An agile supply chain is crucial in times of challenges like the COVID-19 pandemic. It requires an appropriate blend of coordination, communication, and speed in various aspects, including procurement, inventory management, assembly, and product/service delivery. Here's how each of these components contributes to an agile supply chain during such challenging times:
Procurement: Agile procurement involves establishing strong relationships with suppliers, maintaining transparency, and having alternative sourcing strategies. During the pandemic, when supply chains were disrupted, agile procurement allowed organizations to quickly identify alternative suppliers, negotiate flexible contracts, and ensure the availability of critical inputs for production.
Inventory Management: Agile inventory management focuses on optimizing inventory levels and having real-time visibility of inventory across the supply chain. In times of challenges like the pandemic, where demand and supply patterns were uncertain, organizations with agile inventory management systems could quickly adjust their inventory levels, prioritize essential products, and minimize excess stock or shortages.
Assembly: Agile assembly refers to flexible production processes that can quickly adapt to changes in demand, product configurations, or customization requirements. During the pandemic, companies with agile assembly capabilities were able to adjust their production lines to manufacture essential goods like personal protective equipment (PPE) or medical supplies, reconfigure production layouts to ensure social distancing, and implement safety protocols effectively.
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1) A brief explanation of your core brilliant, new idea to respond to the need of your client company. (what is your new idea to make changes in their current marketing plan. You may suggest new product, reposition the brand, digital marketing ideas, etc.)
2) Why do you think your idea will be a success and what are your rational?
I choose the telecommunication company Fido in Canada. I am planning to start a service for kids in collaboration with Fido. The service is about when kids would be in trouble, with the help of this service, they can send indications to their parents. In this regard, please answer the above 2 questions.
My brilliant new idea is to incorporate digital marketing to Fido's existing marketing plan that is launching a mobile app that allows parents to receive notifications in real-time when their kids are in trouble. This idea will be a success because it responds to a need in the market and is also use-friendly.
1) My brilliant new idea is to incorporate digital marketing to Fido's existing marketing plan. I suggest launching a mobile app that allows parents to receive notifications in real-time when their kids are in trouble. Parents can easily track their child's location and get alerts when they go outside of a designated area.
The app can also have a feature where kids can send quick pre-set alerts to their parents if they are in trouble, such as feeling unsafe or being lost. Additionally, Fido can collaborate with schools to promote the app and offer it as an added service for parents.
Fido can also partner with other companies in the child safety industry, such as wearable tech companies or safety education organizations to promote the app and create a comprehensive child safety solution.
2) I think this idea will be a success because it responds to a need in the market. Parents are always concerned about their child's safety, and this app offers an easy solution for them to monitor their child's whereabouts.
Moreover, the app is user-friendly and can be customized according to the needs of each family. Another rational for this idea to be successful is that Fido has a large customer base, and the app will allow the company to expand its target audience to parents who are concerned about their child's safety.
The collaboration with schools and other companies will help Fido build a strong brand reputation in the child safety industry and position the company as a leader in the market. Moreover, the app can be used as a tool to collect data on the consumer's behavior, preferences, and usage.
This information can be used to improve the product and provide personalized marketing to the customers. Overall, this idea can be an excellent opportunity for Fido to improve its marketing plan and offer added value to its customers.
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BNY plc, which pays corporation tax at 25%, has the following capital structure: Ordinary shares: 900,000 ordinary shares of nominal value 25p per share. The market value of the shares is 49p per share. A dividend of 7p per share has just been paid, and dividends are expected to grow by 7% per year for the foreseeable future. Preference shares: 350,000 preference shares of nominal value 60p per share. The market value of the shares is 32p per share and the annual net dividend of 7.5% has just been paid. Debentures: GHC100,000 of 10-year redeemable debentures with a market price of GHC92 per GHC100 block. These debentures have a coupon rate of 10% and the annual interest payment has just been made. Calculate the weighted average after-tax cost of capital of BNY plc. Q5 (b) Preferred stock is source of finance also called a hybrid security. Justify the usage of preferred stock on the capital structure of companies such as Standard Chartered Bank (GH) Ltd.
Weighted Average Cost of Capital (WACC):Weighted Average Cost of Capital (WACC) is a measure of a company's cost of capital.
Then, the after-tax cost of each financial component is divided by the company's total market value to obtain the weighted average cost of capital (WACC).
The formula for calculating WACC is given by, WACC = (E/ V × Re) + [(D/ V × Rd) × (1 − Tc)] where, E = Market value of the company's equity, D = Market value of the company's debt, V = Total value of capital (equity plus debt), Re = Cost of equity, Rd = Cost of debt, and Tc = Corporate tax rate. Calculation of WACC of BNY plc: Firstly, we have to calculate the market value of the equity, which is as follows: Market value of ordinary shares = Number of ordinary shares × Market value per share = 900,000 × £0.49 = £441,000.Market value of preference shares = Number of preference shares × Market value per share = 350,000 × £0.32 = £112,000. Therefore, the market value of equity (E) = £441,000 + £112,000 = £553,000. The market value of debt (D) is GHC100,000 × GHC92 = £92,000.
Now, we will calculate the cost of equity (Re) as follows: Cost of equity = (Dividend per share ÷ Market value per share) + Dividend growth rate = (£0.07 ÷ £0.49) + 7% = 21.4%Next, we will calculate the after-tax cost of debt (Rd) as follows:After-tax cost of debt = (Coupon rate × (1 − Tax rate)) + (Market discount ÷ Years to maturity) = (10% × (1 − 25%)) + (8% ÷ 10) = 8.5%Therefore, the WACC of BNY plc is: WACC = [(E/ V × Re) + (D/ V × Rd)] = [(£553,000/ £645,000 × 21.4%) + (£92,000/ £645,000 × 8.5%)] = 17.2%
It usually pays a fixed dividend and is senior to common stock but subordinate to debt in the event of bankruptcy.
