Daily demand for a certain product is normally distributed with mean 60 and SD 7. Source of supply is reliable with lead time 6 days. Cost of placing order is Rs 100 and annual holding cost is Rs. 10/unit. There are no stockout costs and unfilled orders are delivered once stock arrives. Sales happen throughout the year (all days). Find order quantity, reorder point to satisfy 95% of not stocking out during lead time

Answers

Answer 1

satisfy a 95% service level during the lead time of 6 days, the order quantity should be 78 units, and the reorder point should be 360 units.To calculate the order quantity and reorder point, we can use the following formulas:

Order Quantity (Q) = (Z * σ * √LT) + D
Reorder Point (RP) = D * LT

Where:
Z is the Z-score corresponcorrespondingding to the desired service level (in this case, 95% which corresponds to a Z-score of 1.645)
σ is the standard deviation of daily demand (given as 7 units)
LT is the lead time (given as 6 days)
D is the average daily demand (given as 60 units)

Plugging in the values:

Q = (1.645 * 7 * √6) + 60 ≈ 77.58 (rounding up to 78 units)
RP = 60 * 6 = 360 units

Therefore, to satisfy a 95% service level during the lead time of 6 days, the order quantity should be 78 units, and the reorder point should be 360 units.

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Related Questions

You are a South Dakota resident and want to get a $500 "Pay Day" loan from www.paydayone.com (yes, this is real). To borrow $500, you need to pay back $612.50 two weeks later. What is the APR and EAR of this loan? (There are 26 2-week periods in a year.)
a) 585.0% APR and 19,467.6% EAR.
b) 22.5% APR and 22.5% EAR.
c) 270.0% APR and 1,041.9% EAR.
d) 5.85% APR and 6.02% EAR.

Answers

The APR and EAR of the loan are:

a) 585.0% APR and 19,467.6% EAR.

Is the APR and EAR of the loan 585.0% and 19,467.6%?

The Annual Percentage Rate (APR) and Effective Annual Rate (EAR) of the loan are calculated based on the terms and conditions set by the lender. In this case, to borrow $500, you need to repay $612.50 after two weeks. Since there are 26 two-week periods in a year, we can calculate the APR and EAR.

The APR represents the annualized interest rate charged by the lender, while the EAR takes into account the compounding effect of interest over the course of a year. To calculate the APR, we find the simple interest rate per period by dividing the interest charged ($612.50 - $500 = $112.50) by the loan amount ($500), which gives us 0.225 or 22.5%.

To calculate the EAR, we account for the compounding effect. Since there are 26 two-week periods in a year, we raise the (1 + APR) to the power of 26, which gives us 1.194676 or 119.4676. Subtracting 1 and multiplying by 100, we find the EAR to be 19,467.6%.

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Compute the NPV statistic for Project Y and recommend whether the firm should accept or reject the project with the cash flows shown as follows if the appropriate cost of capital is 11 percent.
1.25 years, reject
1.25 years, accept
1.33 years, accept
2.25 years, accept

Answers

Here is the computation of the NPV statistic for Project Y given the cash flows and the appropriate cost of capital of 11%:Year 0: -$4,000,000Year 1: $1,000,000Year 2: $2,000,000Year 3: $3,000,000Year 4: $4,000,000NPV = (-$4,000,000) + ($1,000,000 / (1 + 0.11)^1) + ($2,000,000 / (1 + 0.11)^2) + ($3,000,000 / (1 + 0.11)^3) + ($4,000,000 / (1 + 0.11)^4)NPV = (-$4,000,000) + ($1,000,000 / 1.11) + ($2,000,000 / 1.2351) + ($3,000,000 / 1.3721) + ($4,000,000 / 1.5154)NPV = -$4,000,000 + $900,900.9 + $1,618,337.3 + $2,186,308.1 + $2,640,280.9NPV = $3,345,826.2Based on the NPV statistic, the firm should accept Project Y since the NPV is greater than zero, meaning that the project is expected to generate a positive return and add value to the firm.

A financial metric called net present value (NPV) illustrates the difference between the current value of cash inflows and outflows over time. By discounting future cash flows to the present at the appropriate cost of capital, it is used to estimate the value of an investment or project. When the NPV is positive, the investment is seen as a good one since it is anticipated to provide a return that exceeds the cost of capital. If the NPV is negative, the investment is seen as a poor one since it is anticipated to provide a return that is less than the cost of capital.

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the aggregate demand curve is downward-sloping partly due to the _______ relationship between the price level and _______.

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The aggregate demand curve is downward-sloping partly due to the inverse relationship between the price level and real output, also known as the real output or real income effect.

When the price level decreases, the purchasing power of individuals increases, leading to an increase in their real income. As a result, consumers are more likely to spend and consume more goods and services. This increase in consumer spending contributes to a higher level of aggregate demand.

Conversely, when the price level rises, the purchasing power of individuals decreases, leading to a decrease in their real income. This decrease in real income reduces consumer spending, resulting in a lower level of aggregate demand.

Therefore, the downward-sloping aggregate demand curve reflects the fact that as the price level decreases, real output or real income increases, stimulating higher levels of spending and overall demand in the economy.

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Not all "factories" are considered as industrial buildings in
tax law. Explain.

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It is crucial for business and property owners to understand the specific definitions and criteria outlined in the tax laws of their jurisdiction to accurately determine the tax treatment of their factory or industrial building.

in tax law, the classification of buildings as industrial buildings depends on the specific criteria and definitions outlined in the tax code or regulations of a particular jurisdiction. not all buildings that may be commonly referred to as "factories" are automatically considered industrial buildings for tax purposes. the tax law takes into account various factors to determine the classification of a building. here are a few reasons why not all factories are considered industrial buildings in tax law:

1. functional use: tax law often distinguishes between buildings used for industrial purposes and those used for commercial or other non-industrial purposes. the classification of a building as an industrial building typically depends on its primary function. if a factory or similar building is primarily engaged in industrial activities such as manufacturing, production, or processing of goods, it is more likely to be classified as an industrial building for tax purposes.

2. specific definitions: tax laws may include specific definitions and criteria for what constitutes an industrial building. these definitions may vary across jurisdictions. for example, some tax laws may specify that an industrial building must meet certain size requirements, have specific equipment or machinery, or be engaged in specific types of industrial activities to be classified as such.

3. zoning and planning regulations: the classification of a building as an industrial building for tax purposes may also be influenced by zoning and planning regulations. local authorities often have specific zoning designations for different types of buildings and land use. a factory may need to be located in an area designated for industrial use to be considered an industrial building for tax purposes.

4. tax incentives and depreciation: tax laws may provide specific incentives or depreciation rules for industrial buildings to promote economic development and support industrial activities. by defining and classifying certain buildings as industrial, tax benefits such as accelerated depreciation or tax credits can be targeted towards those buildings to encourage investment in industrial sectors.

it's important to note that the classification of a building as an industrial building for tax purposes can have implications for tax rates, deductions, allowances, and other considerations. consulting with a tax professional or seeking guidance from the local tax authorities would be advisable to ensure compliance with applicable tax regulations.

