Credit Sale

sACP = [(50/100) x $100,000] / ($100,000 / 30)

ACP = 15 days

From the calculation above, the average collection period (ACP) for Chikhura Pty Ltd is 15 days.

The ACP is less than the stated credit period, which implies that the company is collecting its receivables earlier than the credit period.

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You sold Tesla stock short at $515 per share. Your losses could be limited by placing a
day-order.
limit-sell order.
limit-buy order.
None of the options are correct.
stop-buy order.

Answers

The correct answer is "limit-buy order." Placing a limit-buy order can help limit losses when short selling by specifying the maximum price at which you are willing to buy back the shares to cover your short position.

When selling a stock short, you are essentially borrowing and selling shares that you don't own with the hope of buying them back at a lower price in the future to cover your position. Short selling carries the risk of unlimited losses if the stock price rises significantly.

To limit potential losses, you can use a limit-buy order. This order allows you to set a specific price at which you are willing to buy back the shares to close your short position. By setting a limit-buy order, you ensure that you only buy back the shares at or below your specified price, thereby limiting your losses.

For example, if you sold Tesla stock short at $515 per share, you can place a limit-buy order at a price that you believe is acceptable for closing your position. If the stock price reaches or falls below your specified price, the order will be executed, allowing you to buy back the shares and limit your losses. However, if the stock price remains above your limit price, the order will not be filled, and you can reassess your strategy.

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Red Rooster has no long-term debt, but its board has just decided to change its capital structure to 20%

financed through debt, with an interest rate of 8%, and to buy back the appropriate number of shares.

The current stock price is $40 and there are 50,000 shares outstanding. EBIT is expected to be $118,000 next year. There are no taxes and the company pays out 100% of its net

income in the form of dividends

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With a current stock price of $40 and 50,000 shares outstanding, the company intends to calculate the appropriate number of shares to repurchase.Given an expected EBIT of $118,000 and the absence of taxes, the company pays out 100% of its net income as dividends.

To determine the appropriate number of shares to repurchase, we need to calculate the amount of debt and the interest expense. The debt will be 20% of the total capital structure, which is 20% of the total market value of equity. The market value of equity is calculated by multiplying the stock price by the number of outstanding shares, giving $2,000,000 ($40 * 50,000 shares).

Therefore, the debt will be $400,000 (20% of $2,000,000). With an interest rate of 8%, the interest expense will be $32,000 ($400,000 * 8%).

Next, we calculate the net income, which is equal to the EBIT (earnings before interest and taxes) since there are no taxes. In this case, the net income is $118,000.

Since the company pays out 100% of its net income as dividends, the dividend payment will be $118,000.

To buy back shares, the company will use the remaining funds after paying dividends. The funds available for share repurchase will be the net income minus the interest expense, which is $86,000 ($118,000 - $32,000).

Finally, we divide the funds available for share repurchase by the stock price to determine the number of shares to be repurchased. In this case, it would be 2,150 shares ($86,000 / $40).

Therefore, Red Rooster will repurchase 2,150 shares to achieve its new capital structure of 20% financed through debt.

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Steps were taken to improve productivity by sysdoc:
Scenario: Sysdoc has implemented a hybrid approach because productivity is declining. so we need STEPS TO IMPROVE PRODUCTIVITY IN SYSDOC(ORGANIZATION)

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In the present business environment, productivity is a significant factor that contributes to the success of any organization. Productivity determines the effectiveness of any organization, and it’s essential to look for ways to improve it.


Sysdoc has invested in training and development for their employees. Through training and development, employees acquire new skills that improve their productivity, increasing the organization's productivity. Sysdoc has implemented a performance management system to monitor employee performance. This system helps to identify areas where employees need improvement, which helps to improve overall productivity.

In light of the Covid-19 pandemic, Sysdoc has implemented work from home policies. This has been beneficial to employees, and it has improved their productivity levels. Sysdoc has involved employees in decision-making processes, which has boosted employee morale, leading to increased productivity. In conclusion, Sysdoc has implemented the above measures to improve productivity.

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The most common grand strategy is product development. 1) True 2) False A reorganization bankruptcy gives the firm a conditional second chance. 1) True 2) False The selection of long-term objectives and grand strategies involves sequential decisions. 1) True 2) False "Stakeholder knowledge" is one of the four perspectives in the Balanced Scorecard. 1) True 2) False The appeal of a reorganization bankruptcy is that the company offers its creditors a carefully designed alternative to forcing an immediate, but fractional repayment of its financial obligations. 1) True 2) False

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The most common grand strategy is product development. This statement is true. Product development is a type of grand strategy in which a company grows by offering new or improved products or services to its current markets. By introducing new products to existing customers, firms can increase sales and profits.

Product development may also involve improving existing products or creating new products entirely. A reorganization bankruptcy gives the firm a conditional second chance. This statement is true. A reorganization bankruptcy, also known as Chapter 11 bankruptcy, is a legal process that gives a company the opportunity to reorganize its operations while remaining in business. Under Chapter 11, the company is given a chance to renegotiate its debts, restructure its management, and develop a plan to repay its creditors over time.

The selection of long-term objectives and grand strategies involves sequential decisions. This statement is true. The selection of long-term objectives and grand strategies involves a series of decisions that are made in a specific order. The process typically starts with setting long-term objectives, which are then followed by the selection of appropriate grand strategies. The grand strategies that are selected will depend on the company's resources, capabilities, and external environment.

This can be a better alternative for creditors, who are more likely to receive a higher percentage of their debts over time than they would if the company was forced into liquidation.

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Discuss the strengths of using the payback period as the method to evaluate an investment project. Explain whether this method would give a good indication of the project's risk or not.

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The payback period is a method used to evaluate investment projects. It calculates the time it takes to recover the initial investment. One strength of using the payback period is its simplicity. It is easy to calculate and understand, making it accessible to a wide range of users.

Additionally, the payback period provides a quick assessment of how long it will take to recoup the investment, which can be useful for short-term projects or when liquidity is a concern.

However, the payback period does not take into account the time value of money or cash flows beyond the payback period. It does not consider the profitability of the project or the potential risks involved. Therefore, it is not a comprehensive measure of the project's risk.

To evaluate risk, other methods like net present value or internal rate of return should be considered, as they incorporate the time value of money and provide a better assessment of the project's profitability and risk.

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The Fresh Connections makes a special run of Orange/Mango juice with extra Vitamin C each week of the summer for sports camps. They complete this run as a special weekend shift producing 6906 cases PET bottles of the special juice to meet their demand for the camps. They need workers to come in to load the filled PET bottles into the special cases used for the sports camps. They run a special shift of 6 hours. On average, a worker can package 119 cases per hour worked. Your policy is that all workers will work a full shift with the exception of one worker that will just make up the difference to get to the cases needed for the week, i.e., you can have a fractional person if they aren't needed to work a full shift. Your workers have indicated that they believe they should get paid for a full shift even if they aren't needed for the full shift. If you pay the workers $11.94 per hour, how much more will it cost for an average week if you agree to pay all of the workers for the full shift?
In the proposed scenario you will need to round up the number of workers to a full worker. Don't round anything else until you reach the end of the problem and then round to two (2) decimal places.

