9) Which of the following is/are not a differing site condition?
Select all that apply
1) Unexpected minor price increase 2) Civil unrest 3) Normal, bad weather 4) Owner failure to get permit

Answers

Answer 1

The correct answer is Normal, bad weather.

A differing site condition refers to a condition that is either not indicated in the contract documents or differs from what was described in the contract documents. Site conditions that are encountered during the construction phase that are not consistent with what was expected during the bidding process may result in increased costs, time delays, or both. The correct answer is Normal, bad weather.

The following are the conditions that are regarded as differing site conditions: Subsurface or latent physical conditions at the construction site which differ significantly from what was indicated in the contract. Unknown physical conditions at the construction site that would have been impossible to anticipate through a standard visual inspection. The existence of unknown, built-in obstructions, such as abandoned pipes, foundations, or other obstructions, that were not documented in the contract documents.

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Related Questions

How does Michael Porter’s five forces competition model create a platform for achieving competitive advantage in the global market? Why is it necessary for some companies to change their strategic focus?

Answers

Michael Porter’s five forces competition model creates a platform for achieving competitive advantage in the global market by analyzing the competitive landscape of a specific industry. The model is used to identify the intensity of competition in an industry and the factors that can impact a company's profitability.

Porter’s Five Forces model comprises five different factors that help to determine the competitive intensity and the attractiveness of a market. These include the bargaining power of suppliers, the bargaining power of buyers, the threat of new entrants, the threat of substitute products, and the rivalry among existing competitors. By analyzing these forces, companies can gain a better understanding of the industry they operate in and develop strategies to gain a competitive advantage.For example, a company can use the Porter’s Five Forces model to assess the level of competition in the market and adjust its pricing strategy accordingly. It can also identify new opportunities in the market, such as developing a new product line or entering a new market segment. Moreover, by understanding the bargaining power of suppliers and buyers, companies can negotiate better deals, which can lead to cost savings and higher profitability.

In conclusion, the Porter’s Five Forces model creates a platform for achieving competitive advantage in the global market by providing a comprehensive framework for analyzing the competitive landscape of an industry. By understanding the intensity of competition and the factors that can impact profitability, companies can develop effective strategies to gain a competitive advantage. It is necessary for some companies to change their strategic focus because the competitive landscape of an industry can change rapidly due to various factors such as technological advancements, changing consumer preferences, and regulatory changes. Companies that fail to adapt to these changes risk losing their competitive edge and falling behind their competitors.

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What are the major provisions of the DMCA? What is plagiarism
and reverse engineering? Differentiate between them. When is it
okay to use each of them? kindly could you please explain each
question

Answers

The Digital Millennium Copyright Act (DMCA) is a copyright law in the United States that criminalizes the unauthorized access of copyrighted works. The provisions of the DMCA are as follows: The DMCA establishes a legal framework for the creation of digital copyright protection technologies.

The DMCA criminalizes the circumvention of these technologies.3. The DMCA provides a framework for service providers to respond to complaints of copyright infringement.4. The DMCA provides legal protection for service providers that comply with its notice and takedown provisions. Plagiarism is the act of using someone else's work and presenting it as one's own. It is a serious ethical and legal issue in academia and journalism, among other fields.Reverse engineering is the process of analyzing a product or system to understand how it works, often with the goal of creating a copy or improving it.

It is often used in engineering, software development, and product design. The main difference between plagiarism and reverse engineering is that plagiarism involves copying someone else's work without permission or attribution, while reverse engineering involves analyzing and understanding a product or system to create something new or to improve upon it.When it comes to plagiarism, it is never okay to use someone else's work without proper attribution and permission. It is always important to give credit where credit is due. Reverse engineering, on the other hand, can be okay in certain circumstances, such as when creating a new product that is based on an existing one or when improving upon an existing system.

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In the 1970s when the Bank of England used monetary policy to trade off higher inflation for lower unemployment what happened? Unemployment was kept low and steady There was low inflation and low unemployment There was high unemployment and high inflation Inflation declined but unemployment stayed high For the Fed to reduce the money supply using open market operations it should... Increase the money supply. Lower the minimum reserve requirement. Buy treasury bills from banks. Sell treasury bills to banks. Which of the following is not a result of expansionary Open Market Operations? Increase in the money supply. Less investment spending. Banks make more loans. Decrease in the federal funds rate.

Answers

In the 1970s when the Bank of England used monetary policy to trade off higher inflation for lower unemployment, there was high unemployment and high inflation.

Therefore, inflation rose rather than declined but unemployment stayed high. For the Fed to reduce the money supply using open market operations, it should sell treasury bills to banks. This is because selling treasury bills to banks will decrease the amount of money in circulation, which will lead to a reduction in the money supply.

Therefore, the correct option is Sell treasury bills to banks. A decrease in the federal funds rate is not a result of expansionary Open Market Operations. This is because the federal funds rate is the rate at which banks lend to each other overnight. When the Fed buys securities, it increases the amount of reserves in the banking system, leading to a decrease in the federal funds rate. Therefore, the correct option is Decrease in the federal funds rate.

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true of false, the best leaders focus on a transformational leadership style.

Answers

The statement that best leaders focus on a transformational leadership style is debatable. Therefore, the answer is neither true nor false.

What is Transformational leadership style?

Transformational leadership style is a leadership style that focuses on inspiring and motivating individuals to achieve their goals beyond their expectations and abilities. The leaders often model high ethical and moral behavior, promote creativity and innovation, and encourage individual development. A transformational leader creates a vision that they encourage others to follow, focusing on a shared purpose that benefits the organization and the people.

What are the other leadership styles?

Authoritarian or Autocratic Leadership Style: The leader has complete control over the team or organization. The leader makes all decisions and directs the team to perform specific tasks without their input. Laissez-faire Leadership Style: Leaders allow the team or employees to operate independently and are hands-off. They give the employees a lot of autonomy to make decisions. Democratic Leadership Style: The leader encourages team members to participate in the decision-making process. They take everyone’s opinions and ideas into consideration before making decisions and coming up with solutions.

Transactional Leadership Style: Leaders are focused on setting goals and objectives and ensuring their team members achieve them. They use a reward system for motivation and give out consequences for poor performance.ConclusionIn conclusion, the best leadership style depends on the organization and the individuals involved. Therefore, there is no one-size-fits-all answer to the question of whether the best leaders focus on a transformational leadership style. However, the transformational leadership style is an effective leadership style that many leaders use.

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(Loss on issue of debentures: Fixed instalment method) X Ltd. issues $. 10,000 9% Debentures at par repayable at the end of four years at 10% premium. Show the Loss on Issue of Debentures Account in the ledger for the period.

Answers

Loss on issue of debentures: Fixed installment method refers to an accounting technique that results in the creation of a reserve account that can be used to record the loss resulting from the difference between the sale price of debentures and their face value..