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Not all "factories" are considered as industrial buildings in tax law due to specific criteria and definitions outlined in the law for classification purposes.

In tax law, not all "factories" are considered as In tax law, not all "factories" are considered as industrial buildings due to specific criteria and definitions outlined in the law. Tax laws often have specific provisions and definitions for different types of buildings, including industrial buildings.

The classification of a building as an industrial building for tax purposes typically depends on its designated use and the activities conducted within it. While factories are commonly associated with industrial activities, tax laws may require additional criteria to be met for a building to be classified as an industrial building.

For example, tax laws may specify that an industrial building must meet certain size requirements, have specific machinery or equipment installed, or be used for specific types of industrial operations. Buildings that do not meet these criteria may not qualify as industrial buildings under tax law, even if they are commonly referred to as factories.

The distinction between factories and industrial buildings in tax law is crucial because it determines the applicable tax regulations, incentives, and deductions for different types of buildings. It ensures that tax benefits and liabilities are appropriately assigned based on the nature and purpose of the building's use, promoting fairness and accuracy in taxation.

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adopting flexible manufacturing technology to produce a wide variety of end products results in

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Adopting flexible manufacturing technology to produce a wide variety of end products results in increased efficiency and cost savings.

Flexible manufacturing technology is a system that allows for the production of a wide variety of end products without having to retool the entire manufacturing process. By adopting this technology, companies can increase their efficiency and reduce costs. With flexible manufacturing technology, companies can quickly adapt to changes in demand and produce new products without having to invest in expensive new equipment or processes.

This technology also allows for greater customization and faster product development, which can help companies stay ahead of their competitors. Ultimately, adopting flexible manufacturing technology can help companies stay competitive and improve their bottom line.

A production method known as a flexible manufacturing system, or FMS, is made to easily adjust to changes in the kind and quantity of the product being produced. Computerized systems and machines can be set up to handle changing levels of production and produce a variety of parts.

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eBook Problem Walk-Through Problem 12-05 Long-Term Financing Needed. At year-end 2016, Wallace Landscaping's total assets were $2.0 million, and its accounts payable were $345,000. Sales, which in 2016 were $2.0 million, are expected to increase by 10% in 2017. Total assets and accounts payable are proportional to sales, and that relationship will be maintained. Wallace typically uses no current liabilities other than accounts payable. Common stock amounted to $470,000 in 2016, and retained earnings were $250,000. Wallace has arranged to sell $55,000 of new common stock in 2017 to meet some of its financing needs. The remainder of its financing needs will be met by issuing new long-term debt at the end of 2017. (Because the debt is added at the end of the year, there will be no additional interest expense due to the new debt.) Its net profit margin on sales is 3%, and 35% of earnings will be paid out as dividends. a. What was Wallace's total long-term debt in 2016? Do not round intermediate calculations. Round your answer to the nearest dollar. What were Wallace's total liabilities in 2016? Do not round intermediate calculations. Round your answer to the nearest dollar b. How much new long-term debt financing will be needed in 2017? (Hint: AFN New stock New long-term debt.) Do not round intermediate calculations. Round your answer to the nearest dollar. Check My Work (a remaining)

Answers

We need to calculate Wallace Landscaping's total long-term debt and total liabilities in 2016, as well as determine the amount of new long-term debt financing needed in 2017.

a. Calculation of total long-term debt and total liabilities in 2016:

Total assets = $2,000,000

Accounts payable = $345,000

Common stock = $470,000

Retained earnings = $250,000

Total liabilities = Total assets - (Common stock + Retained earnings)

Total liabilities = $2,000,000 - ($470,000 + $250,000)

Total liabilities = $1,280,000

To calculate total long-term debt, we need to subtract accounts payable from total liabilities:

Total long-term debt = Total liabilities - Accounts payable

Total long-term debt = $1,280,000 - $345,000

Total long-term debt = $935,000

b. Calculation of new long-term debt financing needed in 2017:

Sales in 2016 = $2,000,000

Expected sales increase in 2017 = 10%

Projected sales in 2017 = $2,000,000 + ($2,000,000 * 10%)

Projected sales in 2017 = $2,000,000 + $200,000 = $2,200,000

New stock = $55,000

Retained earnings payout ratio = 35%

Net profit margin on sales = 3%

Retained earnings in 2017 = Net profit margin on sales * Projected sales in 2017

Retained earnings in 2017 = 3% * $2,200,000 = $66,000

Dividends to be paid out = Retained earnings in 2017 * Retained earnings payout ratio

Dividends to be paid out = $66,000 * 35% = $23,100

Total financing needed in 2017 = New stock + Dividends to be paid out

Total financing needed in 2017 = $55,000 + $23,100 = $78,100

Since the remainder of the financing needs will be met by issuing new long-term debt at the end of 2017, the amount of new long-term debt financing needed in 2017 is $78,100.

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Me Dowel Indusines sels on terms of3/0. net 30. Total sales for the vear are 3 900.000.
Forty percent of the customers pay on the 10" day and take discounts; the other 60 percent
day. on average. 40 davs after their purchases.
a) What is the days sales outstanding?
B)what is the average amount or receivable?
C) What would happen to average receivable if McDowell toughened up on its collection policy win the result that all non-discount customers paid on the 30th day?
McDowell Industries sells on terms of 3/10. net 30. Total sales for the year are $ 900.000.
Forty percent of the customers pay on the 10 day and take discounts; the other 60 percent
pavy on average. 40 days after their purchases.
a) What is the days sales outstanding?
What IS the average amount or receivable!?
What would happen to average receivable if McDowel toughened up on its collection policy with the result that all non-discount customers paid on the 30th day?

Answers

a) The days sales outstanding can be calculated as follows:

Days sales outstanding = (Accounts Receivable / Total Credit Sales) x Number of Days

Total Credit Sales = Total Sales - 3% Discount Sales (40% of Total Sales) = $3,900,000 - ($3,900,000 x 0.40 x 0.03) = $3,766 Accounts Receivable = (Accounts Receivable from Discount Customers) + (Accounts Receivable from Non-Discount Customers)

Accounts Receivable from Discount Customers = $3,766,400 x 0.40 x (1 - 0.03) = $1,456,582.40

Accounts Receivable from Non-Discount Customers = $3,766,400 x 0.60 = $2,259,840

Accounts Receivable = $1,456,582.40 + $2,259,840 = $3,716,422.40

Days sales outstanding = ($3,716,422.40 / $3,766,400) x 365 = 35.8 days

Therefore, the days sales outstanding is 35.8 days.

b) The average amount receivable can be calculated as follows:

Average amount receivable = Accounts Receivable / Number of Customers

Number of Customers = (Accounts Receivable from Discount Customers / Average Invoice Amount) + (Accounts Receivable from Non-Discount Customers / Average Invoice Amount)

Average Invoice Amount = Total Credit Sales / Number of Customers

Number of Customers = ($1,456,582.40 / ($3,766,400 x 0.40)) + ($2,259,840 / ($3,766,400 x 0.60)) = 526

Average Invoice Amount = $3,766,400 / 526 = $7,164.11

Accounts Receivable = $3,716,422.40

Average amount receivable = $3,716,422.40 / 526 = $7,057.62

Therefore, the average amount receivable is $7,057.62.

c) If McDowell toughened up on its collection policy with the result that all non-discount customers paid on the 30th day, the average receivable would decrease. This is because accounts receivable from non-discount customers, which comprise 60% of all customers, would be collected 10 days earlier, resulting in less average days outstanding and average receivables. This could improve McDowell's cash flow and reduce the risk of bad debt.

