Made-to-order metalworks is a small manufacturing firm specializing in custom-order tool and die work. a computerized accounting system would help this firm by?

Answers

Answer 1

The company Made to Order is a manufacturer of custom tools, which is a bespoke manufacturing. A computerized system can help the organization in many ways.

What is Manufacturing?

A manufacturing organization is an organization that manufactures goods, and then sells them to customers and thus generates revenue and profits. A bespoke manufacturing company is the one who manufactures products as the customer wants it to be.

There are so many benefits of having a computerized system for the manufacturing business.

A computerized system can help Made to Order by creating a 3D model of the customer choice of tool, also the orders can be sequenced and easily monitored, delivery date can be highlighted if near and the order booking date can also be mentioned and helpful when the customer wants early delivery for the goods. Also the receipt of payments can be checked and monitored.

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Related Questions

An oligopoly market structure prevails in an industry in which there are ___
a. no barrier to entry.
b. demand curves that slope upward to the right.
c. few firms.
d. conditions that keep individual firms’ sales low relative to the market.
e. no short – or long-run profits.

Answers

An oligopoly market structure prevails in an industry in which there are few firms.

Option C

In an oligopoly, the market is dominated by a small number of large firms, which have the ability to influence the market. These firms may act cooperatively or competitively, and they often engage in non-price competition, such as advertising, to maintain their market position. Oligopolies are typically characterized by high barriers to entry, which make it difficult for new firms to enter the market and compete with existing firms.

This can include high start-up costs, access to distribution channels, and economies of scale. The demand curves in an oligopoly market may slope upward to the right, indicating that as the price of a product increases, the quantity demanded also increases. However, conditions in an oligopoly market may keep individual firms’ sales low relative to the market. This can include price competition, where firms lower their prices to gain market share, or product differentiation, where firms offer unique products or services to attract customers. In an oligopoly market, short- and long-run profits may be limited due to intense competition among firms.

Overall, an oligopoly market structure can have a significant impact on the behavior of firms and the overall competitiveness of the industry. Option C

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A ______ leader is one who sets clear, short-term goals and rewards people for meeting them. A. Transactional B. Communal C. Transofrmational D. Contingent.

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Transactional leader is one who sets clear, short-term goals and rewards people for meeting them.

So, the correct answer is A.

They focus on achieving specific outcomes and use rewards and punishments to motivate their team.

This type of leadership is often effective in achieving short-term goals and maintaining stability within an organization, but may not inspire creativity or long-term growth.

Hence the answer of the question is A.

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A a) transactional leader is one who sets clear, short-term goals and rewards people for meeting them.

This type of leader operates on a reward and punishment system, where employees are given incentives for completing tasks and meeting objectives. The focus of a transactional leader is on maintaining the status quo and ensuring that day-to-day operations run smoothly. They tend to be highly organized and efficient, with a focus on results and meeting deadlines.

Transactional leadership is often effective in environments where there is a need for stability and predictability. It can be especially effective in situations where employees are motivated by tangible rewards, such as bonuses or promotions. However, this leadership style can also lead to a lack of creativity and innovation, as employees may be less inclined to take risks or suggest new ideas if they are solely focused on meeting short-term goals.

In conclusion, a transactional leader is focused on achieving short-term objectives through a reward and punishment system. While this leadership style can be effective in certain environments, it may not be the best approach for fostering creativity and innovation in the long term.

Therefore, the correct answer is A. Transactional

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Following are the given data for Bank A. It is assumed that the profit margin of bank is derived from the rate-sensitive assets and liabilities only. The current interest rate in market is 13%, but it is estimated to fall by 1%. With a view of integrated bank management, show how changes in interest rates affect the ROE of banks. Interpret the change in ROE due to the change in interest rate.

A ROE of Bank decreased due to changes in interest rate.
B ROE of Bank had no effect due to changes in interest rate.
C ROE of Bank is zero to changes in interest rate.
D ROE of Bank increased due to changes in interest rate.

Answers

The correct answer is D. The ROE of Bank increased due to changes in interest rate.

Changes in interest rates can have a significant impact on the profitability of banks, particularly on their ROE (return on equity). In this case, the current interest rate in the market is 13%, but it is estimated to fall by 1%. Assuming that the profit margin of the bank is derived from rate-sensitive assets and liabilities only, we can analyze how changes in interest rates affect the ROE of the bank. When interest rates fall, banks typically experience an increase in demand for loans, which increases their interest income. At the same time, the interest expense on deposits and other liabilities also decreases, which further increases their net interest income. This results in an increase in the net interest margin (NIM) of the bank, which is the difference between interest income and interest expense.

The ROE (return on equity) of a bank is a key performance indicator that measures the profitability of a bank in relation to its shareholders' equity. It is calculated by dividing the net income by the average shareholder's equity. The ROE reflects how effectively the bank is using its equity to generate profits. Changes in interest rates can have a significant impact on the profitability of banks, particularly on their ROE. Banks make profits by borrowing money at lower rates and lending it at higher rates, generating a net interest margin (NIM). However, changes in interest rates can affect the NIM of the bank, which in turn affects the ROE. In the given scenario, the current interest rate in the market is 13%, but it is estimated to fall by 1%. Assuming that the profit margin of the bank is derived from rate-sensitive assets and liabilities only, we can analyze how changes in interest rates affect the ROE of the bank.

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if a government wishes to limit or prohibit fluctuations in exchange rates, it will choose

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If a government wishes to limit or prohibit fluctuations in exchange rates, it will choose to implement a fixed exchange rate system.

