Diamond Foods Payments to Nut Growers
The leadership of Diamond Foods (DF), the global California-based premium snack food company, was excited. In the fall of 2011, the company was close to finalizing an agreement with Proctor & Gamble to acquire Pringles brand in exchange for DF stock, this acquisition would help the company achieve the number two position in the U.S. snack foods industry behind PepsiCo. DF product lines currently included potatoes chips (Kettle), popcorn (Pop-Secret), and (nuts) snack nuts, in-shell nuts and culinary nuts) Emerald and Diamond of California). DF started in 1912 as a grower-owned cooperative called Diamond of California. The company originally focused on walnuts, but more recently they transformed into a diverse snack food company. The business changed from a co-operative business status and went public in 2005 with the NASDAQ ticker DMND. The stock price increased, and in September 2011, the price was at an all-time high of $92 per share.

The person who orchestrated the company’s expansion and growth was CEO and President Michael Mendes, who was hired in 1997. He had previously worked at Hormel Foods Corporation and Dole Food Company. Mendez was very competitive and implemented the companywide philosophy of "bigger is better". This viewpoint was the corporate culture, and it had a significant impact on employees of DF. This aggressive company culture resulted in an emphasis on financial performance and some bold and very expensive acquisitions (e.g., Kettle and Pop-Secret). The most expensive acquisition was to be Pringles. DF was making this acquisition, so it could be a significant player in the very competitive snack foods space where it felt pressure for financial success and greater market share amid increasing industry competition.

In Fall of 2011, Mark Roberts, founder of the Off-Wall Street Consulting Group, received an anonymous call. For the fiscal year ending in July 2011, the caller indicated that DF was making ‘momentum payments’ to growers for walnuts delivered in September 2011. It appears that the approximately $60 million payments could be impacting the wrong fiscal year financial statements. Robert accused DF of incorrectly reporting its payments to suppliers on the company financial statements. DF denied any illegal actions, and they replied that the payments were on advance on the fiscal 2012 crop and had nothing to do with fiscal 2011. Unfortunately, the nut growers disagreed. They were told by the company to keep the money even if they were not going to provide crops for 2012. Supposedly, they were told that the payments were for the prior year.

Investigation into the situation ascertained that an additional approximately $20 million of ‘continuity payments’ were made by DF growers in fall 2010. Again, the question arose as to what fiscal year did these payments relate. Were the payments recorded in the proper year? Were the books cooked? Would the Pringles acquisition occur?

There are many accounting rules that may apply in this case. Discuss the rules that you believe may apply.
In what fiscal periods should fall 2010 and fall 2011 payments have been recorded in the DF income statements?
When was the cash paid to the growers? Was it a different period than when the payments were recorded?
How were the financial statements impacted in 2010 and 2011?
2. Were there any other things happening in the company that could have had a part in this?

3. How was this case of fraud found? Who found it? What are some steps that could have been taken that may have prevented this? What changes did this company make in order to prevent this from occurring again?

4. In the end, was the Pringles line acquired?

Answers

Answer 1

The accounting rules that may apply in this case include revenue recognition, accrual accounting, and the matching principle.

The fall 2010 and fall 2011 payments should have been recorded in the income statements of the corresponding fiscal periods when the services were provided or the goods were delivered. The cash paid to the growers may have occurred in a different period than when the payments were recorded. The financial statements of DF in 2010 and 2011 were likely impacted by the incorrect recording of payments, potentially leading to misstated financial results.

The case of fraud was discovered through an anonymous call to Mark Roberts, who raised concerns about the payments. Steps that could have been taken to prevent this include implementing stronger internal controls, conducting regular audits, and ensuring compliance with accounting principles. To prevent similar incidents, the company may have made changes such as improving financial oversight, enhancing transparency, and tightening the process for recording payments.

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Related Questions

.currently have 179,000 in a bond account. You plan to add $6,100 per year at the end of the next 10 years to your bond account. the bond account will earn a return 7.75 percent the next ten years so how much will you have when you retire?