This method is used by companies that need to issue debentures in order to raise capital and are required to comply with accounting regulations that require the recognition of the loss resulting from the sale of the debentures.The following journal entry can be used to record the issue of debentures:DebitCash Account10,000CreditDebenture Account10,000The next step is to calculate the total amount of loss that is incurred by the company as a result of the issue of debentures.

The loss is calculated by taking the difference between the sale price of the debentures and their face value.Loss = Sale Price - Face ValueThe face value of the debentures is $10,000 and the sale price is $11,000 (which is the face value plus the 10% premium). Therefore, the loss is $1,000.The journal entry to record the loss on the issue of debentures account is as follows:DebitLoss on Issue of Debentures Account1,000CreditDebenture Account1,000The above entry will be made in the books of accounts for the period to show the Loss on Issue of Debentures Account in the ledger for the period. The loss is created due to the difference between the face value of the debentures and their sale price, which is recorded as a reserve account that can be used to cover the loss if required. This method is preferred by companies that need to comply with accounting regulations that require the recognition of the loss resulting from the sale of the debentures.

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Frontier Corp. has a contribution margin of $2,312,000 and profit of $462,400. What is its degree of operating leverage? Multiple Choice O 0.20 5.80 14.50 5.00 Frontier Corp. has a contribution margin of $578,000 and profit of $115,600. If sales increase 20%, by how much will profits increase? Multiple Choice O 20.00% 50.00% 100.00% 150.00% Graham Corp, sells two products Product A sells for $200 per unit, and has unit variable costs of $150. Product B sells for $50 per unit, and has unit variable costs of $20. Currently, Graham sells three units of Product B for every two units of Product A sold. Graham has fixed costs of $760,000. How many units would Graham have to sell to earn a profit of $57,000? Multiple Choice 21,500 units of A and 21.500 units of B 12.900 units of A and 8,600 units of B 8.600 units of A and 12,900 units of 10.750 units of A and 10790 units of

Answers

Frontier Corp has a contribution margin of [tex]$2,312,000[/tex] and profit of [tex]$462,400[/tex]. The degree of operating leverage of Frontier Corp.  

we get:[tex]DOL = ($2,312,000/$462,400) / $2,312,000DOL = 5.00\\[/tex] Frontier Corp's degree of operating leverage is [tex]5.00[/tex].

Contribution Margin Ratio = [tex](Contribution Margin / Sales) * 100%\\[/tex]the

Contribution Margin Ratio is:[tex]DOL = ($578,000/$115,600) * 100%DOL = 500%[/tex]If sales increase by 20%,

the new sales revenue will be:[tex]$578,000 * 1.20 = $693,600[/tex]

the new profit level will be:[tex]$693,600 * 500% = $3,468,000[/tex] profits will increase by [tex]$3,468,000 - $578,000 = $2,890,000[/tex].

If the company sells 2 units of A,

the total contribution will be [tex]2 * $50 = $100[/tex].If the company sells 3 units of B, the total contribution will be [tex]3 * $30 = $90[/tex].

The contribution margin ratio for A is [tex]25% ($50/$200)[/tex] and the contribution margin ratio for B is [tex]60% ($30/$50)[/tex].

the fixed costs of [tex]$760,000$145X - $760,000 = $57,000$145X = $817,000X = 5,634[/tex] units of A.

To find the units of B to be sold, use the ratio 3/2 units of B sold for every unit of A sold.

5,634 units of [tex]A / 2 = 2,817 units of B3 * 2,817 = 8,451[/tex] units of B Graham Corp would have to sell 5,634 units of A and 8,451 units of B to earn a profit of [tex]$57,000[/tex] is 8.600 units of A and 12,900 units of B.

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The following data was given for Cathy's Cakes: Sales $4,000 Operating Expenses $600. Sales Returns & Allowances $200. Sales Discounts $400 Compute Gross Profit: Beginning Inventory $1,500 Purchase $1,000 Ending Inventory $500

Answers

The gross profit for Cathy's Cakes is $1,400.

Given data for Cathy's Cakes are as follows:

Sales = $4,000Operating Expenses = $600Sales Returns & Allowances = $200Sales Discounts = $400

Beginning Inventory = $1,500Purchase = $1,000

Ending Inventory = $500Gross profit can be calculated using the formula:

Gross Profit = Sales - (COGS + Operating Expenses)

where COGS = Cost of Goods Sold COGS can be calculated using the formula:

COGS = Beginning Inventory + Purchases - Ending Inventory

Thus, substituting the given values, we getCOGS = $1,500 + $1,000 - $500 = $2,000

Now, substituting the values of sales, operating expenses, and COGS, we get

Gross Profit = $4,000 - ($2,000 + $600) = $1,400

Therefore, the gross profit for Cathy's Cakes is $1,400.

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Due to the severity of COVID 19 on households, the government of Australia announced Job Keeper Allowances to be given to the labour force that had lost employment. a. Examine the impact of Job Keeper Allowances during the COVID 19 recession on Australia's economy

Answers

The Job Keeper Allowances implemented by the government of Australia during the COVID-19 recession had a significant impact on the country's economy.

The Job Keeper Allowances played a crucial role in providing support to the labor force that had lost employment due to the pandemic. By providing financial assistance to affected individuals, the government aimed to mitigate the economic impact of the recession and prevent a more severe downturn.

During the COVID-19 recession, many businesses faced closures and layoffs, leading to a sharp increase in unemployment rates. The Job Keeper Allowances helped to stabilize household incomes and maintain consumer spending to some extent. This financial support provided a lifeline for individuals and their families, reducing the adverse effects of unemployment on their well-being and living standards. It also helped to prevent a larger decline in aggregate demand, supporting businesses and preventing a more severe contraction in economic activity. By supporting the labor force and maintaining household incomes, the Job Keeper Allowances played a crucial role in cushioning the negative impact of the recession and aiding the overall recovery process.

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A product requires 14 hours to complete the first unit.
Managerial experience has estimated the learning rate at 75%. How
much cumulative average time should be required to produce the
fifth item?
a.

Answers

The cumulative average time that would be required to produce the fifth item is 8.09 hours.

The cumulative average time that would be required to produce the fifth item can be calculated as follows:

Given,

Time required to complete the first unit = 14 hours.

Let x be the time required to complete the fifth unit.

Using the concept of the learning curve formula, we have,T2 = aT1b

Where,T1 = Time required to complete the first unit

T2 = Time required to complete the later unit

a = Time required to complete the first unit when the cumulative production doubles

b = Logarithm of the learning curve factor/ Logarithm of 2i.e., b = log (1/Learning rate) / log (2)

Substituting the given values, we get,

T5 = T1(5/1)bT5 = 14(5/1)-0.386 = 8.09 hours

Therefore, the cumulative average time required to produce the fifth item is 8.09 hours.