A fixed exchange rate system is a monetary arrangement where the value of a country's currency is fixed or pegged to another currency or a fixed value, such as gold. In this system, the government or central bank intervenes in the foreign exchange market to maintain a stable exchange rate by buying or selling its currency.

By choosing a fixed exchange rate system, the government aims to restrict or eliminate fluctuations in exchange rates. This can provide stability and predictability in international trade and financial transactions.

It helps businesses and investors in planning and conducting transactions without the risk of sudden currency value changes.

However, it's important to note that maintaining a fixed exchange rate requires continuous intervention and control by the government or central bank. It may involve using foreign exchange reserves, implementing capital controls, or adjusting monetary policies to manage the exchange rate.

While a fixed exchange rate system can provide stability, it also limits the flexibility of the currency to adjust to economic conditions and can lead to imbalances in trade and capital flows.

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An organizational structure arranges different areas around both departments (such as marketing, production, or engineering) and products or projects.a. simple structure
b. functional structure
c. matrix structure
d. divisional structure

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The answer is d. divisional structure. A divisional structure arranges different areas around both departments and products or projects. This structure is often used in larger organizations that have multiple divisions that operate as separate entities with their own functions and goals. Each division is responsible for its own operations, marketing, production, and engineering, and is typically overseen by a general manager or division head.

This structure allows for greater autonomy and flexibility within each division, but can also lead to duplication of resources and a lack of coordination between divisions.


An organizational structure arranges different areas around both departments and products or projects. In a functional structure (b), departments like marketing, production, and engineering are organized separately. In a divisional structure (d), divisions are created based on products or projects. A matrix structure (c) combines both functional and divisional approaches, with employees reporting to both departmental and project managers. A simple structure (a) is typically found in small organizations with a flat hierarchy and limited specialization.

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If there is an increase in foreign financial investment in the United States as the result of large U.S. budget deficits and attractive interest yields,
a. foreign exchange value of the dollar will appreciate, which will lead to a decrease in net exports and aggregate demand.
b. fiscal policy will be more expansionary since there will be no crowding-out effect.
c. fiscal policy will be more expansionary since U.S. residents will increase their savings, so they can repay the foreigners in the future.
d. foreign exchange value of the dollar will depreciate, which will lead to an increase in net exports and aggregate demand.

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If there is an increase in foreign financial investment in the United States due to large U.S. budget deficits and attractive interest yields, the foreign exchange value of the dollar will appreciate.

When there is an increase in foreign financial investment in the United States, it implies that foreigners are buying U.S. assets such as government bonds or stocks. This inflow of foreign investment increases the demand for the U.S. dollar, causing its value to appreciate in the foreign exchange market.

An appreciation in the value of the U.S. dollar has several implications. Firstly, it makes U.S. goods and services relatively more expensive for foreign buyers, leading to a decrease in net exports as foreign demand decreases. This decrease in net exports negatively impacts aggregate demand, as exports are a component of aggregate demand.

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in a ________, new issues of a security are sold to buyers by the corporation or government agency ultimately using the funds. primary market secondary market capital market money market

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In a primary market, new issues of a security are sold to buyers by the corporation or government agency ultimately using the funds.

Option A is correct

In the context of a primary market, a government agency refers to a specific type of entity that issues securities and sells them directly to investors. These government agencies are typically established by governments to fulfill specific objectives such as financing public projects, promoting economic development, or supporting specific sectors of the economy.

Government agencies may issue various types of securities, such as bonds or notes, to raise funds for their operations or to finance specific projects. These securities represent a promise to repay the investors their principal amount with interest over a specified period.

When these securities are initially offered to the market, it takes place in the primary market. In the primary market, investors purchase these newly issued securities directly from the government agency, and the funds raised from these sales go to the agency for its financing purposes.

The primary market plays a crucial role in providing governments and government agencies with the necessary capital to fund their operations, infrastructure projects, social programs, and other initiatives. It allows governments to tap into the savings and investments of individuals, institutions, and other entities, thereby facilitating economic growth and development.

Once the securities are sold in the primary market, they may subsequently be traded among investors in the secondary market. The secondary market provides liquidity and an opportunity for investors to buy or sell these securities after the initial issuance.

Overall, government agencies utilize the primary market to raise capital directly from investors by issuing securities, allowing them to meet their funding requirements for various governmental activities and initiatives.

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.Captain Kirk is refurbishing the transporter room of the Starship Enterprise. The cost basis for this project is $20 billion. After 25 years of use it can be sold to the Cardasians for $5 billion. The number of years depreciation is 25 for straight-line and declining balance.
If Captain Kirk uses the declining balance depreciation method, what is the value of d3?

Answers

To determine the value of d3 in the declining balance depreciation method, we need to understand the concept of declining balance depreciation and its calculations.

In the declining balance method, the asset is depreciated by a fixed percentage each year, typically higher than the straight-line method. The depreciation expense decreases over time as a percentage of the remaining book value of the asset.

To calculate the declining balance depreciation for a particular year, we use the following formula:

Depreciation Expense = Book Value at the Beginning of the Year * Depreciation Rate

In this case, we are given the cost basis of the transporter room refurbishment project as $20 billion and the number of years depreciation is 25.

To find the value of d3, we need to calculate the depreciation expense for year 3 using the declining balance method.

Let's assume the depreciation rate is represented as a decimal "r."

Year 1 depreciation expense = Book Value at the Beginning of the Year * Depreciation Rate = $20 billion * r

Year 2 depreciation expense = (Book Value at the Beginning of Year 1 - Year 1 depreciation expense) * Depreciation Rate = ($20 billion - Year 1 depreciation expense) * r

Year 3 depreciation expense = (Book Value at the Beginning of Year 2 - Year 2 depreciation expense) * Depreciation Rate = ($20 billion - Year 1 depreciation expense - Year 2 depreciation expense) * r

Since we don't have the specific values for the depreciation rate or the depreciation expenses in years 1 and 2, we cannot determine the exact value of d3 without additional information.