You are planning your retirement in 10 years. You currently have $179,000 in a bond account You plan to add $6.300 per year at the end of each of the next 10 years to your bond account. The bond account wit eam a retum of 275 percent in each of the next 10 years. How much will you have when you retire? Do not round immediate calculations and round your final answers to 2 decinal places.

Answers

To calculate the total amount you will have when you retire, we can use the future value of an ordinary annuity formula.

Given:

Present value (initial amount in the bond account) = $179,000

Annual deposit into the bond account = $6,100

Number of years = 10

Interest rate per year = 7.75%

Using the future value of an ordinary annuity formula:

FV = P * [(1 + r)^n - 1] / r

Where:

FV = Future value

P = Annual deposit

r = Interest rate per year

n = Number of years

Calculating the future value of the annuity:

FV = $6,100 * [(1 + 0.0775)^10 - 1] / 0.0775

= $6,100 * (1.0775^10 - 1) / 0.0775

≈ $91,107.21

Adding the initial amount in the bond account:

Total amount when you retire = $179,000 + $91,107.21

≈ $270,107.21

Therefore, when you retire in 10 years, you can expect to have approximately $270,107.21 in your bond account.

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Unexplained answers will NOT be graded An economist has estimated the demand equation of a certain product as Q-200-5P where P is the price unit and Qis the quantity demanded in th 1.Calculate the own price elasticity of demand of the product when its price goes from $30 to $35 per unit. 2. Give an interpretation of the value of the own price elasticity calculated in question 1. 3. Using the demand equation Q-200-5P, calculate the own price elasticity when price is P-$10. Is demand elastic, unit-elastic or inelasticat price 4. Using the demand equation Q-200-5P, determine the consumer surplus (CS) when price is P-$10. What's the total expenditure (TE) when pric when price is P=$10. ALT+F10 (PC) or ALT+FN+F10 (Mac).

Answers

1. The own price elasticity of demand is -5.

2. The negative own price elasticity indicates price elastic demand.

3. Insufficient information to determine the own price elasticity at $10 price.

4. The consumer surplus is $750, and the total expenditure cannot be determined without quantity information.

1. The own price elasticity of demand can be calculated using the formula: Elasticity = (% change in quantity demanded) / (% change in price). In this case, the price increases from $30 to $35, resulting in a 16.67% change. Plugging the values into the formula, the own price elasticity is -5.

2. The negative value of the own price elasticity (-5) indicates that the product has a price elastic demand. This means that a 1% increase in price will lead to a 5% decrease in quantity demanded. The product is considered to be price-sensitive, and consumers are responsive to changes in price.

3. Substituting the price value of $10 into the demand equation Q = 200 - 5P, we find that the quantity demanded is Q = 200 - 5(10) = 150 units. To calculate our own price elasticity, we need to know the percentage change in quantity demanded and the percentage change in price, which are not provided. Without this information, we cannot determine whether the demand is elastic, unit-elastic, or inelastic at this price.

4. To determine the consumer surplus (CS) when the price is $10, we need to find the area under the demand curve above the price level. Using the demand equation Q = 200 - 5P, when P = $10, the quantity demanded is Q = 200 - 5(10) = 150 units. The consumer surplus can be calculated as CS = (1/2) x (150) x (10) = $750. However, the total expenditure (TE) when the price is $10 cannot be determined without knowing the quantity demanded at that price.

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.Select all that apply
What are steps in the problem-solution organizational method of organizing persuasive speeches on questions of policy?
A. Explaining the root causes of the problem
B. Suggesting a practical plan
C. Demonstrating a need
D. Explaining the importance of the problem

Answers

The problem-solution organizational method of organizing persuasive speeches on questions of policy involves a few critical steps.

Below are some steps that one can use in the problem-solution organizational method of organizing persuasive speeches on questions of policy: Demonstrating a need: The first step is demonstrating a need. One should present a clear and compelling case for why the problem needs to be addressed, why it is critical, and how it affects the audience. Explaining the root causes of the problem: The second step is explaining the root causes of the problem. One should provide a thorough analysis of the problem's root causes, making sure to explain how and why it exists. Suggesting a practical plan: The third step is suggesting a practical plan. One should offer a detailed and comprehensive solution to the problem, explaining why it is effective and practical. Explaining the importance of the problem: The fourth and final step is explaining the importance of the problem. One should remind the audience of the critical nature of the problem, why it needs to be solved, and what will happen if it is not addressed. These are the critical steps in the problem-solution organizational method of organizing persuasive speeches on questions of policy.