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Instructions: Based on the questions you are about to read, answer each of the questions found below. Background and Context: You are a general manager of a 5-star 350 room hotel. The downtown hotel offers. • 2 restaurants (1 snack bar, 1 fine dining), • underground pay parking, • Dance club, .conference center Ownership has decided to invest in one of the most utilized systems in the industry. They have left you in charge of researching and gathering the following intel. Your Objective is to provide information on the Opera PMS software and utilisation in relation to the 5-star hotel. They await a PowerPoint Présentation no longer than 5 slides adressing the following key points. (with cover page 6 slides) 1. PLATFORM FEATURES 2. KEY CAPABILITIES 3. PMS TOOLS 4. ADVANTAGES 5. DISADVANTAGES

Answers

Based on the questions you are about to read, answer each of the questions found below are as follows :

[Cover Page]

Slide 1: Introduction

Briefly introduce the topic: Research on Opera PMS software for a 5-star hotel.Mention the objective of the presentation: To provide information on Opera PMS software and its utilization in a 5-star hotel.

Slide 2: Platform Features

Highlight the key features of Opera PMS software:Centralized reservation managementRoom inventory and availability trackingGuest profile and preferences managementFront desk operations and check-in/check-out processesBilling and invoicing capabilitiesReporting and analytics tools

Slide 3: Key Capabilities

Discuss the important capabilities of Opera PMS software:Integration with other hotel systems (e.g., POS, housekeeping)Channel management for online distributionGroup and event managementYield management and pricing optimizationMobile accessibility for staff and guestsMulti-language and multi-currency support

Slide 4: PMS Tools

Present specific tools and functionalities offered by Opera PMS software:Reservation management: Booking engine, online and offline reservationsHousekeeping management: Room status updates, cleaning schedulesRevenue management: Rate management, forecasting, and analysisGuest communication: Automated messaging, personalized offersReporting and analytics: Performance metrics, occupancy rates, revenue analysis

Slide 5: Advantages and Disadvantages

Summarize the advantages of using Opera PMS software:

Streamlined operations and improved efficiencyEnhanced guest experience through personalized serviceIntegration with other hotel systems for seamless workflowComprehensive reporting and analytics for data-driven decision-making

Discuss the potential disadvantages of Opera PMS software:

Initial setup and training costsTechnical issues and system downtimeDependency on technology and potential cybersecurity risks

[Conclusion]

Slide 6: Conclusion

Recap the key points discussed in the presentation: platform features, key capabilities, PMS tools, advantages, and disadvantages of Opera PMS software.Emphasize the relevance and potential benefits of implementing Opera PMS in a 5-star hotel setting.Conclude by highlighting the importance of thorough evaluation and consideration of the specific needs and requirements of the hotel before making a decision.

Note: The content and structure of the presentation may vary based on the specific details and preferences of the hotel and the audience. It's important to gather more information and tailor the presentation accordingly.

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While studying for test block, Alex is looking for a healthy lunch option to stay fueled up during long library revision sessions.
Over the last month Alex has reduced his work roster hours to focus on study, and as a result has a much lower income paycheck for eating out.
In the UQ food court, the Sumo Salad meal deals are very expensive. A junk food burger and chips option is very affordable, but is also very unhealthy.
Discuss how these offerings are energising an avoidance/avoidance conflict.

Answers

The food options available to Alex present an avoidance/avoidance conflict in terms of staying energized and making healthy choices. The Sumo Salad meal deals offer a healthy lunch option but are expensive, while the junk food burger and chips option is affordable but unhealthy. This conflict arises from the desire to stay fueled up during study sessions while also considering the financial constraints.

The avoidance/avoidance conflict arises for Alex because both options have undesirable aspects. On one hand, the Sumo Salad meal deals offer a healthy lunch that can provide the necessary nutrients and energy for long study sessions. However, the high cost of these meal deals poses a financial burden for Alex, especially since they have reduced their work roster hours and have a lower income.

On the other hand, the junk food burger and chips option is affordable, fitting within Alex's limited budget. However, this option is unhealthy and may not provide the necessary nutrients for sustained energy during study sessions. Alex may want to avoid consuming unhealthy food but is also motivated to avoid spending more money on expensive meal options.

This conflict between choosing a healthy but expensive option and an affordable but unhealthy option can create a dilemma for Alex. They need to prioritize between their health and budget constraints, weighing the importance of staying energized during study sessions against the financial impact of their meal choice.

In conclusion, the offerings of expensive but healthy options and affordable but unhealthy options create an avoidance/avoidance conflict for Alex. They must navigate between their desire for a healthy lunch to stay fueled up and their need to manage their limited income during the study period.

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In order to check on the correctness of various operating expenses in a division, Miss Lily, the internal auditor of Ali Co., plans to use the analytical review. This technique would be a preferred approach if:
I. The auditor wants to look for large, unusual, or non-recurring transactions during the year.
II. The company’s operation has remained relatively stable over the past year.
III. The auditor notes strong indicators of a specific fraud involving this account.
IV. The operating expenses vary with other operating expenses but not with revenue.
A All of the above
B I,II AND IV
C I AND IV
D II, III AND IV

Answers

The preferred approach to use analytical review technique to check the correctness of various operating expenses in a division is if the auditor wants to look for large, unusual, or non-recurring transactions during the year.

the correct answer is C) I and IV.

the operating expenses vary with other operating expenses but not with revenue. Therefore, the correct answer is C) I and IV.What is Analytical Review?Analytical Review is a process that auditors use to compare the financial information provided in the financial statements with non-financial data, including industry information and the information generated by the company's operations. The objective is to determine the accuracy of financial information that has been reported and to find any anomalies that may require further investigation.

Analytical Review is a technique that auditors use in order to check on the correctness of various operating expenses in a division. The analytical review technique is the preferred approach for checking the correctness of operating expenses if the auditor wants to look for large, unusual, or non-recurring transactions during the year. Additionally, the operating expenses vary with other operating expenses but not with revenue, this would also be an ideal scenario to use the analytical review technique.

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An ordinary share has just paid a dividend of N$ 4 and it has a required return of 11%. Dividends are expected to grow at 6% per annum. What price would you be willing to pay for this share?

Answers

You would be willing to pay N$ 80 for this share based on the given information and the dividend discount model.

To determine the price you would be willing to pay for the share, we can use the dividend discount model (DDM). The DDM calculates the present value of future dividends to determine the intrinsic value of a share.

The formula for the DDM is:

P = D / (r - g),

where:

P = Price of the share,

D = Dividend just paid,

r = Required return, and

g = Dividend growth rate.

In this case, the dividend just paid is N$ 4, the required return is 11%, and the dividend growth rate is 6%.

Plugging in the values into the formula:

P = 4 / (0.11 - 0.06) = 4 / 0.05 = N$ 80.