Answers

To calculate the cost difference of paying all workers for a full shift, we need to determine the number of workers required to meet the packaging demand for 6906 cases of PET bottles. it would cost approximately $11.94 more for an average week.

Number of cases produced per hour per worker = 119

Number of hours per shift = 6

Number of cases needed for the week = 6906

First, calculate the total number of worker-hours required to package the cases:

Total worker-hours = Number of cases needed / Number of cases produced per hour per worker

Total worker-hours = 6906 / 119 ≈ 58.06

Since you need to round up the number of workers to a full worker, round the total worker-hours up to the nearest whole number:

Total worker-hours rounded up = 59

To find the number of workers needed, divide the rounded total worker-hours by the number of hours per shift:

Number of workers needed = Total worker-hours rounded up / Number of hours per shift

Number of workers needed = 59 / 6 ≈ 9.83

Since you can't have fractional workers, round up the number of workers to a full worker:

Number of workers needed rounded up = 10

Now, let's calculate the cost difference between paying workers for a full shift and the actual number of worker-hours required:

Cost per worker per shift = $11.94

Number of workers paid for a full shift = 10

Number of hours per shift = 6

Total cost for paying workers for a full shift = Cost per worker per shift * Number of workers paid for a full shift * Number of hours per shift

Total cost for paying workers for a full shift = $11.94 * 10 * 6 = $716.40

The cost difference is the total cost for paying workers for a full shift minus the actual cost for the actual number of worker-hours required:

Cost difference = Total cost for paying workers for a full shift - (Cost per worker per shift * Total worker-hours rounded up)

Cost difference = $716.40 - ($11.94 * 59) ≈ $716.40 - $704.46 ≈ $11.94

Therefore, if you agree to pay all workers for a full shift, it would cost approximately $11.94 more for an average week.

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During the next 3 months Honeywell must meet the following demands for portable air conditioning units: month 1, 350; month 2, 410; month 3, 630. The air conditioners can be produced in either Charlotte or Gastonia. It takes 1.5 hours of skilled labor to produce an air conditioner in Charlotte, and 2 hours in Gastonia. It costs \$280 to produce an air conditioner in Charlotte and \$240 in Gastonia. During each month, each city has 425 hours of skilled labor available. It costs $60 to hold a portable ac unit in inventory for a month. At the beginning of month 1, Honeywell has 130 portable ac units in stock. Formulate an LP whose solution will tell Honeywell how to minimize the cost of meeting air conditioner demands on time for the next three months.

Answers

To formulate an LP (Linear Programming) problem, we need to define decision variables, objective function, and constraints.

Decision Variables:
Let x1 represent the number of air conditioners produced in Charlotte.
Let x2 represent the number of air conditioners produced in Gastonia.

Objective Function:
We want to minimize the cost of meeting air conditioner demands on time for the next three months. The cost consists of production cost and inventory holding cost.

The production cost for Charlotte is $280 per unit and $240 per unit for Gastonia. The inventory holding cost is $60 per unit per month.

Therefore, the objective function to minimize the cost can be formulated as:
Minimize Cost = 280x1 + 240x2 + 60(130 - x1 - x2)

Constraints:
1. Skilled labor constraint: In each city, there are 425 hours of skilled labor available. The production time for Charlotte is 1.5 hours per unit, and for Gastonia, it is 2 hours per unit.

This constraint can be written as:
1.5x1 + 2x2 <= 425

2. Demand constraint: The demand for air conditioners in each month must be met.
Month 1 demand: x1 >= 350
Month 2 demand: x1 + x2 >= 410
Month 3 demand: x1 + x2 >= 630

3. Non-negativity constraint: The number of air conditioners produced cannot be negative.
x1 >= 0
x2 >= 0

Combining all the constraints and the objective function, we can formulate the LP as follows:

Minimize Cost = 280x1 + 240x2 + 60(130 - x1 - x2)
Subject to:
1.5x1 + 2x2 <= 425
x1 >= 350
x1 + x2 >= 410
x1 + x2 >= 630
x1 >= 0
x2 >= 0

Solving this LP will provide the solution to Honeywell on how to minimize the cost of meeting air conditioner demands on time for the next three months.

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Investment centres are solely evaluated on the rate of return earned on the funds investe are not often associated with product lines and subsidiary companies. generate a return on operating assets. rarely generate revenues by selling products.

Answers

Investment centres are responsible for managing the assets and resources within an organization. It is evaluated based on its performance, the rate of return earned on the funds invested, and how effectively it generates a return on operating assets. It is important to note that investment centres are not directly involved with product lines and subsidiary companies.


Investment centres have the autonomy to make decisions about how they allocate and invest their resources, which allows them to pursue profitable opportunities and maximize their return on investment. They may choose to invest in new equipment, expand their operations, or explore new markets in order to generate a higher return on investment.

It is also important to note that investment centres rarely generate revenues by selling products. Instead, they generate revenue by investing in assets that produce a return for the organization. This may include investments in stocks, bonds, real estate, or other financial instruments.

Overall, investment centres are a critical part of any organization's financial management strategy. By maximizing their return on investment, investment centres can help to ensure the long-term financial health and stability of the organization.

However, it is important to monitor investment centres carefully and to hold them accountable for their performance, in order to ensure that they are making sound financial decisions and maximizing the return on investment for the organization as a whole.

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Which of the following statements about tax is true?
a. the effective tax rate is the tax expense divided by profit before tax
b. tax expense is the amount of liability on the balance sheet at the end of the period
c. tax expense is the amount paid during the period
d. the effective tax rate is the tax paid divided by profit before tax

Answers

The correct statement about tax is the effective tax rate is calculated by dividing the tax expense by the profit before tax. Here option A is the correct answer.

The effective tax rate is a measure that indicates the proportion of profit before tax that is paid in taxes. It is a useful metric for analyzing the impact of taxes on a company's profitability. The effective tax rate takes into account all taxes paid by the company, including income taxes, payroll taxes, and any other applicable taxes.

To calculate the effective tax rate, the tax expense is divided by the profit before tax. The tax expense represents the amount of tax liability incurred by the company during a specific period. It includes both current taxes payable and deferred taxes.

Current taxes payable are the taxes that are due and payable based on the taxable income earned in the current period. Deferred taxes, on the other hand, are taxes that are recognized for temporary differences between the accounting and tax treatment of certain items.

The profit before tax is the company's earnings before deducting taxes. It is a measure of the company's profitability and is calculated by subtracting all expenses, except for taxes, from the total revenue. Therefore option A is the correct answer.

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knowledge management
2.1 Learning Outcomes:
Recognize the overall knowledge management processes, concepts,
goals and strategies within the context of organization.
2.2 Action Required:
Watch the shor

Answers

Knowledge management is the process of developing, acquiring, creating, information that an organization has. Knowledge management is an important part of any organization as it helps to manage knowledge to meet organizational goals, objectives, and strategies.

This process involves the use of various tools, processes, and technologies to create and manage knowledge within an organization. Knowledge management is important as it helps to reduce duplication of work and helps to leverage organizational knowledge to make better decisions, improve performance, and enhance organizational efficiency.