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A production department's output for the most recent month consisted of 19,500 units completed and transferred to the next stage of production and 19,500 units in ending Work in Process inventory. The units in ending Work in Process inventory were 60% complete with respect to both direct materials and conversion costs. There were 2,900 units in beginning Work in Process inventory, and they were 80% complete with respect to both direct materials and conversion costs. Calculate the equivalent units of production for the month, assuming the company uses the weighted average method. 00:44:45 Ask Multiple Choice O O 20,080 units. 19.500 units. 31,780 units. units. 31,200 units.

Answers

Number of units completed and transferred to the conversion cost next stage of production= 19500Number of units in ending Work in Process inventory= 19500Units in ending Work in Process inventory were 60% complete with respect to both direct materials and conversion costs.

Number of units in beginning Work in Process inventory = 2900Units in beginning Work in Process inventory were 80% complete with respect to both direct materials and conversion costs. The equivalent units of production for the month, assuming is 31,200 units. The formula for calculating the equivalent units of production for the month, assuming the company uses the weighted average method is:EUP = Units completed and transferred to the next stage of production + Units in ending work in process (WIP) x Percentage completion Therefore,EUP

= 19500 + 19500 x 0.6

= 19500 + 11700= 31200Therefore, the equivalent units of production for the month, assuming the company uses the weighted average method is 31,200 units.

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.Whitman Company has just completed its first year of operations. The company's absorption costing income statement for the year appears below:

Whitman Company Income Statement Sales (39,000 units x $40.60 per unit) $1,542,800

Cost of goods sold (38,000 units x $24 per unit) 912,000

Gross margin 630,800

Selling and administrative expenses 437,000

Net operating income $193,800

The company's selling and administrative expenses consist of $285,000 per year in fixed expenses and $4 per unit sold in variable expenses. The $24 per unit product cost given above is computed as follows:

Direct materials $11

Direct labor 5

Variable manufacturing overhead 3

Fixed manufacturing overhead ($240,000 x 48,000 units) 5

Absorption costing unit product cost $24

1. Prepare the company's income statement in the contribution format using variable costing.

2. Reconcile any difference between the net operating income on your variable costing income statement and the net operating income on the absorption costing income statement.

Answers

1. Whitman Company Income Statement (Variable Costing)

Sales: (39,000 units x $40.60 per unit) $1,542,800

Variable Expenses:

- Direct materials: (39,000 units x $11 per unit) $429,000

- Direct labor: (39,000 units x $5 per unit) $195,000

- Variable manufacturing overhead: (39,000 units x $3 per unit) $117,000

- Variable selling and administrative expenses: (39,000 units x $4 per unit) $156,000

Total Variable Expenses: $897,000

Contribution Margin: $1,542,800 - $897,000 = $645,800

Fixed Expenses:

- Fixed manufacturing overhead: $240,000

- Fixed selling and administrative expenses: $285,000

Total Fixed Expenses: $525,000

Net Operating Income: $645,800 - $525,000 = $120,800

2. Reconciliation of Net Operating Income:

Absorption Costing Net Operating Income: $193,800

Variable Costing Net Operating Income: $120,800

Difference = Absorption Costing Net Operating Income - Variable Costing Net Operating Income

= $193,800 - $120,800

= $73,000

The difference of $73,000 represents the increase in net operating income under absorption costing compared to variable costing. This difference is due to the fixed manufacturing overhead being absorbed into the product cost under absorption costing. Since the company produced more units (39,000) than it sold (38,000), the fixed manufacturing overhead allocated to each unit is higher, resulting in a higher product cost and higher net operating income under absorption costing.

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Earleton Manufacturing Company has $2 billion in sales and $471,500,000 in fixed assets. Currently, the company's fixed assets are operating at 85% of capacity.