Therefore, you would be willing to pay N$ 80 for this share based on the given information and the dividend discount model.

It's important to note that the calculated price represents the intrinsic value of the share based on the assumptions made. Market prices may deviate from the intrinsic value due to various factors such as market sentiment and other market participants' expectations.

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5.50% For 92 Days From A Multinational Company. With 61 Remaining Days To Maturity, Bank AB Sells The Deposit To Bank AA At 8.75%. Calculate The Secondary Price Of The Certificate Of Deposit. Use 360 Days Per Year.
Bank AB accepts a spot deposit for Php 1,000,000.00 at 5.50% for 92 days from a multinational company. With 61 remaining days to maturity, Bank AB sells the deposit to Bank AA at 8.75%. Calculate the secondary price of the certificate of deposit. Use 360 days per year.

Answers

Bank AB initially accepts a spot deposit of Php 1,000,000.00 from a multinational company at an interest rate of 5.50% for 92 days. The secondary price of the certificate of deposit is Php 1,015,347.22

To calculate the secondary price of the certificate of deposit, we need to consider the time remaining until maturity and the interest rates involved.

First, we calculate the interest earned by Bank AB during the initial holding period of 92 days:

Interest Earned by Bank AB = Principal * Interest Rate * Time

= Php 1,000,000.00 * 5.50% * (92/360)

= Php 14,444.44

Next, we determine the remaining interest to be earned during the remaining 61 days until maturity:

Remaining Interest = Principal * Interest Rate * Time

= Php 1,000,000.00 * 8.75% * (61/360)

= Php 15,347.22

The secondary price of the certificate of deposit is the sum of the remaining interest and the initial principal:

Secondary Price = Principal + Remaining Interest

= Php 1,000,000.00 + Php 15,347.22

= Php 1,015,347.22

Therefore, the secondary price of the certificate of deposit is Php 1,015,347.22.

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This is a consumer behavior question

You are what you buy
explain this statement in details

Answers

The statement "You are what you buy" suggests that a person's purchases reflect their values, preferences, and identity. It implies that consumer behavior and purchase choices can be indicative of an individual's personality, lifestyle, and aspirations.

The statement "You are what you buy" highlights the idea that consumer behavior is influenced by personal values, desires, and self-expression. What people choose to buy reflects their preferences, interests, and lifestyle. For example, someone who frequently purchases organic and sustainable products may prioritize health and environmental consciousness. On the other hand, a person who consistently buys luxury brands may seek status and exclusivity.

Consumer behavior is also shaped by the desire to construct and communicate one's identity. People often use products and brands to express who they are and how they want to be perceived by others. By purchasing items that align with their self-image and aspirations, individuals can reinforce their sense of identity and belonging.

However, it's important to note that consumer behavior is complex and influenced by various factors beyond personal identity. Social, cultural, economic, and situational factors all play a role in shaping purchase decisions. While consumer choices can provide insights into an individual's values and preferences, it's essential to consider a broader range of influences to fully understand consumer behavior and its implications.

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Understand WIP, FG, MOH, etc. Answer the following questions: 1. At August 31, Work-in-Process totals $10,000 including $6,000 of Manufacturing Overhead. Manufacturing Overhead is applied at the rate of 200% of Direct Labor. How much direct material is included in Work-in-Process at August 31? 2. . You know the following Information: Cost of Goods Manufactured = $320,000 DM Used in Production = $73,800 Manufacturing Overhead is 70% of Direct Labor Cost Work-in-Process, Beginning = $109,300 Work-in-process, Ending = $104,300 What was total Direct Labor?

Answers

Manufacturing Overhead = 70% of Direct Labor Cost0.7 DL = MOHDL = MOH / 0.7 = 315000/0.7 = $450,000 Therefore, total Direct Labor = $450,000.

1. Given, Work-in-Process totals $10,000 including $6,000 of Manufacturing Overhead. Manufacturing Overhead is applied at the rate of 200% of Direct Labor.Therefore, Direct Labor cost= Manufacturing Overhead *100/200 = 6000*100/200 = $3,000.

On August 31, Work-in-Process totals $10,000. Let direct materials included in WIP on August 31 be DM.Direct Materials + Direct Labor + Manufacturing Overhead = Total Manufacturing CostsDM + 3000 + 6000 = 10000DM = 10000 - 3000 - 6000 = $1,000. Direct material included in Work-in-Process on August 31 is $1,000.2. Given:

Cost of Goods Manufactured = $320,000DM Used in Production = $73,800Manufacturing Overhead is 70% of Direct Labor CostWork-in-Process, Beginning = $109,300Work-in-process, Ending = $104,300We know that,

Direct Materials + Direct Labor + Manufacturing Overhead = Total Manufacturing CostsDirect materials used in production= DM used + Beginning WIP - Ending WIPDirect materials used in production

= 73,800 + 109,300 - 104,300 = $78,800

Total Manufacturing Cost = Cost of Goods Manufactured + Ending WIP - Beginning WIP

320,000 + 104,300 - 109,300 = $315,000

Manufacturing Overhead is 70% of Direct Labor Cost,

So, Manufacturing Overhead = 70% of Direct Labor Cost0.7 DL = MOHDL = MOH / 0.7 = 315000/0.7 = $450,000Therefore, total Direct Labor = $450,000.

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Ability includes which of the following? Select one a Intensity and learned capabilities O b. Persistence and direction O c Natural aptitude and intensity Od Direction and intensity O e. Aptitudes and learned skills The purpose behind a rite of passage is to motivate commitment to company's norms and values Select one O True O False The purpose behind a rite of passage is to motivate commitment to company's norms and values Select one True False

Answers

Ability includes intensity and learned capabilities. Intensity can be defined as the ability to work harder, stay focused, and perform better over a longer period of time.

The learned capabilities are the skills and knowledge that an individual has gained over time through training, education, or experience. A rite of passage is a cultural or ceremonial event that marks the transition from one stage of life to another, such as adolescence to adulthood. The purpose behind a rite of passage is to motivate commitment to the company norms and values is False. The primary goal behind a rite of passage is to recognize an individual's transition to a new stage in life. It is not necessarily intended to motivate individuals to follow the company's norms and values.