In order to achieve this, knowledge management involves a range of processes such as capturing, storing, sharing, and transferring knowledge within the organization. In addition, knowledge management also involves the creation of a knowledge management strategy that outlines the goals, objectives, and strategies for managing organizational knowledge.

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Mrs Judy, a South African resident who is 72 years old has the following investment income: South African dividends (exempt in terms of s 10(1)(k)) R50 000 South African interest R40 000 Foreign dividends (exempt in terms of s 10(1)(k)(ii)) R7 500 Foreign dividends (not specifically exempted) R750 Foreign interest R200
1 Calculate Mrs Judy’s gross and exempt income for the 2020 year of assessment. 2 List examples of Lump-sum benefits paid under paragraph (d) of special inclusions.
3 State the exemption applicable to uniform allowance.

Answers

1) Calculation of Mrs. Judy’s gross and exempt income for the 2020 year of assessment. Mrs. Judy’s gross income for the 2020 year of assessment is Rs 98,450. Let us calculate Mrs. Judy's exempt income: Exempt income = (South African dividends exempted under section 10(1)(k)) + (Foreign dividends exempted under section 10(1)(k)(ii)) Rs 50,000 + Rs 7500= Rs 57,500. Therefore, Mrs. Judy’s exempt income for the 2020 year of assessment is R57 500.

2) Examples of lump-sum benefits paid under paragraph (d) of special inclusions. The following are some examples of lump-sum benefits paid under paragraph (d) of special inclusions: Benefits received by or accrued to any person as a lump sum on or after retirement or death as a consequence of past employment, in respect of any pension, annuity, provident fund, retirement annuity fund or preservation fund.

3) The exemption applicable to uniform allowance. The exemption applicable to uniform allowance is as follows: An amount up to Rs 5000 per annum received by an employee as an allowance in respect of any uniform or wear and tear of any special clothing which is required by his employer to be worn while on duty is exempt from tax.

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Required information E3-7 (Algo) Recording Journal Entries LO3-4 [The following information applies to the questions displayed below.] Vail Resorts, Incorporated, owns and operates over 30 premier ski resort properties (located in the Colorado Rocky Mountains, the Lake Tahoe area, the upper midwest, the northeast, mid-Atlantic states, and Australia). The company also owns a collection of luxury hotels, resorts, and lodging properties. The company sells lift tickets, ski and snowboard lessons, and ski equipment. The following hypothetical December transactions are typical of those that occur at the resorts. a. Borrowed $3,600,000 from the bank on December 1 , signing a note payable due in six months. b. Purchased a new snowplow for $78,000 cash on December 31 . c. Purchased ski equipment inventory for $44,000 on account to sell in the ski shops. d. Incurred $64,000 in routine repairs expense for the chairlifts; paid cash. e. Sold $381,000 of January through March season passes and recelved cash. f. Sold a pair of skis from inventory in a ski shop to a customer for $490 on account. g. The cost of the skis sold in (f) was $250. h. Sold dally lift passes in December for a total of $261,000 in cash. i. Received a $3,400 deposit on a townhouse to be rented for five days in January. 1. Paid half the charges incurred on account in (c). k. Received $480 on account from the customer in ( $. 1. Paid $261,000 in wages to employees for the month of December. 2. Assume that Vail Resorts had a $1,340 balance in Accounts Receivable at the beginning of December. Determine the ending balance in the Accounts Receivable account at the end of December based on transactions (a) through (h.

Answers

A. Borrowed $3,600,000 from the bank on December 1, signing a note payable due in six months. (Assets increase by $3,600,000;

liabilities increase by $3,600,000)DR Cash $3,600,000CR Notes Payable $3,600,000B. Purchased a new snowplow for $78,000 cash on December 31. (Assets decrease by $78,000)DR Equipment $78,000CR Cash $78,000C.

Purchased ski equipment inventory for $44,000 on account to sell in the ski shops. (Assets increase by $44,000)DR Ski Equipment Inventory $44,000CR Accounts Payable $44,000

1. Paid half the charges incurred on account in (c). (Liabilities decrease by $22,000)DR Accounts Payable $22,000CR Cash $22,000

2. Received $480 on account from the customer in (f). (Assets increase by $480)DR Accounts Receivable $480CR Sales Revenue $480D. Incurred $64,000 in routine repairs expense for the chairlifts;

paid cash. (Assets decrease by $64,000)DR Repairs Expense $64,000CR Cash $64,000E. Sold $381,000 of January through March season passes and received cash. (Assets increase by $381,000)

DR Cash $381,000CR Unearned Revenue $381,000F. Sold a pair of skis from inventory in a ski shop to a customer for $490 on account. (Assets increase by $490)

DR Accounts Receivable $490CR Sales Revenue $490G. The cost of the skis sold in (f) was $250. (Assets decrease by $250)DR Cost of Goods Sold $250CR Inventory $250H. Sold daily lift passes in December for a total of $261,000 in cash. (Assets increase by $261,000)DR Cash $261,000CR

Sales Revenue $261,0001. Paid $261,000 in wages to employees for the month of December. (Assets decrease by $261,000)DR Wages Expense $261,000CR Cash $261,0002. Assume that Vail Resorts had a $1,340 balance in

From transaction (2), $480 has been subtracted from the account, making the balance $1,350 ($1,830 − $480).Hence, the ending balance in the Accounts Receivable account at the end of December based on transactions (a) through (h) is $1,350.

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Think about your companies financial planning cycles, when does it start and finish?
How often do you see the plan change after it’s finished?
Can you give an example of priorities shifting? i.e. regulatory commitments, audit findings and/or COVID-19

Answers

Financial planning cycles vary by company and industry, but typically they start at the beginning of the fiscal year and end at the end of the fiscal year. However, some companies may have quarterly or monthly financial planning cycles.

The financial planning cycle begins with setting goals and objectives for the year, creating a budget, and projecting revenue and expenses. The budget is then reviewed throughout the year to ensure it is on track. The financial planning cycle ends with an analysis of actual results compared to the budget. After the plan is finished, it may change depending on the performance of the business or external factors such as changes in the economy, government regulations, or customer demand.

Priorities may shift due to regulatory commitments, audit findings, and COVID-19. For example, if a regulatory agency finds an issue with the company’s product, the company may need to shift its resources to fix the issue to avoid penalties or legal action. Similarly, if an audit reveals weaknesses in the company’s financial controls, the company may need to shift its priorities to strengthen its financial reporting.

Finally, with the COVID-19 pandemic, many companies have had to shift their priorities to focus on employee safety and remote work, which has impacted their financial plans.

Overall, financial planning is an ongoing process that requires flexibility and adaptability to changes in the business environment.

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1 marks for the correct increase / decrease in the demand or supply 1 mark for correct labels 1 mark for showing what will happen to the equilibrium price 1 mark for showing what will happen to the equilibrium quantity 4marks for a brief explanation (d) What will happen in the market for tomatoes if a new study is released that shows tomatoes contain antioxidants (may help prevent cancer)? (e) What will happen in the market for corn if a new crop rotation technique is discovered that allows corn to be grown more easily and the price of green beans, a substitute, decreases? (f) What will happen in the market for gasoline if the price of oil increases and there is a vast increase in the population (e.g., another baby boomer generation)? (g) A tax on gun buyers. (h) A binding price floor on guns.