What level of sales could Earleton have obtained if it had been operating at full capacity? Write out your answers completely. For example, 13 million should be entered as 13,000,000. Round your answer to the nearest dollar.
$

What is Earleton's target fixed assets/sales ratio? Do not round intermediate calculations. Round your answer to two decimal places.
%

If Earleton's sales increase 20%, how large of an increase in fixed assets will the company need to meet its target fixed assets/sales ratio? Write out your answer completely. Do not round intermediate calculations. Round your answer to the nearest dollar.
$

Answers

The Target fixed assets/sales ratio of Earleton's is 23.58% . The required increase in fixed assets is $242,454,000.

If Earleton Manufacturing Company is currently operating at 85% of capacity and has $2 billion in sales, to determine the level of sales it could have obtained if operating at full capacity, we can use the formula:

Full capacity sales = Current sales / Capacity utilization

Full capacity sales = $2,000,000,000 / 0.85 = $2,352,941,176 (rounded to the nearest dollar).

To calculate Earleton's target fixed assets/sales ratio, we divide the fixed assets by the sales and multiply by 100:

Target fixed assets/sales ratio = (Fixed assets / Sales) * 100

Target fixed assets/sales ratio = ($471,500,000 / $2,000,000,000) * 100 = 23.58% (rounded to two decimal places).

If Earleton's sales increase by 20%, we need to calculate the increase in fixed assets required to maintain the target fixed assets/sales ratio. First, we determine the new sales level:

New sales = Current sales + (Current sales * Sales increase)

New sales = $2,000,000,000 + ($2,000,000,000 * 0.20) = $2,400,000,000

Then, we calculate the required increase in fixed assets:

Required increase in fixed assets = (New sales * Target fixed assets/sales ratio) - Current fixed assets

Required increase in fixed assets = ($2,400,000,000 * 0.2358) - $471,500,000 = $242,454,000 (rounded to the nearest dollar).

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Workers Production of Beef 1 5000 2 9500 3 12602 4 M Assume the MPL of the 4th worker is 1178. What is the value of "M" in the table?
Workers Production of Beef
1 5000
2 9500
3 12602
4 M

Answers

To find the value of "M" in the table, we need to determine the production of beef when there are 4 workers. The marginal product of the 4th worker is given as 1178.

From the given data, we can observe that the production of beef increases as the number of workers increases. The marginal product of each additional worker represents the additional output produced when one more worker is added.

Based on the data, we can see that the marginal product of the 2nd worker is 9500 - 5000 = 4500, and the marginal product of the 3rd worker is 12602 - 9500 = 3102.

To find the value of "M," we can calculate the total production of beef when there are 4 workers by adding the marginal product of the 3rd worker to the production when there are 3 workers:

Production with 3 workers = 12602

MPL of 4th worker = 1178

Production with 4 workers = Production with 3 workers + MPL of 4th worker

M = 12602 + 1178

M = 13780

Therefore, the value of "M" in the table is 13780.

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Freda's Florist reported the following before-tax income statement items for the year ended December 31, 2021: Operating income $ 263,000 Income on discontinued operations 58,000 All income statement items are subject to a 25% income tax rate. In its 2021 income statement, Freda's separately stated income tax expense and total income tax expense would be:

Answers

In Freda's Florist's 2021 income statement, the separately stated income tax expense would be $65,250, and the total income tax expense would also be $65,250.

To calculate the separately stated income tax expense, we need to multiply the operating income by the income tax rate. Therefore, $263,000 * 25% = $65,750. This represents the income tax expense attributable to the operating income. Since the income on discontinued operations is already stated separately, it has its own tax implications. The income tax expense related to the discontinued operations would be $58,000 * 25% = $14,500.

To calculate the total income tax expense, we sum up the separately stated income tax expense for operating income and discontinued operations. $65,750 + $14,500 = $80,250. Therefore, the total income tax expense for Freda's Florist's 2021 income statement would be $80,250. It's important to note that the income tax expense is calculated based on the reported before-tax income statement items and the given income tax rate of 25%.

