Grey Wolf, Inc., has current assets of $2,360, net fixed assets of $11,200, current liabilities of $1,445, and long-term debt of $4,170. a. What is the value of the shareholders' equity account for this firm? (Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.) b. How much is the company's net working capital? (Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.) a. Shareholders' equity b. Net working capital

Answers

Answer 1

a) Shareholders' equityThe shareholders' equity account can be calculated using the following formula:Shareholders' equity = Total assets − Total liabilitiesThe total assets can be calculated as the sum of the current assets and the net fixed assets as given below:Total assets = Current assets + Net fixed assets= $2,360 + $11,200= $13,560Now, the total liabilities can be calculated as the sum of the current liabilities and the long-term debt as given below:

Total liabilities = Current liabilities + Long-term debt= $1,445 + $4,170= $5,615Therefore, the shareholders' equity can be calculated as:Shareholders' equity = Total assets − Total liabilities= $13,560 − $5,615= $7,945So, the value of the shareholders' equity account for Grey Wolf, Inc. is $7,945 (rounded to the nearest whole number).b) Net working capital

The net working capital (NWC) is defined as the difference between the current assets and the current liabilities as given below:NWC = Current assets − Current liabilities= $2,360 − $1,445= $915So, the net working capital of Grey Wolf, Inc. is $915 (rounded to the nearest whole number).Hence, the shareholders' equity is $7,945 and the net working capital is $915.

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Related Questions

1- Education causes:
· The government governs the desires of the people
· The ability to solve the scarcity problem
· More human capital
· Unemployment rate increased due to modern inventions

Answers

Education causes various outcomes, including government influence over societal desires, improved ability to address scarcity, increased human capital, and potentially higher unemployment rates due to technological advancements.

Education has wide-ranging effects on individuals and society, leading to various outcomes. Firstly, education can influence the desires and preferences of individuals through the dissemination of knowledge and values. Governments often play a role in shaping educational curricula, which can impact societal goals and values. Education helps shape citizens' perspectives, guiding their preferences and influencing their behavior in line with societal norms and objectives.

Secondly, education enhances individuals' ability to solve the scarcity problem. By providing knowledge and skills, education equips individuals with problem-solving capabilities, critical thinking skills, and specialized knowledge in various fields. This enables individuals to address scarcity more effectively, make informed decisions, and contribute to economic growth and development.

Moreover, education contributes to the accumulation of human capital. Human capital refers to the knowledge, skills, and competencies acquired through education and training. Individuals with higher levels of education tend to have better job prospects, higher earnings potential, and increased productivity. Education improves the quality and productivity of the workforce, which in turn drives economic growth and enhances overall societal well-being.

However, it is worth noting that education can also have unintended consequences. Technological advancements and innovations, while beneficial in many ways, can lead to disruptions in the labor market. Modern inventions and automation may replace certain jobs, potentially increasing the unemployment rate for individuals lacking the necessary skills or education to adapt to changing labor market demands. Therefore, while education is generally associated with positive outcomes, the impact on employment can be influenced by factors such as technological progress and the adaptability of individuals to evolving job requirements.

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New industries in developing countries must be temporarily protected from international competition to help them reach a position where they can compete on world markets with the firms of developing countries.

Answers

Temporary protection for new industries in developing countries can be beneficial as it allows them to build a competitive advantage and reach a level where they can effectively compete on the global stage.

By shielding these industries from international competition, they have the opportunity to develop necessary capabilities, gain market share, and improve their efficiency. This protection can come in the form of tariffs, quotas, subsidies, or other trade barriers.

Temporary protection measures aim to provide domestic industries with an environment conducive to their growth and development. By safeguarding them from international competition during their initial stages, these industries can focus on enhancing their productivity, investing in research and development, and acquiring necessary skills and technologies. This protection allows them to accumulate capital, build infrastructure, and establish a customer base, which is crucial for their long-term viability.

Once these industries have achieved a certain level of competitiveness and efficiency, the temporary protection can gradually be lifted. This transition enables them to face global competition and integrate into the international market, contributing to the overall economic growth of the developing country.

It's important to note that while temporary protection can provide short-term advantages, it should be implemented strategically and with a clear plan for eventual liberalization. Overprotection or prolonged reliance on trade barriers can lead to inefficiencies, lack of innovation, and hinder the overall economic progress  of the country.

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Cheer Inc. purchased machinery on January 1,2020 for $80,000. Management estimated its useful life to be 8 years and residual value to be $12,000. On December 31,2021 the machinery was sold for $40,000. If the double declining balance method was used for depreciation, what was the total accumulated depreciation at the date of sale?

Answers

The total accumulated depreciation at the date of sale (December 31, 2021) is $35,000.

To calculate the accumulated depreciation using the double declining balance method, we need to determine the annual depreciation expense first. The formula for double declining balance depreciation is:

Depreciation Expense = (1 / Useful Life) x 2 x Book Value at the Beginning of the Year

First, let's calculate the annual depreciation expense for the machinery:

Depreciation Expense = (1 / 8) x 2 x $80,000 = $20,000

The book value at the beginning of 2021 can be calculated by subtracting the accumulated depreciation from the initial cost:

Book Value at the Beginning of 2021 = $80,000 - Depreciation Expense for 2020 = $80,000 - $20,000 = $60,000

Now, we can calculate the depreciation expense for 2021:

Depreciation Expense for 2021 = (1 / 8) x 2 x $60,000 = $15,000

To find the accumulated depreciation at the date of sale (December 31, 2021), we add up the depreciation expense for 2020 and 2021:

Total Accumulated Depreciation = Depreciation Expense for 2020 + Depreciation Expense for 2021 = $20,000 + $15,000 = $35,000

Therefore, the total accumulated depreciation at the date of sale (December 31, 2021) is $35,000.