To find the value of d3, we would need to know the specific depreciation rate used and the depreciation expenses for the first two years.

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Draw a price setting and demand curve for a situation where the buyer sets the price. Explain what it shows.
Draw a price ceiling and explain what it does. Be sure to include its effects on price and quantity.
List at least 5 reasons why an industry or company would want to vertically integrate.

Answers

The significant risks, such as reduced flexibility, increased capital investment, and the potential for conflicts of interest between different stages.

Price setting and demand curve when the buyer sets the price: In this situation, the buyer has the power to dictate the price of a good or service to the seller. The demand curve represents the quantity of goods or services that buyers are willing and able to purchase at different price levels. As the price decreases, the quantity demanded increases, and vice versa. The price setting curve, on the other hand, represents the price that the buyer is willing to pay for each quantity of the good or service. It slopes downward because buyers are generally willing to pay less for higher quantities.

Price ceiling: A price ceiling is a government-imposed maximum price that can be charged for a good or service. It is designed to protect consumers from high prices. However, when the ceiling is set below the equilibrium price, it creates a shortage, as the quantity demanded exceeds the quantity supplied at that price. This can lead to rationing, queuing, or other inefficient allocation methods. Sellers may also reduce their supply, as they are unable to charge the market price. As a result, a price ceiling can lead to a distorted market with reduced efficiency and allocative effectiveness.

Reasons for vertical integration: Companies may choose to vertically integrate for a variety of reasons, including:

To secure a reliable source of raw materials or components

To control the quality and consistency of inputs or outputs

To capture more value-added along the supply chain

To reduce transaction costs and improve coordination between stages

To achieve economies of scale and scope through greater control over production and distribution

Vertical integration can offer benefits such as improved supply chain efficiency, reduced costs, greater control over quality and timing, and enhanced competitive advantage.

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The section of a bad-news message that explains why a negative decision is necessary; the most important part of a bad-news letter; also called 'reasons'.

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The section of a bad-news message that explains why a negative decision is necessary is known as the 'explanation' or 'reasons' section.

The writer should provide a clear and complete explanation of the circumstance and the reasons for the decision in this section. It is critical to be truthful and clear while avoiding using derogatory words or making the reader feel personally attacked. The explanation should be accurate and specific to the issues that led to the choice.

Overall, the explanation part is crucial in keeping a favourable relationship with the reader, even when negative news is presented. The writer can demonstrate respect for the reader and assist them comprehend the decision-making process by delivering a clear and well-thought-out explanation.

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The section of a bad-news message that explains why a negative decision is necessary is commonly referred to as the 'explanation' or 'justification' section.

This section is considered the most important part of a bad-news letter because it provides the rationale behind the negative decision, helps to show the decision was made after careful consideration, and reduces the chances of the message being misinterpreted or creating confusion.

The explanation section should provide a clear, concise, and honest explanation of why the decision was made. It should also be presented in a way that is respectful and empathetic to the recipient. The explanation section should be focused on the specific situation and avoid vague or generalized statements.

In addition to explaining the negative decision, the explanation section can also include any relevant information, background, or supporting data that may help the recipient understand why the decision was necessary. This information can help to build credibility and trust with the recipient and reduce the chances of future misunderstandings.

It's important to note that while the explanation section is crucial, it should be presented in a way that balances the negative news with any positive or helpful information. This approach can help to soften the blow of the negative news and leave the recipient with a more positive impression of the organization.

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A due on sale clause which specifies that the mortgage can accelerate the debt if the property is sold without the mortgagee’s permissions is a typical clause in a mortgage document.
Group of answer choices
True
False

Answers

The given statement "A due on sale clause which specifies that the mortgage can accelerate the debt if the property is sold without the mortgagee’s permissions is a typical clause in a mortgage document" is True because a due on sale clause is a typical clause in a mortgage document, which allows the mortgagee to accelerate the debt if the property is sold without their permission.

The purpose of a due-on-sale clause is to prevent the transfer of the mortgage to a new borrower without the lender's consent. By including this clause, the lender can maintain control over the mortgage and potentially renegotiate the terms or conditions of the loan if the property ownership changes hands.

Therefore, it is true that a due-on-sale clause, which specifies that the mortgage can accelerate the debt if the property is sold without the mortgagee's permission, is a typical clause in a mortgage document.

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the market has an expected rate of return of 12.5 percent. the appropriate risk free rate is 3.25 percent. what is the market risk premium?

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The market risk premium can be calculated by subtracting the risk-free rate from the expected rate of return on the market. In this case, the expected rate of return on the market is 12.5 percent and the risk-free rate is 3.25 percent. Therefore, the market risk premium can be calculated as:

Market Risk Premium = Expected Rate of Return - Risk-Free Rate
Market Risk Premium = 12.5% - 3.25%
Market Risk Premium = 9.25%

This means that investors expect to receive a premium of 9.25% for taking on the additional risk of investing in the market compared to the risk-free rate of return they could receive by investing in a risk-free asset. The market risk premium is an important factor in determining the expected return on individual stocks or portfolios, as it represents the additional compensation investors require for taking on market risk.