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Which role should the RTE play related to hackathon event? Get approval for work to be done in the hackathon Ensure the teams have allocated story points in the Innovation and Planning Iteration during the PI to account for the effort Allow the teams aS much flexibility as possible to promote innovation Work with development leaders to make sure they give clear and detailed guidance to the developers on what is expected
The role of Release Train Engineer (RTE) in relation to the Hackathon event is to ensure that the teams have allocated story points in the Innovation and Planning Iteration (IP Iteration) during the PI to account for the effort. The other responsibilities of the RTE during the hackathon event include:Making sure that the teams have allocated story points in the IP iteration to account for the effort.Get approval for work to be done in the hackathon.Work with development leaders to ensure that they give clear and detailed guidance to the developers on what is expected.Allow the teams as much flexibility as possible to promote innovation.RTEs act as a conduit between the teams, ART, and Product Management. They assist in ensuring that the teams work effectively and that the project stays on track. They also assist with removing any impediments that the teams may face. The RTE is responsible for supporting Agile Release Trains (ARTs) and suppliers in achieving the goals of program increment planning and execution.This ensures that the teams have the required resources and environment to succeed, and that they stay aligned to the organization's objectives.
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A mechanical engineer who is planning for his daughter's college education plans to start depositing money now (year 0) and continue through year 17. If he deposits RM 5,000 each year, (i) Determine how much will his daughter be able to withdraw each year starting in year 18 and continuing through year 22? Assume the account earns interest at 10% per year. (ii) Draw the cash flow diagram for the problem in Q2 (b) (i)
Given that, a mechanical engineer is planning for his daughter's college education plans to start depositing money now (year 0) and continue through year 17.
If he deposits RM 5,000 each year. The account earns interest at 10% per year. The questions are(i) Determine how much will his daughter be able to withdraw each year starting in year 18 and continuing through year 22?
Given,Annual payment = A = RM5000
Interest rate = i = 10% = 0.1
Total number of years = N = 17
Number of years for withdrawal = n = 5
Total amount deposited = RM 5000 x 17 = RM 85,000
Using the formula to find the Future value of Annuity,FV of annuity = (A*((1+i)^n-1)/i)*(1+i) = (5000*(((1+0.1)^5-1)/0.1))*(1+0.1) = RM 31,216.10
The daughter will be able to withdraw RM 31,216.
10 each year starting in year 18 and continuing through year 22.(ii) Draw the cash flow diagram for the problem in Q2 (b) (i)The cash flow diagram for the problem is shown below:
Answer: The daughter will be able to withdraw RM 31,216.10 each year starting in year 18 and continuing through year 22.
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Required information [The following information applies to the questions displayed below.] The following transactions occur for the Wolfpack Shoe Company during the month of June: a. Provide services to customers for $30,000 and receive cash. b. Purchase office supplies on account for $20,000. c. Pay $7,000 in salaries to employees for work performed during the month.
a. The transaction is a revenue transaction. The company provides services to customers and receives cash.
This transaction increases both the revenue and cash accounts. The journal entry for this transaction would be:
Debit: Cash $30,000
Credit: Revenue $30,000
b. The transaction is a purchase transaction. The company purchases office supplies on account. This transaction increases the office supplies asset and creates a liability for the amount owed. The journal entry for this transaction would be:
Debit: Office Supplies $20,000
Credit: Accounts Payable $20,000
c. The transaction is an expense transaction. The company pays salaries to employees for work performed during the month. This transaction decreases the cash account and increases the expense account. The journal entry for this transaction would be:
Debit: Salaries Expense $7,000
Credit: Cash $7,000
After these transactions, the financial statements would reflect the following changes:
The revenue account would increase by $30,000.
The cash account would increase by $23,000 ($30,000 - $7,000).
The office supplies asset would increase by $20,000.
The accounts payable liability would increase by $20,000.
The salaries expense would increase by $7,000.
These transactions would be recorded in the company's general ledger and used to prepare the financial statements, such as the income statement and balance sheet, for the month of June.
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A 10-year, 6.1-percent coupon bond is selling for 103.5 percent of par. What is the bond's market yield if it makes semi-annual coupon payments? (Round answer to 3 decimal places, e.g. 5.795.) Bond's Market Yield %
A bond is a debt instrument that firms and governments issue to raise money. Bonds can be bought and sold on the secondary market. Market yield is the bond's current yield if it is sold on the secondary market. It is computed by dividing the coupon rate by the current price of the bond. The bond's market yield is 5.781 percent.
A 10-year, 6.1-percent coupon bond is selling for 103.5 percent of par, and the bond makes semi-annual coupon payments.
To determine the bond's market yield, the bond's annual interest payment must be calculated first. The bond's annual interest payment is the product of the bond's par value and the coupon rate.
In this case, the annual interest payment on the bond is 6.1 percent of $1,000, or $61.
The bond's semi-annual interest payment is half of the annual interest payment, or $30.5.
The bond's market yield can now be calculated using the formula for the market yield of a bond.
The formula is: Market yield = (Annual interest payment / Bond price) x 100%. The bond is selling for 103.5 percent of par value, or $1,035. Therefore, the bond price can be calculated as $1,035 / $1,000 par value = 1.035.