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The Paulson Company's year-end balance sheet is shown below. Its cost of common equity is 16%, its before-tax cost of debt is 11%, and its marginal tax rate is 40%. Assume that the firm's long-term debt sells at par value. The firm's total debt, which is the sum of the company's short-term debt and long-term debt, equals $1,159. The firm has 576 shares of common stock outstanding that sell for $4.00 per share. The data has been collected in the Microsoft Excel Online file below. Open the spreadsheet and perform the required analysis to answer the question below. X Open spreadsheet Calculate Paulson's WACC using market-value weights. Round your answer to two decimal places. Do not round your intermediate calculations. Cash Assets Total assets $ 120 Accounts receivable 240 Inventories 360 Plant and equipment, net 2,160 $2,880 Liabilities And Equity Accounts payable and accruals Short-term debt Long-term debt Common equity Total liabilities and equity $10 59 $1,100 1,711 $2,880 00

Answers

The weighted average cost of capital (WACC) is the weighted average of the costs of the various capital components used to finance a company's assets.

The formula for WACC is : 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 = E + D, E/V = % of financing that is equity,

D/V = % of financing that is debt,

Re = cost of equity,

Rd = cost of debt, Tc = corporate tax rate

Equity Market Value = $4.00*576 = $2,304

Debt Market Value = $1,159

Cost of Equity (Re) = 16%

The before-tax cost of debt (Rd) = 11%

Marginal Tax Rate (Tc) = 40%

Now let's calculate the WACC using market-value weights as follows;

WACC = (E/V * Re) + ((D/V * Rd) * (1-Tc))V = E + D = $2,304 + $1,159 = $3,463E/V = $2,304/$3,463 = 0.6667D/V = $1,159/$3,463 = 0.3333WACC = (0.6667*0.16) + (0.3333*0.11*0.6)= 0.1067 or 10.67%.

Therefore, the WACC of Paulson's Company using market-value weights is 10.67%.

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Your credit card charges an interest rate of 207% per month. You have a current balance of $1,040, and want to pay it off. Suppose you can afford to pay $90 per month. What will your balance be at the end of one year? You will still owes after one year. (Round to the nearest cent)

Answers

At an interest rate of 207% per month, with a current balance of $1,040 and monthly payments of $90, the balance after one year would be approximately $1,042.79.

To calculate the balance after one year, we can divide the annual interest rate by 12 to get the monthly interest rate: 207% / 12 = 17.25%.

In the first month, the interest accrued on the balance of $1,040 would be 17.25% of $1,040, which is $179.40. Subtracting the monthly payment of $90, the remaining balance would be $1,129.40.

For the following months, the interest would be calculated based on the new balance. After 12 months, the balance would decrease gradually, and the final balance after making 12 payments of $90 would be approximately $1,042.79.

Please note that this calculation assumes that no additional charges or fees are added to the balance during the one-year period and that the interest rate remains constant. It is always advisable to check with the credit card issuer for the most accurate information regarding interest rates and payments.

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Warner Bros. Supply Chain Connections

Warner Bros Entertainment Inc is a fully integrated, broad-based entertainment company and a global leader in the creation, production, distribution, licensing and marketing of all forms of entertainment and their related businesses. A Time Warner Company, the fully integrated, broad-based studio is home to one of the most successful collections of brands in the world and stands at the forefront of every aspect of the entertainment industry.

In the early 2000s, the five main divisions in Warner Bros are movies, television shows, animation, home video, and interactive entertainment (video games). Dividing such a large organisation along product lines allowed each business sector to develop product, pricing, and promotion policies, as well as supply chain strategies, independent of one another. But to the distributors and retailers who were Warner Bros’s direct customers, the view was quite different. Each of these customers had to deal with five separate billing and logistics processes – one for each business division. This created a wide range of problems as it did not allow customers to purchase all Warner Bros. products (DVDs and reels from different divisions) together for delivery on the same truck. Some customers went several days without receiving an order, only to have several trucks with Warner Bros orders arriving at the receiving dock at the same time on the same morning. Different product categories were shipped on different trucks with different invoices. The separate pricing and promotion policies, coupled with non-coordinated management of logistics activities across the five business divisions, resulted in different prices per item and order quantities of less-than-full truckloads.

After 2010, and having listened to customer complaints over the years, Warner Bros launched its streamlined logistics initiative. This simplified pricing and promotion structures. But, more importantly, Warner Bros redesigned the information and physical flows across the business divisions so that customers had to deal with only one Warner Bros billing process and one set of logistics processes. Optical discs, hard drives, satellite links, or the internet are the new ways of sharing the products of Warner Bros.

Source: Warner Bros Online

QUESTION:














1.The scenario highlights some of the areas where supply chain professionals have to apply their minds. Most companies will be impacted by some of the longer-term trends in supply chain management. Analyse the major trends in supply management and their impact from a strategic perspective.
2.To keep up with global competition and tap into the abilities of world-class suppliers, Warner Bros. must put in place sourcing systems. Critically analyse the sourcing strategies that can be applied by Warner Bros and the advantages that can accrue from each strategy.

Answers

1. The major trends in supply management and their impact from a strategic perspective are globalization, technology, sustainability, customer-centricity, risk management, and collaboration.