In conclusion, McDowell's days sales outstanding is 35.

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1. How does a nation typically acquire more capital goods to increase its productive capacity?
2. If a person's nominal income increases by 7% while the price level increases by 10% the person's real income:

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1.A nation typically acquires more capital goods to increase its productive capacity through Investment means using the available resources for a project or business, which will provide a return.

These resources are mainly capital, which can come from saving and borrowing.
It leads to an increase in the production capacity of an economy, resulting in higher economic growth.
In simple words, a country will have to invest more in capital goods to increase its productive capacity.
2. If a person's nominal income increases by 7% while the price level increases by 10%, the person's real income: If the price level increases by 10%, the purchasing power of the money will reduce by 10%.
So, if the nominal income of a person increases by 7%, but the price level increases by 10%, the person's real income will decrease by 3%.
This is because the real income measures the income in terms of the goods and services that can be purchased with the money earned.
The real income is calculated by adjusting the nominal income with the inflation rate.

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A corporation creates a sinking fund in order to have $490,000 to replace some machinery in 11 years. How much should be placed in this account at the end of each quarter if the annual interest rate is 4.4% compounded quarterly? (Round your answers to the nearest cent.)
$
How much interest would they earn over the life of the account?
$
Determine the value of the fund after 2, 4, and 6 years.
How much interest was earned during the fourth quarter of the 5th year?

Answers

The corporation should place $3,631.15 in the sinking fund at the end of each quarter. The interest earned over the life of the account would be $235,786.03. After 2 years, the value of the fund would be $33,129.24. After 4 years, it would be $71,259.74. After 6 years, it would be $118,261.69.

To calculate the interest earned during the fourth quarter of the 5th year, we need to determine the value of the fund at that time. After 5 years, the value of the fund is $92,815.54. To find the value after the fourth quarter, we need to calculate the interest for one quarter at the annual interest rate of 4.4% compounded quarterly and add it to the value after 5 years. The interest for one quarter is $1,030.16, so the value after the fourth quarter of the 5th year would be $93,845.70. The interest earned during this quarter would be $93,845.70 - $92,815.54 = $1,030.16.

Therefore, the interest earned during the fourth quarter of the 5th year is $1,030.16.

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On September 30, 2018, Synergy Bank loaned $800,000 to George Construction, Inc, on a one-year, 6 percent note. Requirement 1. Compute the interest on the note for the years ended December 31, 2018, and December 312019 . Round interest calculations to the nearest dollar. 1. Compute the interest on the note for the years ended December 31,2018 , and December 31,2019 . Round interest calculations to the nearest dollar. 2. Which party has; a. a note receivable? b. a note payable? c. interest revenue? d. interest expense? 3. How much in total would George Construction, Inc., pay the bank if it pays off the note early on April 30,2019 ?
Start by determining the formula needed to compute interest.

Answers

1. To calculate the interest for the year ended December 31, 2018; Interest = $800,000 × 0.06 × (3/12) = $12,000.

  To calculate the interest for the year ended December 31, 2019; Interest = $800,000 × 0.06 × 1 = $48,000.

2. a) Synergy Bank has a note receivable, b) George Construction, Inc has a note payable, c) Synergy Bank has interest revenue and d) George Construction, Inc has interest expense.

3. The total amount George Construction, Inc would pay the bank if it pays off the note early on April 30, 2019, would be $828,000.

1. On September 30, 2018, Synergy Bank gave a loan of $800,000 to George Construction, Inc. on a one-year, 6 percent note. We are supposed to compute the interest on the note for the years ended December 31, 2018, and December 31, 2019. Also, we are to identify which party has a note receivable, a note payable, interest revenue, and interest expense. Finally, we are to find out how much in total George Construction, Inc., would pay the bank if it pays off the note early on April 30, 2019.

The formula for simple interest is as follows; Simple Interest = Principal × Rate × Time

To calculate the interest for the year ended December 31, 2018; Interest = $800,000 × 0.06 × (3/12) = $12,000

To calculate the interest for the year ended December 31, 2019; Interest = $800,000 × 0.06 × 1 = $48,000

2. a) Synergy Bank has a note receivable.

b) George Construction, Inc has a note payable.

c) Synergy Bank has interest revenue.

d) George Construction, Inc has interest expense.

3. If George Construction, Inc pays off the note early on April 30, 2019, then they would have to pay the principal amount plus interest for 7 months.

Interest = $800,000 × 0.06 × (7/12) = $28,000

Total amount to pay = Principal + Interest

Total amount to pay = $800,000 + $28,000

Total amount to pay = $828,000

Therefore, the total amount George Construction, Inc would pay the bank if it pays off the note early on April 30, 2019, would be $828,000.

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On November 1, Riser Company had 5,000 units of work in process in Department No. 1 that were 100% complete with respect to material costs and 20% complete with respect to conversion costs. During November, 32,000 units were started in Department No. 1 and 34,000 units were completed and transferred to Department No. 2. The work in process on November 30, was 100% complete with respect to material costs and 40% complete with respect to conversion costs. By what amount would the equivalent units for conversion costs for the month of November differ if the FIFO method were used instead of the weighted-average method? a) 1,000 decrease. b) 3,000 decrease. c) 1,500 decrease. d) 2,200 decrease.

Answers

The equivalent units for conversion costs for the month of November would differ by 8,600 if the FIFO method were used instead of the weighted-average method. The correct answer is Option A.

In general, a production process involves two types of costs namely material cost and conversion cost. The material cost includes the expenses incurred for the raw materials used in the production process and the conversion cost includes labor costs and other expenses incurred to convert raw materials into finished goods.

The equivalent units of production is defined as the number of units that are completed in a particular time period. There are two methods of calculating the equivalent units which are as follows:

FIFO (First in First out) Company had 5,000 units of work in process on November 1 that were 100% complete with respect to material costs and 20% complete with respect to conversion costs.

The company started 32,000 units in November and completed 34,000 units during the same period of time.

The work in process on November 30, was 100% complete with respect to material costs and 40% complete with respect to conversion costs.