Answers

(d) If a new study is released showing that tomatoes contain antioxidants, it will increase the demand for tomatoes. This is because the study highlights a potential health benefit of consuming tomatoes, which will attract more consumers to purchase them. The demand curve will shift to the right. As a result, the equilibrium price of tomatoes will increase, and the equilibrium quantity of tomatoes will also increase.

(e) If a new crop rotation technique is discovered that allows corn to be grown more easily and the price of green beans, a substitute for corn, decreases, it will decrease the demand for corn. This is because the easier availability of corn and the lower price of green beans will make consumers switch from corn to green beans. The demand curve for corn will shift to the left. As a result, the equilibrium price of corn will decrease, and the equilibrium quantity of corn will also decrease.

(f) If the price of oil increases and there is a vast increase in the population, there will be an increase in the demand for gasoline. The increase in the price of oil will lead to higher production costs for gasoline, causing the supply curve to shift to the left. Additionally, the increase in population will result in more consumers who need gasoline. Both factors combined will increase the demand for gasoline. The demand curve for gasoline will shift to the right. As a result, the equilibrium price of gasoline will increase, and the equilibrium quantity of gasoline will also increase.

(g) A tax on gun buyers will increase the price of guns for consumers. This is because the tax increases the cost of purchasing a gun, which leads to a decrease in the quantity demanded. As a result, the demand curve for guns will shift to the left. The equilibrium price of guns will increase, and the equilibrium quantity of guns will decrease.

(h) A binding price floor on guns will set a minimum price for guns that is above the equilibrium price. This will result in a surplus of guns, as the quantity supplied exceeds the quantity demanded at the higher price. The supply curve for guns will shift to the right, and the demand curve for guns will shift to the left. The equilibrium price of guns will be the price floor, and the equilibrium quantity of guns will be lower than before the price floor was implemented.

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The purpose of the trial balance is to Select one: O a. Make sure the entries are in the proper format O b. Make sure the T accounts are in balance O c. Correct an adjusting entry O d. None of the above on 15 t red out of ion Decreases in owners' equity accounts are on which side of the T account? Select one: O a. Left O b. Right O c. Neither A nor B

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The purpose of the trial balance is to: Make sure the T accounts are in balance. On the other hand, decreases in owners' equity accounts are on the right side of the T account.

This means that the answer would be option B.Explanation:What is a trial balance?A trial balance is a report in bookkeeping that lists the balances in every ledger account on a specific date. The trial balance is useful for detecting accounting mistakes, and it can help to ensure that the debits and credits in the ledger are balanced. In addition, the trial balance is used to produce financial statements, which summarize an entity's financial operations. The trial balance is created at the conclusion of the accounting period before financial statements are created.

The main purpose of the trial balance is to ensure that the ledger accounts are in balance. The debit and credit entries in each ledger account should be equal and opposite, resulting in a balanced ledger. The trial balance is used to compare the total debits and credits of all ledger accounts to ensure that the debits and credits balance.The T-account is a visual representation of a ledger account that displays all of the account's debit and credit transactions. The left-hand side of a T-account is the debit side, and the right-hand side is the credit side. When a decrease occurs in an owner's equity account, it is recorded on the credit side of the T-account, while an increase is recorded on the debit side.

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The market demand for artichokes is QD = 1000-2P and QS = 580 + 4P where P is in dollars.
a. Find the equilibrium price and equilibrium quantity.
b. A tax of one dollar per artichoke is enacted. Find the new equilibrium quantity and the price to consumers.
c. Find the deadweight loss of the tax in part c

Answers

a. To find the equilibrium price and quantity, we need to set the market demand equal to the market supply.

QD = QS

1000 - 2P = 580 + 4P

Combining like terms, we get:

6P = 420

Dividing both sides by 6, we find:

P = 70

Now, we can substitute this value back into either the demand or supply equation to find the equilibrium quantity.

QD = 1000 - 2P

QD = 1000 - 2(70)

QD = 1000 - 140

QD = 860

Therefore, the equilibrium price is $70 and the equilibrium quantity is 860 artichokes.

b. With a tax of one dollar per artichoke, the new supply equation becomes:

QS = 580 + 4(P - 1)

Substituting the equilibrium price found in part a:

QS = 580 + 4(70 - 1)

QS = 580 + 4(69)

QS = 580 + 276

QS = 856

The new equilibrium quantity is 856 artichokes. To find the price to consumers, we can use either the demand or supply equation:

QD = 1000 - 2P

856 = 1000 - 2P

2P = 1000 - 856

2P = 144

P = 72

Therefore, the price to consumers after the tax is $72.

c. The deadweight loss of the tax can be calculated by finding the difference between the equilibrium quantity before and after the tax:

Deadweight loss = Equilibrium quantity before tax - Equilibrium quantity after tax

Deadweight loss = 860 - 856

Deadweight loss = 4

Therefore, the deadweight loss of the tax is 4 artichokes.

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\langle\rangle Potential Mutual Funds )) Johnson Equity Sarofim Equity Income (JEQIX) (SRFMX) - 5-Year Return: 12.87% - 5-Year Return: 11.87% - Standard Deviation: - Standard Deviation: 18.13 n. . 19.48 - Minimum investment - Minimum Investment Requirement: $2000 1. Choose two mutual funds to purchase. Search for two mutual funds that your group is interested in investing in and use the Yahool Finance website to find the following information: - Performance. Identify the 5-Year Average Return of each fund. You will use this to estimate your return going forward. For this project, we will require that each fund has at least five years of data. - Risk. Identify the Standard Deviation statistic of each fund. This number represents the volatility of the fund's returns, and hence may be used to measure the risk of losing money on your investment. - Purchase info. Identify the Min Initial investment amount for each fund. For this project, we will require this amount to be non-zero. - IMPORTANT: Report your choice of mutual funds to your instructor as soon as you identify them. No repeats are allowed between groups, so lock yours in as soon as you decide. 2. Write the objective functions. For this project, we will construct two objective functions: one to maximize return and one to minimize risk. - Define the variables x and y as the amounts to be invested in each mutual fund. - Use the information you gathered on the funds' performance to construct an objective function for the total expected return on your investment. - Use the information you gathered on the funds' risk to construct an objective function for the total risk involved in purchasing both funds. We will use a calculation of Std. Dev. × Amount to measure the risk of purchasing shares of a fund. 3. Identify your constraint inequalities. Form constraint inequalities by considering the following limitations on your investment. - The minimum amount needed to start investing in each fund. - The maximum total amount that you have available to invest. To ensure a good range for your results, choose a reasonable number that is at least twice as much as the total minimum amount to purchase the two funds. - To maintain an appropriately diversified portfolio, suppose you intend that the difference between the amounts invested in each fund be no more than 25% of the maximum total amount.
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The Constraint Inequalities is ≥ 2000y ≥ 2000x + y ≤ (2 * 2000) = 4000x - y ≤ 1000 |x - y| ≤ 0.25(x + y)≥ 0