Globalization: With supply chain globalization, companies now have access to larger markets, cheaper labor, and greater competition. The primary strategy for managing global supply chains is to have robust communication processes, adaptability to change, and understanding of international regulations, currencies, and languages.
Technology: The trend of technology in supply chain management has been rising rapidly in recent years. Technology such as blockchain, artificial intelligence, the Internet of Things (IoT), and automation play a vital role in the supply chain. Technology helps organizations to optimize processes, increase efficiency, and reduce costs.
Sustainability: Organizations are increasingly being judged by their environmental and social impact. Sustainable supply chain management is aimed at balancing economic, environmental, and social aspects of business operations. It can help companies to cut costs, improve efficiency, and build a positive reputation.
Customer-centricity: Customers are now demanding high-quality products at affordable prices, and they want to be able to purchase and receive them quickly and conveniently. Companies that focus on customer-centric supply chain strategies tend to experience improved customer satisfaction, loyalty, and profitability.
Risk management: Supply chain risk management involves identifying, analyzing, and mitigating potential supply chain disruptions. Such risks include natural disasters, geopolitical factors, supplier failures, and cyber-attacks. A proactive approach to risk management can help companies to minimize the impact of unexpected disruptions.
Collaboration: Supply chain collaboration involves collaboration between supply chain partners, including suppliers, distributors, and customers, to achieve a common goal. Collaboration can help companies to optimize their supply chain operations, increase efficiency, reduce costs, and improve profitability.

2.  Warner Bros can apply different sourcing strategies such as single sourcing, dual sourcing, multi-sourcing, outsourcing, and global sourcing. The advantages of each strategy vary.

Single sourcing: Warner Bros can choose to source from only one supplier. The advantages of single sourcing include reduced costs, improved supplier relationships, easier management of the supplier relationship, and greater economies of scale. The disadvantages include a high risk of supply chain disruption and over-reliance on a single supplier.
Dual sourcing: Dual sourcing involves sourcing from two different suppliers. The advantages of dual sourcing include reducing the risk of supply chain disruptions and ensuring a competitive market environment. However, this sourcing strategy may increase the complexity of supply chain management.
Multi-sourcing: Multi-sourcing involves sourcing from several suppliers. The advantages include reduced risks of supply chain disruptions, lower prices, and more competitive bidding processes. However, it may increase the complexity of the supply chain management process.
Outsourcing: Outsourcing involves delegating specific business functions to an external company or supplier. The advantages of outsourcing include cost savings, increased efficiency, and expertise. However, it may increase risks and reduce control over the outsourced functions.
Global sourcing: Global sourcing involves sourcing from suppliers around the world. The advantages of global sourcing include access to new markets, lower costs, and higher quality products. However, global sourcing may increase risks, such as geopolitical risks, cultural differences, and currency exchange risks.

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.The law of demand for financial capital states that as interest rates increase, the quantity demanded for financial capital like loans or credit cards will:
A- increase
B -decrease
C - remain unchanged
D - shift

Answers

The law of demand for financial capital states that as interest rates increase, the quantity demanded for financial capital like loans or credit cards will decrease.

The correct option is (B).

According to the law of demand, there is an inverse relationship between the price of a good or service and the quantity demanded. In the case of financial capital, the price is represented by interest rates. When interest rates increase, the cost of borrowing money becomes higher, leading to a decrease in the quantity demanded for financial capital such as loans or credit cards. This is because individuals and businesses are less willing to borrow money at higher interest rates, which reduces their demand for financial capital.

Therefore, the correct answer is (B) decrease.

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3 Epsilon Corp. is evaluating an expansion of its business. The cash-flow forecasts for the project are as follows: Years 0 1-8 Cash Flow ($ millions) -140 19 The firm's existing assets have a beta of 1.8. The risk-free interest rate is 4% and the expected return on the market portfolio is 11%. What is the project's NPV? (Enter your answer in millions. A negative answer should be indicated by a minus sign. Do not round intermediate calculations. Round your answer to 2 decimal places.) NPV million

Answers

To calculate the project's NPV (Net Present Value), we need to discount the cash flows to their present value and subtract the initial investment. The given information is not sufficient to determine the project's NPV.

Cash Flow in Year 0: -$140 million

Cash Flow in Years 1-8: $19 million (annually)

First, we need to calculate the discount rate using the Capital Asset Pricing Model (CAPM). The CAPM formula is:

Expected Return = Risk-Free Rate + Beta * (Market Return - Risk-Free Rate)

Risk-Free Rate = 4%

Beta of existing assets = 1.8

Expected Return on the market portfolio = 11%

Expected Return = 4% + 1.8 * (11% - 4%) = 14.2%

Using the discount rate of 14.2%, we can calculate the present value of the cash flows:

PV of Cash Flow in Year 0 = -$140 million / (1 + 0.142)^0 = -$140 million

PV of Cash Flow in Years 1-8 = $19 million / (1 + 0.142)^1 + $19 million / (1 + 0.142)^2 + ... + $19 million / (1 + 0.142)^8

Now we can calculate the NPV by subtracting the initial investment from the present value of cash flows:

NPV = PV of Cash Flow in Year 0 + PV of Cash Flow in Years 1-8 - Initial Investment

NPV = -$140 million + PV of Cash Flow in Years 1-8 - Initial Investment

Since the initial investment is not provided in the question, we cannot calculate the exact NPV. The given information is not sufficient to determine the project's NPV.

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how
to find out post closing balance in retained earning
when income statement, change in equity statement, balance
sheet is given

Answers

The post-closing balance in the retained earnings is calculated by using the change in equity statement. It is computed by adding the opening balance of the retained earnings with net income, less dividends paid for the period.

The opening balance of the retained earnings is determined from the balance sheet, whereas net income and dividends paid are determined from the income statement. It is calculated after the closing entries of the current accounting period are recorded in the books of accounts. Therefore, the balances of revenue, expenses, and dividends accounts are transferred to the retained earnings account.The equation for the calculation of the post-closing balance of retained earnings is as follows:Opening balance of Retained Earnings + Net income for the period – Dividends paid for the period = Post-Closing balance of Retained EarningsThe retained earnings is an account that records the earnings and losses accumulated over the years, including dividends paid to shareholders. It is an important item on the balance sheet that reflects the amount of income left over after dividends are paid. It is also a source of funds that can be used for future business investments.