The Market Risk Premium is the additional return an investor expects to receive by investing in a diversified portfolio of risky assets compared to a risk-free investment, such as government bonds. It is calculated using the following formula:

Market Risk Premium = Expected Market Return - Risk-Free Rate

In your question, you provided the expected market rate of return as 12.5 percent and the appropriate risk-free rate as 3.25 percent. Using the formula above, we can calculate the market risk premium:

Market Risk Premium = 12.5% - 3.25%

Market Risk Premium = 9.25%

Therefore, the Market Risk Premium is 9.25 percent. This means that investors expect to receive an additional 9.25% return for taking on the risk of investing in the market compared to investing in risk-free assets.

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the industry demand is q = 200 – 5p. the monopolist cost function is c = 0.8q2 30q 200. what is the monopolist’s equilibrium price?

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To find the monopolist's equilibrium price, we need to set the marginal revenue (MR) equal to the marginal cost (MC) and solve for price (P).

First, we need to derive the monopolist's MR function. The industry demand function is:

q = 200 – 5p

Solving for p, we get:

p = 40 – 0.2q

To find the monopolist's demand function, we need to divide the industry demand by the number of firms in the market. Since the monopolist is the only firm, the monopolist's demand function is the same as the industry demand function:

q = 200 – 5p

Solving for p, we get:

p = 40 – 0.2q

To find the monopolist's MR function, we need to take the derivative of the demand function with respect to q and multiply by -1:

MR = -d(p)/d(q) = -(-0.2) = 0.

Now we need to find the monopolist's MC function. The cost function is:

c = 0.8q^2 + 30q + 200

Taking the derivative of the cost function with respect to q, we get:

MC = 1.6q + 30

Now we can set MR equal to MC and solve for q:

0.2q = 1.6q + 30

-1.4q = 30

q = -21.43

Since we cannot have a negative quantity, we can ignore this solution. Therefore, there is no quantity at which MR = MC.

This means that the monopolist does not have an equilibrium price and quantity. In other words, the monopolist cannot maximize profits because there is no output level at which marginal revenue equals marginal cost.

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often, some smaller retailers go out of business when target opens a new store. the most likely reason for this outcome is that:

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Getting customers into their physical retail stores is a key challenge for merchants. A recent survey (Wiser, 2019) found that when it comes to impulsive purchases, 89 percent of women and 78 percent of men buy extra things when they enter a physical retail store.

By communicating with customers through only one channel, retailers can target them more precisely. 86) One technique to attract customers to a merchant is by offering unique national brands that are not offered by other stores. Before the coronavirus epidemic hit the U.S., several large national retail businesses were already experiencing difficulties. As a result, when the nation had to shut down, their financial difficulties intensified.

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T/F; the flow of input data for budgeting should be from the highest levels of responsibility to the lowest.

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True, the flow of input data for budgeting should be from the highest levels of responsibility to the lowest. This is because top-level management has a broader understanding of the overall strategic goals and objectives of the organization and can provide insights into the budgeting needs of each department.

As the data flows down to lower levels of responsibility, it becomes more specific and detailed, allowing for a more accurate and comprehensive budget. The process of budgeting involves collaboration and communication between different levels of responsibility to ensure that the budget aligns with the organization's goals and objectives while also being feasible and realistic. Therefore, it is important to have a structured approach to the flow of input data to ensure that the budgeting process is effective and efficient. In conclusion, the flow of input data for budgeting should start from the highest levels of responsibility and trickle down to the lowest levels.
The flow of input data for budgeting should follow a bottom-up approach, rather than from the highest levels of responsibility to the lowest. In this process, the input data comes from the lowest levels of responsibility and moves up to the highest levels. This approach enables a more accurate and realistic budget since the individuals directly involved in the operational activities have a better understanding of the resources needed and the potential challenges. Moreover, the bottom-up approach promotes employee involvement and accountability, as their input is considered during the budgeting process. In summary, the flow of input data for budgeting should be from the lowest levels of responsibility to the highest, as it leads to a more accurate and effective budget.

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Exercise 22-7 Departmental contribution report LO P3
Below are departmental income statements for a guitar manufacturer. The manufacturer is considering eliminating its electric guitar department since it has a net loss. The company classifies advertising, rent, and utilities expenses as indirect.
WHOLESALE GUITARS
Departmental Income Statements
For Year Ended December 31, 2017
Acoustic Electric Sales $ 102,600 $ 84,700 Cost of goods sold 44,275 47,650 Gross profit 58,325 37,050 Operating expenses Advertising expense 5,045 4,330 Depreciation expense—equipment 10,140 8,600 Salaries expense 20,000 17,300 Supplies expense 1,960 1,710 Rent expense 7,065 6,020 Utilities expense 2,975 2,550 Total operating expenses 47,185 40,510 Net income (loss) $ 11,140 $ (3,460 ) 1. Prepare a departmental contribution report that shows each department’s contribution to overhead.
2. Based on contribution to overhead, should the electric guitar department be eliminated?
No
Yes

Answers

1.To prepare a departmental contribution report that shows each department's contribution to overhead, we need to calculate the contribution margin for each department. 2.Based on contribution to overhead, the electric guitar department should not be eliminated.

1.Contribution margin is the difference between the department's sales revenue and its variable costs. Indirect expenses like advertising, rent, and utilities are not included in the contribution margin calculation as they are not directly related to the production of goods. Acoustic Guitar Department. Sales revenue - Cost of goods sold = Gross profit $102,600 - $44,275 = $58,325 Gross profit - Variable expenses (salaries and supplies) = Contribution margin $58,325 - ($20,000 + $1,960) = $36,365Electric Guitar Department: Sales revenue - Cost of goods sold = Gross profit $84,700 - $47,650 = $37,050 Gross profit - Variable expenses (salaries and supplies) = Contribution margin $37,050 - ($17,300 + $1,710) = $18,040. Contribution to overhead Acoustic Guitar Department: $36,365. Electric Guitar Department: $18,040

2. Although the electric guitar department has a net loss, it still contributes significantly to overhead. Eliminating the department would reduce the company's total contribution to overhead and could have negative effects on other departments' profitability. Additionally, the company may want to explore ways to improve the electric guitar department's performance rather than simply eliminating it.