Based on the given information, two mutual funds that the group may be interested in investing in are:

Johnson Equity Sarofim Equity Income (JEQIX)5-Year Return: 12.87%

Standard Deviation: 18.13

Minimum Investment Requirement: $2000

Sarofim Equity Income (SRFMX)5-Year Return: 11.87%

Standard Deviation: 19.48

Minimum Investment Requirement: $2000

Objective Function to maximize return:

x = amount invested in JEQIX

y = amount invested in SRFMX

Objective Function: Z = 12.87x + 11.87y

Constraint Inequalities:x ≥ 2000y ≥ 2000x + y ≤ (2 * 2000) = 4000x - y ≤ 1000

Objective Function to minimize risk: x = amount invested in JEQI

Xy = amount invested in SRFMX

Objective Function: Z = 18.13x + 19.48y

Constraint Inequalities:

x ≥ 2000y ≥ 2000x + y ≤ (2 * 2000) = 4000x - y ≤ 1000 |x - y| ≤ 0.25(x + y)≥ 0

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Sony is deciding on whether it should invest in a new. PlayStation gaming system. There is a 50% chance that the NPV of the new gaming system will be $1.5 billion and a 50% chance of it being −$1 billion. Alternatively, it could wait a year to start the investment so as to gather more information about the viability of this product. But, it can't wait more than a year to start this investment because it will otherwise lose too much ground to its competitors, Microsoft and Nintendo, which have both already decided to begin producing new gaming systems. I.e., by delaying for more than one year, Sony's expected cash flows, should it eventually do the investment, will be lower than what they would be if it were to instead make the investment now. Using your understanding of real options, which of the following statements are correct? (There might be more than one correct statement.) Sony would be more likely to delay if I had instead stated that that the possible losses of the bad scenario were $1.25 billion instead of $1 billion. If the expected loses that occur by delaying and giving its competitors a head start were to increase, Sony will be more likely to invest now. The ability to delay makes it more likely Sony ultimately invests. If Sony decides that delaying is not an option it can consider, it will invest now despite the uncertain prospects of the investment. The option to delay in this scenario is valuable.

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All of the provided statements are correct based on the understanding of real options in Sony's decision-making process for the new PlayStation gaming system.

Based on the information provided, several statements about Sony's decision regarding the new PlayStation gaming system can be considered correct:

1. Sony would be more likely to delay if the possible losses of the bad scenario were $1.25 billion instead of $1 billion.
- This statement is correct because a higher potential loss in the bad scenario would increase the risk associated with investing now, making it more likely for Sony to delay the investment to gather more information.

2. If the expected losses that occur by delaying and giving competitors a head start were to increase, Sony will be more likely to invest now.
- This statement is correct because if the potential losses from delaying increase, it reduces the value of waiting to gather more information, making it more likely for Sony to invest now.

3. The ability to delay makes it more likely Sony ultimately invests.
- This statement is correct because having the option to delay provides Sony with flexibility and the opportunity to gather more information, which increases the likelihood of making an investment.

4. If Sony decides that delaying is not an option it can consider, it will invest now despite the uncertain prospects of the investment.
- This statement is correct because if Sony determines that delaying is not feasible, it will have to make a decision based on the available information and the uncertain prospects of the investment.

5. The option to delay in this scenario is valuable.
- This statement is correct because the ability to delay allows Sony to gather more information and make a more informed investment decision, which adds value to the overall decision-making process.

In summary, all of the provided statements are correct based on the understanding of real options in Sony's decision-making process for the new PlayStation gaming system.

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On 8/1/2023 We issue 60 million of 8%20 years bonds for 90 give first 5 Journal entries

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Journal Entry 1:

Date: 8/1/2023

Account Debit: Cash (60,000,000)

Account Credit: Bonds Payable (60,000,000)

Description: Issued 60 million of 8% 20-year bonds at a face value of 90.

Journal Entry 2:

Date: 8/1/2023

Account Debit: Bonds Payable (12,000,000)

Account Credit: Discount on Bonds Payable (12,000,000)

Description: Recorded the discount on the issuance of bonds.

Journal Entry 3:

Date: 8/1/2023

Account Debit: Cash (108,000,000)

Account Credit: Premium on Bonds Payable (108,000,000)

Description: Recorded the premium on the issuance of bonds.

Journal Entry 4:

Date: 8/1/2023

Account Debit: Bonds Payable (3,600,000)

Account Credit: Discount on Bonds Payable (3,600,000)

Description: Amortized a portion of the bond discount.

Journal Entry 5:

Date: 8/1/2023

Account Debit: Interest Expense (4,500,000)

Account Credit: Discount on Bonds Payable (4,500,000)

Account Credit: Cash (4,500,000)

Description: Recorded semi-annual interest payment on the bonds and the amortization of the bond discount.

In the first journal entry, we debit the Cash account for the amount received from the issuance of bonds, which is $60 million, and credit the Bonds Payable account for the same amount.

In the second journal entry, we debit the Bonds Payable account for the discount on bonds payable, which is calculated by subtracting the face value of the bonds ($90) from the cash received ($60 million). The credit is made to the Discount on Bonds Payable account.

In the third journal entry, we debit the Cash account for the premium on bonds payable, which is calculated by subtracting the face value of the bonds ($90) from the cash received ($108 million). The credit is made to the Premium on Bonds Payable account.

In the fourth journal entry, we debit the Bonds Payable account for the amortization of a portion of the bond discount. The credit is made to the Discount on Bonds Payable account. This entry is made periodically to gradually reduce the bond discount over the bond's term.

In the fifth journal entry, we debit the Interest Expense account for the semi-annual interest payment, which is calculated by multiplying the face value of the bonds ($90) by the bond's interest rate (8%) and dividing by 2 (since it's a semi-annual payment). The credit is split between the Discount on Bonds Payable account and the Cash account. The credit to Discount on Bonds Payable represents the amortization of the bond discount, while the credit to Cash accounts for the actual interest payment.

These journal entries capture the issuance of $60 million worth of 8% 20-year bonds at a face value of $90. The first entry records the initial issuance, while the second and third entries account for any discount or premium on the bonds. The fourth entry represents the periodic amortization of the bond discount. Finally, the fifth entry records the semi-annual interest payment on the bonds, including the amortization of the bond discount. These entries ensure the appropriate recognition of the bonds' issuance, associated costs, and interest expenses over time, in accordance with accounting principles.

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Government officials decide that tech giants such as Apple and Samsung are making excessive profits. In order to reduce these profits, the government imposes a $100 per device tax on all high- end smartphones. As a result of this tax, the price paid by buyers of the Iphone X rises from $900 to $990. Sales barely change. a) What is the incidence of the tax? How much of the unit tax is paid by Apple and how much do they pass through to consumers? b) Is this tax good in terms of collecting revenue without causing much deadweight loss? c) Did this tax reduce the 'excessive profits' of the smartphone makers?

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a) The incidence of the tax means how much of the tax is borne by the producers and how much is borne by the consumers. In the given case, the tax incidence of the $100 per device tax is split between Apple and the consumers. The amount of tax that the company would pay per device is the tax rate that is levied by the government and it is fixed.