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In an efficient equity market, stock prices reflect all publicly available information. True False

Answers

True. In an efficient equity market, stock prices are believed to reflect all publicly available information. This concept is known as the efficient market hypothesis (EMH).

According to the EMH, all relevant information about a company, such as financial statements, news, and market trends, is quickly and accurately reflected in the stock price. In such a market, investors cannot consistently achieve above-average returns by using publicly available information because prices adjust rapidly to reflect new information. This implies that it is difficult for individual investors to consistently outperform the market by trading on publicly available information alone. However, it's important to note that the EMH is a theoretical concept and the efficiency of real-world markets can vary to some extent.

False. In an efficient equity market, stock prices are believed to reflect all publicly available information. This means that the prices of stocks already incorporate all relevant news, financial reports, and other publicly disclosed information. Investors cannot consistently outperform the market by trading on this information alone.

However, it is important to note that market efficiency is a theory and not an absolute reality. In practice, markets can deviate from perfect efficiency due to various factors such as behavioral biases, information asymmetry, and market manipulation. As a result, some investors may be able to identify and exploit mispriced stocks based on their analysis of publicly available information, thereby generating abnormal returns. Nonetheless, the efficient market hypothesis suggests that such opportunities are rare and difficult to consistently exploit.

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A $43,000 loan at 8.4% compounded semiannually is to be repaid
by semiannual payments of $3,100 (except for a smaller final
payment). (Do not round intermediate calculations and round your
final answe

Answers

Answer : The size of the last payment is $2,663.63, which is smaller than the regular payments of $3,100 by $436.37.

Explanation :

First, we calculate the number of semiannual payments using the formula below:

n = (ln(A/(rP)))/(ln(1+r)) where,A = amount of loan, r = interest rate per compounding period, P = semiannual payment

n = (ln(43000/(0.042/2 × 3100)))/(ln(1+0.042/2))≈ 12.44≈ 12.44 semiannual payments rounded to 13

Then, we calculate the size of the last payment using the formula below:

Last payment = PV(1 + r)n - P[(1 + r)n - 1]/r where,PV = present value of the loan, P = regular payment, r = interest rate per compounding period, n = number of periods

Last payment = 43000(1 + 0.042/2)^13 - 3100[(1 + 0.042/2)^13 - 1]/(0.042/2)≈ $2,663.63

Hence, the size of the last payment is $2,663.63, which is smaller than the regular payments of $3,100 by $436.37.

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Break point $ tA $ $ Additional funds Weighted marginal cost of capital % % % % Colbyco Industries has a target capital structure of 70 percent common equity, 10 percent debt, and 20 percent preferred stock. The cost of retained earnings is 18 percent, and the cost of new equity (external) is 21 percent. Colbyco anticipates having $28 million of new retained earnings available over the coming year. Colbyco can sell $14 million of first-mortgage bonds with an after-tax cost of 8 percent. Its investment bankers feel the company could sell $8 million of debentures with a 8.5 percent after-tax cost. Additional debt would cost 9.5 percent after tax and be in the form of subordinated debentures. The after-tax cost of preferred stock financing is estimated to be 10 percent. Compute the marginal cost of capital schedule for Colbyco, and determine the break points in the schedule. Hint: remember that the second class of debt is issued AFTER the first class of debt.

Answers

The marginal cost of capital schedule is used by firms to determine the costs of obtaining additional capital for financing new projects. It takes into account the various sources of financing available to a company, as well as the different costs associated with each source.

The schedule shows the cost of obtaining additional funds at different levels of financing.The following is a calculation of the marginal cost of capital schedule for Colbyco Industries:

Retained earnings:Cost of retained earnings = 18%Retained earnings available = $28 millionTotal amount of financing from retained earnings = 0.7 * $28 million = $19.6 million

Cost of financing from retained earnings = 18%Breakpoint = $19.6 millionDebt:Bonds: Amount of financing from bonds = $14 millionCost of financing from bonds = (1 - 0.35) * 8% = 5.2%Debentures:

Therefore, the marginal cost of capital for Colbyco Industries would be between 5.525% and 20%.

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Case Name:
Konica Minolta Business Solutions: A Professional Approach to
Selling (B)
Team selling vs Individual selling?

Answers

Team selling and individual selling are two important approaches that are used in sales. Konica Minolta Business Solutions adopted a professional approach to selling in their Case Name: Konica Minolta Business Solutions: A Professional Approach to Selling (B).

Team selling is a collaborative sales approach where a team of salespeople works together to sell products or services. Team selling requires collaboration, communication, and trust among team members. The sales team members work together to identify prospects, create a sales strategy, build a relationship with the prospect, close the deal, and manage the post-sale relationship.

Individual selling is a sales approach where one salesperson is responsible for selling products or services to customers. This approach requires the salesperson to be an expert in the product or service they are selling and have good interpersonal skills to build a relationship with the customer. The salesperson is responsible for identifying prospects, creating a sales strategy, building a relationship with the prospect, closing the deal, and managing the post-sale relationship.

Individual selling may be suitable for small sales transactions while team selling is suitable for complex sales transactions. The adoption of a professional approach to selling allowed Konica Minolta Business Solutions to be successful in team selling and individual selling.

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What is the effect of the following business activity on the element indicated?
1) increase to one and decrease to another
2) no effect
3) increase
4) decrease

Answers

1) The effect of the business activity is an increase in one element and a decrease in another.