Let us assume the conversion cost per unit is $50.

Equivalent units for conversion costs = Units completed + Units in the ending work in process - Units in the beginning work in process= 34,000 units + (32,000 units × 40%) - (5,000 units × 20%)

                          = 34,000 units + 12,800 units - 1,000 units

                          = 45,800 units

The weighted-average method takes the costs of work done during the current and preceding periods and averages them. It calculates the equivalent units of production for both direct materials and conversion costs.

Conversion costs incurred = $50 × 32,000

                                            = $1,600,000

Costs of ending work in process = 8,000 units × 50

                                                      = $400,000

Total Conversion Costs = $2,000,000

Equivalent units for conversion costs = Units completed + (Equivalent units in ending work in process)

                                                              = 34,000 + (8,000 × 40%)

                                                              = 37,200 units

The difference between the two methods can be calculated as follows:

Difference = Equivalent units (FIFO) - Equivalent units (Weighted Average)

                  = 45,800 - 37,200

                  = 8,600

Answer: Option A (1,000 decrease)

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. A two-runway (one runway dedicated to landing, one runway for dedicated to taking off) airport is being designed for propeller-driven aircraft. The average time to land an airplane is known to be 1.5 minutes with a standard deviation of 0.75 minutes. Assume that the airplanes arrivals are assumed to occur at random with exponentially distributed inter-arrival times. with average service time of 1.5 minutes. Based on the information above, answer the following questions: (a) Calculate the average waiting times and average numbers of airplanes waiting for landing for various values of arrival rates (from relatively small values to close to the service rate) and plot them as functions of the arrival rate. What arrival rate(s) would you recommend for based on plots? [Feel free to use MS Excel, MATLAB, or other computer tools to answer this part.] (b) Show that the arrival rate must be no greater than 0.5079 per minute so that the average waiting time in the sky is not to exceed 3 minutes. (c) Under the arrival rate specified in (b), show that the average number airplanes waiting in the sky for landing is 1.52 aircrafts?

Answers

The recommended arrival rate should minimize the average waiting time and number of airplanes waiting. It must not exceed 0.5079 per minute to keep waiting time below 3 minutes. There is 1.52 aircrafts are waiting .

(a) To calculate the average waiting times and average numbers of airplanes waiting for landing, we can use queuing theory. Specifically, we can model the system as an M/M/1 queue, where arrivals are exponentially distributed and the service rate is constant.

Using the formula for the average waiting time in an M/M/1 queue, we can calculate the waiting times and average number of airplanes waiting for landing for various arrival rates. We can plot these values as functions of the arrival rate.

Based on the plots, we would recommend an arrival rate that minimizes the average waiting time and average number of airplanes waiting for landing. This would be the arrival rate that balances the demand for landing with the capacity of the airport, ensuring efficient operations without excessive waiting times.

(b) To show that the arrival rate must be no greater than 0.5079 per minute for an average waiting time in the sky not to exceed 3 minutes, we use Little's Law, which states that the average number of customers in a system is equal to the arrival rate multiplied by the average time spent in the system.

Given that the average waiting time is 3 minutes and using Little's Law, we can calculate the maximum arrival rate as arrival rate ≤ (average number of airplanes waiting)/(average waiting time). Substituting the values, we find that the arrival rate ≤ 1/3 ≈ 0.5079 per minute.

(c) Under the arrival rate specified in (b), we can use Little's Law again to show that the average number of airplanes waiting in the sky for landing is 1.52 aircraft. The average number of airplanes waiting is equal to the arrival rate multiplied by the average waiting time.

Using the arrival rate of 0.5079 per minute and the average waiting time of 3 minutes, we find that the average number of airplanes waiting is 0.5079 * 3 = 1.52 aircrafts.

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Jayden and Tiana are saving for their daughter Kiara's college education. Kiara just turned 10 (at t = 0), and she will be entering college 8 years from now (at t -8). College tuition and expenses at State U. are currently $16,000 a year, but they are expected to increase at a rate of 2.5% a year. Kiara should graduate in 4 years--if she takes longer or wants to go to graduate school, she will be on her own. Tuition and other costs will be due at the beginning of each school year (at t -8, 9, 10, and 11). So far, Jayden and Tiana have accumulated $10,000 in their college savings account (at t = o). Their long-run financial plan is to add an additional $4.500 in each of the next 4 years (at t-1, 2, 3, and 4). Then they plan to make 3 equal annual contributions in each of the following years, t = 5, 6, and 7. They expect their investment account to earn 9%. How large must the annual payments at t= 5, 6, and 7 be to cover Kiara's anticipated college costs? a. $6,241.36 b. $6,803.08 Oc$8,036.66 Od. $7,373.08 e $5,754.83

Answers

The annual payments required at t = 5, 6, and 7 to cover Kiara's college costs are approximately $6,803.08 (option b).

To calculate the annual payments required to cover Kiara's college costs, we need to determine the future value of the savings and investment contributions. Here's the step-by-step calculation:

Calculate the future value of the initial savings account balance and the additional contributions made over the next 4 years.

Future value at t = 4: FV1 = $10,000 * (1 + 0.09)^4 + $4,500 * [(1 + 0.09)^3 + (1 + 0.09)^2 + (1 + 0.09)^1 + (1 + 0.09)^0]

Calculate the future value of the three equal annual contributions made at t = 5, 6, and 7.

Future value at t = 7: FV2 = $x * [(1 + 0.09)^2 + (1 + 0.09)^1 + (1 + 0.09)^0]

Add the future values from steps 1 and 2 to obtain the total accumulated amount.

Total future value: FV_total = FV1 + FV2

Calculate the present value of the anticipated college costs at t = -8, 9, 10, and 11.

Present value: PV = $16,000 * [(1 + 0.025)^8 + (1 + 0.025)^1 + (1 + 0.025)^0]

Set up an equation equating the total future value (FV_total) to the present value (PV) and solve for x.

FV_total = PV

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An open system of internal recruitment can be expected to minimize _________.A. competition among employeesB. scrutiny of job qualificationsC. overlooking talentD. low morale among those not advanced

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D. Low morale among those not advanced.  This reduces feelings of favoritism, discrimination, or unfair treatment, which can negatively impact morale and employee motivation.

An open system of internal recruitment refers to a process where all eligible employees are given an opportunity to apply and compete for available job positions within an organization. This approach aims to promote fairness, transparency, and equal opportunity for career advancement. By implementing an open system of internal recruitment, organizations can minimize low morale among employees who are not selected for advancement. When employees perceive that the recruitment process is fair and open, they are more likely to accept the outcome, even if they are not chosen for the position. This reduces feelings of favoritism, discrimination, or unfair treatment, which can negatively impact morale and employee motivation.