However, the amount that is passed on to the consumers is dependent on the price elasticity of the product. If the product has a low price elasticity, then the burden of tax falls mainly on the consumer. Here, since the sales barely change, it can be assumed that the iPhone X has a low price elasticity of demand. Therefore, most of the tax would be borne by the consumers.

The amount that is paid by Apple and the amount that is passed through to consumers are as follows:

The price of the Iphone X before tax = $900The price of the Iphone X after tax = $990

Amount paid by Apple = $100 (per device)

Amount passed through to consumers = $90 (per device) b)

A tax is considered good if it can collect revenue without causing much deadweight loss.

Deadweight loss is a loss in economic surplus that occurs when the social cost of the tax exceeds its social benefit. A tax is considered good if it generates significant revenue and its deadweight loss is low.

In the given case, since the sales barely change, it can be assumed that the iPhone X has a low price elasticity of demand. This means that the deadweight loss caused by the tax would be low. Therefore, the tax would be good in terms of collecting revenue without causing much deadweight loss.

c) The imposition of the $100 per device tax on high-end smartphones was an attempt by the government to reduce the excessive profits of the smartphone makers. The amount of profits earned by Apple would depend on the demand for the iPhone X.

If the demand for the iPhone X remains the same even after the imposition of the tax, then the profits earned by Apple would not be affected. In this case, since the sales barely change, it can be assumed that the demand for the iPhone X is inelastic.

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Question 3 Not yet answered Marked out of 200 Flag question A building has two tenants, one with 700 sqm with 5.6 years to expiry and one with 300 sqm and 6.8 years to expiry. What is the Weighted Average Lease Term? (to two decimal places) O a. 5.96 O b. 5.88 O c. 6.44 O d. 5.36 O e. 5.76 Question 4

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The Weighted Average Lease Term (WALT) is 5.96 years (option a).To calculate which, we need to multiply the lease term of each tenant by the size of their leased area, then sum up these values and divide by the total leased area.

Tenant 1: Lease term = 5.6 years, Leased area = 700 sqm

Tenant 2: Lease term = 6.8 years, Leased area = 300 sqm

WALT = ((Lease term of Tenant 1 * Leased area of Tenant 1) + (Lease term of Tenant 2 * Leased area of Tenant 2)) / (Total leased area)

WALT = ((5.6 * 700) + (6.8 * 300)) / (700 + 300)

WALT = (3920 + 2040) / 1000

WALT = 5960 / 1000

WALT = 5.96

Therefore, the Weighted Average Lease Term is 5.96 years (option a).

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When can a business pass on rising costs to the consumer? (Keep it short but clear, using economic terms such as elasticity).

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A business can pass on rising costs to the consumer when the demand for the product or service offered is inelastic. Inelastic demand refers to the situation where the quantity demanded of a product or service is not very responsive to changes in its price.

What does it mean to be inelastic?

Elasticity is a concept in economics that refers to the degree of responsiveness of the quantity demanded of a product or service to changes in its price.

When the quantity demanded of a product or service changes a lot in response to small changes in its price, then we say the demand is elastic.

On the other hand, when the quantity demanded of a product or service changes very little in response to changes in its price, then we say the demand is inelastic.

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Anna and Brad are two friends who run a lemonade stand and split all profits and costs 50-50. After years of running a successful business, Brad decides that he can make more money on his own and starts a competing stand next door to Anna's. Anna sues Brad for unfair competition and breach of contract. The first document that Anna would file in court is called a(n) _____________________, and Brad's response is called a(n) ______________________:
Group of answer choices
Complaint; Answer
Cause of Action; Pleading
Argument; Affirmative Defense
Lawsuit; Appeal

Answers

The first document that Anna would file in court is called a Complaint, and Brad's response is called an Answer.

A Complaint is a formal legal document that outlines the details of Anna's claim against Brad. It will include information such as the parties involved, the facts of the case, and the legal basis for Anna's claim.

In this case, Anna is suing Brad for unfair competition and breach of contract. The Complaint will explain how Brad's actions of starting a competing lemonade stand next door to Anna's have harmed her business and violated their 50-50 profit-sharing agreement.

On the other hand, Brad's response to Anna's Complaint is called an Answer. This is his opportunity to address and respond to the allegations made in Anna's Complaint.

In his Answer, Brad may admit or deny the specific claims made by Anna, and he may also raise any affirmative defenses he may have, such as arguing that he had a valid reason for starting his own lemonade stand or that Anna breached the contract first.

It is important to note that the terms "Cause of Action; Pleading," "Argument; Affirmative Defense," and "Lawsuit; Appeal" are not the appropriate terms to describe the first document filed by Anna and Brad's response in court. The correct terms are "Complaint" and "Answer."

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Consider the three stocks in the following table. Pt​ represents price at time t, and Qt​ represents shares outstanding at time t. Stock C splits two-for-one in the last period. Required: a. Calculate the rate of return on a price-weighted index of the three stocks for the first period ( t=0 to t=1). (Do not round intermediate calculations. Round your answer to 2 decimal places.) b. What will be the divisor for the price-weighted index in year 2? (Do not round intermediate calculations. Round your answer to 2 decimal places.) c. Calculate the rate of return of the price-weighted index for the second period ( t=1 to t=2 ).

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Total 787 the average price of all the three stocks would be equal to the total price of all the three stocks divided by the total number of shares Valueable tool outstanding. The average price = Total price / Total number of shares outstanding= 787 / (10 + 24 + 43)= $787 / 77 = $10.22.

Now, the divisor in year 0 will be equal to the average price of the three stocks, which is $10.22.Since Stock A, Stock B and Stock C all experienced the same percentage increase in prices (0.1%), the percentage increase in the price-weighted index would be the same, which is 0.1%.

Therefore, Rate of return on a price-weighted index of the three stocks for the first period (t=0 to t=1) = 0.1%b) Calculation of Divisor for the price-weighted index in year 2Since Stock C split two-for-one in the last period, its shares outstanding will be doubled in the next period and as a result, the new total number of shares outstanding in year 2 would be 10 + 24 + (43 x 2) = 120.The Divisor for the price-weighted index in year 2 would be equal to the total price of all the three stocks in year 1 divided by the total number of shares outstanding in year 2.= $871 / 120= $7.26 Calculation of Rate of return of the price-weighted index for the second period.

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How might telecommuting be implemented as an alternative work arrangement in The Bahamas?

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The Bahamas can embrace telecommuting as a viable alternative work arrangement, offering increased flexibility, reduced commuting time, and improved work-life balance for employees, while potentially reducing office space costs and enhancing productivity for employers.

Implementing telecommuting as an alternative work arrangement in The Bahamas can bring numerous benefits to both employers and employees. To successfully implement telecommuting, the following steps can be taken:

1. Infrastructure Development: Invest in robust and reliable internet connectivity across the country to ensure employees can work remotely without connectivity issues. This may involve expanding broadband coverage and improving network reliability.

2. Policy and Legal Framework: Develop and enforce policies and regulations that support telecommuting, including guidelines on work hours, data security, and employee rights. This will provide clarity and protection for both employers and employees.