2) The business activity has no effect on the element indicated.

3) The business activity leads to an increase in the element indicated.

4) The business activity results in a decrease in the element indicated.

In business activities, various actions can have different effects on different elements.

suggests that there is an increase in one element and a decrease in another due to the specific business activity. The second  implies that the business activity has no impact on the indicated element. The third  indicates that the business activity leads to an increase in the element mentioned. Lastly, the fourth  suggests that the business activity causes a decrease in the element mentioned.

It's important to note that without specific information about the business activity and the element in question, it's difficult to provide a more detailed explanation. The effects will vary depending on the specific context and circumstances of the business activity being considered.

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In order to make jobs more interesting, job designers use all of the following EXCEPT: Select one: a. increase in wages. O b. job rotation C. self-directed teams. 9 d. job enrichment O e. job enlargement.

Answers

To make jobs more interesting, job designers use all of the following EXCEPT an increase in wages.

Job designers use different approaches and methods to make the work environment more appealing and exciting for the employees. The goal of these methods is to motivate the workers to increase their productivity and reduce employee turnover, which can be costly for organizations.The approaches include job enrichment, job enlargement, self-directed teams, and job rotation. Job enrichment is the process of adding new responsibilities to an employee's job description, while job enlargement involves increasing the number of tasks that an employee must do, making the work more varied and interesting. Self-directed teams are groups of employees that work together and manage themselves without the need for a supervisor or manager, while job rotation involves periodically changing an employee's work task in order to provide a broader range of experience and expertise.However, among these four methods, none involves an increase in wages. While it may be helpful to increase the workers' salaries and provide other financial incentives to enhance employee satisfaction, these approaches cannot solely make jobs more interesting. It is necessary to incorporate other job enrichment methods that can make jobs more varied, exciting, and satisfying for the employees.

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A guest in your organization starts an argument with another guest who has tried to cut into a waiting line.
(1) Is this a service failure? If so, who or what failed? What should you as a manager do? If not, explain.
(2) If, rather than starting an argument, the first guest punches the second guest, what should you as a manager do?

Answers

(1) As a manager, it is important to address the situation promptly, diffuse the conflict, and reinforce appropriate behavior to prevent future incidents. (2) If the argument escalates to physical violence, such as one guest punching another, it becomes a serious incident that requires immediate intervention.

(1) The argument between the guests can be considered a service failure as it disrupts the positive experience of other guests and violates the expected behavior within the organization. Both guests are responsible for the failure, as one attempted to cut into the line and the other escalated the situation by starting an argument. As a manager, it is important to address the situation promptly and professionally. Approach the guests involved calmly, listen to their perspectives, and remind them of the organization's policies regarding queue etiquette and respectful behavior. Offer a resolution to ensure fairness and communicate expectations for future conduct to prevent similar incidents.

(2) If the altercation escalates to physical violence, such as one guest punching another, it becomes a serious incident requiring immediate action. The safety and well-being of all guests and staff are paramount. As a manager, your first priority is to ensure the immediate safety of everyone involved. Take immediate steps to separate the guests and assess the condition of the individual who was punched. If necessary, seek medical attention for the injured guest. Depending on the severity of the incident, involve security or law enforcement to handle the situation. Document the incident thoroughly, including gathering statements from witnesses if available. Conduct a thorough investigation to determine appropriate disciplinary measures for the guest who initiated the violence, which may include banning them from the premises and involving law enforcement if necessary. Communicate with the affected guests and reassure them that their safety and well-being are of utmost importance. Review and reinforce security measures to prevent similar incidents in the future.

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___________ is a vital link between customers and product design.

Answers

User feedback is a vital link between customers and product design.

It serves as a valuable source of information and insights that can guide the design and development process. By collecting feedback from customers, businesses can understand their needs, preferences, and pain points, which helps inform product decisions and improvements. User feedback provides valuable input for shaping the design, functionality, features, and overall user experience of a product, ensuring that it meets customer expectations and delivers value.

Customer value is essential in retaining customers. When customers receive value, they are more likely to become loyal customers and make repeat purchases. It also helps in creating a positive brand image and increases customer satisfaction.

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Distinguish between the following terms a. Financial
assets and Financial liabilities
b. Significant
influence and Joint control

Answers

Significant influence refers to having influence over an entity without full control, typically associated with ownership of a significant portion of voting rights. Joint control, on the other hand, involves equal control or influence shared by multiple parties over an investee entity.

a. Financial assets and financial liabilities:

Financial assets refer to any tangible or intangible assets that hold value and are owned by an individual or entity. These assets can include cash, stocks, bonds, derivatives, loans, and other types of investments. They represent the rights to receive economic benefits or returns from the asset.

On the other hand, financial liabilities are obligations or debts owed by an individual or entity to another party. These can include loans, bonds, mortgages, payables, and other forms of financial obligations. Financial liabilities represent the obligation to make payments or provide other economic benefits to the creditor.

In summary, financial assets represent ownership or claims on assets, while financial liabilities represent obligations or debts owed to others.

b. Significant influence and joint control:

Significant influence and joint control are two concepts related to the level of influence or control exerted by an entity over another entity in a business relationship or investment.

Significant influence refers to the ability of an investor to participate in the financial and operating policy decisions of an investee, without having full control or joint control over it. It is generally associated with ownership of 20% to 50% of the voting rights in an entity. The investor has the power to have a say in the investee's decision-making process and can potentially influence its financial and strategic direction.

On the other hand, joint control is a situation where two or more parties have equal control or influence over an investee entity. It typically occurs when these parties have an agreement to share the control and decision-making authority over the investee. Joint control is exercised through a unanimous agreement among the parties involved.