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We reconsider the exchange economy from question 3 in Homework 5 to explore the possibility of price manipulation. Bruce and Sheila both consume the same goods (shrimp and Fosters) in a pure exchange economy. Bruce is originally endowed with 4 units of good 1 (shrimp) and 6 units of good 2 (Fosters). (As usual, think of both shrimp and Fosters as being infinitely divisible.) Sheila is originally endowed with 8 shrimp and 4 Fosters. They both have the utility function U (x₁, x₂) = x₁x₂. Let shrimp be the numeraire, so that p₁ = 1. (a) Suppose the Walrasian auctioneer knows the utility functions of Bruce and Sheila, and cal- culates the equilibrium price on the basis of reported endowments. Suppose Bruce and Sheila honestly report their endowments to the Walrasian auctioneer. What price p2 will the auctioneer announce? Which consumer buys shrimp and which consumer sells shrimp (and how much)? [Hint: This is easy, and is just to get us started. If it is relevant, you may use the information from the solution to Homework 5.] (b) Suppose Sheila contemplates under-reporting her endowment of shrimp. What would be the resulting announcement of p2 by the auctioneer if Sheila were to report an endowment of 6 shrimp and 4 Fosters? (c) Suppose that Sheila must buy and sell the quantities implied by her endowment report. What will be her trades and final consumption of shrimp and Fosters when she reports an endowment of 6 shrimp and 4 Fosters? Which does Sheila prefer and why: reporting truth- fully or under-reporting shrimp? (d) Suppose (just for this part) that Sheila does not need to buy and sell the quantities implied by her endowment report. Is it consistent with market clearing for Sheila to still believe that she can buy and sell as much as she would like at the announced prices? (e) Now consider the n-fold replica economy. In this economy, there are n clones of Bruce (with identical endowments and preferences), and n clones of Sheila (with identical endowments and preferences). Suppose all clones of Bruce and all clones of Sheila report their endow- ments truthfully. What price p₂ does the auctioneer announce? (f) Continuing with our analysis of the n-fold replica economy, suppose now that one clone of Sheila reports an endowment of 6 shrimp and 4 Fosters, while all other consumers an- nounce truthfully. What is the resulting announcement of p₂ by the auctioneer? What hap- pens to this announcement as n gets arbitrarily large?

Answers

This question explores the concept of price manipulation in a pure exchange economy involving two individuals, Bruce and Sheila. They have different initial endowments of goods (shrimp and Fosters) and utility functions.

(a) In the initial scenario with honest reporting, the auctioneer determines the equilibrium price based on reported endowments. Given Bruce and Sheila's utility functions and reported endowments, the auctioneer announces the price of p2, while Bruce sells 2 units of shrimp and Sheila buys 2 units.

(b) If Sheila under-reports her shrimp endowment to 6 units and 4 Fosters, the auctioneer's announced price of p2 will change.

(c) When Sheila reports an endowment of 6 shrimp and 4 Fosters, she must trade accordingly. Her trades and final consumption depend on the announced prices. Sheila's preference between truthfully reporting or under-reporting her shrimp endowment is influenced by the resulting trades and consumption.

(d) If Sheila does not need to trade the reported quantities, it is not consistent with market clearing for her to believe she can buy and sell as much as she would like at the announced prices. This scenario implies a mismatch between reported quantities and actual trades.

(e) In the n-fold replica economy, where multiple clones of Bruce and Sheila truthfully report their endowments, the auctioneer announces a price of p2 based on the reported quantities.

(f) When one clone of Sheila under-reports her shrimp endowment while others report truthfully, the auctioneer's announced price changes. As n, the number of clones, increases arbitrarily, the announcement of p2 also varies.

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Swedish Cruise Lines (SCL), which operates in a very competitive marketplace, is considering four categories of performance measures: (1) profitability measures, (2) customer-satisfaction measures, (3) efficiency and quality measures, and (4) innovation measures. The company assigns one manager to each ship in its fleet to oversee the ship's general operations. If SCL desired to adopt a balanced-scorecard approach, which measures should the firm use in the evaluation of its managers? a.1.2 b.1, 2, 3. c. 1, 2, 4. d. 1, 2, 3, 4.

Answers

The correct answer is: c. 1, 2, 4.

The balanced scorecard approach aims to provide a comprehensive evaluation of an organization's performance by considering multiple dimensions beyond just financial measures. Swedish Cruise Lines (SCL) is considering four categories of performance measures: profitability, customer satisfaction, efficiency and quality, and innovation.

Profitability measures: Profitability is a fundamental aspect of evaluating the success of any business. It assesses the company's ability to generate profits and achieve financial goals. Profitability measures could include metrics such as revenue, net income, return on investment (ROI), or earnings per share (EPS). Evaluating profitability helps determine the financial viability and effectiveness of the managers in generating profits for their respective ships.

Customer-satisfaction measures: Customer satisfaction is crucial for any service-based industry, including cruise lines. Measures in this category assess the level of satisfaction and loyalty among customers. Customer-satisfaction measures could include metrics such as customer surveys, feedback ratings, customer retention rates, or customer complaints. Evaluating customer satisfaction helps determine the managers' ability to deliver a positive experience and meet customer expectations.

Innovation measures: Innovation is essential for staying competitive in a dynamic marketplace. Measures in this category assess the managers' ability to drive innovation and implement new ideas or initiatives. Innovation measures could include metrics such as the number of new services or experiences introduced, successful implementation of cost-saving initiatives, or the ability to adapt to changing customer preferences. Evaluating innovation helps determine the managers' contribution to the company's long-term success and their ability to adapt to market trends.

By considering profitability measures, customer-satisfaction measures, and innovation measures, SCL can evaluate its managers comprehensively. These measures provide a balanced view of the managers' performance, considering financial success, customer satisfaction, and the ability to drive innovation. Therefore, the correct answer is c. 1, 2, 4.

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Imagine the U.S. government and society in the year 2025. What structural and policy changes would you like to see? Please refer to at least two structural changes discussed this semester. For example, would you expand the number of justices on the Supreme Court? Would you eliminate the filibuster, gerrymandering, or the Electoral College? Would you change the way campaigns are financed? What are the obstacles to getting the changes you would like to see? What can we do, individually and collectively, to overcome these obstacles?

Answers

It is believed that democracy is a constant movement towards progress. However, democracy must also remain relevant. If the U.S. government and society are to stay in step with the times, some structural and policy changes would be necessary.

The following structural and policy changes could be made in the year 2025:
Abolishing the Electoral College:It is no longer a democratic system that ensures that the candidate with the most votes wins the presidential election. Instead, the Electoral College favours less-populated states over more populous ones. It is quite evident that most American citizens want the elimination of the Electoral College, and it's time that this is done. By doing this, democracy will be strengthened and given back to the people, and it will ensure that the winner of the presidential elections is decided based on the majority of American citizens rather than an outdated system that gives more power to fewer people.
Increasing the number of Justices on the Supreme Court:The American Supreme Court is a political institution, and adding justices to the Supreme Court would make it more politically representative. By increasing the number of justices, it will ensure that there are more perspectives and opinions represented in the court's decision-making process. By doing this, the Supreme Court will be a fair and balanced institution that represents the values and beliefs of the majority of the American population.
Obstacles to getting the changes: The greatest obstacle to getting the changes is that they are not easy to implement. The United States has a vast bureaucracy, and there are many entrenched interests that are opposed to change. There are many entrenched interests that want to keep the status quo and prevent any change from happening.
What we can do: Individually and collectively, we must use our voices and engage in political activism to push for these changes. We must also educate ourselves on the issues and understand the potential benefits of these changes.
Finally, we must hold our elected officials accountable and demand that they act in the best interests of the American people. If we can do these things, we can ensure that the structural and policy changes that we want to see in the United States will become a reality.