As a result, the bond's market yield is calculated as follows:
Market yield = (2 x $30.5 / $1,035) x 100% = 5.781%.
Hence, the bond's market yield is 5.781 percent, rounded to three decimal places.
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Which of the following items are usually reported as current liabilities in the statement of financial position (Select all that apply) Trade and other payables. Current portion of long-term note. Non-current portion of long-term nobe. Income tax payable. Short-term borrowings. Deferred tax liability expected to moverse next year.
The items that are usually reported as current liabilities in the statement of financial position are Trade and other payables, Income tax payable, and Short-term borrowings.
Current liabilities are obligations that are expected to be settled within the normal operating cycle of a business, typically within one year. Trade and other payables refer to amounts owed to suppliers and vendors for goods and services received. These are short-term obligations that need to be paid within the operating cycle.
Income tax payable represents the taxes owed to the government based on the taxable income generated by the company. It is a current liability because it is expected to be paid within the next year.
Short-term borrowings refer to any loans or credit facilities that are due for repayment within one year. These can include bank loans, lines of credit, or other forms of short-term financing.
On the other hand, the Current portion of long-term note, Non-current portion of long-term note, and Deferred tax liability expected to reverse next year are not reported as current liabilities. The current portion of long-term notes represents the portion of a long-term loan that is due within the next year, and it is reported separately from current liabilities. The non-current portion of long-term notes is reported as long-term liabilities. The deferred tax liability expected to reverse next year is also classified as a long-term liability, as it represents tax obligations that will be realized beyond the next year.
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A real estate agent wants to use a multiple regression model to predict the selling price of a home (in thousands of dollars) using the following four x variables.
Age: age of the home in years
Bath: total number of bathrooms
LotArea: total square footage of the lot on which the house is built
TotRms_AbvGrd: total number of rooms (not counting bathrooms) in the house
The agent runs the regression using Excel and gets the following output. Some of the numbers have been replaced by "?" You might not need to use these numbers, depending on the question.
Since the specific output from the regression analysis is not provided, I am unable to provide a direct answer, explanation, and conclusion based on the given information. However, I can provide a general explanation of a multiple regression model and its application in predicting the selling price of a home using the given variables.
In a multiple regression model, the selling price of a home is predicted based on multiple independent variables or predictors. In this case, the independent variables are the age of the home, the total number of bathrooms, the total square footage of the lot, and the total number of rooms (excluding bathrooms) in the house.
The regression analysis would generate coefficients for each independent variable, indicating their respective impact on the selling price. These coefficients represent the estimated change in the selling price for a one-unit increase in each independent variable, holding other variables constant.
The regression model equation would be of the form:
Selling Price = β0 + β1 * Age + β2 * Bath + β3 * LotArea + β4 * TotRms_AbvGrd + ε
where β0 is the intercept term, β1, β2, β3, and β4 are the coefficients for each independent variable, and ε is the error term.
By estimating the coefficients using regression analysis, the real estate agent can use the model to predict the selling price of a home based on the values of the independent variables.
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Ker & Nick Consulting's partners equity accounts reflected the following balances on August 31, 2020: $ 84,000 203,000 Lee and Kalpakan share profit/losses in a 23 ratio, respectively. On September 1, 2020, Liam Court is admitted to the partnership with a cash investment of $123.000 Required Prepare the journal entry to record the admission of Liam under each of the following unrelated assumptions, where he is given: a. A 30% interest in equity Vw transaction list Journal entry worksheet 1 Record the admission of new partner Date Debit Credit Sep 01, 2020 View general j General Journal Clear entry 4 b. A 20% interest in equity View transaction list Journal entry worksheet < 1 Record the admission of new partner. te Exter debits before credits Date General Journal Sep 01, 2020 Recont entry CA 50% interest in equity Clear entry Debit Credit View general journal
The journal entry to record the admission of Liam to Ker & Nick Consulting under the assumption of a 30% interest in equity would be to debit Liam's Capital account for $36,900 and credit Lee's Capital account for $27,300 and Kalpakan's Capital account for $9,600. The journal entry to record the admission of Liam under the assumption of a 20% interest in equity would be to debit Liam's Capital account for $24,600 and credit Lee's Capital account for $18,200 and Kalpakan's Capital account for $6,400.
a. Assuming Liam is given a 30% interest in equity, we need to adjust the partners' capital accounts. The existing partners, Lee and Kalpakan, share profits and losses in a 23:77 ratio. The total profit sharing ratio is 100, so Liam's share will be 30%. To record Liam's admission, we debit Liam's Capital account for $36,900 (30% of $123,000) and credit Lee's Capital account for $27,300 (23% of $123,000) and Kalpakan's Capital account for $9,600 (77% of $123,000).
b. Assuming Liam is given a 20% interest in equity, we follow the same procedure as above, but adjust the percentages. Liam's share will be 20%. To record Liam's admission, we debit Liam's Capital account for $24,600 (20% of $123,000) and credit Lee's Capital account for $18,200 (23% of $123,000) and Kalpakan's Capital account for $6,400 (77% of $123,000). These journal entries reflect the adjustments made to the partners' capital accounts to include Liam's investment and distribute the ownership percentages among the partners.
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You are a representative from one of the software companies you
recommended in the recommendation proposal assignment. You got a
lead that Access Mortgage Company responded for more information
about
As a representative of the software company, it is important to provide additional information about the product and services that we offer.
Access Mortgage Company's interest in our product indicates their need for a reliable software solution to manage their business.