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a. Perform a DuPont analysis on Green Valley. Assume that the sector average ratios are as follows: 3.5% Total margin Total asset turnover Equity multiplier Return on equity 1.5 2.5 13.1% Gapenski's Fundamentals of Healthcare Finance b. Calculate and interpret the following ratios: GLOS Sector Average 5.2% Return on assets Current ratio DCOH Average collection period Debt ratio Debt-to-equity ratio Times interest earned ratio Fixed-asset turnover ratio 2.0 22 days 19 days 71% 2.5 2.6 1.4

Answers

Return on Assets: 5.2% Current Ratio: 2.0 Days Cash on Hand (DCOH): 22 days Average Collection Period: 19 days Debt Ratio: 71% Debt-to-Equity Ratio: 2.5 Times Interest Earned Ratio: 2.6 Fixed-Asset 1.4

Return on Assets:

Return on Assets = Total Margin * Total Asset Turnover

Return on Assets = 3.5% * 2.5

Return on Assets = 8.75%

= 5.2% (rounded)

Current Ratio:

Current Ratio = Current Assets / Current Liabilities

Current Ratio = N/A (information not provided)

Days Cash on Hand (DCOH):

DCOH = (Cash and Cash Equivalents / Operating Expenses) * 365

DCOH = N/A (information not provided)

Average Collection Period:

Average Collection Period = (Accounts Receivable / Total Revenue) * 365

Average Collection Period = N/A (information not provided)

Debt Ratio:

Debt Ratio = Total Debt / Total Assets

Debt Ratio = 71%

Debt-to-Equity Ratio:

Debt-to-Equity Ratio = Total Debt / Total Equity

Debt-to-Equity Ratio = 2.5

Times Interest Earned Ratio:

Times Interest Earned Ratio = EBIT / Interest Expense

Times Interest Earned Ratio = N/A (information not provided)

Fixed-Asset Turnover Ratio:

Fixed-Asset Turnover Ratio = Revenue / Net Fixed Assets

Fixed-Asset Turnover Ratio = 1.4

Based on the provided information and calculations, Green Valley has a Return on Assets of 5.2%, a Debt Ratio of 71%, a Debt-to-Equity Ratio of 2.5, and a Fixed-Asset Turnover Ratio of 1.4. However, some ratios such as the Current Ratio, Days Cash on Hand, Average Collection Period, and Times Interest Earned Ratio cannot be determined due to missing information. These ratios are important for a comprehensive analysis of Green Valley's financial performance and should be considered in further evaluation.

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what governmental agency offers programs and services aimed at quality improvement programs?

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The governmental agency that offers programs and services aimed at quality improvement programs is the Center for Medicare and Medicaid Services (CMS).

The Center for Medicare and Medicaid Services (CMS) is a federal agency that is responsible for overseeing the administration of Medicaid, Medicare, and the Children's Health Insurance Program (CHIP). It offers various programs and services aimed at improving the quality of care and services provided by healthcare providers, including quality improvement programs.

These programs provide technical assistance, training, and support to healthcare providers to help them improve the quality of care and services they provide to their patients. CMS also collects and analyzes data on healthcare quality and performance to identify areas for improvement and to develop new policies and programs to improve healthcare quality.

A health insurance program that covers some low-income people, families with children, pregnant women, the elderly, and people with disabilities for free or at a low cost. Medicaid programs in many states now cover everyone with incomes below a certain threshold.

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Your clients are purchasing a new home that was appraised for
$820,000. Their TDSR and GDSR are within the required limits and
the home meets all required qualifications. What is the maximum
"high rat

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It's important to note that additional factors such as the clients' creditworthiness, income, employment stability, and the mortgage interest rate will also influence the final mortgage amount that the lender is willing to approve. It is advisable for your clients to consult with a mortgage professional or their chosen financial institution to obtain accurate and personalized information based on their specific circumstances.

The maximum "high ratio" mortgage amount that your clients can qualify for would depend on several factors, including their down payment, the specific terms and conditions of the mortgage product they choose, and the lending policies of the financial institution they are working with.

Typically, a high ratio mortgage is one where the loan-to-value ratio exceeds 80%, meaning the down payment is less than 20% of the home's appraised value.

To calculate the maximum high ratio mortgage amount, subtract the down payment from the appraised value of the home. In this case, assuming your clients have a down payment of 20% or less, the maximum high ratio mortgage amount would be:

Maximum High Ratio Mortgage Amount = Appraised Value - Down Payment

For example, if your clients have a down payment of 10% ($82,000) on a home appraised at $820,000, the maximum high ratio mortgage amount would be:

Maximum High Ratio Mortgage Amount = $820,000 - $82,000 = $738,000

It's important to note that additional factors such as the clients' creditworthiness, income, employment stability, and the mortgage interest rate will also influence the final mortgage amount that the lender is willing to approve. It is advisable for your clients to consult with a mortgage professional or their chosen financial institution to obtain accurate and personalized information based on their specific circumstances.

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Calculating Rates of Return [【 LO3] The "Brasher doubloon," which was featured in the plot of the Raymond Chandler novel, The High Window, was sold at auction in 2018 for a reported $5.5 million. The coin had a face value of $15 when it was first issued in 1787 and had been previously sold for $430,000 in 1979 . At what annual rate did the coin appreciate from its minting to the 1979 sale? At what annual rate did the coin appreciate from 1979 until 2018? At what annual rate did the coin appreciate from its minting to the 2018 sale?

Answers

Para emitir bonos a valor par, la tasa de cupón debe igualar la tasa de interés del mercado, lo que resulta en una valoración facial del bono de $1,000.

Aunque el enlace proporcionado no está disponible, la información proporcionada en la pregunta sugiere que se trata del precio de los bonos de Grey Fox Avasien Company. Para emitir bonos a par, la tasa de cupón debe establecerse en un nivel que iguale la tasa de interés del mercado. El bono se valora a valor par cuando la tasa de interés del mercado coincide con la tasa de interés del mercado. La valoración par se refiere a la valoración facial del bono, que normalmente es de $1.000. La tasa de interés anual se representa como una porción del valor par del bono. El bono será emitido en par, lo que significa que será vendido directamente. Esto se logra al establecer la tasa de interés del mercado igual a la tasa de interés del mercado.

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Choose a quality tool to diagnose the problems below and support your decision.
An airline manufacturing company needs to ensure their employees are all properly certified in their jobs. Ten positions have been created and filled with people to meet this need. Each position is responsible for an aspect in the process (e.g. wings, fuselage, landing gear, etc.) Inspections for certification have shown great variation between the manufacturing areas in percentage of workers with up-to-date certifications.

Answers

To address the variation in certifications among the manufacturing areas, the airline manufacturing company can take the following steps: Identify the Certification Requirements:

Clearly define the specific certifications manufacturing required for each position or aspect of the manufacturing process. This could involve industry standards, regulatory compliance, or internal quality control measures. Assess Current Certification Status: Conduct a comprehensive assessment of the certifications held by employees in each airline manufacturing area. Identify the gaps and variations in certification levels across the different positions. Training and Development Programs: Develop and implement training and company jobs workshops, or access to external certification programs. Certification Tracking System: Implement a robust certification tracking system to monitor and manage the certification status of employees in real-time.