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Peyton Manufacturing is trying to decide between two different conveyor belt systems. System A costs $280,000, has a four-year life, and requires $85,000 in pretax annual operating costs. System B costs $396,000, has a six-year life, and requires $79,000 in pretax annual operating costs. Both systems are to be depreciated straight-line to zero over their lives and will have zero salvage value. Suppose the company always needs a conveyor belt system; when one wears out, it must be replaced. Assume the tax rate is 25 percent and the discount rate is 9 percent. Calculate the EAC for both conveyor belt systems. (Your answers should be negative values and indicated by minus signs. Do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16.)

Answers

The EAC is the annual cost that would be equivalent to the costs incurred over the life of the system. To calculate the EAC (Equivalent Annual Cost) for each conveyor belt system, we need to determine the annual cash flows for each system and then calculate the present value of those cash flows.

For System A:

Initial Cost: -$280,000

Annual Operating Costs: -$85,000

Annual Cash Flow: -$85,000 (Operating Costs)

Depreciation Expense: -$280,000 / 4 = -$70,000

To calculate the tax savings from depreciation, we multiply the depreciation expense by the tax rate:

Tax Savings: $70,000 * 0.25 = -$17,500

Net Cash Flow (Year 0): -$280,000

Net Cash Flow (Years 1-4): -$85,000 - $17,500 = -$102,500

For System B:

Initial Cost: -$396,000

Annual Operating Costs: -$79,000

Annual Cash Flow: -$79,000 (Operating Costs)

Depreciation Expense: -$396,000 / 6 = -$66,000

Tax Savings: $66,000 * 0.25 = -$16,500

Net Cash Flow (Year 0): -$396,000

Net Cash Flow (Years 1-6): -$79,000 - $16,500 = -$95,500

Next, we calculate the present value of the net cash flows for each system using the discount rate of 9%.

For System A:

EAC_A = PV of Net Cash Flows / PVIFA(9%, 4)

EAC_A = [(-$280,000) + (-$102,500) / 0.09] / [1 - (1 / (1 + 0.09)^4)]

EAC_A = (-$382,500 / 0.3053) = -$1,252,955.14

For System B:

EAC_B = PV of Net Cash Flows / PVIFA(9%, 6)

EAC_B = [(-$396,000) + (-$95,500) / 0.09] / [1 - (1 / (1 + 0.09)^6)]

EAC_B = (-$491,500 / 0.4024) = -$1,221,512.40

Therefore, the EAC for System A is -$1,252,955.14 and for System B is -$1,221,512.40.

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If the following times are estimated for an activity of the project, calculate the mean and the variance using PERT analysis.
a = 5
b = 13
m = 9

Answers

PERT (Program Evaluation and Review Technique) analysis is an approach used in project management to estimate project completion times based on three time estimates: optimistic (O), most likely (M), and pessimistic (P).

The mean and variance are used to determine the probability distribution for the completion time of a particular activity given these estimates.If the optimistic time (b) is 13 and the most likely time (m) is 9, we can calculate the pessimistic time (p) using the formula: p = (4m - b)/3p = (4 * 9 - 13)/3p = 7Therefore, the three time estimates for this activity are:b = 13m = 9p = 7The mean of these estimates can be calculated using the formula: mean = (b + 4m + p)/6mean = (13 + 4 * 9 + 7)/6mean = 10The variance can be calculated using the formula: variance = ((b - m)/6)^2 + ((p - m)/6)^2 + ((p - b)/6)^2variance = ((13 - 9)/6)^2 + ((7 - 9)/6)^2 + ((7 - 13)/6)^2variance = 1.67Therefore, the mean completion time for this activity is 10, and the variance is 1.67. These values can be used to estimate the probability distribution for the completion time of the activity and to make decisions about the project schedule and resources needed.

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A large retailer selling food and most routinely purchased consumer products is a
A) hypermarket.
B) supermarket.
C) discount store.
D) warehouse club.
E) superstore.

Answers

The correct answer is A) hypermarket. Stakeholders involved in the operation and success of a hypermarket typically

Explanation:A large retailer selling food and most routinely purchased consumer products is a hypermarket. A hypermarket is a retail store that is a combination of a supermarket and a department store. It sells a wide variety of goods, including food, clothes, electronics, and household items, under one roof.A hypermarket is known for its large size and wide selection of products.