Our software provides a comprehensive platform for mortgage companies to streamline their operations, manage customer information, and improve communication between departments.
Our user-friendly interface and customizable features make it easy for companies to tailor the software to their specific needs. Our team also provides training and support to ensure a smooth transition to our software.
We look forward to working with Access Mortgage Company to provide them with a solution that meets their needs and helps their business succeed.
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Gas prices are elevated compared to their record pandemic low, causing concern across the country. Using elasticity of supply in the short run and long run, provide your thoughts on whether you believe they will remain high or is there something we could do to bring them down quickly.
In the short run, gas prices are likely to remain high due to the limited elasticity of supply. However, in the long run, there are potential measures that could be taken to bring them down.
Gas prices are influenced by various factors, including supply and demand dynamics. In the short run, the supply of gas is relatively inelastic. This means that it is difficult for producers to quickly adjust their output in response to changes in price. In the case of elevated gas prices compared to the pandemic low, it is likely that the current supply cannot easily meet the increased demand, resulting in higher prices. However, in the long run, the elasticity of supply can improve. Producers have the ability to invest in exploration, drilling, and infrastructure development to increase the overall supply of gas. Additionally, technological advancements can make extraction and distribution processes more efficient. These measures can gradually enhance the elasticity of supply, potentially leading to a decrease in gas prices over time. To bring down gas prices quickly, other factors need to be considered. Government policies play a crucial role in determining gas prices through taxes and regulations. Lowering taxes on gas or implementing price controls can provide temporary relief for consumers, but these measures may have unintended consequences, such as reduced investment in production and infrastructure. Promoting alternative energy sources and investing in renewable energy infrastructure can also help reduce dependence on gas and mitigate price fluctuations. Furthermore, encouraging fuel efficiency and promoting public transportation can lower the overall demand for gas, reducing pressure on prices. It is important to note that the global energy market and geopolitical factors also influence gas prices, making it a complex issue with no straightforward solution. Nonetheless, a combination of long-term strategies, such as increasing supply elasticity and promoting alternative energy, coupled with careful policy considerations, can contribute to stabilizing gas prices over time.
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21. If a risk has 1% probability of happening, and the impact is $500,000 if it happens, then its risk exposure is: a. $5,000. b. $5,000,000 c. $50,000,000 d. Cannot be decided. 22. 'Time has the least amount of flexibility', meaning that: a. time buffers are unimportant and usually are not needed. b. time cannot be converted into monetary values. c. time cannot be estimated accurately. d time passes regardless whether it is used effectively or not. 23. Which of the following is a difference between system tests and user acceptance tests? a. System tests take longer than user acceptance tests. b. System tests use test data, whereas user acceptance tests use real-life data. c. System tests require more human resources than user acceptance tests. d. System tests are mandatory, whereas user acceptance tests are optional. 24. If I want to purchase 100 PCs with standard configurations, which of the following contract types is most suitable for this kind of purchases? a. Fixed price contract b. Time and material contract c. Cost reimbursable contact d. Unit price contract
The answers to the given questions are as follows: 22. b. time cannot be converted into monetary values. 23. b. System tests use test data, whereas user acceptance tests use real-life data. 24. d. Unit price contract.
In this case, the risk has a 1% (0.01) probability of happening and an impact of $500,000. Therefore, the risk exposure is calculated as 0.01 * $500,000 = $5,000.
Unlike other resources or factors in a project, time is not easily quantifiable in terms of dollars. It is a fixed and finite resource that passes regardless of how effectively it is utilized or whether time buffers are implemented. Therefore, option b, "time cannot be converted into monetary values," is the correct answer.
On the other hand, user acceptance tests are conducted by end users to ensure that the system meets their requirements and expectations, often using real-life data. Thus, option b, "System tests use test data, whereas user acceptance tests use real-life data," highlights a key difference between the two types of tests.
For the last question, This type of contract provides cost certainty and is appropriate when the requirements and specifications are well-defined and unlikely to change significantly. Therefore, option a, "Fixed price contract," is the best choice for this scenario.
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Which of the following statement is TRUE? I. An investor who expects to purchase stock at a later date would use a short hedge to protect against stock price movements. II. Although a hedge might not be perfect, it should be partially effective if the spot and futures prices move in opposite directions.
The statement that is true is II. Although a hedge might not be perfect, it should be partially effective if the spot and futures prices move in opposite directions. A hedge is a mechanism that averts the risk of price movements of an asset. When an investor hedges, it means that they protect themselves against the potential loss that might occur in the future.
However, a hedge might not be perfect. A hedge can be partially effective, which means it may not fully protect an investor from a potential loss. Hedging involves taking an opposite position in the market. A hedge can be done using futures or options markets. One way to hedge is to short a futures contract, which means selling a futures contract that one does not possess, hoping that the price of the asset will fall. This action is called a short hedge, and investors use it to protect against stock price movements.
A hedge, although may not be perfect, should be partially effective if the spot and futures prices move in opposite directions. Hedging is a risk management strategy used by investors to protect themselves against potential losses caused by price movements of assets. A hedge is not always perfect but can be partially effective, meaning it may not fully protect the investor from a potential loss.