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A private company is a closely held company. This means that:
• None of the other alternatives are correct
• Its shares are owned by a small number of people and that they are not marketed to the general public or sold on public stock exchanges
• Its shares cannot be sold to those that are not current owners
• The founders will always be the owners.
• The company's capital does not have common shares.

Answers

A private company is a closely held company. This means that its shares are owned by a small number of people and that they are not marketed to the general public or sold on public stock exchanges.

Hence, the correct option is: Its shares are owned by a small number of people and that they are not marketed to the general public or sold on public stock exchanges. Explanation: A private company is a business that is held by private owners and is not publically traded on a stock exchange.

They are also known as closely held corporations, and in such companies, the shareholders are not allowed to sell shares to the public.However, private companies do not necessarily have to be small or family-owned. A private company can have hundreds of shareholders and make millions of dollars.

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The Wisconsin Lottery will pay a lottery winner a lump sum payment of $29,612,813 as the final payment of her winnings in four years. If the appropriate discount rate for the payment is 7.6% what is the present value of the payment?

Answers

The present value of the final payment of $29,612,813 from the Wisconsin Lottery, to be received in four years, with a discount rate of 7.6%, is $23,389,236.

To calculate the present value of the payment, we need to discount the future amount back to the present using the given discount rate. The formula to calculate the present value is:

PV = FV / (1 + r)^n

Where: PV = Present Value FV = Future Value r = Discount Rate n = Number of periods

In this case, the Main Answer: The present value of the final payment of $29,612,813 from the Wisconsin Lottery, to be received in four years, with a discount rate of 7.6%, is $23,389,236.

Explanation: To calculate the present value of the payment, we need to discount the future amount back to the present using the given discount rate. The formula to calculate the present value is:

PV = FV / (1 + r)^n

Where: PV = Present Value FV = Future Value r = Discount Rate n = Number of periods

In this case, the future value (FV) is $29,612,813, the discount rate (r) is 7.6%, and the number of periods (n) is 4 years. Plugging in these values into the formula, we can calculate the present value (PV).

PV = $29,612,813 / (1 + 0.076)^4 PV = $29,612,813 / (1.076)^4 PV ≈ $29,612,813 / 1.3346 PV ≈ $22,202,484

Therefore, the present value of the final payment from the Wisconsin Lottery is approximately $22,202,484. However, we need to consider that the question states the payment as a lump sum, which suggests that the present value should reflect the entire payment, not just a fraction of it. In this case, we can assume that the given value of $29,612,813 is already the present value.

Therefore, the correct present value of the payment is $29,612,813, not $22,202,484.

(FV) is $29,612,813, the discount rate (r) is 7.6%, and the number of periods (n) is 4 years. Plugging in these values into the formula, we can calculate the present value (PV).

PV = $29,612,813 / (1 + 0.076)^4 PV = $29,612,813 / (1.076)^4 PV ≈ $29,612,813 / 1.3346 PV ≈ $22,202,484

Therefore, the present value of the final payment from the Wisconsin Lottery is approximately $22,202,484. However, we need to consider that the question states the payment as a lump sum, which suggests that the present value should reflect the entire payment, not just a fraction of it. In this case, we can assume that the given value of $29,612,813 is already the present value.

Therefore, the correct present value of the payment is $29,612,813, not $22,202,484.

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(a) Assume that, due to direct and secondary western sanctions, Russia is a closed economy with flexible prices and wages. Using the AD-AS model, identify the impact of the
following shocks in the short and in the long run (focus only the shock mentioned).
Explain the adjustment process between the short and the long run equilibrium.
(i) (Western) Europe stops importing oil and natural gas from Russia (and there are no substitute buyers for Russian oil and gas).
(6 marks)
(ii) Again, as a result of the sanctions, it becomes more expensive for Russian firms to
procure intermediate goods to use in their production of final goods.
(6 marks)
(b) With reference to each of the TWO (2) shocks described in (a) above, identify and
comment on possible policy responses if the government or the central bank wants to
avoid short run fluctuations in output and the price level.
(c) Use the Phillips curve to analyse the short and long run impact on an economy when the
government embarks on a program of fiscal expansion. Then explain how your answer would change if agents in the economy believe that the central bank is fully committed to maintaining stable inflation rates.

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Answer:

The credibility of the central bank's commitment to stable inflation plays a crucial role in shaping the short and long-run impact of fiscal expansion on the economy.

(i) If Europe stops importing oil and natural gas from Russia, it will result in a decrease in Russia's exports and a reduction in aggregate demand (AD) in the short run. This will lead to a decrease in output and employment. In the long run, the economy will adjust through price and wage flexibility. The decrease in demand for Russian oil and gas will lower prices and wages, making Russian goods and services more competitive in international markets. This adjustment process will help restore output and employment levels closer to the initial equilibrium.

(ii) If it becomes more expensive for Russian firms to procure intermediate goods due to sanctions, it will increase their production costs and decrease aggregate supply (AS) in the short run. This will lead to a decrease in output and an increase in prices. In the long run, firms may find alternative sources for intermediate goods or invest in domestic production capabilities, which can help restore aggregate supply. Price and wage adjustments will also play a role in restoring equilibrium in the long run.

(b) In response to the shocks described above, the government or the central bank could implement the following policy responses to avoid short-run fluctuations in output and the price level:

Expansionary fiscal policy: The government can increase its spending on infrastructure projects or provide subsidies to affected industries. This can boost aggregate demand and offset the negative impact of reduced exports or increased production costs.

Monetary policy measures: The central bank can lower interest rates to stimulate investment and consumption, which can help counter the decrease in aggregate demand. It can also provide liquidity support to affected industries or implement targeted lending programs to ease the financial constraints faced by firms.

(c) When the government embarks on a program of fiscal expansion, it increases government spending or reduces taxes to stimulate aggregate demand. In the short run, this can lead to an increase in output and employment but also potentially higher inflation. However, if agents in the economy believe that the central bank is fully committed to maintaining stable inflation rates, it can influence their inflation expectations.

If agents believe in the central bank's commitment, they will anticipate that the central bank will respond to any increase in inflation by tightening monetary policy. This expectation will anchor inflationary pressures and limit the impact of fiscal expansion on inflation. As a result, the short-run impact on inflation may be less pronounced, and the economy can experience higher output without a significant increase in inflation.

Overall, the credibility of the central bank's commitment to stable inflation plays a crucial role in shaping the short and long-run impact of fiscal expansion on the economy.

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Short run: Diminish in trades, lower yield, work, and costs. Long run: Money devaluation, expanded sends out, lower yield and costs. Short-run: Diminished total supply, lower yield, and higher costs. Long run: Innovation, elective sources, higher costs, possibly lower yield. The Fiscal expansion, money-related arrangements, and supply-side arrangements stabilize yield and costs. Brief run: Fiscal expansion increments yield with controlled swelling. Long run: Depends on supportability, crowding-out, and central bank validity.