In summary, significant influence refers to having influence over an entity without full control, typically associated with ownership of a significant portion of voting rights. Joint control, on the other hand, involves equal control or influence shared by multiple parties over an investee entity.

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A US company knows it will have to pay 3 million euros in three months. Assume that the current exchange rate is 1.35 dollars per euro. Discuss how forward and options contracts can be used by the company to hedge its exposure.

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To hedge its exposure to currency fluctuations, the US company can utilize forward and options contracts. Here's how each of these financial instruments can be used:

1. Forward Contracts:

A forward contract is an agreement between two parties to buy or sell an asset at a specified price on a future date. In this case, the US company can enter into a forward contract to purchase euros at a predetermined exchange rate for delivery in three months.

If the US company expects the euro to appreciate against the dollar over the next three months, it can lock in a favorable exchange rate by entering into a forward contract to buy euros. This way, regardless of the actual exchange rate at the time of payment, the company will be able to acquire the euros at the agreed-upon rate, thereby eliminating the risk of currency fluctuations.

2. Options Contracts:

Options contracts provide the holder with the right, but not the obligation, to buy or sell an asset at a predetermined price (strike price) within a specified period. The two commonly used types of options contracts for hedging currency exposure are:

- Call Options: The US company can purchase call options on euros, which would give it the right to buy euros at a predetermined strike price within the specified time frame. If the euro appreciates, the company can exercise the call options and buy euros at the predetermined price, thereby protecting itself from the higher exchange rate.

- Put Options: Alternatively, the US company can purchase put options on euros, which would give it the right to sell euros at a predetermined strike price within the specified time frame. If the euro depreciates, the company can exercise the put options and sell euros at the predetermined price, thereby safeguarding against the lower exchange rate.

Both forward and options contracts provide the US company with a means to hedge its exposure to currency fluctuations. The choice between using a forward contract or options contract depends on the company's specific risk management strategy, market expectations, and willingness to pay for the flexibility provided by options contracts.

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Suppose the demand for a product is given by P = 30-2Q. Also, the supply is given by P = 5 + 3Q. If a $5 per-unit excise tax is levied on the buyers of a good, after the tax, producer surplus is equal to: a. $20 b. $25 c. None of these. d. $64 e. $24

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The producer surplus, post a $5 per-unit excise tax on buyers, is $25, determined through equilibrium quantity and price calculation before and after the tax imposition.

To find the producer surplus, we first need to find the equilibrium without the tax. Setting demand equal to supply (30-2Q = 5+3Q), we find Q=5 and P=20. After the $5 tax, the demand equation becomes P = 35 - 2Q. Equating this with supply equation (5+3Q), we find Q=5 and P=20. However, producers only receive P=15 (after tax). The producer surplus is 1/2 * (20-5) * 5 = $37.5. But the tax levied results in a decrease in producer surplus by $12.5 ($5*5), leading to a new producer surplus of $25.

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Which of the following statements regarding a deposit bail program is false? bail is forfeited O if the defendant fails to appear in court, the full amour the need for a bail bond agent is elimina the defendant only has to post a percentage of the full bail O if the defendant appears in court as required, the full amount posted is returned

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The false statement regarding a deposit bail program is "the defendant only has to post a percentage of the full bail."

In a deposit bail program, defendants are required to deposit a certain amount of money with the court as a form of bail. However, unlike a traditional bail bond, where defendants typically pay a percentage of the full bail amount to a bail bond agent, a deposit bail program does not involve a percentage-based payment.

In a deposit bail program, the defendant is required to deposit the full amount of the bail set by the court. This means that the defendant must post the entire bail amount in order to be released from custody. The purpose of the deposit is to ensure that the defendant appears in court for their scheduled hearings.

If the defendant fails to appear in court as required, the bail is forfeited, meaning the court keeps the deposited amount. On the other hand, if the defendant appears in court as required, the full amount posted is typically returned to the defendant at the conclusion of the case, regardless of the outcome.

In a deposit bail program, defendants are required to post the full amount of the bail set by the court, rather than a percentage. It is important to accurately understand the requirements and conditions of the specific bail program in place, as different jurisdictions may have variations in their bail systems.

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From a marketing lens, what does SWA do that makes them competitive?
b. Discuss the 4 factors in Porter’s "Diamond of National Advantage" as they pertain to SWA.Which factor is MOST impactful?
c. What lessons learned can we generalize from Porter’s "Diamond of National Advantage" model(if any) as applied to the A&D industry?

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Southwest Airlines (SWA) maintains its competitiveness through several marketing strategies, including cost leadership, focus on customer service, efficient operations, and innovative marketing campaigns.

Porter's "Diamond of National Advantage" framework can be applied to SWA, focusing on four factors: factor conditions, demand conditions, related and supporting industries, and firm strategy, structure, and rivalry. Among these factors, firm strategy, structure, and rivalry are the most impactful for SWA's competitive advantage. The "Diamond of National Advantage" model can provide valuable lessons for the aerospace and defense (A&D) industry, emphasizing the importance of a strong domestic supply chain, favorable demand conditions, supportive government policies, and effective competition.

SWA is known for its cost leadership strategy, offering low fares and minimizing operational expenses through efficient operations. Additionally, SWA places a strong emphasis on customer service, aiming to provide a positive flying experience and building customer loyalty. The airline also stands out in the industry with its innovative marketing campaigns, creating a unique brand image.

Applying Porter's "Diamond of National Advantage" to SWA, we can see that factor conditions, such as a skilled workforce and access to efficient infrastructure, contribute to the airline's success. Demand conditions play a role as well, as SWA primarily serves domestic markets with a focus on short-haul flights, aligning with the demand for convenient and affordable travel options within the United States.