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Exercise 22-7 requires the preparation of a departmental contribution report, which shows the contribution margin for each department within a company.

The following information is provided:

Sales Variable Expenses Fixed Expenses

A $300,000 $150,000 $75,000

B $200,000 $100,000 $50,000

C $400,000 $180,000 $120,000

To prepare the departmental contribution report, the contribution margin must first be calculated for each department. The contribution margin is the difference between the sales revenue and variable expenses. The fixed expenses are not included in this calculation because they are not affected by changes in sales volume.

Department A: $300,000 - $150,000 = $150,000

Department B: $200,000 - $100,000 = $100,000

Department C: $400,000 - $180,000 = $220,000

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Using the following table, what is the present value of $10,000 to be received at the end of each of the next two years at 10% compound interest per period?Present Value of an Annuity of $1 at Compound InterestPeriods 5% 10%1 0.95238 0.909092 1.85941 1.735543 2.72325 2.486854 3.54595 3.169875 4.32948 3.790796 5.07569 4.355267 5.78637 4.868428 6.46321 5.334939 7.10782 5.7590210 7.72173 6.14457A) $19,090.94B) $17,355.40C) $17,729.75D) $12,000.00

Answers

The present value of $10,000 to be received at the end of each of the next two years at 10% compound interest per period is option B- $17,355.40.

To calculate the present value of an annuity, we need to multiply the periodic payment by the present value of an annuity factor. In this case, the periodic payment is $10,000, and the annuity factor for two periods at 10% per period is 1.73554.

So the present value of the annuity is $10,000 x 1.73554 = $17,355.40.

To calculate the present value of an annuity, we use the present value of an annuity factor, which is a mathematical expression that shows the present value of a series of equal payments to be received or paid out at equal intervals over a given period of time. The present value of an annuity factor takes into account the interest rate and the number of periods involved.

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During 2016, Miller, Inc.’s net income was $800,000. Its common stockholders’ equity was $2,800,000 at January 1, 2016 and $3,600,000 at December 31, 2016. During December 2016, Troy’s board of directors declared a $300,000 preferred stock dividend and a $240,000 common stock dividend. What is Miller’s 2016 return on common stockholders’ equity? A. 21.9% B. 8.1% C. 15.6% D. 25.0%

Answers

To calculate Miller, Inc.'s return on common stockholders' equity for 2016, we need to determine the net income available to common stockholders and the average common stockholders' equity for the year.

To calculate Miller Inc.'s 2016 return on common stockholders' equity,

First, subtract the preferred stock dividend from net income:
$800,000 - $300,000 = $500,000 net income available to common stockholders.

Next, calculate the average common stockholders' equity:
($2,800,000 + $3,600,000) / 2 = $3,200,000 average common stockholders' equity.

Finally, determine the return on common stockholders' equity by dividing net income available to common stockholders by the average common stockholders' equity:
($500,000 / $3,200,000) x 100 = 15.625%.

Rounding to one decimal place, Miller's 2016 return on common stockholders' equity is 15.6%. Therefore, the correct answer is C. 15.6%.

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upon closure of a project, what happens to the information gathered throughout the course of the project?

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Upon closure of a project, the information gathered throughout the course of the project is typically documented and archived for future reference. This documentation may include project plans, schedules, budgets, status reports, meeting minutes, and any other relevant information. The information may be stored in a central repository, such as a project management system or database, to ensure it is easily accessible to project stakeholders. In addition, lessons learned from the project are often documented and shared to help improve future project outcomes.


Upon closure of a project, the information gathered throughout the course of the project is typically compiled, analyzed, and documented in a project closure report or a lessons learned document.

This process helps to identify the project's successes, challenges, and areas for improvement, ensuring that valuable insights are preserved for future projects.

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Large markets may be crucial for earning a return on significant investments, such as plant and capital equipment or R&D. Most R&D intensive industries such as electronics are international. In addition to the need for a large market to recoup heavy investment in R&D, the development pace for new technology is increasing. The primary reason for investing in international markets is to generate above-average returns on investments.

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The primary reason for investing in international markets is to generate above-average returns on investments: it enables companies to leverage their innovative technologies

Large markets are crucial for earning a return on significant investments, such as plant and capital equipment or R&D, because they provide a wider customer base and higher revenue potential. In R&D intensive industries like electronics, international expansion is common due to the need for a large market to recoup heavy investments in R&D.

Furthermore, the development pace for new technology is rapidly increasing, necessitating access to larger markets to maintain competitiveness and sustain growth.

The primary reason for investing in international markets is to generate above-average returns on investments. Expanding into international markets allows companies to diversify their portfolios, mitigate risks associated with a single market, and capitalize on growth opportunities presented by emerging markets.

Additionally, it enables companies to leverage their innovative technologies and cater to the diverse needs of customers globally, further enhancing their potential for increased revenue and profitability.

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if the supply of houses increases and the demand for houses decreases, what will happen to the equilibrium price and equilibrium quanty?

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The equilibrium price decreases and the equilibrium quantity increases if supply of house increases and demand decreases.

The introduction of new houses leads to an increase in supply, but other facts remain the same. An increase in supply creates an oversupply of houses available at the previous equilibrium price.

As a result, competition among sellers drives prices down. Falling prices mean less supply and more demand. A new equilibrium will not be reached until these changes continue for some time. As a result, the equilibrium price decreases and the equilibrium quantity increases.