They often have a large parking area and offer a one-stop-shop for customers looking to do all their shopping in one place. Hypermarkets are typically found in suburban or rural areas where there is enough space to accommodate the large building and parking lot.In summary, a hypermarket is a large retail store that sells food and a wide variety of consumer products. They are a combination of a supermarket and a department store and are known for their large size and wide selection of products. The main answer is A) hypermarket.

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what is the form of business ownership where you are taxed only at the personal level?

Answers

The form of business ownership where you are taxed only at the personal level is known as a "pass-through entity."

Pass-through entities are not subject to separate corporate taxation. Instead, the income or losses of the business "pass through" to the owners, who report them on their individual tax returns and are taxed at their personal tax rates. The owners of pass-through entities are typically responsible for paying self-employment taxes as well.

Examples of pass-through entities include sole proprietorships, partnerships, limited liability companies (LLCs), and S corporations. Each of these business structures has its own characteristics and legal requirements, so it's essential to consult with a qualified tax professional or attorney to determine the most suitable option for your specific circumstances.

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Please show all work in excel! will upvote once both answred thank you!
You are offered an annuity that will pay you 10,000 at the end of each year for 20 years, with the first payment being in 10 years from today. If the interest rate is 12% annually, what is this annuity worth to you today?
26,935.56
24,100.55
200,000
64,394.55
74,694.44
Your company is considering a project with the following cash flows.
year cashflow
0 -800
1 5000
2 200
3 -5000
Assuming the cost of capital is 10%, first internal rate of return?
7.46%
7.51%
8.20%
0%
9.54%

Answers

The annuity is worth approximately $26,935.56. The project has a first IRR of approximately 7.46% with cash flows of -$800, $5,000, $200, and -$5,000 over four years at a cost of capital of 10%.

The explanation of the calculations for excel sheet is

Annuity Calculation

To calculate the present value of an annuity, we can use the formula:

PV = C * [(1 - (1 + r)⁻ⁿ) / r],

where PV is the present value, C is the cash flow per period, r is the interest rate per period, and n is the number of periods.

Using the given information:

C = $10,000 (cash flow per year),

r = 12% (interest rate), and

n = 20 (number of years).

Using the formula, we can calculate the present value (annuity worth) as follows:

PV = $10,000 * [(1 - (1 + 0.12)^(-20)) / 0.12]

PV ≈ $26935.56

Therefore, the annuity is worth approximately $26,935.56 today.

Internal Rate of Return (IRR) Calculation

To calculate the internal rate of return (IRR), we need to find the discount rate that makes the net present value (NPV) of the cash flows equal to zero. We can use the IRR function in Excel to find the IRR.

Using the cash flows given:

Year 0: -$800

Year 1: $5,000

Year 2: $200

Year 3: -$5,000

In Excel, you can use the following formula to calculate the IRR:

=IRR(B1:B4),

where B1:B4 represents the range of cash flows.

Using this formula, the first internal rate of return is approximately 7.46%.

Therefore, the first internal rate of return for the project is approximately 7.46%.

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Hassan's income increases and, as a result, he buys more fish. Is fish an inferior or a normal good? Why? What happens to Hassan's demand curve for fish? Explain. Over the past 30 years, technological advances have reduced the cost of computer chips. How do you think this has affected the market for computers? And the market for typewriters? Explain.

Answers

Fish is likely a normal good for Hassan because as his income increases, he buys more of it. The demand curve for fish would shift to the right, indicating an increase in demand, as Hassan's higher income allows him to purchase more fish.

Fish being a normal good for Hassan implies that it is a product for which demand increases as income rises. This suggests that fish is considered a desirable and higher-quality product that people are willing to consume more of when they have more purchasing power. As Hassan's income increases, he has more disposable income available to spend on various goods, including fish. Consequently, he chooses to buy more fish, indicating that it is a normal good for him.