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The monthly demand for a product is normally distributed with mean of 1600 units and standard deviation of 200 units. 1. Find the probability that demand in a given month is between 1529 and 1631 units. The potential answers are: A: 42.1% B: 92.2% C: 47.8% D: 14.5% E: 20% 2. If at the beginning of a month 1624 units are stocked, what is the probability that demand exceeds this amount (experiencing stock-out)? The potential answers are: A: 4.5% B: 3.3% C: 4.1% D: 0.3% E: 45.2% 3. If we want to set the probability of stock-out at 2%, how many units shall we have in stock at the beginning of the month? The potential answers are: A: 2501 B: 1582 C: 1811 D: 1451 E: 2011
1. The probability that demand in a given month is between 1529 and 1631 units is approximately 47.8%.
2. If 1624 units are stocked at the beginning of the month, the probability that demand exceeds this amount (experiencing stock-out) is approximately 3.3%.
3. To set the probability of stock-out at 2%, the number of units that should be in stock at the beginning of the month is approximately 1582.
To find the probability that demand falls between 1529 and 1631 units, we need to calculate the z-scores for these values using the formula (X - mean) / standard deviation. Then, we can use a standard normal distribution table or a calculator to find the corresponding probabilities. The probability is approximately 47.8%.
To calculate the probability that demand exceeds 1624 units, we calculate the z-score for this value. Then, we find the area under the curve to the right of this z-score, which represents the probability of exceeding the given demand. The probability is approximately 3.3%.
To determine the number of units needed in stock to achieve a 2% probability of stock-out, we can use the inverse normal distribution function. By finding the z-score corresponding to a 2% probability, we can then calculate the corresponding demand value using the formula X = (z-score * standard deviation) + mean. The approximate number of units needed is 1582.
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The Lumber Division of Paul Bunyon Homes Inc. produces and sells lumber that can be sold to outside customers or within the company to the Construction Division. The following data have been gathered for the coming period: If the Lumber Division sells to the Construction Division, $0.35 per board foot can be saved in shipping costs. If current outside sales are 150,000 board feet, what is the minimum transfer price that the Lumber Division could accept?
The minimum transfer price that the Lumber Division could accept is $3.77 per board foot.
To determine the minimum transfer price that the Lumber Division could accept, we should find out the relevant cost. The Lumber Division produces and sells lumber that can be sold to outside customers or within the company to the Construction Division. The following data have been gathered for the coming period:
If the Lumber Division sells to the Construction Division, $0.35 per board foot can be saved in shipping costs.
Here, the Lumber Division has the opportunity to sell to the Construction Division and save $0.35 per board foot. The outside sales are 150,000 board feet. Therefore, the Lumber Division will not sell below its own cost plus the $0.35 saving per board foot.
So, the minimum transfer price that the Lumber Division could accept = Outside price per board foot - (relevant cost per board foot × 0.35) = $3.90 - ($3.65 × 0.35) = $3.77 (rounded up to the nearest cent).
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what factors contribute to the energy cost of a given activity?
The factors that contribute to the energy cost of a given activity are intensity of the activity, duration of the activity, body weight, age and fitness level.
Factors that contribute to energy cost:
1. Intensity of the activity: The amount of energy required for an activity is determined by the activity's intensity. As a result, high-intensity exercises require more energy than low-intensity exercises.
2. Duration of the activity: The length of time an activity is performed also affects its energy cost. Longer activities burn more calories than shorter ones.
3. Body weight: The energy cost of an activity is also influenced by the individual's body weight.
4. Age: The energy cost of activities can also be affected by an individual's age. Older adults may require less energy for activities than younger people.
5. Fitness level: An individual's fitness level also affects the energy cost of activities. More fit individuals may require less energy for the same activity than less fit individuals.
6. Gender: The energy cost of activities can also vary between genders. Typically, men require more energy for activities than women due to differences in body composition.
7. Environmental factors: Environmental factors such as temperature, humidity, and altitude can also affect the energy cost of activities. For example, exercising in hot and humid weather can increase the energy cost of an activity.
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A company has calable bonds outstanding with a par value of $100,000 The unamortized discount on these bonds is $1.500 The company called t premium (bonus) of $3,000 What is the gain or loss on this retirement? OA $3,000 loss O&$4,500 loss OC. $0 gain or loss OD $1,500 gain. bonds and pe a call Question 15 of 16
The gain or loss on this retirement is $1,500.
To determine the gain or loss on the retirement of the callable bonds, we need to calculate the difference between the call premium (bonus) and the unamortized discount.
Given:
Par value of the bonds: $100,000
Unamortized discount: $1,500
Call premium: $3,000
The gain or loss on retirement is calculated as follows:
Call Premium - Unamortized Discount
$3,000 - $1,500 = $1,500
Therefore, the gain or loss on this retirement is $1,500.
The correct answer is OD: $1,500 gain.
It's important to note that a positive value represents a gain, while a negative value represents a loss. In this case, since the call premium exceeds the unamortized discount, there is a gain of $1,500 on the retirement of the bonds. This gain arises because the call premium received by the company is higher than the remaining unamortized discount, resulting in a net positive impact on the company's financial position.
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douglas fur is a small manufacturer of fake-fur boots in dallas. the following table shows the company's total cost of production at various production quantities.
The table represents Douglas Fur's total cost of production at different production quantities for their fake-fur boots. This information is crucial for analyzing the cost structure and efficiency.
The total cost of production at various production quantities provides insights into the relationship between the quantity produced and the associated costs. By examining this table, Douglas Fur can evaluate economies of scale and determine the most cost-effective production level.
Typically, as production quantity increases, the total cost of production tends to rise. This is because fixed costs, such as machinery and facilities, are spread over a larger output, reducing the average fixed cost per unit. However, there may be diminishing returns beyond a certain production quantity where the marginal cost of each additional unit starts to increase.