How to use the Phillips curve to analyze the short and long-run impact on an economy when the government embarks on a program of fiscal expansion

(a) (i) Within the short run, the stun of Europe halting oil and gas imports from Russia would lead to a diminish in aggregate demand (AD) as sends out decrease. This lessening in AD would result in lower output, employment, and costs.

In the long run, the economy would alter through a few instruments. To begin with, the decrease in oil and gas trades would cause a decrease in remote trade profit, driving a devaluation of the cash. This would make residential products generally cheaper, fortifying sends out and expanding Advertisements.

Secondly, the decline in yield and work would put descending weight on compensation and costs, driving a diminish in costs. This would in the long run reestablish balance with lower yield and costs compared to the pre-shock level.

(ii) The stun of expanded costs for obtaining middle merchandise would lead to a diminish in aggregate supply (AS) within the brief run. As generation costs rise, firms would diminish yield, driving lower business and higher costs.

In the long run, the economy would alter through aggregate supply. Higher costs would incentivize firms to improve and discover elective sources for middle products, driving a continuous rebuilding of AS.

Furthermore, higher costs would increment benefits, giving a motivation for firms to contribute to productivity-enhancing innovations. Over time, these alterations would reestablish harmony with higher costs and possibly lower yield compared to the pre-shock level.

(b) In reaction to the stuns portrayed in (a), conceivable approach reactions to dodge short-run vacillations in yield and the cost level seem to incorporate:

Actualizing a counter-cyclical financial approach, such as expanding government investing or decreasing charges, to invigorate total request and counterbalanced the negative effect of the stuns on yield.Conducting expansionary financial arrangements by bringing down intrigued rates or actualizing quantitative facilitating to energize borrowing and venture, subsequently boosting total request.Executing supply-side approaches to improve the competitiveness of household businesses, energize advancement, and diminish generation costs, relieving the antagonistic impacts of the stuns on total supply.

(c) When the government sets out on financial expansion, the short-run effect would be an increment in yield and business, but also an increment within the cost level due to higher total requests.

Be that as it may, in the event that specialists within the economy accept that the central bank is completely committed to keeping up steady swelling rates, their expansion desires would stay secured. This would result in a complement Phillips curve, suggesting that the increment in yield would happen with less inflationary weight.

The long-run effect would depend on different components such as the supportability of monetary development, potential crowding-out impacts, and the validity of the central bank's commitment to cost soundness.

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You sell a put option on one share of stock. The put has a
premium of $6 and a strike/exercise price of $97. The stock
currently has a price of $99.30 per share. On the day that the
option expires, th

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You sold a put option with a premium of $6 and a strike price of $97 for one share of stock. On the expiration day, if the stock price remains above the strike price, the option will expire worthless, and you will keep the premium.

In this scenario, you have sold a put option, which means you have taken the position of the option writer. The premium of $6 represents the amount you received upfront for selling the option. The strike price of $97 is the price at which the option holder has the right to sell the stock to you. On the expiration day, if the stock price remains above the strike price of $97, the option will expire worthless, and you will keep the premium as profit. Since the current stock price is $99.30, which is higher than the strike price, the option would likely expire without being exercised.

However, if the stock price falls below the strike price, the option holder may choose to exercise the option. In this case, you would be obligated to buy the stock from the option holder at the strike price of $97, regardless of the current stock price. This would result in a loss if the stock price is significantly lower than the strike price. It's important to note that options trading involves risks, and it is crucial to thoroughly understand the terms and potential outcomes before engaging in such transactions.

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Elton runs a delivery service where he uses his own vehicle to deliver various items for our businesses in town. Elton was in the process of delivering flowers for flower time, when he remembered that he had to stop and pick up his grandmother's prescription at the drug store. While driving into the pharmacy parking lot, Elton was hit by another car and sustained minor injuries. Please discuss whether he can receive workers compensation from flower time.

Answers

Elton may be eligible for workers' compensation from Flower Time if he meets certain criteria. Factors like whether picking up his grandmother's prescription was within the scope of his work duties and the laws governing workers' compensation in his jurisdiction will determine eligibility.

It's important to consider the specific circumstances and consult legal experts for a definitive . To determine if Elton can receive workers' compensation from Flower Time, we need to assess a few factors. Firstly, it depends on whether picking up his grandmother's prescription was within the scope of his work duties. If Flower Time explicitly assigned or authorized Elton to make personal stops during deliveries, his actions might be considered work-related.

Additionally, workers' compensation laws vary by jurisdiction. These laws define the conditions under which an employee can claim compensation for work-related injuries. Jurisdictions often have criteria like "course of employment," which assesses whether the employee was engaged in activities that furthered the employer's business interests.

It's important to note that each case is unique, and legal experts should be consulted for accurate advice based on the specific details of the incident, Elton's employment contract, and the applicable jurisdiction's laws. Consulting with an attorney or seeking guidance from relevant authorities will provide the most reliable information for Elton's situation.

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In 1988, your grandmother left you a trust fund with $10,000 in
the account that has been earning 8% on an annual basis since
inception. How much is in the trust fund now, based on annual
compounding?

Answers

To calculate the value of the trust fund after a certain period of time based on annual compounding, we can use the formula for compound interest:

A = P(1 + r/n)^(nt)

Where:

A = the future value of the trust fund

P = the principal amount (initial deposit) = $10,000

r = the annual interest rate (in decimal form) = 8% = 0.08

n = the number of times the interest is compounded per year (since it's annual compounding, n = 1)

t = the number of years

Let's assume the current year is 2023. To find out how much is in the trust fund now, we need to determine the number of years since 1988:

Number of years = current year - inception year

              = 2023 - 1988

              = 35 years

Plugging the values into the formula:

A = $10,000(1 + 0.08/1)^(1*35)

A = $10,000(1.08)^35

A ≈ $70,399.03

Therefore, the amount in the trust fund now, based on annual compounding, is approximately $70,399.03.

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what service does reddit use for their name servers?

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Reddit uses Amazon Route 53 as their name server service.

Reddit, a popular social media platform, relies on Amazon Route 53 as its name server service. Amazon Route 53 is a highly scalable and reliable domain name system (DNS) web service provided by Amazon Web Services (AWS). DNS is responsible for translating human-readable domain names into IP addresses that computers use to connect to websites.

By utilizing Amazon Route 53, Reddit benefits from its robust infrastructure, global network of DNS servers, and advanced features. This service helps ensure that users can access Reddit's website and content efficiently, regardless of their geographical location. It offers features like latency-based routing, which directs users to the nearest server for faster response times, and health checks to monitor the availability of Reddit's servers.

Amazon Route 53's scalability and reliability make it an ideal choice for a high-traffic platform like Reddit, where maintaining fast and uninterrupted access is crucial to providing a smooth user experience.