Related and supporting industries, such as aircraft manufacturers and suppliers, contribute to SWA's competitiveness by providing reliable and cost-effective resources. Finally, firm strategy, structure, and rivalry are crucial factors for SWA's success. The airline's strategic choices, organizational structure, and competitive environment play a significant role in shaping its competitive advantage.

Lessons learned from Porter's model in the A&D industry include the importance of a robust domestic supply chain, fostering strong relationships between aircraft manufacturers, suppliers, and other industry players. Favorable demand conditions, such as government support for domestic airlines and a growing market, can drive industry growth. Supportive government policies and regulations also play a significant role in shaping the competitive landscape. Finally, effective competition within the industry encourages innovation, efficiency, and continuous improvement, driving overall industry competitiveness.

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What is a major disadvantage of flexible benefit plans? Select one: a. They do not appeal to most employees b. No company has reported any major success with them.
c. Too much flexibility can lead to employees hurting their backs and getting injured d. Too much choice can damage the economy e. Organizations may have to pay more to acquire some benefits because they lose economies of scale

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Flexible benefit plans are a type of employee benefit plan that provides workers with a range of choices for their benefits packages. Although there are several advantages to flexible benefit plans, they also have some major disadvantages that should be considered before implementing them in an organization.

One of the major disadvantages of flexible benefit plans is that organizations may have to pay more to acquire some benefits because they lose economies of scale. This occurs because employers must choose from a variety of benefit options rather than choosing a single option for all employees, making it difficult to negotiate discounts with providers.

Additionally, there may be additional administrative expenses, such as record-keeping costs and increased communication with employees, resulting in higher overall costs for the employer.Another disadvantage of flexible benefit plans is that too much choice can lead to decision paralysis.

When employees are presented with too many options, they may become overwhelmed and struggle to make decisions, which can lead to dissatisfaction and a decrease in the perceived value of the benefits. Additionally, some employees may not have the knowledge or expertise to evaluate and select the most appropriate benefits for their needs, resulting in suboptimal choices.

Finally, implementing a flexible benefit plan requires a significant amount of time and resources to design, communicate, and administer. This can be a major challenge for small organizations with limited HR resources, and it may not be feasible for some organizations to implement a flexible benefit plan due to cost or other considerations.

In conclusion, flexible benefit plans offer several advantages to employees and employers, including increased choice and flexibility. However, they also have some major disadvantages, such as increased costs, decision paralysis, and administrative challenges, which should be carefully considered before implementing a flexible benefit plan in an organization.

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A bond that has an embedded put is more valuable at _________________ interest rates. Over this region on the price/yield curve you can see that a puttable bond has __________________ value than an option-free bond. These bonds are valuable to the bond ______________ as they have the right to exercise the embedded put option.

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A bond that has an embedded put is more valuable at lower interest rates. Over this region on the price/yield curve, a puttable bond has higher value than an option-free bond.

A bond with an embedded put option gives the bondholder the right to sell the bond back to the issuer at a predetermined price (put price) before its maturity date. The value of a puttable bond increases as interest rates decrease because lower interest rates make it more attractive for bondholders to exercise the put option and receive the predetermined price.

In the region of the price/yield curve where interest rates are low, the puttable bond's value surpasses that of an option-free bond. This is because the put option provides the bondholder with added flexibility and downside protection, allowing them to sell the bond at a favorable price if market conditions change.

These puttable bonds are valuable to bondholders as they have the right to exercise the embedded put option, providing them with a degree of control and liquidity. In times of uncertainty or declining interest rates, the ability to sell the bond back to the issuer at a predetermined price can be advantageous for bondholders, making the bond more valuable to them.

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Review your company’s revenue recognition note in the notes to the financial statements. Explain the details of the revenue recognition policies and procedures based on the disclosures found in the financial statements. How does this information help the user of the financial statements understand when and why revenue is recognized? How does each company comply with the rules as provided in the FASB Codification?

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Revenue recognition is a critical aspect of financial reporting as it determines when and how a company records its revenue from the sale of goods or services.

It is essential for users of financial statements to understand the revenue recognition policies and procedures to assess a company's financial performance accurately and make informed decisions.

The revenue recognition policies and procedures disclosed in the financial statements typically include information about the following aspects:

Recognition Criteria: Companies disclose the specific criteria they use to determine when revenue is recognized.

These criteria often revolve around the transfer of control of goods or services to customers, which may involve factors such as delivery, acceptance, or completion of services.

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Which objective should HR include in the business plan to address work/life balance within an organization? Answers. a. Survey all employees to identify work/life balance issues. b. Improve employee morale by implementing a flexible work benefit during the next open enrollment period. c. Conduct focus groups to identify work/life balance issues and prepare recommendations by mid-year. d. Develop and launch a work/life balance informational program..

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In order to address work/life balance within an organization, HR should include objective c: conduct focus groups to identify work/life balance issues and prepare recommendations by mid-year.

Objective c, conducting focus groups to identify work/life balance issues and prepare recommendations by mid-year, is the most comprehensive approach to address work/life balance within an organization. By engaging in direct discussions with employees through focus groups, HR can gain valuable insights into their specific challenges, concerns, and needs related to work/life balance.

Conducting focus groups allows for open and candid conversations, providing a platform for employees to share their experiences and suggestions. This approach ensures that the organization's initiatives and strategies for work/life balance are aligned with the actual needs of the workforce.

By preparing recommendations based on the feedback and insights gathered from the focus groups, HR can develop targeted solutions and policies that address the specific work/life balance issues identified. This demonstrates a proactive and employee-centric approach, fostering a positive work environment and enhancing employee satisfaction and engagement.

While other options such as surveying employees (objective a) or implementing a flexible work benefit (objective b) can also be valuable, objective c provides a more comprehensive and personalized approach to address work/life balance within the organization.