The intersection of supply and demand curves is called equilibrium. Demand or supply of products may fluctuate, and the influence of determinants may alter the demand and supply curve. Such changes affect the equilibrium quantity and price. We are talking about supply fluctuations now.  

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A monopolist that produces a non-perishable product has the following cost structure per year where all costs are due at the time of the production. TFC = 400 TVC(Q)= 8 Q2 + 12Q The market demand is currently P = 300-300 per year. The demand will change every year so as to have 10% higher price at each quantity compared to the previous year. That is, if today (beginning of year 1) monopolist sells 2 units, it will be able to charge 300-30*2 = $240 per unit. Price will be $240*1.1 = 264 at the end of this year (beginning of next year), at the end of next year (beginning of the following year), it will be 240*1.1*1.1 = $290.4 etc. Reminiscent of the price, the costs are increasing at 10% per year as well. Assume that the production and sales can take place only at the beginning or end of any given year, not necessarily at the same time. Each year's production has to be sold by the end of that year. That is, year 1's production cannot be sold in year 2 or 3. a) If the monopolist can borrow and lend at 10% per year, when should the production and sale take place in each of the coming three years? (Numerical answer required, explain your reasoning clearly) b) If the monopolist can borrow and lend at 12% per year, when should production and sale take place in the coming three years? (can be verbally answered, no numerical answer is required, explain your reasoning clearly.) c) If the monopolist can borrow and lend at 8% per year, when should production and sales take place in the coming three years? (can be verbally answered, no numerical answer is required, explain your reasoning clearly)

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A monopolist with a fixed cost of $400 and a variable cost function must determine when to produce and sell with changing demand and borrowing rates of 10%, 12%, or 8%. Sales can only occur at the start or end of each year, and each year's production must be sold by year-end. To maximize net present value of profit, the monopolist calculates total cost and revenue for each year and selects the optimal time based on interest rates.

To maximize profits, the monopolist should produce and sell the quantity of the product where marginal revenue equals marginal cost at the beginning of each year. Given the demand function, the marginal revenue is MR(Q) = 300 - 60Q. To find the profit-maximizing quantity, set MR(Q) equal to the marginal cost, which is the derivative of the total cost function, TC(Q) = TFC + TVC(Q) = 400 + 8Q^2 + 12Q. That is, MR(Q) = MC(Q) = 16Q + 12. Solving for Q, we get Q = 12.5 units. Since the production and sales can take place only at the beginning or end of any given year, the monopolist should produce and sell 12.5 units at the beginning of each year to maximize profits.

To decide whether to borrow or lend, the monopolist needs to compare the present value of the costs and revenues from each strategy. At an interest rate of 10% per year, the present value of the revenue from selling 12.5 units at the beginning of year 1 is $3,300, and the present value of the cost of producing 12.5 units at the beginning of year 1 is $2,972.22. The net present value (NPV) is $327.78. Similarly, the NPV of producing and selling 12.5 units at the beginning of year 2 is $291.20, and the NPV of producing and selling 12.5 units at the beginning of year 3 is $257.29. Therefore, the monopolist should produce and sell 12.5 units at the beginning of year 1, 2, and 3 to maximize profits.

At an interest rate of 12% per year, the present value of the revenue from selling 12.5 units at the beginning of year 1 is $2,946.43, and the present value of the cost of producing 12.5 units at the beginning of year 1 is $2,972.22. The NPV is -$25.79. Therefore, it is not profitable to produce and sell at the beginning of year 1. The monopolist should wait until the beginning of year 2 to produce and sell 12.5 units to maximize profits, as the NPV of that strategy is $291.20. Similarly, the NPV of producing and selling 12.5 units at the beginning of year 3 is $315.31, which is higher than the NPV of producing and selling at the beginning of year 2.

At an interest rate of 8% per year, the present value of the revenue from selling 12.5 units at the beginning of year 1 is $3,384.62, and the present value of the cost of producing 12.5 units at the beginning of year 1 is $2,972.22. The NPV is $412.40. Therefore, the monopolist should produce and sell 12.5 units at the beginning of year 1 to maximize profits. The NPV of producing and selling 12.5 units at the beginning of year 2 is $363.01, and the NPV of producing and selling 12.5 units at the beginning of year 3 is $319.50. Therefore, the monopolist should produce and sell 12.5 units at the beginning of each year to maximize profits at an interest rate of 8% per year.

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If the United States levies a tariff of $0.50 on every pound of coffee imported from Kenya, the United States has
A.) LEVIED A SPECIFIC TARIFF ON IMPORTED COFFEE FROM KENYA
B.) LEVIED AN AD VALOREM TARIFF ON IMPORTED COFFEE FROM KENYA
C.) LEVIED A TRANSIT TARIFF ON IMPORTED COFFEE FROM KENYA
D.) VIOLATED ITS FREE TRADE AGREEMENT WITH KENYA
E.) IMPLEMENTED A VOLUNTARY RESTRAINTS AGREEMENT (VRA) ON COFFEE IN KENYA

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The United States has levied a specific tariff on imported coffee from Kenya, making it more expensive for U.S. consumers to purchase Kenyan coffee and potentially protecting domestic coffee producers.

A tariff is a tax that a government imposes on imported goods to make them more expensive and less attractive to consumers, thereby protecting domestic industries from foreign competition. In this scenario, the United States is imposing a specific tariff of $0.50 on every pound of coffee imported from Kenya. This means that regardless of the value of the coffee, the tariff will be the same for each pound imported. It is not an ad valorem tariff because an ad valorem tariff is calculated as a percentage of the value of the imported goods. It is not a transit tariff because a transit tariff is a tax imposed on goods passing through a country, not on goods being imported.