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Which customization could be done to the vendor contact list to help identify duplicates?

Group by phone; add column for zip
Group by phone; add column for phone
Group by city; add column for last name
Group by zip; add column for phone

Answers

The customization that could be done to help identify duplicates in the vendor contact list is to group by phone and add a column for phone.

Group by phone; add column for phone

By grouping the contacts based on phone numbers and adding a column for phone, you can easily identify duplicate vendor contacts with the same phone number. This customization allows you to quickly spot any duplicates and take necessary actions to resolve them.

The other options mentioned do not directly address the identification of duplicates:

Grouping by phone and adding a column for zip would not specifically help identify duplicates since multiple vendors can have the same phone number but different zip codes.

Grouping by city and adding a column for last name would help in organizing the list based on city and displaying last names, but it may not be effective for identifying duplicates as vendors in the same city can have different last names.

Grouping by zip and adding a column for phone would help in organizing the list based on zip codes and displaying phone numbers, but it may not be effective for identifying duplicates as vendors in the same zip code can have different phone numbers.

Therefore, the customization that could be done to help identify duplicates in the vendor contact list is to group by phone and add a column for phone.

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Net income is $50,000. Average assets are $1,000,000. Average owners' equity is $800,000. Solve for return on assets. Answer: I

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The return on assets (ROA) can be calculated using the formula: ROA = Net Income / Average Total Assets. With a net income of $50,000 and average assets of $1,000,000, we can solve for the return on assets.

Return on assets (ROA) is a financial ratio that measures a company's profitability in relation to its total assets. It indicates how effectively a company generates profits from its investments in assets. To calculate ROA, we divide the net income by the average total assets.

In this case, with a net income of $50,000 and average assets of $1,000,000, the calculation would be: ROA = $50,000 / $1,000,000 = 0.05 or 5%. Therefore, the return on assets for this company is 5%. This means that for every dollar of assets, the company generates 5 cents of net income.

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One-Worksheet Conversion€"Governmental Activities€"Appendix
Soucy Township
Total Governmental Funds
Preclosing Trial Balance
December 31, 20X7
Soucy Township
Governmental Funds
Operating Statement Conversion Worksheet
For the Year Ended December 31, 20X7
Governmental
Governmental General Other Changes, Activities
Funds General Long-Term Deferred Outflows/Inflows Column—
Operating Capital Assets Liabilities of Resources, Statement of
Statement Changes Changes and Interfund Items Activities
Revenues:
Taxes $ 4,500,000
Licenses and Permits 68,000
Fines and Forfeitures 17,000
Investment Income 100,000
Intergovernmental-Operating Grants 20,000
Expenditures / Expenses:
Current/Operating
General Government 495,000
Public Safety 1,500,000
Highways and Streets 1,700,000
Health and Sanitation 1,300,000
Capital Outlay
Equipment 750,000
Debt Service
Principal Retirement 100,000
Interest 150,000
Other Financing Sources (Uses):
Transfers from General Fund 111,000
Transfers to Capital Projects Funds (35,000)
Transfers to Debt Service Funds (76,000)
Transfers to Enterprise Funds (70,000)
Change in Fund Balances / Net Position $ (1,360,000) $ - $ - $ - $ -
Adjustments Legend:
(1a) Eliminate capital outlay expenditures
(1b) Add depreciation expense
(2b) Eliminate expenditures for bond retirement
(2c) Convert interest expenditures to expenses:
• Deduct decrease in accrued interest payable
(4) Convert modified accrual revenues to accrual
basis revenues
(6a) Eliminate governmental interfund transfers
Note: Adjustment numbers correspond to
adjustment numbers in Illustrations 14-11 on page 568.

Answers

Soucy Township Governmental Funds Operating Statement Conversion Worksheet For the Year Ended December 31, 20X7Governmental Activities.

Other Changes, Operating General Long-Term Deferred Outflows/Inflows Column—Statement of Changes Capital Assets Liabilities of Resources, Statement of and InterfundItems Activities Revenues :Eliminate capital outlay expenditures to convert modified accrual revenues to accrual basis revenues Taxes $ 4,500,000Licenses

Permits 68,000Fines and Forfeitures 17,000Investment Income 100,000Intergovernmental-Operating Grants 20,000$ 4,705,000Eliminate expenditures for bond retirement Current/Operating General Government 495,000Public Safety 1,500,000Highways and Streets 1,700,000Health and Sanitation 1,300,000Equipment 750,000$ 5,745,000Convert interest expenditures to expenses:

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Q10.5. [Ch. 9] Walt Disney expects to receive a Mex$16 million theatrical fee from Mexico in 90 days. The current spot rate is $0.1321/Mex$ and the 90-day forward rate is $0.1242/Mex$. a. What is Disney's peso transaction exposure associated with this fee? b. If the spot rate expected in 90 days is $0.1305, what is the expected U.S. dollar value of the fee? c. What is the hedged dollar value of the fee? d. What factors will influence the hedging decision? Q10.6. [Ch. 10] During 1993, the Japanese yen appreciated by 11 percent against the dollar. In response to the lower cost of the main imported ingredients-beef, cheese, potatoes, and wheat for burger buns-McDonald's Japanese affiliate reduced the price on certain set menus. For example, a cheeseburger, soda, and small order of French fries were marked down to ¥410 from ¥530. Suppose the higher yen lowered the cost of ingredients for this meal by X30. a. How much of a volume increase is necessary to justify the price cut from 530 to 410 yen? Assume the previous profit margin (contribution to overhead) for this meal was ¥220. What is the implied price elasticity of demand associated with this necessary rise in demand? b. Suppose sales volume of this meal rises by 60 percent. What will be the percentage change in McDonald's dollar profit from this meal? c. What other reasons might McDonald's have had for cutting price besides raising its profits?

Answers

10.5) The peso transaction exposure for Disney is Mex$16 million.

10.6) To justify the price cut from ¥530 to ¥410, a necessary rise in demand that implies a price elasticity of demand of -1.5 is required.

Question 10.5:

a. Disney's peso transaction exposure is Mex$16 million.

b. The expected U.S. dollar value of the fee is $2.088 million.

c. The hedged dollar value of the fee depends on whether Disney chooses to hedge its foreign exchange risk or not.

d. Factors influencing the hedging decision include Disney's risk tolerance, expectations of future exchange rate movements, and the cost of implementing hedging strategies.