Analyzing the table allows Douglas Fur to identify their optimal production quantity. By comparing the total cost of production at different levels, they can find the point where the cost per unit is minimized, maximizing their efficiency and profitability.
In conclusion, the table showcasing Douglas Fur's total cost of production at different production quantities is an essential tool for the company's cost analysis, efficiency assessment, and strategic decision-making processes. It provides valuable insights into the relationship between production volume and associated costs, enabling the company to optimize their operations and maximize profitability.
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Managerial accounting, as compared to financial accounting, is primarily intended to facilitate: an understanding of GAAP.
a. reporting results to shareholders.
b. making decisions with timely,
c. relevant information.
d. conducting ethics investigations under SOX.
Managerial accounting focuses on providing information to internal users, such as managers and decision-makers within an organization, to support their decision-making process.
It involves the analysis, interpretation, and communication of financial and non-financial data to assist in planning, controlling, and evaluating the performance of the organization. Unlike financial accounting, which primarily focuses on reporting financial information to external stakeholders and is governed by Generally Accepted Accounting Principles (GAAP), managerial accounting is not bound by GAAP and has more flexibility in terms of the information it provides.
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what is the term casino economy and what are the use in pakistan
budget 2022
The term "casino economy" refers to an economic system where the growth and stability of the economy heavily rely on speculative activities, such as financial speculation, rather than on productive sectors like manufacturing or agriculture.
It implies an economy that is highly dependent on gambling-like activities and risky investments, which can lead to instability and vulnerabilities in the long run.
In the context of Pakistan's budget for 2022, it is important to note that the term "casino economy" is not explicitly mentioned. However, if there are concerns or criticisms about the budget prioritizing speculative activities or relying heavily on volatile sectors such as the stock market or real estate, it could be associated with the idea of a casino economy.
To provide a more accurate analysis, it would be necessary to review the specific measures and policies outlined in the budget for 2022 and evaluate their potential impact on the economy. The assessment would involve considering factors such as the allocation of funds, investment in productive sectors, promotion of job creation, and measures to address economic inequalities.
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Purposes of an accounting system include all of the following except:
a. Interpret and record the effects of business transactions.
b. Classify the effects of transactions to facilitate the preparation of reports.
c. Summarize and communicate information to decision makers.
d. Dictate the specifi c types of business transactions that the enterprise may engage in.
The purposes of an accounting system include all of the following except dictate the specific types of business transactions that the enterprise may engage in.
An accounting system is a system that manages and processes a company's financial transactions, including accounts payable, accounts receivable, payroll, and trial balance. This system must keep track of a company's financial transactions and convert them into useful financial information. This system may be done manually or electronically, and there are several types of accounting systems available.What are the purposes of an accounting system?The purposes of an accounting system are listed below:Interpret and record the effects of business transactionsClassify the effects of transactions to facilitate the preparation of reportsSummarize and communicate information to decision-makersDictate the specific types of business transactions that the enterprise may engage in.According to the given options above, the answer is D, which is "Dictate the specific types of business transactions that the enterprise may engage in."
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Share any financial corruptions or collapse that you are aware of that shocked you. And did it have an affect on a company or industry that you or someone you knew worked for?
MAX 200 words
thanks
Personally, I did not work for Enron or any related industry, but the scandal had a ripple effect on the economy, causing investors to lose faith in the market. It was a wake-up call for investors and regulators to be more vigilant about corporate fraud and corruption.
One of the most shocking financial corruption scandals that I am aware of is the Enron scandal. Enron was a Texas-based energy company that was once considered one of the most innovative and successful companies in the world. However, in the early 2000s, it was revealed that Enron had been engaging in massive accounting fraud, hiding billions of dollars in debt and inflating their earnings.
The Enron scandal had a significant impact on the energy industry and the economy as a whole. The company's collapse led to the loss of thousands of jobs, and many employees lost their life savings when Enron's stock plummeted. The scandal also led to the demise of Arthur Andersen, Enron's accounting firm, which was found guilty of obstruction of justice for shredding Enron-related documents.
Overall, the Enron scandal serves as a cautionary tale about the importance of transparency and accountability in corporate America. It underscores the importance of strong corporate governance and ethical leadership and highlights the devastating consequences that can result from financial corruption and fraud.
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Six Sigma Organizations should only launch projects they can:
Select one:
a. Fund
b. Support with people resources.
c. Manage
d. All of the above
e. None of the above
Six Sigma Organizations should only launch projects they can all of the above. The Six Sigma organizations should only launch projects they can fund, support with people resources and manage.
Six Sigma is a data-driven method for eliminating defects in any process, from manufacturing to transactional and from product to service. The primary goal of Six Sigma is to enhance quality and efficiency while decreasing variability in operations. Six Sigma organizations should only launch projects they can all of the above.Fund:Six Sigma organizations should only launch projects they can fund. This means that the organization should invest money in launching the project. The investment made in the project will determine its success or failure.Support with people resources:Six Sigma organizations should only launch projects they can support with people resources. People resources are the key to a project's success. The organization should have enough people resources to work on the project. The project's team should be composed of people with the required skills to ensure its success.Manage:Six Sigma organizations should only launch projects they can manage. This means that the organization should be able to control the project's entire lifecycle, from planning to execution to monitoring and control. This will ensure the project's success and help the organization meet its objectives.
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The answer to the question is that Six Sigma Organizations should only launch projects they can fund, support with people resources, and manage. So, the correct option is d. All of the above.