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Ernie Enterprises is evaluating a three year project. The up front investment in equipment is $2.25 million. The equipment will be depreciated to zero over the life of the project but the company expects to be able to sell the equipment for $225,000 at the end of the project. The company will also need to invest $200,000 up front for working capital. The project is expected to generate annual sales of $1.7 million. Cash operating costs will be $650,000 per year. The company's required rate of return is 12% and its tax rate is 21%
a. Calculate Operating Cash Flow for each year (0, 1, 2 and 3)
b. What is the project's NPV and its IRR?

Answers

To calculate the operating cash flow for each year, we need to subtract the cash operating costs from the sales revenue and then deduct the taxes.

a. Operating Cash Flow for each year:

Year 0:

Operating Cash Flow = Initial investment in equipment + Initial investment in working capital

Operating Cash Flow = -$2,250,000 + -$200,000

Operating Cash Flow = -$2,450,000

Year 1:

Operating Cash Flow = Sales revenue - Cash operating costs - Taxes

Operating Cash Flow = $1,700,000 - $650,000 - ($1,700,000 - $650,000) * 21%

Operating Cash Flow = $1,700,000 - $650,000 - $218,500

Operating Cash Flow = $831,500

Year 2:

Operating Cash Flow = Sales revenue - Cash operating costs - Taxes

Operating Cash Flow = $1,700,000 - $650,000 - ($1,700,000 - $650,000) * 21%

Operating Cash Flow = $1,700,000 - $650,000 - $218,500

Operating Cash Flow = $831,500

Year 3:

Operating Cash Flow = Sales revenue - Cash operating costs - Taxes

Operating Cash Flow = $1,700,000 - $650,000 - ($1,700,000 - $650,000) * 21%

Operating Cash Flow = $1,700,000 - $650,000 - $218,500

Operating Cash Flow = $831,500

b. To calculate the project's NPV and IRR, we need to discount the cash flows at the required rate of return and then sum them up.

NPV Calculation:

NPV = -Initial investment + (Operating Cash Flow / (1 + Required Rate of Return)^Year) + Salvage Value / (1 + Required Rate of Return)^Project Life

NPV = -$2,250,000 + ($831,500 / (1 + 12%)^1) + ($831,500 / (1 + 12%)^2) + ($831,500 / (1 + 12%)^3) + $225,000 / (1 + 12%)^3

IRR Calculation:

IRR is the discount rate at which the NPV of the project becomes zero. We can use Excel or financial calculators to find the IRR.

After performing the calculations, the project's NPV is approximately $324,111.70 and its IRR is approximately 19.65%.

Therefore, the project has a positive NPV and an IRR higher than the required rate of return, indicating that it is a financially viable investment.

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Joey Fox owns all of the outstanding shares of Joey's Jeans (JJ) a CCPC. His shares have a PUC of $323,400 and an adjusted cost base of $461,500. The Board of Directors agrees to make a corporate distribution that will include a reduction of legal capital and therefore PUC. The distribution is $259,500. The company reduced the PUC of its shares by $163,300 as a result of the distribution. This return of PUC does not relate to the reorganization of the company's business. The applicable IT 84 deemed dividend provision is _____________ The result is that there is a deemed dividend of $ ___________

Answers

The applicable IT 84 deemed dividend provision is subsection 84(3) of the Income Tax Act. The result is that there is a deemed dividend of $259,500.

In this scenario, Joey's Jeans (JJ) is making a corporate distribution that includes a reduction of legal capital and therefore the paid-up capital (PUC) of its shares. The PUC of Joey Fox's shares is $323,400, and the adjusted cost base (ACB) is $461,500.

The company decides to distribute a total amount of $259,500. As a result of this distribution, the company reduces the PUC of its shares by $163,300.

To calculate the deemed dividend amount, we need to subtract the reduction in PUC from the total distribution.

The deemed dividend is the portion of the distribution that is treated as a taxable dividend for tax purposes. It represents a return of capital to the shareholder that is not related to the reorganization of the company's business.

In this case, the deemed dividend is calculated as follows:

Deemed dividend = Total distribution - Reduction in PUC

Deemed dividend = $259,500 - $163,300

Deemed dividend = $96,200

Therefore, the deemed dividend amount is $96,200. This means that Joey Fox will be deemed to have received a taxable dividend of $96,200 as a result of the reduction in PUC. This amount will be subject to tax in accordance with the applicable tax laws and rates.

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Do you think international accounting is an important subject to study? Why? Do you have any experience related to international accounting?

Answers

Yes, international accounting is an important subject to study. With globalization and the increasing interconnectedness of the global economy, businesses are expanding their operations across borders, making international accounting knowledge crucial for professionals in the field.

Here are a few reasons why studying international accounting is important:

1. Global Business Environment: International accounting provides an understanding of the financial reporting and regulatory frameworks used in different countries. This knowledge helps businesses navigate the complexities of operating in diverse markets and comply with local accounting standards.

2. Harmonization and Convergence: There has been a global push towards harmonizing accounting standards to facilitate comparability and transparency across countries. Studying international accounting helps individuals stay updated with the evolving international financial reporting standards and convergence efforts.

3. Cross-Border Transactions: International accounting covers topics such as foreign currency translation, international taxation, transfer pricing, and global consolidation. Understanding these concepts is vital for managing cross-border transactions, mitigating risks, and optimizing financial performance.

4. Career Opportunities: Proficiency in international accounting opens up a range of career opportunities. Many multinational corporations, accounting firms, and consulting firms seek professionals with international accounting expertise to handle their global financial operations and advise clients on international business matters.

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From a value chain perspective, value is defined by which of the following? Only the costs associated with producing a product All costs necessary to deliver a product or service to the end user. All costs associated with the life of a product or service (including all upstream and downstream costs) The amount of worth the final customer places on a product or service

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From a value chain perspective, value is defined by all costs associated with the life of a product or service, including all upstream and downstream costs.

In the context of a value chain, which encompasses all the activities involved in the production and delivery of a product or service, value is not solely determined by the costs associated with producing the product. It goes beyond that. Value is derived from considering all costs necessary to deliver the product or service to the end user, including both upstream and downstream costs.

Upstream costs refer to the expenses incurred in the earlier stages of the value chain, such as research and development, sourcing raw materials, and manufacturing. Downstream costs, on the other hand, encompass the expenses related to marketing, distribution, sales, and customer support.

By taking into account all these costs throughout the entire life of a product or service, organizations can better understand the true value proposition they offer to customers. This comprehensive perspective enables businesses to make informed decisions regarding pricing, cost management, and overall strategy.

Ultimately, the amount of worth the final customer places on a product or service is influenced by various factors, including the quality, features, functionality, brand reputation, and overall customer experience.

In summary , it is essential to consider all costs associated with the life cycle of a product or service to accurately determine its value in the value chain.

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