3. Technological Support: Provide necessary tools and technologies for remote work, such as laptops, VPN access, and collaboration platforms. Employers should ensure employees have the necessary resources to perform their tasks effectively from home.

4. Training and Skill Development: Offer training programs to enhance remote work skills, time management, and communication in a virtual environment. This will enable employees to adapt to the telecommuting setup and maximize productivity.

5. Performance Management: Establish clear performance metrics and expectations for telecommuting employees. Regular check-ins, virtual meetings, and project management tools can be utilized to monitor progress and ensure accountability.

6. Work-Life Balance: Encourage a healthy work-life balance by promoting boundaries between work and personal life. Employees should be encouraged to establish dedicated workspace at home and establish routines that separate work time from leisure time.

By implementing these steps, The Bahamas can embrace telecommuting as a viable alternative work arrangement, offering increased flexibility, reduced commuting time, and improved work-life balance for employees, while potentially reducing office space costs and enhancing productivity for employers.

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Companies X and Z have the same beginning-of-the-year book value of equity and the same tax rate. The companies have identical transactions throughout the year and report all transactions similarly except for one. Both companies acquire a £300,000 printer with a three- year useful life and a salvage value of £0 on January 1 of the new year. Company X capitalizes the printer and depreciates it on a straight-line basis, and Company Z expenses the printer. The following year-end information is gathered for Company X. Company X As of December 31 £10,000,000 Ending shareholders' equity Tax rate Dividends 25% £0.00 Net income £750,000 Based on the information given, Company Z's return on equity using year-end equity will be closest to:

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To calculate Company Z's return on equity (ROE) using year-end equity, we need to determine the net income and the equity at the end of the year for Company Z. Company Z's return on equity using year-end equity will be closest to 4.5%.

Given that Company X has an ending shareholders' equity of £10,000,000 and a net income of £750,000, we can assume that Company Z also has the same beginning-of-the-year book value of equity, the same tax rate, and identical transactions throughout the year, except for the treatment of the printer.

Since Company X capitalized and depreciated the printer over its useful life, it implies that the £300,000 cost of the printer was added to the asset value and depreciated over three years. This depreciation expense reduced the net income for Company X.

However, Company Z expensed the printer, meaning that the £300,000 cost of the printer was directly deducted from net income as an expense in the year of acquisition. As a result, Company Z's net income will be lower than that of Company X.

To calculate Company Z's net income, we need to subtract the £300,000 printer expense from Company X's net income:

Company Z's Net Income = Company X's Net Income - Printer Expense

= £750,000 - £300,000

= £450,000

Next, we can calculate Company Z's equity at the end of the year. Since we are given that both companies have the same beginning-of-the-year equity, we can assume that Company Z's equity at the end of the year will also be £10,000,000.

Finally, we can calculate Company Z's return on equity using the formula:

ROE = (Net Income / Equity) * 100

Company Z's ROE = (£450,000 / £10,000,000) * 100

= 4.5%

Therefore, Company Z's return on equity using year-end equity will be closest to 4.5%.

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Why is it that Central Bank Independence is of importance for
the valuation or riskiness of a country's currency?

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The value or riskiness of a nation's currency depends on the independence of the central bank. The stability of an economy and the financial health of a nation depend on the independence of the central bank.

A country's central banks are in charge of managing its money supply. A stable economy contributes to the stability of the country's currency value, which is maintained in part by a steady central bank. Being independent of the government or any other external parties, the central bank is able to make monetary policy choices.

The importance of Central Bank Independence is that it provides the Central Bank with the authority to regulate the money supply, which results in a stable economy. When a Central Bank is independent, it can make its monetary policy decisions based on what is best for the economy, not what is best for the government. This independence from government control helps to create credibility and stability in the country's financial system and economy.

This stability is vital for a country's currency valuation and riskiness. If a country's currency is considered stable, its value will be high, and investors will be willing to invest in the country. When investors invest in a country, it can help to boost the economy, creating jobs and increasing wealth.

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What must end users do to officially give their
approval that all their requirements are understood

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To officially give their approval that all their requirements are understood, end users should clearly articulate their requirements, review and refine them, conduct meetings and discussions, seek demonstrations or prototypes, and provide formal sign-off.

Clearly articulate their requirements: End users should document their requirements in a clear and concise manner, avoiding ambiguity and vagueness. They should provide specific details, such as functional needs, performance expectations, and any constraints or preferences.

Review and refine requirements: End users should review their documented requirements and make necessary revisions or additions. They should validate that the requirements accurately reflect their needs and consider any feedback received from stakeholders.

Conduct meetings and discussions: End users should engage in regular meetings and discussions with the project team or stakeholders responsible for implementing the requirements. These interactions provide an opportunity to clarify doubts, answer questions, and address any misunderstandings.

Seek demonstrations or prototypes: End users can request demonstrations or prototypes of the proposed solution to evaluate whether it aligns with their requirements. This allows them to provide specific feedback and make informed decisions.

Provide formal sign-off: Once end users are satisfied that their requirements have been thoroughly understood and met, they should provide formal sign-off.

This can be in the form of a written approval or a documented statement acknowledging their satisfaction with the understanding and implementation of the requirements.

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Define the following concepts: Rule of Law Separation of powers Public Law Private Trader General Partnership Company

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The Rule of Law and Separation of Powers ensure fairness and equal treatment, while Public Law deals with the relationship between the government and citizens.

Private traders have full control, while general partnerships have equal control and responsibility, and companies have separate legal rights and obligations. Rule of Law: The principle that no one is above the law, not even those who create and enforce the law, and that all individuals, institutions, and government entities are held to the same legal standards. This means that laws must be clear, fair, and apply equally to everyone.

Separation of Powers: The division of governmental powers between the executive, legislative, and judicial branches, each with its own distinct responsibilities and limitations. This separation of powers ensures that no one branch has too much power and that each branch can act as a check on the others to prevent abuses of power.

Public Law: The area of law that deals with the relationship between the government and its citizens, including the interpretation and application of constitutional and administrative law.

Private Trader: A private trader is a sole trader or an individual who is self-employed and runs a business. The private trader has full control over the management and ownership of their business and is responsible for its success or failure.

Company: A legal entity that is separate from its owners and has its own legal rights and obligations. A company can be owned by individuals or other companies, and it can issue shares of stock to raise capital for growth and expansion.