Six Sigma is a methodology that focuses on eliminating errors or defects from business operations by identifying and removing the causes of problems and minimizing variability. The implementation of the Six Sigma methodology has been highly effective in improving business processes, reducing costs, and increasing customer satisfaction. Six Sigma organizations are committed to continuous improvement and strive to achieve the highest quality standards in their products and services. Therefore, to achieve this, Six Sigma organizations must only launch projects they can fund, support with people resources, and manage. Launching projects that Six Sigma organizations cannot fund can lead to poor execution, incomplete implementation, and negative impacts on the organization's financials. Similarly, starting projects that Six Sigma organizations cannot manage or support with the people resources can result in poor execution, unmet objectives, and ultimately, a waste of resources. Therefore, Six Sigma organizations must be mindful of their resources and capacities before launching any projects, as failure to do so can lead to more problems than solutions. Six Sigma Organizations should only launch projects they can fund, support with people resources, and manage.
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Which of the following statement regarding the role of corporate governance in Islamic financial institutions is false? O to promote sound and stable conventional as well as Islamic financial industry that can be globally competitive O to promote prudent and transparent practices in the management of Islamic financial institutions to protect the interest of all stakeholders including the investors, depositors and workers and the general public O to ensure the proper discharge of the corporate social responsibility role of the Islamic financial institutions
The false statement regarding the role of corporate governance in Islamic financial institutions is one of the given options.
The false statement among the options is "to promote sound and stable conventional as well as Islamic financial industry that can be globally competitive." This statement does not accurately reflect the role of corporate governance in Islamic financial institutions.
Corporate governance in Islamic financial institutions aims to promote prudent and transparent practices in their management to protect the interests of stakeholders, including investors, depositors, workers, and the general public. It emphasizes the importance of ethical behavior, accountability, and social responsibility.
The role of corporate governance in Islamic financial institutions is to ensure the proper discharge of their corporate social responsibility. This involves considering the social and environmental impact of their operations, promoting sustainable practices, and contributing to the welfare of society.
However, the promotion of a sound and stable conventional financial industry is not a primary objective of corporate governance in Islamic financial institutions. Islamic finance operates based on Sharia principles and has its distinct objectives and ethical framework. The focus is on providing financial services that comply with Islamic principles rather than competing with conventional finance on a global scale.
Therefore, the false statement is "to promote sound and stable conventional as well as Islamic financial industry that can be globally competitive."
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Complete the sentence. The higher than normal unemployment at a business cycle trough and the lower than normal unemployment at a business cycle peak is called OA structural OB natural OC. frictional OD. cyclical unemployment
The higher than normal unemployment at a business cycle trough and the lower than normal unemployment at a business cycle peak is called **OD. cyclical unemployment**.
Cyclical unemployment refers to the fluctuations in unemployment that occur as a result of the overall business cycle. During a trough or recession phase of the business cycle, unemployment tends to be higher than normal as economic activity slows down and businesses reduce their workforce. Conversely, during a peak or expansion phase of the business cycle, unemployment tends to be lower than normal as economic activity increases, leading to more job opportunities and lower unemployment rates. Cyclical unemployment is specifically tied to the ups and downs of the business cycle and is different from other forms of unemployment such as structural, frictional, or natural unemployment.
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On 1 July 2020, Sugar Ltd acquired 89% of the shares of Glider Ltd for $690,000. At this date, the equity of Glider Ltd consisted of;
Share Capital: $350,000
Retained earnings: $125,000
General reserve: $100,000
all the identifiable assets and liabilities of Glider Ltd were recorded at amounts equal to fair value except for; Fair Value Carrying Amount 55,000
carrying amount fair value
Patent 55,000 70,000
Inventory 40,000 60,000
The tax rate is 30%. partial goodwill method is in use.
Required:
1. Acquisition analysis at 1 July 2020
2. Business combination valuation entries at 1 July 2020
3. Pre-acquisition entries at 1 July 2020
4. NCI share of equity at acquisition date 1 July 2020
The acquisition analysis involves calculating consideration, fair values, and goodwill. Valuation entries recognize assets, liabilities, and goodwill.
1. The acquisition analysis at 1 July 2020 involves calculating the consideration paid, identifying the fair value of identifiable assets and liabilities, and determining the goodwill.
2. The business combination valuation entries at 1 July 2020 include recognizing the acquired assets, assumed liabilities, and recording the goodwill.
3. The pre-acquisition entries at 1 July 2020 entail eliminating the equity of the subsidiary and recognizing the investment in the subsidiary.
4. The non-controlling interest (NCI) share of equity at the acquisition date, 1 July 2020, is calculated based on the NCI percentage multiplied by the net assets of the subsidiary.
1. The acquisition analysis involves determining the consideration paid by Sugar Ltd for acquiring 89% of the shares of Glider Ltd, which is $690,000. The fair value of identifiable assets and liabilities, excluding the patent and inventory, is recorded at their carrying amounts. The partial goodwill method is used to calculate goodwill.
2. The business combination valuation entries include recognizing the acquired assets, such as the patent and inventory, at their fair values of $70,000 and $60,000, respectively. Assumed liabilities are recorded at their carrying amounts. The difference between the consideration paid and the net assets acquired results in the recognition of goodwill.
3. The pre-acquisition entries involve eliminating the equity of Glider Ltd, including share capital, retained earnings, and general reserve. Simultaneously, the investment in Glider Ltd is recognized on the balance sheet of Sugar Ltd.
4. The NCI share of equity at the acquisition date is calculated by multiplying the NCI percentage (100% - 89% = 11%) by the net assets of Glider Ltd, which includes share capital, retained earnings, general reserve, and the fair value adjustments to the patent and inventory.