Question 10.6:

a. To justify the price cut from ¥530 to ¥410, a necessary volume increase is required. The implied price elasticity of demand would determine the extent of the rise in demand needed.

b. If the sales volume of this meal rises by 60 percent, the percentage change in McDonald's dollar profit would depend on the cost savings from the lower ingredient costs and the overall profitability of the meal.

c. Other reasons for McDonald's price cut may include attracting more customers, increasing market share, or responding to competitive pressures.

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Diana and Jim enter into a written contract under which Diana will sell Jim some of her rare comic books for $300. The contract contains a list of each comic book that is supposed to be part of the sale. The contract states that it contains the complete and final agreement reached by Diana and Jim. When Jim receives the comics, he is upset to find out that Diana did not include a particular Superman comic. He sues Diana, stating that even though the written contract does not mention that particular Superman issue, he and Diana had orally agreed, just before the contract was written, that she would include the Superman in the deal. Jim wants to submit evidence of their prior oral agreement. Diana argues that such evidence would violate the parol evidence rule. 1. Does this contract have the necessary element of consideration (Chapter 14)? 2. If so, discuss the benefit received by each party and the detriment suffered by each party? In other words, what is each party receiving and what is each party given up? 3. Is this contract enforceable or would it be illegal or violate public policy to enforce this contract (Chapter 15)? 4. Is this the type of contract that falls within the Statute of Frauds (Chapter 16)? 5. Will Jim be allowed to introduce parol evidence to show the party's prior oral agreement before the contract was made (Chapter 16)?

Answers

The contract between Diana and Jim involves the sale of rare comic books for $300. Jim claims an oral agreement for a particular Superman comic, while Diana argues against admitting parol evidence violating the parol evidence rule.

The contract has consideration as Jim pays $300 for the rare comic books, benefiting him with the acquisition and Diana with the payment.

This contract appears enforceable, without indications of illegality or violation of public policy.

It is advisable to check the specific jurisdiction's laws regarding the Statute of Frauds, as contracts for the sale of goods over a certain value may require a written agreement.

Jim may be allowed to introduce parol evidence if it falls within an exception to the parol evidence rule, such as proving fraud, mistake, or ambiguity. The admissibility of parol evidence would depend on the specific jurisdiction's laws and applicable case law.

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Deferred Tax Asset Ion Corporation has income tax expense/payable for book purposes of $200,000 and $250,000 for tax purposes. Assume that Ion will only be able to use $30,000 of any deferred tax asset with the balance expiring.

As a result, Ion will record a deferred tax asset of $ 50 (incorrect)

and a valuation allowance of $ 20 (incorrect) .

???

Answers

There is no valuation allowance and Ion will record a deferred tax asset of $20000.

Ion Corporation has income tax expense/payable for book purposes of $200,000 and $250,000 for tax purposes. Assume that Ion will only be able to use $30,000 of any deferred tax asset with the balance expiring.

As a result, Ion will record a deferred tax asset of $20,000 and a valuation allowance of $30,000.

Tax payable for the year = $250,000

Income tax expense = $200,000

Temporary difference = Tax payable for the year - Income tax expense = $50,000

Deferred tax liability (40% of the temporary difference) = $20,000

Deferred tax asset = $20,000 (Since Ion Corporation will only be able to use $30,000 of any deferred tax asset with the balance expiring, the deferred tax asset will be recorded as $20,000)

Deferred tax asset = $20,000

Amount of deferred tax asset that can be realized = $30,000

Valuation allowance = Deferred tax asset - Amount of deferred tax asset that can be realized = $10,000

However, the valuation allowance can't exceed the amount of the deferred tax asset. Therefore, the valuation allowance will be recorded as $20,000 - $30,000 = -$10,000 (which means that there is no need for a valuation allowance in this scenario).

Hence, Ion will record a deferred tax asset of $20,000 and no valuation allowance.

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[The following information applies to questions 7-10.] Imagine US is a startup that offers high definition 3D prenatal ultrasounds for high-end customers. The service process includes five activities that are conducted in the sequence described below. (The time required for each activity is shown in parentheses): Activity 1: Welcome a patient and explain the procedure. (8 minutes) Activity 2: Prep the patient (e.g., show them to the room, apply ultrasound gel). (5 minutes) Activity 3: Take images. (14 minutes) Activity 4: Analyze images. (12 minutes) Activity 5: Discuss diagnostic with the patient. (16 minutes) At each location, there are employees (servers) S1, S2, and S3. The assignment of tasks to servers is the following: 51 does Activity 1. 52 does Activities 2 and 3. $3 does Activities 4 and 5. Suppose that 2 patients arrive every hour on average. Ignoring any "start of day" or "end of day" effects, what is the utilization of Server 1 (as a %)?

Answers

We can calculate the utilization of Server 1 by dividing the time spent on Activity 1 by the total time required for 2 patients and multiplying by 100 which is 14.54%.

The utilization of Server 1 in the given scenario can be calculated to determine the percentage of time it is occupied with activity.

To calculate the utilization of Server 1, we need to consider the time it spends on Activity 1, which is performed by Server 1.

The average time it takes for two patients to complete the entire service process is given by the sum of the times for all activities: (8 + 5 + 14 + 12 + 16) = 55 minutes.

Since 2 patients arrive every hour on average, we can calculate the total time required for 2 patients as 2 * 55 minutes = 110 minutes.

Now, we need to determine the time Server 1 spends on Activity 1 for these 2 patients. Since Server 1 performs Activity 1, which takes 8 minutes, the total time spent by Server 1 on Activity 1 for 2 patients is 2 * 8 minutes = 16 minutes.

Finally, we can calculate the utilization of Server 1 by dividing the time spent on Activity 1 by the total time required for 2 patients and multiplying by 100: (16 / 110) * 100 = 14.54%.

Therefore, the utilization of Server 1 is approximately 14.54%.

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You recently received a trust of $2,000,000 from your grandfather. You are not allowed to touch the principal, but you can use the earnings. At an assumed interest rate of 9.5 percent, how much can you earn and recover from this trust account each year? a. $95,000 b. $19,000 c. $190,000 d. $18,000

Answers

Amount of annual interest = 9.5% of $2,000,000 = $0.095 × $2,000,000 = $190,000Therefore, the answer is c. $190,000.

If you recently received a trust of $2,000,000 from your grandfather, at an assumed interest rate of 9.5 percent, how much can you earn and recover from this trust account each year?

The amount you can earn and recover from this trust account each year is given as follows:

Annual interest earned on the trust = 9.5% of the principal Amount of annual interest = 9.5% of $2,000,000 = $0.095 × $2,000,000 = $190,000Therefore, the answer is c. $190,000.

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Tanya is a divisional manager and considered very good in her role. However, in making decisions for the division, she tends to give more importance to Sales issues (having come up through sales herself) and less to other key areas like suppliers, production and product design. From a perceptual perspective, Tanya is guilty of which distortion? Discernment error Contrast error Selective perception Statutory effect. Halo effect

Answers

From a perceptual perspective, Tanya is guilty of Selective Perception distortion.