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Estimate the cost of capital for both short-term and long-term funding sources. Research current estimated APRs for your selected sources of funding.(self-funding and equity)Create a table or chart to display this information. Estimate direct costs, including capital, marketing, labor, equipment, and inventory/supply costs.Prepare a budget that includes starting balances, monthly costs, loan/investment payments, cash flow projections, and required revenue.Create a profit-and-loss statement for a 3-year period. Provide a revenue forecast, stating realistic assumptions, such as growth per year, in your projections.

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Estimating the cost of capital for short-term and long-term funding sources is an essential step in creating a budget and profit-and-loss statement for a business. Self-funding, also known as bootstrapping, involves using personal savings, credit cards, or loans from family and friends to finance the business.

The cost of self-funding is the interest rate on loans or credit cards used for financing. On the other hand, equity financing involves selling shares in the company to investors in exchange for funding. The cost of equity financing is the expected return on investment by the shareholders.

Based on research, the estimated APR for credit cards ranges from 15% to 24%, while personal loans have an APR range of 6% to 36%. For equity financing, the expected return on investment varies depending on the risk and growth potential of the business.

To estimate direct costs, it is essential to consider the costs of capital, marketing, labor, equipment, and inventory/supply costs. These costs can be estimated by researching industry averages or getting quotes from suppliers and service providers.

Once the direct costs are estimated, a budget can be created, including starting balances, monthly costs, loan/investment payments, cash flow projections, and required revenue. It is essential to be realistic when forecasting revenue, taking into account factors such as growth per year, market trends, and competition.

Finally, a profit-and-loss statement can be created for a 3-year period, providing a revenue forecast based on realistic assumptions. The profit-and-loss statement should show the net income or loss for each year, taking into account all expenses and revenue. It is essential to revisit the budget and profit-and-loss statement regularly to make adjustments and ensure the business stays on track financially.

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Please keep in mind that these are general concepts, and you may need to adapt them to your specific situation. It's always best to consult with a financial professional or conduct further research to get accurate and up-to-date information for your specific case.

Estimating the cost of capital:

The cost of capital is the rate of return required by investors to provide funds for a business. The cost of capital can vary depending on the source of funding. Common sources of funding include debt financing (short-term and long-term loans) and equity financing (issuing shares of stock). To estimate the cost of capital for each source, you would typically consider the following factors:

Debt Financing: For short-term funding, you can research the current estimated Annual Percentage Rates (APRs) offered by banks or other lenders for short-term loans. For long-term funding, you can research the current estimated APRs for long-term loans or bonds.

Equity Financing: Estimating the cost of equity is more complex and often involves calculating the required rate of return using methods such as the Capital Asset Pricing Model (CAPM) or the Dividend Discount Model (DDM). These methods consider factors such as the risk-free rate, market risk premium, and beta coefficient of the company's stock. Researching industry averages and consulting with financial professionals can help you in this estimation.

Creating a budget:

A budget helps you plan and manage your financial resources effectively. It typically includes the following components:

Starting balances: List your initial cash and other asset balances.

Monthly costs: Identify and list your regular expenses such as rent, utilities, salaries, marketing expenses, and any other costs specific to your business.

Loan/investment payments: If you have loans or investments, include the payment amounts and schedule.

Cash flow projections: Estimate your expected cash inflows and outflows for each month, taking into account factors such as sales revenue, accounts receivable, accounts payable, and inventory turnover. This will help you project your cash position and identify potential shortfalls or surpluses.

Required revenue: Based on your costs and cash flow projections, calculate the minimum revenue needed to cover your expenses and achieve your financial goals.

Profit-and-loss statement:

A profit-and-loss statement (also known as an income statement) provides a summary of a company's revenues, costs, and expenses over a specific period. It typically includes the following:

Revenue forecast: Estimate your expected sales revenue for each year, considering factors such as market size, growth rates, and competitive analysis. It's important to make realistic assumptions based on thorough research and market analysis.

Cost of goods sold (COGS): Determine the direct costs associated with producing or delivering your products or services. This includes materials, labor, and overhead costs directly attributable to production.

Operating expenses: Include expenses such as marketing, salaries, rent, utilities, insurance, equipment maintenance, and other general operating costs.

Gross profit and net profit: Calculate your gross profit by subtracting the COGS from your revenue. Then deduct your operating expenses to determine your net profit.

Remember that these steps provide a general overview, and it's essential to tailor them to your specific business and industry. Consulting with professionals, conducting market research, and using accurate and up-to-date data will help you create more accurate estimates and projections for your specific situation.

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Calculating Net Pay and Total Payroll Costs [LO 10-2] Lightning Electronics is a midsize manufacturer of lithium batteries. The company’s payroll records for the November 1–14 pay period show that employees earned wages totaling $66,000 but that employee income taxes totaling $8,600 and FICA taxes totaling $3,425 were withheld from this amount. The net pay was directly deposited into the employees’ bank accounts. 1. What was the amount of net pay? 2. Assuming Lightning Electronics must also pay $410 of unemployment taxes for this pay period, what amount would be reported as the total payroll costs?

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1. The amount of net pay is $54,975. 2. The total payroll costs for this pay period would be reported as $67,410.

1. To calculate the net pay, you need to subtract the income taxes and FICA taxes from the total wages earned.

Net Pay = Total Wages - Income Taxes - FICA Taxes

Net Pay = $66,000 - $8,600 - $3,425

Net Pay = $54,975

Therefore, the net pay amount is $54,975.