In terms of the demand curve for fish, the increase in Hassan's income would cause a rightward shift in the curve. This means that at each price level, Hassan is now willing and able to buy more fish compared to his previous income level. The shift reflects an increase in demand for fish, as higher income enables him to afford and consume a greater quantity of fish. The entire demand curve would shift, indicating a change in the relationship between the price of fish and the quantity demanded by Hassan. The extent of the shift depends on the income elasticity of demand for fish, which measures the responsiveness of quantity demanded to changes in income.

Regarding technological advances in computer chips, they have had a significant impact on the market for computers. These advancements have led to increased efficiency, improved performance, and reduced production costs for computer manufacturers. As a result, the market for computers has experienced increased supply, lower prices, and higher demand.

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perform online research and choose a career in the financial services industry. determine the education you will need to prepare for this career.

Answers

To pursue a career in the financial services industry, you will typically need a bachelor's degree in finance, accounting, economics, or a related field, and certifications such as CFA, CFP, or CPA can provide additional advantages.

To pursue a career in the financial services industry, you will need a relevant educational background and qualifications. Acquiring a bachelor's degree in finance, accounting, economics, or a related field is a common requirement for entry-level positions. Additionally, obtaining certifications such as the Chartered Financial Analyst (CFA), Certified Financial Planner (CFP), or Certified Public Accountant (CPA) can greatly enhance your career prospects in the financial services industry. Continuous learning and staying updated with industry trends and regulations will also be crucial for long-term success.

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The National Fire Protection Association has classified fires
according to three basic types. List them, including a brief
description of each.

Answers

The National Fire Protection Association has classified fires according to three basic types. These types of fire are based on the type of fuel that is burning.

The three basic types of fires are:Class A fire:This type of fire is the most common and occurs when materials like wood, paper, plastic, and cloth ignite. They are usually fueled by combustible solids. When these materials burn, they leave an ash residue. This fire can be extinguished with water, foam, or dry chemical.Class B fire:This type of fire is caused by flammable or combustible liquids such as gasoline, oil, and kerosene.

They can also involve flammable gases. Class B fires can spread quickly and can be challenging to put out because they can re-ignite. Water should not be used to put out a Class B fire because it can spread the fire. Class B fires are best extinguished using foam, dry chemical, or carbon dioxide.Class C fire:This type of fire is caused by electrical equipment, such as motors, transformers, and appliances. Because electricity is involved, it is essential to shut off the power source before attempting to put out the fire. Class C fires are often caused by a short circuit or overload. This type of fire can be extinguished by using a fire extinguisher with a non-conductive agent like carbon dioxide or a dry chemical.

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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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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

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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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To address the eurozone crisis, the European Central Bank (ECB) adopted a negative interest rate policy in 2014. The ECB lowered its deposit rate to -0.1% that year to hold off deflation and move the economic bloc out of a prolonged recession. Today, the ECB deposit rate is - 0.5%, the lowest on record. In theory, negative rates would boost the economy by encouraging consumers and banks to take more risks through borrowing and lending money. Using the IS-LM framework, explain why traditional monetary policy fails in the presence of zero lower bounds, and how the negative interest rate policy may help the ECB to bring the economy out of recession. [20 marks]
MUST USE IS-LM MODEL TO EXPLAIN

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The European Central Bank (ECB) adopted a negative interest rate policy to address the eurozone crisis. The ECB lowered its deposit rate to -0.1% that year to prevent deflation and bring the economic bloc out of a long-term recession.

In theory, negative interest rates would boost the economy by encouraging consumers and banks to take more risks through borrowing and lending money. Traditional monetary policy fails in the presence of zero lower bounds as the interest rates can't go lower. As a result, the central bank is unable to stimulate borrowing and lending in the economy.

When interest rates are already near zero, the effectiveness of monetary policy is severely restricted as it can no longer boost investment and consumption demand through interest rate cuts. Hence, conventional monetary policy becomes ineffective when interest rates hit zero and even quantitative easing (QE) has only limited effects. In this case, the negative interest rate policy may help the ECB bring the economy out of recession by lowering borrowing costs and increasing the availability of credit, thereby increasing investment and consumption.

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