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which remarketing list segment will typically have the highest volume of viewers
The "All Visitors" remarketing list section often has the biggest viewership.
One of the advantages offered by search engine advertisements that enabled the business to contact customers who had visited their separate websites was the remarketing list. Only when their remarketing list has at least 1,000 cookies may search advertising be customised.
All tagged or cooked website users are included in this group, which enables marketers to target their adverts to a large audience. due to the fact that it covers all visitors, independent of their particular behaviours or actions on the website.
Compared to more focused segments centred on certain behaviours or hobbies, it typically has the highest viewership.
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What was the contribution of Thomas Attwood and George
Akerlof in developing the economy of US during their times?
Don't give the answer, if you don't have the knowledge
about it. I got the wrong answ
Thomas Attwood and George Akerlof have both made significant contributions to the development of the economy of the United States during their times.
Thomas Attwood was an English economist and politician who played an important role in the development of the British economy in the 19th century. He was one of the leading advocates of free trade, and he argued that the government should not interfere with the workings of the market. This phenomenon is known as adverse selection.Akerlof's work on adverse selection has had a profound impact on the field of economics, and it has been applied to a wide range of topics, including health insurance, finance, and labor markets. Akerlof was awarded the Nobel Prize in Economics in 2001 for his contributions to the field of economics.
Thomas Attwood was an English economist and politician who played an important role in the development of the British economy in the 19th century. Attwood was one of the leading advocates of free trade, and he argued that the government should not interfere with the workings of the market. He believed that tariffs and other trade barriers only served to benefit special interest groups at the expense of the broader economy.Attwood was also a strong supporter of the gold standard, which he believed was essential to maintaining the stability of the British economy. He argued that the gold standard provided a stable anchor for the monetary system and helped to prevent inflation. Attwood's ideas were influential in shaping economic policy in Britain during the 19th century, and they continue to be studied by economists today.George Akerlof, on the other hand, is an American economist who is best known for his work on the market for lemons. In his famous paper, "The Market for 'Lemons': Quality Uncertainty and the Market Mechanism," Akerlof demonstrated that when buyers cannot distinguish between high-quality and low-quality goods, the market will tend to drive out the high-quality goods.
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The results of SWOT analysis provide guidance to company managers in crafting a strategy (or improving an existing strategy) in ways that fit the company's internal and external situation, which one of the following is not one of the conditions for a company's strategy to be an excellent fit with its situation? Copyright © by Glo Bus Software, Inc. Copying, distributing, or 3rd party website posting sexpressly prohibited and constitutes copyright violation O The foundation and centerpiece of a company's strategy to profitably compete against rivals must be its most competitively powerful resources and capabilities O A company's strategy should be aimed at (1) completely eliminating all of its competitively important weaknesses and (2) boosting its number of core competencies and distinctive competencies A company's strategy should include efforts to defend against those external threats that can adversely impact the company's long-term business prospects or put its survival at risk. A company's strategy must include strategic initiatives aimed squarely at capturing at those market opportunities best suited to the company's strengths and competitive assets. A company's strategy must include actions to correct those competitive weaknesses that make the company vulnerable to attack from rivals, depress profitability, or disqualify it from pursuing a particularly attractive opportunity.
The condition that is not required for a company's strategy to be an excellent fit with its situation is:
"A company's strategy should be aimed at (1) completely eliminating all of its competitively important weaknesses and (2) boosting its number of core competencies and distinctive competencies."
While it is important for a company to address its weaknesses and enhance its core competencies and distinctive competencies, it is not a mandatory condition for a strategy to be an excellent fit with the company's situation. The other conditions mentioned in the options are all crucial for a strategy to align effectively with the company's internal and external situation.
A company's strategy should focus on leveraging its most competitively powerful resources and capabilities, defending against external threats, capturing market opportunities suited to the company's strengths, and correcting competitive weaknesses.
These conditions ensure that the strategy is well-aligned with the company's situation and enhances its ability to compete and succeed in the market.
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i. During the year, Crompton Ltd issues $200,000 of bonds and retires (or repays) $120,000 of bonds. How will these events be reported in financing activities on the statement of cash flows?
a. increase in cash of $200,000 and decrease in cash of $120,000
b. decrease in cash of $200,000 and increase in cash of $120,000
c. net gain on retirement of bonds of $80,000
d. net decrease in cash of $80,000
e. net increase in cash of $80,000
The correct answer is option (b): decrease in cash of $200,000 and increase in cash of $120,000. The net effect on cash from these events is a decrease of $80,000 ($200,000 - $120,000), but the individual cash flows associated with each event are separately reported in the financing activities section.
The events of issuing $200,000 of bonds and repaying $120,000 of bonds will be reported as a decrease in cash of $200,000 and an increase in cash of $120,000 in the financing activities section of the statement of cash flows. The statement of cash flows categorizes cash flows into three main sections: operating activities, investing activities, and financing activities. The financing activities section includes cash flows related to raising or repaying capital, such as issuing or retiring bonds. In this case, when Crompton Ltd issues $200,000 of bonds, it is raising capital, which is considered a financing activity. This inflow of cash will be reported as an increase in cash of $200,000 in the financing activities section of the statement of cash flows. On the other hand, when Crompton Ltd retires or repays $120,000 of bonds, it is reducing its outstanding debt, which is also a financing activity. This outflow of cash will be reported as a decrease in cash of $120,000 in the financing activities section of the statement of cash flows.
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