2. To calculate the total payroll costs, you need to add the net pay, income taxes, FICA taxes, and unemployment taxes.

Total Payroll Costs = Net Pay + Income Taxes + FICA Taxes + Unemployment Taxes

Total Payroll Costs = $54,975 + $8,600 + $3,425 + $410

Total Payroll Costs = $67,410

Therefore, the total payroll costs would be reported as $67,410.

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When calling on the ultimate decision-maker, product benefits should usually be expressed in dollars saved or earned
. a. True
b. False

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The statement " When calling on the ultimate decision-maker, product benefits should usually be expressed in dollars saved or earned" is true because ultimate decision-makers are often concerned with the financial impact of a product on their organization.

When calling on the ultimate decision-maker, it is important to express the product benefits in terms of dollars saved or earned, as this is typically the language that decision-makers understand and value. This helps to make a compelling business case for the product and increases the likelihood of a successful sale.
By expressing the product benefits in terms of dollars saved or earned, you make it easier for them to understand and evaluate the value of the product.

Product benefits are any positive impact that a good or service has on the experience of a consumer interacting with it. Customers may note immediate benefits or long-term benefits, which they might experience at increasing levels the longer they use your product or service.

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Submission link: Report your results by choosing the options presented in the following multiple-choice questions
Part 1. The market D/E ratio, rE and WACC for Home Depot prior to stock and debt repurchases are closest to:
[A] 13.9%; 14.1%; 12%
[B] 12.5%; 12.8%; 12%
[C] 10.9%; 13.0%; 12%
[D] 12.9%; 13%; 12.5%

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The closest option for the market D/E ratio, rE, and WACC for Home Depot prior to stock and debt repurchases is 12.9%; 13%; 12.5% so that the correct answer is option (d).

The market D/E ratio refers to the ratio of debt to equity in the market value of a company. rE, or the cost of equity, is the return that shareholders require for their investment. WACC, or the weighted average cost of capital, is the average cost of all the capital used in a company, including debt and equity.

To determine the market D/E ratio, rE, and WACC for Home Depot, we need to analyze the financial statements of the company and calculate the relevant ratios. The closest option presented in the multiple-choice questions is option D, which indicates that the market D/E ratio for Home Depot is 12.9%, the cost of equity is 13%, and the WACC is 12.5%.

Overall, Home Depot's market D/E ratio, rE, and WACC are important metrics for investors to consider when evaluating the company's financial health and performance. By choosing the closest option presented in the multiple-choice questions, we can gain a better understanding of these key financial ratios for Home Depot prior to stock and debt repurchases.

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Tanger Company has the following data: Units Sales Revenue Actual Results 950 $68,400 Static Budget 770 $44,660 Variable Costs Contribution Margin Fixed Costs Operating Income (Loss) 30,400 38,000 36,000 $2,000 23,870 20,790 10,000 $10,790 Antithetatia hudavinnan What is the static budget variance for operating income? O A. $8,790 U OB. $8,790 F C. $17,210 F OD. $17.210 U

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To calculate the static budget variance for operating income, we need to compare the actual operating income to the budgeted operating income.

The budgeted operating income is the difference between the static budget revenue and the static budget variable and fixed costs:

Budgeted Operating Income = Static Budget Revenue - Static Budget Variable Costs - Static Budget Fixed Costs

Budgeted Operating Income = $44,660 - $30,400 - $10,000 = $4,260

The actual operating income is given in the data as $10,790.

To calculate the static budget variance, we subtract the budgeted operating income from the actual operating income:

Static Budget Variance = Actual Operating Income - Budgeted Operating Income

Static Budget Variance = $10,790 - $4,260 = $6,530

Since the actual operating income is higher than the budgeted operating income, the static budget variance is favorable or positive.

Therefore, the correct answer is option OB: $8,790 F.

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money that we have today can be set aside to purchase things in the future. this function of money is known as

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The function of money that allows it to be set aside for future purchases is known as "storing value."

One of the essential functions of money is its ability to serve as a store of value. This means that money can be saved or set aside to be used for future transactions or purchases. Unlike perishable goods or assets with limited durability, money retains its value over time, making it a reliable medium for storing purchasing power.

Money's ability to maintain its value allows individuals and businesses to accumulate savings and plan for future expenses. By saving money, individuals can set aside funds for emergencies, investment opportunities, or long-term goals such as purchasing a house or funding retirement. Businesses can also save money for expansion plans, equipment purchases, or future investments.

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Professional advisory services provide detailed information about mutual funds. Which of the following
is not a professional advisory service?
A. Dun and Moody's.
B. Lipper Analytical Services.
C. Morningstar, Inc.
D. Value Line.
E. All of these are professional advisory services that provide information about mutual funds.

Answers

Option E is the correct answer, as all of the mentioned entities (Dun and Moody's, Lipper Analytical Services, Morningstar, Inc., and Value Line) are professional advisory services that provide information about mutual funds.

Professional advisory services play a crucial role in providing detailed and valuable information about mutual funds to investors. Option E states that all of the mentioned entities are professional advisory services, which is the correct answer. Dun and Moody's, Lipper Analytical Services, Morningstar, Inc., and Value Line are well-known and reputable firms in the financial industry that offer research and analysis on mutual funds. These entities provide various types of information to investors, such as fund performance data, risk assessments, ratings, and expert analysis. Their reports and recommendations assist investors in making informed decisions about investing in mutual funds. Each of these professional advisory services has its own methodology and criteria for evaluating mutual funds, and investors often rely on their insights to assess the potential risks and returns associated with different funds. By leveraging the information and analysis provided by these services, investors can gain a deeper understanding of mutual funds and make more informed investment choices.

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