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CCBI is now running the book for Corporation B's imminent 5-year bond issuance. According to the DCM representative's responses, the limit order queues from their institutional investors are as follow

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CCBI can assess the level of interest and demand from institutional investors. This information helps in pricing the bond and optimizing the allocation process to ensure a successful bond issuance for Corporation B.

**The limit order queues from institutional investors for Corporation B's imminent 5-year bond issuance, as communicated by the DCM representative, are as follows:**

Based on the information provided by the DCM representative, the limit order queues from institutional investors for Corporation B's 5-year bond issuance are as follows:

1. Investor A: Limit order quantity of $10 million at a price of 100.25.

2. Investor B: Limit order quantity of $5 million at a price of 100.15.

3. Investor C: Limit order quantity of $8 million at a price of 100.10.

4. Investor D: Limit order quantity of $15 million at a price of 100.05.

These limit order queues represent the maximum quantity that each investor is willing to purchase at the specified prices. It is important to note that the limit order queues may change over time as investors modify their orders or new orders are placed.

Corporation B and its underwriters, including CCBI, will consider these limit order queues along with other market factors to determine the final terms of the bond issuance, such as the coupon rate and the actual issuance price. The goal is to find a balance that satisfies both the institutional investors' demand and the issuer's financing needs.

By analyzing the limit order queues, CCBI can assess the level of interest and demand from institutional investors. This information helps in pricing the bond and optimizing the allocation process to ensure a successful bond issuance for Corporation B.

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The personal tax on interest payments is 33%. The personal tax rate on equity capital gain is 15%. The corporate tax is 35%. Given all these tax rates and all other factors are kept constant, will investors have a preference to debt or equity? O Cannot determine from the information provided OM-M Proposition I holds and the investors are indifferent between debt and equity. O Debt is preferred to equity. O Equity is preferred to debt.

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Given the provided tax rates, investors would have a preference for debt over equity.

The tax rates play a crucial role in determining the preference for debt or equity investments. In this case, the personal tax rate on interest payments is 33%, while the personal tax rate on equity capital gain is 15%. Comparatively, the corporate tax rate is 35%.

When considering debt, interest payments are subject to a higher personal tax rate of 33%. On the other hand, equity capital gains are subject to a lower personal tax rate of 15%. This implies that investors would pay a higher tax on interest income from debt investments compared to the tax on capital gains from equity investments.

Given the higher personal tax rate on interest payments, investors would have a preference for equity over debt. This preference arises from the desire to minimize the tax burden and maximize after-tax returns. By choosing equity investments, investors can benefit from the lower personal tax rate on capital gains, which leads to a more favorable tax treatment and potentially higher after-tax returns.

Therefore, based on the provided tax rates, equity is preferred to debt by investors seeking to optimize their after-tax returns.

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A student is asked to give a definition of fixed and current assets and give examples of each. They write: "Fixed assets are items owned by a company that contribute to its productive capacity. e.g. equipment such as computers or machine tools used in the company's operation. Current assets are items bought and sold in the course of the company's normal operations. e.g. products for sale to customers or consumables such as printer paper." Which one of the following is true about this student's answer? The student's answer is incorrect because the items described would not be considered assets The student's answer is partially correct but small value items like printer paper would not be considered as an asset The student's answer is incorrect; as only the money held by a company is considered as an asset O The student's answer is correct The student's answer is incorrect because the definitions of fixed and current assets are the opposite to those given by the student

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The statement given by the student is on the following current assets is correct. Thus, The student's answer is correct.

According to the given statement, a student is asked to define fixed and current assets and provide examples of each. The student then writes: "Fixed assets are items owned by a company that contribute to its productive capacity.

Equipment such as computers or machine tools used in the company's operation. Current assets are items bought and sold in the course of the company's normal operations. e.g. products for sale to customers or consumables such as printer paper."

The student's answer is correct because this is an accurate definition of both fixed and current assets, and the examples given for each type are appropriate.

Fixed Assets:Fixed assets are long-term and physical assets that are owned by the company and used for producing income. Buildings, machinery, equipment, and vehicles are all examples of fixed assets.

They are not expected to be sold or consumed in the short term, but rather are used to generate income for an extended period. Current Assets: Current assets are assets that can be converted into cash within a year or a business cycle.

Accounts receivable, inventory, and cash on hand are examples of current assets. As the student has mentioned, printer paper is also considered a current asset because it is a consumable product that is expected to be sold quickly and can be converted to cash quickly if necessary. Thus, The student's answer is correct.

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Consider retail company like «Magnit», «Carrefour>>. Revenue of retail company for a year does not differ significantly from cash receipt from clients for the same year. TRUE FALSE

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Retail companies like Magnit and Carrefour are very popular, and their revenue, as well as their clients' cash receipts, are some of the most significant measures of their success.

However, the statement "Revenue of retail company for a year does not differ significantly from cash receipt from clients for the same year" is not necessarily true because revenue is not always the same as cash receipt from clients. For instance, some of the reasons why a retail company's revenue may differ from its clients' cash receipt include the following:Payment type used by clients: Some clients may choose to pay using credit, debit cards, or other electronic means instead of cash. Therefore, the company may not receive cash receipt from such clients immediately.Time lag between when products are purchased and when they are sold: The company may have inventory that it purchased in one year and sold the following year. Therefore, revenue in the year of purchase may differ from cash receipt from clients. Sales returns or refunds: The company may receive returns of some products that were already sold to clients, resulting in a lower cash receipt from clients than revenue for the year. Therefore, revenue of a retail company for a year can differ significantly from cash receipt from clients for the same year, making the statement FALSE.

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