Perception is the process of interpreting, organizing, and selecting stimuli, which is impacted by an individual's experience, beliefs, expectations, motives, interests, and surroundings.

Selective perception is the propensity to choose, ignore, or alter stimuli to match personal needs, interests, and attitudes, and it is one of the most common perceptual distortions.

Selective perception is when an individual filters out and chooses only the information that agrees with their perceptions while disregarding contradictory information.

Tanya is guilty of selective perception since she gives more weight to sales issues due to her sales background while neglecting other key areas like suppliers, production, and product design.

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You have been asked by the president of the Farr Construction Company to evaluate the proposed acquisition of a new earth mover. The mover's basic price is $220,000, and it would cost another $30,000 to modify it for special use. Assume that the mover falls into the MACRS 5-year class, it would be sold after 4 years for $60,000, and it would require an increase in net operating working capital (spare parts inventory) of $10,000. The earth mover would have no effect on revenues, but it is expected to save the firm $52,000 per year in before-tax operating costs, mainly labor. The firm's marginal federal-plus-state tax rate is 25 percent and the project's cost of capital is 10 percent.

Evaluate the project using the NPV rule and the IRR rule.

Answers

To evaluate the project using the NPV rule and the IRR rule, we need to calculate the net cash flows for each year, discount them to their present value, and then apply the respective rules.

First, let's calculate the net cash flows:

Year 0:

Initial investment = -$220,000 (basic price) - $30,000 (modification cost) + $10,000 (increase in working capital) = -$240,000

Years 1-4:

Net cash flow = Savings in operating costs - Tax on savings

Net cash flow = $52,000 - ($52,000 * 0.25) = $39,000 (after-tax cash flow)

Year 5:

Net cash flow = Salvage value - Tax on salvage value

Net cash flow = $60,000 - ($60,000 - $30,000) * 0.25 = $45,000 (after-tax cash flow)

Now, let's calculate the present value of the net cash flows using the project's cost of capital of 10%:

PV (Year 0) = -$240,000 / (1 + 0.10)^0 = -$240,000

PV (Years 1-4) = $39,000 / (1 + 0.10)^1 + $39,000 / (1 + 0.10)^2 + $39,000 / (1 + 0.10)^3 + $39,000 / (1 + 0.10)^4 = $134,095.04

PV (Year 5) = $45,000 / (1 + 0.10)^5 = $28,598.74

Next, let's calculate the net present value (NPV) by summing up the present values of the net cash flows:

NPV = PV (Year 0) + PV (Years 1-4) + PV (Year 5) = -$240,000 + $134,095.04 + $28,598.74 = -$77,306.22

To evaluate the project using the IRR rule, we can use a financial calculator or spreadsheet to find the internal rate of return (IRR). The IRR is the discount rate that makes the NPV of the project equal to zero.

Using a financial calculator or spreadsheet, the IRR for this project is approximately 8.92%.

Based on the NPV rule, since the NPV is negative (-$77,306.22), the project would be considered unattractive. It does not generate sufficient returns to cover the initial investment and provide a positive net present value.

Based on the IRR rule, the project's IRR of 8.92% is lower than the cost of capital (10%). Therefore, the project would also be considered unattractive using the IRR rule.

Overall, based on both the NPV rule and the IRR rule, the proposed acquisition of the new earth mover would not be recommended.

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What strategy are you employing Random strategy O Dominant strategy O Maximin strategy O Copycat strategy QUESTION 78 Which political philosophy would most likely lead to the most amount of redistribution from rich to poor? O Libertarianism O Liberalism O Utilitarianism O Capitalism QUESTION 79 "The aggregate demand for good X is Q-20-0.5P 2 (P-squared). If the price rises from P-$4 to P-$6, what is the change in consumer surplus? $42 $62 $82 O $102 QUESTION 80 The government wants to stop smoking. Which of the following will reduce smoking and the revenues of cigarette companies? O A reduction in the supply of cigarettes that can be sold OA campaign that shifts the demand for cigarettes in at any price O A campaign that moves the demand outward A price ceiling on cigarettes the singular form of the term that means a wall dividing two cavities is Currently, the market for potatoes is experiencing a surplus. What would we predict?a. An increase in quantity demanded and an increase in quantity suppliedb. An increase in quantity demanded and a decrease in quantity suppliedc. A decrease in quantity demanded and an increase in quantity suppliedd. A decrease in quantity demanded and a decrease in quantity supplied The Chinese manufacturer of home appliances (e.g. refrigerators), Haier Group, was near bankruptcy when Mr Zhang Ruimin was appointed plant director in 1984, the fourth one that year. It is Zhang Ruimin who has led the company to grow to the worlds fourth largest home appliance manufacturer. In 2008 Haier Group reported sales of over US$17.8 billion.Zhang Ruimin had an internationalization mindset for the initial stage of Haiers development. In 1984, soon after having joined the plant, he introduced technology and equipment from Liebherr, a German company, to produce several popular refrigerator brands in China. At the same time he actively expanded cooperation with Liebherr by manufacturing refrigerators based on its standards which were then sold to Liebherr, as a way of entering the German market. In 1986 the value of Haiers exports reached US$3 million for the first time. Zhang Ruimin later commented on this strategy: Exporting to earn foreign exchange was necessary at that time. When Haier invested in a plant in the United States, Zhang Ruimin thought it gained location advantage by setting up plants overseas to avoid tariffs and reduce transportation costs. Internalization advantage had been attained through controlling services and marketing/distribution, and ownership advantage had been achieved by developing design and R&D capabilities through utilizing high-quality local human resources.Q.. Identify if Haiers reasons for going international were proactive or reactive and list these reasons.Marking Scheme: Identifying the right reason = 2 marks; mentioning atleast 4 reasons in the category with examples is 2 marks each = 8 marks achievement of the Mano River Union Compared to plants with C3 photosynthesis, C4 plants: have deeper roots that can access water deeper in the soil than other plants are more efficient at photosynthesis and water use under high light a Why is the identification of favorable and unfavorable variances so important to a company? How can the identification of the variances help management control costs? Please explain.As you are considering the flexible budgeting topic of the week, it is important for you to look at this analysis as a significant contribution to the management of the company. Knowing what the bottom line profit or loss is important. But what is more important is to understand how your actual results varied in terms of units sold versus how the actual cost of each unit differed from the budget.Please do watch the video available in this weeks resources you can turn the sound off and read the script on the right side if you need to. The lecturer has an excellent example that will help you.Do you have an example that you can share? Sometimes thats the best way to answer the question. (Total: 5 points) n! Use a gamma density to show that the n-th moment of X~ Exp(X) is In what is the most important advantage of pfu polymerase over taq polymerase?