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Other Questions
An oil well is produced for 600 hrs followed by a buildup test for 500 hrs. Sketch a typical pressure profile at the wellbore knowing that the pressure at the wellbore is affected by wellbore storage Csi, Cs2, and Cs3 (Cs3 >Csl >Cs2), initial reservoir pressure = 7000 psi, wellbore pressure at the end of drawdown test = 6200 psi and the average pressure at the end of the test = 6950 psi. Label all of the important features. 9. How many eight letter words can be constructed by using the 26 letters of the alphabet if each word contains three, four, or five vowels? It is understood that there is no restriction on the number of times a letter can be used in a word. A sample of the aggregate and compacted asphalt mixture are known to have the following properties. The density, air voids, VMA and VFA are to be determined using the data as follows: Specific Gravity of Binder (Gb) = 1.030; Bulk Specific Gravity of Mix (Gmb) = 2.360; Bulk Specific Gravity of Aggregate (Gsb) = 2.715; Maximum Specific Gravity of Mix (mm) = 2.520; Asphalt Content = 5.0 percent of weight of total mix (10) JavaStep 1 Introducing customers into the modelAnyone who wishes to hire a car must be registered as a customer of the company so we will now add a Customer class to the reservation system. The class should have String fields customerID, surname, firstName, otherInitials and title (e.g. Dr, Mr, Mrs, Ms) plus two constructors:One constructor that always sets the customerID field to "unknown" (indicating that these "new" users have not yet been allocated an id) though with parameters corresponding to the other four fields;A "no parameter" constructor which will be used in the readCustomerData() method later.As well as accessor methods, the class should also have methods printDetails() and readData() similar in style to the corresponding methods of the Vehicle class.To make use of your Customer class, you will need to also modify the ReservationSystem class by adding:A new field customerList which is initialised in the constructor;A storeCustomer() method;A printAllCustomers() method;A readCustomerData() method to read in data from the data file. The method should be very similar to the readVehicleData() method as it was at the end of Part 1 of the project when the Vehicle class did not have subclasses. However, this method does not need to check for lines starting with "[" as such lines are not present in the customer data files. Write a program in C++ that that will perform the followingfunctions in a linear link list.1. Insertan element before a target point.2. Deletean element before a target point. what is the number of births in year 5? A data set is displayed using a dot plot. The range of the data is between 50 and 90, and the distribution is skewed left. Which measure of center, the mean or median, is probably a better representation of the data? Explain your reasoning. Alternating Current A circuit's voltage oscillates with a period of 10 seconds, with the voltage at time t=0 equal to 5 V, and oscillating between +5 V and 5 V. Write an equation for the voltage as a function of time. Hint You can use either the form or Asin(t) Bcos(t) (2) Note The book emphsizes the form Asin((tc)) or Acos((tb) (stressing the fact that this is a horizontal shift from the base sine or cosine graphs), rather than the more common (in the scientific and engineering literature) (1) or (2) ( and are called "phase shifts"). They are perfectly equivalent, of course, setting =c,c= ,=b,b= , respectively). as an agent for a non-profit organization that helps immigrants in Canada,1- make a report on the ageism and homophobia that these immigrants experienceand give 4 examples2- how activists use ageism and homophobia in anti-oppressive approaches3- what does ageism and homophobia show us Standard telephone keypads contain the digits zero through nine. The numbers two through nine each have three letters associated with them (as seen below). Many people find it difficult to memorize phone numbers, so they use the correspondence between digits and letters to develop seven-letter words that correspond to their phone numbers. For example, a person whose telephone number is 686-2377 might use this tool to develop the seven-letter word "NUMBERS."2: A B C3: D E F4: G H I5: J K L6: M N 07: P R S8: T U V9: W X YEvery seven-letter phone number corresponds to many different seven-letter words, but most of these words represent unrecognizable juxtapositions of letters. Its possible, however, that the owner of a barbershop would be pleased to know that the shops telephone number, 424-7288, corresponds to "HAIRCUT." A veterinarian with the phone number 738-2273 would be pleased to know that the number corresponds to the letters "PETCARE." An automotive dealership would be pleased to know that the dealership number, 639-2277, corresponds to "NEWCARS."Write a program that prompts the user to enter a seven-digit telephone number as input and calculates all possible seven-letter word combinations. After sorting the result, print the first and last 10 combinations. Coloca correctamente los signos de puntuacin al siguiente prrafo C. Una fuerza de 285N acelera una moto y a su conductor a 5,2m/s2. Cual esla masa de la moto con el conductor en conjunto?d- Determine la aceleracin adquirida por un cuerpo de 2 kg de masa, sabiendoque obre el con New Job for Robots_Taking Stock for Retailers PDF document The Robot in Aisle Five Isnt Stalking You No Really PDF document How 5 Top Grocers are Modernizing through Automation and Robotics PDF document How Al is Making Supermarkets Less Exhausting PDF document Amazon Ushers In Checkoutless Grocery Era PDF document 250 Is it possible to make a decision based solely on logicalprinciples and ignoring values and emotions, beliefs andcredibility? Why or why not? Consider the following supply and demand equations. a) What is the quantity demanded if price is $300. b) What is the equilibrium price and quantity? At what frequency will a 50-mH inductor have a reactance XL = 7000? 0 352 Hz O 777 Hz 0 1.25 kHz O 2.23 kHz O 14 kHz Discuss TWO methods to assess wanting in motivation research: ONE that can be used in both laboratory animals and humans, and ONE that cannot. Ensure that you include the specific dependent variable(s) measured for each and explain your reasoning. Be specific and concise. Consider an expensive part with a reliability of 96.8%. If the part fails, it will cost the firm $8,000. a. What is the expected failure cost per part? The probability of failure is % (round your response to two decimal places). The expected failure cost per part is $ (round your response to the nearest penny). b. On each part, a rather unreliable backup can be installed that has a reliability of just 25.00%. What is the maximum amount that the firm should be willing to pay per part to install the backup? The new probability of failure is % (round your response to two decimal places). The new expected cost of failure is $ (round your response to the nearest penny). The firm should pay as much as $ for the backup (round your response to the nearest penny). c. Suppose that a second 25.00% reliable backup part could be installed, so that if both the original and the first backup part fail, then the second backup part will be used. If that second backup part costs $100.00, should it be installed? Support your answer. The new probability of failure is % (round your response to two decimal places). The new expected cost of failure is $ (round your response to the nearest penny). The firm should pay as much as $ for the backup (round your response to the nearest penny). Should the firm install the second backup? Yes No Find the transfer function G(s) for the speed governor operating on a "droop" control mode whose block diagram is shown below. The input signal to the speed governor is the prime mover shaft speed deviation Aw(s), the output signal from the speed govemor is the controlling signal Ag(s) applied to the turbine to change the flow of the working fluid. Please show all the steps leading to the finding of this transfer function. valve/gate APm TURBINE Cies AP steam/water Ag CO 100 K 00 R Write a Java program to receive the elements of an integer vector via keyboard entry, and check if it has any element divisible by two integer numbers given via keyboard. The program should print in the console the index of the first detected element. Additionally, it should print in the console how long it takes for computer to process the vector. Only import Scanner class from java.util. Develop your code following the below sample result. Hint: The split() method divides a String into an ordered list of substrings. Also, see if Integer.parseInt() and System.currentTimeMillis() methods are helpful. Note: your program should find the desired element from the vector through minimum number of iterations. The process-time measurement should be started right after the vector entered. Sample result: This program receives an integer vector and checks if it has any element divisible by N and M. Note that you should only enter numbers (do not use any letter or space) otherwise the execution will be terminated. Enter an integer value for N: 3 Enter an integer value for M: 11 Please enter your vector elements (comma separated) below. 23,77,91,82,778, 991, 1012, 310, 33, 192, 4857, 3, 103, 121, 1902, 45,10 Element 9 of the entered vector is divisible by both 3 and 11. The entered vector was processed in 10 milliseconds. Process finished with exit code 8